Smith v. Wilkinsburg ( 1998 )


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  •                                                                                                                            Opinions of the United
    1998 Decisions                                                                                                             States Court of Appeals
    for the Third Circuit
    6-17-1998
    Smith v. Wilkinsburg
    Precedential or Non-Precedential:
    Docket 97-3133
    Follow this and additional works at: http://digitalcommons.law.villanova.edu/thirdcircuit_1998
    Recommended Citation
    "Smith v. Wilkinsburg" (1998). 1998 Decisions. Paper 143.
    http://digitalcommons.law.villanova.edu/thirdcircuit_1998/143
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    Filed June 17, 1998
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    No. 97-3133
    EDWARD C. SMITH,
    Appellant
    v.
    BOROUGH OF WILKINSBURG
    On Appeal from the United States District Court
    for the Western District of Pennsylvania
    (D.C. Civil No. 95-1699)
    Argued October 27, 1997
    Before: SLOVITER, NYGAARD and KRAVITCH,*
    Circuit Judges
    (Opinion Filed June 17, 1998)
    Harry R. Ruprecht (Argued)
    King, Ruprecht & Berman
    Pittsburgh, PA 15219
    Attorney for Appellant
    Thomas H.M. Hough (Argued)
    Barry, Fasulo & Hough, P.C.
    Pittsburgh, PA 15219
    Attorney for Appellee
    _________________________________________________________________
    * Hon. Phyllis A. Kravitch, Senior United States Circuit Judge for the
    Eleventh Circuit, sitting by designation.
    OPINION OF THE COURT
    SLOVITER, Circuit Judge.
    Edward C. Smith, former Manager of the Borough of
    Wilkinsburg, Pennsylvania, brought suit against the
    Borough alleging that it had failed to renew his employment
    contract on the basis of his age. At the close of the trial, the
    district court refused his request to instruct the jury that it
    could infer intentional discrimination if it disbelieved the
    Borough's asserted reasons for not renewing Smith's
    contract. Smith appeals from the judgment entered on the
    jury's adverse verdict, and seeks a new trial, claiming that
    the district court committed reversible error in omitting
    that instruction.
    I
    Smith was hired as Borough Manager on June 5, 1989,
    pursuant to a five-year employment contract. Under the
    contract, Smith's employment was to be renewed for an
    additional five years unless written notice was given by
    either party within thirty days before or after the contract's
    expiration. On March 23, 1994, a member of the Borough
    Council orally informed Smith, then 61 years old, that the
    Council would not be renewing his contract but that he was
    welcome to reapply for the job along with other applicants.
    Two weeks later, Smith, the Mayor and the Council
    President signed a resolution stating that the Borough
    would not be extending Smith's employment agreement and
    that it would begin interviewing other applicants for the
    position.
    Although Smith told several council members that he was
    interested in retaining his position, he did not formally
    submit an application. On February 15, 1995, Thomas
    Leach, who was 37 years old, was hired as the new
    Borough Manager. Only after Leach was hired did Smith
    apply in writing for the Borough Manager position.
    Smith brought suit against the Borough alleging that his
    employment contract had not been renewed on account of
    2
    his age in violation of the Age Discrimination in
    Employment Act, 29 U.S.C. S 623 ("ADEA"). At trial, Smith
    produced evidence that the fiscal health of the Borough had
    improved markedly during his tenure. In defense of its
    action in failing to renew Smith's contract, the Borough
    elicited testimony from Council members that Smith's
    performance on the job had been inadequate. Smith then
    offered evidence that the Borough had not criticized Smith's
    performance at prior hearings before the Equal
    Employment Opportunity Commission and the
    Pennsylvania Commission on Human Relations and in its
    responses to Smith's interrogatories. Instead, the Borough
    explained that it did not renew Smith's contract because
    Smith had not timely applied for the position.1
    At the court's request, the parties submitted written
    proposed jury instructions and objections to the court's
    proposed charge. Smith, citing our opinion in Sheridan v.
    E.I. DuPont de Nemours & Co., 
    100 F.3d 1061
     (3d Cir.
    1996) (en banc), cert. denied, 
    117 S. Ct. 2532
     (1997),
    requested that the court instruct the jury that it could infer
    intentional discrimination if it found the Borough's reasons
    for not renewing the contract to be false or not credible.
