Linda Mengelkamp v. Lake Metro. Housing Auth. , 549 F. App'x 323 ( 2013 )


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  • NOT RECOMIVIENDED FOR FULL-TEXT PUBLICATION
    File Name: 13a0949n.06
    No. 12-4468
    FILED
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT NOV 0  2013
    LINDA MENGELKAMP ) _
    ’ ) DEBORAH S. HUNT, Clerk
    Plaintiff-Appellee, )
    )
    v. ) ON APPEAL FROM THE UNITED
    ) STATES DISTRICT COURT FOR THE
    LAKE METROPOLITAN HOUSING ) NORTHERN DISTRICT OF OHIO
    AUTHORITY, et at, )
    )
    Defendants-Appellants. )
    Before: KEITH and SUTTON, Circuit Judges; BLACK, District Judge.‘
    BLACK, District Judge. The district court granted Appellants Lake Metropolitan
    Housing Authority (“LMI-IA”) and Steven Knotts’s motion for summary judgment on all
    claims but for Appellee Linda Mengelkamp’s retaliatory discharge claim, and the parties
    tried that claim alone to a jury. R59. Upon trial, the jury returned a verdict in favor of
    Appellee, awarding compensatory damages of $195,000 against LMHA, and punitive
    damages of $105,000 against Mr. Knotts. R.78.
    Appellants argue that the district court’s denial of summary judgment on Appellee’ s
    retaliation claim was improper because: (a) Appellee failed to state a prima facie case for
    retaliation; (b) the district court improperly instructed the jury as to Appellee’s retaliation
    claim by failing to accurately describe the proof required; (0) the district court’s jury
    * Hon. Timothy Black, United States District Judge for the Southern District of
    Ohio, sitting by designation.
    interrogatories on the issue of damages were improper because they failed to delineate back
    pay, front pay, and compensatory damages; (d) the punitive damages award against Mr.
    Knotts was improper because he was not an employer for purposes of imposing Title VII
    liabilities and the evidence at trial did not establish his liability; and (e) the district court’s
    ensuing denials of Appellants’ motion for a new trial and motion to alter or amend the
    judgment were therefore abuses of discretion.
    We find the Appellants’ assignments of error unavailing and thus we AFFIRM.
    I. BACKGROUND FACTS
    Appellee worked as the Administrative Office Manager at LMHA from September
    2009 until May 2010. R.31-1 at 5-6. As a new manager, Appellee was subject to a
    probationary period of one year from the date of her hire. Id at 130. During the
    probationary period, the Executive Director, Steven Knotts, had the right to suspend or
    dismiss Appellee, and termination during this period could not be appealed to the Board.
    Id. At the time of Appellee’s termination, she had been employed by LMHA for less than
    one year.
    Appellee’s duties as the Administrative Office Manager required her to foster
    positive attitudes toward agency goals and to serve as the EEO Coordinator. Id. at 67. Her
    duties also required her to exercise independent judgment and discretion, understand,
    interpret, and apply laws, rules, or regulations to specific situations, develop and maintain
    effective working relationships, and resolve complaints. Id at 68. On March 8, 2010, Mr.
    
    965 F.2d 113
    , 115 (6th Cir. 1992) (citing Qualicare- Walsh, Inc. v. Ward, 
    947 F.2d 823
    , 825
    (6th Cir. 1991)).
    According to FED.R. CIV. P. 56(0), summaryjudgment is appropriate when: (1) there
    is no genuine issue as to any material fact; (2) the moving party is entitled to judgment as
    a matter of law; and (3) reasonable minds can come to but one conclusion, and that
    conclusion is adverse to the party against whom the motion for summary judgment is made,
    who is entitled to have the evidence construed most strongly in his favor.
    Rule 5 6(0) mandates that summary judgment be entered against a party who fails “to
    establish the existence of an element essential to that party’s case and on which that party
    bears the burden of proof at trial.” Celotex Corp. v. Garrett, 
    477 U.S. 317
    , 322 (1986).
    The moving party bears the initial responsibility of informing the court of the basis
    for the motion and identifying those portions of the record that demonstrate the absence of
    a genuine issue of material fact. Id. at 323; Waters v. City ofMorristown, 
    242 F.3d 353
    , 35 8
    (6th Cir. 2001). The burden then shifts to the non-moving party who “must set forth specific
    facts showing that there is a genuine issue for trial.” Anderson v. Liberty Lobby, Inc, 
    477 U.S. 242
    , 250 (1986). The party opposing summary judgment cannot rest on the pleadings
    or merely reassert previous allegations, and it is insufficient to “simply show that there is
    some metaphysical doubt as to the material facts.” Matsushita Elec. Indus. Co. v. Zenith
    Radio Corp, 
    475 U.S. 574
    , 586 (1986). Rather, Rule 56(e) requires the nonmoving party
    to present some type of evidentiary material in support of its position. Celotex, 477 U.S. at
    324.
