Woods v. Friction Materials ( 1994 )


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  • USCA1 Opinion









    August 17, 1994
    United States Court of Appeals
    United States Court of Appeals
    For the First Circuit
    For the First Circuit
    ____________________

    No. 93-2296

    JIMMIE E. WOODS,

    Plaintiff, Appellant,

    v.

    FRICTION MATERIALS, INC.,

    Defendant, Appellee.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Mark L. Wolf, U.S. District Judge]
    ___________________

    ____________________

    Before

    Breyer,* Chief Judge,
    ___________
    Boudin and Stahl, Circuit Judges.
    ______________

    ____________________

    ERRATA SHEET
    ERRATA SHEET

    The following references to "Mass. Gen. L. ch. 93A" should be
    changed to "Mass. Gen. L. ch. 93":

    Page 5, first full , l. 9
    Page 6, l.10
    Page 8, l.11
    Page 20, l.5, l.7, l.17
    ____________________
    _____________________
    *Chief Judge Stephen Breyer heard oral argument in this matter but did
    not participate in the drafting or the issuance of the panel's
    opinion. The remaining two panelists therefore issue this opinion
    pursuant to 28 U.S.C. 46(d).























    August 4, 1994 UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT

    ____________

    No. 93-2296

    JIMMIE E. WOODS,


    Plaintiff, Appellant,

    v.

    FRICTION MATERIALS, INC.,


    Defendant, Appellee.


    ____________


    ERRATA SHEET


    The opinion of this court issued on July 29, 1994, is amended as

    follows:

    Page 15, second line from the bottom of the page: Delete "the"

    after "than."



































    United States Court of Appeals
    United States Court of Appeals

    For the First Circuit
    For the First Circuit

    ____________________



    No. 93-2296



    JIMMIE E. WOODS,



    Plaintiff, Appellant,



    v.



    FRICTION MATERIALS, INC.,



    Defendant, Appellee.



    ____________________



    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS



    [Hon. Mark L. Wolf, U.S. District Judge]
    ___________________



    ____________________





















    Before



    Breyer,* Chief Judge,
    ___________

    Boudin and Stahl, Circuit Judges.
    ______________



    ____________________



    Frederick T. Golder with whom Bernstein, Golder & Miller P.A. was
    ___________________ ________________________________

    on brief for appellant.

    Samuel A. Marcosson, James R. Neely, Jr., Gwendolyn Young Reams,
    ____________________ ____________________ _____________________

    and Vincent J. Blackwood were on brief for Equal Employment
    _______________________

    Opportunity Commission, amicus curiae.

    Dan T. Carter with whom James Allan Smith, Smith, Currie &
    _______________ ___________________ ________________

    Hancock, Richard W. Gleeson, and Gleeson & Corcoran were on brief for
    _______ ___________________ __________________

    appellee.

    ____________________

    July 29, 1994

    ____________________

    _____________________

    *Chief Judge Stephen Breyer heard oral argument in this matter but did

    not participate in the drafting or the issuance of the panel's

    opinion. The remaining two panelists therefore issue this opinion

    pursuant to 28 U.S.C. 46(d).





















    STAHL, Circuit Judge. Plaintiff Jimmie E. Woods
    _____________

    filed a complaint charging defendant Friction Materials Inc.

    ("FMI") with illegal race, age, and handicap discrimination

    in violation of state and federal law. Woods now appeals the

    district court grant of summary judgment in favor of FMI. We

    affirm.

    I.
    I.
    __

    FACTUAL FINDINGS AND PRIOR PROCEEDINGS
    FACTUAL FINDINGS AND PRIOR PROCEEDINGS
    ______________________________________

    Woods, a 54 year-old, handicapped, African-American

    male, was employed between 1961 and 1986 by PT/BT, a small

    group of interrelated brake manufacturing companies in

    Lawrence, Massachusetts. During his tenure with PT/BT, Woods

    was promoted twice, to the position of foreman in 1968, and

    to the position of supervisor in 1970. In 1986, FMI, a

    wholly owned subsidiary of Echlin, Inc. ("Echlin") acquired

    the assets of PT/BT. Thereafter, Wood continued working at

    FMI as a production foreman without a break in service.