    Thereafter, at an in camera charge conference, Smith
    objected to the court's draft charge, noting that it did not
    include his requested instruction on pretext. The court
    denied Smith's request and overruled his objection, stating:
    "it is error for me to instruct on that. . . . for me to give a
    pretext instruction would be an error, simple as that." App.
    at 983. Smith did not renew his objection after the court
    delivered the charge to the jury.
    The jury returned a verdict for the Borough. Smith then
    filed a motion for a new trial pursuant to Rule 59 of the
    Federal Rules of Civil Procedure on the ground that it was
    error for the district court not to have given the instructions
    he requested. The court denied the motion and this appeal
    followed.
    _________________________________________________________________
    1. We note, however, that in its answer to Smith's complaint, the
    Borough listed 18 different areas in which Smith's job performance was
    "not satisfactory." App. at 3-4.
    3
    II
    When reviewing the propriety of a district court's charge
    to the jury, the scope of our review depends on whether the
    party challenging the charge properly preserved his or her
    objection before the trial court. Where the objection is
    properly preserved, our inquiry is whether the charge,
    "taken as a whole, properly apprises the jury of the issues
    and the applicable law." Limbach Co. v. Sheet Metal Workers
    Int'l Ass'n, 
    949 F.2d 1241
    , 1259 n.15 (3d Cir. 1991) (en
    banc). Where the objection has been waived, however, our
    power to review is discretionary and "should be exercised
    sparingly." Fashauer v. New Jersey Transit Rail Operations,
    
    57 F.3d 1269
    , 1289 (3d Cir. 1995) (quoting McAdam v.
    Dean Witter Reynolds, Inc., 
    896 F.2d 750
    , 770 n.31 (3d Cir.
    1990)). When we choose to exercise that discretion, we may
    reverse only where the error is "fundamental and highly
    prejudicial or if the instructions are such that the jury is
    without adequate guidance on a fundamental question and
    our failure to consider the error would result in a
    miscarriage of justice." Fashauer, 
    57 F.3d at 1289
     (quoting
    Bereda v. Pickering Creek Indus. Park, Inc., 
    865 F.2d 49
    , 53
    (3d Cir. 1989)).
    The Borough has not argued that Smith waived his
    objection to the district court's charge. However, because
    the waiver issue is central to determining the scope of our
    review, we will not simply assume that the objection was
    preserved, merely because the Borough failed to raise the
    waiver argument.
    Rule 51 of the Federal Rules of Civil Procedure provides
    that "[n]o party may assign as error the giving or the failure
    to give an instruction unless that party objects thereto
    before the jury retires to consider its verdict, stating
    distinctly the matter objected to and the grounds of the
    objection." Fed. R. Civ. P. 51. Rule 51 plays a critical role
    in both the trial and appellate processes. By requiring
    parties to object with specificity before the jury retires, the
    rule ensures that the district court is made aware of and
    given an opportunity to correct any alleged error in the
    charge before the jury begins its deliberations. See, e.g.,
    Fashauer, 
    57 F.3d at 1288
    . When errors are recognized and
    corrected at that early stage, the burden on the courts of
    4
    appeals is diminished, fewer jury verdicts will have to be
    vacated and fewer cases will need to be tried a second time.
    See 
    id.
     Unfortunately, though we have been consistent in
    articulating the patent purpose of Rule 51, we have not
    been as consistent in its application.
    In Bowley v. Stotler & Co., 
    751 F.2d 641
     (3d Cir. 1985),
    we stated unequivocally that "[i]n this circuit it is clear that
    by filing and obtaining a ruling on a proposed instruction
    a litigant has satisfied Rule 51." 
    Id. at 646
    . There, because
    counsel had obtained a definitive ruling rejecting his
    proposed instruction, we held that the issue had been
    preserved regardless of counsel's failure to reassert his
    objection following the delivery of the charge to the jury.
    That result was based on our belief that Rule 51 must be
    read in conjunction with Rule 46, which gives litigants an
    automatic exception to any adverse ruling by operation of
    law.2 We concluded that given"the relationship between
    Rule 51 and Rule 46, [ ] counsel was entitled to assume
    that he need not renew objections already ruled on." 
    Id. at 647
    . See also United States v. General Motors Corp., 
    226 F.2d 745
    , 750 (3d Cir. 1955) (discussing the relationship
    between Rule 51 and Rule 46).