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    The inquiry is whether the evidence presents a sufficient disagreement as to require
    submission to ajury or whether it is so one-sided that one party must prevail as a matter of
    law. T erry Barr Sales Agency, Inc. v. All-Lock Co, 
    96 F.3d 174
    , 178 (6th Cir. 1996).
    2. Discussion
    To state successfully a claim for retaliation under federal law, a plaintiff must
    establish that (1) she engaged in a protected activity, (2) the defending party was aware that
    the claimant had engaged in that activity, (3) the defending party took an adverse
    employment action against the employee, and (4) there is a causal connection between the
    protected activity and adverse action. Canitz'a v. Yellow Freight Syn, Inc, 
    903 F.2d 1064
    ,
    1066 (6th Cir. 1990). The analysis under Ohio law is identical. Abbott v. Crown Motor Co.,
    Inc, 
    348 F.2d 537
    , 541 (6th Cir. 2003).
    An employee’s activity is “protected” under the applicable federal and state law if
    the employee has “opposed any unlawful discriminatory practice” (the “opposition clause”)
    or “made a charge, testified, assisted, or participated in any manner in any investigation,
    proceeding, or hearing under sections 4112.01 to 4112.07 of the Revised Code” (the
    “participation clause”). Veal v. Upreach LLC, No. HAP—192, 
    2011 WL 4986794
    , at *4
    (Ohio Ct. App. 2011) (citing HLS Bonding v. Ohio Civ. Rights Comm, No. 07AP- 1071,
    
    2003 WL 3522994
    , at *3 (Ohio Ct. App. 2008)).
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    Appellants argue that their motion for summary judgment was premised on statutory
    interpretation regarding the elements of a retaliation claim or, alternatively, on a
    determination of whether Appellee proved a prima facie claim for retaliation, and that both
    of these premises present purely questions of law. Appellants argue that Appellee’s
    complaint did not allege that she opposed any unlawful activity, but simply that she
    participated in investigations, and, therefore, her claim must be evaluated according to the
    requirements of the participation clause. Appellants fail to recognize, however, that
    Appellee also alleged that she was retaliated against for support of claims of gender-based
    discrimination and sexual harassment. R3 at 1111 5, 26. The Supreme Court has held that
    ‘“ [o]ppose’ goes beyond ‘active, consistent’ behavior in ordinary discourse, where we would
    naturally use the word to speak of someone who has taken no action at all to advance a
    position beyond diSclosing it.” Crawford v. Metro. Gov ’2‘ of Nashville & Davidson Cray,
    555 US. 271, 277 (2009). Given the evidence of Appellee’s repeated confrontations with
    Mr. Knotts regarding his behavior, the district court properly found that Appellee’s actions
    should be reviewed under the opposition clause, and that a factual dispute existed as to
    whether the non-discriminatory reasons offered by Appellants for Appellee’s termination
    were pretextual. R59 at 4. The district court’s denial of summary judgment is therefore
    premised in part on disputed facts and, consequently, that part of its decision is not
    appealable per the Supreme Court in Ortiz. 131 S. Ct. at 889.
    Even the portion of the district court’s denial of summary judgment subject to our
    review, its interpretation of the opposition clause, is appropriately affirmed. Again, the
    -13..
    complaint alleged not only that Appellee investigated the charges, but also specifically that
    this action was brought for retaliation for support of claims of gender-based discrimination
    and sexual harassment. R3 at 1111 5, 26. Rule 8(a)(2) of the Federal Rules of Civil Procedure
    requires only that a complaint set forth “a short and plain statement of the claim showing that
    the pleader is entitled to relief.” The purpose is to give the defendant “fair notice of what
    the claim is and the grounds upon which it rests.” Conley v. Gibson, 
    335 U.S. 41
    , 47 ( 1957).
    The complaint in this case fulfilled that purpose and gave fair notice that Appellee’s actions
    resulting in retaliation went beyond simply conducting internal investigations.
    Activities properly with in the scope of the opposition clause are protected activities
    under Title VII whether or not formal charges of discrimination have been filed with the
    EEOC. Sumner v. United States Postal Service, 
    899 F.2d 203
     (2nd Cir. 1990); Sawicki v.
    American Plastic Toys Inc., 
    180 F. Supp. 2d 910
     (ED. Mich. 2001); Barker v. Utica College
    of Syracuse Univ., 
    885 F. Supp. 3
     78 (N.D.N.Y. 1995). In a case founded upon the
    opposition clause, it is irrelevant that such charges have not been filed.
