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Wood v. Cnty. of Contra Costa

Wood v. Cnty. of Contra Costa

Opinion

Case No. 19-cv-04266-MMC

10-08-2019

ANDREA WOOD, Plaintiff, v. COUNTY OF CONTRA COSTA, et al., Defendants. 


MAXINE M. CHESNEY United States District Judge

ORDER GRANTING MOTIONS TO DISMISS; DISMISSING ACTION; DIRECTIONS TO CLERK

Before the Court are the following four motions: (1) defendant Mary Carey's ("Carey") Motion, filed August 29, 2019, "to Dismiss Plaintiff's Amended Complaint"; (2) defendants Superior Court Judge Lois Haight ("Judge Haight") and Superior Court Judge Thomas Maddock's ("Judge Maddock") (collectively, "Judicial Defendants") Motion, filed August 30, 2019, "to Dismiss Plaintiff's Second Amended Complaint"; (3) defendants County of Contra Costa ("County"), Kellie Case ("Case"), Edyth Williams ("Williams"), Cecelia Gutierrez ("Gutierrez"), and Patricia Lowe's ("Lowe") (collectively, "County Defendants") Motion, filed August 30, 2019, "to Dismiss the Second Amended Complaint," and (4) defendant Erica Bains's ("Bains") Motion, filed September 17, 2019, "to Dismiss First Amended Complaint." The motions have been fully briefed.

A tenth defendant, Judith Lawrence ("Lawrence") has filed an answer.

By order filed September 27, 2019, the Court took the Judicial Defendants' motion under submission. The Court deems the other three motions appropriate for decision on the parties' respective written submissions as well, VACATES the hearings scheduled  thereon, and, having read and considered the papers filed in support of and in opposition to dismissal, hereby rules as follows.

To the extent the motions filed on behalf of Carey and the County Defendants also include a request that the Court declare plaintiff a vexatious litigant, the Court will address such requests by separate order.

BACKGROUND

In the instant action, plaintiff Andrea Wood ("Wood") alleges the County's Department of Family & Child Services ("DFCS"), acting through social workers Case, Williams, and Gutierrez, along with Deputy County Counsel Lowe, instituted a state court action that resulted in the "removal" of Wood's three minor children, "TP, HP, and KP," from Wood's home. (See Amended Complaint ("AC") ¶¶ 10-11, 13-14, 48.) According to Wood, the removal of her children was the result of an alleged "racketeering [e]nterprise," of which all defendants are members and which "concoct[ed] fictitious instances of child neglect." (See AC ¶ 63.)

After filing her initial complaint on July 25, 2019, Wood subsequently, on August 13, 2019, August 16, 2019, and September 12, 2019, respectively, filed three documents titled "Amended Document," the latter two of which have been referred to by some of the defendants as a Second Amended Complaint and Third Amended Complaint. The first and second "Amended Complaints" were both signed by Wood on August 2, 2019, and are identical in content; on August 19, 2019, however, Wood filed seven exhibits as a supplement to the second "Amended Complaint. The third "Amended Complaint," although also identical in content to the first and second, differs in that it is unsigned, and, in addition, has four attached exhibit tabs, but no exhibits. As the last-filed "Amended Complaint" is unsigned, and lacks the exhibits Wood apparently intends to include in her operative pleading, the Court considers the second "Amended Complaint," i.e., the document filed August 16, 2019, as supplemented by the exhibits filed August 19, 2019, to be the operative pleading, and understands each motion to dismiss to be directed thereto.

Wood alleges the enterprise's assertedly unlawful acts began in August 2017, when Bains, one of Wood's neighbors, provided a "false report" about her to the DFCS (see AC ¶¶ 5, 9, 16), after which the DFCS "removed [her] children" (see AC ¶ 18). Wood alleges that, thereafter, Gutierrez filed in state court a "Detention Report based on fabricated allegations, with no evidence" (see AC ¶ 19), which filing described Wood as having engaged in "neglect" (see AC ¶ 54), and was provided to Judge Haight, the state  court judge to whom the matter had been assigned (see AC ¶ 19.) Next, Wood alleges, Judge Haight appointed Carey, a private attorney, to act as counsel for Wood (see AC ¶ 20), and that Carey "immediately proceeded contrary to the wishes of [Wood]" (see AC ¶ 21).

