County of Sonoma v. Stavrinides CA1/1 ( 2024 )


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  • Filed 2/22/24 County of Sonoma v. Stavrinides CA1/1
    NOT TO BE PUBLISHED IN OFFICIAL REPORTS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 publi-
    cation or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication or or-
    dered published for purposes of rule 8.1115.
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    FIRST APPELLATE DISTRICT
    DIVISION ONE
    COUNTY OF SONOMA,
    Plaintiff and Respondent,                                  A165109; A166275
    v.                                                                   (Sonoma County
    ELIAS STAVRINIDES et al.,                                            Super. Ct. No.
    SCV265109)
    Defendants and Appellants.
    These consolidated appeals arise from a nuisance abatement action.
    The trial court ordered injunctive relief and imposed over $1 million in civil
    penalties against the defendants for a host of county code zoning and building
    violations (appeal No. A165109). The court subsequently awarded the county
    over $87,000 in attorney fees and over $8,000 in costs (appeal No. A166275).
    Defendants Sean Musgrove and Elias Stavrinides both appeal from the
    judgment. Stavrinides also appeals from the fee and cost award.1 With
    respect to Musgrove, we partially reverse as to the penalties. In all other
    respects, we affirm.
    BACKGROUND
    Musgrove and Stavrinides are co-owners of property in unincorporated
    Sonoma County. The property is zoned agricultural/residential, and the
    1    We ordered the appeals consolidated for argument and disposition.
    1
    county code prohibits cannabis cultivation in this zoning district. (Sonoma
    County Code, § 26-88-250(d) (SCC).) The county, through its code
    enforcement division, conducted two inspections of the property.
    The first was conducted in August 2017. At the time, Musgrove was
    the sole owner, and he consented to the inspection. Based on the inspection,
    the county issued two notices of violation—one for zoning code violations for
    commercial cannabis cultivation, and the other for construction without a
    permit of 12 structures on the property (two cargo containers and 10
    greenhouses). In December, the county issued official notices and orders in
    connection with the violations that directed Musgrove to abate the cannabis
    cultivation use and abate the construction nuisance by either removing the
    unlawful construction or legalizing it by obtaining permits and bringing the
    structures into compliance with county codes. By February 2018, Musgrove
    had removed the cannabis but had not abated the construction code
    violations.
    More than a year later, in July 2019, the county conducted the second
    inspection, pursuant to an inspection warrant.2 At that point, both Musgrove
    and Stavrinides owned the property. Based on this inspection, the county
    issued official notices and orders for numerous code violations, including:
    unlawful commercial cannabis use without zoning approvals/permits for an
    estimated 8,500 cannabis plants and a hash oil extraction operation; zoning
    code violations for junkyard conditions, a contractor’s storage yard, and motor
    vehicle storage yard; building code violations for dangerous buildings
    (hazardous/non-permitted electrical and dangerous egress); building code
    2   An inspection warrant is a court order directed to a state or local
    official commanding that person to conduct any inspection required or
    authorized by state or local law or regulation relating to building, fire, safety,
    plumbing, electrical, health, labor, or zoning. (Code. Civ. Proc., § 1822.50.)
    2
    violations for construction without a permit of various structures around the
    property, including living units, a hash oil extraction lab, an attic conversion,
    a mobile office, cargo containers; septic code violations for an unpermitted
    septic tank and leach field; and grading code violations for unpermitted fill
    exceeding 50 cubic yards. The notices advised Musgrove and Stavrinides that
    daily civil penalties were accruing.
    Musgrove requested an administrative hearing. The county denied the
    request, electing to bypass the hearing process pursuant to a county
    resolution allowing the immediate filing of litigation in circumstances
    involving high risk violations.
    Two months after the second inspection, the county filed the instant
    action alleging 18 separate violations of county codes, including multiple
    zoning violations, dangerous structures due to hazardous or unpermitted
    electrical, multiple structures constructed without a permit, an unpermitted
    septic system, and grading/drainage alteration without a permit. The county
    sought a judgment requiring defendants to cease the unlawful uses of the
    property, abate code violations, cease use of the property for cannabis
    cultivation or any cannabis related operations, and demolish buildings
    associated with the cannabis use. The county also sought civil penalties for
    the violations.
    Shortly thereafter, the District Attorney filed criminal charges against
    Musgrove and Stavrinides for Health and Safety Code violations, including
    manufacturing a controlled substance, maintaining a place to unlawfully
    manufacture, store or distribute a controlled substance, possessing cannabis
    for sale, and planting, cultivating, harvesting or processing cannabis.
    Musgrove filed a motion to quash the inspection warrant and suppress the
    3
    evidence obtained from the search, which the trial court denied. The District
    Attorney eventually dismissed the criminal case in November 2021.
    In the meantime, in September 2021, a court trial had commenced in
    the instant action. The county made several motions in limine, including a
    motion to preclude Musgrove and Stavrinides from relitigating the validity of
    the inspection warrant (motion No. 4). The trial court granted the motion on
    the ground Musgrove and Stavrinides were collaterally estopped from
    challenging the warrant. It additionally ruled that (a) even if collateral
    estoppel did not apply, the instant case was not quasi-criminal in nature and
    therefore the Fourth Amendment “exclusionary rule” did not apply and (b)
    regardless of the nature of the case, balancing “the deterrent effect of the
    [exclusionary] rule with its social costs,” militated against the applicability of
    the rule in the instant action. (Boldface omitted.)
    The parties then proceeded to put on their respective cases, which
    included testimony by Musgrove and written and oral closing argument.
    Five months later, in February 2022, the court issued an oral ruling,
    which was not reported. The court entered judgment for the county the
    following month. The court ordered Musgrove and Stavrinides to, among
    other things, cease the unlawful and unpermitted uses of the property, cease
    the use of the property for any cannabis related operations, and abate the
    code violations. It also imposed over $1 million in civil penalties, and
    subsequently awarded the county $87,031.50 in attorney fees and $8,972.55
    in staff costs.
    MUSGROVE’S APPEAL
    Musgrove challenges the judgment on three grounds. First, he
    contends the trial court “erred in ruling that the proceeding was purely civil
    and not quasi-criminal in nature.” (Boldface & capitalization omitted.)
    4
    Second, he challenges one of the civil penalties the court imposed—a
    $100,000 penalty for four unlawful cannabis violations. Third, he argues the
    penalties imposed were excessive, in violation of the federal and state
    Constitutions.
    The “Nature” of The Case
    Musgrove complains the trial court’s refusal to consider the case quasi-
    criminal in nature “negat[ed] the defendants’ rights to challenge the
    inspection/search warrant,” allowed the county “to call [the defendants] to the
    stand,” and “forced the defendants to take self-incrimination into account”—
    significantly impact[ing] and restrict[ing] their ability to present evidence.”
    He provides two citations to the record in support of his argument. The
    first is to page 86 of the reporter’s transcript, at which point the trial court
    was addressing the county’s motion No. 4, which sought to bar defendants
    from relitigating the validity of the inspection warrant given the denial of
    their motion to suppress in the criminal case. Musgrove’s counsel argued the
    motion to suppress ruling did not constitute a “final judgment” for purposes
    of collateral estoppel. He further argued that if defendants successfully
    challenged the warrant in the instant case, they would be entitled to have the
    evidence obtained through the search excluded, since, according to counsel,
    the instant case should be considered a “quasi[-]criminal” proceeding in
    which the “exclusionary rule” would apply.3
    The second record citation is to page 329 of the reporter’s transcript.
    However, this citation is to the county’s opening statement. We assume
    3  The exclusionary rule “ ‘is rarely applied in civil actions in the ab-
    sence of statutory authorization, although government agencies may be in-
    volved, and even though the government itself unlawfully seized the evi-
    dence.’ ” (Department of Transportation v. State Personnel Bd. (2009)
    
