Kendel v. Local 17-A United Food & Commercial Workers , 512 F. App'x 472 ( 2013 )


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  •                 NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
    File Name: 13a0081n.06
    No. 12-3409
    FILED
    UNITED STATES COURT OF APPEALS
    Jan 22, 2013
    FOR THE SIXTH CIRCUIT                         DEBORAH S. HUNT, Clerk
    TINA KENDEL,                                        )
    )
    Plaintiff - Appellant,                       )
    )
    v.                                                  )
    )   ON APPEAL FROM THE UNITED
    LOCAL 17-A UNITED FOOD AND                          )   STATES DISTRICT COURT FOR
    COMMERCIAL WORKERS; HOWARD                          )   THE NORTHERN DISTRICT OF
    BARNES,                                             )   OHIO
    )
    Defendants - Appellees.                      )
    )
    Before: BOGGS, ROGERS, and STRANCH, Circuit Judges.
    JANE B. STRANCH, Circuit Judge. Plaintiff Tina Kendel brought this lawsuit alleging
    sexual harassment and gender discrimination against Local 17-A, United Food and Commercial
    Workers (“Local 17-A”); the United Food and Commercial Workers International Union (“the
    International”); and Howard Barnes, the former President of Local 17-A. The International was
    granted summary judgment. Kendel’s claims against Local 17-A and Barnes proceeded to trial and
    the jury found against her on all claims. Kendel filed post-trial motions contesting certain
    evidentiary determinations and jury instructions. The district court denied those motions, and
    Kendel appealed. We now AFFIRM the judgment of the district court.
    I. BACKGROUND
    Local 17-A is located in Canton, Ohio and represents workers at five food companies in the
    negotiation of collective bargaining agreements (CBAs) and the administration of those agreements.
    Local 17-A is a member union of the International and is governed in part by the constitution of the
    International. The International also provides assistance to Local 17-A in contract negotiation and
    some other activities.
    Kendel was hired as an administrative assistant at Local 17-A in 1988. In 1999, Defendant
    Barnes was elected by the union membership to serve as President of Local 17-A. That same year,
    Barnes retained Kendel as an assistant and appointed her Secretary-Treasurer of Local 17-A.
    Secretary-Treasurer is an officer and board-member position that generally requires a membership
    election. Kendel was subsequently elected to the position in 2002 and re-elected in 2005 and 2008.
    Barnes was re-elected as President in 2002 and 2005. In 2008, however, Barnes lost his re-election
    bid to a candidate Kendel supported.
    Kendel admits that during their first four years of working together Barnes did not treat her
    in an inappropriate manner, but she alleges that in 2003 or 2004 Barnes began making degrading and
    harassing comments to her based on her sex. Kendel also alleges that Barnes began excluding her
    from certain union meetings and negotiations, threatened her with violence, and on one occasion
    physically assaulted her and attempted to choke her. At her deposition, Kendel stated that by 2004
    she believed Barnes saw her as a political threat to him and that Barnes might have been thinking
    she wanted to run against him for President of Local 17-A. She testified that Barnes did not directly
    tell her this, but rather:
    He would talk about, you know, everybody wants to be president. Somebody in here
    wants to run or something. He would like make – I don’t know what you’d call them
    where you say something and you think that you’re telling that person that its them.
    I mean, I didn’t know what he meant half the time when he was talking about it.
    2
    Kendel Dep. 167–68, R. 98-2 at PageID # 783–84. Kendel began taking notes detailing Barnes’s
    treatment of her and referencing specific incidents that occurred. She took the notes on little scraps
    of paper that she later typed; the first typed version was used in her charge before the Ohio Civil
    Rights Commission (“OCRC”) and a different typed version was used in her litigation claims.
    The final confrontation in the relationship occurred shortly before the January 17, 2008 Local
    17-A election of officers. Kendel alleges that on January 7 Barnes accused her of manipulating the
    calculation of lost time for members on the election committee and thereby “sticking votes in [her]
    bra.” She alleges that at the end of an argument Barnes grabbed her shoulder and was moving his
    hand toward her neck before she stepped out of the way. Kendel alleges that she somewhat turned
    around and said, “You just tried to choke me” then went to her office, called her husband, left the
    building, and eventually called 9-1-1 from her car. Two police officers responded to the scene, but
    no charges were filed.
    On January 13, Kendel sent a letter about this incident and the alleged hostile work
    environment to Joseph Hansen, President of the International, requesting an immediate response and
    investigation. And, at some point between the incident and the Local 17-A election, a flier about the
    incident was circulated among the Local 17-A membership. On January 17, Barnes lost his re-
    election bid. Kendel was re-elected as Secretary-Treasurer.
    On January 18, Hansen responded to Kendel’s allegations with a letter. Hansen noted that
    Local 17-A was an autonomous body and that the International was not Kendel’s employer. Hansen
    stated, however, that the International was committed to eliminating all forms of employment
    discrimination, and he promised Kendel an investigation of her allegations.