Wood also alleges Judge Haight conducted the subsequent proceedings in a manner that caused Wood to be deprived of her right to have "custody of [her] children" (see AC ¶ 41); specifically, Wood alleges, "the court" issued a "notice" in which "the court" stated it "wishe[d] to adopt out HP and KP" (see AC ¶ 34). According to Wood, said determination was the result of a series of unlawful acts. In particular, Wood alleges, "all" defendants "obstruct[ed] justice by coaching TP, HP, and KP" (see AC ¶ 81), Williams "committed perjury" on "numerous occasions" (see AC ¶ 87), Judge Haight made a "disapproving look" during Case's testimony, in order to convince Case to change her testimony in a manner unfavorable to Wood (see AC ¶¶ 29, 71), Judge Haight denied Wood's "right to call a witness" (see AC ¶ 35), Carey "block[ed]" Wood's "evidence" from being admitted and made "deal[s]" that were "strongly against [Wood's] interests" (see AC ¶¶ 22, 23), Judge Maddock stated he would have Wood "arrested" if she made "one mention of these matters to the mass media" (see AC ¶ 36), and Judge Maddock denied Wood access to "transcripts" that would have "implicated" him in violations of federal law (see AC ¶ 88).

Wood gives four examples of such coaching: (1) Bains "coached" TP to "tell untruths about [Wood] and that she hit HP" (see AC ¶ 69); (2) a "member of the [e]nterprise," unidentified by Wood, "coached KP to say she was hit with a whip" (see AC ¶ 73); (3) Judge Haight, Case, and Lawrence, an attorney appointed to represent HP, "coached HP . . . to untruthfully testify about [Wood's] sex life" and to "tell less than the whole truth" (see AC ¶¶ 90-91); and (4) a member or members of the "[e]nterprise," unidentified by Wood, threatened HP that he would be placed in "Juvenile Hall" unless he said "bad things" about Wood (see AC ¶ 70).

Based on the above allegations, Wood asserts the following four claims: (1) a claim against all ten defendants for violation of 18 U.S.C. § 1961, the Racketeer Influenced and Corrupt Organizations Act; (2) a claim against Judge Maddock for  violation of the First Amendment; (3) a claim against all defendants other than Lawrence for violation of the Fourteenth Amendment; and (4) a claim against all defendants, other than Bains, Carey, and Lawrence, for violation of 42 U.S.C. § 1983. As relief, Wood seeks compensatory damages, punitive damages, and an injunction to prohibit certain of the defendants from further depriving her of her federal rights.

DISCUSSION

In their respective motions to dismiss, defendants argue the instant action is subject to dismissal under the Rooker-Feldman doctrine, see Rooker v. Fidelity Trust Co.263 U.S. 413 (1923); District of Columbia Court of Appeals v. Feldman460 U.S. 462 (1983), and, as to some of the defendants, on the Younger doctrine as well, see Younger v. Harris401 U.S. 37 (1971).

In light of its findings set forth below, the Court does not address herein the additional arguments made by defendants in support of dismissal.

As discussed below, both doctrines limit a federal district court's ability to consider federal claims that implicate state court decisions. Before considering whether either doctrine, or both, apply to Wood's claims, the Court first summarizes the procedures for determining under California law whether a child may be declared a dependent of the juvenile court.

Under § 300 of the California Welfare & Institutions Code, if, inter alia, a "child has suffered, or there is a substantial risk that the child will suffer, serious physical harm inflicted nonaccidentally," see Cal. Welf. & Inst. Code § 300(a), or "serious physical harm or illness, as a result of the failure or inability of his or her parent . . . to adequately supervise or protect the child," see Cal. Welf. & Inst. Code § 300(b)(1), the child "is within the jurisdiction of the juvenile court which may adjudge that person to be a dependent child of the court," see Cal. Welf. & Inst. Code. § 300.

A "social worker, who has reason to believe that a child falls within the definitions set forth in section 300 and is in immediate danger as a result thereof, may remove the  child from the home." Cynthia D. v. Superior Court5 Cal. 4th 242, 247-248 (1993). "A petition to have such a child declared a dependent child must be filed within 48 hours excluding nonjudicial days," and "[a] 'detention hearing' must be held by the juvenile court no later than the next judicial day." Id. at 248. If the minor is ordered "detained" by the state court, the "court must set a hearing on the dependency petition," which hearing is "commonly referred to as a jurisdictional hearing since it is at this hearing that the court determines whether the allegations in the petition that the minor comes within section 300, and thus within the juvenile court's jurisdiction, are true." See id. "When the court has found jurisdiction under section 300, it then must conduct a disposition hearing." Id. "If the court declares the child to be a dependent child of the juvenile court, it then considers whether the child may remain with the parents or whether the child must be removed from the parents." Id. If the child is removed from the parents, "the juvenile court must review the case at least once every six months," and, "[i]f the child is not returned to the parents at the 18-month review, the court must set the matter for a hearing" to determine if the parents' "parental rights" should be "terminated." See id. at 249.