    In February of 1987, Echlin, concerned about the

    financial condition of the newly formed FMI, fired FMI's

    president and manufacturing manager. Three days later,

    Echlin appointed Patrick Healey to the top managerial

    position at FMI, that of division manager. Under Healey's

    leadership, FMI began to retool and update its manufacturing

    processes.





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    As a result, Woods and the other three FMI

    production foremen in the block-making department (Richard

    Bond, a 45 year-old caucasian male, Paul Harris, a 65 year-

    old African-American male, and Peter Lane, an 50 year-old

    African-American male) experienced an increase in their

    duties and responsibilities. According to Woods, FMI began

    to expect more from its employees and the supervisor's

    position became more complicated than it had been when he

    worked at PT/BT. Deposition of J. Woods at 28. After the

    reorganization began, of the four supervisors in the block-

    making department, Bond was terminated for poor performance

    and Lane was demoted to a non-supervisory position. Woods

    initially fared well at FMI, as evidenced by a November 1987

    written evaluation in which Superintendent Elvin Valentin

    gave Woods an overall rating of three on a scale of one to

    five. In 1988, however, Woods learned that Valentin's

    opinion of his work had diminished. In a ten to fifteen

    minute review, Valentin told Woods that both he and

    manufacturing manager Ray Shaffer (Woods' direct supervisor)

    felt that Woods was not performing up to his capability, that

    he needed to improve his scheduling and interpersonal skills,

    and that he would not be receiving a raise. Id. at 47-49.
    ___

    In October 1988, Woods was injured in a non-work

    related automobile accident. The resulting injuries forced

    Woods to take an extended medical leave of absence from FMI.



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    By the end of February 1989, Woods had used all of his

    medical and vacation leave time and still was unable to

    return to work. Pursuant to FMI's policy of terminating all

    employees who are unable to work after the expiration of

    their leave time, notwithstanding the ongoing nature of the

    ailment, FMI terminated Woods. Woods does not challenge his

    termination.

    By 1989, Woods was physically able to return to

    work. In late 1989, FMI began interviewing candidates for

    the position of production foreman for a new production line.

    Woods, along with approximately seventy-four others, applied

    for one of four available positions. Of the seventy-five

    applicants, personnel manager Arthur McKew decided to

    interview eight, including Woods. The eight applicants were

    interviewed by two of FMI's production superintendents,

    Warren Kappeler and Garnet Wilson1, who evaluated the

    candidates on their manufacturing and production knowledge

    and comprehension, supervisory skills, and general demeanor.



    ____________________

    1. Wilson replaced Valentin who, in July 1989, was arrested
    by the Massachusetts State Police and terminated from his
    employment for theft of FMI funds. McKew aff. at 2. This is
    only important because of Woods' allegation that Valentin
    made racist remarks to Woods while they worked together.
    Valentin, however, played no role in FMI's decision not to
    hire Woods since he was no longer employed by the company
    when the employment decisions were made. See Medina-Munoz v.
    ___ ____________
    R.J. Reynolds Tobacco Co., 896 F.2d 5, 10 (1st Cir. 1990)
    __________________________
    ("The biases of one who neither makes nor influences the
    challenged personnel decision are not probative in an
    employment discrimination case.").

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    Both Kappeler and Wilson assessed Woods' supervisory skills

    and understanding of production processes as weak and felt

    that on balance these weaknesses outweighed Woods' years of

    experience. Both men recommended that Woods not be hired.

    McKew stated that he ultimately decided not to hire Woods

    based upon the interviews and Woods' previous performance

    evaluations. In his deposition, McKew conceded that although

    Woods could have filled one of the open positions, he was not

    hired because there were others who he found to be better

    qualified. The positions were thereafter filled by four

    younger, non-handicapped, caucasian males. Woods concedes

    that he is unaware of the qualifications possessed by those

    ultimately hired.

    On March 19, 1990, Woods filed a complaint with the

    Massachusetts Commission Against Discrimination ("MCAD"). On

    May 7, 1990, Woods commenced this action by filing a

    complaint in the Superior Court of Massachusetts for the

    County of Middlesex. In his complaint, Woods charged FMI

    with age discrimination in violation of the Federal Age

    Discrimination and Employment Act ("ADEA"), 29 U.S.C. 621

    et seq., and with age and/or race and/or color and/or
    __ ____

    handicap discrimination in violation of Mass. Gen. L. ch.

