Richard Dixson v. Missouri Department of Corrections ( 2019 )


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  •                In the Missouri Court of Appeals
    Western District
    RICHARD DIXSON,                  )
    Respondent, )
    v.                               )                   WD81804
    )
    MISSOURI DEPARTMENT OF           )
    CORRECTIONS,                     )                   FILED: July 23, 2019
    Appellant. )
    APPEAL FROM THE CIRCUIT COURT OF JACKSON COUNTY
    THE HONORABLE JUSTINE E. DEL MURO, JUDGE
    BEFORE DIVISION ONE: VICTOR C. HOWARD, PRESIDING JUDGE,
    LISA WHITE HARDWICK AND GARY D. WITT, JUDGES
    The Missouri Department of Corrections (“DOC”) appeals the judgment
    following a jury verdict against it and in favor of Richard Dixson on his retaliation
    claim under the Missouri Human Rights Act (“MHRA”). The jury awarded Dixson
    $280,000 in actual damages and $1.2 million in punitive damages. On appeal, the
    DOC contends the circuit court erred in failing to reduce the punitive damages
    award by applying a credit for punitive damages awarded in a prior case and a
    statutory cap on damages. The DOC further argues that the court erred in denying
    its motion for a new trial due to a biased juror; allowing portions of an inadmissible
    investigative report to be read into evidence; and in allowing four “me too”
    witnesses to testify. For reasons explained herein, we find no error and affirm.
    FACTUAL AND PROCEDURAL HISTORY
    Richard Dixson has been employed by the DOC since 1995 and has worked
    at its Kansas City Reentry Center (“KCRC”) since 1998. Lilly Angelo was the
    warden at the KCRC from 2013 through 2017.
    When Dixson first started working for the DOC, he was a Corrections Officer
    1, or prison guard. He was promoted to Corrections Classifications Assistant, a
    position that helped offenders find jobs, complete job applications, and operate in
    the community. Eventually, his position was reclassified to Reentry Activity
    Coordinator, for which he continued to work closely with offenders to help them
    successfully reintegrate into society.
    For several years prior to 2014, Dixson served as a union steward. As a
    union steward, he “represented other employees and stuck up for them and went
    to bat for their rights.” Through this position, he became very familiar with DOC
    policies and procedures.
    In June 2014, Dixson filed a hostile work environment complaint alleging
    that Angelo was nitpicking and harassing him regarding how he was carrying his
    pepper spray and his two-way radio. According to Dixson, Angelo told him it was
    mandatory that he carry his pepper spray and radio on his belt, but Dixson knew
    the policy did not require that, and he believed that it would be easier for him to
    2
    access his pepper spray and radio if they were not attached to his belt. Dixson’s
    complaint was returned for “supervisory action,” but he did not believe that he
    would get a fair investigation. He filed a grievance and was eventually able to get
    Angelo’s directive regarding how employees were to carry their pepper spray and
    radios overturned. Dixson reasonably and in good faith believed that Angelo’s
    nitpicking and harassing him was based on his race. Dixson is Caucasian, and
    Angelo is African-American.
    Six months after Dixson filed the grievance, Angelo began retaliating against
    him. She took away IT duties that Dixson had been performing for KCRC since the
    early 2000s, when the warden of KCRC at that time asked Dixson to be KCRC’s
    contact person for IT duties. Dixson’s IT duties included connecting and
    maintaining programmable phones, computers, printers, monitors, and copy
    machines. He “took pride” in his IT duties. Dixson was not told why Angelo took
    away his duties. Later, Bryant Holmes, one of the deputy wardens at KCRC, told
    Dixson that Angelo took away his IT duties because she “couldn’t stand [him] and
    that she would do anything to [him] to make [his] job hell.” Additionally, Dixson
    later heard that Angelo told several people in management that she took away his
    IT duties because she had a “reasonable suspicion” that he had deleted video
    footage off of the DVR system. Dixson denied deleting any video footage. Dixson
    believed his reputation in the DOC suffered as a result of what Angelo falsely said
    about him.
    3
    Angelo also sabotaged Dixson’s opportunity to reclassify his position to one
    at a higher pay level. Because he believed that he was performing the duties of a
    higher position, Dixson completed a form requesting to be paid at the higher level.
    Dixson’s immediate supervisor signed off on the form, agreeing that his position
    should be reclassified. Instead of sending that form to the Office of
    Administration, however, Angelo, without telling Dixson, sent a different form that
    did not show that his immediate supervisor agreed with his reclassification request.