A parent has "the right to challenge both the jurisdictional and dispositional findings and orders on appeal." See id. at 249 (citing Cal. Welf. & Inst. Code § 395). In other words, "the order entered at the dispositional hearing is a final judgment." See In re Adam D.183 Cal. App. 4th 1250, 1261 (2010).

A. Rooker-Feldman

As noted, defendants, citing the Rooker-Feldman doctrine, contend this Court lacks jurisdiction over Wood's claims.

Under the Rooker-Feldman doctrine, "federal district courts lack jurisdiction to review the final determinations of a state court in judicial proceedings," even where "the challenge to the state court decision involves federal constitutional issues." See Doe & Associates Law Offices v. Napolitano252 F.3d 1026, 1029 (9th Cir. 2001). "The doctrine bars a district court from exercising jurisdiction not only over an action explicitly  styled as a direct appeal, but also over the de facto equivalent of such an appeal." See Cooper v. Ramos704 F.3d 772, 777 (9th Cir. 2012). A "de facto appeal" is a civil action in which the claim is "inextricably intertwined with the state-court judgment," meaning the claim "succeeds only to the extent that the state court wrongly decided the issues before it." See id. at 778 (internal quotation and citation omitted).

Here, it is readily apparent from the AC, and confirmed by Wood in her opposition to the County Defendants' motion to dismiss (see Pl.'s Opp., filed September 3, 2019, at 5), that the state court conducted a jurisdictional hearing and a dispositional hearing and made findings against Wood at each hearing. Consequently, the state court's findings, that the allegations in the petition filed by the DFCS were true and that the children were to be removed from Wood's custody, are final and appealable. Indeed, Wood, on October 2, 2018, filed an appeal with the California Court of Appeal, which appeal is pending. (See County Defs.' Req. for Judicial Notice, Ex. A.)

The Court grants the County Defendants' request, unopposed by Wood, to take judicial notice of the docket for California Court of Appeal Case No. A155450, Contra Costa County Children and Family Services Bureau v. A.W. See Rosales-Martinez v. Palmer753 F.3d 890, 894 (9th Cir. 2014) (holding courts "may take judicial notice of judicial proceedings in other courts").

Next, the instant claims are inextricably intertwined with the state court judgment. Each of Wood's claims is based on the theory that the decisions rendered in state court were wrong and that such decisions caused injury to Wood. Her claims that all defendants entered into an "enterprise" to cause her to lose custody of her children, and that certain of the defendants caused her to be deprived of her federal civil rights as a result of the manner in which the state court conducted the proceedings, cannot succeed without a showing that "the state court wrongly decided the issues before it." See Cooper704 F.3d at 778 (internal quotation and citation omitted). Under such circumstances, each of Wood's claims for relief, including her claim for damages, is barred by the Rooker-Feldman doctrine, see id. at 781-82 (affirming, under "Rooker-Feldman doctrine," dismissal of claim for damages, where claim could "succeed[ ] only to  the extent that the state court wrongly decided the issues before it"), and such bar applies, irrespective of whether an appeal is pending in state court, see Marciano v. White431 Fed. Appx. 611, 613 (9th Cir. 2011) (rejecting argument "Rooker-Feldman cannot apply" where there are "pending state court appeals"; finding "[t]he fact that [plaintiff] filed his federal suit before his state court appeals have concluded cannot be enough to open the door for a federal district court to review the state court decisions").

Lastly, the Court finds Wood's claims against Lawrence likewise are barred by the Rooker-Feldman doctrine. Although Lawrence has not filed a motion to dismiss, she relies on the Rooker-Feldman doctrine in her answer (see Lawrence's Answer at 7:3-6) and she and the moving defendants are similarly situated, in that she is alleged to be a member of the "enterprise" that sought to deprive Wood of the custody of her children. Under such circumstances, the findings set forth above are equally applicable to Wood's claims against Lawrence. See Fed. R. Civ. P. 12(h)(3) (providing, where court determines "it lacks subject-matter jurisdiction, the court must dismiss the action"); Silverton v. Dep't of Treasury644 F.2d 1341, 1345 (9th Cir.1981) (holding district court may "dismiss an action as to defendants who have not moved to dismiss where such defendants are in a position similar to that of moving defendants or where claims against such defendants are integrally related").