    In case after case, we have held that a definitive ruling
    from the trial court rejecting a requested instruction is
    sufficient to preserve the issue for appeal. See Tait v. Armor
    Elevator Co., 
    958 F.2d 563
    , 565 (3d Cir. 1992); Simmons v.
    City of Philadelphia, 
    947 F.2d 1042
    , 1082-83 (3d Cir.
    1991); Waldorf v. Shuta, 
    896 F.2d 723
    , 731 n.8 (3d Cir.
    1990); cf. United States v. Russell, 
    134 F.3d 171
    , 179 n.4
    (3d Cir. 1998) ("issue preserved for appeal where the party
    _________________________________________________________________
    2. Rule 46 provides in full:
    Formal exceptions to rulings or orders of the court are
    unnecessary; but for all purposes for which an exception has
    heretofore been necessary it is sufficient that a party, at the
    time the
    ruling or order of the court is made or sought, makes known to the
    court the action which the party desires the court to take or the
    party's objection to the action of the court and the grounds
    therefor;
    and, if a party has no opportunity to object to a ruling or order
    at
    the time it is made, the absence of an objection does not
    thereafter
    prejudice the party.
    5
    ``may not have formally objected but it is clear from the
    record that the judge was made aware of the party's
    position before the jury retired to consider its verdict' ")
    (quoting Larry v. Muko, Inc. v. Southwestern Pa. Bldg. and
    Const. Trades Council, 
    670 F.2d 421
    , 425 (3d Cir. 1982)).
    See also 9 James Wm. Moore et al., Moore's Federal
    Practice S 51.03 (3d ed. 1997) ("Reconciliation of the rules
    [51 and 46] relieves a party of the need to renew an
    objection to an instruction if the party's objection has
    previously been made clear to the trial court.").
    Three of our cases appear to deviate from this
    interpretation. In United States v. Agnes, 
    753 F.2d 293
    , 301
    n.11 (3d Cir. 1985), a case interpreting Fed. R. Crim. P. 30,
    the criminal analogue to Fed. R. Civ. P. 51, we held that
    notwithstanding prior objections and rulings, the failure of
    counsel to state objections to the instructions following the
    delivery of the charge constitutes a waiver. We reasoned
    that Agnes was distinguishable from Bowley because the
    district court in Agnes had not granted an automatic
    exception, which we inferred the district court had done in
    Bowley. However, the statement by the district court in
    Bowley that counsel had "an automatic exception to every
    adverse ruling" was merely a recognition of the interplay
    between Rule 51 and Rule 46. Bowley, 
    751 F.2d at 641
    .
    The "automatic exception" arose by operation of law -- not
    because the district court had affirmatively granted one.
    The Agnes court also cited Piechoski v. Grace Lines, Inc.,
    
    409 F.2d 66
     (3d Cir. 1969), for the proposition that"Rule
    51 requires counsel to state explicitly any exceptions
    following delivery of the charge." Agnes, 
    753 F.2d at
    301
    n.11. In fact, the Piechoski court simply stated that
    "[c]ounsel is entitled to an opportunity to make objections to
    the charge following its delivery" and, because counsel was
    given that opportunity and never objected to the charge at
    issue, the objection was deemed waived. Piechoski, 
    409 F.2d at 70
     (emphasis added). Piechoski is thus slim
    authority for Agnes.
    The second case in this line is Seman v. Coplay Cement
    Co., 
    26 F.3d 428
     (3d Cir. 1994), where we stated in dictum
    that "As written, Federal Rule of Civil Procedure 51
    explicitly requires that any objections to the court's charge,
    6
    to be preserved for appeal, must be taken at the close of the
    charge ``before the jury retires to consider its verdict, stating
    distinctly the matter objected to and the grounds of the
    objection.' " 
    Id. at 436
     (emphasis added) (quoting Fed. R.
    Civ. P. 51). The underscored portion of this quote is simply
    wrong. Rule 51 "as written" requires merely that the
    specific objection be made "before the jury retires." It says
    nothing about it being at the close of the charge. Tellingly,
    the only cases that the Seman panel relied upon for this
    proposition were Agnes and Bowley -- as that case was
    misinterpreted in Agnes. In any event, the Seman court
    held that the objection had not been waived because the
    district court had informed counsel that it would not have
    to reassert objections after the delivery of the charge if the
    court had previously ruled. 
