Filed 6/17/15 Telegraph Hill Properties v. Thompson CA1/3
                      NOT TO BE PUBLISHED IN OFFICIAL REPORTS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
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              IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                       FIRST APPELLATE DISTRICT

                                                DIVISION THREE


TELEGRAPH HILL PROPERTIES, INC.,
et al.,
         Plaintiffs and Respondents,                                     A137511
                                                                         A137885
v.
ERIN THOMPSON,                                                           (City and County of San Francisco
                                                                          Super. Ct. No. CGC-12-526194)
         Defendant and Appellant.


         Defendant Erin Thompson appeals from (1) an order filed on December 13, 2012,
which, in pertinent part, granted a preliminary injunction in favor of plaintiff Telegraph
Hill Properties, Inc. (THP), and directed her to return certain electronically recorded
documents (electronic records) (including attorney-client privileged documents) that she
obtained from THP, together with all copies (both paper and electronic) of those
documents that were in her and her counsel’s possession, custody, or control; and (2) an
order filed on January 11, 2013, which, in pertinent part, denied her special motion to
strike the complaint of plaintiffs THP and North Beach Partners, LLC (NBP), as a
strategic lawsuit against public participation pursuant to Code of Civil Procedure,1
section 425.16 (hereafter also referred to as the SLAPP statute or the anti-SLAPP
statute). We affirm.




1
         All further unspecified statutory references are to the Code of Civil Procedure.


                                                             1
                 FACTUAL AND PROCEDURAL BACKGROUND2
       A.     Background
       Plaintiff THP is a real estate brokerage with its principal place of business in San
Francisco, California, and Plaintiff NBP, is a Nevada limited liability company with its
principal place of business in San Francisco, California. WB Coyle is the president of
THP and the managing member of NBP. Defendant Erin Thompson, a licensed real
estate agent, was a realtor who worked for THP from 2006 until April 2011.
       On November 19, 2012, plaintiffs filed a lawsuit against Thompson, seeking
compensatory and punitive damages for “possession of personal property.”3 Plaintiffs
alleged that THP had made it clear to all persons who had access to its computer server
that their access to the electronic records on the computer server was limited to their
work on behalf of THP or other entities using the computer equipment, that all persons
were required to maintain the confidentiality of the electronic records, and that THP
made reasonable efforts to insure that the electronic records were secure. It was then
alleged that on or about April 19, 2011, before or after regular business hours (either late
in the evening or early in the morning of the following day), Thompson or “other persons
acting on her behalf” obtained access to THP’s computer equipment and used a device to
copy all of the electronic records on the computer’s server in violation of Thompson’s
agreements with THP and her obligations as a realtor working for THP. On numerous
subsequent occasions, THP demanded that Thompson return the copies of the electronic
records, but she repeatedly refused to do so. On or about April 27, 2011, Thompson’s
counsel informed THP that counsel had possession of the electronic records that had been
copied from THP’s computer server. Thereafter, on numerous occasions, THP demanded
that Thompson’s counsel return the electronic records but counsel refused to do so. THP
sought both compensatory and punitive damages.


2
     We set forth only those facts that are necessary to resolve these appeals.
3
     Although Thompson’s counsel, Seiler Epstein Ziegler & Applegate, LLP, was also
named as a defendant, plaintiffs dismissed their claims against the law firm.


