Page v. Tri-City Healthcare District

860 F. Supp. 2d 1154, 2012 WL 928465, 2012 U.S. Dist. LEXIS 36795
CourtDistrict Court, S.D. California
DecidedMarch 19, 2012
DocketCase No. 12-CV-198 JLS (WMC)
StatusPublished
Cited by6 cases

This text of 860 F. Supp. 2d 1154 (Page v. Tri-City Healthcare District) is published on Counsel Stack Legal Research, covering District Court, S.D. California primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Page v. Tri-City Healthcare District, 860 F. Supp. 2d 1154, 2012 WL 928465, 2012 U.S. Dist. LEXIS 36795 (S.D. Cal. 2012).

Opinion

ORDER: REMANDING CASE

JANIS L. SAMMARTINO, District Judge.

Presently before the Court is Plaintiff Leon James Page’s ex parte motion for a temporary restraining order and order to show cause in this action against Defendant Tri-City Healthcare District (“TriCity” or “the District”). (Mot. for TRO, ECF No. 4.) Also before the Court are Tri-City’s opposition (Opp’n to TRO, ECF No. 5), supplemental briefing from both parties in response to the Court’s request (Pl.’s and Def.’s Supp. Briefs, ECF Nos. 8, 9), and various objections and declarations filed by the parties (ECF Nos. 10, 13, 14, 15, 17.) Defendant has also filed a motion in this case “to strike first, second, and fourth claim for relief,” alleging Plaintiffs [1156]*1156complaint constitutes a Strategic Lawsuit Against Public Participation (“SLAPP”). (Anti-SLAPP Mot., ECF No. 3.)

BACKGROUND

Plaintiff is a “taxpayer and resident” of the City of Carlsbad, California. (Compl. ¶ 4, Ex. A to Notice of Removal, ECF No. 1.) Defendant Tri-City is a public healthcare district organized under California law, serving the cities of Carlsbad, Oceanside, and Vista, and surrounding unincorporated areas. (Compl. ¶ 5.) Tri-City is governed by a Board of Directors, which consists of seven elected officials who serve four-year terms.1 (Id. at ¶¶ 6-7.) These terms are staggered such that three Director positions are filled in one election, and the other four are elected two years later. (See Def.’s Supp. Brief 6; Moser Supp. Decl. 2, Ex. 1 to Def.’s Supp. Brief.) The Directors are elected at-large, using a system whereby all candidates for the Board of Directors run for all of the positions up for election that term, with each voter able to vote for multiple candidates up to the total number of available positions; the open positions are filled by the three or four candidates receiving the greatest number of votes.2 (Id.) In 2010, Randy Horton was elected to one of three available positions on the Board of Directors, receiving 25,508 votes (including Plaintiffs), which constituted 16.1% of the total votes, placing Horton second in a field of seven candidates. (Compl. ¶ 7; Moser Supp. Decl. 2.) His four-year term expires in 2014.

After Director Horton assumed his duties as a member of the Board, events occurred which are the subject of the instant lawsuit. On April 28, 2011, in closed session3, a majority of the Board members voted to prohibit Director Horton from participating and voting in closed session meetings of the Board for a six-month censure period. (Compl. ¶ 11; AntiS-LAPP Mot. 10.) Director Horton was present at this meeting, at which Chief Executive Officer Larry Anderson described “what he believed to be improper releases of closed session, attorney-client privileged and trade secret information by Mr. Horton.” (Anti-SLAPP Mot. 10.) Director Horton apparently did not rebut these allegations at that meeting, and chose to abstain in the vote on his censure. (Id.) After the censure resolution passed, Director Horton left the closed session. (Id.)

On May 26, 2011, the Board met again to consider Director Charlene Anderson’s request that the Board impose sanctions upon Mr. Horton for “alleged violations of California law and alleged violations of District policies,” including conduct that took place both before and after Director Horton assumed his role on the Board. (Id.) Director Anderson claimed Director Horton had disclosed further confidential Board information on several occasions in violation of the Board’s confidentiality poli[1157]*1157cy, Policy No. 10-022, and that he had made false and defamatory statements to the public on several occasions in violation of his professional duties as a certified public accountant. (Id.) The Board approved the requested sanctions by majority vote, invoking the Board’s code of conduct, Policy No. 10-039, as its basis for imposing sanctions. (Id. at 10-11.) These sanctions included the temporary suspension of Director Horton’s stipend for attendance at meetings during his censure, and the determination that the District would not indemnify Director Horton should he face liability “resulting from” this misconduct.4 (Id.)

Pursuant to these disciplinary decisions, Director Horton was prohibited from attending and voting in at least eleven closed session meetings, and was not paid a stipend for these meetings.5 (Compl. ¶ 12-4; Mot. for TRO 8.) Plaintiff, apparently a concerned citizen, voiced his objections to the Board’s censure of Director Horton in a letter sent to the District on October 15, 2011. (Compl. ¶ 5.) In this “cease and desist letter,” Plaintiff stated he would sue the District as a “taxpayer representative” if the District did not stop excluding Director Horton from closed session meetings.

At a meeting held on October 27, 2011, the day before the six-month censure period was scheduled to elapse, the Board noted that the censure period for Director Horton was about to expire but did not extend the censure. (Anti-SLAPP Mot. 11.) However, Plaintiff states that Director Anderson delivered to the Board “an inflamatory (sic) renunciation of Director Horton and Director Kathleen Sterling in which he accused them of placing the interests of their constituents above those of the District, of being ‘double agents’ and violating new hospital policies he sponsored requiring the elected Director/Trustee to be ‘loyal’ and ‘obedient.’ ” (Compl. ¶ 24.) The Board then decided that, going forward, it would decide whether to allow Director Horton to participate and vote in closed sessions on a case-by-case basis, to be determined by majority vote immediately before each future closed session meeting. (Id.)

At the next Board meeting on December 20, 2011, Director Horton was asked to sign a confidentiality pledge regarding information disclosed during closed session, but he refused. (Anti-SLAPP Mot. 11.) According to Tri-City, this pledge is “the same confidentiality acknowledgment that all District employees, committee members and Board members sign.”6 (Def.’s Supp. Brief 1.) Indeed, the Board’s confidentiality policy, Policy No. 10-022, states that each Board member shall sign the pledge immediately after their initial appointment to office. (See Confidentiality Policy, Ex. 2 to Def.’s Supp. Brief, ECF No. 8-1.) At oral argument, both parties agreed that the other Board members have signed the pledge. However, in objection to TriCity’s assertions to the contrary, Plaintiff argued that it remained an open question whether Director Horton would be let in to subsequent meetings after signing the pledge, [1158]*1158and that the Board’s actions could not be predicted.

After Director Horton refused to sign the pledge, the Board then voted to exclude him from all of the matters heard in the closed session meeting except for agenda item (e), relating to “certain real property negotiations.” (Compl. ¶ 25.) As a result, Director Horton was excluded from participating in: “(a) a hearing on the reports of the Hospital Medical Audit or Quality Assurance Committees; (b) a conference with legal counsel on four (4) matters of litigation; (c) a conference with legal counsel concerning exposure to litigation; and (d) approval of prior board closed session minutes.” (Id.)

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Bluebook (online)
860 F. Supp. 2d 1154, 2012 WL 928465, 2012 U.S. Dist. LEXIS 36795, Counsel Stack Legal Research, https://law.counselstack.com/opinion/page-v-tri-city-healthcare-district-casd-2012.