Lorraine Scamman v. Shaw's Supermarkets, Inc. , 2017 Me. LEXIS 48 ( 2017 )


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  • MAINE	SUPREME	JUDICIAL	COURT	                                       Reporter	of	Decisions
    Decision:	 
    2017 ME 41
    Docket:	   Fed-16-31
    Argued:	   October	25,	2016
    Decided:	  March	7,	2017
    Panel:	    SAUFLEY,	C.J.,	and	MEAD,	GORMAN,	JABAR,	HJELM,	and	HUMPHREY,	JJ.
    LORRAINE	SCAMMAN	et	al.
    v.
    SHAW’S	SUPERMARKETS,	INC.
    HUMPHREY,	J.
    [¶1]		Pursuant	to	4	M.R.S.	§	57	(2016),	the	United	States	District	Court
    for	the	District	of	Maine	has	certified	to	us	the	following	question	of	state	law:
    Is	a	claim	for	disparate	impact	age	discrimination	under	the	Maine
    Human	 Rights	 Act,	 5	 M.R.S.A.	 §	 4572(1)(A),	 evaluated	 under	 the
    “reasonable	 factor	 other	 than	 age”	 standard,	 see	 Smith	 v.	 City	 of
    Jackson,	 
    544 U.S. 228
    	 (2005);	 the	 “business	 necessity”	 standard,
    see	Maine	Human	Rights	Comm’n	v.	City	of	Auburn,	
    408 A.2d 1253
    (1979);	or	some	other	standard?
    We	answer	the	certified	question	as	follows:	“A	claim	for	disparate	impact	age
    discrimination	 pursuant	 to	 the	 Maine	 Human	 Rights	 Act,	 5	 M.R.S.
    §	4572(1)(A),	is	evaluated	according	to	the	‘business	necessity’	framework.”
    I.		BACKGROUND
    [¶2]	 	 The	 facts	 and	 procedural	 history	 are	 undisputed.	 	 Lorraine
    Scamman	and	others	similarly	situated	(collectively,	the	plaintiffs)	worked	at
    2
    various	Shaw’s	Supermarkets	locations	in	Maine	as	full-time	employees	when
    their	 employment	 was	 terminated	 in	 2012	 as	 part	 of	 a	 reduction	 in	 force.
    Pursuant	to	a	policy	Shaw’s	implemented	to	carry	out	the	reduction	in	force,
    only	full-time	employees	were	terminated.		Because	full-time	employees	were,
    on	 average,	 older	 than	 part-time	 employees,	 the	 reduction	 in	 force	 affected
    more	 older	 employees,	 including	 the	 plaintiffs,	 than	 younger	 employees.
    Shaw’s	explained	that	“business	imperatives	made	it	necessary	.	.	.	to	cut	costs
    by	 at	 least	 $550,000	 per	 week,	 company-wide,	 and	 the	 reduction	 in	 force
    allowed	it	to	do	so.”
    [¶3]		After	the	plaintiffs	filed	complaints	with	the	Maine	Human	Rights
    Commission	 alleging	 age	 discrimination	 in	 violation	 of	 the	 Maine	 Human
    Rights	Act	(MHRA),	5	M.R.S.	§§	4551-4634	(2012),1	a	Commission	investigator
    recommended	 that	 the	 Commission	 find	 reasonable	 grounds	 to	 believe	 that
    Shaw’s	had	violated	the	MHRA	by	discriminating	based	on	age	pursuant	to	a
    disparate	 impact	 theory.2	 	 The	 investigator	 applied	 the	 three-step,
    1		Portions	of	the	MHRA	not	relevant	to	the	question	presented	in	this	case	have	been	amended
    since	the	plaintiffs	filed	their	claim.		See	P.L.	2015,	ch.	457,	§§	1-4	(effective	July	29,	2016)	(codified
    at	 5	 M.R.S.	 §§	 4553(1-H),	 (9-E)(A),	 4582-A(3),	 4592(8)	 (2016));	 P.L.	 2015,	 ch.	 102,	 §	 9	 (effective
    Oct.	15,	2015)	(codified	at	5	M.R.S.	§	4594-D(11)	(2016));	P.L.	2013,	ch.	576,	§§	1-3	(effective	Aug.	1,
    2014)	(codified	at	5	M.R.S.	§	4573(5),	(6)(B),	(7)	(2016)).
    2	 	 The	 investigator	 recommended	 that	 the	 Commission	 find	 no	 reasonable	 grounds	 to	 believe
    that	 Shaw’s	 violated	 the	 MHRA	 based	 on	 a	 disparate	 treatment	 (i.e.,	 “intentional	 discrimination”)
    3
    burden-shifting	 “business	 necessity”	 framework	 to	 analyze	 the	 plaintiffs’
    allegations.	 	 See	 Albemarle	 Paper	 Co.	 v.	 Moody,	 
    422 U.S. 405
    ,	 425	 (1975);
    Griggs	 v.	 Duke	 Power	 Co.,	 
    401 U.S. 424
    ,	 429-35	 (1971);	Me.	 Human	 Rights
    Comm’n	 v.	 City	 of	 Auburn,	 
    408 A.2d 1253
    ,	 1264-68	 (Me.	 1979).	 	 The
    Commission	 voted	 unanimously	 to	 adopt	 the	 investigator’s	 analysis	 and
    recommendations.
    [¶4]	 	 The	 plaintiffs	 then	 filed	 a	 complaint	 in	 the	 Superior	 Court
    (Androscoggin	 County),	 alleging	 unlawful	 employment	 discrimination	 based
    on	 age	 pursuant	 to	 the	 MHRA.3	 	 See	 5	 M.R.S.	 §	 4572(1)(A)	 (2016).	 	 After
    Shaw’s	removed	the	case	to	the	United	States	District	Court	for	the	District	of
    Maine,	 the	 court,	 upon	 a	 joint	 request	 by	 the	 parties,	 certified	 to	 us	 the
    question	 of	 what	 framework	 of	 proof	 applies	 to	 a	 claim	 of	 disparate	 impact
    age	 discrimination	 brought	 pursuant	 to	 the	 MHRA.	 	 See	 Scamman	 v.	 Shaw’s
    Supermarkets,	Inc.,	No.	2:15-cv-00295-JDL,	
    2016 U.S. Dist. LEXIS 10271
    	(D.	Me.
    Jan.	26,	2016).
    theory.		See,	e.g.,	EEOC	v.	Abercrombie	&	Fitch	Stores,	Inc.,	
    135 S. Ct. 2028
    ,	2032	(2015);	Me.	Human
    Rights	Comm’n	v.	City	of	Auburn,	
    408 A.2d 1253
    ,	1261-62	(Me.	1979).
    3		The	MHRA	prohibits	recovery	of	attorney	fees	as	well	as	compensatory	and	punitive	damages
    under	certain	circumstances	unless	the	plaintiff	has	filed	a	complaint	with	the	Commission	and	one
    of	several	outcomes	has	resulted.		5	M.R.S.	§	4622(1)	(2016);	see	Gordan	v.	Cummings,	
    2000 ME 68
    ,
    ¶	 11,	 
    756 A.2d 942
    .	 	 Those	 outcomes	 include	 the	 Commission’s	 “[f]ail[ure],	 within	 90	 days	 after
    finding	 reasonable	 grounds	 to	 believe	 that	 unlawful	 discrimination	 occurred,	 to	 enter	 into	 a
    conciliation	agreement	to	which	the	plaintiff	was	a	party.”		5	M.R.S.	§	4622(1)(B).
    4
    [¶5]		Shaw’s	argues	that	a	provision	of	the	federal	Age	Discrimination	in
    Employment	 Act	 (ADEA),	 
    29 U.S.C.S. §§ 621-634
    	 (LEXIS	 through	 Pub.	 L.	 No.
    114-328),	 known	 as	 the	 “reasonable	 factor	 other	 than	 age”	 (RFOA)	 defense,
    should	 apply	 to	 MHRA	 claims	 of	 disparate	 impact	 age	 discrimination.	 	 The
    parties	agree	that	if	the	RFOA	defense	applies	pursuant	to	Maine	law,	Shaw’s
    is	 entitled	 to	 a	 judgment	 as	 a	 matter	 of	 law	 on	 the	 plaintiffs’	 age
    discrimination	 claim.	 	 They	 also	 agree	 that	 if	 the	 Commission	 was	 correct	 to
    apply	 the	 “business	 necessity”	 framework	 instead,	 further	 discovery	 will	 be
    necessary	 to	 develop	 the	 issues	 of	 (1)	 whether	 the	 reduction	 in	 force	 was
    actually	 motivated	 by	 a	 business	 necessity	 and	 (2)	 if	 so,	 whether
    less-discriminatory	alternatives	would	have	served	those	business	needs.
    II.		DISCUSSION
    A.	   Acceptance	of	the	Certified	Question	of	State	Law
    [¶6]	 	 We	 must	 first	 decide	 whether	 to	 accept	 and	 answer	 the	 certified
    question.		See	4	M.R.S.	§	57;	Alexander,	Maine	Appellate	Practice	§	25.1	at	194
    (4th	 ed.	 2013)	 (“Consideration	 of	 the	 merits	 of	 a	 certified	 question	 is	 not
    automatic.”).
    [W]herever	 reasonably	 possible,	 the	 state	 court	 of	 last	 resort
    should	 be	 given	 opportunity	 to	 decide	 state	 law	 issues	 on	 which
    there	 are	 no	 state	 precedents	 which	 are	 controlling	 or	 clearly
    indicative	 of	 the	 developmental	 course	 of	 the	 state	 law	 because
    5
    this	 approach	 (1)	 tend[s]	 to	 avoid	 the	 uncertainty	 and
    inconsistency	 in	 the	 exposition	 of	 state	 law	 caused	 when	 federal
    [c]ourts	 render	 decisions	 of	 [s]tate	 law	 which	 have	 an	 interim
    effectiveness	until	the	issues	are	finally	settled	by	the	state	court
    of	 last	 resort;	 and	 (2)	 minimize[s]	 the	 potential	 for	 state-federal
    tensions	 arising	 from	 actual,	 or	 fancied,	 federal	 [c]ourt	 efforts	 to
    influence	the	development	of	[s]tate	law.
    Bankr.	Estate	of	Everest	v.	Bank	of	Am.,	N.A.,	
    2015 ME 19
    ,	¶	14,	
    111 A.3d 655
    (quotation	marks	omitted).
    [¶7]		“Title	4	M.R.S.	§	57	authorizes,	but	does	not	require,	us	to	consider
    a	 certified	 question	 of	 state	 law	 posed	 by	 a	 federal	 court	 in	 certain
    circumstances.”	 	 Id.	 ¶	 13	 (quotation	 marks	 omitted);	 see	 M.R.	 App.	 P.	 25(a).
    We	 may	 consider	 the	 merits	 of	 a	 certified	 question	 when	 three	 criteria	 are
    met:	 “(1)	 there	 is	 no	 dispute	 as	 to	 the	 material	 facts	 at	 issue;	 (2)	there	 is	 no
    clear	 controlling	 precedent;	 and	 (3)	 our	 answer,	 in	 at	 least	 one	 alternative,
    would	be	determinative	of	the	case.”		Everest,	
    2015 ME 19
    ,	¶	13,	
    111 A.3d 655
    (quotation	marks	omitted).
    [¶8]	 	 In	 this	 case,	 all	 three	 requirements	 are	 met.	 	 First,	 the	 material
    facts	 are	 undisputed.	 	 Second,	 there	 is	 no	 clear	 controlling	 precedent—
    although	we	have	made	clear	that	the	business	necessity	test	applies	in	MHRA
    disparate	 impact	 cases	 based	 on	 sex	 discrimination,	 see	 City	 of	 Auburn,
    
