Tri Counties Bank v. Superior Court

167 Cal. App. 4th 1332, 84 Cal. Rptr. 3d 835, 2008 Cal. App. LEXIS 1708
CourtCalifornia Court of Appeal
DecidedOctober 28, 2008
DocketF055084
StatusPublished
Cited by36 cases

This text of 167 Cal. App. 4th 1332 (Tri Counties Bank 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
Tri Counties Bank v. Superior Court, 167 Cal. App. 4th 1332, 84 Cal. Rptr. 3d 835, 2008 Cal. App. LEXIS 1708 (Cal. Ct. App. 2008).

Opinion

Opinion

KANE, J.

In the proceedings below, petitioner Tri Counties Bank sought to disqualify the trial judge, the Honorable Adolfo Corona, on the ground that he conducted an independent investigation of a factual issue material to a class certification motion in the case, thereby creating the appearance of partiality. The trial court struck petitioner’s statement of objection as untimely under Code of Civil Procedure section 170.3, subdivision (c), 1 because petitioner delayed over seven months before asserting the alleged ground for disqualification. By the instant petition for writ of mandate, petitioner seeks a reversal of the trial court’s determination. We deny the petition for writ of mandate because, as explained in the published portion of this opinion, the trial court properly struck the untimely disqualification claim. Alternatively, petitioner requests that we exercise our discretion under section 170.1, subdivision (c), to reassign the case to a different judge in the interests of justice. That request is also denied.

FACTS AND PROCEDURAL HISTORY

The relevant facts and procedural history are not in dispute. On February 1, 2006, petitioner commenced this action by filing a complaint against real party in interest, Joaquin Vasquez, for recovery of a deficiency allegedly owed after repossession and sale of a motor vehicle.

*1335 On July 11, 2006, a class action cross-complaint was filed against petitioner by real parties in interest, Joaquin Vasquez and Linda L. Amaya-Guenon (hereafter real parties in interest), alleging that petitioner committed unfair business practices by failing to give statutory notice to borrowers as required under the Rees-Levering Automobile Sales Finance Act (Civ. Code, § 2981 et seq.) prior to seeking a deficiency. The cross-complaint was brought on behalf of real parties in interest and the class of all those from whom petitioner had sought to collect on a deficiency claim during a specified time period.

Real parties in interest filed a motion for class certification that was set for hearing on August 22, 2007. On August 21, 2007, the trial court issued a lengthy tentative ruling to grant the motion. On the issue of whether the class was reasonably ascertainable, the tentative ruling referred to petitioner’s “10-K” report 2 as evidence that it possessed substantial data processing capability. The tentative ruling indicated the trial court would judicially notice the 10-K report on its own motion, even though neither party had mentioned the 10-K report in their papers.

On August 22, 2007, in the midst of extensive oral argument regarding the class certification motion, the trial court recognized it would be too difficult to cover all the issues addressed in its tentative ruling at that time, so it invited the parties to provide supplemental briefing on any additional objections they had to the tentative ruling, and indicated the trial court would thereafter inform the parties if it thought further argument was necessary.

On September 5, 2007, petitioner filed a supplemental brief responding to the trial court’s tentative ruling. The supplemental brief asserted, among other claims of error, that the trial court improperly relied on “extraneous evidence apparently gleaned through extensive independent investigation in order to ‘fill in the facts’ where [real parties in interest] failed to present evidence.” Petitioner argued the trial court should not have referred to petitioner’s 10-K report when none of the parties cited that report. Moreover, it argued the 10-K report did not prove what the trial court said it did. Petitioner’s counsel also submitted a lengthy declaration outlining 50 purported factual and legal errors in the tentative ruling. On September 13, 2007, real parties in interest filed their response to petitioner’s supplemental brief.

On November 8, 2007, the trial court issued its 24-page order granting class certification. The trial court’s order included the following discussion *1336 regarding the issue of “[a]scertainability” of class members: “The required showing on this front is that it is possible to determine who class members are. [f] . . . [Petitioner] admits it possesses paper records from which the members of the class can be ascertained, but contends it would be difficult, although there is no substantive proof of this. Further, it appears from [petitioner’s] 3/2006 10-K that it possesses substantial data processing capabilities. The Court judicially notices [petitioner’s] representations in that regard. Ampex Corp. v. Cargle (2005) 128 Cal.App.4th 1569, 1573 [27 Cal.Rptr.3d 863]. [{[] [Petitioner] did not' avail itself of the opportunity to provide evidence from its data processing department to refute such capabilities as part of its further briefing after the August 22, 2007 hearing. The evidence submitted in connection with this motion confirms that [petitioner] possesses such a system. See Ex. C to the Hassen Declaration filed 8/9/2007 at 6;4-23 and Exhibit A to the Krieg Declaration filed 9/13/2007. [f] Even if a manual search of paper files were required, [petitioner] is properly charged with making such a search to ascertain class members. . . .”

On November 30, 2007, petitioner sought appellate review of the trial court’s order granting class certification by filing a petition for writ of mandate. One of the several grounds raised therein for seeking reversal of the class certification order was that the trial court improperly undertook an independent factual investigation as shown by its unsolicited citation to petitioner’s 10-K report. The petition for writ of mandate challenging the class certification order did not argue that Judge Corona was disqualified. On December 6, 2007, we granted petitioner’s request for a stay of the trial court proceedings pending our review of the petition. After considering the briefs filed by the parties, we denied the petition on February 7, 2008. On February 19, 2008, petitioner sought review by the Supreme Court of California of the order granting class certification. Review was denied by the Supreme Court on March 26, 2008.

On April 1, 2008, petitioner returned to the trial court and presented a written statement of objection pursuant to section 170.3, subdivision (c), seeking to have Judge Corona disqualified from presiding at trial on the ground that he had conducted an independent investigation of the facts. We shall refer to petitioner’s papers filed pursuant to section 170.3, subdivision (c), as its statement of objection. 3 On April 7, 2008, the trial court issued *1337 its order striking petitioner’s statement of objection on the ground it was untimely under section 170.3, subdivision (c).

On April 17, 2008, petitioner filed the instant petition for writ of mandate asserting that the trial court erred in its determination of the disqualification issue. Petitioner contends that its statement of objection was timely under all the circumstances, including its need to seek appellate review of the class certification order.

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Cite This Page — Counsel Stack

Bluebook (online)
167 Cal. App. 4th 1332, 84 Cal. Rptr. 3d 835, 2008 Cal. App. LEXIS 1708, Counsel Stack Legal Research, https://law.counselstack.com/opinion/tri-counties-bank-v-superior-court-calctapp-2008.