    Finally, to invoke protection under the opposition clause, Appellee does not have to
    prove that the conduct or policy she Opposed was in fact an illegal employment practice. As
    stated in Booker v. Brown & Williamson Tobacco Co., Inc., 
    879 F.2d 1304
    , 1313-14 (6th Cir.
    1989), “a person opposing an apparently discriminatory practice does not bear the entire risk
    that it is in fact lawful; he or she must only have a good faith belief that the practice is
    unlawful.”
    B. District Court’s Jury Instruction Regarding Appellee’s Retaliation Claim
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    1. Standard of Review
    The propriety of jury instructions is a question of law to be reviewed de novo.
    Williams ex rel. Hart v. Paint Valley Local Sch. Dist, 
    400 F.3d 360
    , 365 (6th Cir. 2005).
    “[A] trial court is given broad discretion in wording its jury instructions and will not be
    reversed as long as the charge correctly states the substance of the law.” United States v.
    L’Hoste, 
    609 F.2d 796
    , 805 (5th Cir.), cert. denied, 449 US. 833 (1980).
    2. Discussion
    The portion of the district court’s instruction that the Appellants’ Second Assignment
    of Error is based on reads as follows:
    Now, the plaintiff Mengelkamp claims that the defendant
    discriminated against the plaintiff because the plaintiff had opposed a
    practice made unlawful by Title VII of the Civil Rights Act of 1964. In order
    to prevail on this claim the plaintiff must show all of the following:
    First, that the plaintiff engaged in conduct protected by Title VII of
    the Civil Rights Act of 1964 by investigating and making recommendations
    regarding Patricia England’s complaint of gender discrimination and by
    investigating and making recommendations concerning Erica Peavy’s
    complaint of sexual harassment or both of these complaints.
    Linda Mengelkamp need not prove that the claims of employees
    England and Peavy were actually true. She must only prove that she was
    acting . . . under a good faith belief . . . that England may have been the
    victim of gender discrimination or that Peavy may have been the victim of
    sexual harassment at LMHA . . . .
    R.101 at 334-35.
    Appellants’ main objection is that the instruction “blurred the line” between the
    Opposition and participation clauses of Title VII for the purposes of proving that Appellee
    -15..
    was engaged in protected activity. Appellants argue that in pleading her retaliatory
    discharge claim, the only explicit charge made was that Appellee was discharged for her role
    in investigating charges made by England and Peavy, who never filed any charges with the
    EEOC. Appellants complete their argument by contending that since the Sixth Circuit does
    not recognize as protected activity internal investigations occurring outside of a filed EEOC
    charge, the actions of Appellee here never qualified as “protected” activity and cannot give
    rise to any claim for retaliation.
    As discussed supra, however, when the district court denied Appellants’ motion for
    summary judgment, the court explicitly found that “[b]oth federal and Ohio law prohibits
    an employer from discriminating against an employee for opposing sexual harassment or
    gender discrimination in the workplace. Mengelkamp says Appellants fired her for opposing
    just such practices.” R.59 at 3. Rejecting Appellants’ fixation on the participation clause,
    the court stated that “Mengelkamp’ s investigation and, more importantly, her efforts to stem
    and to remedy gender discrimination and sexual harassment at LMHA — including by
    threatening Mr. Knotts with an EEOC filing — are properly characterized as ‘opposition’ to
    unlawful employment practices.” Id. at 6.
    Activities properly within the scope of the opposition clause are protected activities
    under Title VII, whether or not formal charges of discrimination have been filed with the
    EEOC. Sumner, 899 F .2d at 203; Sawicki, 180 F. Supp. 2d at 910; Harker, 885 F. Supp. at
    378. Moreover, “[a] person opposing an apparently discriminatory practice does not bear
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    the entire risk that it is in fact unlawful; he or she must only have a good faith belief that the
    practice is unlawful.” Booker, 879 F.2d at 1313-14.
    The district court therefore appropriately instructed the jury that Appellee’s conduct
    “investigating and making recommendations” regarding the England and Peavy claims
    qualified as “protected activity” under Title VII. R. 101 at 334—35. The case went forward
    on the basis that Appellee was engaged in protected activity because of her Opposition to
    unlawful employment practices. The fact that this opposition took place as an outgrowth of
    internal investigations is a matter of circumstance. There is no reason to conclude that
    conducting an investigation and opposing unlawful activity are mutually exclusive.
    The instruction at issue correctly states the substance of the law, given the procedural
    posture of the case, and does not constitute reversible error.