    408 A.2d at 1261-68
    ,	 we	 have	 not	 yet	 expressly	 articulated	 what	 framework
    6
    applies	 in	 age-based	 disparate	 impact	 employment	 discrimination	 cases
    pursuant	to	the	MHRA.4		Finally,	the	plaintiffs	agree	that	if	the	ADEA’s	RFOA
    defense	 does	 apply,	 Shaw’s	 is	 entitled	 to	 a	 judgment	 as	 a	 matter	 of	 law.
    (A.	19.)	 	 In	 one	 alternative,	 therefore,	 our	 answer	 to	 the	 certified	 question
    would	 be	 determinative	 of	 the	 case.	 	 Because	 all	 three	 criteria	 are	 met,	 we
    elect	to	consider	and	answer	the	certified	question.
    B.	      Legal	Background
    1.	     Disparate	Impact	Discrimination	Claims
    [¶9]		The	law	recognizes	at	least	two	theories	of	liability	upon	which	a
    plaintiff	 may	 prove	 a	 claim	 of	 employment	 discrimination:	 “disparate
    treatment”	 and	 “disparate	 impact.”	 	 See	 EEOC	 v.	 Abercrombie	 &	 Fitch	 Stores,
    Inc.,	
    135 S. Ct. 2028
    ,	2032	(2015);	City	of	Auburn,	
    408 A.2d at 1261-63
    .		In	a
    disparate	 impact	 claim,	 such	 as	 the	 suit	 at	 issue	 in	 this	 case,	 the	 plaintiff
    alleges	 that	 he	 or	 she	 is	 a	 member	 of	 a	 protected	 group	 that	 is
    disproportionately	 affected	 by	 an	 employer’s	 practice.	 	 E.g.,	 City	 of	 Auburn,
    4		In	Maine	Human	Rights	Commission	v.	Department	of	Corrections,	we	addressed	a	claim	that	an
    employer	 discriminated	 against	 the	 plaintiff	 on	 the	 basis	 of	 age	 and	 sex	 in	 violation	 of	 the
    then-existing	 version	 of	 the	 MHRA.	 	 
    474 A.2d 860
    ,	 863	 (Me.	1984).	 	 The	 plaintiff’s	 claim	 included
    both	 disparate	 treatment	 and	 disparate	 impact	 theories.	 	 
    Id. at 863-64
    .	 	 Analyzing	 the	 disparate
    impact	allegations,	we	concluded	at	the	first	step	that	the	plaintiff	could	not	meet	her	initial	burden
    to	 make	 a	 prima	 facie	 showing	 of	 a	 disparate	 impact.	 	 
    Id. at 865-66
    .	 	 We	 did	 not	 address	 what
    framework	 of	 proof	 should	 apply	 to	 age	 discrimination	 claims	 specifically,	nor	 did	 we	 discuss	 the
    ADEA	or	the	RFOA	defense.		See	
    id.
    7
    