    Id.
    Third, and most recently, we stated in Ryder v.
    Westinghouse Elec. Corp., 
    128 F.3d 128
     (3d Cir. 1997), cert.
    denied, 
    118 S. Ct. 1052
     (1998), that "[w]e have interpreted
    [Rule 51] explicitly to require that any objections to the jury
    charge be made at the close of the charge." Id. at 135. For
    that proposition, the court cited only Seman. Id. The
    statement was essentially dictum, however, since the
    defendant had not, at any time, adequately objected to the
    specific instruction on appeal. Ryder, 
    128 F.3d at
    135 n.9.
    Given the purpose underlying Rule 51, it is difficult to
    contemplate what objective would be served by requiring
    counsel to restate an objection that had already been raised
    and ruled upon. In our opinion, Agnes and the cases
    following it have gone astray and do not reflect the
    otherwise consistently applied law of this circuit. We
    reaffirm then, that "[i]n this circuit it is clear that by filing
    and obtaining a ruling on a proposed instruction a litigant
    has satisfied Rule 51." Bowley, 
    751 F.2d at 646
    .
    Of course, to preserve an issue for appeal, counsel must
    state "distinctly the matter objected to and the grounds of
    the objection." Fed. R. Civ. P. 51. Whether that occurs in an
    objection to the charge, in a request to charge, or
    otherwise, however, should not be determinative of the
    waiver issue. See 9A Charles Alan Wright and Arthur R.
    Miller, Federal Practice and Procedure S 2553 at 411 (2d ed.
    1995) ("The failure to object [at the close of the charge] may
    7
    be disregarded if the party's position previously has been
    made clear to the trial judge and it is plain that a further
    objection would be unavailing. This is a risky business,
    however, and cautious counsel will renew all objections to
    the instructions at the close of the charge to be sure that
    those points are preserved.") (citing cases).
    Here, Smith submitted to the district court a written
    proposed instruction distinctly stating his requested charge
    and the authority therefor. Upon reading the draft of the
    district court's charge, counsel objected at the in camera
    charge conference to the omission of his requested
    instruction and again cited the authority on which his
    instruction was derived. The district court then ruled and
    explicitly denied Smith's request. As such, the district court
    was fully apprised of Smith's position, and it would serve
    no purpose to require counsel to have formally reasserted
    the objection after the charge had been given to the jury.
    Because the language of Rule 51 requires nothing more, we
    conclude that the issue was preserved. We turn then to the
    merits of Smith's appeal.
    III
    It is black letter law that "[i]t is the inescapable duty of
    the trial judge to instruct the jurors, fully and correctly, on
    the applicable law of the case, and to guide, direct, and
    assist them toward an intelligent understanding of the legal
    and factual issues involved in their search for the truth."
    9A Charles Alan Wright and Arthur Miller, Federal Practice
    and Procedure S 2556 at 438 (2d ed. 1995). We agree with
    Smith that the district court's charge left the jury
    inadequately informed of the applicable law.
    In the field of employment discrimination, courts have
    struggled for decades to develop and refine an evidentiary
    framework that fairly balances the interests of the employee
    who challenges her employer's conduct as discriminatory
    and the interests of the employer faced with such a suit. In
    numerous cases the courts have recognized that an
    employee bringing such a suit faces difficulties in amassing
    proof because discrimination "is often subtle." Chipollini v.
    Spencer Gifts, Inc., 
    814 F.2d 893
    , 899 (3d Cir. 1987) (en
    8
    banc). As we stated, "[d]iscrimination victims often come to
    the legal process without witnesses and with little direct
    evidence indicating the precise nature of the wrongs they
    have suffered." Sheridan, 
    100 F.3d at 1071
     (quoting
    Jackson v. University of Pittsburgh, 
    826 F.2d 230
    , 236 (3d
    Cir. 1987)).