    151B and Mass. Gen. L. ch. 93 102 and 103.

    After removing the action to the federal district

    court in Massachusetts, FMI filed a motion for summary



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    judgment on all claims, claiming that Woods had not made out

    a prima facie case of discrimination because he had not shown

    that he was qualified for the position sought, and, in the

    alternative, that FMI's decision not to hire Woods had been

    made for nondiscriminatory reasons, i.e., those hired were

    better qualified. Woods filed a motion in opposition. On

    October 1, 1993, the district court issued a written order in

    which it awarded summary judgment in FMI's favor, finding

    that although Woods had established a prima facie case, he

    had failed to allege sufficient facts to rebut FMI's

    articulated nondiscriminatory reasons under both ADEA and

    Mass. Gen. L. ch. 151B. The district court further held that

    Woods' claim under Mass. Gen. L. ch. 93 was preempted by

    Mass. Gen. L. ch. 151B. It is from this judgment that Woods

    now appeals.

    II.
    II.
    ___

    STANDARD OF REVIEW
    STANDARD OF REVIEW
    __________________

    We review grants of summary judgment de novo, and,
    __ ____

    like the district court, are obliged to review the facts in a

    light most favorable to the non-moving party, drawing all

    inferences in the non-moving party's favor. LeBlanc v. Great
    _______ _____

    Am. Ins. Co., 6 F.3d 836, 841 (1st Cir. 1993), cert. denied,
    ____________ ____ ______

    114 S. Ct. 1398 (1994). Summary judgment is appropriate when

    "the pleadings, depositions, answers to interrogatories, and

    admissions on file, together with the affidavits, if any,



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    show that there is no genuine issue as to any material fact

    and that the moving party is entitled to a judgment as a

    matter of law." Fed. R. Civ. P. 56(c). "``[T]he mere

    existence of some alleged factual dispute between the parties

    will not defeat an otherwise properly supported motion for

    summary judgment; the requirement is that there be no genuine
    _______

    issue of material fact.'" Medina-Munoz, 896 F.2d at 8
    ________ ____________

    (emphasis in original) (quoting Anderson v. Liberty Lobby,
    ________ _______________

    Inc., 477 U.S. 242, 247-248 (1986) (citations omitted)).
    ____

    Moreover, summary judgment may be appropriate "``[e]ven in

    cases where elusive concepts such as motive or intent are at

    issue, . . . if the non-moving party rests merely upon

    conclusory allegations, improbable inferences, and

    unsupported speculation.'" Goldman v. First Nat'l Bank of
    _______ ____________________

    Boston, 985 F.2d 1113, 1116 (1st Cir. 1993) (quoting Medina-
    ______ _______

    Munoz, 896 F.2d at 8). Finally, Fed. R. Civ. P. 56(c)
    _____

    "mandates the entry of summary judgment . . . upon motion

    against a party who fails to make a showing sufficient to

    establish the existence of an element essential to that

    party's case, and on which that party will bear the burden of

    proof at trial." Celotex Corp. v. Catrett, 477 U.S. 317,
    ______________ _______

    322-23 (1986). III.
    III.
    ____

    DISCUSSION
    DISCUSSION
    __________

    On appeal, Woods claims, inter alia, that the
    _____ ____

    district court misapplied the respective burdens of the



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    parties under both federal and state law. More specifically,

    Woods argues that the district court erred in ruling that the

    burden shifting framework as limned in McDonnell Douglas
    __________________

    Corp. v. Green, 411 U.S. 792, 802-05 (1973) and expounded in
    _____ _____

    St. Mary's Honor Center v. Hicks, 113 S. Ct. 2742 (1993) (1)
    ________________________ _____

    may require plaintiff to present more than a prima facie case

    in order to survive a motion for summary judgment, (2)

    requires the employer to do no more than simply articulate a

    nondiscriminatory reason for its employment action, and (3)

    requires plaintiff to present evidence to show not only that

    the employer's proffered reason was a pretext, but that it

    was a pretext for illegal discrimination. Moreover, Woods
    ___

    claims that the district court erred in analyzing both the

    federal and state claims together under the same federal

    standard and further erred in finding that Woods claims under

    Mass. Gen. L. 93 102 and 103 were preempted. We address

    each argument in turn.

