Asi v. Hollywood Foreign Press Assn. CA2/4 ( 2023 )


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  • Filed 10/13/23 Asi v. Hollywood Foreign Press Assn. CA2/4
    NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS
    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 This opinion has not been certified for publication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
    SECOND APPELLATE DISTRICT
    DIVISION FOUR
    HUSAM “SAM” ASI,                                                       B327002
    Plaintiff and Respondent,                                    (Los Angeles County
    Super. Ct. No. 22STCV15728)
    v.
    HOLLYWOOD FOREIGN
    PRESS ASSOCIATION,
    Defendant and Appellant.
    APPEAL from a judgment of the Superior Court of Los Angeles County,
    Michael L. Stern, Judge. Affirmed in part, reversed in part and remanded
    with directions.
    Latham & Watkins, Marvin S. Putnam, Chandler S. Howell and Robert
    J. Ellison for Defendant and Appellant.
    King & Ballow, Richard S. Busch and David M. Niemierzycki for
    Plaintiff and Respondent.
    INTRODUCTION
    Plaintiff, an entertainment journalist, was publicly accused of sexual
    misconduct in the press. At the time the accusations were made, plaintiff
    was a member of the Hollywood Foreign Press Association (HFPA). In
    response to these accusations against plaintiff, HFPA issued statements to
    the press stating it would investigate the allegations and had placed plaintiff
    on probation from its organization pending the results of the investigation.
    Plaintiff then filed suit against HFPA based partly on HFPA’s statements to
    the press. In response, HFPA filed a special motion to strike under our anti-
    SLAPP1 statute, Code of Civil Procedure section 425.16,2 arguing its
    statements to the press were protected activity. The trial court denied the
    motion in part. HFPA appeals the denial of its special motion to strike. We
    affirm in part and reverse in part the trial court’s order and remand the
    matter with directions.
    FACTUAL AND PROCEDURAL BACKGROUND
    A.    Parties
    HFPA is a private membership association consisting of approximately
    100 journalists who report on entertainment news for foreign markets.
    Plaintiff and respondent Sam Asi (Asi) became an HFPA member in 2010 and
    has previously worked as a journalist for the BBC and the newspaper Al-
    Quds Al-Arabi.
    1     “SLAPP” is an acronym for “strategic lawsuit against public
    participation.” (Equilon Enterprises v. Consumer Cause, Inc. (2002) 
    29 Cal.4th 53
    , 57.)
    2     All further statutory references are to the Code of Civil Procedure
    unless otherwise stated.
    2
    B.    TheWrap Article and HFPA Response
    On February 2, 2022, the entertainment news outlet TheWrap
    published an article detailing allegations made by three women accusing Asi
    of sexual misconduct. At the time the article was published, Asi was a
    member of HFPA and TheWrap approached the HFPA for comment on these
    allegations. HFPA provided a statement to TheWrap, which the parties refer
    to as a press release, and later that same day TheWrap published a second
    article that incorporated HFPA’s comment. HFPA’s comments in the first
    press release, as reported by TheWrap, were as follows: “A spokesperson for
    the HFPA—which has been under fire for much of the last year amid
    accusations of corruption, racism and self-dealing that prompted NBC to back
    out of televising the Globes last month—said that the organization sent the
    information provided by TheWrap to an outside law firm for review, citing
    the group’s ‘intolerance for any type of discrimination or harassment.’
    “‘The HFPA takes any and all allegations very seriously and does not
    condone any type of inappropriate misconduct or behavior,’ the spokesperson
    said. ‘If it is found that a member has violated the Code of Conduct,
    disciplinary action will be taken, including suspension and/or expulsion from
    the organization. Upon receiving this information, we immediately sent the
    complaints to the outside law firm for review and investigation. The HFPA
    strongly encourages anyone with any complaint against any member to do
    the same.’”
    On February 7, 2022, HFPA issued a second press release which was
    published by TheWrap and The Los Angeles Times. As reported by
    TheWrap, HFPA’s second press release confirmed Asi had been placed on
    probation from HFPA pending the results of its investigation pursuant to
    HFPA’s Code of Conduct. It further stated: “‘Grievance procedures were
    3
    designed to govern the investigation of any alleged violations of this Code,’ an
    HFPA spokesperson said in a statement provided to TheWrap. ‘We take
    these conduct rules very seriously. As such, any member accused of alleged
    sexual assault is put on probation pending the completion of an investigation
    by an outside law firm into the allegations.’” Before HFPA completed its
    investigation, Asi filed this action against HFPA and two of its employees.
    C.    Complaint
    Asi’s complaint, filed May 11, 2022, asserts 14 causes of action against
    HFPA and its codefendants. The complaint asserts a wide range of
    allegations of wrongdoing by HFPA, in some instances dating back to 2013,
    including allegations of racial discrimination and sexual harassment,
    retaliation, as well as mismanagement and corruption in the operation of
    HFPA itself and, more specifically, its website. These allegations include the
    claim that HFPA violated its bylaws and procedures in issuing the two press
    releases in response to TheWrap’s article. All allegations of wrongdoing are
    incorporated by reference into every cause of action pled in the complaint.
    D.    Special Motion to Strike
    On July 18, 2022, HFPA filed a special motion to strike under section
    425.16. HFPA’s motion sought to strike the first nine of Asi’s 14 causes of
    action to the extent they arose from HFPA’s issuance of the press releases,
    which HFPA asserted was protected activity. HFPA’s special motion to strike
    targeted Asi’s claims for (1) breach of contract, (2) breach of the implied
    covenant of good faith and fair dealing, (3) tortious breach of the implied
    covenant of good faith and fair dealing, (4) tortious interference with contract,
    (5) tortious interference with prospective economic relations, (6) violation of
    4
    Business and Professions Code section 17200, (7) intentional infliction of
    emotional distress, (8) negligent infliction of emotional distress, and (9)
    violation of the common law right to fair procedure.
    Asi opposed HFPA’s motion, arguing the press releases were not
    activity protected by section 425.16. He also claimed the challenged causes of
    action did not arise from the press releases but from other alleged
    misconduct. Finally, he argued that, to the extent they did arise from the
    releases, he had established a probability of success on the merits of his
    claims.
    On December 9, 2022, the trial court issued its order on HFPA’s special
    motion to strike. The court found the press releases constituted protected
    activity under section 425.16. With the exception of Asi’s third cause of
    action for tortious breach of the implied covenant of good faith and fair
    dealing, the court held each of the nine challenged causes of action were
    based, in part, on HFPA’s issuance of the press releases. Having determined
    the third cause of action for tortious breach of the implied covenant did not
    arise from the press releases, the court denied the motion as to that cause of
    action. The court granted HFPA’s motion as to Asi’s eighth cause of action
    for negligent infliction of emotional distress, holding such a cause of action
    “only lies in direct or bystander distress situations.”3 As to the remaining
    seven causes of action, the Court denied the motion, finding Asi had
    sufficiently demonstrated a probability of success on the merits of those
    claims under section 425.16.