Accordingly, Wood's claims are subject to dismissal in their entirety, and the instant action will be dismissed for lack of subject matter jurisdiction, without prejudice and without further leave to amend.

B. Younger

Carey, the County Defendants, and Bains, citing the Younger doctrine, argue the Court should abstain from considering Wood's claims. 

Although Bains does not expressly refer to the Younger doctrine, the primary authority on which she relies, Coats v. Woods819 F.2d 236 (9th Cir. 1987), constitutes an "application of Younger abstention." See Bechdoldt v. Loveland2011 WL 867858, at *2 (D. Ore. March 10, 2011).

"The Younger doctrine, which counsels federal-court abstention when there is a pending state proceeding, reflects a strong policy against federal intervention in state judicial processes in the absence of great and immediate irreparable injury to the federal plaintiff." Moore v. Sims442 U.S. 415, 423 (1979). Under the Younger doctrine, "abstention is appropriate in favor of a state proceeding if (1) the state proceedings are ongoing; (2) the proceedings implicate important state interests; and (3) the state proceedings provide an adequate opportunity to raise federal questions." See Beltran v. California871 F.2d 777, 781 (9th Cir. 1988) (internal quotation and citation omitted). Each of these requirements is met here.

First, although, as discussed above, the trial court's decisions are final under California law, the state court proceedings, for purposes of the Younger doctrine, nonetheless are "ongoing," in light of Wood's having appealed those decisions prior to instituting the instant action. See id. at 781-82 (holding "Younger abstention requires that the federal courts abstain when state court proceedings were ongoing at the time the federal action was filed"; finding state court proceedings are "ongoing" when proceedings before state appellate court are pending on date federal complaint filed).

Second, child custody proceedings implicate important state interests for purposes of Younger abstention, as "[f]amily relations are a traditional area of state concern." See Moore442 U.S. at 435see also id. at 422 (holding, where parents claimed procedures applied in state court to remove children were unconstitutional, district court "should have abstained" from hearing case).

Third, Wood had, and still has, an adequate opportunity to raise in the state courts her allegations that the procedure applied in the juvenile court deprived her of due process or any other federal right, and, to the extent Wood argues she lacked an adequate opportunity to do so in the juvenile court, her ability to raise in the California Court of Appeal any federal challenge to the trial court's decisions satisfies this element. See H.C. ex rel. Gordon v. Koppel203 F.3d 610, 613 (9th Cir. 2000) (holding ability to raise federal issues in "California appellate courts" satisfies third Younger element). 

Although an exception to the Younger doctrine exists where "the state court proceeding is motivated by a desire to harass or is conducted in bad faith," such "exception may not be utilized" unless facts to support it are both "alleged and proved." See Juidice v. Vail430 U.S. 327, 338 (1977). Here, even assuming Wood has adequately alleged in the AC that defendants acted "in bad faith" or were "motivated by a desire to harass," see id., Wood has failed to offer evidence to prove such allegations, and, consequently, the exception does not apply.

In support of each of her opposition briefs, Wood has filed a declaration in which she avers that the "facts stated" in her opposition are "true and correct." (Seee.g., Wood Decl., filed September 3, 2019, ¶ 1.). To the extent any of Wood's oppositions include statements that, arguably, might pertain to the Younger doctrine's exception, the statements are conclusory (seee.g., Pl.'s Opp. to County Defs.' Mot. at 6 (asserting defendants acted "in flagrant disregard for the Rule of Law" and engaged in a "harassing interrogation" of a witness)), rather than factual, let alone based on facts as to which Wood has shown she has "personal knowledge," see Fed. R. Evid. 601.

Lastly, although the Judicial Defendants do not expressly rely on the Younger doctrine in their motion to dismiss, and Lawrence has not filed a motion to dismiss, the findings set forth above are equally applicable to Wood's claims against those three defendants. See Silverton644 F.2d at 1345.

Lawrence has, however, relied on the Younger doctrine in her answer. (See Lawrence's Answer at 6:26-7:1.)

Accordingly, in addition to the Rooker-Feldman doctrine, the Court, in light of the Younger doctrine, declines to hear Wood's claims. // // // // // 

The Court notes that "when damages are sought and Younger principles apply," a district court should stay the federal action, see Gilbertson v. Albright381 F.3d 965, 981-982 (9th Cir. 2004), unless "dismissal is indicated for some other reason," see id. at 982 n.18. Here, as discussed above, "dismissal is indicated" under the Rooker-Feldman doctrine.