    A. Federal Claim
    _________________

    In an ADEA failure to hire discrimination suit,

    plaintiff bears the ultimate burden of persuading the

    factfinder that the employer illegally discriminated against

    plaintiff by refusing to hire plaintiff on the basis of

    his/her age. See Lawrence v. Northrop Corp., 980 F.2d 66, 69
    ___ ________ ______________

    (1st Cir. 1992). Where there is little direct evidence of

    age discrimination, plaintiff may rely upon the three stage



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    burden-shifting framework set forth in McDonnell Douglas.
    _________________

    See id. at 68; Goldman, 985 F.2d at 1117. Under this
    ___ ___ _______

    framework, plaintiff initially must establish a prima facie

    case of discrimination, i.e., in a failure to hire situation,

    plaintiff must show that (1) s/he is a member of a protected

    class, (2) s/he applied and was qualified for the position in

    question, (3) that despite his/her qualifications, s/he was

    rejected, and (4) that, after rejection, the position

    remained open and the employer continued to seek applicants

    from persons of the complainant's qualifications. See
    ___

    McDonnell Douglas, 411 U.S. at 802. Once plaintiff
    __________________

    successfully establishes a prima facie case, it is presumed

    that the employer engaged in impermissible age

    discrimination. See Texas Dept. of Community Affairs v.
    ___ ___________________________________

    Burdine, 450 U.S. 248, 254 (1981).
    _______

    In the second stage, the employer must rebut this

    presumption by articulating a legitimate, non-discriminatory

    reason for its decision not to hire plaintiff. See Vega v.
    ___ ____

    Kodak Caribbean, Ltd., 3 F.3d 476, 479 (1st Cir. 1993). "The
    _____________________

    employer's burden at this stage is merely one of production;

    the burden of persuasion remains plaintiff's at all times."

    Lawrence, 980 F.2d at 69. Once a legitimate
    ________

    nondiscriminatory reason is articulated, the presumption

    created by plaintiff's prima facie case disappears. Id. At
    ___

    the third and final stage, plaintiff must produce sufficient



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    evidence, direct or indirect, to show that the reasons

    advanced by the employer constitute a mere pretext for

    unlawful discrimination. See LeBlanc, 6 F.3d at 842. To
    ___ _______

    meet this burden, the claimant must prove both that the
    ____

    employer's articulated reason is false, and that

    discrimination was the actual reason for its employment

    action. See Hicks, 113 S. Ct. at 2749 n.4.2 If plaintiff
    ___ _____

    "fails to show ``pretext,' [for discrimination] the challenged

    employment action ``must stand.'" Id. at 2752 n.6 (quoting
    ___

    McDonnell Douglas, 411 U.S. at 807).
    _________________

    Of course, the framework described above applies to

    a full bench trial, as was the case in Hicks. As we noted in
    _____



    ____________________

    2. Woods misstates the law when he argues without citing any
    authority that "[i]f the plaintiff shows that an employer's
    reasons are not credible, he resurrects the presumption of
    unlawful discrimination, since in the absence of any known
    reasons for the employers decision, courts presume that the
    employer was motivated by discriminatory reasons." In Hicks,
    _____
    the Court addressed this precise issue and held that once the
    defendant

    has succeeded in carrying its burden of
    production, the McDonnell Douglas
    ____________________
    framework -- with its presumptions and
    burdens -- is no longer relevant. To
    resurrect it later, after the trier of
    fact has determined that what was
    ``produced' to meet the burden of
    production is not credible, flies in the
    face of our holding in Burdine that to
    _______
    rebut the presumption ``[t]he defendant
    need not persuade the court that it was
    actually motivated by the proffered
    reasons.'