    408 A.2d at 1264-68
    .		Statistical	evidence	is	the	“primary	method”	by	which	a
    plaintiff	supports	this	type	of	claim.5		
    Id. at 1264
    .
    2.	     The	Business	Necessity	Framework
    [¶10]	 	 The	 business	 necessity	 framework,	 pursuant	 to	 which	 the
    Commission	 analyzed	 the	 disparate	 impact	 claim	 in	 this	 case,	 consists	 of	 a
    three-step	burden-shifting	scheme:
    First,	 the	 plaintiff	 must	 establish	 a	 prima	 facie	 case	 of	 disparate
    impact	 by	 identifying	 a	 facially	 neutral	 practice	 that	 affects	 one
    group	 more	 harshly	 than	 another.	 	 Second,	 if	 the	 plaintiff	 meets
    her	 burden	 in	 the	 first	 step,	 the	 defendant	 must	 present	 prima
    facie	evidence	that	its	practice	is	justified	by	a	business	necessity.
    Finally,	 if	 the	 defendant	 meets	 its	 burden	 in	 the	 second	 step,	 the
    plaintiff	 must	 present	 prima	 facie	 evidence	 that	 the	 defendant’s
    proffered	justification	is	pretextual	or	that	other	practices	would
    have	a	less	discriminatory	impact.
    Dussault	 v.	 RRE	 Coach	 Lantern	 Holdings,	 LLC,	 
    2014 ME 8
    ,	 ¶	 24,	 
    86 A.3d 52
    (citations	omitted).
    [¶11]	 	 The	 federal	 courts	 apply	 the	 business	 necessity	 framework	 to
    disparate	impact	claims	brought	pursuant	to	Title	VII	of	the	Civil	Rights	Act	of
    1964,	42	U.S.C.S.	§§	2000e	to	2000e-17	(LEXIS	through	Pub.	L.	No.	114-328),
    which	 prohibits	 discrimination	 in	 employment	 on	 the	 basis	 of	 various
    5		In	a	“disparate	treatment”	claim,	also	called	an	“intentional	discrimination”	claim,	the	plaintiff
    alleges	 that	 the	 employer	 engaged	 in	 an	 adverse	 employment	 action	 against	 him	 or	 her	 as	 an
    individual	because	of	a	characteristic	that	is	protected	by	human	rights	legislation.		See	Abercrombie
    &	Fitch,	
    135 S. Ct. at 2031-32
    ;	City	of	Auburn,	
    408 A.2d at 1263
    .
    8
    characteristics	 not	 including	 age.	 	 See	 42	 U.S.C.S.	 §	 2000e-2(a);	 Albemarle,
    