CONCLUSION

For the reasons stated, defendants' motions to dismiss are hereby GRANTED, and the instant action is hereby DISMISSED, without prejudice and without further leave to amend.

The Clerk shall close the file.

IT IS SO ORDERED. Dated: October 8, 2019

/s/_________

MAXINE M. CHESNEY

United States District Judge

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1 Rule 8.4 Misconduct (Rule Approved by the Supreme Court, Effective November 1, 2018)

 1 Rule 8.4 Misconduct (Rule Approved by the Supreme Court, Effective November 1, 2018) It is professional misconduct for a lawyer to: (a) violate these rules or the State Bar Act, knowingly* assist, solicit, or induce another to do so, or do so through the acts of another; (b) commit a criminal act that reflects adversely on the lawyer’s honesty, trustworthiness, or fitness as a lawyer in other respects; (c) engage in conduct involving dishonesty, fraud,* deceit, or reckless or intentional misrepresentation; (d) engage in conduct that is prejudicial to the administration of justice; (e) state or imply an ability to influence improperly a government agency or official, or to achieve results by means that violate these rules, the State Bar Act, or other law; or (f) knowingly* assist, solicit, or induce a judge or judicial officer in conduct that is a violation of an applicable code of judicial ethics or code of judicial conduct, or other law. For purposes of this rule, “judge” and “judicial officer” have the same meaning as in rule 3.5(c). Comment [1] A violation of this rule can occur when a lawyer is acting in propria persona or when a lawyer is not practicing law or acting in a professional capacity. [2] Paragraph (a) does not prohibit a lawyer from advising a client concerning action the client is legally entitled to take. [3] A lawyer may be disciplined for criminal acts as set forth in Business and Professions Code sections 6101 et seq., or if the criminal act constitutes “other misconduct warranting discipline” as defined by California Supreme Court case law. (See In re Kelley (1990) 52 Cal.3d 487 [276 Cal.Rptr. 375].) [4] A lawyer may be disciplined under Business and Professions Code section 6106 for acts involving moral turpitude, dishonesty, or corruption, whether intentional, reckless, or grossly negligent. [5] Paragraph (c) does not apply where a lawyer advises clients or others about, or supervises, lawful covert activity in the investigation of violations of civil or criminal law or constitutional rights, provided the lawyer’s conduct is otherwise in compliance with these rules and the State Bar Act. 2 [6] This rule does not prohibit those activities of a particular lawyer that are protected by the First Amendment to the United States Constitution or by Article I, section 2 of the California Constitution. 1 NEW RULE OF PROFESSIONAL CONDUCT 8.4 (Former Rule 1-120) Misconduct EXECUTIVE SUMMARY The Commission for the Revision of the Rules of Professional Conduct (“Commission”) evaluated current rule 1-120 (Assisting, Soliciting, or Inducing Violations) in accordance with the Commission Charter. In addition, the Commission considered the national standard of ABA Model Rule 8.4 (concerning professional misconduct of a lawyer). The Commission also reviewed relevant California statutes, rules, and case law relating to the issues addressed by the proposed rules. The result of the Commission’s evaluation is proposed Rule 8.4 (Misconduct). Rule As Issued For 90-day Public Comment Proposed rule 8.4 carries forward the substance of current rule 1-120 by prohibiting a lawyer from knowingly assisting in, soliciting or inducing a violation of the Rules of Professional Conduct or the State Bar Act. The proposed rule also incorporates the substance of ABA Model Rule 8.4, which contains a similar prohibition as well as additional provisions that describe misconduct that warrants the imposition of discipline. The proposed rule is designed to collect in a single rule various misconduct provisions that are currently found in other California rules of professional conduct or in the Business and Professions Code. The rule is intended to facilitate compliance and enforcement by clearly stating these principles in a single rule where lawyers, judges and the public can identify basic standards of conduct addressing honesty, trustworthiness and fitness to practice with which a lawyer must comply. Paragraph (a), which carries forward the substance of current rule 1-120, prohibits a lawyer from violating the rules of professional conduct, or the State Bar Act, or knowingly assist, solicit or induce another to do so. In addition, this paragraph prohibits a lawyer from doing any of the aforementioned through the acts of another. One issue considered with respect to paragraph (a) was whether to follow the approach in ABA Model Rule 8.4(a) which would generally prohibit a lawyer from “attempting” to violate a rule or a provision of the State Bar Act. The Commission determined that the