    Hicks, 113 S. Ct. at 2749 (quoting Burdine, 450 U.S. at 254).
    _____ _______

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    LeBlanc, however, the Hicks decision set forth the respective
    _______ _____

    burdens which need to be met in order for a party to survive

    a motion for summary judgment:

    In the context of a summary judgment
    proceeding, Hicks requires that, once the
    _____
    employer has advanced a legitimate,
    nondiscriminatory basis for its adverse
    employment decision, the plaintiff,
    before becoming entitled to bring the
    case before the trier of fact, must show
    evidence sufficient for the factfinder
    reasonably to conclude that the
    employer's decision to discharge him or
    her was wrongfully based on age.
    Goldman, 985 F.2d at 1117; Lawrence, 980
    _______ ________
    F.2d at 69-70; Villanueva [v. Wellesley
    __________ _________
    College], 930 F.2d [124,] 127-28 [(1st
    _______
    Cir.), cert. denied, 112 S. Ct. 181
    _____ ______
    (1991)]; Connell [v. Bank of Boston], 924
    _______ ____ __ ______
    F.2d [1169,] 1172 [(1st Cir.), cert.
    _____
    denied, 501 U.S. 1218 (1991)]. "Direct
    ______
    or indirect evidence of discriminatory
    motive may do, but ``the evidence as a
    whole . . . must be sufficient for a
    reasonable factfinder to infer that the
    employer's decision was motivated by age
    animus.'" Goldman, 985 F.2d at 1117
    _______
    (quoting Connell, 924 F.2d 1172 n.3).
    _______
    Thus, the plaintiff cannot avert summary
    judgment if the record is devoid of
    adequate direct or circumstantial
    evidence of discriminatory animus on the
    part of the employer. See id. at 1118
    ___ ___
    (citations and footnote omitted).

    LeBlanc, 6 F.3d at 843.3
    _______


    ____________________

    3. In its amicus curiae brief, the Equal Employment
    Opportunity Commission (the "EEOC"), urges us to hold that
    "an employment discrimination plaintiff may survive summary
    judgment by establishing a prima facie case of discrimination
    and showing a genuine issue of fact on the question of
    whether the employer's asserted explanation for its actions
    is worthy of credence." In other words, the EEOC would like
    a blanket statement that once evidence of pretext is
    proffered, that evidence along with the prima facie case will

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    1. Stage One - Woods' Prima Facie Case
    1. Stage One - Woods' Prima Facie Case
    _______________________________________

    We agree that Woods has provided sufficient

    evidence to establish a prima facie case. As the district

    court stated, Woods has shown that

    [h]e is a member of [the] protected
    class[] . . . within the meaning of
    applicable law. His long experience in
    the industry and history of largely
    favorable reviews, and McKew's opinion
    that he was qualified to fill one of the


    ____________________

    at all times shield plaintiff from adverse summary judgments.
    The EEOC cites as authority the following passage from Hicks,
    _____
    in which the Court specifically noted that

    [t]he factfinder's disbelief of the
    reasons put forward by the defendant
    (particularly if disbelief is accompanied
    by a suspicion of mendacity) may,
    ___
    together with the elements of the prima
    facie case, suffice to show intentional
    discrimination.

    Hicks, 113 S. Ct at 2749 (emphasis supplied). We do not
    _____
    agree that the Court's language supports the EEOC's position.
    Rather, this quoted statement simply makes clear that the
    Supreme Court envisioned that some cases exist where a prima
    facie case and the disbelief of a pretext could provide a
    _____
    strong enough inference of actual discrimination to permit
    the fact-finder to find for the plaintiff. Conversely, we do
    not think that the Supreme Court meant to say that such a
    finding would always be permissible. (For example, suppose
    ______
    an employee made out a truly bare-bones prima facie case of
    age discrimination, and the employer responded that the
    employee lacked the necessary skills for the job. Suppose
    also that unrefuted evidence showed that the response was a
    pretext, because the employer had fired the employee to
    conceal the employer's own acts of embezzlement. In such an
    instance, there would be a prima facie case at the outset and
    a disbelieved pretext, but we think it plain that no
    reasonable jury could find age discrimination on such a
    record.) The strength of the prima facie case and the
    significance of the disbelieved pretext will vary from case
    to case depending on the circumstances. In short, everything
    depends on the individual facts.

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    openings, has created at least a genuine
    issue as to his ability to meet the
    employer's legitimate expectations.
    Woods was denied a supervisory position
    by FMI. In addition, [FMI] has not
    offered evidence to remove from dispute
    the issue whether he is about as
    qualified as the individuals ultimately
    hired.