    C. District Court’s Failure to Submit Interrogatories to the Jury that Delineated
    Back Pay, Front Pay, and Compensatory Damages
    1. Standard of Review
    A district court’s decision to submit a proposed interrogatory to the jury is reviewed
    for abuse of discretion. United States v. Hammon, 277 F. App’x 560, 568 (6th Cir. 2008).
    “Abuse of discretion is defined as a definite and firm conviction that the trial court
    committed a clear error of judgment. A district court abuses its discretion when it relies on
    clearly erroneous findings of fact, or when it improperly applies the law or uses an erroneous
    legal standard.” Ben‘s v. Costco Wholesale Corp, 
    558 F.3d 461
    , 467 (6th Cir. 2009) (citing
    Tompkin v. Philzp Morris USA, Inc., 
    362 F.3d 882
    , 891 (6th Cir. 2004)).
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    2. Discussion
    By the Appellants’ own admission, thejury instruction given on back pay, front pay,
    and compensatory damages properly instructed the jury that they were to be calculated
    separately. As long as the instructions, together with the interrogatory, adequately inform
    the jury of the relevant considerations, there is no reason to challenge the court’s discretion.
    Fisher v. Ford Motor Co., 
    224 F.3d 570
     (6th Cir. 2000). Here, as the jury was properly
    instructed on what to consider in separately calculating these damage awards, there is no
    harm in the simplified approach taken by the district court with regard to the interrogatory
    in question.
    Appellants argue that without an interrogatory that Specifically delineates the three
    separate damage awards, there is no way of determining if the award for front pay was
    “supported by a reasonable interpretation of the evidence” or if the federal statutory cap on
    the sum of punitive and compensatory damages is exceeded. As the trial court stated in
    reviewing Appellants’ post-trial motion for a new trial, the Appellants’ argument is
    two—pronged: first, that front pay damages were potentially unsupported by the evidence,
    and, secondly, that the lack of itemized damages precludes this Court from properly
    assessing the damages cap.
    Appellants’ argument that front pay damages may not be “supported by a reasonable
    interpretation of the evidence” is an attack on the weight of the evidence. Appellants argue
    that front pay could not be warranted because Appellee secured new employment within six
    months of her termination, at a salary comparable to what she had made at LMHA. But at
    -13-
    trial, Appellee testified that she has neither medical benefits nor pension benefits in her new
    position. Appellee’s experts testified that her total economic loss, both past and future, came
    to $117,488. R.100 at 146-47, 164-76. Appellants were free to offer their own experts or
    to otherwise challenge this testimony, but they did not. Ajury’s award is to be accorded
    great discretion, Rodgers v. Fisher Body Div., 
    739 F.2d 1102
    , 1 107 (6th Cir. 1984), and there
    was ample evidence to warrant an instruction on front pay and justify the consideration of
    such damages by the jury.
    The damage cap issue would be relevant if this case had only gone forward only as
    a federal claim under Title VII, since punitive plus compensatory damages would be limited
    by federal law to no more than $50,000. See 42 U.S.C. §1983a(b)(3)(A). That is not the
    case here, however, as Appellee also raised a corresponding claim under Ohio Revised Code
    §41 1202(1), and the parties stipulated as part of the final pretrial order that the action would
    go forward under both federal and state law. R.57 at 2.
    Although the instructions given only referred to the requirements for a Title VII
    claim, instructions solely on federal claims can permit state law liability if the instructions
    are sufficient. Hall v. Como]. F reightways Corp. of Delaware, 
    337 F.3d 669
    , 677 (6th Cir.
    2003). The district court instructed thejury that punitive damages against Mr. Knotts would
    be appropriate only if he “personally acted with reckless indifference to plaintiff’s federally
    protected rights.” Under Ohio law, punitive damages may be recovered only upon a
    showing of “actual malice.” Zappa v. Homestead Ins. Co., 
    71 Ohio St. 3d 552
    , 558, 
    644 N.E.2d 397
    , 402 (1994). “Actual malice” is defined under Ohio law as “(1) that state of
    -19-
    mind under which a person’s conduct is characterized by hatred, ill will or a spirit of
    revenge, or (2) a conscious disregard for the rights and safety of other persons that has a
    great probability of causing substantial harm.” Id. This latter prong contemplates recklessly
    indifferent behavior and thus the instruction requiring a finding of reckless indifference was
    sufficient to permit state law liability.
    Both the Supreme Court of Ohio and this Court have recognized that a claim under
    Ohio Revised Code §4112 mirrors one brought under Title VII, so both can be analyzed
    solely under Title VII. Plumbers & Steamfitters JointApprenticeship Comm. v. Ohio Civil
    Rights Comm ’n, 
    66 Ohio St. 2d 192
    , 196, 
    421 N.E.2d 128
    , 131 (1981);Abbott, 348 F.3d at
    541. Damages that are awarded in such an action may be distributed between the state and
    federal claim. Abbott, 348 F.3d at 541. Plaintiffs are entitled to elect under which statute
    they will receive damages, and where the state claim has no damage caps (or more generous
    ones), the Title VII limits do not apply. Denhofv. City of Grand Rapids, 
    494 F.3d 534
    , 548
    (6th Cir. 2007).
