Gagliardo v. Connaught Lab Inc ( 2002 )


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  •                                                                                                                            Opinions of the United
    2002 Decisions                                                                                                             States Court of Appeals
    for the Third Circuit
    11-22-2002
    Gagliardo v. Connaught Lab Inc
    Precedential or Non-Precedential: Precedential
    Docket No. 01-4045
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    PRECEDENTIAL
    Filed November 22, 2002
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    No. 01-4045
    JANE A. GAGLIARDO;
    JOHN GAGLIARDO
    v.
    CONNAUGHT LABORATORIES, INC.,
    Appellant
    ON APPEAL FROM THE
    UNITED STATES DISTRICT COURT
    FOR THE MIDDLE DISTRICT OF PENNSYLVANIA
    (D.C. Civil No. 97-cv-00768)
    District Judge: The Honorable Yvette Kane
    Submitted Under Third Circuit LAR 34.1(a)
    October 29, 2002
    Before: NYGAARD, GARTH and MICHEL,*
    Circuit Judges.
    (Filed: November 22, 2002)
    _________________________________________________________________
    * Honorable Paul R. Michel, Circuit Judge, United States Court of
    Appeals for the Federal Circuit, sitting by designation.
    Carl J. Greco, Esq.
    4th Floor
    327 North Washington Avenue
    Professional Arts Building
    Scranton, PA 18503
    Counsel for Appellant
    Patrick J. Reilly, Esq.
    Gross McGinley LaBarre & Eaton
    33 South 7th Street
    PO Box 4060
    Allentown, PA 18105
    Counsel for Appellees
    OPINION OF THE COURT
    MICHEL, Circuit Judge.
    Plaintiff-appellee Jane Gagliardo ("Gagliardo") sued
    Connaught Laboratories, Inc. ("CLI") for employment
    discrimination in the United States District Court for the
    Middle District of Pennsylvania. After a trial, the jury found
    CLI’s dismissal of Gagliardo violated both the Americans
    with Disabilities Act ("ADA"), 42 U.S.C. S 12101 et seq., and
    the Pennsylvania Human Relations Act ("PHRA"), 43 Pa.
    Cons. Stat. S 955 et seq., and awarded Gagliardo 2.5
    million dollars. CLI appeals the district court’s denial of its
    motion for judgment as a matter of law ("JMOL"), denial of
    its motion for a new trial or remittitur, and denial in part
    of its motion to alter or amend the judgment to comply with
    42 U.S.C. S 1981a(b)(3)(D) (limiting the damage amount
    recoverable under the ADA).
    We affirm the district court’s judgment in all respects
    challenged before us.
    I.
    Gagliardo began working for CLI in 1987. In 1992 she
    became a customer account representative and continued
    in that capacity until her dismissal. Gagliardo’s
    responsibilities in that position included receiving calls,
    2
    handling accounts, answering customers’ questions, and
    supporting the sales force. Gagliardo was also responsible
    for a special project -- the handling of military orders. For
    most of her years with CLI, Gagliardo was by all accounts
    a capable employee.
    Gagliardo’s life began to change in 1992 or 1994 when
    she was diagnosed with Multiple Sclerosis ("MS").1
    Gagliardo’s symptoms varied over time and included muscle
    spasms, fatigue, and numbness in her hands, back, and
    legs. The most severe of these symptoms was Gagliardo’s
    fatigue. The fatigue affected her ability to think, focus, and
    remember. All of Gagliardo’s symptoms were subject to
    being exacerbated by stress.
    These symptoms began affecting her at work in 1995,
    after which she requested the lowering of the temperature
    in her workspace as an accommodation. Thereafter,
    Gagliardo began to make mistakes at work. In November of
    1995 Gagliardo discussed the burden of her military orders
    project with her then-supervisor, Wayne Neveling,
    expressing concern that this burden was adversely affecting
    her ability to do other required work. After that
    conversation, Neveling endeavored to analyze the effect of
    the military orders on Gagliardo’s performance -- a task
    that was never completed.
