Masonite Corp. v. Superior Court

25 Cal. App. 4th 1045, 31 Cal. Rptr. 173, 31 Cal. Rptr. 2d 173, 94 Cal. Daily Op. Serv. 4306, 94 Daily Journal DAR 7937, 1994 Cal. App. LEXIS 585
CourtCalifornia Court of Appeal
DecidedJune 9, 1994
DocketA064054
StatusPublished
Cited by6 cases

This text of 25 Cal. App. 4th 1045 (Masonite Corp. v. Superior Court) 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
Masonite Corp. v. Superior Court, 25 Cal. App. 4th 1045, 31 Cal. Rptr. 173, 31 Cal. Rptr. 2d 173, 94 Cal. Daily Op. Serv. 4306, 94 Daily Journal DAR 7937, 1994 Cal. App. LEXIS 585 (Cal. Ct. App. 1994).

Opinion

Opinion

NEWSOM, J.

By this petition, Masonite Corporation (Masonite) challenges an order of the Mendocino County Superior Court dissolving a temporary restraining order and denying Masonite’s request for a preliminary injunction to prevent public release of claimed trade secret information. 1 The information at issue was supplied to the Mendocino County Air Quality Management District (MCAQMD) in conjunction with Masonite’s reporting obligations under the Air Toxics “Hot Spots” Information and Assessment Act of 1987 (Act). (Health & Saf. Code, § 44300 et seq.) 2 The superior court agreed with intervener, Citizens for a Healthy Ukiah (CHU), that Masonite waived its right to claim trade secret protection because it failed to set forth its claims in the exact procedural manner, on a “facility diagram” as required by section 44346 and California Code of Regulations, title 17 (Regulations), sections 93312 and 93321.

Our consideration of the procedural background takes us into a dense statutory thicket spawned by the Act, which is prefaced by an expression of legislative concern that both chemicals manufacturers and facilities and businesses that use hazardous substances might expose human populations to dangerous toxic air releases. (§ 44301, subds. (a)-(d).) More information on sources of potentially hazardous air pollutants is necessary to implement control strategies for toxic releases, and “[i]t is in the public interest to ascertain and measure the amounts and types of hazardous releases and *1049 potentially hazardous releases from specific sources that may be exposing people to those releases, and to assess the health risks to those who are exposed.” (§ 44301, subds. (g) and (h).)

The Act applies to a facility (as defined by § 44304) “which manufactures, formulates, uses, or releases” (§ 44320, subd. (a)) any of certain named and described substances. It requires a facility operator to initially prepare a “comprehensive emissions inventory plan” in accordance with guidelines prepared by the State Air Resources Board (state board or board) (§ 44340, subd. (a)), and to submit that plan to the local district, in this case MCAQMD, which may not approve it unless the plan meets specified conditions, one of which is compliance with requirements established by the state board. (§§ 44340, subd. (c), 44342.) The plan must be “designed to produce ... a comprehensive characterization of the full range of hazardous materials that are released, or that may be released, to the surrounding air from the facility.” (§ 44340, subd. (c)(2).) The plan must also provide for the collection or calculation of all “continuous, intermittent, and predictable air releases” (ibid.) at primary locations in a facility where each hazardous material will or may be released. (Ibid.) The district will approve the plan, with or without modification, and return it for revision and resubmission. (§ 44340, subd. (b).)

Within 180 days of the local district’s approval, the facility operator must implement the plan and also must prepare and submit an emissions inventory report (§§ 44309, 44341) to the district. 3 The district then has 90 days to notify local city or county health department officials and the Office of Environmental Health Hazard Assessment, Department of Industrial Relations, of its findings and determinations concerning the plan. (§ 44343.)

The district is also required to categorize facilities for purposes of health risk assessment, based upon its review of the emissions inventory report (§§ 44341, 44344), following a public hearing and consultation with the Department of Health Services. (§ 44360, subd. (a).) A facility placed in the highest risk category must prepare and submit a health risk assessment 4 to the district (§§ 44360, subd. (b), 44361), which in turn submits it to the Office of Environmental Health Hazard Assessment for review, which must be completed within 180 days. (§ 44361, subd. (a).)

*1050 The Act also requires each local district to make an annual report describing its health risk priorities and health risk assessment program; local facilities must be ranked according to the degree of cancer risk they pose to the public; facilities posing noncancer health risks must be identified. Finally, the status of control measures must be described and the annual report disseminated to local county boards of supervisors and city councils and presented at public hearings. (§ 44363.)

The Act delegates certain rule-making authority to the state board (§ 44342) and also specifies procedures to be followed when a facility operator believes information submitted to the local district involves the release of trade secrets. (§ 44346; Gov. Code, § 6254.7.) The present controversy centers on Masonite’s claims of trade secrets and on the manner in which those claims must be asserted.

Masonite submitted its emissions inventory plan and separate emissions inventory report (§§ 44340, 44341) to MCAQMD. It also submitted, as required, a health risk assessment (§ 44361) based upon the emissions rates contained in the emissions inventory report, which was incorporated as an attachment to the assessment. In each submission, Masonite provided MCAQMD with uncensored and censored versions, the latter designating in a variety of ways Masonite’s trade secret claims. When notified by MCAQMD that a request had been made to inspect uncensored copies of its submissions, Masonite objected and filed this action in respondent superior court. That court initially issued a temporary restraining order but dissolved the order when it denied the preliminary injunction. This petition followed.

The scope of our review may be summarized as follows: “A determination to grant or deny a preliminary injunction requires the trial court to consider the likelihood that the plaintiff will prevail on the merits at trial and to weigh the interim harm to the plaintiff if the injunction is denied against the harm to the defendant if the injunction is granted. [Citation.] In such circumstance, the review on appeal is for abuse of discretion.” (Department of Fish & Game v. Anderson-Cottonwood Irrigation Dist. (1992) 8 Cal.App.4th 1554, 1560-1561 [11 Cal.Rptr.2d 222].)

The sole basis for the superior court’s denial of the preliminary injunction at issue here was the legal conclusion that Masonite waived its trade secret claims by failing to make them in a specified fashion on a facility diagram. The court expressly declined to reach other disputed factual questions surrounding Masonite’s purported waiver and likewise did not weigh harm to Masonite against that claimed by intervener CHU.

We review the questions of law de novo (Department of Fish & Game v. Anderson-Cottonwood Irrigation Dist., supra, 8 Cal.App.4th at p. *1051 1561). And, as a finding of waiver was the sole basis for the challenged order, we will decline to address the remaining factual issues which are appropriately determinable by the superior court in the first instance. (King v.

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25 Cal. App. 4th 1045, 31 Cal. Rptr. 173, 31 Cal. Rptr. 2d 173, 94 Cal. Daily Op. Serv. 4306, 94 Daily Journal DAR 7937, 1994 Cal. App. LEXIS 585, Counsel Stack Legal Research, https://law.counselstack.com/opinion/masonite-corp-v-superior-court-calctapp-1994.