    Dixson did not get the reclassification.
    Dixson’s complaints of retaliation also included Angelo’s denying him flex
    time. After he suffered an injury, he asked for flex time to go to doctor’s
    appointments. Angelo denied his request several times. Dixson filed a grievance,
    and his request for flex time was eventually granted by Dave Dormire, the Director
    of Adult Institutions. Dixson also asked for flex time to take his son to baseball
    practice. Angelo denied his request, even though at least five or six other
    employees were on a flex time schedule at the time. Dixson filed a grievance and
    was granted 45 days of flex time.
    According to Dixson, the treatment he received at work “severely” affected
    him and made him feel belittled, angry, agitated, and bad. He could not sleep well
    at night, had blood clots, and was scared to go to work.
    In August 2016, Dixson filed a petition for damages in which he alleged that
    the DOC violated the MHRA. In his petition, Dixson asserted claims of race
    discrimination, hostile work environment, and retaliation. A jury trial was held in
    4
    December 2017. Several of Dixson’s co-workers offered testimony corroborating
    Dixson’s account of his experiences at KCRC. The jury returned a verdict in favor
    of Dixson on his retaliation claim and in favor of the DOC on his race discrimination
    and hostile work environment claims.1 The jury awarded Dixson $280,000 in
    actual damages and $1.2 million in punitive damages. The DOC appeals.2
    Additional facts will be discussed where relevant to the DOC’s points on appeal.
    ANALYSIS
    In Point I, the DOC contends the circuit court erred in failing to reduce the
    punitive damages award by applying a credit pursuant to Section 510.263.43 for
    punitive damages awarded in a prior case, Hesse v. Missouri Department of
    Corrections, Jackson County Circuit Court Case No. 1416-CV07836.
    The determination of whether the DOC is entitled to a credit under Section
    510.263.4 presents a mixed question of fact and law, as the circuit court was
    required to assess the facts to determine whether the statutory credit applied.
    When reviewing mixed questions of fact and law, we defer to the circuit court in
    its assessment of the facts and then apply de novo review in determining how the
    law applies to those facts. Rhea v. Sapp, 
    463 S.W.3d 370
    , 375 (Mo. App. 2015).
    1
    Because the jury found in favor of the DOC on Dixson’s race discrimination and hostile work
    environment claims, we have not included the facts supporting those claims in this opinion.
    2
    While this case was pending, Dixson filed a motion to strike portions of the DOC’s appendix and
    Points I, III, and IV of the DOC’s brief. We deny this motion.
    3
    All statutory references to Section 510.263.4 are to the Revised Statutes of Missouri 2016.
    5
    Section 510.263.4 allows a defendant to request a credit against a punitive
    damages award for amounts previously paid for punitive damages arising out of the
    same conduct. The statute states, in pertinent part:
    Within the time for filing a motion for new trial, a defendant
    may file a post-trial motion requesting the amount awarded by the jury
    as punitive damages be credited by the court with amounts previously
    paid by the defendant for punitive damages arising out of the same
    conduct on which the imposition of punitive damages is based. At
    any hearing, the burden on all issues relating to such a credit shall be
    on the defendant and either party may introduce relevant evidence on
    such motion. Such a motion shall be determined by the trial court
    within the time and according to procedures applicable to motions for
    new trial. If the trial court sustains such a motion the trial court shall
    credit the jury award of punitive damages by the amount found by the
    trial court to have been previously paid by the defendant arising out of
    the same conduct and enter judgment accordingly. If the defendant
    fails to establish entitlement to a credit under the provisions of this
    section, or the trial court finds from the evidence that the defendant's
    conduct out of which the prior punitive damages award arose was not
    the same conduct on which the imposition of punitive damages is
    based in the pending action, or the trial court finds the defendant
    unreasonably continued the conduct after acquiring actual knowledge
    of the dangerous nature of such conduct, the trial court shall disallow
    such credit[.]
    § 510.263.4. After the defendant files a motion requesting credit, the court may,
    but is not required to, hold a hearing. 
    Id. The defendant
    has the burden to
    establish that it is entitled to a credit. 
    Id. In its
    post-trial motion, the DOC requested that the court credit the $1.2
    million punitive damages award in this case with $1 million in punitive damages
    that were awarded in January 2016 to Debra Hesse on her sexual harassment and
    6
    retaliation claims against the DOC. The DOC argued that Dixson “relied heavily” on
    the similarities between the Hesse verdict and this case to support his claims and
    that Hesse’s claims “arose out of the same course of conduct” as the conduct
    alleged in this case. The circuit court denied the DOC’s motion without granting a
    hearing.