    178 Cal.App.4th 568
    , 576 (Department of Transportation).
    5
    Musgrove meant to cite to his attorney’s further argument contesting the
    court’s tentative ruling granting motion No. 4. Defense counsel reiterated his
    view that the case should be considered a quasi-criminal matter. He stated
    he had handled marijuana cases for years and in his experience all cases
    seeking to shut down cannabis operations, prior to the legalization of
    cannabis, were brought as criminal actions. The instant civil action, argued
    counsel, had many of the same attributes—a “raid,” the destruction of the
    crop, and very significant “fines.” Counsel further argued there had been no
    final judgment in the criminal case and therefore collateral estoppel could not
    apply.
    At the conclusion of the hearing, the trial court adopted its tentative
    ruling in full. The ruling is detailed and exceeds four, single-spaced pages in
    length.
    The court first concluded defendants were collaterally estopped from
    relitigating the legality of the warrant, expressly ruling the criminal court’s
    denial of their motion to suppress constituted a “final decision on the merits,
    and that all other elements of collateral estoppel [had] also been met.”
    (Boldface omitted.) “A ruling can be final,” stated the court, “even without
    there being a subsequent judgment in the case.”
    The court further ruled that even if defendants were not barred by
    collateral estoppel from relitigating the validity of the warrant, the
    “exclusionary rule” did not apply because the instant action was civil, not
    quasi-criminal, in nature, rejecting Musgrove’s argument that the array of
    penalties provided by the county codes rendered the proceeding quasi-
    criminal in character. The case on which Musgrove relied, said the court, did
    not hold that “any civil case involving ‘penalties’ is a quasi-criminal
    proceeding for which the exclusionary rule applies.”
    6
    The court went on to state that while “the Courts focused initially on
    the nature of the proceedings in which the [exclusionary] rule was sought to
    be applied,” they “later, consistent with the U.S. Supreme Court decisions,
    shifted the inquiry to whether the deterrent effect of the rule outweighed its
    costs.” Applying this more recent standard, the court ruled that “whether
    analyzed by looking at the nature and object of the civil abatement
    proceeding, or by balancing the deterrent effect of the rule with its social
    costs,” the exclusionary rule did not apply in the instant case. With respect
    to this point, the court observed defendants had cited “no case law where the
    exclusionary rule [had] been extended to a civil abatement of a public
    nuisance proceeding” and “given that the purpose of the civil abatement
    proceeding is to protect the public from public nuisances that can pose a
    danger to the health, safety, and well-being of the community, any deterrent
    effect of applying the exclusionary rule is outweighed by the social costs that
    would result from its application.”
    Thus, “assuming arguendo that collateral estoppel principles [did] not
    preclude relitigating the validity of the search warrant,” the trial court
    concluded, “the inapplicability of the exclusionary rule would itself render the
    evidence of any unlawful search irrelevant.”
    The court added that since it had rejected the defendants’ claim the
    action was quasi-criminal in nature, they could be called to testify although
    they could invoke their Fifth Amendment privilege against self-
    incrimination.
    The only authority Musgrove cites in his opening brief in support of his
    argument that the trial court erred in ruling the instant case is civil, rather
    7
    than quasi-criminal, in nature is Health and Safety Code section 115704 and
    four cases, three of which pertain to cannabis operations and all of which are
    distinguishable.
    However, before addressing Musgrove’s cited authority, we observe he
    did not, in his opening brief, address either the first ground on which the trial
    court granted the county’s motion No. 4—that defendants were collaterally
    estopped from relitigating the validity of the warrant—or the final ground—
    that under the balancing test now used by the courts, the exclusionary rule
    does not apply to the instant case. As a result, Musgrove has waived any
    claim that the trial court erred in granting the county’s motion. “When a
    trial court states multiple grounds for its ruling and appellant addresses only
    some of them, we need not address appellant’s arguments because ‘one good
    reason is sufficient to sustain the order from which the appeal was taken.’ ”
    (People v. JTH Tax, Inc. (2013) 
    212 Cal.App.4th 1219
    , 1237, quoting Sutter
    Health Uninsured Pricing Cases (2009) 
    171 Cal.App.4th 495
    , 513.)
    Even if we were inclined to overlook Musgrove’s waiver of the issue, his
    legal citations do not establish that the trial court erred in ruling the instant
    action is civil, not quasi-criminal, in nature.
    By way of background, “[i]n 1996, California voters adopted Proposition
    215, the ‘Compassionate Use Act of 1996’ [(CUA)] (Health & Saf. Code,
    § 11362.5). The act is intended to ‘ensure that seriously ill Californians have
    the right to obtain and use marijuana for medical purposes where that
    4  Health and Safety Code section 11570, “[t]he so-called ‘drug den’
    abatement law . . . provides that every place used to unlawfully sell, serve,
    store, keep, manufacture, or give away certain controlled substances is a
    nuisance that shall be enjoined, abated, and prevented, and for which
    damages may be recovered.” (City of Riverside v. Inland Empire Patients
    Health & Wellness Center, Inc. (2013) 
    56 Cal.4th 729
    , 739.)
    8
    medical use is deemed appropriate and has been recommended by a
    physician who has determined that the person’s health would benefit from
    the use of marijuana’; ‘ensure that patients and their primary caregivers who
    obtain and use marijuana for medical purposes upon the recommendation of
    a physician are not subject to criminal prosecution or sanction’; and
    ‘encourage the federal and state governments to implement a plan to provide
    for the safe and affordable distribution of marijuana to all patients in medical
    need of marijuana.’ ([Health & Saf. Code,] § 11362.5(b)(1)(A)–(C).) The act
    [also] provides in relevant part that it shall not ‘be construed to supersede
    legislation prohibiting persons from engaging in conduct that endangers
    others. . . .’ ([Health & Saf. Code,] § 11362.5, subd. (b)(2).)” (County of Los
    Angeles v. Hill (2011) 
    192 Cal.App.4th 861
    , 864, fn. omitted (County of Los
    Angeles).)
    “In 2003, the Legislature added the ‘Medical Marijuana Program Act’
    [(MMPA)], article 2.5, chapter 6, division 10 to the Health and Safety Code.
    The purposes of article 2.5 include ‘[promoting] uniform and consistent
    application of the [Compassionate Use Act of 1996] among the counties
    within the state’ and ‘[enhancing] the access of patients and caregivers to
    medical marijuana through collective, cooperative cultivation projects.’
    (Stats. 2003, ch. 875, § 1, subd. (b), p. 6422.) The statute includes guidelines
    for the implementation of the Compassionate Use Act of 1996. Among other
    things, it provides that qualified patients and their primary caregivers have
    limited immunity from prosecution for violation of various sections of the
    Health and Safety Code regulating marijuana including the ‘drug den’
    abatement law. ([Health & Safe. Code,] §§ 11362.765, 11362.775.) Most
    significant for our case, the statute provides: ‘Nothing in this article shall
    prevent a city or other local governing body from adopting and enforcing laws
    9
    consistent with this article.’ ([Health & Safe. Code,] § 11362.83.)” (County of
    Los Angeles, 
    supra,
     192 Cal.App.4th at p. 864, fn. omitted.)
    In the earliest of the three cases Musgrove cites, Qualified Patients
    Assn. v. City of Anaheim (2010) 
    187 Cal.App.4th 734
    , 741 (Qualified
    Patients), the plaintiff dispensaries “sought a declaratory judgment that the
    city’s ordinance imposing criminal penalties for the operation of a medical
    marijuana dispensary was preempted by” the CUA and the MMPA and was
    unconstitutional under the Unruh Civil Rights Act (Civ. Code, § 51).
    (Qualified Patients, at p. 741, italics added.) The challenged ordinance
    provided “ ‘ “It shall be unlawful for any person or entity to own, manage,
    conduct, or operate any Medical Marijuana Dispensary or to participate as an
    employee, contractor, agent or volunteer, or in any other manner or capacity,
    in any” ’ ” dispensary, and further provided “for misdemeanor punishment for
    ‘any person who violates any provision of this ordinance. . . .’ ” (Id. at
    pp. 741–742, italics added.) The appellate court reversed the judgment of
    dismissal in part.
    What is significant for purposes of the instant case is that the appellate
    court ultimately did not address “the issue of state preemption under the
    MMPA,” which it commented was “by no means clear cut or easily resolved on
    first impressions. [The defendants] argue with much appeal, for example,
    that if the immunity from ‘criminal liability’ provided in [Health and Safety
    Code] sections 11362.765 and 11362.775 applies to ‘the well-recognized quasi-
    criminal nature of [Health and Safety Code] [s]ection 11570,’ the ‘careful
    phrasing of the MMPA provides no suggestion that this narrow exclusion was
    intended to wholly eliminate any remedy for activities determined to be an
    ordinary nuisance under . . . legal authority’ apart from [Health and Safety
    Code] section 11570. (Original italics; see also 3 Witkin, Cal. Proc. (5th ed.
    10
    2008) Actions, § 70, p. 144 [noting [Health and Safety Code] § 11570 qualifies
    as ‘civil in nature,’ but also ‘quasi-criminal in effect’ and ‘character’].) We do
    not decide these issues.” (Qualified Patients, 
    supra,
     187 Cal.App.4th at
    pp. 754–755, fn. omitted.) Because the trial court “did not address or
    determine that plaintiffs failed to state a claim for declaratory relief under
    the MMPA . . . it is not our province to do so in the first instance. Moreover,
    as noted, factual issues that we may not resolve on appeal remain, including
    whether plaintiffs qualify as primary caregivers or otherwise for the MMPA’s
    asserted protection against an ordinance imposing criminal punishment for
    operating a dispensary, and the manner in which plaintiffs intend to conduct
    their medical marijuana activities.” (Id. at pp. 755–756.)
    In short, the court in Qualified Patients dealt with a local ordinance
    that specifically regulated marijuana dispensaries and expressly imposed
    “criminal penalties” on violators. The court had no occasion to, nor did it,
    discuss the analytical framework for deciding whether a proceeding is civil or
    quasi-criminal in character. Moreover, here, none of the pertinent county
    codes imposed criminal penalties and all but one of the 18 regulatory
    violations alleged by the county were violations of general zoning and
    building codes.
    In County of Los Angeles, the Court of Appeal addressed and answered
    the question left open in Qualified Patients—whether the immunities
    afforded by the MMPA foreclose “ ‘any remedy for activities to be determined
    to be an ordinary nuisance under . . . legal authority.’ ” (Qualified Patients,
    supra, 187 Cal.App.4th at p. 755.) County of Los Angeles was a nuisance
    abatement action in which the defendants appealed from a preliminary
    injunction prohibiting them from dispensing marijuana “without first
    obtaining the necessary licenses and permits required by [c]ounty
    11
    ordinances.” (County of Los Angeles, supra, 192 Cal.App.4th at p. 863.) The
    court first rejected the defendants’ claim that the local ordinances were
    preempted by the CUA and MMPA. (Id. at pp. 867–868.) The defendants
    “did not deny that they were operating [a dispensary] next to a library
    without having applied for a license, conditional use permit or zoning
    variance. Instead, they argued that these requirements were preempted by
    state law. . . .” (Id. at p. 865.) The appellate court held “if there was ever any
    doubt about the Legislature’s intention to allow local governments to regulate
    marijuana dispensaries, . . . the newly enacted [Health and Safety Code]
    section 11362.768, has made clear that local government may regulate
    dispensaries.” (Id. at p. 868.)
    The court next rejected the defendants’ claim that the county could not
    use its abatement ordinance to enforce the provisions of its dispensary
    ordinance. (County of Los Angeles, supra, 192 Cal.App.4th at p. 868.) “The
    limited statutory immunity from prosecution under the ‘drug den’ abatement
    law provided by [Health and Safety Code] section 11362.775 does not prevent
    the County from applying its nuisance laws to [dispensaries] that do not
    comply with its valid ordinances.” (Ibid.) Rather, by its terms, Health and
    Safety Code section 11362.775 “exempt[ed] qualified patients and their
    primary caregivers (who collectively or cooperatively cultivate marijuana for
    medical purposes) from nuisance laws ‘solely on the basis of [the] fact’ that
    they have associated collectively or cooperatively to cultivate marijuana for
    medical purposes. (Italics added.) The statute does not confer on qualified
    patients and their caregivers the unfettered right to cultivate or dispense
    marijuana anywhere they choose.” (County of Los Angeles, at p. 869.)
    The local zoning and regulatory ordinance at issue in County of Los
    Angeles apparently did not criminalize any conduct, as did the ordinance at
    12
    issue in Qualified Patients. Instead, the zoning ordinance designated any use
    not in compliance with the zoning code “a public nuisance” and authorized
    the county to seek an injunction against businesses operating in violation of
    the zoning laws. (County of Los Angeles, supra, 192 Cal.App.4th at p. 865.)
    In a footnote, the court observed, that “[a]lthough [Health and Safety Code]
    section 11570 does not contain criminal penalties, it is widely recognized as
    quasi-criminal in nature.” (Id. at p. 869, fn. 5, citing Qualified Patients,
    