    3      Neither party has appealed the trial court’s striking of the eighth cause
    of action for negligent infliction of emotional distress and, we do not address
    it further in this appeal.
    5
    HFPA filed a timely notice of appeal of the order denying its special
    motion to strike.
    DISCUSSION
    A.    Anti-SLAPP Procedure
    The “anti-SLAPP statute is designed to protect defendants from
    meritless lawsuits that might chill the exercise of their rights to speak and
    petition on matters of public concern.” (Wilson v. Cable News Network, Inc.
    (2019) 
    7 Cal.5th 871
    , 883–884 (Wilson).) A “cause of action against a person
    arising from any act of that person in furtherance of the person’s right of
    petition or free speech under the United States Constitution or the California
    Constitution in connection with a public issue shall be subject to a special
    motion to strike, unless the court determines that the plaintiff has
    established that there is a probability that the plaintiff will prevail on the
    claim.” (§ 425.16, subd. (b)(1).) The anti-SLAPP statute itself provides that
    its protections “shall be construed broadly.” (§ 425.16, subd. (a).)
    In evaluating an anti-SLAPP motion to strike, courts conduct a two-
    step analysis. First, the court decides whether a defendant has met its
    “burden of establishing that the challenged allegations or claims ‘aris[e] from’
    protected activity in which the defendant has engaged.” (Park v. Board of
    Trustees of California State University (2017) 
    2 Cal.5th 1057
    , 1061 (Park).)
    Second, if a defendant meets its burden on the threshold showing, the court
    decides if the plaintiff “has established that there is a probability that the
    plaintiff will prevail on the claim.” (§ 425.16, subd. (b)(1).)
    “Analysis of an anti-SLAPP motion is not confined to evaluating
    whether an entire cause of action, as pleaded by the plaintiff, arises from
    protected activity or has merit. Instead, courts should analyze each claim for
    relief—each act or set of acts supplying a basis for relief, of which there may
    6
    be several in a single pleaded cause of action—to determine whether the acts
    are protected and, if so, whether the claim they give rise to has the requisite
    degree of merit to survive the motion.” (Bonni v. St. Joseph Health System
    (2021) 
    11 Cal.5th 995
    , 1010 (Bonni).) “[T]o the extent any acts are
    unprotected, the claims based on those acts will survive.” (Id. at p. 1012.) “A
    mixed cause of action is subject to section 425.16 if at least one of the
    underlying acts is protected conduct, unless the allegations of protected
    conduct are merely incidental to the unprotected activity.” (Salma v. Capon
    (2008) 
    161 Cal.App.4th 1275
    , 1287.)
    We review the trial court’s order denying the anti-SLAPP motion de
    novo, applying the same two-step analysis. (Oasis West Realty, LLC v.
    Goldman (2011) 
    51 Cal.4th 811
    , 820.) We independently review whether a
    moving party has made a threshold showing that the challenged cause of
    action arises from protected activity. (Grewal v. Jammu (2011) 
    191 Cal.App.4th 977
    , 988.)
    B.    Prong One: Arising from Protected Activity
    “At the first step of the analysis, the defendant must make two related
    showings. Comparing its statements and conduct against the statute, it must
    demonstrate activity qualifying for protection. (See § 425.16, subd. (e).) And
    comparing that protected activity against the complaint, it must also
    demonstrate that the activity supplies one or more elements of a plaintiff’s
    claims.” (Wilson, 
    supra,
     7 Cal.5th at p. 887.)
    HFPA argues its press releases constitute protected activity under the
    anti-SLAPP statute, and its special motion to strike is limited to the claims
    that it alleges arise from those press releases. To the extent the challenged
    causes of action also arise from or are based on claims of discrimination,
    7
    sexual harassment, or other wrongdoing, those causes of action will survive.
    (Baral v. Schnitt (2016) 
    1 Cal.5th 376
    , 393–394; Bonni, supra, 11 Cal.5th at
    p. 1012 (Baral).) To determine whether HFPA has made the requisite
    showing under the first prong, we must decide if the press releases in
    question constitute protected activity and whether the HFPA’s issuance of
    those press releases forms the basis—either in whole or in part—of the
    challenged causes of action.
    1.    Protected Activity
    “At this stage, the question is only whether a defendant has made out a
    prima facie case that activity underlying a plaintiff’s claims is statutorily
    protected.” (Wilson, supra, 7 Cal.5th at p. 888.) Protected activity has been
    statutorily defined to include four categories of statements or conduct.
    (§ 425.16, subd. (e).) HFPA argues the press releases fall within two of these
    categories, specifically “any written or oral statement or writing made in a
    place open to the public or a public forum in connection with an issue of
    public interest” (§ 425.16, subd. (e)(3)) and “any other conduct in furtherance
    of the exercise of the constitutional right of petition or the constitutional right
    of free speech in connection with a public issue or an issue of public interest”
    (§ 425.16, subd. (e)(4)). To fall within this second category, there must exist a
    “functional relationship” between the speech and the public conversation
    about a matter of public interest. (Bishop v. The Bishop’s School (2022) 
    86 Cal.App.5th 893
    , 904 (Bishop).)
    Asi does not dispute the press releases constitute a writing made in a
    public forum under subdivision (e)(3), rather he argues that the HFPA cannot
    show the press releases were made in connection with an issue of public
    interest under either subdivision. We disagree.
    8
    “Like the SLAPP statute itself, the question whether something is an
    issue of public interest must be construed broadly.” (Hecimovich v. Encinal
    School Parent Teacher Organization (2012) 
    203 Cal.App.4th 450
    , 464,
    internal quotation marks omitted.) Accordingly, an issue of public interest
    “is any issue in which the public is interested. In other words, the issue need
    not be ‘significant’ to be protected by the anti-SLAPP statute—it is enough
    that it is one in which the public takes an interest.” (Nygård, Inc. v. Uusi-
    Kerttula (2008) 
    159 Cal.App.4th 1027
    , 1042.) “‘Although matters of public
    interest include legislative and governmental activities, they may also
    include activities that involve private persons and entities, especially when a
    large, powerful organization may impact the lives of many individuals.’
    [Citations.]” (Macias v. Hartwell (1997) 
    55 Cal.App.4th 669
    , 674.)
    The California Supreme Court has set out a two-part test to determine
    whether the public interest requirement has been satisfied. “First, we ask
    what ‘public issue or . . . issue of public interest’ the speech in question
    implicates—a question we answer by looking to the content of the speech.
    [Citation.] Second, we ask what functional relationship exists between the
    speech and the public conversation about some matter of public interest. It is
    at the latter stage that context proves useful.” (FilmOn.com Inc. v.