question of whether an attempted violation should be an independent basis for discipline is better addressed on a ruleby-rule basis. This approach means that any prohibition on an attempt would be tailored to a specific rule’s violation and potential harm rather than a generalized standard for all of the rules and the State Bar Act. This avoids possible unintended consequences of a one size fits all attempt standard that would not account for the specific purpose of individual rules. For example, in proposed rule 1.5 [4-200], the Commission has recommended a rule that provides a lawyer “shall not make an agreement for, charge, or collect an unconscionable fee or illegal fee.” The terms “make” and “charge” in effect prohibit an attempt to “collect” an unconscionable fee.1 Although only the actual collection of an unconscionable fee will result in harm to a client, 1 This is similar to the standard in Business and Professions Code section 6090.5 that, in part, prohibits a lawyer from agreeing or seeking an agreement that professional misconduct shall not be reported to the State Bar. This section was revised in 1996 in response to a State Bar Court finding that the prior version of the section did not include terms that could be construed fairly as a prohibition on attempts. (See Assembly Bill No. 2787 (Kuehl) 1995-1996 session; and In the Matter of Fonte (Review Dept. 1994) 2 Cal. State Bar Ct. Rptr. 752.) 2 even an attempt to impose a legal obligation on a client to pay an unconscionable or illegal fee should be prohibited as disciplinable misconduct. On the other hand, the Commission also recommends adoption of proposed rule 4.2 [2-100], which prohibits a lawyer who represents a client in a matter from communicating about the subject of the representation with a person who is represented by a lawyer in the same matter. For this rule, the harm is the actual communication with the represented person that could result in the disclosure of privileged information or otherwise interfere with a lawyer-client relationship. A generalized prohibition against an attempt to engage in such a communication does not further the purpose of this rule and it would pose a risk of unduly interfering with a lawyer’s ability to investigate a claim as a lawyer often cannot know that a person is represented until the lawyer has contacted the person. Paragraph (b), as initially circulated for 90-day public comment, incorporated the language of Model Rule 8.4(b) but also added an express reference to “moral turpitude.” (See “Revisions Following 90-Day Public Comment Period,” below, for changes the Commission subsequently made to this provision.) This provision focuses on crimes committed by a lawyer that reflect adversely on the lawyer’s honesty, trustworthiness or fitness as a lawyer, all of which are central principles in lawyer conduct. The reference to moral turpitude was added to maintain conformity with the broader public protection afforded by Business and Professions Code section 6106. Paragraph (c) incorporates the language of Model Rule 8.4(c) but adds the words “reckless or intentional” to modify “misrepresentation.” The conduct prohibited in this provision – dishonesty, fraud, deceit and reckless or intentional misrepresentation – are central concepts of conduct in which lawyers must not engage if respect for the legal profession and the proper administration of justice is to be maintained. The addition of “reckless or intentional” is intended to clarify that negligent misrepresentation is not regarded as dishonesty that should result in discipline under this rule.2 In addition, as initially circulated for 90-day public comment, paragraph (c) included an express reference to “moral turpitude.” (See “Revisions Following 90-Day Public Comment Period,” below.) Paragraph (d) incorporates the language of Model Rule 8.4(d) concerning conduct “prejudicial to the administration of justice.” The Commission concluded that a lawyer’s fitness to practice law is called into question by conduct prejudicial to the administration of justice regardless of whether the conduct occurs in connection with the practice of law. Some members of the Commission raised a concern that this provision might not survive a Constitutional challenge if it were not limited to situations where the lawyer’s conduct occurs “in connection with the practice of law.” Compare, United States v. Wunsch, 84 F.3d 1110 (9th Cir. 1996) (former Bus. & Prof. Code § 6068(f), prohibiting “offensive personality,” was found to be unconstitutional.) Proposed Comment [6] seeks to address this concern by specifying that paragraph (d) does not apply to constitutionally-protected conduct. Paragraph (e) incorporates the language of Model Rule 8.4(e) prohibiting a lawyer from stating or implying the ability to improperly influence a government agency or official. Paragraph (f) incorporates the language of Model Rule 8.4(f) prohibiting a lawyer from knowingly assisting a judge in conduct that is a violation of judicial conduct rules. Expressly 2 Compare proposed rule 1.1, under which discipline is imposed only if a lawyer has “intentionally, recklessly, repeatedly, or with gross negligence” failed to act competently. 