    3
    The International hired a law firm to investigate the incident, and attorney Mady Gilson
    carried out the investigation. Gilson traveled to Canton; reviewed documents that Kendel provided;
    and interviewed Kendel, Barnes, and witnesses provided by both Kendel and Barnes. At the close
    of the investigation, Gilson authored a short memorandum to the International in which she noted
    that the work relationship between Kendel and Barnes was “extremely difficult and at times
    unprofessional.” She also noted that Barnes had been defeated in the election and had since retired
    from the plant at which he had worked. The memorandum concluded:
    Therefore, it appears that no further action is necessary; Ms. Kendel and Mr. Barnes
    no longer are working together at the Local, and Ms. Kendel is able to perform her
    duties as Secretary-Treasurer under a new Local President.
    I do note that to avoid further problems for themselves and the Local, Ms. Kendel
    and Mr. Barnes would be well advised not to have any further contact, either direct
    or indirect, with each other.
    Gilson Mem., R. 98-10 at Page ID #1046. On July 10, 2008, Hansen sent a letter to Kendel
    repeating Gilson’s reasoning and conclusions and noting that Barnes was no longer the president of
    Local No. 17A or a member of the UFCW. Hansen concluded that, as a result, there should be no
    continuing issues and no further action was necessary.
    On July 2, 2008, Kendel filed a charge of discrimination against Local 17-A with the OCRC
    and included a typed version of some of the notes she had written about her interactions with Barnes.
    The OCRC determined that there was no probable cause to find that Local 17-A engaged in unlawful
    conduct. The EEOC adopted the finding of the OCRC and issued Kendel a right-to-sue letter.
    On August 26, 2009, Kendel filed this lawsuit against Local 17-A, the International, and
    Barnes in both his individual and official capacity. The suit alleged three causes of action against
    each defendant: sexual discrimination in violation of Title VII of the Civil Rights Act of 1964, §
    4
    703(a)(1), 42 U.S.C. § 2000e-2(a)(1); intentional infliction of emotional distress under Ohio law;
    and sexual discrimination in violation of Ohio Revised Code § 4112. Kendel subsequently moved
    unilaterally to dismiss the Title VII claim against Barnes in his individual capacity.
    A. Discovery and Gilson deposition
    The parties engaged in discovery over a period of several months during which Kendel filed
    notice to take Gilson’s deposition. Gilson’s deposition was taken via telephonic videotape on March
    29, 2010. Responding to questioning by Kendel’s attorney, Gilson described her investigation into
    Kendel’s complaints, including her visit to Canton and interviews with Kendel, Barnes, and the other
    witnesses. Kendel’s attorney asked Gilson for her “impression” of her interview with Barnes. In
    response, Gilson stated:
    My impression in talking to Mr. Barnes, particularly when combined with my talking
    to Mrs. Kendel, is that there was a lot of acrimony and hostility between them,
    largely of a political nature. They were in opposite camps and the witnesses were
    either staunch supporters of one or staunch supporters of the other, and I felt that they
    both were participants in a very difficult working relationship.
    Gilson Dep. 43, R. 226 at PageID #4456.
    Kendel’s attorney also asked about the results of the investigation. Gilson responded that she
    had been asked to provide conclusions as to what had happened and whether there had been
    “actionable harassment,” and that she determined there had been no such harassment. 
    Id. at 4463. Gilson
    explained this as meaning that she found no conduct that rose to the level of sexual
    harassment under federal law. Kendel’s attorney also asked Gilson to explain her statement that the
    relationship between Kendel and Barnes was “unprofessional,” and Gilson responded that Kendel
    spoke of Barnes in very disrespectful terms and often made allegations that seemed to be extreme
    5
    and unwarranted. Gilson said that fundamentally she saw the conflict as a political dispute between
    Kendel and Barnes.
    B. Summary judgment
    The defendants filed three separate motions for summary judgment. The district court
    granted summary judgment to the International on all claims and to the remaining defendants as to
    the claims of intentional infliction of emotional distress. The court, however, denied summary
    judgment to Barnes and Local 17-A as to Kendel’s claims under Title VII and Ohio Rev. Code §
    4112, noting evidence of Barnes’s harsh criticism and treatment, the alleged physical attack, and
    Barnes’s frequent use of the type of sexually-explicit and derogatory language that could plausibly
    support a hostile work environment sex-discrimination claim.
    The court thus allowed Kendel to proceed to a civil jury trial against Local 17-A and Barnes
    in his official capacity on two hostile-work-environment claims: (1) a claim under Title VII and (2)
    a claim under Ohio Rev. Code § 4112.1 Because Kendel had dismissed the Title VII claim against
    Barnes in his individual capacity, the court allowed Kendel to proceed to trial against him in his
    individual capacity only on the state-law § 4112 claim.
    C. Motions in limine and trial
    1
    Ohio courts have held that federal case law interpreting Title VII is “generally applicable”
    to cases involving sexual harassment claims under Ohio Rev. Code § 4112. Hawkins v. Anheuser-
    Busch, Inc., 
    517 F.3d 321
    , 332 (6th Cir. 2008). Kendel alleges she was subject to “hostile work
    environment” sexual harassment, and to establish a prima facie case of such a claim under Title VII
    a plaintiff must demonstrate that: (1) she is a member of a protected class; (2) she was subjected to
    harassment, either through words or actions, based on sex; (3) the harassment had the effect of
    unreasonably interfering with the plaintiff’s work performance and creating an objectively
    intimidating, hostile, or offensive work environment; and (4) there exists some basis for liability on
    the part of the employer. Gallagher v. C.H. Robinson Worldwide, Inc., 
    567 F.3d 263
    , 270 (6th Cir.