    Therefore, we turn our attention to the question of whether

    FMI has satisfied its burden of production by articulating a

    legitimate non-discriminatory reason for refusing to hire

    Woods.

    2. Stage Two - FMI's Articulated Nondiscriminatory
    2. Stage Two - FMI's Articulated Nondiscriminatory
    ___________________________________________________

    Reason
    Reason
    ______

    FMI offers two interrelated reasons for not hiring

    Woods. Basically, FMI contends that Woods was not qualified

    to hold a supervisory position in the new and retooled FMI,

    and that in the alternative, even if he was found to be

    minimally qualified, that he was not as qualified as those

    ultimately hired. In support of these claims, FMI introduced

    the affidavits of Healey, McKew, Wilson, and Kappeler. In

    his statement, Healey recounted the changes he implemented to

    make FMI financially competitive in the market and why Woods'

    prior experience was not indicative of his ability to

    competently fill the updated position of productions foreman.

    Among the changes, he noted that the production foremen in

    particular were given more responsibility while losing some

    of their support systems and that "[i]n essence, FMI went



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    from a relatively simple operation to a complex manufacturing

    system with a production schedule and pre-planning

    requirements." Affidavit of P. Healey at 8. Healey stated

    that Woods "had a limited technical knowledge of how brake

    parts were manufactured . . . . a limited ability to trouble

    shoot and generally displayed limited inclination and ability

    to be innovative." Id. at 5. Healey further opined that
    ___

    Woods lacked "basic supervisory skills, including the ability

    to plan work, to organize and to implement a production plan,

    and to motivate employees to carry out the plan," id., and
    ___

    that he "had a great deal of difficulty in planning for and

    implementing the coordination of the machinery, raw material

    and workforce assignments necessary to produce the product

    mix and quantity required of his shift," id. at 9. Attached
    ___

    to Healey's affidavit is a copy of an undated and unsigned

    evaluation, one which was never shared with Woods because of

    his accident and subsequent inability to return to work. In

    the evaluation, both Healey and Shaffer rated Woods' overall

    performance in the second to lowest category, while awarding

    Woods the lowest grade with regard to enforcement of company

    policies, acceptance of responsibility, and decision-making.

    Healey stated that as a result of this evaluation, management

    intended to place Woods on probationary status prior to his

    accident.





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    Kappeler and Wilson stated in their affidavits that

    based upon their interviews, they found Woods to be an

    unacceptable candidate for a foreman position with FMI

    because of his weak supervisory skills and lack of

    understanding of production processes, such as sequencing and

    planning. Both men rated Woods as having the poorest

    supervisory skills of all those interviewed. Affidavit of W.

    Kappeler at 2; Affidavit of G. Wilson at 1. As noted

    earlier, McKew also stated that those hired were more

    qualified. Thus, we find that FMI successfully articulated

    non-discriminatory reasons for not hiring Woods, and

    therefore carried its burden of production.

    3. Stage Three - Pretext for Discrimination
    3. Stage Three - Pretext for Discrimination
    ____________________________________________

    Finally, we must determine whether Woods has

    produced sufficient evidence to raise a genuine issue of

    material fact such as would permit a reasonable factfinder to

    conclude that FMI did not rely on its articulated reasons in

    deciding not to hire Woods and that FMI unlawfully
    ___

    discriminated against Woods because of his age. Of course,

    the most obvious and relevant piece of evidence Woods could

    introduce to contradict FMI's assertion that he was not the

    best qualified for the position, would be evidence regarding

    the qualifications of those hired. Woods, however, has

    neither introduced their respective resumes, nor argued to us

    that he was unable to obtain this information through the



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    normal discovery channels. In fact, the only evidence

    produced by Woods to show that the other candidates were not

    more qualified appears in his own deposition where he

    concludes, after admitting that he had no knowledge of the

    qualifications of those hired, that he had twenty years of

    experience in the brake manufacturing industry while the

    other applicants had none. Woods contends that on this basis

    alone, a reasonable juror might infer that Woods was as

    qualified or more qualified than those who were hired.