    supra,
     187 Cal.App.4th at p. 755 & 3 Witkin, Cal. Procedure (5th ed. 2008)
    Actions, § 70, p. 144.) The court did not otherwise mention the point, let
    alone address the apparent differences between the zoning and regulatory
    ordinances before it and the ordinance at issue in Qualified Patients.
    In the third and most recent cannabis case cited by Musgrove, Browne
    v. County of Tehama (2013) 
    213 Cal.App.4th 704
     (Browne), the Court of
    Appeal addressed essentially the same issues as did the court in County of
    Los Angeles. In Browne, a group of medical marijuana users challenged a
    county ordinance that “place[d] numerical limits on the amount of medical
    marijuana that a qualified patient may cultivate while the CUA does not”
    and imposed a “complete ban on cultivating marijuana if (1) the qualified
    patient ha[d] only an oral, not a written, recommendation or approval from a
    physician; (2) the parcel [was] within 1,000 feet of a school or certain other
    properties or is too small to accommodate the setback requirements; and (3)
    the qualified patient [was] not the landowner and ha[d] not or [could not]
    obtain a notarized consent from the owner of the property.” (Id. at p. 719.)
    “The fundamental flaw” in the petitioners’ argument, said the court, was
    “their misplaced view that the CUA somehow creates or grants unrestricted
    rights.” (Ibid.) “Simply put, the Ordinance . . . merely regulates and restricts
    locations of grows and amounts that may be grown on particular parcels.
    13
    Courts have routinely upheld this type of regulation of the location and
    conduct of agricultural activities.” (Id. at p. 721.)
    The court also rejected the petitioners’ claim that the CUA and MMPA
    foreclosed the county from using nuisance abatement law to enforce the
    regulatory ordinance. “The limited statutory immunity from prosecution
    under [Health and Safety Code] section 11570 . . . does not prevent
    application of the nuisance provisions of the Ordinance. The limited
    immunity applies only to a nuisance action based solely on the doing of the act
    that the Legislature has immunized. Neither immunity statute precludes a
    local governing body from restricting or regulating the activity and declaring
    a nuisance if the activity is not conducted in conformity with the restriction
    or regulation.” (Browne, 
    supra,
     213 Cal.App.4th at p. 724, italics added.)
    The court went on to say that if a nuisance action were based solely on
    conduct the Legislature has immunized, then that immunity is a defense to
    such an abatement action. (Browne, 
    supra,
     213 Cal.App.4th at p. 724.)
    “Given the quasi-criminal nature of [Health and Safety Code] section 11570
    and its inclusion in [Health and Safety Code] sections 11362.765 and
    11362.775 [which speak of immunity from criminal liability and criminal
    sanctions] with other provisions of the Health and Safety Code that define
    crimes, . . . the immunity of [Health and Safety Code] sections 11362.765 and
    11362.775 applies to the civil remedies of [Health and Safety Code] section
    11570.” (Ibid.) However, the county ordinance at issue did “not declare that
    every building in which the acts identified in [Health and Safety Code]
    section 11362.765 occur is a nuisance per se. Instead, such properties are
    nuisances only if the cultivation of marijuana is not conducted in accordance
    with the conditions of the Ordinance. It is the manner and location of
    cultivation that makes the activity a nuisance, not solely the act of
    14
    cultivating marijuana for medical purposes. Since the Ordinance’s
    declaration of nuisance is not on the ‘sole basis’ of cultivating medical
    marijuana, the Ordinance does not conflict with [Health and Safety Code]
    section 11362.765.” (Ibid.)
    Thus, the most that can be said about Browne is that the court
    commented in passing that Health and Safety Code section 11570 is quasi-
    criminal in nature. The court did not engage in any analysis, let alone
    consider the issue presented here—whether the exclusionary rule and other
    procedural rights attendant to criminal prosecutions apply to a nuisance
    abatement action.5
    Nor does Board of Supervisors v. Simpson (1951) 
    36 Cal.2d 671
    (Simpson), compel the conclusion the trial court erred in concluding the
    procedural rights attendant to criminal cases do not apply to this nuisance
    abatement action. In Simpson, the county board of supervisors sought to
    compel the district attorney to institute proceedings to abate a public
    nuisance, namely a house of prostitution. (Id. at p. 672.) The district
    attorney maintained this was a civil matter for county counsel, and the
    5  We note that People v. Braum (2020) 
    49 Cal.App.5th 342
     (Braum),
    which Musgrove cites in support of his challenge to the amount of the penal-
    ties, was a civil enforcement action against defendants for leasing commercial
    properties to medical-marijuana dispensaries operating in violation of the
    municipal zoning code. The court granted summary judgment and imposed
    significant penalties. (Id. at pp. 345–346.) The defendants raised numerous
    issues on appeal, including that the judgments, entered after a criminal pro-
    ceeding had been resolved, violated the federal and state double jeopardy
    clauses. The court assumed, without deciding, the conduct at issue in the
    criminal complaint constituted the “ ‘same offense’ ” as the conduct at issue in
    the civil complaints and further assumed the “penalties imposed in the civil
    complaints at issue constituted criminal, rather than civil, penalties.” (Id. at
    p. 358.)
    15
    Supreme Court observed an action by a governmental entity to abate a public
    nuisance is generally civil in nature. (Ibid.) But there were “other factors”
    indicating the matter at issue was more properly handled by the district
    attorney. (Ibid.) These included that the county charter provided “each
    county officer” was to exercise the powers prescribed by the charter and by
    general law. The “Red Light” abatement ordinance specifically imposed on
    the district attorney the duty to abate houses of prostitution. And state law
    specifically provided that county district attorneys were empowered to bring
    public abatement actions. (Id. at p. 673.) In addition, the abatement of
    places under the county’s “Red Light Abatement” act was “compatible with
    [the district attorney’s] duties as [a] public prosecutor,” as such action was
    taken on behalf of the people. (Id. at p. 674.) Proceedings under the act were
    also “somewhat in the nature of actions to recover penalties or forfeitures,” as
    property in such a place was “partially forfeited” and the locale could be
    “closed to use for any purpose for a year. [Citation.] It [was] penal in
    nature.” (Ibid.) “While actions to abate nuisances are considered civil in
    nature . . . the abatement of houses of prostitution is in aid of and auxiliary to
    the enforcement of the criminal law.” (Ibid.) Every day a public nuisance
    was maintained was “a separate offense and [was] a misdemeanor which it
    [was] the duty of the district attorney to prosecute by continuous
    prosecutions.” (Id. at pp. 674–675.) The abatement act executed the policy of
    the state as established by the Penal Code statutes directed at prostitution.
    (Id. at p. 675.) The act, in other words, represented “ ‘the concrete
    application of the state’s power of police.’ ” (Ibid.) The high court therefore
    concluded that the statutory powers of the district attorney “embrace[d] the
    abatement of such nuisances” and mandamus could properly issue to compel
    the district attorney to perform his duty to do so. (Id. at pp. 675–676.)
    16
    The facts and legal backdrop of the instant case are significantly
    different, starting with the fact the instant abatement proceeding was
    brought on behalf of the county, by county counsel. This also is not a
    proceeding implementing a matrix of state criminal statutes. To the
    contrary, as we have discussed, this is an action predicated almost entirely on
    general building and construction codes. And to the extent that one of the
    alleged zoning violations is based on zoning specific to cannabis-related use,
    the state statutory scheme pertaining to lawful cannabis use expressly allows
    for local zoning and regulatory ordinances. Nor do any state statutes make
    violation of local cannabis zoning ordinances a crime or penalize a violator by
    barring any use of the property for any period of time, let alone an extended
    period of time, as was the case in Simpson.
    In sum, none of the authorities Musgrove cites demonstrates that the
    trial court erred in concluding, on the facts of this case, that the abatement
    proceeding is civil, rather than quasi-criminal, in nature. (See County of
    Santa Clara v. Superior Court (2010) 
    50 Cal.4th 35
    , 52 & fn. 8 [court stating
    that to the extent its “decision in [People ex rel. Clancy v. Superior Court
    (1985) 
    39 Cal.3d 740
    ] suggested that public-nuisance prosecutions always
    invoke the same constitutional and institutional interests present in a
    criminal case, our analysis was unnecessarily broad and failed to take into
    account the wide spectrum of cases that fall within the public-nuisance
    rubric”; “public-nuisance law over the course of its development has become
    increasingly more civil in nature than criminal.”].)
    Furthermore, as the trial court went on to explain, the courts, including
    our Supreme Court, have moved away from characterizing civil cases as
    quasi-criminal in nature to resolve whether the exclusionary rule should
    apply. For example, in Conservatorship of Susan T. (1994) 
    8 Cal.4th 1005
    ,
    17
    despite all the procedural safeguards accorded to a potential conservatee, the
    high court reaffirmed that such proceedings are civil proceedings. (Id. at
    p. 1015.) It also explained that the characterization of a case is not
    determinative of whether the exclusionary rule should apply; instead, a court
    must weigh the deterrent effect of the rule with the social cost of applying it.
    (Id. at pp. 1016–1017.) It went on to hold this assessment militated against
    applying the rule in conservatorship proceedings. (Id. at pp. 1019–1020.)
    Similarly, the Court of Appeal in Park v. Valverde (2007)
    
