Bulwer v. Mount Auburn Hospital , 473 Mass. 672 ( 2016 )


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    SJC-11875
    BERNARD E. BULWER    vs.   MOUNT AUBURN HOSPITAL & others.1
    Middlesex.    November 3, 2015. - February 29, 2016.
    Present:    Gants, C.J., Spina, Cordy, Botsford, Duffly, & Lenk,
    JJ.
    Hospital, Appointment to staff. Anti-Discrimination Law, Race,
    Employment. Employment, Discrimination. Contract,
    Employment, With hospital, Performance and breach.
    Practice, Civil, Summary judgment.
    Civil action commenced in the Superior Court Department on
    February 22, 2008.
    The case was heard by S. Jane Haggerty, J., on a motion for
    summary judgment.
    After review by the Appeals Court, the Supreme Judicial
    Court granted leave to obtain further appellate review.
    Robert R. Hamel, Jr. (Megan E. Kures with him) for the
    defendants.
    Denzil D. McKenzie (James E. Clancy, IV, with him) for the
    plaintiff.
    James A.W. Shaw, for Massachusetts Employment Lawyers
    Association, amicus curiae, submitted a brief.
    1
    Eric Flint, Ricardo Wellisch, and Lori Balestrero.
    2
    LENK, J.   Massachusetts law prohibits employers from
    discriminating against their employees on the basis of, among
    other things, race or national origin.   See G. L. c. 151B, § 4.
    Because direct proof of such discrimination is rarely available,
    employees filing claims under G. L. c. 151B, § 4, are permitted
    to prove discrimination without direct evidence of
    discriminatory intent, by relying on evidence that their
    employers gave a "false reason,"2 or pretext, for terminating
    their employment.   In this case, we address whether the
    plaintiff has produced sufficient evidence of pretext to survive
    his former employer's motion for summary judgment.    In doing so,
    we clarify the evidentiary burdens each party faces after one
    party has moved for summary judgment.    We address, in
    particular, three concerns:   whether the evidence on which an
    employee relies to survive a defendant's motion for summary
    judgment need show not only that the defendant's stated reason
    was false, but also that it concealed a discriminatory purpose;
    whether it is the plaintiff's burden to persuade the motion
    judge based on that evidence that there is an issue of material
    fact appropriate for trial; and, finally, whether, in discerning
    2
    A "false reason" is one that is not the real reason for
    terminating an individual's employment, regardless whether the
    false reason is factually accurate. See Lipchitz v. Raytheon
    Co., 
    434 Mass. 493
    , 502 (2001) (Lipchitz); Wheelock College v.
    Massachusetts Comm'n Against Discrimination, 
    371 Mass. 130
    , 139
    (1976).
    3
    the existence of an issue of material fact, the motion judge may
    weigh or otherwise evaluate the evidence.
    The plaintiff, Bernard E. Bulwer, is a black male of
    African descent who is originally from the Central American
    country of Belize.   The plaintiff has a medical degree from the
    University of the West Indies, and practiced medicine outside
    the United States until 2002, when he came to this country.    In
    order to become certified to practice medicine in the United
    States, he was required to complete a residency program here.
    During the first year of his residency at the defendant Mount
    Auburn Hospital (hospital), the plaintiff received diametrically
    opposing reviews from supervising physicians, some laudatory and
    others deeply critical, after which the hospital terminated his
    employment.   The plaintiff filed a ten-count complaint in the
    Superior Court against the hospital and three physicians who
    supervised his work, asserting, among other things, employment
    discrimination under G. L. c. 151B, § 4, and breach of contract.3
    Concluding that the plaintiff had not produced sufficient
    evidence of the defendants' discriminatory intent, a Superior
    Court judge allowed the defendants' motion for summary judgment
    3
    The plaintiff also alleged retaliation in violation of
    G. L. c. 151B, § 4; breach of a health insurance obligation in
    violation of G. L. c. 175, § 110D; defamation; intentional
    infliction of emotional distress; negligent infliction of
    emotional distress; and three counts of tortious interference
    with a contractual relationship.
    4
    on all claims.   The plaintiff appealed, and a divided Appeals
    Court reversed the judgment as to the discrimination and breach
    of contract claims, while affirming the decision on all of the
    other claims.    We allowed the defendants' application for
    further appellate review, limited to the claims for
    discrimination under G. L. c. 151B, § 4, and breach of contract.
    We conclude that the defendants were not entitled to summary
    judgment and that the plaintiff has presented evidence
    sufficient to allow a jury to hear his claims.
    1.   Background.    We summarize facts drawn from the summary
    judgment record, reserving certain details for later discussion.
    See LeBlanc v. Logan Hilton Joint Venture, 
    463 Mass. 316
    , 318
    (2012) (LeBlanc).   The plaintiff, in addition to his medical
    degree, has postgraduate training in a number of fields,
    including cardiovascular disease.    He practiced medicine in
    Trinidad, Belize, and the United Kingdom from 1989 through 2002.
    In 2002, the plaintiff came to the United States as a research
    associate and fellow in a subresidency cardiology program at
    another hospital in Boston, where he worked until 2005.
    In the spring of 2005, hoping to obtain a medical license
    to practice in the United States, the plaintiff contacted the
    defendant Dr. Eric Flint, director of the internal medicine
    residency program at the hospital.    In June, 2005, after an
    interview with Flint, the plaintiff was offered a residency at
    5
    the hospital.   Because of delays in the processing of his visa,
    he began his residency in September, 2005, two months later than
    the other residents in his cohort.