    2009).
    6
    Both Barnes and Kendel filed motions in limine to prohibit the introduction of certain
    testimony and evidence at trial. Among other objections, Kendel objected to the introduction of
    Gilson’s video deposition testimony on the basis that Gilson had not personally witnessed any
    interaction between Kendel and Barnes and her testimony was therefore inadmissible hearsay. In
    addition, Kendel argued that Gilson’s testimony was irrelevant and that any probative value was
    outweighed by the unfair prejudice that would result from jurors substituting Gilson’s judgment and
    opinions for their own.
    The court overruled Kendel’s objections to Gilson’s testimony at the close of the plaintiff’s
    case. In making this determination, the court noted that Kendel’s testimony on direct examination
    made reference to the complaint letter she filed with the International and included the letter in
    evidence, but did not include or refer to Hansen’s letters to Kendel in response. Because Kendel
    raised the inference that both the Local and the International took no action on her complaint, the
    court determined that it could not fairly bar the defendants from putting on evidence to clarify what
    had been done. The court suggested that it would address limiting instructions as to Gilson’s
    investigation at the appropriate time.
    The defendants introduced excerpts of Gilson’s video testimony on the fourth day of trial,
    as the last of the defendants’ twelve witnesses. Though the court had suggested a limiting instruction
    might be appropriate, Kendel did not request an instruction prior to the testimony or upon its
    completion. Rather, following Gilson’s testimony, Kendel’s counsel asked only to call Kendel back
    to the witness stand for rebuttal. During the rebuttal, Kendel’s counsel finally introduced Hansen’s
    letter, but did not address Gilson’s testimony.
    7
    On the day after the last witnesses had testified, the parties met with the court to address final
    matters. Both parties moved for judgment as a matter of law under Fed. R. Civ. P. 50, and their
    motions were denied. The court acknowledged receipt (presumably from Kendel’s counsel) of
    proposed jury instructions to limit consideration of the portion of Gilson’s testimony in which she
    expressed her legal opinion that the plaintiff had no actionable claims. The court agreed that an
    instruction as to Gilson’s testimony was appropriate and, noting that it had not viewed the deposition
    before it was played, indicated that it wished it had stricken a portion of the testimony regarding
    Gilson’s conclusions as to the legal basis of Kendel’s claims.
    In response to a revised instruction suggested by the court, Kendel’s counsel requested
    instead that the court strike the entire Gilson testimony. The court denied that request, again noting
    the relevance of Gilson’s testimony to the question of whether the defendants had ever responded
    to Kendel’s complaint to the International. The court did, however, restrict the defendants from
    using Gilson’s testimony in any way in their closing arguments and accede to Kendel’s request to
    set out the limiting instruction as to Gilson’s legal conclusions with a separate heading in the jury
    instructions. The final instruction as read to the jury the following morning included the following:
    Any evidence to which I have sustained an objection and evidence that I have ordered
    stricken must be entirely disregarded. Specifically:
    Gilson testimony. You've heard the testimony of Mady Gilson. Her testimony was
    admitted into evidence to show that an investigation was conducted by the
    International Union after Ms. Kendel made a written complaint. You should
    disregard Gilson’s testimony that there was no conduct that rose to the level of sexual
    harassment under federal law and not consider that portion of her testimony for any
    purpose.
    Trial Tr. Vol. 6 at 1178, R. 342 at PageID #5805.
    8
    The parties also spent a significant amount of time debating the appropriate state-law
    standard for gender discrimination and discussing how to present that standard to the jury. They
    ultimately agreed that the same set of factors should be used to find the hostile-work-environment
    element for both the state and federal claims. Kendel’s attorneys argued that the “based on gender”
    element should similarly be the same under both state and federal law, but the court agreed with
    defendants that the Ohio Supreme Court still maintained the standard articulated in Hampel v. Food
    Ingredients Specialties, Inc., 
    729 N.E.2d 726
    , 734–35 (Ohio 2000)—a standard that may be more
    difficult for a plaintiff to meet than the standard this court later articulated in Gallagher v. C.H.
    Robinson Worldwide, Inc., 
    567 F.3d 263
    , 270–72 (6th Cir. 2009).
    The court then presented the parties with proposed interrogatories and verdict forms for the
    claims against each defendant. Though the agreed upon jury instructions had separately instructed
    the jury on the state and federal claims, the interrogatories did not. They read:
    Jury Interrogatory Number 1. This interrogatory relates to Ms. Kendel’s claims
    against Local 17-A and Howard Barnes in his official capacity. With that in mind, did
    Kendel prove by a preponderance of the evidence that she was subjected to hostile
    work environment based upon gender?