    152 Cal.App.4th 877
     (Park), applying the balancing test, concluded the
    exclusionary rule was inapplicable to the DMV administrative proceedings at
    issue. “On the one hand, [the court] acknowledge[d] that the application of
    the exclusionary rule . . . to DMV administrative proceedings could
    theoretically provide a supplemental basis for deterring law enforcement
    officials from maintaining inaccurate stolen vehicle records. On the other
    hand,” the court also “consider[ed] the responsibility of the DMV to get drunk
    drivers off the road for the protection of society at large” and could not “ignore
    the fact that the criminal drunk driving proceedings and the DMV
    administrative proceedings serve different primary purposes—one to punish
    drunk drivers and one to get them off the streets.” (Id. at p. 887.) Further,
    “[t]he suppression of evidence in the context of criminal proceedings,” as was
    done in Park, “should provide adequate deterrence of wrongful police conduct
    in recordkeeping. Although the suppression of evidence in the DMV
    administrative proceedings as well could provide some supplemental
    deterrent effect, it would only be at the expense of protecting the public from
    the drunk driver, and indeed, protecting the drunk driver from himself. In
    order to permit the primary purpose of the DMV administrative proceedings
    to be served,” the court concluded “the suppression of evidence in those
    18
    proceedings [was] not required in [the] case.” (Ibid.) There also was “no
    indication of any egregious conduct” that “would support the application of
    the exclusionary rule” in the civil administrative proceeding before the court.
    (Ibid.)
    The comments in Park are equally apropos here. The abatement action
    was brought not to punish defendants but to protect the public’s health and
    wellbeing. Defendants also had the opportunity in the criminal action to
    challenge the validity of the warrant. Nor was there any indication of
    egregious conduct that justified application of the exclusionary rule in the
    instant case. Finally, Musgrove has not cited, nor are we aware of, a single
    nuisance abatement case where a court employed the exclusionary rule or
    recognized other procedural rights attendant to a criminal prosecution. (Cf.
    People ex rel. Feuer v. Superior Court (Cahuenga’s The Spot) (2015)
    
    234 Cal.App.4th 1360
    , 1364, 1384–1385 [rejecting defendants’ arguments in
    action seeking to close dispensaries operating in violation of local zoning code
    and to impose significant penalties, that they were entitled to jury trial and
    were “being prosecuted both civilly and criminally”]; People v. Toomey (1984)
    