    DoubleVerify Inc. (2019) 
    7 Cal.5th 133
    , 149–150 (FilmOn.com).)
    FilmOn.com’s “first step is satisfied so long as the challenged speech or
    conduct, considered in light of its context, may reasonably be understood to
    implicate a public issue, even if it also implicates a private dispute.” (Geiser
    v. Kuhns (2022) 
    13 Cal.5th 1238
    , 1253.) In determining whether the second
    step is satisfied, courts look to considerations such as whether (1) the subject
    of the speech was a person or entity in the public eye, (2) the speech could
    affect large numbers of people beyond the direct participants, (3) the speech
    9
    occurred in the context of an ongoing controversy, dispute, or discussion, and
    (4) the speech affected a community like that of a governmental entity.
    (FilmOn.com, at pp. 149–150.)
    Bishop v. The Bishop’s School is instructive. In Bishop, a school
    terminated a teacher’s employment. The teacher sued the head of the school
    and the school itself for defamation based on (1) the termination letter the
    school sent to the teacher and (2) a statement made by the head of the school
    to the school’s student newspaper. (Bishop, supra, 86 Cal.App.5th at p. 897.)
    The Court of Appeal determined defendants did not meet their burden to
    show the termination letter arose from protected activity, which was a
    private communication between the school and the teacher “with the purpose
    of privately communicating an employment decision” and did not contribute
    toward any public debate or discourse. (Id. at p. 907.)
    However, the Court found the comments made to the student
    newspaper did constitute protected activity. The comment in question was
    the statement “‘We are committed to the safety and well-being of our
    students past and present.’” (Bishop, supra, 86 Cal.App.5th at p. 907.) The
    Court determined student safety and well-being is a matter of public interest,
    and the alleged statement sufficiently contributed to public discussion of that
    issue to qualify for protection under section 425.16, subdivision (e)(4). (Id. at
    pp. 907–908.) In reaching this conclusion, the Court reasoned “Kim made the
    statement to someone interviewing him on behalf of the newspaper; he did so
    with the knowledge that his statement would likely be published in the
    newspaper to an audience of the School’s students, staff, and potentially
    parents or others in the community; and his purpose was to communicate
    defendants’ position regarding student safety and well-being. [Citations.]
    Kim’s quote is therefore entitled to anti-SLAPP protection.” (Id. at p. 908.)
    10
    We reach the same result here. Asi primarily argues HFPA cannot
    satisfy the public interest requirement here because he is not a sufficiently
    public figure. However, Asi’s notoriety is only one way this requirement can
    be met. HFPA itself is, as Asi characterizes it in his complaint, “a
    noteworthy entity within the world of entertainment journalism.” It is
    undisputed that, before the public accusations against Asi, HFPA had faced
    widespread scrutiny and criticism over its conduct and culture. In his
    complaint, Asi alleges “the gross mismanagement that Dr. Asi and other
    HFPA members had sought to address came home to roost when
    investigative journalists exposed the HFPA’s history of corruption and
    racism.” Asi’s complaint also directly asserts HFPA’s press releases were
    issued in response to prior public criticism, alleging “the HFPA, under fire in
    the Los Angeles Times and other media for failing so miserably to keep its
    house in order, is using the false claims against Dr. Asi as an opportunity to
    make it appear as if it takes allegations seriously and is changing its
    culture.”
    HFPA also acknowledges this history of public scrutiny and criticism in
    its handling of allegations of member misconduct, including its passage of
    new bylaws meant to “reform” the organization. TheWrap’s article quoting
    the first HFPA release similarly mentions the prior public scrutiny faced by
    the HFPA, stating “A spokesperson for the HFPA—which has been under fire
    for much of the last year amid accusations of corruption, racism and self-
    dealing that prompted NBC to back out of televising the Globes last month—
    said that the organization sent the information provided by TheWrap to an
    outside law firm for review, citing the group’s ‘intolerance for any type of
    discrimination or harassment.’” TheWrap made similar comments in
    reporting on the HFPA’s second press release, noting “The spokesperson
    11
    added that under the group’s new code of conduct—which was established in
    the wake of accusations of corruption, racism and self-dealing—Asi will be
    unable to partake in any HFPA-related activities until an investigation by an
    outside law firm has been completed.”
    There was public interest in HFPA’s handling of public allegations of
    misconduct at the time TheWrap reported on the accusations against Asi.
    HFPA’s press releases must be understood in this context, as Asi himself
    alleges in his complaint. HFPA’s public comments in the releases are not
    focused on the specifics or truthfulness of the allegations made against Asi
    but instead are focused on HFPA itself and how it would respond to these
    public accusations. In its first release, HFPA does not mention Asi or discuss
    the specific allegations made against him. Instead, HFPA states in general
    terms that it takes all allegations seriously, would discipline any members
    found to violate its Code of Conduct, and had forwarded the complaints to an
    outside law firm for review and investigation. In its second press release,
    HFPA simply acknowledged Asi had been placed on probation until the
    completion of the investigation as mandated by HFPA’s new policies.
    HFPA’s press releases were statements to the press made for public
    dissemination in response to public scrutiny which were intended to show it
    had legitimately reformed in the wake of public criticism. As with Bishop,
    HFPA’s purpose in issuing these releases was to communicate to the public
    that it would follow its new policies and procedures to investigate accusations
    of misconduct. Under Bishop, such statements are protected activity for anti-
    SLAPP purposes under section 425.16, subdivision (e)(4) even if Asi himself is
    not a public figure.
    12
    2.     Activity Giving Rise to Plaintiff’s Claims
    A “claim may be struck only if the speech or petitioning activity itself is
    the wrong complained of, and not just evidence of liability or a step leading to
    some different act for which liability is asserted.” (Park, supra, 2 Cal.5th at
    p. 1060.) To determine whether a challenged allegation or claim “arises
    from” protected activity we must determine whether protected activity was
    the alleged injury-producing act forming the basis for the claim. (Id. at pp.
    1062–1063.) “Allegations of protected activity that merely provide context,
    without supporting a claim for recovery, cannot be stricken under the anti-
    SLAPP statute.” (Baral, 
    supra,
     1 Cal.5th at p. 394.)
    We find nearly all of the causes of action challenged by HFPA’s motion
    arise, in part, from the issuance of the press releases. In paragraph 16 of his
    complaint, Asi alleges the press releases violated HFPA’s bylaws, procedures,
    and rules. Asi’s cause of action for breach of contract sets out a list of alleged
    breaches, including the claim that “Defendants breached their obligations to
    Dr. Asi by summarily, unfairly and unlawfully . . . . [¶] . . . Engaging in the
    conduct described within paragraphs 10 through 24 of this Complaint each of
    which are incorporated herein by this reference.” Asi’s cause of action for
    breach of contract is expressly based, in part, on the issuance of the press
    releases.