    In August, 2005, the plaintiff signed the hospital's
    standard medical resident agreement (agreement), setting forth
    the terms and conditions of his employment.   The agreement was
    for a one-year term, renewable for an additional two years upon
    satisfactory completion of the first-year program.
    The agreement stated that the hospital and its residency
    program would comply with the requirements promulgated by the
    national Accreditation Council for Graduate Medical Education
    (ACGME).   ACGME requires, among other things, that member
    programs not discriminate against residents on grounds including
    race and national origin.   It also requires that programs
    provide residents with written procedures that must be followed
    in the event a program seeks "academic or other disciplinary
    action" against a resident.
    The hospital's written procedures state that, should a
    resident's supervisors decide to terminate a resident's
    employment, a resident has the right to convene an ad hoc
    committee4 consisting of the heads of various departments, the
    resident at issue, and another resident to be chosen by mutual
    4
    The hospital's rules refer to this committee variously as
    the "ad hoc committee," the "due process committee," and the "ad
    hoc due process committee."
    6
    agreement.   Such a committee would then be empowered to conduct
    an independent review of the employment decisions made by the
    resident's supervisors.   The procedures provide further that
    "[t]he resident is assured of the fundamental aspects of a
    fair hearing including written statement of the specific
    issues from the Department Chair, at least [five] days
    notice of the Due Process Committee meeting, the
    opportunity to be present and to rebut the evidence, and
    the opportunity to present any other information.
    ". . .
    "All matters upon which any decision is based must be
    introduced into evidence at the proceeding before the Ad
    Hoc Due Process Committee in the presence of the resident."
    Residents may then appeal the committee's decision to the
    "President of the Medical Staff."
    After signing the agreement, the plaintiff began his
    residency in September, 2005.   The first-year program consisted
    of twelve one-month rotations in a number of different
    "services" throughout the hospital.   The plaintiff's performance
    was to be evaluated by attending physicians and resident
    supervisors in each of the services where he worked.   The
    evaluating physicians were to fill out evaluation forms, which
    called for numerical ratings of various aspects of the
    plaintiff's performance, as well as for written comments.    These
    evaluations in turn would be given to the clinical competence
    committee (CCC), a panel of thirteen physicians who met
    regularly to discuss the progress of all of the residents.      The
    7
    plaintiff was also assigned a mentor, the defendant Dr. Lori
    Balestrero.
    The plaintiff's first rotation in September was in the
    hospital's emergency department.    The plaintiff received
    strongly positive evaluations in that department.    Two
    physicians rated him as "outstanding," and five others rated him
    "above average."   They described him as knowledgeable, mature,
    and pleasant to work with.    Dr. Gary Setnik, head of the
    emergency department, provided a more lengthy written
    evaluation:
    "Dr. Bulwer is universally held in high regard by the staff
    I polled and by myself.   He has been totally reliable, coming in
    early, and staying late on most shifts.    He aggressively works
    to see as many patients as possible.    His presentations are
    complete, his management plans appropriate, and his procedural
    skills very good."
    The next month, the plaintiff rotated into the medical
    intensive care unit (MICU).    There, he received mixed
    evaluations.   In an October, 2005, electronic mail message to a
    colleague, Dr. Soon-Il Song wrote positively that
    "[the plaintiff] had procedural skills and knowledge base
    well above someone at an intern level. He also was
    pleasant to work with. He had a good sense of his own
    limitations, and asked questions often in order to clarify
    issues. I think his ability to gather information in
    history taking was quite good and thorough. Above all, he
    maintained composure and a good attitude, despite the fact
    8
    that we had an especially difficult night of no sleep and
    challenging patients requiring multiple attending input in
    the middle of the night."
    Other physicians, however, viewed the plaintiff's performance
    negatively.   One wrote that the plaintiff "[m]ade drastic and
    potentially dangerous/life threatening decisions about [patient]
    care [without] consulting [the] attending [physician]. . . . [He
    is] [t]oo confident for his own good and [the patient's] own
    good without showing any proof of capability to perform at the
    level of an intern or resident yet."   Another commented that the
    plaintiff was "eager to learn" but that "[h]e does not seem to
    be aware of his responsibilities as an intern despite being told
    them repeatedly."    In response, the plaintiff sent an electronic
    mail message to Flint stating that he did not believe these
    negative reviews were objective, and asking Flint to obtain
    evaluations from four named physicians with whom the plaintiff
    had seen patients.   Flint did not do so.
    Setnik reported that both he and other members of his
    department received harsh comments from members of the MICU
    staff for his positive evaluations of the plaintiff.   He
    described this as "[a]n experience that I hadn't previously had
    at Mount Auburn."
    In November, 2005, Balestrero, the plaintiff's mentor, met
    with the plaintiff to discuss the negative feedback.    The
    plaintiff told her that he thought the negative impressions were
    9
    inaccurate.   Balestrero then met with the CCC to discuss ways in
    which the plaintiff could improve.   Following this meeting,
    Balestrero presented the plaintiff with a plan for improvement
    that she had developed together with the CCC.   The plan included
    a provision for weekly meetings with Balestrero and a follow-up
    meeting, to be held after evaluations from the December rotation
    were received, with the plaintiff, Balestrero, and a CCC
    representative.   Neither the weekly meetings nor the follow-up
    meeting took place.5
    During November and December of 2005, the plaintiff was
    assigned a "wards" rotation in which he provided general
    internal medicine care for patients who had been admitted to the
    hospital.   The three evaluations from that rotation that appear
    in the record were positive, with one evaluator noting "much
    improvement," and another stating that the plaintiff was
    "[o]verall . . . pretty good."   The third evaluator assigned a
    passing grade, but stated that the plaintiff needed improvement
    in "practice-based learning," professionalism, and organization
    of notes charting patients' progress.