    Beginning in February 1996, Gagliardo’s new supervisor,
    Judith Stout, took Gagliardo through the CLI disciplinary
    process for poor job performance. Getting first an oral
    warning, Gagliardo then received a written caution,
    retraining, probation, and ultimately dismissal. Throughout
    this process, Gagliardo continued to believe she could
    reduce her mistakes if the military orders responsibility was
    taken away from her, but this never happened. Also during
    this process, Gagliardo met with Christine Kirby, CLI’s
    manager of employee communications and human
    resources information systems. It was Kirby’s responsibility
    to counsel CLI employees and managers on the
    _________________________________________________________________
    1. MS is a permanent disorder of the brain and spinal cord in which the
    body identifies the covers of the nerves as foreign and attacks them. As
    a result, the nervous system of the afflicted person does not function as
    it should.
    3
    requirements of the ADA. In Gagliardo’s conversations with
    Kirby, Gagliardo indicated that her MS was interfering with
    her job performance. Kirby, herself an MS sufferer, later
    acknowledged that removal of the military project would
    have been a reasonable accommodation, but also
    acknowledged that CLI had not provided that
    accommodation. CLI terminated Gagliardo’s employment on
    May 29, 1996 because of her continued errors and failure
    to follow procedures.
    In July of 1996 Gagliardo filed a complaint alleging
    disability and age discrimination with the Pennsylvania
    Human Relations Commission. Gagliardo later sued CLI in
    the United States District Court for the Middle District of
    Pennsylvania alleging discrimination under both the ADA
    and the PHRA. The case was tried to a jury in September
    2000.
    The jury returned a verdict in favor of Gagliardo on both
    the ADA and PHRA claims and awarded her $2,000,000 in
    compensatory damages and $500,000 in punitive damages.
    After trial CLI filed a motion to alter or amend judgment to
    comply with 42 U.S.C. S 1981a, motion for JMOL, and a
    motion for a new trial or remittitur. The district court
    granted in part and denied in part the motion to alter or
    amend (lowering the punitive damages award to $300,000),
    but denied CLI’s other motions. The court’s decisions were
    filed on September 28, 2001.
    On October 29, 2001 CLI appealed to this court. We have
    jurisdiction pursuant to 28 U.S.C. S 1291.
    II.
    We have plenary review of a district court’s order denying
    JMOL. Warren v. Reading Sch. Dist., 
    278 F.3d 163
    , 168 (3d
    Cir. 2002). Accordingly, we apply those standards that the
    district court applied. JMOL under Fed. R. Civ. P. 50 is
    appropriate only where, "viewing the evidence in the light
    most favorable to the non-movant and giving it the
    advantage of every fair and reasonable inference, there is
    insufficient evidence from which a jury could reasonably
    find liability." 
    Id.
     (quoting Fultz v. Dunn, 
    165 F.3d 215
    , 218
    (3d Cir. 1998)). On appeal, CLI asserts that JMOL as to
    4
    liability was appropriate because, they argued, Gagliardo
    failed to make out a prima facie case under the ADA and
    PHRA.2
    To establish a prima facie case under the ADA a plaintiff
    must show: (1) she is disabled within the meaning of the
    ADA; (2) she is otherwise qualified to perform the essential
    functions of the job; and (3) she has suffered an adverse
    employment decision because of discrimination. Taylor v.
    Phoenixville Sch. Dist., 
    184 F.3d 296
    , 306 (3d Cir. 1999).
    CLI challenges only the first element, that being whether
    Gagliardo was disabled.
    The ADA defines "disability" as: "(A) a physical or mental
    impairment that substantially limits one or more of the
    major life activities of such individual . . . or (C) being
    regarded as having such an impairment." 42 U.S.C.