                                             2
       B.     Trial Court Proceedings
       On the day after the filing of the complaint, and after notice to Thompson,
plaintiffs secured an order to show cause why a preliminary injunction should not issue
directing Thompson and her counsel to return the electronic records (including attorney-
client privileged documents) that Thompson “stole/obtained” from THP and were then in
the possession of her counsel. Plaintiffs submitted a declaration from Coyle in support of
the request for a preliminary injunction. Coyle believed that in the Spring of 2011,
Thompson had copied “all of the thousands of files,” which were on THP’s computer
server. The files were electronic records consisting of plaintiffs’ business records as well
as Coyle’s personal records for the past 15 years. Coyle initially suspected the theft of
the electronic records early on the morning of April 22, 2011, when he saw Thompson’s
assistant leaving the office with what appeared to be a USB cable hanging out from under
his jacket. Given the quantity of information that was copied from the computer server,
Coyle surmised it must have taken a considerable amount of time to copy, at least several
hours, and it was the actual theft of the device on which electronic records had been
copied that probably occurred on the morning of April 22, 2011. Coyle further averred
that in an email Thompson had confirmed that she copied everything from the THP
computer server onto an external hard drive and given the hard drive to her counsel “so
that they could use it as leverage against” him. Coyle made numerous unsuccessful
demands for the return of the hard drive and any other copies of the electronic records
taken from the computer server. Coyle further explained he had not earlier sought legal
action for two reasons: (1) on June 10, 2011, Thompson’s counsel had threatened to
pursue a criminal prosecution against Coyle if he took legal action against Thompson
concerning the hard drive, and that even if the criminal charges were later dropped, the
prosecution would be expensive to defend and ruin his reputation; and (2) Coyle’s
financial condition was dire as a number of properties in which he had an economic
interest were in foreclosure. Nonetheless, Coyle decided to file this legal action because
of “the very serious threat that the privileged and confidential information contained on



                                             3
the hard drive might be used by” Thompson’s counsel in representing certain parties
against THP and NBP in a pending arbitration.
       In opposing the request for a preliminary injunction, Thompson submitted a
declaration describing her employment with THP. She claimed that in 2011, she became
aware that Coyle was lying to his investors about the amount of commissions that were
being paid by the company, including making a false statement that she had been paid a
commission regarding a certain property, when in fact she had not been paid a
commission. She checked the spreadsheet for the transaction and discovered that it had
been altered after her meeting with Coyle about the claim of a commission payment. She
was concerned that investors filing any action for fraud or to rescind sales of the
properties against Coyle and THP would seek to recoup funds from her for moneys that
she had never been paid by THP. She then averred, “Fortunately, a copy of the file server
of Telegraph Hill Properties came into my possession. This file server preserved the
electronically stored information at least as of April 2011. The Telegraph Hill Properties
transaction files that are contained on that server are direct, documentary proof of the
transactions – before Mr. Coyle could falsify them further.” Thompson further stated that
in May 2011 she consulted with counsel regarding Coyle’s conduct and his threats
against her. She gave the copy of the electronic records taken from THP’s computer
server to her counsel to be “maintained in trust.” She had accessed the electronic records
to review financial information as it pertained to her during her employment with THP,
her transactions, and her properties. She discovered that Coyle had forged her signature
on a LLC Operating Agreement pertaining to property that both she and Coyle owned in
San Francisco. She therefore claimed that the reason why the electronic records taken
from THP’s computer server were being “maintained in trust” was to preserve evidence
related to the THP transactions that Coyle could further attempt to falsify. She claimed
she had no interest in maintaining any of the information, except to defend herself against
claims by Coyle’s investors or by Coyle himself.
       In a reply declaration, Coyle denied Thompson’s allegations, averring that he
never altered any spreadsheet to show that Thompson had been paid a commission, but


                                             4
there were several documents showing she had earned a commission on a transaction. He
also told her that there was a problem with an office file because it did not include a copy
of the disclosure package that had been signed by the buyer, that as the realtor on that
transaction it was her responsibility to obtain a signed copy of the disclosure package,
and that Thompson believed that the person who had acted on behalf of the buyer would
sign a document confirming that he had received the disclosure package – because that
was true: she had delivered the disclosure package.
       After argument on the matter on December 13, 2012, the trial court granted
plaintiffs’ request for a preliminary injunction, and directed Thompson to return the
electronic records (including attorney-client privileged documents) that she had obtained
from THP and were then in the possession of her counsel, together with all copies (both
paper and electronic) of those documents that were in the possession, custody, or control
of Thompson and her counsel. Before the injunction would take effect, the court required
plaintiffs to file a written undertaking in the sum of $10,000, pursuant to section 529, for
the purpose of indemnifying Thompson and her counsel for the damages that they might
sustain by reason of the preliminary injunction if the court finally decided that plaintiffs
were not entitled to injunctive relief.
       Following the issuance of the preliminary injunction order, Thompson filed a
section 425.16 special motion to strike the complaint, which was opposed by plaintiffs.
The parties submitted declarations, essentially asking the court to consider the same facts
that had been submitted to the court concerning plaintiffs’ request for a preliminary
injunction. After considering the parties’ documents and arguments by counsel on
January 11, 2013, the trial court issued a written decision and order denying Thompson’s
anti-SLAPP motion.
       Thompson timely appealed from the orders filed on December 13, 2012, and
January 11, 2013.