    In January, 2006, the plaintiff rotated into the cardiology
    department.   He received three evaluations of his work on that
    5
    The plaintiff states that these meetings did not occur
    because of Balestrero's schedule, while the defendants contend
    that it was the plaintiff's schedule that prevented the meetings
    from taking place.
    10
    service.   One rated him as failing in five of six competencies,
    but another gave him high marks in all competencies, and the
    third described his presentations as "very commendable" and his
    knowledge as "excellent."    In mid-January, 2006, the plaintiff
    met with Balestrero, who told him that he had received positive
    evaluations and that "the past [was] behind [him]."
    In February, 2006, the plaintiff rotated again into the
    wards service.   One evaluator there rated him positively, while
    the other, Dr. Erica Bial, wrote a lengthy and negative
    evaluation in which she described her experience with the
    plaintiff as "horrendous."   She stated that "[t]here is no
    aspect of the central competencies in which [the plaintiff] is
    even modestly competent."    She described him as "less-than-
    fully-honest" and as having "a difficult time being appropriate
    with . . . women in the professional environment," and
    recommended that the plaintiff be expelled from the residency
    program.   During this period, Bial "berated" the plaintiff
    publicly in a manner that a witness, Song, described as not
    "appropriate," and as unprecedented in his experience with Bial.
    Song also reported that Bial spoke negatively to other residents
    about the plaintiff, outside of the plaintiff's presence.
    In March, 2006, the CCC discussed the plaintiff's mixed
    evaluations.   On April 5, 2006, the CCC sent the plaintiff a
    letter stating that it would not renew his contract because of
    11
    concerns about his ability to analyze complex information, his
    inability to "build effective therapeutic relationships," and
    his difficulty presenting information to other members of his
    teams.   The letter stated also that the plaintiff could finish
    his first year of residency, working until the end of his
    contract term in August, 2006.    The letter was signed by Flint
    and by the defendant Dr. Ricardo Wellisch, chair of the CCC.
    The plaintiff invoked his right to convene an ad hoc
    committee pursuant to the hospital's "due process" policy.
    Although the committee consisted of most of the individuals
    specified in that written policy, no resident was seated on it,
    as required by the policy.   Further, of the committee's three
    meetings, the plaintiff was invited to attend only the first
    one, which took place on April 24, 2006.    At that first meeting,
    as well as at the second, on May 2, 2006, the committee heard
    testimony from physicians who had previously evaluated the
    plaintiff during his rotations.    The transcripts of these
    meetings do not reflect discussion of the possibility that the
    plaintiff's contract would be terminated immediately, and the
    plaintiff did not receive any notice to that effect.6   He
    requested that the committee forward to him any materials
    6
    The record does not contain a transcript of the third
    meeting on May 9, 2006, at which the committee apparently
    deliberated and reached a decision.
    12
    considered during the meetings he did not attend; those requests
    were not answered.
    On May 9, 2006, the committee sent a letter to Dr. Stephen
    Zinner, chair of the department of medicine, stating that it
    would affirm the decision of the CCC not to renew the
    plaintiff's contract.    On May 17, 2006, Zinner informed the
    plaintiff verbally that, because of "serious additional
    concerns" for "patient safety" that had arisen "in the past
    [three] weeks," the plaintiff would "be immediately relieved of
    his responsibilities."
    The plaintiff sent a letter dated May 18, 2006, to the
    president and chief executive officer of the hospital stating
    his desire to appeal, as provided in the due process policy,
    from the committee's decision not to renew his contract and to
    terminate his employment immediately.    The president responded
    with a certified letter, return receipt requested, saying that
    she would convene such a committee.    The plaintiff did not
    retrieve the letter from the postal service, which attempted
    delivery three times, and did not pursue the appeal.
    In August, 2006, the plaintiff filed a charge of
    discrimination against the hospital with the Massachusetts
    Commission Against Discrimination.    In February, 2008, the
    plaintiff filed his complaint in the Superior Court, naming the
    hospital, Balestrero, Flint, and Wellisch as defendants.       During
    13
    discovery, depositions were taken of various doctors who had
    worked with the plaintiff, including Dr. Ramona Dvorak, an
    African-American internist and psychiatrist formerly employed at
    the hospital, who described what she believed to have been
    incidents of racism she experienced during her employment.
    Following discovery, in December, 2010, the defendants sought
    summary judgment on all counts; in June, 2011, their motion was
    allowed.