    Ohio law caps tort recoveries for non-economic losses at $250,000, and economic
    losses are not capped. Ohio Revised Code §2315.18(B)(2). Thus it matters little that the
    jury was not invited to break down its “compensatory” award of $ 1 95,000 into its component
    parts as, under any circumstance, the Ohio cap was not exceeded.
    The record in this case supports a compensatory award of $195,000, and as that
    amount is well within the Ohio statutory cap, no prejudice resulted from the district court’s
    -20-
    Knotts gave a positive performance review of Appellee. R.31-2 at 3-13; R.3 1-3 at 9-1 0, 20-21.
    As of March 9, 2010, LMHA had not provided any training to Appellee about her
    responsibilities as the LMHA EEO officer. R31 at 46. Nevertheless, on March 9, 2010, a
    LMHA employee, Patricia England, approached Appellee to complain about the manner in
    which Mr. Knotts had treated Ms. England at a managers’ meeting that same day. Id. at 42-
    43. The entire LMHA management staff, including Appellee, attended the meeting. Id.
    According to Appellee, Ms. England claimed that Mr. Knotts was “discriminating against
    her because she was a female and she felt that he was being overly aggressive and
    confiontational towards her because of [her femaleness]” and “that he was not treating her
    fairly and the same as he did the male members of management.” Id. at 43-44.
    Ms. England, Mr. Knotts, and Appellee, without witnesses, discussed the allegation.
    Id. at 42. Appellee wrote notes, dated March 10, 2010, to memorialize the meeting. R.31
    at 42, R.31-1 at 150.
    Appellee’s notes of the meeting indicate that Ms. England believed that Mr. Knotts
    was “targeting her” for being a “strong, intelligent female” and “attempting to undermine
    her authority as a Manager.” Id. Ms. England believed that Mr. Knotts had pushed “under
    the rug” a safety issue that she had brought up in the managers’ meeting. Id. According to
    Appellee’s notes, Mr. Knotts asked Appellee if she agreed with Ms. England, and Appellee
    “agreed with Ms. England that the reaction was one of offense.” Id. Appellee expressed her
    opinion that the “members of the management team should be free to bring up issues and
    concerns” at managers’ meetings. Id. Her notes further state that Appellee told Mr. Knotts
    -3-
    design of the jury interrogatories. The court was well within its discretion to instruct and
    craft interrogatories as it did.
    D. Punitive Damage Award
    1. Standard of Review
    The standard of review for an award of punitive damages is reasonableness. Walker
    v. Norris, 
    917 F.2d 1449
     (6th Cir. 1990) (citing Smith v. Wade, 
    461 U.S. 30
    , 54 (1983)).
    Punitive damages may be awarded “when the defendant’s conduct is shown to be motivated
    by evil motive or intent, or when it involves reckless or callous indifference to the federally
    protected rights of others.” Hill v. Marshall, 
    962 F.2d 1209
    , 1217 (6th Cir. 1992) (citing
    Smith, 461 U.S. at 56).
    2. Discussion
    The Supreme Court has held that “malice” and “reckless indifference” pertain to the
    employer’s knowledge that it may be acting in violation of federal law. Kolstaa’ v. Am.
    Dental Ass ’n, 
    527 U.S. 526
    , 5 36-37 (1999). To be liable for punitive damages, “an employer
    must at least discriminate in the face of a perceived risk that its actions will violate federal
    law.” Id. at 536. “[A] positive element of conscious wrongdoing is always required.” Id.
    at 53 8. An employer does not have the requisite state of mind if it “discriminated with the
    distinct belief that its [alleged] discrimination is lawful, even if that belief is erroneous.”
    Zakre v. Nora’a’eutsche Landesbank Glrozenlrale, 
    541 F. Supp. 2d 555
    , 561 (S.D.N.Y. Feb.
    8, 2008) (quoting Kolstad, 527 U.S. at 538). However, “[e]gregious or outrageous acts may
    serve as evidence supporting an inference of such evil motive.” Kolstaa’, 527 U.S. at 527.