    In order "to assure that the plaintiff has his day in court
    despite the unavailability of direct evidence," Trans World
    Airlines v. Thurston, 
    469 U.S. 111
    , 121 (1985) (quotation
    omitted), courts developed "a sensible, orderly way to
    evaluate the evidence in light of common experience as it
    bears on the critical question of discrimination." United
    States Postal Serv. Bd. of Governors v. Aikens, 
    460 U.S. 711
    , 715 (1983) (quoting Furnco Constr. Corp. v. Waters,
    
    438 U.S. 567
    , 577 (1978)). What was developed, of course,
    was the now-familiar burden shifting framework first
    enunciated by the Supreme Court in McDonnell Douglas
    Corp. v. Green, 
    411 U.S. 792
     (1973).3
    If the plaintiff establishes the elements of a prima facie
    case, the employer must articulate a legitimate, non-
    discriminatory reason for its employment decision. Once
    such a justification is proffered, the burden then reverts to
    the plaintiff to prove by a preponderance of the evidence
    that the articulated reason is a pretext. At all times, the
    plaintiff bears the ultimate burden of proving that
    discrimination (here age) was a determinative factor in the
    adverse employment decision. See generally St. Mary's
    Honor Ctr. v. Hicks, 
    509 U.S. 502
     (1993). The plaintiff "may
    succeed in this either directly by persuading the[fact
    finder] that a discriminatory reason more likely motivated
    the employer or indirectly by showing that the employer's
    proffered explanation is unworthy of credence." Texas Dep't
    of Community Affairs v. Burdine, 
    450 U.S. 248
    , 256 (1981).
    When a jury finds that the employer's proffered justification
    for its actions is pretextual, the jury is permitted, albeit not
    mandated, to return a verdict in the plaintiff's favor. See
    Hicks, 
    509 U.S. at 511
    .
    _________________________________________________________________
    3. Although McDonnell Douglas arose under Title VII, we have
    consistently applied its general framework to cases arising under other
    discrimination statutes including the ADEA. See Keller v. Orix Credit
    Alliance, Inc., 
    130 F.3d 1101
    , 1108 (3d Cir. 1997) (en banc).
    9
    The rationale for placing so much emphasis on the
    justification proffered by the employer can be found in the
    statement made by Chief Justice, then Justice, Rehnquist
    who wrote that unexplained acts "are more likely than not
    based on the consideration of impermissible factors."
    Furnco Constr. Corp., 
    438 U.S. at 577
    . He continued, "when
    all legitimate reasons for rejecting an applicant have been
    eliminated as possible reasons for the employer's actions, it
    is more likely than not the employer, who we generally
    assume acts only with some reason, based his decision on
    an impermissible consideration such as race." 
    Id.
    Because "an employer who knowingly discriminates . . .
    may leave no written records revealing the forbidden motive
    and may communicate it orally to no one," Chipollini, 
    814 F.2d at 899
     (quotation omitted), it is only natural that the
    focus of a discrimination trial in accordance with McDonnell
    Douglas will be the veracity of the justification offered by
    the employer to explain its conduct. If the employer fails to
    tell the truth, "it does so at its own peril . . . . [and] the jury
    [may] infer that the real motivation is the one that the
    plaintiff has charged." Sheridan, 
    100 F.3d at 1069
    .
    The jury charge played a central role in our holding in
    Sheridan that a finding of pretext was a permissible basis
    for a verdict of discrimination. We stated: "[i]t is the jury's
    determination that the reason given was pretextual together
    with the evidence that supported the prima facie case that
    will sustain a finding of intentional discrimination made
    after a proper charge." Sheridan, 
    100 F.3d at 1071
    (emphasis added).
    Notwithstanding the pivotal role played by pretext in the
    ultimate decision of discrimination vel non, the district
    court in the case at bar refused to inform the jurors of that
    role. At the heart of the district court's charge, the court
    instructed the jury as follows:
    [T]he dispositive fact that you must decide is whether
    Mr. Smith has proven by a preponderance of the
    evidence that his age was a determining factor in the
    borough's decision not to renew his employment
    contract. He need not prove that his age was the sole
    or exclusive reason for the borough's decision not to
    10
    renew the contract. Age is a determining factor,
    however, if Mr. Smith's contract would have been
    renewed except for his age.
    App. at 1053. The court repeatedly emphasized that the
    jury's task was to determine whether Smith's age was a
    determinative factor in the Borough's decision not to renew
    his employment contract. App. at 1054-55, 1058.