    422 U.S. at 425
    ;	Griggs,	
    401 U.S. at 429-35
    .		In	City	of	Auburn,	we	applied	the
    business	 necessity	 framework	 to	 an	 MHRA	 claim	 of	 disparate	 impact	 sex
    discrimination.		
    408 A.2d at 1264-68
    .
    3.	     The	RFOA	Defense
    [¶12]	 	 Although	 Title	 VII	 of	 the	 Civil	 Rights	 Act	 of	 1964	 prohibits
    employment	discrimination	on	the	basis	of	various	characteristics	other	than
    age,	 the	 ADEA	 is	 the	 federal	 statutory	 scheme	 that	 proscribes	 age
    discrimination	 in	 employment.	 	 See	 
    29 U.S.C.S. § 623
    (a).6	 	 The	 ADEA	 also
    specifies,	however,	that	“[i]t	shall	not	be	unlawful	for	an	employer	.	.	.	to	take
    any	 action	 otherwise	 prohibited	 under	 subsection[]	 (a)	 .	 .	 .	 where	 the
    6		The	ADEA	provides,	in	relevant	part:
    §	623.	Prohibition	of	age	discrimination.
    (a)	Employer	practices.		It	shall	be	unlawful	for	an	employer—
    (1)	 to	 fail	 or	 refuse	 to	 hire	 or	 to	 discharge	 any	 individual	 or	 otherwise
    discriminate	against	any	individual	with	respect	to	his	compensation,	terms,
    conditions,	or	privileges	of	employment,	because	of	such	individual’s	age;
    (2)	 to	 limit,	 segregate,	 or	 classify	 his	 employees	 in	 any	 way	 which	 would
    deprive	 or	 tend	 to	 deprive	 any	 individual	 of	 employment	 opportunities	 or
    otherwise	 adversely	 affect	 his	 status	 as	 an	 employee,	 because	 of	 such
    individual’s	age;	or
    (3)	 to	 reduce	 the	 wage	 rate	 of	 any	 employee	 in	 order	 to	 comply	 with	 this
    Act.
    
    29 U.S.C.S. § 623
    (a)	(LEXIS	through	Pub.	L.	No.	114-328).
    9
    differentiation	 is	 based	 on	 reasonable	 factors	 other	 than	 age.”	 	 
    29 U.S.C.S. § 623
    (f)(1).		This	is	the	RFOA	defense.
    [¶13]	 	 In	 light	 of	 the	 RFOA	 defense,	 courts	 analyzing	 disparate	 impact
    age	 discrimination	 claims	 filed	 pursuant	 to	 the	 ADEA	 do	 not	 apply	 the
    business	necessity	framework.		Meacham	v.	Knolls	Atomic	Power	Lab.,	
    554 U.S. 84
    ,	 97-99	 (2008).	 	 Once	the	 plaintiff	 has	 satisfied	 his	 or	 her	 burden	 to	 make
    out	a	prima	facie	case	of	disparate	impact,	there	is	no	inquiry	into	whether	the
    employer’s	 facially	 neutral	 practice	 constitutes	 a	 business	 necessity	 or
    whether	 the	 employer	 could	 have	 accomplished	 the	 same	 goal	 by
    less-discriminatory	means.		See	
    id. at 95-100
    ;	Smith	v.	City	of	Jackson,	
    544 U.S. 228
    ,	240,	243	(2005).		Instead,	the	burden	shifts	to	the	defendant	to	establish
    that	 the	 challenged	 practice	 is	 based	 on	 a	 reasonable	 factor	 other	 than	 age.
    