                                              5
                                        DISCUSSION
I.     Denial of Thompson’s Special Motion to Strike the Complaint
       Section 425.16, subdivision (b)(1), states, in pertinent part: “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.”
       “In ruling on a special motion to strike, the trial court follows a two-step analysis
that involves shifting burdens. (Smith v. Adventist Health System/West (2010) 190
Cal.App.4th 40, 50 [117 Cal.Rptr.3d 805].) The moving defendant carries the initial
burden to show the challenged cause of action arises from protected free speech or
petitioning activity. (Coretronic Corp. v. Cozen O’Connor (2011) 192 Cal.App.4th 1381,
1387 [121 Cal.Rptr.3d 254] (Coretronic).) The burden is satisfied by demonstrating that
the conduct underlying the plaintiff’s claim fits into a category of protected activity set
forth in section 425.16, subdivision (e). [4] (Navellier v. Sletten (2002) 29 Cal.4th 82, 88
(Navellier).) [¶] If the court finds the defendant’s threshold showing has been made, the
burden shifts to the plaintiff to produce evidence establishing a probability of prevailing
on the cause of action. (Equilon Enterprises v. Consumer Cause, Inc. (2002) 29 Cal.4th
53, 67 [124 Cal.Rptr.2d 507, 52 P.3d 685] [(Equilon Enterprises)].)” (Castleman v.
Sagaser (2013) 216 Cal.App.4th 481, 489-490, fn. omitted (Castleman).) On appeal, our



4
       Section 425.16, subdivision (e), categories include “(1) any written or oral
statement or writing made before a legislative, executive, or judicial proceeding, or any
other official proceeding authorized by law, (2) any written or oral statement or writing
made in connection with an issue under consideration or review by a legislative,
executive, or judicial body, or any other official proceeding authorized by law, (3) 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, or (4) 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).)


                                               6
review “of an order . . . denying a motion to strike under section 425.16 is de novo.”
(Soukup v. Law Offices of Herbert Hafif (2006) 39 Cal.4th 260, 269, fn. 3.)
       In evaluating whether Thompson met her burden on the first step of the section
425.16 analysis, “the critical consideration is whether the cause of action [against her] is
based on protected free speech or petitioning activity.” (Navellier, supra, 29 Cal.4th at
p. 89.) We examine that alleged “wrongful conduct itself, without particular heed to the
form of action within which it has been framed.” (Peregrine Funding, Inc. v. Sheppard
Mullin Richter & Hampton LLP (2005) 133 Cal.App.4th 658, 671 (italics added)
(Peregrine Funding), citing to Navellier, supra, 29 Cal.4th at pp. 92-93, and Jarrow
Formulas, Inc. v. LaMarche (2003) 31 Cal.4th 728, 734-735.) In other words, we look to
the nature of the dispute to be resolved by plaintiffs’ lawsuit, and analyze whether that
“dispute, and not any protected activity, is ‘the gravamen or principal thrust’ of the
action.” (Episcopal Church Cases (2009) 45 Cal.4th 467, 477-478.) “We review the
parties’ pleadings, declarations, and other supporting documents at this stage of the
analysis only ‘to determine what conduct is actually being challenged, not to determine
whether the conduct is actionable.’ (Coretronic, supra, 192 Cal.App.4th at p. 1389.)”
(Castleman, supra, 216 Cal.App.4th at p. 491.) “If liability is not based on protected
activity, the cause of action does not target protected activity and is therefore not subject
to the SLAPP statute.” (Haight Ashbury Free Clinics, Inc. v. Happening House Ventures
(2010) 184 Cal.App.4th 1539, 1550.)
       Concededly, “[s]ection 425.16 is broadly construed to encompass a variety of
prelitigation and litigation-related activities. (People ex rel. Fire Ins. Exchange v. Anapol
(2012) 211 Cal.App.4th 809, 822-824 [150 Cal.Rptr.3d 224].)” (Castleman, supra, 216
Cal.App.4th at p. 491.) “[T]his does not mean, however, that [Thompson] can carry [her]
burden by highlighting the fact that [she] consulted a lawyer about matters involving
[plaintiffs].” (Ibid.) “Although a party’s litigation-related activities constitute ‘act[s] in
furtherance of a person’s right of petition or free speech,’ it does not follow that any
claims associated with those activities are subject to the anti-SLAPP statute.” (Freeman