    157 Cal.App.3d 1
    , 17 [“ ‘The constitutional safeguards applicable in the
    criminal area do not apply in a case presenting the possible exposure to civil
    penalties.’ ” Quoting Peterson v. Superior Court (1982) 
    31 Cal.3d 147
    , 161.].)
    Penalty for Cannabis Violations
    The trial court imposed a $100,000 penalty “for four (4) separate
    unpermitted cannabis violations found on July 12, 2019, that were repeat
    offenses[,] $25,000 [for] each violation.” The violations were: (1)
    manufacturing of cannabis, (2) outdoor cultivation of cannabis, (3) indoor
    cultivation of cannabis, and (4) mixed-light cultivation of cannabis.
    19
    No Evidence of Unlawful Cannabis
    Musgrove first maintains there was no evidence the plants at issue
    were unlawfully planted “cannabis,” rather than lawfully grown “hemp.”
    He points out the county code then in effect defined “Cannabis” as “[a]ll
    parts of the plant Cannabis sativa Linnaeus, Cannabis indica, or Cannabis
    ruderalis, or any other strain or varietal of the genus Cannabis . . . ; the seeds
    thereof; the resin . . . extracted from any part of the plant; and every
    compound, manufacture, salt, derivative, mixture, or preparation of the
    plant, its seeds, or resin. . . . For the purpose of this section, ‘cannabis’ does
    not mean ‘industrial hemp’ as defined by Section 81000 of the California Food
    and Agricultural Code or Section 11018.5 of the California Health and Safety
    Code. . . .” (SCC, § 26-04-020, formerly § 26-02-140, italics added.) The
    referenced statutes, in turn, defined “ ‘[i]ndustrial hemp’ ” or “ ‘hemp’ ” as “an
    agricultural product . . . that is limited to types of the plant Cannabis sativa
    L. and any part of that plant, including the seeds of the plant and all
    derivatives, extracts, the resin extracted from any part of the plant,
    cannabinoids, isomers, acids, salts, and salts of isomers, with a delta-9
    tetrahydrocannabinol [(THC)] concentration of no more than 0.3 percent on a
    dry weight basis.” (Food & Agr. Code, § 81000, subd. (a)(7); Health & Saf.
    Code, § 11018.5, subd. (a).)
    Musgrove thus concludes the cultivation of “hemp” without a permit
    was not prohibited by the county code. The county does not take issue with
    Musgrove’s reading of the applicable regulatory provisions.
    Musgrove continues that there was “no evidence whatsoever” that the
    plants at issue were unlawfully cultivated “cannabis,” rather than lawfully
    grown “hemp.” According to Musgrove, the county failed to offer any evidence
    of laboratory results for the plants and one of the county’s witnesses testified
    20
    he could not tell by visual inspection the difference between a THC plant, a
    CBD plant, and hemp. Rather, that determination required lab testing,
    which the witness did not perform.
    The closest the county comes to responding to Musgrove’s evidentiary
    argument, at least with any record citations, is a paragraph in the
    “Statement of Facts and Procedural History” section of its respondent’s brief.
    The sum total of this paragraph is as follows: “No witness was called for
    Appellants who testified that the 8500 cannabis plants were not grown to
    produce THC. No witness or evidence was produced by Appellants to
    contradict the estimates of the street value of each crop of cannabis at the
    Property. The documentary evidence alone of the extent of the cannabis
    cultivation operation was not just substantial, it was overwhelming. (RA
    0146-0183, 0201-0202) Discovery responses of the Defendants were also
    introduced to add to the overwhelming evidence. (RA 0202)”6 (Boldface &
    some capitalization omitted.) Only by the thinnest of measures does this
    paragraph qualify as an adequate response to Musgrove’s evidentiary
    argument.
    To begin with, the county’s first sentence is misdirected—Musgrove did
    not have the burden of proof in this case, so he was not obliged to call any
    witness to testify the plants were grown for hemp unless and until the county
    presented evidence the plants were unlawfully grown for cannabis. Next, the
    county provides no record citations in support of its second sentence, which
    suggests the county did present evidence as to the estimated value of each
    crop. As for the remainder of the paragraph, it is barely a substantive
    6 In the “Argument” section of its brief, the county similarly states, but
    without any citation to the record, that “[i]n addition to the hash oil
    extraction lab equipment, at least 8500 adult cannabis plants were
    discovered on the July 2019 inspection.” (Capitalization omitted.)
    21
    response to assert, without any particulars, that the “documentary evidence
    alone” of the “extent” of the cannabis cultivation was “overwhelming,” or that
    defendants’ “[d]iscovery responses” “add[ed] to the overwhelming proof.” The
    two record citations the county provides to support these statements are, for
    the most part, copies of photographs of the property, including the laboratory
    equipment, presumably taken at or around the time of the second inspection
    and a copy of defendants’ exhibit list. The county provides no citations to the
    reporter’s transcript of the trial.
    However, the substantial evidence standard is satisfied by reasonable
    inferences that can be drawn from the evidence. As the courts have often
    recited, “ ‘We must accept as true all evidence and all reasonable inferences
    from the evidence tending to establish the correctness of the [trier of fact’s]
    findings and decision, resolving every conflict in favor of the judgment.’ ”
    (Regalado v. Callaghan (2016) 
    3 Cal.App.5th 582
    , 596.) Under the
    substantial evidence test, reversal “ ‘ “is unwarranted unless it appears ‘that
    upon no hypothesis whatever is there sufficient substantial evidence to
    support’ ” the jury’s verdict.’ ” (People v. Penunuri (2018) 
    5 Cal.5th 126
    , 142.)
    Here, the magnitude of the cultivation operation as shown by the
    photographs plus the presence of the hash oil extraction laboratory is
    sufficient, although barely so, to permit an inference that defendants were
    not growing cannabis for hemp, but rather, for a much more lucrative
    market, namely THC and CBD cannabis.7
    7  We emphasize that it is up to the parties to support their arguments
    on appeal, whether as appellant or respondent, with proper citations to the
    record. It is not our task to comb the record on any party’s behalf to ferret
    out relevant evidence. (See Meridian Financial Services, Inc. v. Phan (2021)
    
    67 Cal.App.5th 657
    , 684 [“The reviewing court is not required to develop the
    parties’ arguments or search the record for supporting evidence and may
    22
    Number of Violations
    Musgrove also challenges the number of cannabis violations found by
    the trial court, asserting the evidence supports only three, not four,
    violations.
    Musgrove points out the county code defines “indoor cultivation” as
    cultivation “using exclusively artificial lighting” and defines “Mixed-Light”
    cultivation as “using natural light, light deprivation, and/or any combination
    of natural and supplemental artificial lighting.” (Italics added.) He follows
    this with the assertion that the cultivation that occurred in the greenhouses
    fell within the definition of mixed-light cultivation because there was no
    evidence the greenhouses used artificial lighting exclusively. He thus
    concludes no evidence supports a violation for “indoor cultivation” and the
    trial court erred in imposing a penalty for such a violation.
    The county makes no response at all to this argument in its
    respondent’s brief. While this does not necessarily mean the county has
    conceded the issue (see Griffin v. The Haunted Hotel, Inc. (2015)
    