    The same is true of Asi’s cause of action for breach of the implied
    covenant of good faith and fair dealing. In his complaint, Asi expressly
    states, “Defendants, HFPA, Goeckner, and Lee have materially breached the
    implied covenant of good faith and fair dealing by, inter alia . . . . [¶] . . .
    Engaging in the conduct described within paragraphs 10 through 24 of this
    Complaint each of which are incorporated herein by this reference.” Asi’s
    third cause of action for tortious breach of this implied covenant states it is
    13
    based on “the acts and omissions alleged above and by arbitrarily enforcing
    HFPA’s bylaws.” The issuance of the press releases was an act “alleged
    above” and forms the basis of Asi’s claim for tortious breach of the implied
    covenant.
    Asi’s causes of action for intentional interference with contract and
    with prospective economic relations are also both based on the misconduct
    alleged in “paragraphs 10 through 24” of the complaint, which necessarily
    includes the allegation that HFPA breached its bylaws and procedures by
    issuing the press releases. The same is true of Asi’s causes of action for
    intentional and negligent infliction of emotional distress. Asi appears to
    concede the press releases form the basis of these claims, as he offers no
    argument to the contrary in his briefing before us.
    In pleading a cause of action for violation of Business and Professions
    Code section 17200, Asi specifically alleges “The conduct of HFPA . . .
    described above and in paragraphs 10 through 24 of this Complaint
    incorporated herein by this reference, as well as the additional causes of
    action within this Complaint constitute unlawful, unfair, and/or coercive and
    illegal business practices in violation of California Business and Professions
    Code Section 1700 [sic], et. seq., including, inter alia, . . . failure to adhere to
    HFPA’s Bylaws and Code of Conduct.” The plain language of the Complaint
    indicates Asi is alleging that all of the conduct by the HFPA as alleged in
    paragraphs 10 through 24 are the basis for this claim, which includes the
    allegations related to the press releases in paragraph 16. Additionally, the
    language of the cause of action makes specific reference to alleged breaches of
    HFPA’s bylaws and Code of Conduct, mirroring the allegations in paragraph
    16 that the press releases violated HFPA bylaws and rules.
    14
    As for Asi’s ninth cause of action for violation of the common law right
    of fair procedure, it is based on HFPA’s placing of Asi on probation pending
    the outcome of its investigation and not on the issuance of the press releases.
    While this cause of action inartfully incorporates the allegations of all
    preceding paragraphs, the only harm alleged and relief requested concern
    Asi’s probation. Asi’s complaint alleges the right to fair procedure protects
    “members from suspension or probation” from certain trade organizations.
    He alleges membership in the HFPA carries significant benefits for members
    and that he “is now being adversely affected in his ability to practice his
    profession by virtue of his probation from the HFPA without even a
    semblance of fair procedure.” This cause of action seeks “injunctive relief
    against defendants prohibiting them from denying him the benefits of
    membership in the HFPA based on unsubstantiated claims.” Nothing in Asi’s
    complaint indicates this cause of action is based in whole or in part on the
    issuance of the press releases.
    We find HFPA has failed to carry its burden under prong one of the
    anti-SLAPP analysis as it has not shown the ninth cause of action for
    violation of the common law right of fair procedure arises from protected
    conduct. The trial court properly denied HFPA’s motion as to the ninth cause
    of action. However, it found HFPA had carried its burden under prong one
    and Asi had established a probability of prevailing under the second prong of
    the anti-SLAPP analysis. Because we find HFPA has not carried its burden
    under prong one, we do not need to reach the question of whether Asi has
    carried his burden under prong two. We therefore affirm the trial court’s
    denial of HFPA’s motion as to this ninth cause of action, though we disagree
    with the court’s reasoning for reaching that result.
    15
    For these reasons, we find HFPA has carried its burden under prong
    one as to each challenged cause of action except Asi’s ninth cause of action for
    violation of the common law right of fair procedure. We turn next to the
    question of whether Asi has carried his burden under prong two to establish a
    probability of prevailing on the seven remaining causes of action put at issue
    by HFPA’s special motion to strike.
    C.    Prong Two: Probability of Success on the Merits
    Under the second anti-SLAPP prong, a plaintiff “need only establish
    that his or her claim has ‘minimal merit.’” (Soukup v. Law Offices of Herbert
    Hafif (2006) 
    39 Cal.4th 260
    , 291.) To satisfy this burden, the plaintiff “‘must
    demonstrate that the complaint is both legally sufficient and supported by a
    sufficient prima facie showing of facts to sustain a favorable judgment if the
    evidence submitted by the plaintiff is credited.’” (Ibid.) Although “‘the court
    does not weigh the credibility or comparative probative strength of competing
    evidence, it should grant the motion if, as a matter of law, the defendant’s
    evidence supporting the motion defeats the plaintiff’s attempt to establish
    evidentiary support for the claim.’” (Ibid.) “In making its determination, the
    court shall consider the pleadings, and supporting and opposing affidavits
    stating the facts upon which the liability or defense is based.” (§ 425.16,
    subd. (b)(2).) “However, speculative inferences not supported by the evidence
    proffered need not be considered.” (Monster Energy Co. v. Schechter (2019) 
    7 Cal.5th 781
    , 795.) “The prima facie showing of merit must be made with
    evidence that is admissible at trial.” (Salma, supra, 161 Cal.App.4th at p.
    1289.)
    16
    1.    Contract Claims
    In opposing HFPA’s motion to strike, Asi argued he could establish a
    probability of success on his first claim for breach of contract because the
    press releases violated the terms of the HFPA Whistleblower Policy, the
    HFPA Code of Professional and Ethical Conduct (Code of Conduct), and the
    HFPA Bylaws as amended and restated on August 4, 2021. He also argued
    his second cause of action for breach of the implied covenant of good faith and
    fair dealing is based on an alleged breach of the implied terms of the HFPA
    Reporting and Grievance Policy for Members (Grievance Policy). We examine
    each of these documents to determine whether Asi has met his burden of
    demonstrating a probability of success on these alleged breaches.
    a.    Breach of Contract
    “[T]he elements of a cause of action for breach of contract are (1) the
    existence of the contract, (2) plaintiff’s performance or excuse for
    nonperformance, (3) defendant’s breach, and (4) the resulting damages to the
    plaintiff.” (Oasis West Realty, LLC v. Goldman, 
    supra,
     51 Cal.4th at p. 821.)
    While the parties dispute whether the Whistleblower Policy, Bylaws, and
    Code of Conduct are enforceable contracts, we ultimately need not reach this
    issue as we find that Asi has not demonstrated the press releases breached
    any terms of these documents.
    i.     Whistleblower Policy
    The HFPA Whistleblower Policy was established, by its express terms,
    “to protect from retaliation directors, officers, employees, active members and
    volunteers of HFPA who report suspected improper conduct (each, a ‘Covered
    17
    Person’) and to provide a means for Covered Persons to raise good faith
    concerns” about actions taken by or within HFPA.