                                               7
v. Schack (2007) 154 Cal.App.4th 719, 729-730; see Equilon Enterprises, supra, 29
Cal.4th at p. 66.)
       Despite Thompson’s arguments to the contrary, we are not here concerned with
prelitigation conduct that courts have found to be subject to the anti-SLAPP statute.
Rather, plaintiffs’ lawsuit is based solely on allegations that Thompson improperly
acquired and retained copies of all the electronic records that were taken from THP’s
computer server without its consent. Thompson’s alleged conduct does not constitute
petitioning or free speech activity, and therefore, does not fall within the scope of section
425.16. (See Renewable Resources Coalition, Inc. v. Pebble Mines Corp. (2013) 218
Cal.App.4th 384, 387, 396-397 (Renewable Resources Coalition) [plaintiff’s complaint
that defendants wrongfully purchased its confidential information was not an act by
defendants in furtherance of their constitutional rights of petition or free speech];
Peregrine Funding, supra, 133 Cal.App.4th at p. 671 [plaintiff’s complaint that defendant
law firm improperly failed to turn over all client documents to bankruptcy trustee “does
not appear to target speech or petitioning activity”].) 5
       In seeking to demonstrate that she met her burden under the first step of the
section 425.16 analysis, Thompson asks us to consider that her conduct was justified
because she had a good faith belief that she was in danger of being named as a defendant
in litigation for which some of the electronic records might be pertinent to her defense;
5
        We are not persuaded by Thompson’s attempts to distinguish Renewable
Resources Coalition on the ground that the gravamen of the lawsuit there was “to prevent
bribery,” while the gravamen of the lawsuit here is “to prevent a client from
communicating with her attorneys and preserving evidence for potential litigation.”
Plaintiffs’ motive in bringing the lawsuit “is not relevant under the anti-SLAPP statute.
As a corollary, a claim filed in response to, or in retaliation for, threatened or actual
litigation is not subject to the anti-SLAPP statute simply because it may be viewed as an
oppressive litigation tactic.” (City of Cotati v. Cashman (2002) 29 Cal.4th 69, 78.)
        Additionally, we see nothing in Fox Searchlight Pictures, Inc. v. Paladino (2001)
89 Cal.App.4th 294, Neville v. Chudacoff (2008) 160 Cal.App.4th 1255, CKE
Restaurants, Inc. v. Moore (2008) 159 Cal.App.4th 262, or Digerati Holdings, LLC v.
Young Money Entertainment, LLC (2011) 194 Cal.App.4th 873, cited by Thompson,
which supports a finding that she met her burden under the first step of the section 425.16
analysis.


                                              8
and she therefore “had and continues to have every right to defend herself with a
powerful weapon: documents revealing the truth about WB Coyle. She had the right to
take the least invasive steps possible to preserve evidence, and to provide that evidence to
her attorneys to hold in trust. . . . She had every right to ask her attorneys to keep
documents that would potentially protect her from unfounded allegations – from being set
up by WB Coyle for investor lawsuits.” However, these arguments address the merits of
plaintiffs’ lawsuit and Thompson’s defenses, which are not relevant to the first step of the
section 425.16 analysis. (See Castleman, supra, 216 Cal.App.4th at p. 493; Coretronic,
supra, 192 Cal.App.4th at p. 1388.)
       Based on our independent review of the record, we conclude Thompson failed to
meet her threshold burden to show plaintiffs’ claims arose from constitutionally protected
activity within the meaning of section 425.16. Thus, the trial court properly denied
Thompson’s anti-SLAPP motion as plaintiffs’ lawsuit “was not subject to early scrutiny
by way of a special motion to strike.” (Renewable Resources Coalition, supra, 218
Cal.App.4th at p. 398.) In light of our determination, we do not reach the second step of
the section 425.16 analysis concerning whether plaintiffs demonstrated a probability of
prevailing on the merits of their complaint. Accordingly, Thompson is “free to
challenge” the complaint “on other grounds and through other procedural means.”
(Department of Fair Employment & Housing v. 1105 Alta Loma Road Apartments, LLC
(2007) 154 Cal.App.4th 1273, 1288, fn. omitted.)