    242 Cal.App.4th 490
    , 505 [“a respondent’s complete failure to address an
    appellant’s argument does not require us to treat the failure to respond as a
    concession the argument has merit”]), Musgrove’s reading of the definitions is
    correct, and as we have already noted, it is not our task to comb the record on
    the county’s behalf to find evidence that cannabis was grown in some
    structure with exclusively artificial light, supporting an “indoor cultivation”
    violation.
    instead treat arguments that are not developed or supported by adequate ci-
    tations to the record as waived.”].)
    23
    Second Violation
    Musgrove also challenges the trial court’s finding that the cannabis
    manufacturing violation was a “ ‘second’ ” violation and thus subject to an
    increased penalty of $25,000. (The penalty for a first violation was $10,000.
    (SCC, § 26-88-252(d)(3)(c), 2019.)) The county’s position in the trial court was
    that violations found during the 2017 inspection were “first” violations and
    violations found during the 2019 inspection were “second” violations.
    Musgrove maintains there was no evidence of a cannabis
    manufacturing violation during the 2017 inspection, so the manufacturing
    violation found during the 2019 inspection—based on the hash oil extraction
    laboratory—was a first violation subject to the lower penalty.
    The county again makes no response to this argument in its
    respondent’s brief. Although, as we have observed, this does not necessarily
    mean the county has conceded the issue, we repeat it is not our obligation to
    sort through the record without any direction from the county as to where in
    the record such evidence might exist.
    In sum, with respect to the cannabis violations, we shall reverse the
    $25,000 penalty against Musgrove for “indoor cultivation” and direct that the
    $25,000 penalty for cannabis manufacturing against Musgrove be reduced to
    $10,000 (resulting in total cannabis fines owing of $60,000).
    Excessive Fines
    Musgrove lastly claims the fines imposed by the trial court violate the
    Eighth Amendment’s limit on excessive fines under the standard articulated
    in United States v. Bajakajian (1998) 
    524 U.S. 321
     (Bajakajian). (See City
    and County of San Francisco v. Sainez (2000) 
    77 Cal.App.4th 1302
    , 1321
    [“The law is settled that a civil penalty such as the one here, by virtue of its
    24
    partially punitive purpose, is a fine for purposes of the constitutional
    protection” afforded by the eighth amendment, italics omitted].)
    In Bajakajian, the United States Supreme Court explained that the
    “touchstone of the constitutional inquiry under the Excessive Fines Clause is
    the principle of proportionality: The amount of the forfeiture must bear some
    relationship to the gravity of the offense that it is designed to punish.”
    (Bajakajian, supra, 524 U.S. at p. 334.) It then identified four factors that
    bear on whether a fine is constitutionally excessive: (1) the defendant’s
    culpability; (2) the relationship between the harm and the penalty; (3) the
    penalties imposed in similar statutes; and (4) the defendant’s ability to pay.
    (People ex rel. Lockyer v. R.J. Reynolds Tobacco Co. (2005) 
    37 Cal.4th 707
    ,
    728; Braum, supra, 49 Cal.App.5th at pp. 360–363, 365 [applying Bajakajian
    factors and affirming civil penalties imposed against cannabis dispensary
    operating in violation of local regulatory ordinances].)
    The trial court imposed seven separate penalties totaling over $1
    million for various zoning, building, septic, grading and drainage code
    violations. Musgrove does not specifically identify which penalties he is
    challenging. However, in discussing the Bajakajian factors, he largely refers
    to the cannabis violations and laws and cases pertaining to cannabis. We
    therefore treat his arguments as directed largely at the amount of the
    penalties pertaining to the cannabis violations.8
    8 As discussed in the preceding section of this opinion, the trial court
    imposed $100,000 in penalties for the cannabis violations, which we shall
    order reduced to $60,000. These violations were also the basis for one of five
    zoning violations for which the trial court imposed penalties of $35 per day
    from July 12, 2019 through November 3, 2021, totaling $147,875. Thus, the
    total daily penalty for that cannabis-based zoning violation was $29,575,
    making the total cannabis penalties remaining at issue, $89,575.
    25
    Culpability
    Musgrove does not dispute that as one of the property owners he is
    liable for the nuisance conditions. In fact, he “concedes that there was
    evidence at the trial to support a finding that he was culpable for at least
    some of the initial violations.”
    Musgrove instead focuses on alleged delay in the instant action that
    allowed daily penalties to continue to accrue. He argues this delay was
    attributable to sources other than himself, including the county’s decision to
    bypass the administrative appeal process and file the instant case, the
    district attorney’s decision to file criminal charges, and the Covid-19
    pandemic. He provides no specifics with respect to such delays. Nor does he
    provide any citations to the record that establish the duration of such delays.
    Moreover, he cites no authority that this factor—the defendant’s
    culpability—pertains to increased daily penalty amounts caused by
    extraneous delay, rather than by the defendant’s creating and failing to
    eliminate a panoply of code violations. In Braum, for example, on which
    Musgrove principally relies, the appellate court focused on the evidence
    establishing the defendant’s culpability for the underlying zoning code
    violations and abatement law offenses. (Braum, supra, 49 Cal.App.5th at
    p. 361; see People ex rel. Lockyer v. R.J. Reynolds Tobacco Co., supra,
    37 Cal.4th at p. 729 [with respect to culpability, the defendant argued it acted
    with a reasonable and good faith belief that its unlawful conduct was
    protected by a safe harbor provision of the statute it was alleged to have
    violated].) Here, as the county points out, had Musgrove ceased all cannabis
    operations following the first inspection in August 2017, the daily penalties
    imposed in connection with the second inspection and resulting notices and
    orders would not have accrued.
    26
    Relationship Between the Harm and the Penalty
    Musgrove argues the enactment of the CUA and the MMPA “represents
    a societal movement to treat cannabis as a far less serious problem,” but the
    county not only maintained its criminal sanction for unlawful cannabis
    activities, it also “added civil penalties up to $50,000.” On the other hand,
    the county also “allowed all persons found to be unlawfully cultivating
    cannabis in 2017 to continue to do so until January 1, 2018.” Musgrove thus
    concludes “unlawful cannabis cultivation” does not present any “clear and
    present danger” that needed to be immediately halted on pain of continuing
    penalties. He further asserts the county presented no “evidence whatsoever”
    concerning the harm caused by unlawful cannabis cultivation.
    As the county points out, the Legislature expressly recognized the
    negative impacts of unregulated cannabis cultivation in enacting the
    statutory scheme which expressly authorizes local regulation of cultivation.
    This, alone, supplies a sufficient relationship between the harm of
    unregulated cannabis production of the magnitude here and the penalties
    imposed. (See Braum, supra, 49 Cal.App.5th at p. 362 [“The City had a valid
    and strong interest in regulating uses within the City, including medical
    marijuana uses, and in abating nuisances defined by state law to address the
    perceived harms underlying its zoning regulations and the statewide
    nuisance abatement law.”].) The county also directs our attention to the
    evidence of hazardous conditions on the property, including exposed electrical
    connections and unpermitted septic use. This, of course, exacerbated the
    already unlawful condition of the property.
    27
    Comparative Penalties
    Musgrove points out the maximum criminal penalty under state law is
    a $500 fine, for a first offense. (Health & Saf. Code, § 11358, subd. (c).)9 The
    minimal criminal penalties, says Musgrove, stand in stark contrast to the
    penalties imposed here. He further points out the penalty for violating
    zoning rules against growing other agricultural crops in a non-agricultural
    zone is limited to $100 for the first violation, $200 for a second violation, and
    $500 for a third violation within one year—again, much less than the
    cannabis-related penalties imposed here. (SCC, § 1-7.1, 2019.)
    The county responds that Musgrove focuses only on the cannabis
    penalties and disregards “all the other violations.” We agree that as to this
    point, Musgrove has confined his argument to the cannabis penalties.
    With respect to the cannabis penalties, the county points to Business
    and Professions Code section 26038 which is part of the state’s statutory
    scheme establishing a licensing process for cannabis businesses and imposing
    civil penalties for unlicensed commercial cannabis activity. (Bus. & Prof.
    Code, §§ 26010–26018 [administration provisions]; id., §§ 26030–26037
    [enforcement provisions]; id., § 26038.) The purpose of this regulatory
    scheme “is to establish a comprehensive system to control and regulate the
    cultivation, distribution, transport, storage, manufacturing, processing, and
    sale of both” medicinal and adult-use cannabis and to identify “the power and
    duties of the state agencies responsible for controlling and regulating the
    commercial medicinal and adult-use cannabis industry.” (Id., § 26000, subds.
    (b)(1)–(2), (c).) It also expressly provides it “shall not be interpreted to
    9  In his opening brief, Musgrove states “The Sonoma County
    Ordinance allows for an identical 6 month/$500 penalty in addition to the
    fine structure challenged herein.” He provides no record citations in support,
    nor have we located any such a provision in the record.
    28
    supersede or limit existing local authority” to enforce zoning requirements or
    local ordinances, including “local license, permit, or other authorization
    requirements.” (Id., § 26200, subd. (a)(2).)
    Business and Professions Code section 26038, specifically, contains
    three penalty provisions. The first provides that, “A person engaging in
    commercial cannabis activity without a license as required by this division
    shall be subject to civil penalties of up to three times the amount of the
    license fee for each violation. Each day of operation shall constitute a
    separate violation of this section.” (Bus. & Prof. Code, § 26038, subd. (a)(1).)
    The second provides that, “A person aiding and abetting unlicensed
    commercial cannabis activity shall be subject to civil penalties of up to three
    times the amount of the license fee for each violation, but in no case shall the
    penalty exceed thirty thousand dollars ($30,000) for each violation. Each day
    of operation of unlicensed commercial cannabis activity that a person is found
    to have aided and abetted shall constitute a separate violation of this
    section.” (Id., § 26038, subd. (a)(2)(A).) The third provides, “A person who
    has management or control of a commercial property, or a commercial
    building, room, space, or enclosure, either as an owner, lessee, agent,
    employee, or mortgagee, who knowingly rents, leases, or makes available for
    use, with or without compensation, the commercial property, building, room,
    space, or enclosure for the purpose of the unlicensed commercial cultivation,
    manufacture, storage, sale, or distribution of cannabis shall be subject to civil
    penalties of up to ten thousand dollars ($10,000) for each violation. Each day
    of violation shall constitute a separate violation of this section.” (Id., § 26038,
    subd. (a)(3)(A).) Thus, the penalties under this statutory scheme can be
    significant.
    29
    The county’s cannabis penalty provisions, by comparison, are not
    excessive. (See Braum, supra, 49 Cal.App.5th at pp. 354, 365 [upholding
    maximum civil penalty of $2,500 per day for dispensary operated in violation
    of city zoning code for 1,470 days and maximum penalty of $25,000 for
    dispensary property under Health and Safety Code sections 11570 and
    11581].)
    Ability to Pay
    Musgrove contends that he and Stavrinides presented evidence they
    were of limited economic means and therefore cannot pay the $1,056,880 in
    penalties, that is, the entirety of the penalties, imposed by the court.
    Braum indicates it was Musgrove’s burden to show he has no ability to
    pay the penalties. (Braum, supra, 49 Cal.App.5th at pp. 362–363.) And
    recently another division of this court stated that “[b]ecause ability to pay is
    an element of the excessive fines calculus under both the federal and state
    Constitutions, . . . a sentencing court may not impose court operations or
    facilities assessments or restitution fines without giving the defendant, on
    request, an opportunity to present evidence and argument why such monetary
    exactions exceed his ability to pay.” (People v. Cowan (2020) 
    47 Cal.App.5th 32
    , 48, review granted June 17, 2020, S261952, italics added.)
    Musgrove does not disagree that defendants had the burden of
    requesting an opportunity to make their case of impoverishment, and at such
    hearing, to present evidence substantiating their claim. Nor does he provide
    any citation to the record of having asked for such a hearing or having made
    an affirmative showing of his assertedly impecunious circumstances.
    Instead, Musgrove points out Stavrinides was represented by court-
    appointed counsel in the criminal case and likewise for a short time in the
    instant case. This is scarcely relevant to Musgrove, who was admittedly
    30
    represented by private counsel. Musgrove also points to his testimony at
    trial as to why he had not promptly removed the greenhouses. According to
    Musgrove, he did not have the economic wherewithal to pay the permit fees
    to remove the structures after the county increased the fees from $1600 to
    $64,000 (an amount the county subsequently backed down to $1600 and
    which he then paid).
    The county’s response is that Musgrove’s “word” is not a sufficient
    showing of inability to pay and that “[n]o explanation is given [by Musgrove]
    as to where the millions of dollars of profit from the cannabis cultivation has
    gone.” The problem with this response is that the county again provides no
    citation to the record of evidence that the defendants in fact made “millions of
    dollars of profit.” Thus, based on the county’s briefing, we would conclude
    simply that Musgrove bore the burden of proof but points to no place in the
    record where he asked for the opportunity to make an affirmative showing
    that his financial situation is so dire in renders the total penalties
    constitutionally excessive.
    In his closing brief, Musgrove helpfully supplies record citations to
    Code Inspector Todd Hoffman’s testimony about “average cannabis plant
    yields and street prices.” Hoffman also testified to the number of plants at
    issue here and initially opined the grow represented “billions of dollars,” but
    on further questioning by county counsel agreed it was worth five million.
    Musgrove maintains this was not a fair estimate as Hoffman did not consider
    all the “variables” that plant affect value, including size, maturity, and
    genetic strain. However, this is an argument going to the weight given to the
    testimony, which is not an issue that is properly revisited on appeal. (See
    Morgan v. J-M Manufacturing Co., Inc. (2021) 
    60 Cal.App.5th 1078
    , 1086 [it
    31
    is the province of the trier of fact “ ‘to resolve the conflicts in the evidence and
    to pass upon the weight to be given the evidence’ ”].)
    STAVRINIDES’S APPEALS
    Appeal From Judgment
    Stavrinides filed his appellant’s opening brief on June 1, 2023, more
    than two months before Musgrove filed his opening brief. Stavrinides’s
    opening brief is eight pages in length, including the caption page, table of
    contents, table of authorities, certificate of word count, and certificate of
    interested entities or persons. The remaining four pages of text are broken
    into the following separately entitled sections: “Nature Of The Superior
    Court Case,” “Relief Sought In The Trial Court,” “Appealed Order Statement
    Of Appealability,” “Summary Of Significant Facts,” “Relief Sought By This
    Appeal,” “Non-Waiver of California Government Code § 68081,” and
    “Conclusion.” (Boldface omitted.)
    In the “Relief Sought” section of his brief, Stavrinides states he seeks
    the “reversal, vacating, and or nullification” of the judgment. But in no
    section of his brief does he identify the reasons why he believes the trial court
    erred, let alone provide reasoned argument, citations to the record, and
    citations to legal authorities in support of such argument.
    Rather, the single assertion Stavrinides makes in his opening brief
    (under the heading “Summary Of Significant Facts”) is that “further
    reference to an Appellant’s Appendix record on appeal is not possible at this
    time until the lower court complies with” a document he filed in the trial
    court entitled “Elias Stavrinides’s Second California 1st District Court of
    Appeal Local Rule 11 (c) Request For The Clerk or Court Executive Officer
    Robert Oliver to Provide Documents That Are Not Yet Part of And are
    Missing From The Court Record, With Notice of Error Regarding Court
    32
    Report Transcripts of An Elected Appendix.”10 (Boldface & underscoring
    omitted.) He follows this with an assertion (under the heading “Non-Waiver
    of California Government Code § 68081,” boldface omitted) that he “does not
    waive the statutory provision of . . . Government Code § 68081,” which he
    quotes.11 He concludes (under the heading “Conclusion,” boldface omitted)
    with the statement he will, pursuant to that statutory provisions, “file a
    supplement[al]” brief to his opening brief and a “supplement” to his appendix
    when the trial court “complies” with his Second Request.12 In short, his
    10  In both a “First Request” and his essentially identical “Second
    Request,” Stavrinides claimed he had not received a complete copy of the
    record on appeal and, specifically, he had not received copies of all the
    volumes of the reporter’s transcript of the court trial. He further claimed, as
    a consequence, that an “automatic stay” of the briefing was in place pursuant
    to this court’s Local Rule 11(c). Local Rule 11, subdivision (c) entitled
    “Automatic Extension for Omitted Record” states: “If a party asks the
    superior court to prepare an omitted part of the record under California Rules
    of Court, rules 8.155(b), 8.340(b), or 8.410(a), and provides this court with
    notice of the request, the deadline for filing the party’s brief shall be
    automatically extended by 15 days from the date the omitted part of the
    record is filed. This extension shall not shorten any other extensions of time
    that are granted.” (Ct. App. First Dist. Local Rules, rule 11, Extensions of
    Time for Filing Briefs.)
    11  Government Code section 68081 provides: “Before the Supreme
    Court, a court of appeal, or the appellate division of a superior court renders
    a decision in a proceeding other than a summary denial of a petition for an
    extraordinary writ, based upon an issue which was not proposed or briefed by
    any party to the proceeding, the court shall afford the parties an opportunity
    to present their views on the matter through supplemental briefing. If the
    court fails to afford that opportunity, a rehearing shall be ordered upon
    timely petition of any party.”
    12 Government Code section 68081, by its plain terms, pertains to a
    Court of Appeal’s disposition of a case and the right of a party to file a
    supplemental brief if the court decides the case on a ground not raised by any
    party. The statute does not, contrary to Stavrinides’s apparent belief, allow
    33
    opening brief is essentially a complaint that the record on appeal was not
    complete.13 This is not a basis for reversal of the judgment.
    “ ‘ “[A]n appealed judgment is presumed correct, and appellant bears
    the burden of overcoming the presumption of correctness.” [Citation.] As a
    result, on appeal “the party asserting trial court error may not . . . rest on the
    bare assertion of error but must present argument and legal authority on
    each point raised. [Citation.]” [Citations.] When an appellant raises an
    issue “but fails to support it with reasoned argument and citations to
    authority, we treat the point as waived. [Citations.]” [Citation.]’ (Ibid.) By
    failing to provide adequate record citations or make any cognizable claims of
    error.” (Hernandez v. First Student, Inc. (2019) 
    37 Cal.App.5th 270
    , 277.)
    Stavrinides has waived any claim of error by the lower court.
    There was, moreover, no need for Stavrinides to file an opening brief
    bereft of legal substance. In his designation of the record on appeal, filed
    May 9, 2022, Stavrinides elected to proceed with an appellant’s appendix in
    lieu of a clerk’s transcript and a settled statement in lieu of a reporter’s
    transcript. On June 6, he submitted a proposed settled statement to the trial
    court. The county filed a response. On October 4, the trial court issued an
    order as to the settled statement, which included a directive that a reporter’s
    transcript be prepared of the trial. On October 17, the superior court clerk
    duly issued a “Notice to Reporter” to prepare a transcript of the trial.
    the filing of a “place-holder” opening brief that promises a “supplemental”
    brief when asserted record issues are resolved.
    13  Stavrinides’s appellant’s appendix consisted solely of his designation
    of the record on appeal, his notice of appeal from the judgment, his “Second
    Request,” the trial court’s judgment, and the court’s order awarding fees and
    costs.
    34
    The reporter’s transcript (consisting of 16 volumes) was filed in this
    court on March 8, 2023. That same day, the clerk gave notice to Stavrinides
    that the record on appeal had been filed and his opening brief was due in 40
    days. A little over a month later, on April 17, Stavrinides filed his “First
    Request” in the trial court, asserting he had not received all the volumes of
    the reporter’s transcript and under our Local Rule 11, subdivision (c), an
    automatic stay of his appeal was in effect. On the same day, Stavrinides filed
    a “Notice” of his “First Request” in this court and the superior court clerk, in
    response, provided a declaration that Stavrinides had elected to proceed by
    way of an appendix and not a clerk’s transcript, and no further action by the
    clerk was required. On April 28, the clerk of this court issued a notice that no
    “augmented” or “omitted” record would be forthcoming because he had
    elected to proceed by way of an appendix (California Rules of Court, rule
    8.124). On May 22, this court notified Stavrinides his appeal would be
    dismissed if he did not file his opening brief within 15 days or show good
    cause for an extension.
    A week later, on May 30, Stavrinides filed his “Second Request,”
    asserting he had not received a complete copy of the reporter’s transcript and
    an automatic stay of his appeal was in effect. The following day, on May 31,
    he filed a “Notice” of his “Second Request” in this court. Two days later, on
    June 1, the clerk of this court transmitted copies of the assertedly missing
    reporters transcripts to Stavrinides, and issued a notice his opening brief was
    due in 15 days. Stavrinides filed his opening brief on June 1.
    While there may have been some confusion as to Stavrinides’s receipt of
    a complete copy of the reporter’s transcript, it is clear Stavrinides was aware
    the transcripts were ordered, prepared, and transmitted to this court. He
    was also on notice of the filing date for his opening brief, which was extended
    35
    when the clerk of this court provided him with copies of the assertedly
    missing transcripts. At no time, did Stavrinides file a request for an
    extension of time to file his opening brief. Instead, he filed his opening brief
    the same day he received the copies of the assertedly missing volumes of the
    reporter’s transcript. In contrast, Musgrove obtained a stipulation extending
    his time to file his opening brief and two additional extensions of time
    granted by this court. As we have observed, an opening brief that raises no
    issues, let alone provides no cogent argument supported by citations to the
    record and legal authority, waives any arguable issue(s) on appeal. (See Los
    Angeles Unified School Dist. v. Torres Construction Corp. (2020)
    