    2.     Discussion.   The plaintiff contends that the motion
    judge erred in allowing the defendants' motion for summary
    judgment on his claim for employment discrimination on the basis
    of his race and national origin, in violation of G. L. c. 151B,
    § 4, and on his breach of contract claim based on his
    termination in violation of the procedures set forth in the
    medical resident agreement.      The plaintiff maintains that there
    were disputed issues of material fact as to both claims, and the
    matter should proceed to trial.
    a.     Standard of review.    A motion for summary judgment
    under Mass. R. Civ. P. 56 (c), as amended, 
    436 Mass. 1404
    (2002), is appropriate where "the moving party . . . 'show[s]
    that there is no genuine issue as to any material fact and that
    the moving party is entitled to a judgment as a matter of law'
    based on the undisputed facts."      Premier Capital, LLC v. KMZ,
    Inc., 
    464 Mass. 467
    , 474 (2013), quoting Mass. R. Civ.
    
    14 P. 56
     (c).   "In reviewing the . . . grant of a motion for
    summary judgment, we conduct a de novo examination of the
    evidence in the summary judgment record . . . and view the
    evidence in the light most favorable to the part[y] opposing
    summary judgment" (citation omitted)," LeBlanc, supra at 318,
    "drawing all reasonable inferences in [the nonmoving party's]
    favor."   Sullivan v. Liberty Mut. Ins. Co., 
    444 Mass. 34
    , 38
    (2005) (Sullivan).
    b.    Discrimination claim.   i.   Evidentiary burdens.
    General Laws c. 151B, § 4, provides that "[i]t shall be an
    unlawful practice . . . [f]or an employer . . . because of the
    race, color, . . . [or] national origin . . . of any
    individual . . . to discharge from employment such individual or
    to discriminate against such individual in compensation or in
    terms, conditions or privileges of employment."    In order to
    prevail at trial, an employee bringing a complaint under G. L.
    c. 151B, § 4, must demonstrate four things:    that he or she is a
    member of a protected class; that he or she was subject to an
    adverse employment action; that the employer bore
    "discriminatory animus" in taking that action; and that that
    animus was the reason for the action (causation).    See Lipchitz
    v. Raytheon Co., 
    434 Mass. 493
    , 502 (2001) (Lipchitz).    The
    question here is whether the plaintiff provided evidence from
    which a reasonable jury could infer the presence of the latter
    15
    two elements, i.e., that the defendants bore discriminatory
    animus and that the animus was the reason the defendants
    terminated the plaintiff's employment.
    In the pretrial context, an employee asserting a
    discrimination claim under G. L. c. 151B, § 4, may survive a
    motion for summary judgment by providing "[d]irect evidence of
    [the] elements" of discriminatory animus and causation.
    Sullivan, supra at 39.     Because such direct evidence "rarely
    exists," however, an employee plaintiff may also survive such a
    motion by providing "indirect or circumstantial evidence [of
    discriminatory animus and causation] using the familiar three-
    stage, burden-shifting paradigm first set out in McDonnell
    Douglas Corp. v. Green, 
    411 U.S. 792
    , 802–805 (1973) (McDonnell
    Douglas)."   Sullivan, supra at 39-40.
    "In the first stage [of this paradigm], the plaintiff has
    the burden to show . . . a prima facie case of discrimination."
    Blare v. Husky Injection Molding Sys. Boston, Inc., 
    419 Mass. 437
    , 441 (1995) (Blare).      To do so, a plaintiff must provide
    "evidence that:      (1) he [or she] is a member of a class
    protected by G. L. c. 151B; (2) he [or she] performed his [or
    her] job at an acceptable level; [and] (3) he [or she] was
    terminated."   
    Id.
        "In the second stage, the employer can rebut
    the presumption created by the prima facie case by articulating
    a legitimate, nondiscriminatory reason for its [employment]
    16
    decision."      
    Id.
       In the third stage, the burden of production7
    shifts back to the plaintiff employee, requiring the employee to
    provide evidence that "the employer's articulated justification
    [for the termination] is not true but a pretext."       Id. at 443.
    The defendants contend that, at this third stage, the
    plaintiff must present evidence that the "[hospital]'s reason
    for termination constituted a pretext concealing a
    discriminatory purpose" (emphasis supplied).       Bulwer v. Mount
    Auburn Hosp., 
    86 Mass. App. Ct. 316
    , 347 (2014) (Sikora, J.,
    dissenting) (Bulwer).       See id. at 355 (Sikora, J., dissenting)
    (taking position that claim fails because plaintiff did not show
    "invidious intent").       This formulation, however, overstates the
    plaintiff's burden at the summary judgment stage because
    "Massachusetts is a pretext only jurisdiction."       Blare, supra at
    443.       See Abramian v. President & Fellows of Harvard College,
    
    432 Mass. 107
    , 114-115 (2000).       As we explained in Lipchitz,
    supra at 500-501:
    "The phrase 'pretext for discrimination' implies that
    the plaintiff must prove not only that a reason given by
    the employer for the adverse decision was false, but that
    the reason was given to cover a discriminatory animus. Our
    7
    The "burden of production" refers to "a party's obligation
    to come forward with evidence to support its claim." Director,
    Office of Workers' Compensation Programs, Dep't of Labor v.
    Greenwich Collieries, 
    512 U.S. 267
    , 272 (1994) (Greenwich).
    This is distinct from the burden of persuasion, often called the
    "burden of proof," which refers to "the notion that if the
    evidence is evenly balanced, the party that bears the burden of
    persuasion must lose." 
    Id.
    17
    decisions do not require this. . . . If the employee were
    able to prove by direct evidence that discriminatory animus
    motivated the decision, [he] would not have to rely on the
    indirect method of proving animus by disproving at least
    one of the employer's articulated, nondiscriminatory
    reasons" (citations omitted).