II.    Grant of Preliminary Injunction
       Thompson challenges, on various grounds, the trial court’s grant of a preliminary
injunction. We conclude none of her contentions warrants reversal.
       In granting preliminary injunctive relief, the trial court relied on Pillsbury,
Madison & Sutro v. Schectman (1997) 55 Cal.App.4th 1279 (Schectman), which was also
primarily relied on by plaintiffs to support their request for preliminary injunctive relief.
In that case, plaintiff Pillsbury, Madison & Sutro (PM&S), a law firm, brought an action
against Steven Schectman and Law Offices of Pinnock & Schectman (Schectman) “for
specific recovery of personal property and for temporary, preliminary, and permanent

                                               9
injunctive relief. The complaint alleg[ed] Schectman gained possession of confidential
personnel documents removed from the offices of PM&S without its consent. Schectman
represent[ed] current and former PM&S employees in connection with employment law
claims against PM&S. PM&S also filed applications for writ of possession, [and] a
temporary restraining order.” (Id. at p. 1282.) “Under the authority of the claim and
delivery of personal property statutes (Claim and Delivery Statutes) (Code Civ. Proc.,
§§ 511.010-516.050) and those providing for injunctions (id., § 526 et seq.), along with
the court’s inherent authority to administer the resolution of disputes, the [trial] court
issued an order requiring Schectman to surrender originals and copies of documents
removed from PM&S . . . .” (Schectman, supra, at p. 1282.) On appeal, our colleagues
in Division Two upheld the trial court’s order, which was challenged only on the ground
that a preliminary injunction did not lie. (Id. at pp. 1283-1284.) The court found that a
preliminary injunction was properly issued for Schectman’s “wrongful possession of
confidential documents for use in anticipated litigation against PM&S,” based on the
court’s inherent authority to administer the resolution of disputes, and in the absence of
any policy exception to that authority, such as an underlying First Amendment issue, or
justification based on evidence of threats of physical harm. (Id. at p. 1287.) The court
explained, “Schectman’s assertion of an interest or justification superior to any interest
grounded ‘solely on the basis of ownership’ is not readily distinguished from a
pickpocket’s interest in a stranger’s purse. Whether or not he might be able to articulate
an end justifying the means he proposes ─ which is no less than to lay claim to
documents which do not arguably ‘implicate any personal privacy interest’ ─ he would
still fail to state a sufficient reason to subvert society’s interest in preserving private
property, as well as maintaining the jurisdiction of the courts to administer the orderly
resolution of disputes. The trial court properly rejected these claims under the authority
of the Claim and Delivery Statutes, which are based not only upon fundamental common
law concepts of property ownership and conversion, but also upon a recognition of the
court’s inherent authority to administer disputes over possession of chattels. [¶]
Accordingly, although it is enough to conclude there was no abuse of discretion in


                                               10
granting the injunction in this case, we will state clearly our agreement with those courts
which have refused to permit ‘self-help’ discovery which is otherwise violative of
ownership or privacy interests and unjustified by any exception to the jurisdiction of the
courts to administer the orderly resolution of disputes. Any litigant or potential litigant
who converts, interdicts or otherwise purloins documents in the pursuit of litigation
outside the legal process does so without the general protections afforded by the laws of
discovery and risks being found to have violated protected rights. The least sanction
cognizable in these circumstances would appear to be the one chosen by the trial court
here: the return to the status quo existing at the time the documents were taken.” (Id. at
pp. 1288-1289.)
       We reject Thompson’s initial argument that a mandatory injunction was not
available for plaintiffs’ claim to recover personal property. According to Thompson, the
grant of a mandatory injunction was erroneous as a matter of law for two reasons: (1) it
altered the status quo because at the time of the request she or her counsel had possessed
and retained the copied electronic records for 18 months, and (2) an exception allowing
the grant of a mandatory injunction under the Claim and Delivery statute concerning
repossession of personal property (§§ 511.010-516.050) was not available because
plaintiffs did not sue under that statute and did not request relief by way of a writ of
possession. However, as explained by the court in Schectman, supra, 55 Cal.App.4th at
p. 1289, the issuance of the preliminary injunction here in essence allowed for “the return
to the status quo existing” at the time the electronic records were taken from THP’s
computer server without its consent. Additionally, the fact that plaintiffs did not sue or
rely on the Claim and Delivery statute did not preclude the trial court’s grant of
injunctive relief pursuant to § 525 et seq. as requested by plaintiffs. The Claim and
Delivery statute specifically provides, “Nothing in this chapter [Claim and Delivery of
Personal Property] shall preclude the granting of relief pursuant to Chapter 3 [Injunction]
(commencing with Section 525) of this title [Other Provisional Remedies in Civil
Actions].” (§ 516.050; see Schectman, supra, 55 Cal.App.4th at pp. 1283-1284.)