    29 U.S.C.S. § 623
    (f)(1);	see	Meacham,	
    554 U.S. at 91-96
    ;	Smith,	
    544 U.S. at 243
    ;
    
    29 C.F.R. § 1625.7
    	(2016).		The	United	States	Supreme	Court	has	made	clear
    that	the	existence	of	the	RFOA	defense	in	the	ADEA	means	that	“the	scope	of
    disparate-impact	liability	under	[the]	ADEA	is	narrower	than	under	Title	VII.”
    Smith,	
    544 U.S. at 240
    ;	see	Meacham,	
    554 U.S. at 102
    .
    10
    C.	   Analysis
    1.	    Standards	of	Review
    [¶14]	 	 The	 question	 before	 us	 is	 whether	 the	 business	 necessity
    standard	applies	to	disparate	impact	age	discrimination	claims	filed	pursuant
    to	 the	 MHRA,	 whether	 the	 ADEA’s	 RFOA	 defense	 applies,	 or	 whether	 some
    other	 framework	 of	 proof	 applies.	 	 To	 answer	 this	 question,	 we	 examine	 the
    terms	of	the	MHRA	in	light	of	the	legal	background	we	have	described.		When
    interpreting	a	statute,	“we	give	effect	to	the	Legislature’s	intent	by	considering
    the	 statute’s	 plain	 meaning	 and	 the	 entire	 statutory	 scheme	 of	 which	 the
    provision	 at	 issue	 forms	 a	 part.”	 	 Samsara	 Mem’l	 Trust	 v.	 Kelly,	 Remmel	 &
    Zimmerman,	
    2014 ME 107
    ,	¶	42,	
    102 A.3d 757
    .		Only	if	the	plain	language	of
    the	statute	is	ambiguous	will	we	look	beyond	that	language	to	examine	other
    indicia	of	legislative	intent,	such	as	legislative	history.		Zablotny	v.	State	Bd.	of
    Nursing,	 
    2014 ME 46
    ,	 ¶	 18,	 
    89 A.3d 143
    .	 	 “Statutory	 language	 is	 considered
    ambiguous	 if	 it	 is	 reasonably	 susceptible	 to	 different	 interpretations.”	 	 
    Id.
    (alteration	 omitted)	 (quotation	 marks	 omitted).	 	 “When	 a	 statute
    administered	 by	 an	 agency	 is	 ambiguous,	 we	 review	 whether	 the	 agency’s
    interpretation	of	the	statute	is	reasonable	and	uphold	its	interpretation	unless
    the	statute	plainly	compels	a	contrary	result.”		Fuhrmann	v.	Staples	the	Office
    11
    Superstore	 E.,	 Inc.,	 
    2012 ME 135
    ,	 ¶	 23,	 
    58 A.3d 1083
    	 (quotation	 marks
    omitted).
    2.	    Plain	Language
    [¶15]		The	MHRA	provides:	“The	opportunity	for	an	individual	to	secure
    employment	 without	 discrimination	 because	 of	 race,	 color,	 sex,	 sexual
    orientation,	 physical	 or	 mental	 disability,	 religion,	 age,	 ancestry	 or	 national
    origin	 is	 recognized	 as	 and	 declared	 to	 be	 a	 civil	 right.”	 	 5	 M.R.S.	 §	 4571
    (2016).		More	specifically,
    It	is	unlawful	employment	discrimination,	in	violation	of	this	Act,
    except	 when	 based	 on	 a	 bona	 fide	 occupational	 qualification	 .	 .	 .
    [f]or	 any	 employer	 to	 fail	 or	 refuse	 to	 hire	 or	 otherwise
    discriminate	 against	 any	 applicant	 for	 employment	 because	 of
    race	or	color,	sex,	sexual	orientation,	physical	or	mental	disability,
    religion,	 age,	 ancestry	 or	 national	 origin	 .	 .	 .	 or,	 because	 of	 those
    reasons,	to	discharge	an	employee	or	discriminate	with	respect	to
    hire,	tenure,	promotion,	transfer,	compensation,	terms,	conditions
    or	 privileges	 of	 employment	 or	 any	 other	 matter	 directly	 or
    indirectly	related	to	employment	.	.	.	.
    5	M.R.S.	§	4572(1)(A).
    [¶16]	 	 In	 a	 section	 describing	 what	 is	 “[n]ot	 unlawful	 employment
    discrimination,”	the	MHRA	expressly	allows	discrimination	on	account	of	age
    effected	 in	 order	 to	 (1)	 comply	 with	 “laws	 relating	 to	 the	 employment	 of
    minors”	and	(2)	“[o]bserve	the	terms	of	any	bona	fide	employee	benefit	plan”
    that,	 inter	 alia,	 complies	 with	 the	 ADEA.	 	 5	 M.R.S.	 §	4573(1-A)	 (2016).
    12
    Although	section	4573(1-A)	specifically	refers	to	the	ADEA	in	describing	what
    is	 “[n]ot	 unlawful	 employment	 discrimination,”	 that	 section	 contains	 no
    provision	 allowing	 an	 employer	 to	 take	 otherwise	 prohibited	 actions	 “where
    the	 differentiation	 is	 based	 on	 reasonable	 factors	 other	 than	 age.”7
    Cf.	
    29 U.S.C.S. § 623
    (a),	 (f)(1).	 	 This	 suggests	 that	 the	 Legislature,	 while	 fully
    aware	of	the	provisions	of	the	ADEA,	did	not	intend	for	the	RFOA	defense	to
    be	available	pursuant	to	Maine	law.
    [¶17]		On	the	other	hand,	the	MHRA	also	does	not	affirmatively	provide
    that	the	business	necessity	test	applies	to	disparate	impact	age	discrimination
    claims.	 	 Moreover,	 although	 the	 phrase	 “business	 necessity”	 appears	 in	 an
    MHRA	 provision	 describing	 a	 defense	 to	 claims	 where	 the	 plaintiff	 alleges
    certain	 types	 of	 discrimination	 against	 an	 individual	 with	 a	 disability,	 that
    section	does	not	refer	to	claims	based	on	other	protected	characteristics,	such
    as	age.		See	5	M.R.S.	§	4573-A	(2016).8		This	could	suggest	a	legislative	choice
    7		 Nor	 did	 the	 Legislature	 include	 any	 reference	 to	 an	 RFOA	 defense	 in	 a	 section	 entitled
    “Defenses,”	5	M.R.S.	§	4573-A	(2016),	or	in	any	other	portion	of	the	MHRA.
    8		Title	5	M.R.S.	§	4573-A	provides,	in	relevant	part:
    §	4573-A.		Defenses
    1.		General	provisions.		It	is	a	defense	to	a	charge	of	discrimination	under
    this	 subchapter	 that	 an	 alleged	 application	 of	 qualification	 standards,	 tests	 or
    selection	 criteria	 that	 screen	 out	 or	 tend	 to	 screen	 out	 or	 otherwise	 deny	 a	 job	 or
    benefit	 to	 an	 individual	 with	 a	 disability	 has	 been	 shown	 to	 be	 job-related	 and
    13
    that	the	business	necessity	framework	should	apply	only	to	disability-related
    MHRA	 claims.9	 	 See	 Musk	 v.	 Nelson,	 
    647 A.2d 1198
    ,	 1201	 (Me.	 1994)	 (“[A]
    well-settled	rule	of	statutory	interpretation	states	that	express	mention	of	one
    concept	 implies	 the	 exclusion	 of	 others	 not	 listed.”).	 	 Looking	 only	 at	 the
    statute’s	plain	language,	we	therefore	conclude	that	the	statute	is	“reasonably
    susceptible	to	different	interpretations,”	Zablotny,	
    2014 ME 46
    ,	¶	18,	
    89 A.3d 143
    	 (alteration	 omitted)	 (quotation	 marks	 omitted),	 and	 is	 therefore
    ambiguous.
    3.	      Agency	Deference
    [¶18]		As	we	noted	above,	we	give	deference	to	an	agency’s	reasonable
    interpretation	 of	 an	 ambiguous	 statute	 that	 it	 administers.	 	 Fuhrmann,
    