    On appeal, the DOC asserts that it is entitled to a credit under Section
    510.263.4 because the punitive damages award in Hesse involved the same course
    of conduct, the same facility, and the same count of retaliation as in this case.
    The DOC argues that, throughout the trial in this case, Dixson was allowed to
    present evidence concerning the Hesse verdict and its aftermath; therefore, the
    punitive damages award in this case must have been based upon the same conduct
    upon which the punitive damages award in the Hesse case was based. We
    disagree.
    While the imposition of punitive damages in this case appears to have been
    based, in part, upon the same type of conduct committed at the same DOC facility
    as in the Hesse case, the punitive damages award in this case was not based on
    the same conduct on which the imposition of punitive damages was based in the
    Hesse case.4 The punitive damages award in this case was not based upon the
    sexual harassment and retaliatory conduct directed at Debra Hesse; instead, it was
    4
    See, e.g., Barnett v. La Societe Anonyme Turbomeca France, 
    963 S.W.2d 639
    , 667-68 (Mo. App.
    1997), overruled on other grounds by Badahman v. Catering St. Louis, 
    395 S.W.3d 29
    (Mo. banc
    2013) (discussing the application of Section 510.263.4 where plaintiffs in multiple lawsuits were
    awarded punitive damages against a helicopter manufacturer for a single helicopter crash).
    7
    based upon different conduct – the retaliatory conduct directed at Dixson. While
    the court did allow testimony concerning the Hesse verdict and its aftermath, the
    court limited such testimony to that which showed what remedial changes, if any,
    the DOC made in the way that it handled complaints after the Hesse verdict. The
    DOC’s knowledge of the Hesse verdict and the DOC’s handling of complaints after
    that verdict was relevant to the determination of whether the DOC acted with
    reckless indifference in the way it treated Dixson. See Diaz v. Autozoners, LLC,
    
    484 S.W.3d 64
    , 88-89 (Mo. App. 2015) (finding that an employer’s knowledge of
    abusive conduct and repeated failure to take effective action to stop the conduct
    evidenced reckless indifference). Hence, the punitive damages award in this case
    did not punish the DOC a second time for its misconduct toward Hesse but, rather,
    punished the DOC for its misconduct toward Dixson, which the jury could have
    reasonably found to be recklessly indifferent in light of the Hesse verdict. Because
    the punitive damages award in this case was not based upon the same conduct for
    which the punitive damages award was imposed in the Hesse case, the circuit
    court did not err in denying the DOC’s motion for a credit. Point I is denied.
    In Point II, the DOC contends the circuit court erred in failing to cap the
    punitive damages award. The DOC argues that, prior to the entry of judgment, the
    Missouri legislature amended the MHRA to cap the total actual and punitive
    damages allowable in MHRA actions. The DOC asserts that the damages cap is a
    procedural change and, therefore, is retroactively applicable to cap the total
    damages award in this case at $500,000.
    8
    Dixson filed his petition for damages in August 2016, asserting claims based
    upon conduct that he alleged occurred prior to that time. In 2017, while his
    petition was pending, the legislature passed Senate Bill 43 (“SB 43”), which
    amended the MHRA. Among other things, the amendments changed the standard
    to be used in assessing claims of discrimination under the MHRA5 and set a cap on
    the total amount of actual and punitive damages to be awarded. SB 43’s damages
    cap is codified in Section 213.111.4,6 which provides:
    4. The sum of the amount of actual damages, including
    damages for future pecuniary losses, emotional pain, suffering,
    inconvenience, mental anguish, loss of enjoyment of life, and other
    nonpecuniary losses, and punitive damages awarded under this
    section shall not exceed for each complaining party:
    (1) Actual back pay and interest on back pay; and
    (2)(a) In the case of a respondent who has more than five and
    fewer than one hundred one employees in each of twenty or more
    calendar weeks in the current or preceding calendar year, fifty
    thousand dollars;
    (b) In the case of a respondent who has more than one hundred
    and fewer than two hundred one employees in each of twenty or more
    calendar weeks in the current or preceding calendar year, one hundred
    thousand dollars;
    (c) In the case of a respondent who has more than two hundred
    and fewer than five hundred one employees in each of twenty or more
    5
    The amendments changed the standard for determining whether a practice is unlawful from
    whether the protected classification is a contributing factor in the decision to discriminate to
    whether the protected classification is the motivating factor. See Bram v. AT&T Mobility Servs.,
    LLC, 
    564 S.W.3d 787
    , 794-95 (Mo. App. 2018) (citing § 213.010(2), RSMo Supp. 2017).