    Asi alleges HFPA’s press releases violated the confidentiality provision
    of the Whistleblower Policy, which provides “Any investigation will be
    conducted in a manner that conceals and protects the Covered Person’s
    identity and the reported information (if necessary under the circumstances)
    to the greatest extent practicable given legal requirements, consistent with
    the need to conduct a fair and adequate investigation and take necessary
    corrective action.” The confidentiality provision thus protects the identity of
    “Covered Persons” and the information reported by them. In the context of
    TheWrap’s article and the HFPA’s investigation into its claims, Asi is not a
    “Covered Person” as defined by the Whistleblower Policy. Instead, the
    individuals accusing him of sexual misconduct would be Covered Persons
    under the policy, and the information they reported was released publicly in
    an article published by TheWrap. The content of the press releases, HFPA’s
    investigation, and Asi’s probation were not contained in the allegations of his
    accusers.
    Asi has not shown the press releases revealed any information about
    the identity of his accusers or their allegations which was not already public
    information such as to run afoul of the confidentiality provision in the
    Whistleblower Policy. The press releases stated HFPA would investigate the
    claims made in the article and that Asi would be placed on probation pending
    the results of the investigation. While this information was not public
    knowledge when the press releases were issued, nothing in the Whistleblower
    Policy guarantees confidentiality to one accused of misconduct, nor does it
    provide that the existence of an investigation into misconduct would be kept
    confidential. Asi has not shown the issuance of the press releases was in any
    18
    way prohibited by the Whistleblower Policy and has failed to demonstrate a
    probability of success on any claim that the press releases breached the
    Whistleblower Policy.
    ii.   Code of Conduct
    The HFPA Code of Conduct sets forth “the values, expectations, and
    standards” of the HFPA, which its members must agree to abide by. Asi
    claims HFPA’s press releases breached the section of the Code which states
    “the HFPA will protect the reporter’s confidentiality to the fullest extent
    possible.” This section provides in pertinent part, “We encourage anyone who
    is aware of a potential violation of this Code of Conduct or any other HFPA
    policy to speak up and report any concerns. . . . Although individuals are
    encouraged to identify themselves while making reports so that any
    necessary follow-up can be undertaken, the hotline accepts anonymous
    reports. In any case, the HFPA will protect the reporter’s confidentiality to
    the fullest extent possible (although information may need to be shared to
    facilitate an investigation and response to a report).” “Reporter” in this
    context does not refer to journalists such as Asi, but rather to those who
    report violations of the Code of Conduct. As with the Whistleblower Policy,
    this section of the Code of Conduct provides confidentiality to those who
    report misconduct, not those who are accused of it.
    In the context of TheWrap’s article, Asi is not a “reporter” of
    misconduct who is guaranteed any confidentiality by the Code. Nothing in
    the Code prevents HFPA from disclosing that a member is being investigated
    or placed on probation for public accusations of sexual misconduct. Asi has
    not presented evidence demonstrating HFPA’s press releases breached any
    provision of the Code of Conduct. As a result, he has not established a
    19
    probability of success on a claim for breach of contract stemming from an
    alleged breach of the Code of Conduct.
    iii.   Bylaws
    Asi next contends the press releases violated HFPA’s Bylaws.
    Specifically, Asi points to the provision of the Bylaws which states
    “[i]nformation disclosed at any meeting of the Members that is not generally
    known to the public, including Association . . . legal matters . . . shall, not be
    disclosed by Members to third parties at any time without approval of the
    Chief Executive Officer or the Board.” This language appears in section 4.16
    of Article IV of the Bylaws, which governs official meetings of HFPA’s
    members. Other sections of Article IV provide details on the scheduling and
    place of these official meetings, including sections on remote attendance,
    voting rights, and other procedural aspects of these official meetings. Section
    4.16 sets forth rules for decorum and civility at these meetings and closes
    with the language quoted by Asi regarding the confidentiality of information
    disclosed at the meetings that is not otherwise known by the general public.
    This confidentiality provision cannot support any claim for breach of
    contract in connection with the press releases. First, Asi has not offered any
    evidence showing the investigation and his probation were discussed at an
    official meeting of HFPA members pursuant to Article IV of the Bylaws. The
    confidentiality provision in question only applies to information disclosed at
    such meetings. If the investigation and his probation were not discussed at
    an official member meeting under Article IV before the press releases were
    issued, the confidentiality provision in question is simply irrelevant. Second,
    by its express terms, section 4.16 only prohibits HFPA members from
    disclosing the content of meetings, it does not prohibit HFPA itself from
    20
    disclosing any content discussed at these meetings. Asi has not shown this
    confidentiality provision prohibited HFPA from disclosing the information
    contained in the press releases. For these reasons, we find Asi has failed to
    establish any probability of success at showing HFPA breached the Bylaws
    by issuing the press releases.
    As Asi has not put forth any evidence showing HFPA breached the
    terms of the Whistleblower Policy, Code of Conduct, or Bylaws by issuing the
    press releases, he has failed to carry his burden of establishing a probability
    of success on his claim for breach of contract in connection with the press
    releases. As Asi has failed to carry his burden under prong two, we find the
    trial court erred in denying HFPA’s motion as to this cause of action.
    b.    Breach of the Implied Covenant of Good Faith and Fair
    Dealing
    “The covenant of good faith and fair dealing, implied by law in every
    contract, exists merely to prevent one contracting party from unfairly
    frustrating the other party’s right to receive the benefits of the agreement
    actually made.” (Guz v. Bechtel National, Inc. (2000) 
    24 Cal.4th 317
    , 349.)
    “The implied covenant of good faith and fair dealing rests upon the existence
    of some specific contractual obligation.” (Racine & Laramie, Ltd. v.
    Department of Parks & Recreation (1992) 
    11 Cal.App.4th 1026
    , 1031.) “It
    cannot impose substantive duties or limits on the contracting parties beyond
    those incorporated in the specific terms of their agreement.” (Guz, 
    supra,
     24
    Cal.4th at pp. 349–350.) “A plaintiff claiming breach must allege the
    defendant’s wrongful conduct was contrary to the contract’s purpose and the
    parties’ legitimate expectations.” (Cordoba Corp. v. City of Industry (2023) 
    87 Cal.App.5th 145
    , 156.) “It is universally recognized the scope of conduct
    21
    prohibited by the covenant of good faith is circumscribed by the purposes and
    express terms of the contract.” (Carma Developers (Cal.), Inc. v. Marathon
    Development California, Inc. (1992) 
    2 Cal.4th 342
    , 373.)
    “To prove breach of the implied covenant of good faith and fair dealing,
    plaintiff must show that defendants engaged in conduct which frustrated
    plaintiff’s rights to the benefits of the parties’ agreement.” (Ojjeh v. Brown
    (2019) 
    43 Cal.App.5th 1027
    , 1037.)