    To survive a motion for summary judgment, the plaintiff
    need only present evidence from which a reasonable jury could
    infer that "the respondent's facially proper reasons given for
    its action against him were not the real reasons for that
    action."   Wheelock College v. Massachusetts Comm'n Against
    Discrimination, 
    371 Mass. 130
    , 139 (1976) (Wheelock College).
    The case can then proceed to trial, at which point, "if the fact
    finder is persuaded that one or more of the employer's reasons
    is false, it may (but need not) infer that the employer is
    covering up a discriminatory intent, motive or state of mind."8
    Lipchitz, supra at 501.   In other words, a fact finder at trial
    may infer that, "[c]ombined with establishment of a prima facie
    case . . . , a showing of pretext eliminates any legitimate
    8
    While Lipchitz, supra, involved a motion for judgment
    notwithstanding the verdict, see Mass. R. Civ. P. 50 (b), as
    amended, 
    428 Mass. 1402
     (1998), rather than a motion for summary
    judgment, "[t]he standard for obtaining a judgment
    notwithstanding a verdict in Massachusetts is the same as the
    summary judgment standard." Sarro v. Philip Morris USA Inc.,
    
    857 F. Supp. 2d 182
    , 189 (D. Mass. 2012). See Cahaly v.
    Benistar Prop. Exch. Trust Co., 
    451 Mass. 343
    , 350 (2008), cert.
    denied, 
    555 U.S. 1047
     (2008), quoting Phelan v. May Dep't Stores
    Co., 
    443 Mass. 52
    , 55 (2004) ("We ask whether, construing the
    evidence most favorably to the plaintiff, and 'without weighing
    the credibility of the witnesses or otherwise considering the
    weight of the evidence, the jury reasonably could have returned
    a verdict for the plaintiff'").
    18
    explanation for the adverse hiring decision and warrants a
    determination that the plaintiff was the victim of unlawful
    discrimination."9     Blare, supra at 446.
    The defendants also argue that, at this third stage, the
    burden of persuasion is on the "the plaintiff . . . to
    demonstrate that there is a genuine issue of material fact
    whether the defendants' proffered reason is a pretext" (emphasis
    in original).10    Bulwer, supra at 347 (Sikora, J., dissenting).
    See id. at 348 (Sikora, J., dissenting) ("plaintiff must
    substantiate a genuine issue of" material fact).     While the
    plaintiff does bear "the burden of producing evidence" that the
    employer's reasons are pretextual, see Matthews v. Ocean Spray
    9
    We nonetheless reiterate that, at trial,
    "[p]ermitting the fact finder to infer discriminatory
    animus from proof that the employer has advanced a false
    reason does not . . . eliminate the plaintiff's burden to
    prove this essential element. . . . Stated differently,
    the 'indirect evidence' moniker derives from the type of
    evidence (pretext) that may establish one or both statutory
    elements (discriminatory animus and causation)" (citation
    omitted).
    Lipchitz, supra at 502.
    10
    This burden is described as requiring the plaintiff to
    demonstrate that the "the employer's articulated reason lack[s]
    reasonable support in evidence or is . . . wholly
    disbelievable." Bulwer v. Mount Auburn Hosp., 
    86 Mass. App. Ct. 316
    , 347 (2014) (Bulwer) (Sikora, J., dissenting), quoting Lewis
    v. Area II Homecare for Senior Citizens, Inc., 
    397 Mass. 761
    ,
    765 (1986) (Lewis). This language, drawn from Lewis, 
    supra,
    described the plaintiff's burden at trial and not, as here, at
    summary judgment. See 
    id. at 765
     ("judge found [after bench
    trial] . . . that the plaintiff failed to prove pretext").
    19
    Cranberries, Inc., 
    426 Mass. 122
    , 127 (1997) (Matthews), the
    burden of persuasion at summary judgment remains with the
    defendants, who, "as the moving part[ies], 'ha[ve] the burden of
    affirmatively demonstrating the absence of a genuine issue of
    material fact on every relevant issue, even if [they] would not
    have the burden on an issue if the case were to go to trial.'"
    Sullivan, supra at 39, quoting Matthews, supra.
    ii.   Questions of material fact.    In opposing the
    defendants' motion for summary judgment, the plaintiff relies on
    indirect evidence of discrimination, which we analyze using the
    McDonnell Douglas three-stage paradigm.    The defendants concede,
    with regard to the first stage, that the plaintiff has satisfied
    his obligation to make out a prima facie case of
    discrimination.11   With regard to the second stage, the
    defendants assert that the plaintiff's employment was terminated
    based on his poor performance evaluations, included in the
    record, that express doubts about his abilities and raise
    concerns for patient safety.   This satisfies the defendants'
    obligation to produce both "lawful . . . reasons for [their]
    employment decision" and "credible evidence to show that
    11
    The defendants' concession that the plaintiff "could
    establish a prima facie case" is "for summary judgment purposes
    only."
    20
    the . . . reasons advanced were the real reasons."12    See Blare,
    supra at 442, quoting Wheelock College, 
    supra at 138
    .    We
    therefore move to the third stage, and consider whether the
    plaintiff has provided evidence sufficient to allow a reasonable
    jury to infer that "the employer's articulated justification is
    not true but a pretext."     Blare, supra at 443.