    6
    All references to Section 213.111 are to the Revised Statutes of Missouri 2016, as updated by
    the 2017 Supplement.
    9
    calendar weeks in the current or preceding calendar year, two hundred
    thousand dollars; or
    (d) In the case of a respondent who has more than five hundred
    employees in each of twenty or more calendar weeks in the current or
    preceding calendar year, five hundred thousand dollars.
    The amendments to the MHRA, including Section 213.111.4’s new statutory cap
    on damages, went into effect on August 28, 2017.
    Prior to the December 2017 trial on Dixson’s petition, the DOC filed a motion
    in limine requesting that the court apply all of the new statutory amendments to
    this case. The court made a preliminary ruling that, while the changes to the
    standard used to assess discrimination claims were substantive and could not be
    retroactively applied,7 the new damages cap was procedural and, therefore, could
    be retroactively applied to Dixson’s case. In its motion for new trial, the DOC
    renewed its request that Section 213.111.4’s damages cap be applied to cap
    Dixson’s total actual and punitive damages. The court denied the DOC’s request.
    Statutory amendments are presumed to operate prospectively. 
    Bram, 564 S.W.3d at 795
    . There are two exceptions to this presumption: “(1) if the
    legislature clearly expresses an intent that the amendment be given retroactive
    application, either in the express language of the act or by necessary implication; or
    (2) the statute is merely procedural or remedial, rather than substantive.” 
    Id. Here, the
    legislature did not clearly express an intent to give SB 43’s amendments to the
    7
    Since that time, we ruled in 
    Bram, 564 S.W.3d at 795
    , that SB 43’s amendments to the standard
    applied in assessing MHRA claims were substantive and, consequently, applied only prospectively.
    10
    MHRA retroactive application either in the express language of the act or by
    necessary implication. The DOC and Laclede Gas Company, as amicus curiae,
    argue that exception (2) applies because the cap on damages is merely procedural
    or remedial.
    To support this argument, the DOC and its amicus rely on Vaughan v. Taft
    Broadcasting Co., 
    708 S.W.2d 656
    (Mo. banc 1986). In Vaughan, the Supreme
    Court ruled that “punitive damages are remedial and that a plaintiff has no vested
    right to such damages prior to the entry of 
    judgment.” 708 S.W.2d at 660
    . The
    Court explained that punitive damages are not a matter of right, and “their award
    lies wholly within the discretion of the trier of fact.” 
    Id. Applying this
    rule, the
    Court held that an amended statute eliminating the plaintiff’s right to punitive
    damages, which became effective after the plaintiff’s cause of action accrued but
    before the entry of judgment, could be applied to eliminate the plaintiff’s punitive
    damages award. 
    Id. Thus, based
    on Vaughan, a cap on punitive damages is
    remedial and can be retroactively applied to actions that accrued before its
    effective date.
    As Dixson notes, however, SB 43 does not simply cap punitive damages. It
    caps the total amount of punitive and actual damages. § 213.111.4. The
    Supreme Court addressed the retroactivity of caps on actual damages in Klotz v.
    St. Anthony’s Medical Center, 
    311 S.W.3d 752
    (Mo. banc 2010). In Klotz, the
    Court ruled that “the legislature cannot change the substantive law for a category
    of damages after a cause of action has 
    accrued.” 311 S.W.3d at 760
    . Applying
    11
    this rule, the Court held that an amended statute that placed a cap on non-
    economic damages in a medical malpractice case could not be retroactively applied
    to a cause of action that accrued prior to the amended statute’s effective date
    because the amended statute would be unconstitutional as applied. 
    Id. Thus, under
    Klotz, a cap on actual damages is substantive and cannot be retroactively
    applied to actions that accrued before its effective date. Because the damages cap
    in Section 213.111.4 has the effect of limiting the total damages that a plaintiff
    may recover, including compensatory damages, under Klotz, the cap on the total
    amount of actual and punitive damages must be interpreted to apply only
    prospectively to actions that accrued on or after its effective date of August 28,
    2017.
