Stein v. Dept. of Fish and Wildlife CA3

CourtCalifornia Court of Appeal
DecidedAugust 24, 2016
DocketC076561
StatusUnpublished

This text of Stein v. Dept. of Fish and Wildlife CA3 (Stein v. Dept. of Fish and Wildlife CA3) 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
Stein v. Dept. of Fish and Wildlife CA3, (Cal. Ct. App. 2016).

Opinion

Filed 8/24/16 Stein v. Dept. of Fish and Wildlife CA3 NOT TO BE PUBLISHED California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for publication or ordered published,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 This opinion has not been certified for publication or ordered published for purposes of rule 8.1115.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 THIRD APPELLATE DISTRICT (Sacramento) ----

PAUL STEIN et al., C076561

Plaintiffs and Appellants, (Super. Ct. No. 34201100114371CUEIGDS) v.

DEPARTMENT OF FISH AND WILDLIFE et al.,

Defendants and Respondents.

Appellants Paul and Jason Stein1 appeal from the trial court’s judgment of dismissal of their second amended complaint (SAC), following an order granting the respondents’ (State of California, California Department of Fish and Game (DFG),2

1 Appellant Jason Stein is not an active party in this litigation. For clarity, we treat Paul Stein (Stein) as the sole appellant. 2The Department of Fish and Game changed its name to the Department of Fish and Wildlife after the events which gave rise to this action.

1 William Cox, Neil Manji, and John McCamman)3 motion for summary judgment. The issues in this case involve Stein’s sale of his trout farm, known as Kemoo Trout Farm (KTF). On appeal, Stein contends the trial court erred in granting summary judgment because: (1) the summary judgment motion was “irregular on its face”; (2) contrary to the trial court’s ruling, he has standing to bring claims for the alleged unconstitutional taking of KTF; (3) neither failure to petition for administrative mandate nor the statute of limitations bars his claims; and (4) the trial court’s evidentiary rulings excluding evidence presented in opposition to the motion for summary judgment were erroneous. We affirm. FACTUAL AND PROCEDURAL BACKGROUND Facts Alleged by Stein Various owners and operators have raised trout at KTF in Calaveras County since 1967. Stein owned and operated KTF from 1980 to 1997.4 In 1982, the DFG identified Myxobolus cerebralis (Mc) in waters supplying KTF. Mc is a parasite that can cause whirling disease under certain conditions. Whirling disease affects trout and was categorized as a serious disease in California Code of Regulations, title 14, section 245. The DFG’s policy was to contain Mc within known infected water basins, and prohibit activities that could aggravate the parasite’s impacts or increase its geographic distribution. The DFG allowed established aquaculturists to continue producing and distributing commercially infected fish under the conditions of a

3 In 2007, William Cox was the supervising biologist of the Fisheries Branch, and reported to Neil Manji. Manji was the Fisheries Branch Chief of the DFG. John McCamman was first Chief Deputy Director, then Acting Director, of the DFG. We refer to the individual respondents by their last names, and the individual respondents and DFG collectively as respondents. 4 In addition to being the owner of KTF, Stein was once employed by DFG, serving as an appointed chief deputy director of DFG for a year. He left that post in 2005.

2 compliance agreement generally designed to contain Mc and limit its potential impacts. However, the DFG sought to “not allow significant expansion of existing aquaculture facilities which test positive for whirling disease, nor to authorize any new facilities using whirling disease positive water sources.” In 1983, the DFG diagnosed Mc at KTF after finding rainbow trout infected with Mc spores in samples taken from the farm. The DFG subsequently quarantined the facility and destroyed the fish Stein had on hand at the time. Stein was compensated for this destruction of property, and he used the money to improve KTF in hopes of getting rid of Mc. In June of 1984, Stein entered into a compliance agreement that ran from July 1, 1984, to September 15, 1984, and provided interim measures until the DFG could conclude testing and surveillance and decide whether to allow reestablishment of “normal cultural and marketing operations.” KTF resumed operation in 1984 and continued until December of 1996. On May 14, 1987, the DFG renewed KTF’s registration but imposed two conditions due to the known presence of Mc “in waters in the vicinity of” the facility.5 The conditions required that tubifex worms, hosts for Mc that could facilitate the parasite’s spread, be kept out of the facility. The conditions also limited stocking of trout from KTF to waters already known to be infected with Mc, subject to future disapproval by the DFG “if it is determined that such stocking poses a threat to fishery resources, private aquaculture or a general expansion of the range of [whirling] disease.” The conditions applied to “all subsequent years of operation unless amended by written notice from the [DFG].” In December of 1996, KTF was destroyed by a flood and rebuilt by Stein in its current form.

5 In this document, and others, Mc and “whirling disease” are used interchangeably.

3 In 1997, Stein leased KTF to Don and Jan Stivers. The Stiverses operated KTF from 1997 to 2002. In or around June of 1999, the DFG learned that fish infected with Mc had been transferred from KTF to a Mc-free facility. On June 28, 1999, the DFG sent the Stiverses a letter informing them of the discovery and reminding them that the compliance agreement from 1987 prohibited such transfers.6 In 1999, with KTF still “positive for Mc,” the Stiverses entered into a compliance agreement. The 1999 compliance agreement contained conditions intended to “assure continued protection of the fishery resources of California, and minimize impacts to [KTF].” The agreement generally limited distributions of fish from Mc-positive sites; limited distributions of Mc- positive fish; prohibited “[f]acility expansion utilizing increased volumes of Mc-positive waters, to increase production and distribution of Mc-positive fish”; and expressly noted that “[n]ew or presently unregistered facilities utilizing Mc-positive waters will not be approved for registration or use.” In his declaration, Stein referred to this agreement as an agreement that had been “revised” by DFG. KTF was last operational in 2002. Thereafter, Stein did not renew the aquaculture license registration at KTF. On March 6, 2006, Cox received a partial voicemail from Marlyss Hanson, a prospective buyer for KTF. Cox e-mailed Stein to obtain the buyer’s contact information, and also said, “I shoul[d] talk to you about the existing compliance agreement. That would be re-written for the new owner, and I’d like to discuss that with you.”7 Stein replied, “I remember the compliance agreement and have apprised them of

6 The record does not contain an actual compliance agreement dated 1987; this letter was likely referring to the registration conditions set forth in the DFG’s registration letter to Stein on May 14, 1987. 7 In full, the text of the Cox e-mail reads: “Paul [¶] I received half of a phone message from Martis? Hanson, who is a prospective buyer of your trout farm. Unfortunately the message was cut off before a phone contact was left. Do you have her contact

4 the whirling disease exposure. I believe in full disclosure so feel free to give them whatever they reasonably request.”8 In his declaration, Stein said he relied on Cox’s “representation” in the e-mail, but he did not say that he contacted Cox to discuss the compliance agreement as Cox had requested. There is no other evidence in the record that Stein contacted Cox regarding how the compliance agreement would be rewritten or what conditions it would contain. Nor is there any evidence in the record that Stein and Cox had any other communication about the compliance agreement other than the March 6, 2006, Cox e-mail.

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Bluebook (online)
Stein v. Dept. of Fish and Wildlife CA3, Counsel Stack Legal Research, https://law.counselstack.com/opinion/stein-v-dept-of-fish-and-wildlife-ca3-calctapp-2016.