    We begin by reciting more specifically the reasons provided
    by the hospital for terminating the plaintiff's employment.     In
    April, 2006, Wellisch and Flint sent a letter to the plaintiff
    citing his "inability to adequately analyze clinical data in
    complex cases," "inability to consistently build effective
    therapeutic relationships," and "inability to gain insight into
    feedback that is offered."    In May, 2006, Zinner decided to
    terminate the plaintiff's employment immediately due to asserted
    "additional clinical errors, failures to document or comply with
    our clearly stated expectations about chart notes, and failures
    to call for appropriate help with severely ill patients."
    The record contains at least five categories of evidence
    from which a jury might infer that these stated reasons were not
    the real reasons that the plaintiff's employment was terminated.
    When "taken as a whole rather than viewed in isolation," such
    12
    As the Appeals Court noted, the plaintiff "does not
    seriously argue that the hospital failed to meet its non-onerous
    burden of articulating a legitimate reason for his termination."
    Bulwer, supra at 329-330.
    21
    evidence could lead a rational jury to conclude that the reasons
    for the plaintiff's discharge were pretextual.   See Dorman v.
    Norton Co., 
    64 Mass. App. Ct. 1
    , 9-10 (2005).
    First, while the record plainly contains negative
    evaluations tending to support the aforementioned criticisms,
    the record also contains numerous evaluations inconsistent with
    these criticisms.   See Cole v. Ruidoso Mun. Schs., 
    43 F.3d 1373
    ,
    1380 (10th Cir. 1994) (reversing summary judgment for employer
    where conflicting evaluations raised fact questions about true
    reasons for adverse employment action).    See also Bonefont-
    Igaravidez v. International Shipping Corp., 
    659 F.3d 120
    , 124
    (1st Cir. 2011), quoting Gómez–González v. Rural Opportunities,
    Inc., 
    626 F.3d 654
    , 662–663 (1st Cir. 2010) ("pretext can be
    established by showing . . . 'weaknesses [or] implausibilities
    . . . in the employer's offered reasons'"); 59 Causes of Action
    2d, Cause of Action under Age Discrimination in Employment Act
    § 24 (2013) ("evidence of satisfactory or superior performance
    evaluations . . . may tend to show . . . the illegitimate nature
    of the defendant's articulated reason").
    For example, some evaluators wrote of the plaintiff's
    "excellent" "ability to interpret and analyze clinical data, and
    formulat[e] a plan of management," even as the plaintiff was
    dismissed ostensibly because he could not "adequately analyze
    clinical data in complex cases."   Similarly, some evaluators
    22
    praised the plaintiff's "progress notes" as "very detailed and
    informative," "very thorough," and "generally well thought out,"
    while others criticized him for "fail[ing] to document or comply
    with . . . expectations about chart notes."   Moreover,
    evaluations noting that "several patients have commented on [the
    plaintiff's] thoroughness and humanistic qualities" and that
    "patients' family members told [the evaluator] several times how
    helpful he had been during an emotionally difficult time" are in
    some tension with the view that the plaintiff evinced an
    "inability to consistently build effective therapeutic
    relationships."   The record also contains evaluations noting
    that the plaintiff "had a good sense of his own limitations" and
    that he took "in feedback well."13   These disparate evaluations
    prompted the chair of the ad hoc committee to note that "it is
    13
    Two other points along these lines are noteworthy.
    First, the plaintiff received contradictory advice from
    evaluators. While one evaluator criticized him for making
    "drastic" decisions on his own, another suggested, only one
    month earlier, that the plaintiff "work on his independence and
    self-initiative, mainly in terms of seeing patients primarily on
    his own and getting out of a 'shadowing' mode." Second, a
    letter from the hospital to the Board of Registration in
    Medicine, sent pursuant to G. L. c. 111, § 53B, explained that
    the plaintiff's employment had been terminated immediately
    because he "[f]ail[ed] to make appropriate progress in
    processing and applying evaluations and other constructive
    criticism and feedback to patient care responsibilities." The
    plaintiff himself was told, however, that the immediate
    termination was not because of delays in his progress, but
    rather because of an immediate "risk to patient safety."
    Although these statements might be reconcilable, a jury could
    find in them inconsistency suggestive of the pretextual nature
    of the proffered reasons.
    23
    interesting how one set of behaviors can elicit such different
    perception."
    There is, secondly, evidence that the plaintiff was treated
    differently from similarly situated interns who are not black.
    See Matthews, supra at 129 ("The most probative means of
    establishing that the plaintiff's termination was a pretext for
    racial discrimination is to demonstrate that similarly situated
    white employees were treated differently").   For example, Song
    named two foreign interns (one white and one apparently Asian)
    who experienced "similar issues" but who, unlike the plaintiff,
    "were given opportunities to remediate or repeat rotations."14
    The plaintiff identified a third.15   The suggestion that the
    plaintiff was treated differently from these individuals based
    on his race also finds support in Setnik's statement that "[i]t
    is hard to understand the underlying basis for [the negative]
    perceptions of [the plaintiff's] work."
    14
    The defendants argue that Dr. Soon-Il Song's testimony is
    "inadmissible as opinion testimony." We discern no basis for
    this argument, given that Song can testify about the treatment
    of these two interns from "personal knowledge." See Mass. G.
    Evid. § 602 (2016) (witness may testify if he or she "has
    personal knowledge of the matter"; evidence of that knowledge
    "may consist of the witness's own testimony").