    57 Cal.App.5th 480
    , 488–489.)
    Stavrinides filed a 32-page appellant’s closing brief in which he first
    rehashes his complaint about the assertedly missing volumes of the reporter’s
    transcript and then maintains his review of the reporter’s transcript—after
    he filed his opening brief—“demonstrate[s]” that the trial court “lacked all
    subject matter jurisdiction” over the enforcement action. He devotes the
    remainder of his closing brief to “Argument Against Respondents’ Brief
    Reasoning for Denial of Administrative Procedures and Argument Enhancing
    and Supporting Co-Appellant Sean C. Musgrove’s Opening Brief Reference To
    His and Appellant Elias Stavrinides Denial of Administrative Procedures.”
    (Boldface omitted.) The thrust of Stavrinides’s argument, as best as we can
    make out, is that an administrative process had not yet been completed and
    therefore the trial court lacked “subject matter jurisdiction” over the
    abatement proceeding. As our discussion of Musgrove’s appeal reflects, this
    is not an argument Musgrove advanced on appeal.
    “We will not ordinarily consider issues raised for the first time in a
    reply brief. [Citation.] An issue is new if it does more than elaborate on
    36
    issues raised in the opening brief or rebut arguments made by the respondent
    in respondent’s brief. Fairness militates against allowing an appellant to
    raise an issue for the first time in a reply brief because consideration of the
    issue deprives the respondent of the opportunity to counter the appellant by
    raising opposing arguments about the new issue.” (American Indian Model
    Schools v. Oakland Unified School Dist. (2014) 
    227 Cal.App.4th 258
    , 275–
    276.)
    We observe, moreover, that failure to exhaust administrative remedies
    rarely affects a trial court’s “fundamental”—or subject matter—jurisdiction.
    (See, e.g., Holland v. Union Pacific Railroad Co. (2007) 
    154 Cal.App.4th 940
    ,
    946 [“The exhaustion of an administrative remedy is a procedural
    prerequisite to an action at law, and the failure to exhaust it does not divest a
    trial court of subject matter jurisdiction.” (Italics omitted.)]; Keiffer v. Bechtel
    Corp. (1998) 
    65 Cal.App.4th 893
    , 896–901 [cases describing exhaustion as
    jurisdictional do not necessarily implicate fundamental subject matter
    jurisdiction]; Azusa Land Reclamation Co. v. Main San Gabriel Basin
    Watermaster (1997) 
    52 Cal.App.4th 1165
    , 1216 [“cases that describe the
    requirement as ‘jurisdictional’ simply stand for the unremarkable proposition
    that the court does not have the discretion to refuse to apply the doctrine in
    cases where it applies”]; see generally 1 Cal. Affirmative Def. (2d ed.) § 16:1
    [“When mandatory, the exhaustion doctrine is typically described as a
    jurisdictional defense, but not as implicating subject matter jurisdiction in a
    fundamental sense.” (Fn. omitted.)].) Accordingly, failure to exhaust
    administrative remedies is generally considered an affirmative defense that
    is waived if not timely raised; lack of subject matter jurisdiction, in contrast,
    is a fundamental defect in the court’s power to act and therefore can never be
    waived. (See O’Brien v. Regents of University of California (2023)
    37
    