    2012 ME 135
    ,	¶	23,	
    58 A.3d 1083
    .		“We	will	not	second-guess	the	agency	on
    matters	 falling	 within	 its	 realm	 of	 expertise.”	 	 Mulready	 v.	 Bd.	 of	 Real	 Estate
    consistent	 with	 business	 necessity,	 and	 such	 performance	 [cannot]	 be	 accomplished
    by	reasonable	accommodation,	as	required	by	this	subchapter.
    (Emphases	added.)
    9	 	 This	 is	 merely	 one	 possible	 interpretation	 of	 5	 M.R.S.	 §	 4573-A,	 which	 renders	 the	 MHRA
    ambiguous	 as	 to	 the	 question	 presented	 in	 this	 case.	 	 We	 do	 not	 mean	 to	 suggest	 that	 it	 is
    necessarily	 the	 “correct”	 interpretation.	 	 Indeed,	 the	 statute	 refers	 to	 “a	 defense	 to	 a	 charge	 of
    discrimination	 under	 this	 subchapter,”	 5	 M.R.S.	 §	 4573-A(1)	 (emphasis	 added),	 which	 ostensibly
    includes	 non-disability-based	 discrimination	 claims,	 see	5	M.R.S.	 §	 4572(1)(A)	 (2016).	 	 And	 no
    indication	 exists	 in	 our	 case	 law	 to	 suggest	 that	 we	 have	 abandoned	 the	 business	 necessity
    framework	for	non-disability-based	disparate	impact	claims	since	the	enactment	of	section	4573-A
    in	 1995.	 	 See	 Dussault	 v.	 RRE	 Coach	 Lantern	 Holdings,	 LLC,	 
    2014 ME 8
    ,	 ¶	 24,	 
    86 A.3d 52
    	 (“We
    evaluate	 claims	 of	 disparate	 impact	 in	 the	 employment	 context	 using	 [the]	 .	 .	 .	 three-step,
    burden-shifting	[business	necessity]	analysis.”);	P.L.	1995,	ch.	393,	§	21	(effective	Sept.	29,	1995);
    P.L.	1995,	ch.	511,	§	1	(effective	Feb.	22,	1996).
    14
    Appraisers,	 
    2009 ME 135
    ,	 ¶	 13,	 
    984 A.2d 1285
    	 (quotation	 marks	 omitted);
    see	also	Me.	Human	Rights	Comm’n	v.	United	Paperworkers	Int’l	Union,	
    383 A.2d 369
    ,	378	(Me.	1978).
    [¶19]		The	Maine	Human	Rights	Commission	administers	the	MHRA;	it
    is	required	to	investigate	human	rights	violations	and	“recommend	measures
    calculated	to	promote	the	full	enjoyment	of	human	rights	and	personal	dignity
    by	 all	 the	 inhabitants	 of”	 Maine.	 	 5	 M.R.S.	 §	 4566	 (2016).	 	 To	 achieve	 those
    goals,	 it	 has	 the	 power	 to	 hold	 evidentiary	 hearings,	 adopt	 rules	 and
    regulations,	 publish	 results	 of	 investigations,	 report	 to	 the	 legislative	 and
    executive	 branches,	 and	 do	 “everything	 reasonably	 necessary	 to	 perform	 its
    duties	under”	the	MHRA.		5	M.R.S.	§	4566(4),	(7),	(10)-(12).
    [¶20]	 	 Here,	 guided	 by	 City	 of	 Auburn,	 the	 Commission	 investigator
    unequivocally	 applied	 the	 business	 necessity	 framework	 to	 the	 plaintiffs’
    disparate	impact	age	discrimination	claims,	and	the	Commission	unanimously
    adopted	the	investigator’s	report.		The	Commission	has	also	made	clear,	in	its
    amicus	brief,	its	interpretation	that	the	ADEA’s	RFOA	defense	does	not	apply
    to	 MHRA	 claims	 and	 that	 the	 business	 necessity	 framework	 does	 apply.
    Contrary	to	what	Shaw’s	contends,	therefore,	the	Commission’s	interpretation
    is	not	indeterminate.
    15
    [¶21]	 	 Nor	 is	 the	 Commission’s	 interpretation	 unreasonable.
    See	Fuhrmann,	 
    2012 ME 135
    ,	 ¶	 23,	 
    58 A.3d 1083
    .	 	 On	 the	 contrary,	 its
    interpretation	is	supported	by	the	MHRA’s	legislative	history	and	content	and
    by	our	existing	case	law.
    [¶22]	 	 The	 Legislature	 enacted	 the	 MHRA	 in	 1971.	 	 P.L.	 1971,	 ch.	 501,
    §	1.		At	that	time,	both	Title	VII	of	the	Civil	Rights	Act	of	1964	and	the	ADEA
    were	already	in	effect.		See	City	of	Auburn,	
    408 A.2d at
    	1261	&	n.10.		Although
    the	 ADEA	 contained	 the	 RFOA	 defense,	 
    29 U.S.C.S. § 623
    (f)(1),	 the	 Maine
    Legislature	did	not	include	an	RFOA	provision	in	the	MHRA.		The	Legislature
    revisited	 the	 section	 describing	 “[n]ot	 unlawful	 employment	 discrimination”
    based	 on	 age	 in	 1977,	 1979,	 and	 1995.	 	 P.L.	 1977,	 ch.	580,	 §	 14;	 P.L.	 1979,
    ch.	350,	§§	2-3;	P.L.	1995,	ch.	393,	§	15.		The	1979	amendment	resulted	in	an
    express	reference	to	the	ADEA.		P.L.	1979,	ch.	350,	§§	2-3.		The	Legislature	did
    not,	 however,	 enact	 an	 RFOA	 provision	 through	 any	 of	 these	 amendments.
    This	 history	 suggests	 that	 the	 Legislature	 has	 chosen—intentionally—not	 to
    limit	 the	 scope	 of	 its	 protections	 against	 age	 discrimination	 by	 providing	 for
    an	RFOA	defense.
    [¶23]	 	 The	 United	 States	 Supreme	 Court	 concluded	 in	 Smith	 that	 the
    legislative	 history	 of	 the	 ADEA	 demonstrates	 that	 Congress’s	 decisions	 to
    16
    enact	the	ADEA	separately	from	Title	VII	and	to	provide	for	the	RFOA	defense
    were	based	in	part	on	the	notion	that	“age,	unlike	race	or	other	classifications
    protected	 by	 Title	 VII,	 not	 uncommonly	 has	 relevance	 to	 an	 individual’s
    capacity	 to	 engage	 in	 certain	 types	 of	 employment.”10	 	 
    544 U.S. at 240
    .	 	 The
    legislative	 history	 of	 the	 MHRA	 does	 not	 suggest	 that	 the	 Maine	 Legislature
    agreed	 with	 that	 premise.	 	 Instead,	 “against	 the	 background	 of	 prior	 federal
    antidiscrimination	statutes,”	 City	of	Auburn,	
    408 A.2d at
    	1261—namely,	Title
    VII	 and	 the	 ADEA—the	 Legislature	 enacted	 a	 unitary	 antidiscrimination
    statute	 that	 is	 similar	 to	 Title	 VII	 but	 that	 includes	 age	 as	 a	 protected
    characteristic.	 	 Unlike	 Congress,	 the	 Maine	 Legislature	 did	 not	 create	 a
    separate	 statutory	 scheme	 specific	 to	 age	 discrimination.	 	 The	 MHRA’s	 situs
    on	 the	 historical	 timeline	 of	 anti-discrimination	 legislation,	 considered
    alongside	 the	 absence	 of	 statutory	 language	 creating	 an	 RFOA	 defense,
    suggests	 that	 the	 Legislature	 did	 not	 intend	 for	 the	 scope	 of	 protection	 from
    age	 discrimination	 to	 be	 any	 different	 from	 the	 scope	 of	 protection	 from
    discrimination	based	on	the	other	characteristics	enumerated	in	the	MHRA.11
    10		The	Supreme	Court	noted	that	“[d]uring	the	deliberations	that	preceded	the	enactment	of	the
    Civil	Rights	Act	of	1964,	Congress	considered	and	rejected	proposed	amendments	that	would	have
    included	 older	 workers	 among	 the	 classes	 protected	 from	 employment	 discrimination.”	 	 Smith	 v.
    City	of	Jackson,	
    544 U.S. 228
    ,	232	(2005).
    11		This	interpretation	is	consistent	with	the	notion	that	Congress	intended	the	ADEA	to	serve	as
    a	“floor”	of	protection	from	age	discrimination.		Me.	Human	Rights	Comm’n	v.	Kennebec	Water	Power
    17
    [¶24]		Shaw’s	argues	that	we	should	not	“reject	the	use	of	the	RFOA	test
    because	 it	 is	 not	 included	 in	 the	 statute,”	 where	 the	 MHRA	 also	 does	 not
    expressly	 codify	 the	 business	 necessity	 test	 for	 age-based	 discrimination
    claims.	 	 This	 argument	 relies	 on	 an	 inapt	 comparison	 because	 the	 two
    standards	 differ	 in	 nature.	 	 The	 RFOA	 defense	 is	 a	 creature	 of	 the	 ADEA
    statute;	it	is	an	affirmative	defense,	not	a	“test.”		Meacham,	
    554 U.S. at 91-95
    ;
    