    Although we acknowledge that the Seventh Circuit has
    signified its approval of an instruction similar to that given
    here, see, e.g., Achor v. Riverside Golf Club, 
    117 F.3d 339
    (7th Cir. 1997), the Second Circuit has expressly required
    more. It stated:
    If the defendant has met its burden of producing
    evidence that, if taken as true, would rebut the prima
    facie case, a threshold matter to be decided by the
    judge, the jury need not be told anything about a
    defendant's burden of production. In that event,
    whether or not the facts of the plaintiff 's prima facie
    case are disputed, the jury needs to be told two things:
    (1) it is the plaintiff 's burden to persuade the jurors by
    a preponderance of the evidence that the apartment (or
    job) was denied because of race (or, in other cases,
    because of some other legally invalid reason), and (2)
    the jury is entitled to infer, but need not infer, that this
    burden has been met if they find that the [facts needed
    to make a prima facie case] have been established and
    they disbelieve the defendant's explanation.
    Cabrera v. Jakabovitz, 
    24 F.3d 372
    , 382 (2d Cir. 1994)
    (emphasis added) (citations and footnotes omitted).
    This court has not yet addressed this precise issue.
    However, we have steadfastly adhered to the principle that
    the "objective of the charge is to clarify the issues in the
    light of the evidence ``to provide aid and guidance for the
    jury.' " Atkinson v. Roth, 
    297 F.2d 570
    , 574 (3d Cir. 1961)
    (quotation omitted). The trial court must ensure"that the
    jury be given full and complete instructions by relating the
    law to the relevant evidence in the case." Choy v. Bouchelle,
    
    436 F.2d 319
    , 325 (3d Cir. 1970). We have considered this
    such an important function that we have reversed jury
    verdicts because the trial court failed to provide the
    11
    requisite legal guidelines even when the party failed to
    preserve an objection. Id.; Richardson v. Walsh Constr. Co.,
    
    334 F.2d 334
    , 338 (3d Cir. 1963); Atkinson, 297 F.2d at
    575; McNello v. John B. Kelly, Inc., 
    283 F.2d 96
    , 102 (3d
    Cir. 1960).
    Applying these principles, it is clear that the jury must be
    given the legal context in which it is to find and apply the
    facts. It is difficult to understand what end is served by
    reversing the grant of summary judgment for the employer
    on the ground that the jury is entitled to infer
    discrimination from pretext, as we instructed in Fuentes v.
    Perskie, 
    32 F.3d 759
    , 764-65 (3d Cir. 1994), if the jurors
    are never informed that they may do so. Accordingly, we
    join the Second Circuit in holding that the jurors must be
    instructed that they are entitled to infer, but need not, that
    the plaintiff 's ultimate burden of demonstrating intentional
    discrimination by a preponderance of the evidence can be
    met if they find that the facts needed to make up the prima
    facie case have been established and they disbelieve the
    employer's explanation for its decision.4
    The Borough contends that, even without Smith's
    requested instruction, the court's charge read as a whole
    adequately informed the jury what it was permitted to do if
    it disbelieved the Borough's proffered justification for its
    decision. The first portion of the charge to which the
    Borough points instructed the jury that it could discredit a
    witness's testimony if it found inconsistencies or
    discrepancies therein. This, however, merely instructed the
    jurors as to when they may disbelieve a witness. It said
    nothing about what the jury may do or infer once the jurors
    had decided to disbelieve the employer's proffered reason.
    The second instruction that could be read to support the
    Borough's position informed the jury that it could consider
    direct or circumstantial evidence and provided examples,
    including a departure from the employer's standard
    _________________________________________________________________
    4. This does not mean that the instruction should include the technical
    aspects of the McDonnell Douglas burden shifting, a charge reviewed as
    unduly confusing and irrelevant for a jury. See Loeb v. Textron, Inc., 
    600 F.2d 1003
    , 1016 (1st Cir. 1979); Messina v. Kroblin Transp. Sys., 
    903 F.2d 1306
     (10th Cir. 1990).
    12
    practices, suspect decision making methods, a history of
    discrimination, a hostile work environment or statistical
    proof of discrimination. This instruction is inadequate for
    those employees who have little or no circumstantial
    evidence of the type alluded to by the district court, the
    very plaintiffs for whom the McDonnell Douglas framework
    was developed. Under this instruction, the jurors who
    found no evidence fitting the examples of circumstantial
    evidence referred to in the charge but who disbelieved the
    employer's explanation could reasonably conclude that
    there was no evidence on which they would be permitted to
    base a plaintiff 's verdict. This conclusion would, of course,
    be incorrect as a matter of law but would be
    understandable in light of the instruction.