    92 Cal.App.5th 1099
    , 1117, fn. 4 [exhaustion defense forfeited where not
    raised in trial court]; Mission Housing Development Co. v. City and County of
    San Francisco (1997) 
    59 Cal.App.4th 55
    , 67.)
    While Stavrinides provides many pages of case cites, he identifies no
    statutory provision mandating the exhaustion of any administrative remedy
    before the trial court could act in the instant case. (Compare Rittiman v.
    Public Utilities Com. (2022) 
    80 Cal.App.5th 1018
    , 1032 [constitutional and
    statutory provisions requiring petitioner to seek administrative rehearing are
    of true jurisdictional import]; Shiseido Cosmetics (America) Ltd. v. Franchise
    Tax Bd. (1991) 
    235 Cal.App.3d 478
    , 487–489 [statutory requirement that
    claim for refund be filed, enacted pursuant to Legislature’s constitutionally
    authorized power to enact refund procedures, was fundamental jurisdictional
    requirement and could not be excused under any exception to the exhaustion
    doctrine].) Thus, even if Stavrinides had not waived the issue, he has not, in
    any event, shown that the trial court lacked fundamental jurisdiction to hear
    the instant case.
    Appeal From Fee Order
    Stavrinides took the same approach in his appeal from the fee and cost
    order—that is, on June 1, 2023, he filed a “place-holder” appellant’s opening
    brief in which he pointed to his “Second Request,” asserted it was not possible
    to provide record citations at the time, and stated he would file a
    “supplemental” brief and appendix pursuant to Government Code section
    68081 when he received the allegedly missing volumes of the reporter’s
    transcript. For all the reasons we have discussed, this filing did not preserve
    any issue as to the fee and cost order and did not carry his burden on appeal.
    As we also observed, Stavrinides never sought a stipulation or filed a request
    for an extension of time to file his opening brief.
    38
    The county filed its respondent’s brief one month later, pointing out the
    patent deficiencies of Stavrinides’s opening brief. It also observed that the
    only issue Stavrinides had raised in his written opposition to the county’s
    motion for fees and costs was that a notice of appeal from the judgment had
    already been filed. The county addressed that point in its reply
    memorandum, as did the trial court in its order. The county further pointed
    out in its respondent’s brief that it is well established an appeal from a
    judgment does not divest the trial court from ruling on a post-trial motion for
    fees and costs. (Korchemny v. Piterman (2021) 
    68 Cal.App.5th 1032
    , 1052
    [“ ‘filing of a notice of appeal does not deprive the trial court of jurisdiction to
    award attorney fees and costs’ ”].)
    Three weeks later, Stavrinides filed the essentially same 31-page
    appellant’s closing brief that he would later file in his appeal from the
    judgment. He rehashed his complaint about the record and then, again as
    best we can make out, advanced the argument administrative proceedings
    had not concluded and therefore the trial court lacked subject matter
    jurisdiction of the case. For the reasons we have discussed, we will not
    entertain this belated argument, and in any event, it lacks merit.
    DISPOSITION
    As to defendant and appellant Sean Musgrove in appeal No. A165109,
    the $25,000 penalty for “indoor cultivation” is reversed and the $25,000
    penalty for cannabis manufacturing is reduced to $10,000. In all other
    respects, the judgment against Musgrove is affirmed.
    As to defendant and appellant Elias Stavrinides, the judgment in
    appeal No. A165109 and the fee and cost order in appeal No. A166275 are
    affirmed.
    The parties in both appeals to bear their own costs on appeal.
    39
    _________________________
    Banke, J.
    We concur:
    _________________________
    Humes, P. J.
    _________________________
    Castro, J.*
    **Judge of the Alameda County Superior Court, assigned by the Chief Justice
    pursuant to article VI, section 6 of the California Constitution.
    A166275, A165109, County of Sonoma v. Stavrinides
    40
    

Document Info

Docket Number: A165109

Filed Date: 2/22/2024

Precedential Status: Non-Precedential

Modified Date: 2/22/2024