    Interrogatory Number 2: This interrogatory relates solely to Ms. Kendel’s claims
    against Howard Barnes in his individual capacity. With that in mind, did Ms. Kendel
    prove by a preponderance of the evidence that she was subjected to hostile work
    environment based upon gender?
    Trial Tr. Vol. 6 at 1266, R. 342 at PageID #1266.
    Kendel’s attorneys reviewed the interrogatories that afternoon and agreed to them. See Trial
    Tr. Vol. 5 at 1149, R. 341 at PageID #5776 (“Your Honor we have reviewed the interrogatories. We
    have reviewed the verdicts. And we’re satisfied, your Honor.”). The next morning, before closing
    arguments, the court gave counsel an opportunity to raise any outstanding issues and neither party
    9
    raised any concerns about the interrogatories. After closing arguments and the delivery of the jury
    instructions and interrogatories, but before the jury had been excused, Kendel’s attorney requested
    that the interrogatories be corrected to make it clear that the jury had the option of considering both
    federal and state claims against Local 17-A and Barnes in his official capacity. The court denied the
    request, stating that the issue should have been addressed before closing arguments and had therefore
    been waived.
    D. Post-trial motions
    After the jury returned a verdict against Kendel, Kendel filed two post-trial motions: (1) a
    motion for a mistrial; and (2) a motion for renewed judgment as a matter of law or, in the alternative,
    alteration or amendment of the judgment, or in the alternative, a new trial, pursuant to Federal Rules
    of Civil Procedure 50(a) and (b) and 59(a) and (e). The motion for a mistrial was based on the
    admission of Gilson’s deposition testimony. The second motion was based on variety of alleged trial
    errors, including the admission of Gilson’s testimony and the court’s refusal to change the jury
    interrogatories to include separate reference to state-law claims.
    In a fifty-one page opinion, the district court considered and denied both of Kendel’s post-
    trial motions. The court exhaustively recounted the testimony of each of Kendel’s witnesses and
    closely reviewed the direct examination and cross-examination of Kendel herself on the issue of her
    allegedly contemporaneous notes. The court highlighted the fact that Kendel had created three
    different versions of her notes and stated that this “ever-changing documentary evidence” and her
    evasive responses before the jury had effectively destroyed her credibility. In light of this
    conclusion, the court found that any error in the admission of Gilson’s testimony was harmless. As
    to the jury interrogatory claim, the court found that Kendel had waived the claim by approving the
    10
    interrogatories prior to closing arguments. Finally, as to Kendel’s other claims, the court found that
    she had either failed to show prejudice or had waived the claims by failing to raise them at the
    appropriate opportunities.
    Kendel now appeals the district court’s order, focusing on Gilson’s testimony and the jury
    interrogatories. Kendel also briefly argues that other errors cumulatively merit reversal. We
    consider these arguments below.
    II. DISCUSSION
    We begin by noting that our review encompasses both the federal claims raised against Local
    17-A and Barnes in his official capacity and the state-law claims raised against all defendants. The
    district court exercised supplemental jurisdiction over Kendel’s state-law claims pursuant to 28
    U.S.C. § 1367. “A federal court exercising supplemental jurisdiction over state law claims is bound
    to apply the law of the forum state to the same extent as if it were exercising its diversity
    jurisdiction.” Super Sulky, Inc. v. U.S. Trotting Ass’n, 
    174 F.3d 733
    , 741 (6th Cir. 1999). Because
    we are reviewing a request for new trial based on federal evidentiary and procedural error, however,
    federal case law governs our analysis. See Michigan First Credit Union v. CUMIS Ins. Soc., Inc.,
    
    641 F.3d 240
    , 245 (6th Cir. 2011) (following federal standard for reviewing a new trial motion in
    diversity). Similarly, though state law controls the substantive content of jury instructions, federal
    law governs the standard for determining prejudice. See Bagherzadeh v. Roeser, 
    825 F.2d 1000
    ,
    1003 (6th Cir. 1987) (applying federal law to review of jury-instruction prejudice in a diversity case).
    A. Standard of Review
    Kendel appeals the denial of her request for a new trial, to which we apply an abuse of
    discretion standard. See Barnes v. City of Cincinnati, 
    401 F.3d 729
    , 743 (6th Cir. 2005). A district
    11
    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.” Tompkin v. Philip Morris USA, Inc., 
    362 F.3d 882
    , 891 (6th Cir. 2004). The district court’s evidentiary decisions are also subject to an abuse of
    discretion standard. See Gen. Elec. Co. v. Joiner, 
    522 U.S. 136
    , 141–42 (1997). While we review
    the factual findings underlying the conclusions of law for clear error, we review de novo the district
    court’s conclusions of law. See United States v. Martinez, 
    588 F.3d 301
    , 309 (6th Cir. 2009).
    To secure a new trial, however, it is not sufficient for the moving party to show that the
    district court made a mistake in admitting certain testimony or by using improper jury instructions.
    A motion for a new trial “will not be granted unless the moving party suffered prejudice.” 
    Barnes, 401 F.3d at 743
    (citing Philip 
    Morris, 362 F.3d at 891
    ). We will not vacate a jury verdict based on
    the erroneous admission of evidence or improper jury instructions unless the testimony’s admission
    or improper jury instructions “amounted to more than harmless error.” Field v. Trigg Cnty. Hosp.