    SS 12102(2)(A)-(C) (2000). At trial, Gagliardo presented
    evidence relevant to both (A) and (C) above, and on appeal
    CLI challenges its sufficiency as to both claims. With regard
    to (A), the district court, in its order denying JMOL,
    determined that "[t]he chronic fatigue and resulting
    forgetfulness brought on by multiple sclerosis prevented
    Plaintiff from participating in major life activities of thinking
    and remembering." In addition, as to (C), the court
    concluded "[t]estimony of company representatives
    established that Plaintiff had a record of an impairment
    and was regarded as disabled." On appeal, CLI fails to
    persuade us that the district court erred in its
    determinations that sufficient evidence supported the jury’s
    verdict.
    CLI first argues that Gagliardo offered no proof she was
    limited in any major life activity. Gagliardo, however,
    submitted evidence she was limited in the major life
    activities of concentrating and remembering (more
    generally, cognitive function). Our court has held that such
    activities are major life activities. See Taylor , 184 F.3d at
    _________________________________________________________________
    2. Because liability under the PHRA is premised upon language similar
    to that of the ADA and because that language is generally interpreted in
    accordance with the judicial construction of the ADA, we address only
    the language of the ADA in our analysis. See Kelly v. Drexel Univ., 
    94 F.3d 102
    , 105 (3d Cir. 1996).
    5
    307 (holding thinking is a major life activity); see also
    EEOC Guidelines, 29 C.F.R. S 1630.2(i), and Department of
    Health and Human Services Rehabilitation Act Regulations,
    45 C.F.R. S 84.3(j)(2)(ii) (listing examples of major life
    activities, including learning and working).
    CLI next argues that the testimony fails to show
    Gagliardo was "substantially limited" in the activities of
    concentrating and remembering. CLI cites the recent
    Supreme Court case of Toyota Motor Manufacturing,
    Kentucky, Inc. v. Williams, 
    122 S. Ct. 681
     (2002), in which
    the Court held that "to be substantially limited in
    performing manual tasks, an individual must have an
    impairment that prevents or severely restricts the individual
    from doing activities that are of central importance to most
    people’s daily lives. The impairment must also be
    permanent or long-term." 
    Id.
     at 691 (citing 29 C.F.R.
    SS 1630.2(j)(2)(ii)-(iii) (2001)). In the EEOC’s regulations,
    "substantially limited" is defined as: "Significantly restricted
    as to the condition, manner or duration under which an
    individual can perform a particular major life activity as
    compared to the condition, manner or duration under
    which the average person in the general population can
    perform that same major life activity." 29 C.F.R.S 1630.2(j).
    The regulations list several factors for evaluating whether
    someone is "substantially limited": "(i) The nature and
    severity of the impairment; (ii) The duration or expected
    duration of the impairment; (iii) The permanent or long
    term impact, or the expected permanent or long term
    impact of or resulting from the impairment." 
    Id.
    S 1630.2(j)(2).
    Contrary to CLI’s assertions, we hold that Gagliardo did
    present witnesses from whose testimony a jury could
    reasonably conclude she was substantially limited in her
    ability to concentrate and remember. First, Gagliardo’s
    physician, Dr. Barbour, testified that there was no cure for
    MS and that the MS produced Gagliardo’s fatigue. Dr.
    Barbour also expressed his opinion as an expert that
    Gagliardo was substantially limited in her ability to, among
    other things, learn, work, and think. Second, Gagliardo
    testified she experienced muscle spasms and fatigue. Third,
    four of Gagliardo’s coworkers testified as to her fatigue and
    6
    muscle spasms. Fourth, Gagliardo produced evidence that
    her supervisor recognized her memory and concentration
    problems, having provided Gagliardo with video and audio
    tapes to assist Gagliardo in overcoming her memory
    problems. Lastly, Gagliardo’s son and her husband
    similarly testified that she was often fatigued and had
    trouble concentrating and focusing.