                                             11
       Nor are we persuaded by Thompson’s additional argument that the trial court
abused its discretion in granting preliminary injunctive relief. The trial court
“ ‘ “evaluate[s] two interrelated factors when deciding whether or not to issue a
preliminary injunction. The first is the likelihood that the plaintiff will prevail on the
merits at trial. The second is the interim harm that the plaintiff is likely to sustain if the
injunction were denied as compared to the harm the defendant is likely to suffer if the
preliminary injunction were issued.” ’ ” (People ex rel. Gallo v. Acuna (1997) 14 Cal.4th
1090, 1109.) “A trial court will be found to have abused its discretion only when it has
‘ “exceeded the bounds of reason or contravened the uncontradicted evidence.” ’ ” (IT
Corp. v. County of Imperial (1983) 35 Cal.3d 63, 69.)
       Thompson contends that the trial court failed to give sufficient consideration to the
following factors: (1) her offer to deposit the hard drive containing the copied electronic
records with a neutral third-party to preserve it as evidence; (2) plaintiffs’ delay in
seeking injunctive relief for 18 months; and (3) the weight of the evidence showed that
Coyle was likely to alter documents and had already done so; and if the preliminary
injunction were granted, without forcing a copy to be held in escrow, then Coyle would
be free to conceal, alter or destroy evidence. However, we must decline Thompson’s
request that we reweigh the evidence on this point. “[T]he applicable standards of
appellate review of [an order or] judgment based on affidavits or declarations are the
same as for [an order or] a judgment following oral testimony: We must accept the trial
court’s resolution of disputed facts when supported by substantial evidence; we must
presume the court found every fact and drew every permissible inference necessary to
support its judgment, and defer to its determination of credibility of the witnesses and the
weight of the evidence.” (Betz v. Pankow (1993) 16 Cal.App.4th 919, 923, citing to
Griffith Co. v. San Diego College for Women (1955) 45 Cal.2d 501, 507-508.)
Consequently, the trial court, after weighing “all the affidavits, declarations, and other
documentary evidence . . . to reach a final determination” (Engalla v. Permanente
Medical Group, Inc. (1997) 15 Cal.4th 951, 972), was free to reject Thompson’s
submissions, and accept that plaintiffs had submitted adequate evidence demonstrating


                                              12
both the immediate need for the injunctive relief and the reasons for the delay in earlier
seeking the relief. Thus, we see no basis to disturb the trial court’s grant of a preliminary
injunction, which was based on its finding that the evidence and the inferences to be
drawn from that evidence showed that neither Thompson nor her counsel had a lawful or
public policy right or excuse to either possess or retain copies of the electronic records
taken from THP’s computer server without its consent. (See Schectman, supra, 55
Cal.App.4th 1279.) We conclude our discussion by noting that an order granting a
preliminary injunction “reflects nothing more than the [trial] court’s evaluation of the
controversy on the record before it at the time of its ruling; it is not an adjudication of the
ultimate merits of the dispute.” (People ex rel. Gallo v. Acuna, supra, 14 Cal.4th at
p. 1109.)
       In the absence of any showing of error or abuse of discretion by the trial court, we
must uphold the order granting preliminary injunctive relief.

                                       DISPOSITION
       The order filed on December 13, 2012, and the order filed on January 11, 2013,
are affirmed. Plaintiffs are awarded costs on appeal.



                                                   _________________________
                                                   Jenkins, J.


We concur:


_________________________
McGuiness, P. J.


_________________________
Siggins, J.




                                              13