    Inc., 
    386 F.3d 729
    , 736 (6th Cir. 2004) (applying the harmless error standard to the improper
    admission of evidence); see Anderson v. Branen, 
    17 F.3d 552
    , 556 (2d Cir. 1994) (“An erroneous
    [jury] instruction, unless harmless, requires a new trial.”).
    The parties disagree on the harmless-error standard. Local 17-A and Barnes in his official
    capacity argue that the proper standard is whether the absence of error “would have caused a
    different outcome at trial.” Philip 
    Morris, 362 F.3d at 891
    (quoting Morales v. Am. Honda Motor
    Co., Inc., 
    151 F.3d 500
    , 514 (6th Cir.1998)). Kendel and Barnes in his individual capacity point to
    the traditional “fair assurance” standard for harmless error that we ratified in Beck v. Haik, 
    377 F.3d 624
    , 634–35 (6th Cir. 2004), overruled on other grounds by Adkins v. Wolever, 
    554 F.3d 650
    (6th
    12
    Cir. 2009). The fair-assurance standard “calls for reversal when the appellate court lacks a ‘fair
    assurance’ that the outcome of a trial was not affected by evidentiary error.” 
    Beck, 377 F.3d at 635
    .
    Fair assurance is the proper standard. In Beck, we acknowledged some past equivocation as
    to the proper harmless-error standard for evidentiary issues in civil cases, but we considered and
    rejected the “caused a different outcome” formulation of Morales because it was inconsistent with
    previous published decisions of this court. See 
    Beck, 377 F.3d at 635
    (citing Schrand v. Fed. Pac.
    Elec. Co., 
    851 F.2d 152
    , 157 (6th Cir. 1988)). While Beck was overruled on other grounds,
    defendants have provided no reason to revisit Beck’s careful harmless error analysis.2
    In applying the fair-assurance harmless-error standard, we first ask whether evidentiary error
    occurred and then we “examin[e] the proceedings in their entirety.” 
    Id. (quoting Kotteakos v.
    United
    States, 
    328 U.S. 750
    , 762 (1946)). Application of the test is “highly sensitive to the unique context
    of the particular case, including the one-sided or closely balanced nature of the evidence bearing
    upon the issue which the error arguably affected, and the centrality of that issue to the ultimate
    decision.” 
    Id. (quoting Schrand, 851
    F.2d at 157); see also Mitroff v. Xomox Corp., 
    797 F.2d 271
    ,
    277 (6th Cir. 1986) (“[I]n close cases the improper admission of prejudicial evidence is all the more
    damaging . . . .”).
    2
    It is true that this court has continued to cite the Morales standard, even after we seemed to
    have settled the question in Beck. See, e.g., Nolan v. Memphis City Sch., 
    589 F.3d 257
    , 265 (6th Cir.
    2009); Dortch v. Fowler, 
    588 F.3d 396
    , 402 (6th Cir. 2009); Taylor v. TECO Barge Line, Inc., 
    517 F.3d 372
    , 378 (6th Cir. 2008); Tisdale v. Fed. Exp. Corp., 
    415 F.3d 516
    , 535 (6th Cir. 2005); Barnes,
    
    401 F.3d 729
    . Though the Morales standard is certainly easier to conceptualize, our prior published
    decisions “remain[] controlling authority unless an inconsistent decision of the United States
    Supreme Court requires modification of the decision or this Court sitting en banc overrules the prior
    decision.” Beck v. Haik, 
    377 F.3d 624
    , 635 (6th Cir. 2004) (quoting Darrah v. City of Oak Park, 
    255 F.3d 301
    , 309 (6th Cir. 2001)). Thus, the fair-assurance standard stated in Beck remains the proper
    standard.
    13
    B. Evidentiary Error
    On appeal, Kendel presents ten separate questions of law related to the district court’s
    admission of Gilson’s testimony, but all ten issues boil down to two claims. First, Kendel claims
    it was prejudicial error for the court to admit Gilson’s legal opinion that there was no conduct by
    Barnes that rose to the level of sexual harassment under federal law. Kendel argues that this
    statement was opinion testimony by a lay witness as to the “ultimate issue” to be determined by the
    jury, and therefore was improperly admitted. She argues that the statement was highly prejudicial
    and that the error was not cured by the court’s limiting instruction. Second, Kendel claims it was
    prejudicial error for the court to admit the rest of Gilson’s testimony because all of Gilson’s
    testimony was hearsay evidence and irrelevant, and any probative value was outweighed by unfair
    prejudice under the familiar evidentiary balancing test of Fed. R. Evid. 403.
    1. Ultimate issue testimony
    We assume for the purpose of argument that the admission of Gilson’s legal conclusion was
    not appropriate. The district court itself stated that this part of Gilson’s testimony should not have
    been admitted into evidence because Gilson had voiced an opinion as to one of the ultimate issues
    to be decided by the jury in the case. Federal Rule of Evidence 704(a) provides that opinion
    evidence is not “automatically objectionable” when it “embraces an ultimate issue.” However, any
    opinion testimony must be “helpful to the trier of fact.” Torres v. Cnty. of Oakland, 
    758 F.2d 147
    ,
    150 (6th Cir. 1985) (quoting Fed. R. Rule 704 advisory comm. notes). A lay witness’s opinion
    testimony as to an ultimate issue will “seldom” meet this test because “the jury’s opinion is as good
    as the witness’[s].” 