    29 U.S.C.S. § 623
    (f)(1).		It	allows	an	employer	that	demonstrates	certain	facts
    to	 engage	 in	 “otherwise	 prohibited”	 conduct.	 	 See	Meacham,	 
    554 U.S. at 95
    (“[A]	 defense	 to	 what	 is	 ‘otherwise	 prohibited’	 is	 an	 affirmative	 defense,
    entirely	 the	 responsibility	 of	 the	 party	 raising	 it.”).	 	 The	 business	 necessity
    test,	 conversely,	 is	 a	 judicially-created	 method	 of	 allocating	 the	 burdens
    involved	in	proving	entitlement	to	relief	on	a	claim	that	an	employer’s	facially
    neutral	 practice	 has	 the	 consequence	 of	 discriminating	 on	 the	 basis	 of	 a
    protected	 characteristic.	 	 See	 Albemarle,	 
    422 U.S. at 425
    ;	 Griggs,	 
    401 U.S. at 431-32
    ;	City	of	Auburn,	
    408 A.2d at 1261-62, 1264
    .		That	the	statutory	RFOA
    language—which	already	existed	in	the	ADEA	when	the	MHRA	was	enacted—
    is	 absent	 from	 the	 MHRA	 therefore	 sheds	 significantly	 more	 light	 on	 the
    Legislature’s	 intent	 than	 does	 the	 absence	 of	 a	 codification	 of	 the	 business
    Co.,	 
    468 A.2d 307
    ,	 310	 (Me.	 1983)	 (“It	 is	 clear	 that	 Congress,	 in	 enacting	 the	 ADEA,	 intended	 to
    leave	room	for	states	to	supply	consistent	legislation.”).
    18
    necessity	 framework,	 which	 evolved	 in	 the	 courts	 after	 the	 MHRA	 was
    enacted.
    [¶25]	 	 Our	 case	 law	 interpreting	 the	 MHRA	 also	 supports	 the
    Commission’s	interpretation.		Shaw’s	argues	that	because	the	MHRA	is	“silent”
    on	the	test	to	be	applied	to	the	claim	at	issue,	we	should	“look	to	the	ADEA	for
    interpretation.”	 	 We	 have	 indeed	 looked	 to	 federal	 human	 rights	 legislation,
    and	the	cases	interpreting	it,	for	aid	in	interpreting	the	MHRA.		See,	e.g.,	City	of
    Auburn,	 
    408 A.2d at 1261
    	 (“[T]he	 Maine	 legislature—by	 adopting	 provisions
    that	 generally	 track	 the	 federal	 antidiscrimination	 statutes—intended	 the
    courts	 to	 look	 to	 the	 federal	 case	 law	 to	 provide	 significant	 guidance	 in	 the
    construction	 of	 our	 statute.”	 (quotation	 marks	 omitted));	 Wells	 v.	 Franklin
    Broad.	 Corp.,	 
    403 A.2d 771
    ,	 773	 n.4	 (Me.	 1979)	 (“[F]ederal	 cases	 construing
    the	ADEA	may	aid	our	interpretation	of	the	provision	of	the	[MHRA]	banning
    age	discrimination	in	employment.”).
    [¶26]		We	have	been	careful,	however,	to	specify	that	we	will	consider
    the	construction	of	a	federal	counterpart	to	the	MHRA	only	“when	the	federal
    and	 state	 laws	 are	 substantially	 identical.”	 	 Percy	 v.	 Allen,	 
    449 A.2d 337
    ,	 342
    (Me.	1982);	 see	 Me.	 Human	 Rights	 Comm’n	 v.	 Kennebec	 Water	 Power	 Co.,
    