    Therefore, we conclude that there was sufficient evidence
    that Gagliardo was "disabled" within the meaning of the
    ADA to support the jury’s verdict. Because of this
    conclusion, we need not address Gagliardo’s alternative
    theory that CLI regarded her as being disabled. We affirm
    the district court’s denial of CLI’s motion for JMOL.
    III.
    We review de novo a district court’s interpretation of a
    statute. Idahoan Fresh v. Advantage Produce, Inc., 
    157 F.3d 197
    , 202 (3d Cir. 1998). The statute at issue limits the
    damages available to a claimant under certain federal
    statutes, including the ADA. 42 U.S.C. S 1981a(a)(2) (2000).
    The "cap" applies to both punitive and compensatory
    damages and depends on the number of persons employed
    by the defendant. 
    Id.
     S 1981a(b)(3). The specific cap
    applicable in this case is $300,000. Id.S 1981a(b)(3)(D).
    Gagliardo sued under the ADA, which is subject to the cap,
    and the PHRA, which is not. The jury did not apportion
    damages between the claims, instead granting a general
    verdict of $2,000,000 in compensatory and $500,000 in
    punitive damages. On CLI’s motion to alter or amend the
    judgment, the district court applied the federal cap to only
    the punitive damages,3 lowering them to $300,000, and
    apportioned all the compensatory damages to Gagliardo’s
    PHRA claim. Thus, on appeal we are presented with the
    issue of whether the statutory cap of S 1981a applies to the
    entirety of the damages where the jury awarded them
    _________________________________________________________________
    3. The district court rightly concluded that the jury awarded the punitive
    damages under plaintiff ’s ADA claim -- and therefore subjected them to
    the S 1981a cap -- because punitive damages are not available under the
    PHRA. See Hoy v. Angelone, 
    691 A.2d 476
    , 483 (Pa. Super. Ct. 1997).
    7
    unapportioned between a capped federal claim and a
    virtually identical, uncapped state claim.
    On appeal, CLI argues the district court’s apportionment
    constituted reversible error because, according to CLI,
    S 1981a applies to all similar claims in a single lawsuit. On
    this issue of first impression in our circuit, we instead
    accept the sound reasoning of the district court and two of
    our sister circuits and hold that S 1981a does not prevent
    a claimant from recovering greater damages under a state
    law claim that is virtually identical to a capped federal
    claim. Passantino v. Johnson & Johnson, 
    212 F.3d 493
    , 510
    (9th Cir. 2000) (discussing Title VII and the Washington
    Law Against Discrimination); Martini v. Fed. Nat’l Mortgage
    Ass’n, 
    178 F.3d 1336
    , 1349-50 (D.C. Cir. 1999) (discussing
    Title VII and the District of Columbia Human Rights Act). In
    Passantino and Martini, the courts focused on the effect a
    broader application of S 1981a would have on recovery
    under state law claims corresponding to capped federal
    claims. Both courts recognized the federal law at issue,
    Title VII, contained an express prohibition against limiting
    state remedies. Passantino, 
    212 F.3d at 510
    ; Martini, 
    178 F.3d at 1349-50
    . Importantly, the ADA also contains such
    a prohibition: "Nothing in this chapter shall be construed to
    invalidate or limit the remedies, rights, and procedures of
    any Federal law or law of any State . . . that provides
    greater or equal protection for the rights of individuals with
    disabilities than are afforded by this chapter." 42 U.S.C.
    S 12201(b) (2000). Here, the PHRA, with its similar
    language and applicability, clearly provides a cause of
    action nearly identical to that of the ADA. The fact that the
    PHRA does not contain a damages cap further indicates
    that it was intended to provide a remedy beyond its federal
    counterpart, the ADA. As the courts in Passantino and
    Martini recognized, subjecting such state law claims to the
    federal cap would effectively limit a state’s ability to provide
    for greater recovery than allowed under the corresponding
    federal law. Passantino, 
    212 F.3d at 510
    ; Martini, 
    178 F.3d at 1349-50
    . Imposing such a limitation would violate the
    federal law’s prohibition on limiting state remedies. 