    Mitroff, 797 F.2d at 276
    (citing Fed. R. Evid. 704).
    14
    As a result, the question to address is not whether it was evidentiary error to admit the
    “ultimate issue” testimony. Given the district court’s expressed concerns, we assume that it was.
    This claim turns on whether the court’s limiting instruction was sufficient to render any error
    harmless. We agree with defendants and the district court that it was.
    Courts generally presume that properly-instructed juries are “capable of considering evidence
    for one purpose but not another.” Washington v. Hofbauer, 
    228 F.3d 689
    , 705 (6th Cir. 2000) (citing
    Richardson v. Marsh, 
    481 U.S. 200
    , 211 (1987)). This presumption applies “unless there is an
    ‘overwhelming probability’ that the jury will be unable to follow the court’s instructions and a strong
    likelihood that the effect of the evidence would be ‘devastating’ to the defendant.” Greer v. Miller,
    
    483 U.S. 756
    , 766 n.8 (1987) (citations omitted).
    We cannot agree with Kendel that there was an overwhelming probability that the jury would
    be unable to follow the district court’s instructions in this case. Kendel seeks to rely on our decision
    in Field v. Trigg County Hospital, Inc., 
    386 F.3d 729
    , 736 (6th Cir. 2004), in which we found that
    a jury instruction did not cure the evidentiary error at issue. But the court’s instruction in Field was
    “patently jumbled and confusing,” which made it impossible to determine what the court meant as
    to how the evidence should be 
    treated. 386 F.3d at 737
    . Here, to the contrary, the trial court’s jury
    instruction was clear and provided a reasonably straightforward rationale for why Gilson’s testimony
    had been admitted and for what reasons it could be permissibly considered. In addition, the court
    prohibited the defendants from referencing Gilson’s testimony in closing argument and agreed to
    Kendel’s request that the instruction be set apart in its own section and near the beginning of the jury
    instructions. Kendel’s reference to Field is therefore inapposite.
    15
    Further, though Gilson’s legal conclusion was clearly damaging testimony, we cannot agree
    that it was so “devastating” that even a clear and properly-placed jury instruction could not be
    effective. First, Kendel ignores the testimony before the jury regarding Gilson’s role—that she had
    been employed by the International, formerly a defendant in the case, to carry out the investigation
    of one of its member unions, Local 17-A. Second, Kendel’s oft-repeated argument, that the parties
    agree Gilson’s testimony was the “strongest” evidence in defendants’ favor, is strongly disputed.
    Defendants deny any such agreement, noting that Kendel’s conclusion is incorrectly drawn from a
    statement in Barnes’s motion for summary judgment that was made in reference to the lack of
    credibility of Kendel’s claims. Defendants aver that their strongest evidence is the contradictory and
    unsupported testimony of Kendel herself, particularly because the relevant issue is the evidence the
    jury considered at trial, not statements in historic pleadings.
    As the district court concluded in its analysis of Kendel’s post-trial motions, the defendants
    irreparably undermined Kendel’s credibility during cross-examination and through presentation of
    the initial defense witnesses. None of Kendel’s witnesses testified to having witnessed Barnes using
    sexually derogatory language toward Kendel; all of their information had come from Kendel herself.
    More importantly, Kendel had allegedly taken contemporaneous notes of various incidents, but it
    was revealed at trial that she had added the most inflammatory accusations for the first time to the
    version of her notes that she created for presentation at trial—even changing certain terms from how
    they were written in her original notes to be more supportive of her gender-discrimination claim.
    These discrepancies were raised repeatedly by defense counsel during Kendel’s cross-examination
    as a challenge to her credibility.
    16
    Other critical inconsistencies dogged the core of Kendel’s claim of a hostile work
    environment based on sex discrimination. Testimony established that Barnes had initially appointed
    Kendel to the Secretary-Treasurer position and had worked well with her for a number of years.
    Other women testified to experiencing good and respectful working relationships with Barnes. And
    Kendel’s case evidenced internal inconsistencies. She claimed she had complained about Barnes
    to the Local 17-A executive board, but then later admitted that there was no mention in the board’s
    minutes of her ever having done so. Kendel alleged at trial that Barnes had grabbed her shoulder and
    attempted to choke her, but one of the officers who responded to the scene (a female officer) testified
    that Kendel informed the officers that there had been no physical contact between her and Barnes.
    Gilson’s testimony also contained conclusions supported by other witnesses—that coarse
    language was frequently used in and around the union office and that the hostility between Kendel
    and Barnes was primarily of a political nature. One of Kendel’s witnesses testified that the first time
    Kendel complained to her about Barnes was when Kendel was actively campaigning against him in
    2007. And Kendel herself testified that in late 2003 or early 2004, she concluded that Barnes saw
    her as a threat to his position as President and believed she wanted to take over as President and take
    his job from him. Kendel also admitted that she actively campaigned against Barnes, visiting
    factories to hand out flyers for his opponent the week after the “choking” incident.