    Third, the district court instructed the jury that it could
    make inferences based on common experiences and
    common sense. Although the inference of discrimination
    arising from pretext is grounded in the common sense
    notion that any party's false testimony may be taken as
    evidence of its having fabricated its case, Sheridan, 
    100 F.3d at 1069
    , this does not mean that the jury will know
    without being told that its disbelief in the employer's
    proffered reason may be evidence that, coupled with
    evidence establishing plaintiff's prima facie case, will
    support a finding of intentional discrimination. While it
    may appear to us, looking from the perspective of our
    knowledge of the reported opinions, that the evidentiary
    framework that evolved is nothing more than common
    sense, the jury comes to its task without that background
    or history. If the district courts are not required to instruct
    the jurors that they may use the evidence that supported
    plaintiff 's prima facie case coupled with their rejection of
    the reasons offered by the employer for the employment
    decision to conclude that the employer intentionally
    discriminated, then all our carefully honed language will
    have been an exercise in irrelevance.
    In light of the decades it has taken for the courts to
    shape and refine the McDonnell Douglas standard into its
    present form and the inordinate amount of ink that has
    been spilled over the question of how a jury may use its
    finding of pretext, it would be disingenuous to argue that it
    13
    is nothing more than a matter of common sense. Indeed,
    the answer to the question of whether a jury is allowed to
    infer discrimination from pretext eluded many of the federal
    courts of this country for a substantial period of time. As
    we stated in Atkinson, "If it is to be assumed that jurors
    have ordinary intelligence, it may not be assumed that they
    are students of the law. The task of the jury, to apply the
    rules of law as given by the court below, certainly cannot be
    satisfactorily accomplished . . . in the abstract." 297 F.2d
    at 574 (overturning the verdict because, inter alia, the trial
    court failed to include in its charge the rather obvious
    direction that negligence cannot be imputed to the
    passengers).
    Without a charge on pretext, the course of the jury's
    deliberations will depend on whether the jurors are smart
    enough or intuitive enough to realize that inferences of
    discrimination may be drawn from the evidence
    establishing plaintiff's prima facie case and the pretextual
    nature of the employer's proffered reasons for its actions. It
    does not denigrate the intelligence of our jurors to suggest
    that they need some instruction in the permissibility of
    drawing that inference.
    Former Chief Judge Biggs of this court has explained
    that the rule that the district court must give a requested
    instruction in accordance with a party's contention and
    consistent with the evidence unless the subject matter has
    been covered adequately elsewhere in the charge, see
    generally Wright & Miller S 2556 at 444, is based on the
    unacceptability of leaving "entirely to the jury the task of
    particularizing the legal standard and working out the
    alternatives possible under the facts." See McNello, 
    283 F.2d at 102
    . That was the task the court's instruction left
    the jury, although there was evidence that the Borough's
    explanation for its action varied. It had advised the EEOC
    and the Pennsylvania Commission on Human Relations
    that it didn't renew Smith's employment contract because
    he failed to file a formal application, in contrast to its
    explanation at trial which emphasized Smith's poor job
    performance. While this variation in articulated reasons did
    not compel the jury to disbelieve the Borough, the
    inconsistency was sufficient for a reasonable jury to view it
    14
    as evidence of pretext leading to an inference of
    discrimination if the jury had been adequately charged.
    We do not intend for today's holding to suggest that
    Smith has presented a particularly strong case or that the
    jury necessarily would have found it persuasive even with
    a proper instruction. Nevertheless, the rule we announce
    today will be equally applicable in future discrimination
    cases and, thus, it is with an eye to the future that we
    must fashion a rule in the context of the facts of this case.
    We conclude, therefore, that the district court erred in
    refusing to instruct the jury that it was permitted but not
    required to infer intentional discrimination if it found that
    Smith had proven the elements of his prima facie case and
    if it disbelieved the Borough's explanation for not having
    renewed Smith's contract.
    IV
    Based on the foregoing, we will vacate the jury's verdict
    for the Borough and remand the case to the district court
    for a new trial.
    A True Copy:
    Teste:
    Clerk of the United States Court of Appeals
    for the Third Circuit
    15
    

Document Info

Docket Number: 97-3133

Filed Date: 6/17/1998

Precedential Status: Precedential

Modified Date: 10/13/2015

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