    -21-
    As the district court stated when ruling on Appellants’ motion to alter or amend the
    judgment under Rule 59(e):
    [T]he evidence adduced at trial supports a finding that Mr. Knotts
    consciously disregarded Plaintiff Mengelkamp’s rights. Knotts was tasked
    with acting upon Mengelkamp’s investigations into human resources
    complaints, and yet still engaged in retaliatory conduct. The evidence further
    supports a finding that Knotts’ actions were “outrageous” and “flagrant,” so
    as to militate against upsetting the jury’s verdict. Pelletier v. Rumpke
    Container Serv., 
    753 N.E.2d 958
    , 964-65 (Ohio Ct. App. 2001). An agency’s
    head, investigating allegations of gender harassment decides to punish the
    messenger instead. It is not plainly erroneous to conclude that so doing
    constitutes outrageous behavior within the ambit of Ohio’s punitive damages
    scheme.
    R.93 at 6. Under this View of the evidence, apparently shared by thejury, the fact that Mr.
    Knotts “followed protocol” and consulted with the agency’s legal counsel is of little
    probative value. Mr. Knotts made the decision to terminate Appellee and he was the one
    motivated to retaliate against her. R.100 at 243.
    Finally, Mr. Knotts is appropriately considered an “employer” for purposes of Title
    VII liability. An individual qualifies as an “employer” under Title VII if he (1) serves in a
    supervisory position, (2) has “significant control over plaintiff” s hiring, firing, or conditions
    of employment,” and (3) is “the ultimate authority over [the plaintiff’s] employment and
    working conditions.” Sauers v. Salt Lake County, 
    1 F.3d 1122
    , 1125 (10th Cir. 1993). The
    record evidences that Mr. Knotts held a supervisory position, that he had significant control
    over Appellee's firing, and that he was the person in charge of Appellee’s employment
    conditions.
    Consequently, the evidence sustains the punitive damage award.
    -22-
    E. District Court’s Denial of Appellants’ Post-Trial Motions for a New Trial or to
    Alter or Amend the Judgment
    1. Standard of Review
    A court’s denial of a motion for a new trial pursuant to FED. R. CIV. P. 59(a)
    is reviewed for an abuse of that discretion. Logan v. Dayton Hudson Corp, 
    865 F.2d 789
    , 790 (6th Cir. 1989) (citing Whittington v. New Jersey Zinc Ca, 
    775 F.2d 698
     (6th Cir.1985)); Huflv. Metropolitan Life Ins. Co., 
    675 F.2d 119
    , 122 (6th Cir. 1982).
    2. Discussion
    As none of the Appellants’ assignments of error are availing, the denial of their
    motions for a new trial and to alter or amend the judgment do not represent abuses of
    discretion.
    VI. CONCLUSION
    For the foregoing reasons, we affirm.
    -23-
    ' that his “aggressive reactions toward issue [sic] are making some of the staff feel uneasy and
    if this behavior toward her does not stop she will be forced to contact the EEOC.” Id.
    According to Appellee’s notes, Mr. Knotts apologized, stated he was unaware that he had I
    given offense, and all parties agreed to meet again in one month to review Ms. England’s
    complaint and “determine if progress is being made.” Id.
    Appellee, in her deposition, testified that the one-month period was to allow the
    parties to determine if Mr. Knotts’ treatment of Ms. England during the managers’ meeting
    “happened to be a fluke.” R.3] at 44. Appellee needed time to “pay more attention to
    interactions between [Ms. England and Mr. Knotts],” to find out if what happened on March
    9 was a “bad day” or if it was a “pattern.” Id.
    On April 20, 2010, Erica Peavy, an LMHA employee, alleged that Scott Gleason, an
    outside contractor, had touched her inappropriately on LMHA property. Id. at 19-20.
    Appellee informed Mr. Knotts of the allegation and suggested that the accused individual
    be immediately removed from the pr0perty. Id. at 21-22.
    Mr. Knotts met with Mr. Gleason and Tom Huth, the finance manager at LMHA who
    had been present when Mr. Gleason allegedly touched Ms. Peavy, to discuss the complaint
    made against Mr. Gleason, after which Mr. Knotts personally escorted Mr. Gleason off of
    the premises and told him not to return. R.31—3 at 61. Mr. Gleason had no further contact
    with LMHA employees. R.31-l at 23-24, R.31-3 at 88.
    The incident involving Ms. Peavy was the first time Appellee had ever handled such
    a sexual harassment complaint. R.31—I at 30. Appellee sought help from LMHA’s outside
    -4-
    human resources contractor, Sandy Conley of Clemans Nelson, a public sector labor
    relations and human resource consulting firm, for guidance as to how to proceed. Id. In
    accordance with Ms. Conley’s direction, Appellee collected statements from employees and
    made recommendations to the agency. Id. at 27-28, 32-33. The agency implemented those
    recommendations. Id. at 88.