3 stating that such conduct is prohibited should contribute to the confidence that the public places in the legal profession and administration of justice is justified. Finally, non-substantive changes to the current rule include rule numbering to track the Commission’s general proposal to use the Model Rule numbering system and the substitution of the term “lawyer” for “member.” Proposed rule 8.4 contains six comments intended to clarify how the rule is to be applied. Of particular note is Comment [6] which, as noted above, has been added to clarify that the paragraph (d) does not apply to constitutionally-protected conduct. Revisions Following 90-Day Public Comment Period After consideration of comments received in response to the initial 90-day public comment period, the Commission removed the references to “moral turpitude” from both 8.4(b) and 8.4(c) and placed them in a comment. Paragraph (f) was modified to be parallel with paragraph (a) to include inducement and solicitation, and to clarify the meaning of judge and judicial officer. The Commission also modified Comment [4] to provide notice to lawyers that Bus. & Prof. Code § 6106 remains a source of discipline for acts of moral turpitude, dishonesty, or corruption. Finally, Comment [6] was modified to clarify that paragraph (c) does not extend to activities protected by the First Amendment to the US Constitution or Article I, § 2 of the California Constitution. With these changes, the Board authorized an additional 45-day public comment period on the revised proposed rule. Final Commission Action on the Proposed Rule Following 45-Day Public Comment Period After consideration of comments received in response to the additional 45-day public comment period, the Commission made no changes to the proposed rule and voted to recommend that the Board adopt the proposed rule. The Board adopted proposed rule 8.4 at its March 9, 2017 meeting. Supreme Court Action (May 10, 2018) The Supreme Court approved the rule as modified by the Court to be effective November 1, 2018. In Comment [6], the word “those” was added before the word “activities.” Also in Comment [6], the word “particular” was added before the work “lawyer.” Other nonsubstantive changes were implemented. 1 Rule 1-120 Assisting, Soliciting, or Inducing Violations8.4 Misconduct (Redline Comparison to the California Rule Operative Until October 31, 2018) A member shall not knowingly assist in, solicit, or induce any violation of these rules or the State Bar Act. It is professional misconduct for a lawyer to: (a) violate these rules or the State Bar Act, knowingly* assist, solicit, or induce another to do so, or do so through the acts of another; (b) commit a criminal act that reflects adversely on the lawyer’s honesty, trustworthiness, or fitness as a lawyer in other respects; (c) engage in conduct involving dishonesty, fraud,* deceit, or reckless or intentional misrepresentation; (d) engage in conduct that is prejudicial to the administration of justice; (e) state or imply an ability to influence improperly a government agency or official, or to achieve results by means that violate these rules, the State Bar Act, or other law; or (f) knowingly* assist, solicit, or induce a judge or judicial officer in conduct that is a violation of an applicable code of judicial ethics or code of judicial conduct, or other law. For purposes of this rule, “judge” and “judicial officer” have the same meaning as in rule 3.5(c). Comment [1] A violation of this rule can occur when a lawyer is acting in propria persona or when a lawyer is not practicing law or acting in a professional capacity. [2] Paragraph (a) does not prohibit a lawyer from advising a client concerning action the client is legally entitled to take. [3] A lawyer may be disciplined for criminal acts as set forth in Business and Professions Code sections 6101 et seq., or if the criminal act constitutes “other misconduct warranting discipline” as defined by California Supreme Court case law. (See In re Kelley (1990) 52 Cal.3d 487 [276 Cal.Rptr. 375].) [4] A lawyer may be disciplined under Business and Professions Code section 6106 for acts involving moral turpitude, dishonesty, or corruption, whether intentional, reckless, or grossly negligent. [5] Paragraph (c) does not apply where a lawyer advises clients or others about, or supervises, lawful covert activity in the investigation of violations of civil or criminal law 2 or constitutional rights, provided the lawyer’s conduct is otherwise in compliance with these rules and the State Bar Act. [6] This rule does not prohibit those activities of a particular lawyer that are protected by the First Amendment to the United States Constitution or by Article I, section 2 of the California Constitution.