    The Grievance Policy outlines certain procedures by which claims of
    misconduct are to be investigated, including whether a report will be referred
    to an outside law firm, how that firm will conduct its investigation and
    prepare its report, HFPA’s obligation to maintain records relating to such
    complaints, as well as the procedure for the imposition of disciplinary
    sanctions where a report of misconduct has been substantiated. It also
    provides that members accused of sexual or physical assault will be placed on
    probation pending the outcome of an investigation. The policy does not
    contain a confidentiality provision, nor does it make any mention of
    confidentiality. As such, it does not guarantee confidentiality to the accuser
    or the accused in the context of investigations of misconduct.
    Asi has not put forth any evidence or argument showing how the public
    acknowledgment that an investigation was ongoing or that he had been
    placed on probation pending the outcome of that investigation—without
    disclosing any details of the investigation itself—in any way frustrated the
    procedures or purpose of the Grievance Policy. The purpose of the Grievance
    Policy is to establish a process to investigate claims of misconduct and
    discipline members in instances where those claims are substantiated. Asi
    has not shown the press releases prevented or frustrated the procedures or
    process outlined in the Grievance Policy. Asi does not allege the press
    22
    releases prevented the outside law firm from conducting an investigation
    according to the Grievance Policy, or that it jeopardized HFPA’s obligation to
    maintain records relating to reports of misconduct. He has not identified any
    provision or purpose of the policy which was frustrated by the issuance of the
    press releases.
    Asi has also not offered any explanation as to how the terms of the
    Grievance Policy could give rise to a legitimate expectation that the existence
    of HFPA’s investigation and his probation would be kept confidential. We
    find no legitimate expectation of such confidentiality can be read into the
    Grievance Policy. As set forth above, the Code of Conduct and Whistleblower
    Policy make it clear that HFPA would endeavor to keep only certain aspects
    of investigations confidential; specifically, it endeavors to provide
    confidentiality only to those who report misconduct, not those who are
    accused of it. In light of this limited guarantee of confidentiality, the
    Grievance Policy cannot be legitimately or reasonably read to impliedly
    guarantee confidentiality to all aspects of an investigation, including the
    existence of an investigation itself and a member’s placement on probation
    pending the results of the inquiry.
    As Asi has not put forth any evidence indicating the press releases
    frustrated his rights to the benefits of the Grievance Policy, he has not
    carried his burden to establish a probability of success on the claim for breach
    of the implied covenant of good faith and fair dealing. The trial court erred in
    denying HFPA’s motion to strike this claim.
    23
    c.    Tortious Breach of the Implied Covenant of Good Faith and
    Fair Dealing
    In opposing HFPA’s motion below, Asi did not offer any argument or
    evidence to establish a probability of success on his third cause of action for
    tortious breach of the implied covenant of good faith and fair dealing.
    Instead, he exclusively argued that the press releases did not form the basis
    of this cause of action. The same is true on appeal. HFPA argues the cause
    of action for tortious breach of the implied covenant only exists in the context
    of insurance contracts. Asi does not address this argument in his briefing.
    “Because the covenant of good faith and fair dealing essentially is a
    contract term that aims to effectuate the contractual intentions of the parties,
    ‘compensation for its breach has almost always been limited to contract
    rather than tort remedies.’ [Citations.] At present, this court recognizes only
    one exception to that general rule: tort remedies are available for a breach of
    the covenant in cases involving insurance policies.” (Cates Construction, Inc.
    v. Talbot Partners (1999) 
    21 Cal.4th 28
    , 43.) “[T]ort recovery is considered
    appropriate in the insurance policy setting because such contracts are
    characterized by elements of adhesion and unequal bargaining power, public
    interest and fiduciary responsibility.” (Id. at p. 52.) However, cases have
    recognized other contracts may support a claim for tortious breach of the
    implied covenant where they are “sufficiently analogous to insurance to
    support the imposition of tort liability.” (Chu v. Old Republic Home
    Protection Co., Inc. (2021) 
    60 Cal.App.5th 346
    , 355 [finding home protection
    contracts are not sufficiently analogous to insurance contracts]; Cates
    Construction, 
    supra,
     21 Cal.4th at p. 60 [holding construction performance
    bonds are not sufficiently analogous to insurance contracts].)
    24
    Asi has not attempted to carry his burden to show any of the alleged
    contract documents discussed above are sufficiently analogous to insurance
    contracts to support the imposition of tort liability for breach of the implied
    covenant of good faith and fair dealing. Even if we were to assume Asi could
    validly pursue such a claim here, he has failed to carry his burden of putting
    forth evidence establishing a probability of success on the merits of such a
    claim. Accordingly, we find the trial court erred in denying HFPA’s motion as
    to the third cause of action for tortious breach of the implied covenant of good
    faith and fair dealing.
    4.    Interference Claims
    Asi’s fourth cause of action for intentional interference with contract
    and fifth cause of action for intentional interference with prospective
    economic relations are based on allegations that HFPA interfered with Asi’s
    relationship with the BBC and Al-Quds Al-Arabi. As the parties rely on
    similar arguments and evidence for these two claims, we will discuss them
    together.
    To prevail on a cause of action for intentional interference with
    contractual relations, a plaintiff must plead and prove (1) the existence of a
    valid contract between the plaintiff and a third party; (2) the defendant’s
    knowledge of that contract; (3) the defendant’s intentional acts designed to
    induce a breach or disruption of the contractual relationship; (4) actual
    breach or disruption of the contractual relationship; and (5) resulting
    damage. (Reeves v. Hanlon (2004) 
    33 Cal.4th 1140
    , 1148.)
    The elements of the tort of interference with prospective economic
    advantage are “(1) a relationship between the plaintiff and some third party
    with the probability of future economic benefit to the plaintiff; (2) the
    25
    defendant’s knowledge of the relationship; (3) a wrongful act, apart from the
    interference itself, by the defendant designed to disrupt the relationship;
    (4) actual disruption of the relationship; and (5) economic harm to the
    plaintiff proximately caused by the acts of the defendant.” (Arluk Medical
    Center Industrial Group, Inc. v. Dobler (2004) 
    116 Cal.App.4th 1324
    , 1340–
    1341.) “The chief practical distinction between interference with contract and
    interference with prospective economic advantage is that a broader range of
    privilege to interfere is recognized when the relationship or economic
    advantage interfered with is only prospective.” (Pacific Gas & Electric Co. v.
    Bear Stearns & Co. (1990) 
    50 Cal.3d 1118
    , 1126.)