    The DOC’s new-trial motion in the circuit court asked the court to apply the
    damages cap in Section 213.111.4 to reduce the total amount of actual and
    punitive damages Dixson was awarded. On appeal, the DOC takes a different tack
    and argues that the damages cap should be applied retroactively solely to the jury’s
    award of punitive damages. This is not the argument the DOC made in the circuit
    court, however, and “[w]e will not ‘convict a trial court of error on an issue that
    was not put before the trial court to decide.’” Loutzenhiser v. Best, 
    565 S.W.3d 723
    , 730 (Mo. App. 2018) (quoting Barner v. Mo. Gaming Comm'n, 
    48 S.W.3d 46
    , 50 (Mo. App. 2001)). In any event, the DOC’s argument on appeal asks this
    court to effectively rewrite Section 213.111.4, to create a separate cap on punitive
    damages, where none was enacted by the legislature. The DOC’s argument is akin
    12
    to an argument that we should sever a portion of Section 213.111.4 that cannot
    constitutionally be applied retroactively (the cap on compensatory damages), from
    the limitation on punitive damages. The legislature did not enact separate caps on
    actual and punitive damages, however – it enacted a single, aggregate cap on the
    total damages a plaintiff could recover. “Severance does not authorize – and
    cannot justify – an intrusion by this Court into the legislative prerogative” by
    rewriting a statute to do something different than what the legislature enacted.
    State v. Hart, 
    404 S.W.3d 232
    , 245 (Mo. banc 2013).
    Our interpretation is supported by the Supreme Court’s adoption of new
    Missouri Approved Jury Instructions for MHRA claims pursuant to SB 43’s
    amendments. In May 2018, the Supreme Court adopted new MAIs that concerned
    both the new standard to be applied in assessing MHRA claims and the new
    damages cap. See 
    Bram, 564 S.W.3d at 795
    ; Gilberg v. Assoc. Wholesale
    Grocers, Inc., No. 6:15-CV-03365-MDH, 
    2018 WL 3614982
    , at *9 (W.D. Mo.
    July 27, 2018). Specifically, the Court approved instructions regarding the
    standard to be applied “for actions accruing before August 28, 2017,” and the
    standard to be applied “for actions accruing on or after August 28, 2017.” With
    regard to damages, the Court approved MAI 38.09, which states:
    If you find in favor of plaintiff, then you must award plaintiff such sum
    as you believe will fairly and justly compensate plaintiff for any actual
    damages including back pay, other past [and future] economic losses,
    and any past [and future] emotional pain, suffering, inconvenience,
    mental anguish, loss of enjoyment of life and other non-economic
    losses as a direct result of the occurrence mentioned in the evidence.
    13
    Additionally, the Court approved a new verdict form, MAI 38.10, which requires
    the jury to separately list the dollar amount of damages it awards for each category
    of actual damages, including back pay, past economic losses not including back
    pay, future economic losses, and non-economic losses. Both MAI 38.09 and MAI
    38.10 are necessary to apply the damages cap set forth in Section 213.111.4, as
    the statute requires the court to determine the sum of the amount of all of the
    separate categories of actual damages plus punitive damages, and adjust that
    amount to ensure that it does not exceed actual back pay and interest on that back
    pay plus an additional amount of damages dependent upon the size of the
    company. The Court specifically stated that these new instructions apply to
    “actions accruing on or after August 28, 2017.” MAI 38.09; MAI 38.10.
    Moreover, the Committee Comments and Notes on Use to MAI 38.09 and MAI
    38.10 direct practitioners to older damages and verdict forms to use “[f]or MHRA
    actions accruing before August 28, 2017.” MAI 38.09, Committee Comment G;
    MAI 38.10, Notes on Use 6.
    Retroactively applying Section 213.111.4’s cap on the total amount of
    actual and punitive damages to Dixson’s action, which accrued several years
    before Section 213.111.4’s August 28, 2017 effective date, would be
    unconstitutional. This interpretation is supported by the Supreme Court’s
    enactment of new MAI instructions on damages and a verdict form that the Court
    specifically stated are for “actions accruing on or after August 28, 2017.”
    14
    Therefore, the circuit court did not err in denying the DOC’s request to apply
    Section 213.111.4’s damages cap to this case. Point II is denied.
    In Point III, the DOC contends the circuit court erred in denying its motion for
    new trial because it was prejudiced by a biased juror who was a teacher at
    Dixson’s son’s school. Specifically, the DOC asserts that the juror indicated a
    reluctance to serve as foreperson in case the verdict was not reached in favor of
    Dixson, which the DOC argues showed that she was reluctant to find against
    Dixson.