    Id.
    As noted by the Ninth Circuit in Passantino and the trial
    court, a district court’s obligation to uphold lawful jury
    8
    awards whenever reasonable further supports the
    apportionment of damages between the state and federal
    claims present here. Passantino, 
    212 F.3d at 510
    ; see also
    Motter v. Everest & Jennings, Inc., 
    883 F.2d 1223
    , 1230 (3d
    Cir. 1989). In this case, given the similarity of the claims
    and the jury’s unapportioned award of damages, it is
    reasonable to infer that the jury intended to award its
    entire verdict to Gagliardo. Because there is no cap under
    the PHRA, it was entirely reasonable for the trial court to
    apportion the damages so as to allow Gagliardo to recover
    the entire jury award, as reduced by the district court.
    In light of this reasoning, we are not persuaded by CLI’s
    offering of contrary authority. Two of these cases are easily
    distinguishable because they involve multiple federal
    claims. Smith v. Chicago Sch. Reform Bd., 
    165 F.3d 1142
    ,
    1148 (7th Cir. 1999) (discussing claims under 42 U.S.C.
    S 1981 and Title VII); Hudson v. Reno, 
    130 F.3d 1193
    , 1196
    (6th Cir. 1997) (analyzing claims under Title VII, the Equal
    Pay Act, 29 U.S.C. S 206(d), and the Privacy Act, 5 U.S.C.
    S 552a). Moreover, these cases simply do not stand for the
    propositions CLI argues. Indeed, the issue in Smith and
    Hudson was whether a party could recover under separate
    and distinct episodes of discrimination in a single lawsuit
    under a federal cause of action that was subject to the
    S 1981a cap. Smith, 165 F.3d at 1150; Hudson, 130 F.3d at
    1199. In Hudson, the district court had found in favor of
    the plaintiff only on her Title VII claims; thus the issue
    before the Sixth Circuit was whether the S 1981a cap
    applied to each claim or to the lawsuit as a whole. Hudson,
    130 F.3d at 1196, 1199-1200 (denying plaintiff recovery of
    damages above cap where jury awarded $250,000 for sex
    discrimination, $500,000 for retaliation, and $750,000 for
    the constructive discharge). Similarly in Smith , the Seventh
    Circuit did not remand the plaintiff ’s S 1981 claim, holding
    instead that her evidence could not support such a claim.
    Smith, 165 F.3d at 1149. Therefore, its discussion of
    S 1981a was limited to whether the cap applied to each
    claim or incident of discrimination under Title VII. Id. at
    1150 (denying recovery beyond the S 1981a cap where
    plaintiff contended she had three claims of discrimination
    -- one for each school that discriminated against her); see
    also id. at 1148 ("The bulk of the damages depends on
    9
    S 1981, because a Title VII award is subject to a statutory
    cap.") Both courts relied on the plain language of S 1981a
    to conclude that the cap limited recovery per lawsuit under
    the capped federal statute, rather than per claim. Smith,
    
    165 F.3d at 1150-51
    ; Hudson, 130 F.3d at 1200-01. The
    issue presented in the case at bar is wholly different.
    Gagliardo is not attempting to circumvent the damages cap
    by asserting multiple claims of discrimination under a
    federal law; rather she urges the apportionment of the
    jury’s verdict between two nearly identical causes of action,
    one under a federal law and one under a state law.
    The one case CLI cites that is on point is Oliver v. Cole
    Gift Centers, Inc., 
    85 F. Supp. 2d 109
     (D. Conn. 2000). In
    Oliver, the district court, on defendant’s post-verdict
    motion, declined to apportion damages between Title VII
    and the Connecticut Fair Employment Practices Act. 
    Id. at 114
    . The court acknowledged it was going against the
    weight of authority, but found apportionment would be
    inappropriate because it "would contravene the policies
    underlying both the Congressional limitation on recovery
    under Title VII and the limitation on punitive damages
    under Connecticut law." 