    Considering all of the above testimony, the district court concluded that the admission of
    Gilson’s legal conclusion statement was harmless error. Kendel has not argued that the district court
    used the wrong legal standard, and we can identify no basis to conclude that the district court’s
    factual findings were clearly erroneous. We therefore cannot find that this determination represented
    an abuse of discretion.
    17
    A “[r]eversal based on improper admission of evidence is appropriate only when the
    admission interfere[s] with substantial justice.” Slayton v. Ohio Dept. of Youth Servs., 
    206 F.3d 669
    ,
    677 (6th Cir. 2000) (internal quotation marks omitted). Though some of the evidence presented at
    trial was concerning, the body of evidence can not be properly classified as “closely balanced.”
    
    Schrand, 851 F.2d at 157
    . Thus the district court’s careful jury instructions provided fair assurance
    that the outcome of the trial was not affected by the admission of Gilson’s ultimate fact testimony.
    Substantial justice does not support reversal on this ground.
    2. Other Gilson testimony
    Kendel also argues that the district court committed evidentiary error by admitting the
    remainder of Gilson’s testimony—the testimony other than her legal conclusion. She contends that
    Gilson’s testimony in its entirety was inadmissible hearsay. Kendel additionally contends that
    Gilson’s testimony was inadmissible pursuant to the relevance requirement implicit in Rule 401 and
    in any case should not have been admitted under the relevance and unfair-prejudice balancing test
    of Fed. R. Evid. 403. We again consider the district court’s evidentiary decisions under the abuse
    of discretion and harmless error standards.
    First, the hearsay question. Hearsay is an out-of-court statement offered “to prove the truth
    of the matter asserted,” Fed. R. Evid. 801(c), and is inadmissible except as specified under the
    Federal Rules of Evidence. See Fed. R. Evid. 802. Kendel argues that because Gilson did not
    personally witness any interaction between Kendel and Barnes, all of Gilson’s testimony was based
    on the statements that Kendel, Barnes, and their witnesses made to her during her investigation, and
    was therefore hearsay.
    18
    The district court addressed this issue repeatedly during the trial and incorporated its
    reasoning into the denial of Kendel’s post-trial motions. As the district court noted, whether
    testimony is considered hearsay depends on the purpose for which it is offered and admitted into
    evidence: “the hearsay rule bans in-court repetition of extra-judicial utterances only when they are
    offered to prove the truth or falsity of their contents.” United States v. Gibson, 
    675 F.2d 825
    , 833
    (6th Cir. 1982) (citing Fed. R. Evid. 801(c)). In considering the motion to exclude Gilson’s
    testimony, the district court explained that Kendel had insinuated on direct examination that her
    harassment complaint to the International had been ignored. Gilson’s testimony, even if otherwise
    hearsay, could therefore be admitted for the nonhearsay purposes of demonstrating that the
    International did respond to Kendel’s complaint with a thorough investigation. The truth or falsity
    of the statements by the witnesses Gilson interviewed was immaterial to that purpose.
    Gilson’s testimony met the relevance requirement for the same reasons. Evidence is relevant
    if it has “any tendency to make a fact more probable or less probable . . . and . . . the fact is of
    consequence in determining the action.” Fed. R. Evid. 401. As the district court instructed the jury
    in this case, whether an employer failed to take immediate and appropriate corrective action may be
    one of the elements of a gender-discrimination claim. Given Kendel’s testimony about her
    complaint to the International, an explanation of Gilson’s investigation was appropriate and helpful
    to the jury’s understanding of what action the International did take and why neither Local 17-A nor
    the International took any further action.
    Whether at least some part of Gilson’s testimony should have been excluded under Rule 403
    is a closer question. Though Kendel’s counsel never requested specific tailoring of Gilson’s
    testimony, a shorter portion of the deposition might have achieved the purpose of explaining the
    19
    investigation and its results. Some of Gilson’s opinions may therefore have been of limited
    relevance. Rule 403, however, states that relevant evidence may be excluded “if its probative value
    is substantially outweighed by a danger of . . . unfair prejudice.” Fed. R. Evid. 403 (emphasis
    added). This balancing test by its nature requires a judgment call by the district court, made with the
    assistance of the arguments provided by counsel. We are not convinced that Kendel was
    significantly prejudiced by the admission of Gilson’s other testimony. The district court therefore
    did not abuse its discretion in admitting the testimony.
    Moreover, even if Gilson’s entire testimony were admitted in error, that error was harmless
    for many of the same reasons that admission of Gilson’s ultimate issue testimony was harmless. In
    applying the fair-assurance harmless-error standard, we “examin[e] the proceedings in their entirety.”
    
    Beck, 377 F.3d at 635
    (quoting 
    Kotteakos, 328 U.S. at 762
    ). Here, Kendel’s credibility missteps
    prevented the evidence from being “closely balanced” and rendered it more “one-sided.” 