    After trial, the DOC filed a pleading titled, “Motion to Address Juror Bias.”
    In this motion, the DOC alleged that, following the verdict, its counsel spoke to the
    jury foreperson, A.F. A.F. told the DOC’s counsel that one of the other jurors,
    K.K., who taught in the school district where Dixson lived, had said that she did
    not want to be foreperson because she did not want to suffer repercussions from
    Dixson if the verdict were unfavorable to him. The court held an evidentiary
    hearing on the motion, during which both A.F. and K.K. testified. Following the
    hearing, the court denied the DOC’s request for a new trial.
    Generally, “a juror’s testimony about jury misconduct allegedly affecting
    deliberations may not be used to impeach the jury’s verdict.” Fleshner v. Pepose
    Vision Inst., P.C., 
    304 S.W.3d 81
    , 87 (Mo. banc 2010). There are two narrow
    exceptions to this rule. 
    Id. at 88.
    First, the court may consider juror testimony
    about juror misconduct that occurred outside of the jury room, such as the
    gathering of extrinsic evidence. 
    Id. Second, the
    court may consider juror
    15
    testimony when “a juror makes statements evincing ethnic or religious bias or
    prejudice during deliberations.” 
    Id. at 89.
    Neither exception applies in this case. Thus, even though the court held an
    evidentiary hearing on the DOC’s motion, it did not need to do so. K.K.’s alleged
    statements, which she denied making, did not constitute statements evincing
    ethnic or religious bias or prejudice during deliberations; consequently, those
    statements could not be used to impeach the jury’s verdict. The circuit court did
    not err in denying the DOC’s motion for new trial on the basis of juror bias. Point
    III is denied.8
    In Point IV, the DOC contends the circuit court erred in allowing significant
    portions of an investigative report to be read into evidence. The DOC argues that
    the report was inadmissible because the portions read consisted of hearsay and
    conclusions.
    We review the circuit court’s ruling on the admission of evidence for an
    abuse of discretion. Curl v. BNSF Ry. Co., 
    526 S.W.3d 215
    , 225 (Mo. App.
    2017). Prior to trial, the DOC filed a motion in limine in which it argued that the
    court should exclude any testimony regarding “allegedly discriminatory statements,
    actions, or conduct by past or present employees or supervisors at MDOC who had
    no working relationship with Richard Dixson and/or no participation in the
    8
    Both parties analyzed Point III as an issue of juror nondisclosure, with the DOC arguing that K.K.
    intentionally failed to disclose that she was a teacher at Dixson’s son’s school. There was no
    nondisclosure, however, as no question was asked during voir dire that triggered K.K.’s duty to
    provide such information. See Johnson v. McCullough, 
    306 S.W.3d 551
    , 555 (Mo. banc 2010).
    16
    employment actions at issue.” The DOC also sought to exclude “testimony
    regarding other litigation, claims, or allegations or unrelated discrimination or bad
    acts against MDOC or its employees.”
    During a hearing on the DOC’s motion in limine, the DOC argued that it was
    specifically seeking to exclude evidence of the Malloy report because it contained
    evidence of other claims of discrimination by parties not involved in the case. The
    Malloy report was written by Ann Malloy, who was in independent investigator
    hired by the DOC after the Hesse verdict in January 2016. Malloy was tasked with
    investigating the “working conditions and discriminatory conditions of . . . several
    of the women” at KCRC. Dixson’s counsel argued the Malloy report was relevant
    because it showed the hostile working environment and retaliatory conduct of the
    DOC. He asserted that several of the DOC employee witnesses who were going to
    testify in Dixson’s case saw the report and “took some actions to try and address
    some of the issues that [it] found.” He informed the court that he planned to offer
    the report through one of those witnesses as an admission of a party opponent
    because it was “a report of working conditions that their own investigator found.”
    The court found that, because none of the witnesses was the author of the
    report but had merely received the report, there was not a sufficient foundation
    upon which to admit it. The court further found that “reports like that don’t come
    into evidence because they’re hearsay.” The court informed the parties that the
    report could be used to refresh a witness’s recollection that an investigation
    17
    occurred and to talk about whether the witness was put on notice that there were
    issues of retaliation, but the report could not be admitted into evidence.