    Furthermore, he contends that it would be reasonable for a

    juror to infer, on the basis of this evidence coupled with

    his prima facie case that the actual reason for FMI's

    decision not to hire Woods was because he was too old. We do

    not agree. Although Woods has presented enough evidence

    to permit a reasonable factfinder to determine that he was

    qualified to hold one of the four positions on the basis of

    1) his experience, 2) the favorable evaluations and

    promotions Woods received prior to his accident, and 3)

    McKew's reluctant admission that Woods was minimally

    qualified to hold one of the four positions, there is no

    evidence either to rebut FMI's assertion that those hired

    were more qualified, or to suggest that FMI's decision not to

    hire Woods was in any way driven by illegal age animus.

    Because Woods has failed to present sufficient evidence to

    permit a reasonable factfinder to infer that FMI's



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    articulated reason was a pretext for unlawful age

    discrimination, his claim under ADEA must fail.

    B. State Law Claims
    B. State Law Claims
    ____________________

    1. Mass. Gen. L. ch. 151B
    1. Mass. Gen. L. ch. 151B
    __________________________

    Next, Woods claims that although Mass. Gen. L. ch.

    151B4

    employment discrimination claims are generally analyzed

    according to the federal burden shifting regime articulated



    ____________________

    4. Mass. Gen. L. ch. 151B 4 provides in relevant part:

    It shall be an unlawful practice:

    1. For an employer, by himself or his agent,
    because of the race, color, . . . to refuse to hire or employ
    or to bar or to discharge from employment such individual or
    to discriminate against such individual in compensation or in
    terms, conditions or privileges of employment, unless based
    upon a bona fide occupational qualification.
    . . . .
    1B. For an employer in the private sector, by
    himself or his agent, because of the age of any individual,
    to refuse to hire or employ or to bar or to discharge from
    employment such individual, or to discriminate against such
    individual in compensation or in terms, conditions or
    privileges of employment, unless based upon a bona fide
    occupational qualification.
    . . . .
    16. For any employer, personally or through an
    agent, to dismiss from employment or refuse to hire, rehire
    or advance in employment or otherwise discriminate against,
    because of his handicap, any person alleging to be a
    qualified handicapped person, capable of performing the
    essential functions of the position involved with reasonable
    accommodation, unless the employer can demonstrate that the
    accommodation required to be made to the physical or mental
    limitations of the person would impose an undue hardship to
    the employer's business.

    Mass. Gen. Laws Ann. ch. 151B 4 et seq., (West 1982 & Supp.
    1994).

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    in McDonnell Douglas, the Massachusetts Supreme Judicial
    _________________

    Court (the "SJC"), has placed a more demanding burden upon

    the employer than the burden imposed by federal law as

    interpreted by this circuit. Thus, Woods argues that it was

    error for the district court to lump the federal and state

    claims together, and that under the proper standard, FMI's

    motion for summary judgment must fail.

    It is well established "that the ``state courts are

    the ultimate expositors of state law' and the federal courts

    are bound by the constructions placed upon state statutes by

    state courts absent extreme circumstances." Rundlett v.
    ________

    Oliver, 607 F.2d 495, 500 (1st Cir. 1979) (quoting Mullaney
    ______ ________

    v. Wilbur, 421 U.S. 684, 691 (1975)). Moreover, it is
    ______

    equally well established that when interpreting Massachusetts

    discrimination statutes, the SJC "may look to the

    interpretations of analogous federal statutes, but are not

    bound thereby." August v. Offices Unlimited, Inc., 981 F.2d
    ______ ________________________

    576, 580 n.3 (1st Cir. 1992).

    While the SJC has used the three-part McDonnell
    _________

    Douglas analysis as a guide in deciding claims under Mass.
    _______

    Gen. L. ch. 151B, it has been somewhat more severe in its

    treatment of defendants. In the oft-cited Wheelock College
    ________________

    v. Massachusetts Comm'n. Against Discrimination, 355 N.E.2d
    _____________________________________________