    Appellee, however, took issue with Mr. Knotts’ decision to discuss Ms. Peavy’s
    complaint with Mr. Gleason and Mr. Huth. Appellee felt that Mr. Knotts had “given the
    impression of tainting the investigation” and had “given the appearance, whether true or not,
    of collusion.” Id. at 23. Appellee did not believe a witness, Mr. Huth, should have been in
    the room when Mr. Knotts discussed the complaint with Mr. Gleason. Id. at 26. Tensions
    rose between Appellee and Mr. Knotts, as demonstrated by a review of the email exchange
    between them from May 3 through May 12, 2010. R.100 at 93-96; PX13.
    In May 2010, LMHA’s HCV Assistant Manager, Melissa Martin, informed Mr.
    Knotts that she had concerns regarding Ms. England. R.31-3 at 26; R.31-5 at 7-8. Ms.
    Martin indicated that she did not feel comfortable disclosing her concerns about Ms. England
    to Appellee, the human resources representative, because of Appellee’s relationship with Ms.
    England. R.3 1-3 at 27—28; R.3 1-5 at 9—10. Mr. Knotts then asked Ms. Martin to prepare a
    written statement of her concerns. R.3l-3 at 29; R.31-5 at 8.
    In her statement, Ms. Martin discussed LMHA’s lack of a “true” human resources
    department as employees did not feel comfortable taking their concerns to Appellee because
    her loyalty seemed to lie with Ms. England, not Mr. Knotts, in Spite of Ms. England’s lack
    -5-
    of professionalism, “blatant disrespect, and insubordination.” R.3l-2 at 19-20. Additional
    staff members also provided statements regarding Appellee’s alleged unprofessional
    behavior. The employees described the toxicity of the relationship between Ms. England and
    Appellee, which allegedly resulted in a breakdown of communication and trust between
    Appellee and the staff. R.31-2 at 21-22, 24-27; R.3l-3 at 29. The staff members also
    complained of Appellee’s disruption of the LMHA working environment and failure to act
    in the best interest of the agency. R.31-2 at 24—29, 34-36.
    Prior to these staff reports, Appellee discussed her conclusions and recommendation
    regarding the Peavey incident with Mr. Knotts. R.100 at 100. Within four days of that
    discussion, the staff had made the negative reports regarding Appellee and Mr. Knotts
    moved to terminate her. Id. On May 17, 2010, she received a Notice of Corrective Action.
    R.31-2 at 15-18. The stated reason for her termination was her alleged failure to treat
    employees with dignity, courtesy, professionalism and respect, insubordination and not
    following the oral and written directives of her supervisor, failure to satisfactorily perform
    her assigned duties, and failure to perform job responsibilities and conduct herself with
    honesty and integrity. Id. In an email to Sandy Conley two days prior, Mr. Knotts referred
    to the “gender issue” and “male v. female issue” with regard to the reasons for Appellee’s
    termination. Appellee’s Appendix at 51.
    Appellee notified the Board of Commissioners of LMHA that she sought to appeal
    her termination. R3 at 11 52. The initial hearing date of September 8, 2010 was canceled
    and rescheduled for November 10, 2010. Id. at 11 53. Appellee thereafter abandoned her
    efforts to appeal her termination to the board. Id. at 11 54.
    On September 22, 2010, Appellee filed a complaint with both the Ohio Civil Rights
    Commission (“OCRC”) and the US. Equal Employment Opportunity Commission
    (“EEOC”) claiming that LMHA retaliated against her on account of her participation in a
    protected activity. Id. at 11 11. On June 9, 2011, the OCRC issued a ruling of no probable
    cause. Id. at 11 12. On September 7, 2011, the EEOC also issued a ruling of no probable
    cause. Id. at 11 13.
    In her complaint in district court, Appellee claimed that Appellants wrongfully
    discharged her because of her involvement with the sexual harassment and gender
    discrimination investigations. She sought recourse for alleged retaliation for her
    participation in the England and Peavy investigations and her opposition to the alleged
    conduct. Id. at 1111 20-21, 26.
    At the trial on Appellee’s claim for retaliation, Mr. Knotts testified as to the
    procedure he routinely followed when discharging employees. R.100 at 189. This
    procedure included collecting documentation and providing it to the attorney for the LMHA
    Board of Commissioners, whose “concurrence” with the appropriate level of discipline was
    required. Id. at 190. Mr. Knotts did this every time an employee was discharged. Id.
    Sometimes, Mr. Knotts contacted LMHA’s human resources contractor and its attorney
    would review the termination documentation prior to taking action. Id. Prior to making the
    decision to discharge Appellee, Mr. Knotts conferred with LMHA’s attorney and LMHA’s
    -7-
    human resources contractor to determine the apprOpriate course of action, as was routine
    procedure when terminating agency employees. Id. at 209, 211.