    On appeal, the DOC argues that, despite the circuit court’s ruling on the
    motion in limine, the court allowed Dixson to read “significant portions” of the
    Malloy report into evidence during the testimony of Matt Briesacher, who was the
    Director of the Office of Professional Standards for the DOC and was in charge of
    investigations into discrimination. Before addressing the merits of the DOC’s
    argument, we note that the DOC cites several questions to Briesacher about the
    report that it claims were objectionable, but it either did not object to those
    questions or did not object on the same basis that it now asserts on appeal, which
    is that the report contained hearsay and conclusions. “[F]ailing to object to
    improper questions also fails to preserve anything for appeal.” St. Louis Cty. v.
    River Bend Estates Homeowners’ Ass’n, 
    408 S.W.3d 116
    , 125 n.6 (Mo. banc
    2013). The DOC does not ask us for plain error review of those questions. “Plain
    error review is rarely granted in civil cases.” 
    Id. We find
    no circumstance
    warranting plain error review in this case. See 
    id. Therefore, we
    will review only
    the question cited in the DOC’s brief to which an objection on the basis of hearsay
    was made.
    The one question to Briesacher about the Malloy report to which the DOC
    objected on the basis of hearsay occurred when Dixson was asking him about a
    section in the Malloy report regarding “the atmosphere of retaliation” surrounding
    three individuals who were accused of misconduct at KCRC. When Dixson asked
    18
    Briesacher if those three individuals were unhappy about being moved to a different
    shift, Briesacher said he never talked to the three individuals. Dixson then asked
    Briesacher, “Do you remember from the report that that’s what Miss Malloy found,
    that the three individuals got moved to a different shift and they were mad about
    it, and they were looking to retaliate?” Briesacher said he did not remember.
    Dixson asked, “You don’t remember?” Briesacher replied, “I don’t remember that
    part.” When Dixson attempted to use the report to refresh Briesacher’s memory,
    the DOC objected on the basis that questions about Malloy’s findings were
    improper hearsay. In response, Dixson argued that he was attempting to “show
    the things that [Briesacher] was put on notice about, and what did he do to
    respond.” He further argued that “the evidence is coming in as notice and reaction
    to it, or response to the safety of the employees. I don’t think that’s improper at
    all.” The court overruled the DOC’s objection, stating, “I think especially when a
    person in the position such as his has access to a report and we have allegations of
    a hostile work environment that it’s appropriate for him to go through it . . . [a]nd
    address whether or not he acted on any of the conclusions or claims.”
    Evidence that, because of the Malloy report, Briesacher was aware of
    retaliatory conduct by KCRC employees following complaints of discrimination was
    relevant to establishing the DOC’s notice of such conduct. The DOC recognized
    this during a bench conference earlier in the trial when it informed the court that,
    with regard to the admissibility of the Malloy report, “to the extent that there’s
    alleged acts of discrimination that they were on notice for, I don’t have an
    19
    objection to that. But the actual details on the sexual harassment and . . . the
    details of what the allegations were is improper.” The question to which the DOC
    objected did not get into the actual details about sexual harassment discussed in
    the report. Therefore, the circuit court did not abuse its discretion in allowing the
    question. Point IV is denied.
    In Point V, the DOC contends the circuit court erred in allowing four “me
    too” witnesses to testify. The DOC argues that their testimonies were irrelevant
    and more prejudicial than probative because Dixson failed to show that he had
    experienced treatment similar to the treatment they had experienced.
    We review the admission of this evidence for an abuse of discretion. Cox v.
    Kansas City Chiefs Football Club, Inc., 
    473 S.W.3d 107
    , 114 (Mo. banc 2015).
    “As with other forms of evidence, circumstantial evidence of employment
    discrimination must be both logically and legally relevant to be admissible.” 
    Id. at 116.
    “Evidence is logically relevant if it tends to make the existence of any
    consequential fact more or less probable, ‘or if it tends to corroborate evidence
    which itself is relevant and bears on the principal issue of the case.’” Hesse v. Mo.
    Dep’t of Corr., 
    530 S.W.3d 1
    , 5 (Mo. App. 2017) (quoting 
    Cox, 473 S.W.3d at 116
    ). Evidence is legally relevant where its probative value outweighs its
    prejudicial effect. 