    Id.
     Although CLI urges us to adopt
    the Oliver court’s reasoning and holding, we decline. Rather
    than contravening any federal or state policy, we instead
    conclude that our decision "to permit [Gagliardo] to benefit
    from the remedy provided by state law does not conflict
    with the congressional purpose of making [Federal]
    employment discrimination awards reasonable, and is
    expressly provided for in the statute." Luciano v. Olsten
    Corp., 
    912 F. Supp. 663
    , 675 (E.D.N.Y. 1996).
    In sum, we hold that S 1981a does not prohibit
    apportionment of damages between claims, one under a
    capped federal statute and another under a corresponding
    uncapped state statute, so that the verdict winner gets the
    maximum amount of the jury award that is legally
    available. We base our holding on the ADA’s explicit
    language which prohibits limiting state remedies, the policy
    of upholding reasonable jury verdicts, and the power of
    persuasive authority from two other circuit courts.
    10
    IV.
    We review a district court’s denial of a motion for a new
    trial for abuse of discretion. Olefins Trading, Inc. v. Han
    Yang Chem. Corp., 
    9 F.3d 282
    , 289 (3d Cir. 1993).
    Similarly, we review a district court’s denial of a motion for
    remittitur for an abuse of discretion. Starceski v.
    Westinghouse Elec. Corp., 
    54 F.3d 1089
    , 1100 (3d Cir.
    1995). A court may grant a new trial "where a miscarriage
    of justice would result if the verdict were to stand." Olefins,
    
    9 F.3d at 289
     (citations and quotations omitted). On
    appeal, CLI asserts three grounds for a new trial: (1) the
    trial court’s failure to adopt two proposed jury instructions;
    (2) the jury’s improper award of punitive damages; and (3)
    the jury’s award of damages was so disproportionate to the
    injury that it "shocks the conscience of the court." We
    address each in turn.
    A.
    CLI takes issue with the district court’s refusal to adopt
    two of its proposed jury instructions. First, CLI states that
    the court should have instructed the jury that Gagliardo
    was an "at-will employee" and therefore CLI was free to
    terminate her employment so long as it wasn’t for
    discriminatory reasons. As the court below noted, the
    authority CLI cited does not require a district court to give
    such a charge. See Pivirotto v. Innovative Sys., Inc., 
    191 F.3d 344
     (3d Cir. 1999). In Pivirotto the plaintiff in a Title
    VII case argued the district court’s inclusion of a similar
    charge constituted reversible error. 
    Id. at 350
    . This court
    held otherwise, noting that although the inclusion of an at-
    will instruction was not erroneous, "[t]he better practice
    may be for a district court to not give such an instruction
    in a statutory discrimination suit." 
    Id.
     at 350 n.2. Thus, no
    cited authority holds that inclusion of this charge is a legal
    necessity. Further, CLI offers no specific reason or facts
    demonstrating that this charge was necessary in this case.
    Second, CLI contends the district court erred in not
    instructing the jury that the mere diagnosis of MS does not
    establish a statutory disability. CLI claims this instruction
    was necessary because the court did instruct the jury that
    11
    MS is an impairment within the meaning of the ADA. This
    instruction was not prejudicially erroneous, however,
    because the court also instructed the jury that the
    disability must substantially limit a major life activity.
    Hence, the jury was fully aware that the impairment itself
    did not establish a disability within the meaning of the
    ADA. Looking at the instructions as a whole, we hold the
    district court did not abuse its discretion by failing to
    include the requested clarifying instruction.
    B.
    CLI also claims there was insufficient evidence relevant to
    punitive damages to submit the question to the jury and
    that the jury failed to follow the instruction in awarding
    such damages. Punitive damages are available under the
    ADA when "the complaining party demonstrates that the
    respondent engaged in a discriminatory practice . . . with
    malice or with reckless indifference." 42 U.S.C.