    On the issue of damages, at the time of Appellee’s termination in May 2010, she was
    earning an annual salary of $46,000. Id. at 110. In 2011, Appellee’s salary at her new
    position with the Christopher Group was $54,580.10. Id. at 112. According to Appellee’s
    expert witness, Appellee made more money at her then-current job than she had while
    employed by LMHA. Id. at 179-180. However, Appellee’s benefits at her new position
    were significantly more limited, and she was required to pay out of pocket for her own health
    insurance and thus was unable to afford to avail herself of the pension benefits offered. Id.
    at 1 1 1-13. Appellee’s expert testified that the value of the past loss of health insurance and
    pension benefit was $3 8,452 and that the loss of the health insurance and pension benefits
    over the next seven years was $69,199. Id. at 164-76.
    At the close of trial, the district court, when instructing the jury, stated that Appellee
    claimed that Appellants terminated her because she “Opposed a practice made unlawful by
    Title VII.” R.101 at 334-35. The court instructed that Appellee, to prove her claim, must
    first demonstrate that she engaged in protected activity by “investigating and making
    recommendations” related to the England and Peavy incidents. Id. at 335.
    Prior to trial, Appellants submitted two proposed jury instructions to the district
    court, numbered eight and nine, based on the allegations in Appellee’s complaint that she
    was retaliated against for participating in investigations of gender discrimination and sexual
    harassment. R.49 at 12- 14. After the district court denied Appellants’ Motion for Summary
    -3-
    Judgment on the ground that Appellee opposed unlawful activity at LMHA, Appellants also
    submitted a supplemental opposition cIausejury instruction to the court prior to trial. R68.
    At trial, counsel for Appellants objected to the court’s instruction on the ground that
    the court had blurred the line on what actions constituted participation in an investigation
    and what actions constituted opposition under Title VII. R.101 at 346. Appellants argued
    that their proposedjury instructions numbered eight and sixteen were the correct statements
    of law. Id. The court overruled Appellants’ objection to the jury instructions given. Id. at
    347.
    The trial court also defined compensatory damages, back pay, and front pay in its
    instructions. Id. at 337-39. The trial court submitted six interrogatories to the jury, two of
    which addressed compensatory damages. R.75 at 3. Interrogatory three asked whether
    Appellee was entitled to compensatory damages. Id. Interrogatory four asked what amount
    of compensatory damages were proper. Id.
    Appellants proposed separate interrogatories for the separate categories of damages.
    R.69. Proposed interrogatory seven addressed back pay, proposed interrogatories eight and
    nine addressed front pay, and proposed interrogatories ten and eleven addressed
    compensatory damages. Id.
    At trial, Appellants objected to the court’s single interrogatory regarding the amount
    of compensatory damages. R.101 at 348. Appellants argued that the law requires that
    compensatory damages, front pay, and back pay must be separately considered, and
    Appellants’ proposed interrogatories were consistent with the court’s instructions regarding
    damages. The trial court overruled Appellants’ objection. Id.
    Appellants ultimately filed a motion to alter or amend the judgment and a motion for
    a new trial, both of which were denied by the district court. R.82, 83, 93.
    H. ANALYSIS
    A. Denial of Appellants’ Motion for Summary Judgment on Appellee’s Claim for
    Retaliatory Discharge
    1. Standard of Review
    In Ortiz v. Jordan, 
    131 S. Ct. 884
    , 891(2011), the Supreme Court held that a party
    may not “appeal a denial of summary judgment after a district court has conducted a full trial
    on the merits.” In that case, the Court also noted that once the case proceeds to trial, the full
    record developed in court supercedes the record existing at the time of the summary
    judgment motion. Id. However, “[d]espite summarizing its ruling in unfortunately broad
    language, the opinion in Ortiz was actually limited to cases where summary judgment is
    denied because of factual disputes” and “‘Ortiz leaves open the possibility’ that . . . purely
    legal claims ‘may still be considered.” In re AmT rust Financial Corp, 
    694 F.3d 741
    , 750
    (6th Cir. 2012) (citing Nolfi v. Ohio Ky. Oil Corp, 
    675 F.3d 53
     8, 545 (6th Cir. 2012)).
    Where review is appropriate, we review a denial of summary judgment de novo.
    Davis v. McCourt, 226 F .3d 506, 51 1 (6th Cir. 2000). Therefore, we “examine . . . the record
    in the same manner as the district court.” Id.; see also Estate of Mills v. T rizec Properties,
    -10-
    

Document Info

Docket Number: 12-4468

Citation Numbers: 549 F. App'x 323

Filed Date: 11/4/2013

Precedential Status: Non-Precedential

Modified Date: 1/13/2023

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