    Id. Prior to
    trial, the DOC filed a motion in limine to exclude “me too” testimony
    from Beatrice Young, Gena Ross, Jennifer LaFleur, and Leesa Wiseman on the basis
    that it would be irrelevant and prejudicial because the witnesses and Dixson were
    20
    not similarly situated. During a hearing on the DOC’s motion, Dixson’s counsel
    went through each of the four witnesses and discussed the aspects of similarity
    between their situations and Dixson’s. The court found that each of the four
    witnesses were employed at KCRC during the same time as Dixson, under the
    same management, and, like Dixson, faced retaliation after filing discrimination
    claims. The court concluded that such evidence was “very compelling” and “very
    similar to [Dixson’s] circumstances and his theory of the case.” While the court
    acknowledged their testimonies would be prejudicial to the DOC, “those are the
    circumstances.” Therefore, the court denied the DOC’s motion in limine to exclude
    the four witnesses’ testimonies. During the trial, the court overruled the DOC’s
    objections to these witnesses’ “me too” testimonies.
    In determining the admissibility of “me too” evidence, “[t]here is no one set
    of agreed-upon factors, and no one factor is dispositive.” 
    Cox, 473 S.W.3d at 122
    . Instead, “‘courts look to and weigh aspects of similarity [between party and
    non-party employees] given the facts, context, and theory of the specific case at
    issue.” 
    Hesse, 530 S.W.3d at 5
    (quoting 
    Cox, 473 S.W.3d at 123
    ).
    In this case, Dixson and the four “me too” witnesses worked for KCRC at
    the same time, and they all shared the same or a very similar chain of command.
    Dixson alleged that the DOC engaged in race discrimination, created a hostile work
    environment, and retaliated against him for filing complaints. All four of the “me
    too” witnesses testified that they filed complaints of discrimination and that, after
    doing so, they, too, suffered retaliation. Dixson further alleged that the DOC knew
    21
    about the discrimination and harassment but failed to remedy it and maintained
    inadequate and ineffective written and unwritten policies, procedures, or guidelines
    with respect to discrimination and retaliation. Like Dixson, Young, Ross, and
    LaFleur testified that, after they complained about discrimination, harassment, or a
    hostile work environment, the DOC did nothing in response to their complaints.
    While the DOC argues that the testimonies of the four “me too” witnesses
    should have been excluded because the “me too” witnesses were female, some
    were African-American, and the ways in which they were discriminated and
    retaliated against were different in some respects from Dixson’s experiences, we
    find “those differences were less relevant than their commonalities.” 
    Hesse, 530 S.W.3d at 5
    . Although “not similarly situated in all respects,” their “shared
    characteristics made their ‘me too’ evidence relevant and admissible.” 
    Id. Moreover, the
    DOC has not established that the prejudicial effect of the “me too”
    evidence outweighed its probative value. The circuit court did not abuse its
    discretion in admitting the testimonies of the four “me too” witnesses. Point V is
    denied.
    Dixson filed a motion for costs and attorneys’ fees on appeal pursuant to
    Section 213.111.2. Section 213.111.2 authorizes a court to award “court costs
    and reasonable attorney fees to the prevailing party.”
    A prevailing party is one that succeeds on any significant issue in the
    litigation which achieved some of the benefit the parties sought in
    bringing suit. Where a plaintiff has prevailed in an action under the
    MHRA, the court should award attorneys’ fees unless special
    22
    circumstances would render such an award unjust. This includes fees
    incurred on appeal from the trial court’s judgment.
    Mignone v. Mo. Dep’t of Corr., 
    546 S.W.3d 23
    , 45 (Mo. App. 2018) (citation
    omitted).
    Because we are affirming the judgment in Dixson’s favor, Dixson is the
    prevailing party and “is entitled to an award of [his] attorney’s fee on appeal” and
    costs. 
    Id. While we
    “‘have authority to allow and fix the amount of attorney’s
    fees on appeal, we exercise this power with caution, believing in most cases that
    the trial court is better equipped to hear evidence and argument on this issue and
    determine the reasonableness of the fee requested.’” 
    Id. at 45-46
    (citation
    omitted). Therefore, we remand the case to the circuit court for the purpose of
    conducting a hearing to determine the reasonableness of the costs and attorneys’
    fees requested and to enter an appropriate award.
    CONCLUSION
    The judgment is affirmed. The case is remanded to the circuit court to
    determine and award Dixson his costs and reasonable attorneys’ fees incurred in
    this appeal. Dixson’s motion to strike portions of the DOC’s appendix and Points I,
    III, and IV of the DOC’s brief is denied.
    _____________________________
    LISA WHITE HARDWICK, JUDGE
    ALL CONCUR.
    23
    

Document Info

Docket Number: WD81804

Judges: Lisa White Hardwick, Judge

Filed Date: 7/23/2019

Precedential Status: Precedential

Modified Date: 8/20/2019