    Id. (quoting Schrand, 851
    F.2d at 157). We therefore have fair assurance “that the outcome of a trial
    was not affected by evidentiary error.” 
    Beck, 377 F.3d at 635
    .
    C. Jury interrogatories
    Kendel’s request for reversal of the verdict based on imprecise jury interrogatories also fails.
    Kendel acknowledges that the trial court properly instructed the jury that she was maintaining both
    state and federal claims of gender discrimination against Local 17-A and Barnes in his official
    capacity, but only a state claim against Barnes in his individual capacity. She argues, however, that
    immediately thereafter the court misspoke and gave instructions that made it seem as though only
    a federal claim remained against Local 17-A and Barnes in his official capacity. Compounding this
    problem, she contends, the jury interrogatories given later did not discuss the existence of state or
    20
    federal claims and simply asked whether, for each defendant, Kendel succeeded in proving the
    existence of a hostile work environment. Thus, Kendel argues, the court’s instructions and
    interrogatories robbed her of her state-law claim against Local 17-A and Barnes in his official
    capacity.
    The district court did not reach the merits of this claim because it determined that Kendel had
    waived any objection to the format of the interrogatories. On appeal, Kendel presses that an
    objection to an interrogatory is not waived until the jury is discharged. We need not consider
    Kendel’s theory of waiver, however, because the district court’s waiver determination was not based
    solely on the untimeliness of Kendel’s objection. The court determined that Kendel had previously
    expressly waived any objections to the interrogatories by telling the court that she had reviewed the
    interrogatories and verdicts and was satisfied. Without providing any excuse or explaining the basis
    of his previous waiver, Kendel’s counsel noted that the problem with the interrogatories did not just
    occur to him until after they had been delivered to the jury. In addition, Kendel’s counsel failed to
    assert why or how Kendel could have been prejudiced by the alleged error. In this situation, we
    agree with the district court that Kendel waived her objections to the interrogatories. It was not an
    abuse of discretion for the court to deny Kendel’s request to revisit her prior waiver after the
    instructions and interrogatories had already been delivered.
    Even if we did consider the merits of Kendel’s jury-interrogatories claim, we would not
    reverse the jury verdict. There may be cause for reversal of a jury verdict where it is likely that
    interrogatories may have misled the jury. Piper v. Goodwin, 
    20 F.3d 216
    , 221 (6th Cir. 1994). Even
    so, we still review any error to determine if it was harmless. See 
    Anderson, 17 F.3d at 556
    . The
    defendants argue that any error in this case was harmless because Kendel agreed during the
    21
    negotiations over the jury instructions that the factors in the hostile-work-environment claim are the
    same under both federal and Ohio state law. If anything, defendants argue, Ohio state discrimination
    claims are more difficult to sustain than federal claims because the “based on sex” element may be
    more difficult to meet under Ohio law than it is under federal law. Compare 
    Hampel, 729 N.E.2d at 734–35
    , with 
    Gallagher, 567 F.3d at 270–72
    . Thus, even if both claims were viewed under
    federal law, no detriment resulted to Kendel.
    Kendel, on the other hand, has entirely ignored the issue of harmless error. She did not
    during trial, nor does she now, articulate any way in which she was prejudiced by the jury
    instructions. Kendel has not explained how or why the jury could have found in her favor on the
    state-law claim while finding against her on the federal claim. In sum, Kendel waived any objection
    to the interrogatories at trial and now has failed to provide any rationale for vacating the jury’s
    verdict. We therefore cannot grant the relief she requests.
    D. Cumulative error
    Errors that do not alone require reversal may cumulatively merit reversal for a new trial under
    Fed. R. Civ. P. 59. See, e.g., Michigan First Credit 
    Union, 641 F.3d at 251
    . Kendel’s cumulative
    error claim, however, is based on two incidents with which we can find no fault at all—much less
    sufficient error to merit retrial.
    In the first incident, the district court made copies of a combination of Kendel’s exhibits for
    the jury, but did not provide an additional copy to her. Because the exhibits were her own, Kendel
    does not claim that she somehow was unable to view them. In fact, Kendel does not explain what
    prejudice she may have suffered from the failure to make an additional copy, and we cannot discern
    any prejudice on our own. In the second incident, the court excused the jury during Kendel’s cross-
    22
    examination in order to admonish Kendel for her unresponsive answers. Kendel claims the court
    did not do the same for defense witnesses, and therefore this action left the jury with an unfavorable
    impression of Kendel. However, as defendants pointed out, the court did admonish Barnes for his
    evasive answers, and did so in the presence of the jury. Kendel does not explain how it was more
    prejudicial for the court to admonish Kendel out of the presence of the jury than for the court to do
    so to Barnes in front of the jury. In any event, even if it were prejudicial, the jury recess would fall
    far short of reversible error in this case.
    III. CONCLUSION
    For the reasons stated above, we AFFIRM the order of the district court.
    23
    

Document Info

Docket Number: 12-3409

Citation Numbers: 512 F. App'x 472

Judges: Boggs, Rogers, Stranch

Filed Date: 1/22/2013

Precedential Status: Non-Precedential

Modified Date: 8/6/2023

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