    15
    There was only one other intern not promoted from among
    the first-year residents in the plaintiff's cohort; that
    individual was black and from Uganda. He was forced to leave
    the residency program when, following a poor evaluation from the
    hospital, his medical license was not renewed.
    24
    Third, Dvorak, an African-American internist and
    psychiatrist, described three separate instances of Caucasian
    doctors whose deficient performances she and other staff members
    noticed and brought to the attention of hospital administrators,
    but who were not subject to disciplinary action until months or
    years after the complaints were made -- and then only because of
    pressure from patients and other hospitals.   Dvorak also noted
    an incident in which she found "white supremacist" literature in
    the break room.   Although she told administrators "how upsetting
    [this] was, particularly [to her] as a[n] African-American," she
    maintains that the administrators rejected requests to
    discipline employees who displayed such literature in the
    workplace.16
    Fourth, a reasonable jury could interpret a number of
    comments by the plaintiff's evaluators and supervisors as
    reflecting "[s]tereotypical thinking . . . categorizing people
    on the basis of broad generalizations."   Lipchitz, supra at 503
    16
    The defendants contend that the entirety of Dr. Ramona
    Dvorak's testimony is inadmissible because it is "opinion
    testimony." To the extent that Dvorak points to specific
    incidents and individuals of which she had personal knowledge,
    however, we discern no basis on which to exclude it. See Mass.
    G. Evid. § 602. That being said, the admissibility of any
    proffered evidence at trial is for the judge to determine. See
    Commonwealth v. Drayton, 
    473 Mass. 23
    , 38 (2015) ("In
    identifying these elements that arguably may support"
    plaintiff's case, "we do not in any way suggest that the
    [evidence] ultimately is admissible"). See also Commonwealth v.
    Alcide, 
    472 Mass. 150
    , 162 n.14 (2015).
    25
    n.16.   Although such statements in isolation would not be
    adequate to support a finding of discrimination, when considered
    with evidence of disparate or unfair treatment in the evaluation
    process, they may lend support to such a finding.   See Conway v.
    Electro Switch Corp., 
    825 F.2d 593
    , 597 (1st Cir. 1987) ("While
    evidence of a discriminatory atmosphere may not be conclusive
    proof of discrimination against an individual plaintiff, such
    evidence does tend to add 'color' to the employer's
    decisionmaking processes and to the influences behind the
    actions taken with respect to the individual plaintiff").
    For instance, one evaluator criticized the plaintiff for
    being "too confident for his own good."   Another said that
    someone in the plaintiff's position as an "intern is not
    supposed to be smart" and "[t]hat is why all of this [criticism]
    is happening."   Yet another, Bial, stated that the plaintiff was
    "the least respectful person with whom [she had] ever worked"
    and that he "has no capacity whatsoever for self-assessment."
    Bial also spoke negatively to other residents and interns about
    the plaintiff outside of the plaintiff's presence and "berated
    him" publicly in a manner that a witness identified as both not
    "appropriate" and unprecedented in his experience with Bial.
    Additionally, in informing the plaintiff of the decision not to
    promote him, Zinner noted that the plaintiff "is not well suited
    for a career in internal medicine in this country."   These kinds
    26
    of comments can, of course, admit of different interpretations
    by a jury, including ones reflecting only untainted professional
    judgment.   One interpretation that a jury could make of such
    comments, however, is that, combined with Bial's behavior, they
    reflect a subconscious sense that the plaintiff, as a black man
    and a foreigner, did not "know his place."17   See Ash v. Tyson
    Foods, Inc., 
    546 U.S. 454
    , 456 (2006) (judgment as matter of law
    for employer inappropriate where employer used ambiguous term
    that, though "not always . . . evidence of racial animus," is
    not "always benign").
    Fifth, there is evidence that the defendants did not follow
    their written procedures in deciding to terminate the
    17
    In addition to these comments, which were made by the
    plaintiff's evaluators, some comments made during a meeting of
    the ad hoc committee might suggest that the plaintiff was
    evaluated critically in part because of his race. Specifically,
    the doctors compared the plaintiff to a trainee from fifteen
    years earlier, whom they identified as a "woman of color from
    Washington" and who, like the plaintiff, had difficulty with
    "interpersonal skills, communication skills, [and]
    professionalism." They said that this trainee "would have
    flunked on a number of those [more subjective] competencies" in
    which the plaintiff was deficient, despite the fact that she had
    no deficiencies in "intelligence and IQ." A jury might see
    these comments as reflecting a tendency to evaluate black
    trainees unfavorably in subjective areas like interpersonal
    communication, even when those trainees perform well in
    objectively measurable areas like intelligence and medical
    knowledge. See Douglas v. J.C. Penney Co., 
    474 F.3d 10
    , 14
    (2007) (evidence of racial animus inferred from "disparities in
    subjective performance evaluations between employees of
    different races" when those subjective evaluations "did not
    correlate with the individualized objective performance factors
    for those employees").
    27
    plaintiff's employment.   A "'failure to follow established
    procedures or criteria' . . . [may] support a reasonable
    inference of intentional discrimination."   Nesbitt v. Holder,
    
    966 F. Supp. 2d 52
    , 56 (D.D.C. 2013), quoting Brady v. Office of
    the Sergeant at Arms, 
    520 F.3d 490
    , 495 (D.C. Cir. 2008).       See
    1 A. Larson, Employment Discrimination § 8.04, at 8-81 to 8-82
    (rev. ed. 2015) ("pretext can be shown by demonstrating . . .
    irregularities in . . . the procedures for discharge").