    In his complaint and briefing, Asi alleges HFPA interfered with his
    relationships with the BBC and Al-Quds Al-Arabi. In his briefing before us,
    Asi claims he was suspended by Al-Quds Al-Arabi and several unidentified
    people have declined to work with him because of the press releases. Asi’s
    opposition to HFPA’s motion below did not provide evidence of any purported
    interference with his relationship with Al-Quds Al-Arabi. Asi’s declaration
    and its exhibits were the only evidence put forth by Asi in opposition to
    HFPA’s anti-SLAPP motion. Nothing in his declaration or attached exhibits
    alleges or evidences any harm to his relationship with Al-Quds Al-Arabi,
    much less any harm to that relationship stemming from the press releases.
    Asi has not established a probability of success on any claim of interference
    with his contractual or prospective relationship with Al-Quds Al-Arabi
    stemming from the press releases.4
    4      The same is true with regard to Asi’s assertion that “several people”
    have refused to work with him as a result of the press releases. Nothing in
    Asi’s declaration or supporting exhibits substantiates this assertion, and it
    does not appear in Asi’s complaint. (Medical Marijuana, Inc. v.
    ProjectCBD.com (2020) 
    46 Cal.App.5th 869
    , 893 (Medical Marijuana, Inc.)
    26
    As for the alleged interference with his relationship with the BBC, Asi
    states in his declaration that the BBC suspended him indefinitely as, “a
    result of the HFPA’s statements to the media.” The only evidence offered to
    substantiate this claim is the assertion in Asi’s declaration that “My BBC
    editor informed me by telephone that the suspension was because of the
    HFPA’s announcement of the investigation and ‘sexual assault’ statements in
    the LA Times.” Asi does not identify this editor by name, nor has Asi put
    forth a declaration, affidavit, or testimony from this editor substantiating the
    claim. This purported statement by Asi’s editor is unquestionably hearsay as
    it is an out of court statement offered for the truth of the matter asserted:
    namely, that the BBC suspended Asi because of HFPA’s second press
    release.5 HFPA objected to this portion of Asi’s declaration as hearsay and
    was overruled by the trial court. On appeal, HFPA argues the trial court
    erred in overruling this objection. We agree.
    To carry the burden under the second prong, a plaintiff must
    demonstrate the merit of the challenged claim with “‘competent admissible
    evidence.’” (Sweetwater Union High School Dist. v. Gilbane Building Co.
    (2019) 
    6 Cal.5th 931
    , 940.) Evidence Code section 1200, subdivision (b),
    provides “hearsay evidence is inadmissible” except as otherwise provided by
    law. “[T]he hearsay rule applies” in anti-SLAPP proceedings. (Id. at p. 942.)
    [“We reiterate that the pleading itself provides the outer boundaries of the
    issues that are to be addressed in an anti-SLAPP motion”]; see also Paulus v.
    Bob Lynch Ford, Inc. (2006) 
    139 Cal.App.4th 659
    , 672 (Paulus) [“As is true
    with summary judgment motions, the issues in an anti-SLAPP motion are
    framed by the pleadings”].)
    5     Evidence Code section 1200, subdivision (a) defines hearsay as “a
    statement that was made other than by a witness while testifying at the
    hearing and that is offered to prove the truth of the matter stated.”
    27
    As a result, hearsay evidence “cannot be used by the plaintiff to establish a
    probability of success on the merits because it could never be introduced at
    trial.” (Sanchez v. Bezos (2022) 
    80 Cal.App.5th 750
    , 776, internal quotation
    marks omitted.) In ruling on an anti-SLAPP motion to strike, “declarations
    that lack foundation or personal knowledge, or that are argumentative,
    speculative, impermissible opinion, hearsay, or conclusory are to be
    disregarded.” (Gilbert v. Sykes (2007) 
    147 Cal.App.4th 13
    , 26.)
    Asi does not address this issue in his briefing before us and has not
    shown an exception to the hearsay rule applies here to render this portion of
    his declaration admissible. Below, he did not dispute this section of his
    declaration was inadmissible hearsay, but claimed he would be able to
    substantiate this claim through subpoenas in discovery and thus should be
    given “leeway” to rely on hearsay evidence, citing Fashion 21 v. Coalition for
    Humane Immigrant Rights of Los Angeles (2004) 
    117 Cal.App.4th 1138
    (Fashion 21).
    Asi’s reliance on Fashion 21 is misplaced. In Fashion 21, the Court of
    Appeal held the trial court did not commit reversible error in considering an
    unauthenticated videotape in ruling on an anti-SLAPP motion to strike. (Id.
    at p. 1148.) In reaching this conclusion, the Court drew a sharp distinction
    between inadmissible hearsay and evidence that merely lacks authentication.
    “Evidence such as the videotape in this case, which is only excludable on the
    ground it lacks proper authentication, stands on a different footing in terms
    of its ability to support the plaintiffs’ cause of action. Evidence made
    inadmissible by the hearsay rule, the parol evidence rule or a privilege could
    never be introduced at trial and therefore could never support a judgment for
    the plaintiff.” (Ibid.) Fashion 21 does not permit a plaintiff to rely on
    28
    inadmissible hearsay to carry its burden in opposing an anti-SLAPP motion
    to strike.
    We find the trial court erred in overruling HFPA’s objection to this
    portion of Asi’s declaration. The hearsay evidence regarding the purported
    conversation between Asi and his editor at the BBC is inadmissible. The
    trial court should not have considered it in ruling on HFPA’s motion. This
    hearsay statement was the sole piece of evidence put forth by Asi to establish
    the press releases interfered with his relationship with the BBC. When it is
    removed from the equation, we can only conclude Asi has failed to
    demonstrate a probability of success based on alleged interference with his
    contract or relationship with the BBC.
    As Asi has failed to put forth any admissible evidence showing the
    HFPA’s press releases interfered with his contract or prospective
    relationships with the BBC or Al-Quds Al-Arabi, he has not carried his
    burden in establishing a probability of success on the causes of action for
    interference and the trial court erred in denying HFPA’s motion as to these
    claims.
    5.     Business and Professions Code section 17200
    California’s Unfair Competition Law (UCL), codified at Business and
    Professions Code section 17200, et seq., prohibits “any unlawful, unfair or
    fraudulent business act or practice.” (Bus. & Prof. Code, § 17200; see Clark v.
    Superior Court (2010) 
    50 Cal.4th 605
    , 610.) A UCL plaintiff must plead and
    prove the defendant engaged in a business practice that was either unlawful
    (i.e., forbidden by law), unfair (i.e., harm to the victim outweighs any benefit),
    or fraudulent (i.e., is likely to deceive members of the public). (Albillo v.
    Intermodal Container Services, Inc. (2003) 
    114 Cal.App.4th 190
    , 206.) “An
    29
    ‘unlawful’ business practice or act within the meaning of the UCL ‘is an act or
    practice, committed pursuant to business activity, that is at the same time
    forbidden by law.’” (Bernardo v. Planned Parenthood Federation of America
    (2004) 
    115 Cal.App.4th 322
    , 351.)