    468 A.2d 307
    ,	 310	 (Me.	 1983)	 (“[W]here	 the	 provisions	 of	 the	 Maine	 statute
    19
    differ	 substantively	 from	 their	 federal	 counterparts,	 .	 .	 .	 deference	 to
    construction	 of	 the	 federal	 version	 is	 unwarranted.”).	 	 In	 Kennebec	 Water
    Power	 Co.,	 the	 plaintiff,	 who	 was	 in	 his	 thirties,	 alleged	 that	 an	 employer
    discriminated	 against	 him	 on	 the	 basis	 of	 age	 when	 it	 hired	 older	 workers
    instead	 of	 him.	 	 
    468 A.2d at 308
    .	 	 The	 trial	 court	 concluded	 that	 the	 ADEA’s
    provision	limiting	its	protection	to	individuals	forty	or	older,	which	the	MHRA
    does	 not	 contain,	 applied	 to	 MHRA	 claimants.	 	 
    Id.
    	 	 We	 disagreed,	 concluding
    that	“in	enacting	the	age	discrimination	prohibitions,	the	Legislature	intended
    to	supplement	the	federal	ADEA.”		
    Id. at 310
    	(emphasis	added).		We	“decline[d]
    to	 superimpose	 a	 limitation	 which	 does	 not	 appear	 on	 the	 face	 of	 the
    statute.”12		
    Id.
    [¶27]		Unlike	the	ADEA,	the	MHRA	does	not	contain	an	RFOA	affirmative
    defense.	 	 This	 is	 a	 substantive	 difference;	 the	 laws	 are	 not	 “substantially
    identical,”	 Percy,	 
    449 A.2d at 342
    .	 	 Thus,	 neither	 the	 text	 of	 the	 RFOA
    affirmative	 defense	 nor	 the	 federal	 cases	 applying	 that	 text	 provides	 helpful
    guidance	for	interpreting	our	statute.		We	therefore	uphold	the	Commission’s
    12		We	held	similarly	 in	 Whitney	 v.	 Wal-Mart	Stores,	Inc.,	
    2006 ME 37
    ,	¶¶	24-31,	 
    895 A.2d 309
    ,
    superseded	by	statute	as	stated	in	Rooney	v.	Sprague	Energy	Corp.,	No.	CV-06-20-B-W,	
    2007 U.S. Dist. LEXIS 78147
    ,	at	*6-8	(D.	Me.	Oct.	19,	2007).		In	that	case,	we	rejected	an	employer’s	argument	that
    the	MHRA’s	definition	of	“physical	or	mental	disability”	should	be	read	to	include	the	requirement
    of	the	federal	Americans	with	Disabilities	Act	of	a	showing	of	a	substantial	limitation	on	a	major	life
    activity.		
    Id.
    		We	declined	to	“in	effect,	amend	the	MHRA	to	include	the	limitation	present	in	federal
    law	but	not	in	the	Maine	Legislature’s	enacted	definition	of	‘disability.’”		Id.	¶	27.
    20
    reasonable	determination	that	the	business	necessity	test	applies	to	disparate
    impact	 age	 discrimination	 claims	 brought	 pursuant	 to	 the	 MHRA.
    See	Fuhrmann,	
    2012 ME 135
    ,	¶	23,	
    58 A.3d 1083
    .
    The	entry	is:
    We	answer	the	certified	question	as	follows:	“A
    claim	 for	 disparate	 impact	 age	 discrimination
    pursuant	 to	 the	 Maine	 Human	 Rights	 Act,
    5	M.R.S.	§	4572(1)(A),	is	evaluated	according	to
    the	‘business	necessity’	framework.”
    Jeffrey	Neil	Young,	Esq.,	Carol	J.	Garvan,	Esq.,	and	Max	I.	Brooks,	Esq.	(orally),
    Johnson,	Webbert	&	Young,	LLP,	Augusta,	for	appellant	Lorraine	Scamman	et
    al.
    K.	Joshua	Scott,	Esq.	(orally),	Jackson	Lewis	P.C.,	Portsmouth,	New	Hampshire,
    for	appellee	Shaw’s	Supermarkets,	Inc.
    Barbara	 Archer	 Hirsch,	 Esq.,	 Maine	 Human	 Rights	 Commission,	 Augusta,	 for
    amicus	curiae	Maine	Human	Rights	Commission
    Richard	L.	O’Meara,	Esq.,	Murray	Plumb	&	Murray,	Portland,	for	amicus	curiae
    AARP
    United	States	District	Court	for	the	District	of	Maine	docket	number	2:15-cv-00295-JDL
    FOR	CLERK	REFERENCE	ONLY
    

Document Info

Docket Number: Docket: Fed-16-31

Citation Numbers: 2017 ME 41, 157 A.3d 223, 2017 WL 900064, 2017 Me. LEXIS 48, 129 Fair Empl. Prac. Cas. (BNA) 1776

Judges: Saufley, Mead, Gorman, Jabar, Hjelm, Humphrey

Filed Date: 3/7/2017

Precedential Status: Precedential

Modified Date: 10/26/2024

Authorities (17)

Equal Emp't Opportunity Comm'n v. Abercrombie & Fitch ... , 135 S. Ct. 2028 ( 2015 )

Smith v. City of Jackson , 125 S. Ct. 1536 ( 2005 )

Musk v. Nelson , 1994 Me. LEXIS 187 ( 1994 )

Wells v. Franklin Broadcasting Corp. , 1979 Me. LEXIS 685 ( 1979 )

Maine Human Rights Commission v. City of Auburn , 1979 Me. LEXIS 788 ( 1979 )

Griggs v. Duke Power Co. , 91 S. Ct. 849 ( 1971 )

John S. Zablotny v. State Board of Nursing , 2014 Me. LEXIS 49 ( 2014 )

Samsara Memorial Trust v. Kelly, Remmel & Zimmerman Kelly, ... , 102 A.3d 757 ( 2014 )

Maine Human Rights Commission Ex Rel. Kellman v. Department ... , 1984 Me. LEXIS 670 ( 1984 )

Maine Human Rights Commission v. Local 1361, United ... , 1978 Me. LEXIS 1097 ( 1978 )

Maine Human Rights Commission Ex Rel. Trudel v. Kennebec ... , 1983 Me. LEXIS 834 ( 1983 )

Percy v. Allen , 1982 Me. LEXIS 753 ( 1982 )

Gordan v. Cummings , 2000 Me. LEXIS 75 ( 2000 )

Albemarle Paper Co. v. Moody , 95 S. Ct. 2362 ( 1975 )

Mulready v. BOARD OF REAL ESTATE APPRAISERS , 2009 Me. LEXIS 138 ( 2009 )

Bankruptcy Estate of Jokhn B. Everest and Susan E. Everest ... , 2015 Me. LEXIS 19 ( 2015 )

Meacham v. Knolls Atomic Power Laboratory , 128 S. Ct. 2395 ( 2008 )

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