    S 1981a(b)(1) (2000). These terms focus on the employer’s
    state of mind and require that "an employer must at least
    discriminate in the face of a perceived risk that its actions
    will violate federal law." Kolstad v. Am. Dental Ass’n, 
    527 U.S. 526
    , 535-36 (1999).
    As the trial court concluded, Gagliardo produced
    sufficient evidence of CLI’s reckless indifference toward her
    statutory disability rights. Gagliardo presented evidence
    that CLI -- through its employees -- was aware she had
    MS. For example, Gagliardo produced evidence that her last
    supervisor, Judith Stout, and CLI’s human resources
    representative, Christine Kirby, discussed Gagliardo’s MS
    prior to Gagliardo’s dismissal. Gagliardo also produced
    evidence that Stout requested information concerning MS.
    She also offered evidence that she advised CLI of the
    limitations her condition imposed on her ability to perform
    her job and that a high level CLI employee -- herself an MS
    sufferer -- counseled Gagliardo regarding the impact of the
    disease. In addition, Gagliardo produced evidence that she
    had requested accommodation on multiple occasions and
    that CLI refused to act on any of those requests. Finally,
    Gagliardo demonstrated that CLI was aware of her federal
    disability rights, as Christine Kirby testified she was
    12
    familiar with the ADA and responsible for ensuring CLI
    followed the ADA. In sum, there was sufficient evidence to
    support the jury’s award of punitive damages.
    C.
    CLI argues chiefly that the excessiveness of the jury’s
    award mandates a new trial or remittitur. The jury awarded
    $2.0 million in compensatory damages and another
    $500,000 (later reduced to $300,000) in punitive damages.
    Gagliardo’s expert testified her economic loss was $450,000
    so we assume the remaining $1.55 million of the jury’s
    verdict on compensatory damages was for pain and
    suffering. CLI attacks only these emotional damages on
    appeal, arguing their excessiveness compels either a new
    trial or remittitur.
    To recover emotional damages a plaintiff must show"a
    reasonable probability rather than a mere possibility that
    damages due to emotional distress were in fact incurred [as
    a result of an unlawful act]." Spence v. Bd. of Ed., 
    806 F.2d 1198
    , 1201 (3d Cir. 1986). The district court found this
    standard to be met because Gagliardo produced evidence
    from her co-workers and family demonstrating the effects
    her problems with CLI had on her life. This testimony tied
    Gagliardo’s pain and suffering to her early employment
    problems after she was diagnosed with MS and detailed
    their subsequent worsening effect on her life. The testimony
    demonstrated the effects of the mental trauma,
    transforming Gagliardo from a happy and confident person
    to one who was withdrawn and indecisive. Because this
    evidence establishes a reasonable probability that Gagliardo
    incurred the emotional damages, we hold that the trial
    court did not abuse its discretion by allowing the jury’s
    verdict to stand. See 
    id.
     Therefore, we affirm the district
    court’s denial of CLI’s motion for a new trial. In addition, in
    light of this evidence we also hold the trial court did not
    abuse its discretion in finding the jury’s verdict is not so
    excessive as to be unsupportable or offend the conscience
    of the court, and therefore denying remittitur. See, e.g.,
    Gumbs v. Pueblo Intern., Inc., 
    823 F.2d 768
    , 771 (3d Cir.
    1987) ("This court has noted that our review of this
    question is severely limited: we may disturb the district
    13
    court’s determination only if the verdict is so grossly
    excessive as to shock the judicial conscience.") (citations
    and quotation marks omitted).
    In sum, we affirm the district court’s denial of CLI’s
    motion for a new trial or for remittitur.
    V.
    For the foregoing reasons, we affirm the judgment of the
    district court.
    A True Copy:
    Teste:
    Clerk of the United States Court of Appeals
    for the Third Circuit
    14
    

Document Info

Docket Number: 01-4045

Filed Date: 11/22/2002

Precedential Status: Precedential

Modified Date: 10/13/2015

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