    To establish a probability of success on this claim, Asi relies on the
    assertion that HFPA breached its contracts with him by issuing the press
    releases. As we have already determined Asi has failed to establish the press
    releases breached the Whistleblower Policy, Grievance Policy, Code of
    Conduct, or Bylaws, he cannot rely on such breaches to form the predicate of
    his UCL claim. Absent such a breach, Asi has not carried his burden to
    establish the press releases were unlawful, unfair, or fraudulent. As a result,
    Asi has not established a probability of success on his UCL claim in
    connection with the press releases. The trial court thus erred in denying
    HFPA’s motion on this claim.
    6.    Intentional Infliction of Emotional Distress
    To establish a claim for intentional infliction of emotional distress, a
    plaintiff must show “(1) extreme and outrageous conduct by the defendant
    with the intention of causing, or reckless disregard of the probability of
    causing, emotional distress; (2) the plaintiff’s suffering severe or extreme
    emotional distress; and (3) actual and proximate causation of the emotional
    distress by the defendant’s outrageous conduct.” (Potter v. Firestone Tire &
    Rubber Co. (1993) 
    6 Cal.4th 965
    , 1001, internal quotation marks omitted.) To
    qualify as “outrageous,” the conduct must be so extreme as to exceed all
    bounds of that usually tolerated in a civilized community. (Ibid.) Mere
    insults, indignities, threats, annoyances, or petty oppressions are not
    sufficient. (Hughes v. Pair (2009) 
    46 Cal.4th 1035
    , 1051.)
    30
    In denying HFPA’s motion as to this claim, the trial court found Asi
    had carried his burden of showing the press releases were extreme and
    outrageous conduct because HFPA violated its procedures in issuing them.
    However, as we have determined, Asi has not shown HFPA breached any
    policy or contract in issuing the press releases. Therefore, he cannot rely on
    such claims to establish the element of extreme or outrageous conduct by
    HFPA.6
    We find Asi has failed to demonstrate HFPA’s issuance of the press
    releases was extreme or outrageous. Comstock v. Aber (2012) 
    212 Cal.App.4th 931
     (Comstock) is instructive. The plaintiff in Comstock sued
    her employer and two coworkers for sexual assault. (Id. at pp. 934–935.)
    One of the defendant coworkers cross-complained against her, denying her
    allegations and asserting claims for defamation and intentional infliction of
    emotional distress based on the allegation that the plaintiff had falsely
    accused him of sexual assault to friends and other coworkers, as well as in
    reports made to a hospital nurse, the police, and to the company’s human
    6       On appeal, Asi argues for the first time that he can establish a
    probability of success on this claim because HFPA erroneously characterized
    the accusations against him as allegations of “sexual assault” rather than
    “sexual misconduct.” The claim does not appear in Asi’s complaint and thus
    he cannot rely on this allegation to defeat HFPA’s anti-SLAPP motion to
    strike. (Medical Marijuana, Inc., supra, 46 Cal.App.5th at p. 883 [“the act or
    acts underlying a claim for purposes of an anti-SLAPP statute is determined
    from the plaintiffs' allegations” and the court “will not ‘insert into a pleading
    claims for relief based on allegations of activities that plaintiffs simply have
    not identified’”]; Paulus, supra, 139 Cal.App.4th at p. 672.) Additionally,
    having failed to raise this argument in the trial court, Asi may not assert it
    for the first time on appeal. (In re Marriage of Nassimi (2016) 
    3 Cal.App.5th 667
    , 695 [“‘“theories not raised in the trial court cannot be asserted for the
    first time on appeal”’”]; Bocanegra v. Jakubowski (2015) 
    241 Cal.App.4th 848
    ,
    857 [“‘“a party is not permitted to change its position on appeal and raise new
    issues not presented in the trial court”’”].)
    31
    resources department. (Id. at pp. 936–937.) In response, the plaintiff
    brought an anti-SLAPP motion to strike the defendant’s cross-complaint,
    which was granted by the trial court. (Id. at p. 939.) The Court of Appeal
    affirmed, finding the defendant had not established a probability of success
    on his claim for intentional infliction of emotional distress, finding “The
    complained-of conduct here—reporting a sexual assault to the Kaiser nurse
    and Kluwer’s HR department—is hardly ‘extreme and outrageous.’” (Id. at p.
    954.)
    HFPA’s conduct here falls well below the allegations found to be
    insufficient in Comstock. HFPA’s press releases merely confirmed HFPA was
    investigating public accusations against Asi and that Asi would be placed on
    probation pending the results of the investigation. In other words, HFPA’s
    statements acknowledged it was aware of the accusations against Asi and
    was following its internal policies in handling these allegations of
    misconduct. If accusations of sexual assault do not qualify as extreme or
    outrageous conduct, it is difficult to see how simply acknowledging an
    investigation into public claims of sexual assault or misconduct could give
    rise to a claim for intentional infliction of emotional distress.
    The press releases simply do not rise to the level of conduct which has
    been held sufficiently extreme and outrageous such as to support a claim for
    intentional infliction of emotional distress. (See, e.g., Kiseskey v. Carpenters’
    Trust for So. California (1983) 
    144 Cal.App.3d 222
    , 229–230 [finding threats
    of physical harm directed at plaintiff and his family were sufficient to state a
    claim]; Plotnik v. Meihaus (2012) 
    208 Cal.App.4th 1590
    , 1598 [same]; Grenier
    v. Taylor (2015) 
    234 Cal.App.4th 471
    , 486–487 [finding falsely accusing
    plaintiff of being a self-confessed child molester who steals from his church
    and abuses and deals drugs, coupled with statements that plaintiffs should
    32
    have their teeth knocked out and reproductive organs removed was
    sufficiently extreme and outrageous]; KOVR-TV, Inc. v. Superior Court (1995)
    
    31 Cal.App.4th 1023
    , 1032 [holding that callously informing children that
    their friends had been murdered was sufficient to give rise to a claim for
    intentional infliction of emotional distress].)
    We find Asi has failed to establish a probability of success on his claim
    for intentional infliction of emotional distress stemming from HFPA’s press
    releases, and HFPA’s motion to strike this claim should have been granted.
    DISPOSITION
    The trial court’s order is affirmed in part and reversed in part, and the
    cause is remanded with directions to enter an order granting HFPA’s special
    motion to strike the first, second, third, fourth, fifth, sixth, and seventh
    causes of action to the extent they are based on HFPA’s issuance of the press
    releases. HFPA is awarded its costs on appeal.
    NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS
    ZUKIN, J.
    WE CONCUR:
    CURREY, P. J.
    COLLINS, J.
    33
    

Document Info

Docket Number: B327002

Filed Date: 10/13/2023

Precedential Status: Non-Precedential

Modified Date: 10/13/2023