    309 (Mass. 1976), the SJC acknowledged that McDonnell-Douglas
    _________________

    merely required the employer to articulate a legitimate non-



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    discriminatory reason for its action; but the court went on

    to say under ch. 151B, "that articulating a reason in cases

    of this kind requires the employer to produce not only

    evidence of the reason for its action but also underlying

    facts in support of that reason." Id. at 313-14. Other
    ___

    Massachusetts cases follow the same course.5

    All this, however, is academic in the present case

    because even under the more demanding standard apparently

    followed in Massachusetts, FMI has done more than merely

    articulate a reason. It has offered three affidavits in

    which those concerned set forth their assessment that Woods

    was not as well qualified as the four men ultimately hired;

    there is a contemporaneous evaluation of Woods critical of

    his skills that would presumably be admissible as a business

    record; and there is an explanation from one of the affiants

    that colorably explains how Woods could have done an adequate

    job for a number of years without being especially well

    qualified for the more demanding tasks contemplated by the

    new position in the upgraded company. Whether or not these


    ____________________

    5. See, e.g., McKenzie v. Brigham and Women's Hosp., 541
    ___ ____ ________ ___________________________
    N.E.2d 325, 326 (Mass. 1989) (defendant must "advanc[e]
    lawful grounds for the action taken and produce evidence of
    ___
    underlying facts in support thereof") (emphasis added);
    Trustees of Forbes Library v. Labor Relations Comm'n, 428
    ____________________________ _______________________
    N.E.2d 124, 128 (Mass. 1981) (employer could not say merely
    that employee was fired for breaking rules, but also "would
    have to identify the rules and perhaps the occasions of their
    violation, and offer some indication that it had considered
    these violations in its deliberations prior to the
    discharge").

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    19















    materials taken together are a substantial case for the

    company--the case would be a stronger one if more had been

    said about the qualifications of the four men hired instead

    of Woods--the materials certainly amount to some evidence in

    support of the articulated reason.

    Finally, it does not matter in the present case

    whether Massachusetts turns out to follow Hicks as construed
    _____

    by the EEOC rather than as we have construed it. Whatever

    weight a disbelieved reason may have in supporting an

    inference of discriminatory intent, Woods has not created "a

    genuine issue of fact on the question of whether the

    employer's asserted explanation for its actions is worthy of

    credence." See p. 11, n.3, supra. The jury might conclude
    ___ _____

    that Woods was at least minimally qualified based on his past

    record, but there is no evidence that the employer's asserted

    explanation--that it found four other men better qualified--

    is pretextual.

    2. Mass. Gen. L. ch. 93 102 and 103.
    2. Mass. Gen. L. ch. 93 102 and 103.
    ________________________________________

    Lastly, Woods claims that the district court erred

    in finding that his Mass. Gen. L. ch. 93 102 and 103

    claims were preempted by Mass. Gen. L. ch. 151B. Woods'

    argument, however, is not supported in the caselaw. See
    ___

    Martin v. Envelope Div. of Westvaco Corp., No. CIV. A. 92-
    ______ ________________________________

    30121-MAP, 1994 WL 162354, at *11 (D. Mass. Apr. 29, 1994)

    (collecting federal and state court cases holding that Mass.



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    Gen. L. ch. 151B provides the exclusive remedy in

    Massachusetts for employment related discrimination claims);

    see also DeFazio v. Delta Air Lines, Inc., 849 F. Supp. 98,
    ___ ____ _______ _____________________

    103 (D. Mass. 1994) (holding that the reasoning of state and

    federal cases which find Mass. Gen. L. ch. 93 102

    employment discrimination claims to be preempted by Mass.

    Gen. L. ch. 151B "applies with equal force to [employment

    discrimination] claims under Chapter 93, 103").

    In sum, we agree with the district court that

    the adequacy of the remedies afforded
    under Mass. Gen. L. ch. 151B, the
    efficiency of a uniform legislative
    remedy, the importance of giving effect
    to the procedural prerequisites of Mass.
    Gen. L. ch. 151B, and the absence of
    clear guidance from the Massachusetts
    Supreme Judicial Court, all support the
    finding that Mass. Gen. L. ch. 151B is
    the exclusive state law remedy for
    employment discrimination complaints.

    Woods v. Friction Materials, Inc., 836 F. Supp. 899, 908 (D.
    _____ ________________________

    Mass. 1993) (citing Bergeson v. Franchi, 783 F. Supp. 713 (D.
    ________ _______

    Mass. 1992)).

    III.
    III.
    ____

    CONCLUSION
    CONCLUSION
    __________

    For the foregoing reasons, the order of the

    district court granting summary judgment in favor of

    defendant FMI is Affirmed.
    _________







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