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Attorney for Southern Pacific and Fremont Group
Steve Burd
Mr. Burd well known to Pete Bennett, Larry Ellison, KKR, Cerberus Capital
Mainframe Designs
Jeffery Skoll of Ebay
known for founding Ebay, Founder of Skoll Foundation, acquired PayPal from Elon Musk
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Hidden Value test

 

youtube/songs/jazz.html

Jazz Karaoke

Visit our list of songs here and select your preferences.

youtube/setlist/Trac1.html Check here for the types of events that work best. See how we keep a small presence in tight spaces like small restaurants with guitar, key board, trumpet and a nice of selection of Karaoke Tracks.

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Logic_test

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VueJs computed_filter

    • {{item.name}}
    • {{item.type}}
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Blogger Conditional Tags - reposted





Blogger Conditional Tags for different page types

Conditional template tags in Blogger template allows you to specify a part of your template code on specific types of pages or specific URLs.
One practical application could be to display a widget on specific pages. You can hide sidebar on some pages, apply a meta tag to certain page or whatsoever. Complex Blogger templates make large use of these conditional tags. In this post, I'll show you the possible conditional tags and their example usage.

Blogger Conditional Tags for different page types - Ultimate Blogger Guide
A conditional template tag in Blogger looks like following
<b:if cond='condition_expression'>
    <!-- content when condition is satisfied -->
</b:if>

List of Conditional tags for page types

Archive page

<b:if cond='data:blog.pageType == "archive"'>
<!--archive_Page-->
</b:if>

Error Page (404)

<b:if cond='data:blog.pageType == "error_page"'>
<!-- all error pages-->
</b:if>

Index Page

<b:if cond='data:blog.pageType == "index"'>
<!-- all index pages -->
</b:if>

Homepage

<b:if cond='data:blog.url == data:blog.homepageUrl'> 
<!-- only homepage -->
</b:if>

Item (post) pages

<b:if cond='data:blog.pageType == "item"'>
<!-- all item pages -->
</b:if>

Specific Post by URL

<b:if cond='data:blog.url == data:blog.canonicalHomepageUrl + "2014/08/foo.html"'> 
<!-- a item page from august 2014 with post-title 'foo'-->
</b:if>

Label page

<b:if cond='data:blog.searchLabel'>
<!-- all label pages -->
</b:if>

Specific Label Page

<b:if cond='data:blog.searchLabel == "foo"'>
<!-- for label 'foo' -->
</b:if>

Search page

<b:if cond='data:blog.searchQuery'>
<!-- all search pages -->
</b:if>

Specific Search Query page

<b:if cond='data:blog.searchQuery == "foo"'>
<!-- for query 'foo' -->
</b:if>

Static page

<b:if cond='data:blog.pageType == "static_page"'>
<!-- all static pages -->
</b:if>

Specific Static page by URL

<b:if cond='data:blog.url == data:blog.canonicalHomepageUrl + "p/foo.html"'> 
<!-- a specific static page with name 'foo' -->
</b:if>

AND/OR/NOT

AND
<b:if cond='data:blog.pageType == "index"'>
  <b:if cond='data:blog.searchQuery'>
    <!--search_page AND index_page-->
  </b:if>
</b:if>
OR
<b:if cond='data:blog.url == data:blog.canonicalHomepageUrl + "p/foo.html"'> 
  <!-- static_site foo OR static_site bar -->
      <b:else/>
<b:if cond='data:blog.url == data:blog.canonicalHomepageUrl + "p/bar.htm"'> 
  <!-- static_site foo OR static_site bar -->
   </b:if>
</b:if>
NOT
<b:if cond='data:blog.pageType != "item"'>
  <!-- all pages except item pages -->
</b:if>

<b:if cond='data:blog.url != data:blog.homepageUrl'> 
  <!-- all pages but NOT homepage -->
</b:if>

How to Use conditional tags

To apply a conditional tag to some content, simply put the content inside the opening <b:if cond…> and the closing </b:if> like:
<b:if cond='data:blog.pageType == "item"'>
    # THIS CONTENT WILL BE EXECUTED IF CONDITION IS TRUE
</b:if>
In the example above, the content will only appear on post pages.
The content can be a div, a section, a style tag or another conditional tag etc.
If you want to specify a alternate content (when the condition is false), you need to insert a <b:else/> tag followed by the content, like this:
<b:if cond='data:blog.pageType == "item"'>
    # THIS CONTENT WILL BE EXECUTED IF CONDITION IS TRUE
    # i.e. if current page is post (item) page
<b:else/>
    # THIS CONTENT WILL BE EXECUTED IF CONDITION IS FALSE
    # i.e. if not post page
</b:if>
The <b:else/> also works like an OR operator as explained above.

Example Applications

  • Display widgets on specific pages
  • Applying different styling to static pages
  • Adding FB meta tags and Twitter Card tags
  • Load JS on specific pages
  • Optimize Blog Title for SEO

Blogger Conditional Tag Wrapper Tool

Use this tool in order simplify wrapping conditional tags. All you have to do is copy paste the code into the field provided. Then choose the condition and click "Wrap" button. It's that simple. No more hunting down for Blogger conditionals!
If you need to encode your code, for example, in order to embed AdSense code in template, use "Encode & Wrap" button.
If you have any queries or feedback, do have your say in comments.


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