    Here, the defendants departed from their written due
    process policy by failing to include a resident on the ad hoc
    committee, by not allowing the plaintiff to attend two of the
    three meetings of that committee, and by failing to heed the
    plaintiff's request for materials from those meetings.    The
    defendants further departed from this policy when they
    immediately terminated the plaintiff's employment without having
    informed him, either before or after the ad hoc committee
    meeting, that this step was being considered.
    The defendants argue that these five categories of evidence
    do not suffice to raise a question of material fact.     They note
    that, even if all of the inferences drawn by the plaintiff from
    the above evidence were reasonable, the ad hoc committee
    conducted "an expanded review" of the CCC's decision to
    terminate his employment and "concluded that the [plaintiff's]
    deficiencies remained serious."   Bulwer, supra at 355 (Sikora,
    28
    J., dissenting).   A "third [party]'s independent decision to
    take adverse action," they argue, "breaks the causal connection
    between [any] retaliatory or discriminatory animus [harbored by
    the plaintiff's evaluators] and the adverse action."      Mole v.
    University of Mass., 
    442 Mass. 582
    , 598 (2004).      This argument
    is unavailing.
    In addition to input from the plaintiff, the ad hoc
    committee based its conclusions on the evaluations relied on by
    the CCC, as well as on testimony from the physicians who wrote
    those evaluations and on statements and memoranda from the CCC
    itself.   Where "the decision makers relied on the
    recommendations of supervisors [whose motives have been
    impugned], the motives of the supervisors should be treated as
    the motives for the decision. . . .   An employer [may not]
    insulate its decision by interposing an intermediate level of
    persons in the hierarchy of decision, and asserting that the
    ultimate decision makers acted only on recommendation" (citation
    omitted).   Trustees of Forbes Library v. Labor Relations Comm'n,
    
    384 Mass. 559
    , 569-570 (1981).   See Cariglia v. Hertz Equip.
    Rental Corp., 
    363 F.3d 77
    , 83 (1st Cir. 2004) ("liability can
    attach if neutral decision makers, when deciding to terminate an
    employee, rely on information that is inaccurate, misleading, or
    incomplete because of another employee's discriminatory
    animus").
    29
    The defendants also argue, in essence, that criticisms of
    the plaintiff's performance, even if harsh, are best read to
    reflect "professional" judgment rather than racial animus.
    Bulwer, supra at 350 (Sikora, J., dissenting).   Even assuming
    the defendants are correct such that they could prevail on this
    point at trial, at the summary judgment stage "a court does not
    resolve issues of material fact, assess credibility, or weigh
    evidence."   Kernan v. Morse, 
    69 Mass. App. Ct. 378
    , 382 (2007).
    The question of whose interpretation of the evidence is more
    believable, "raised by the [parties'] conflicting evidence as to
    the defendant[s'] motive, is not for a court to decide on the
    basis of [briefs and transcripts], but is for the fact finder
    after weighing the circumstantial evidence and assessing the
    credibility of the witnesses."18   Lipchitz, supra at 499, quoting
    Blare, supra at 445.
    18
    Our decision in Sullivan v. Liberty Mut. Ins. Co., 
    444 Mass. 34
     (2005), is not to the contrary. In affirming summary
    judgment for the employer, we noted that the plaintiff there
    essentially conceded that the adverse employment action was
    motivated by her supervisor's perception of her performance as
    poor, as evidenced by the fact that she "[did] not challenge
    whether [the defendant] truly believed that her mishandling" of
    certain matters warranted her discharge. Id. at 57 (plaintiff
    did not present any "evidence . . . that [the defendant]
    selected her for layoff for any reason other than her own
    performance" and "[t]here [was] ample, uncontroverted evidence
    that the negative impression [plaintiff's supervisors] had
    formed of [plaintiff]'s abilities was a primary reason she was
    selected for layoff").
    30
    In this regard, summary judgment remains "a disfavored
    remedy in the context of discrimination cases based on disparate
    treatment . . . because the ultimate issue of discriminatory
    intent is a factual question" (citations omitted).19     Blare,
    supra at 439.   A defendant's motive "is elusive and rarely is
    established by other than circumstantial evidence," therefore
    "requir[ing] [a] jury to weigh the credibility of conflicting
    20
    explanations of the adverse hiring decision."        Id. at 439-440.
    c.   Breach of contract claim.   To prevail on a claim for
    breach of contract, a plaintiff must demonstrate that there was
    an agreement between the parties; the agreement was supported by
    consideration; the plaintiff was ready, willing, and able to
    perform his or her part of the contract; the defendant committed
    a breach of the contract; and the plaintiff suffered harm as a
    19
    Because the plaintiff questions the legitimacy of his
    employer's motive in terminating his employment, "[t]his is a
    disparate treatment case[,] not a disparate impact case." See
    Blare v. Husky Injection Molding Sys. Boston, Inc., 
    419 Mass. 437
    , 439 n.3 (1995). See also Cox v. New England Tel. & Tel.
    Co., 
    414 Mass. 375
    , 384-385 (1993).
    20
    See Clermont and Schwab, Employment Discrimination
    Plaintiffs in Federal Court: From Bad to Worse?, 
    3 Harv. L. & Pol'y Rev. 103
    , 128 (2009) ("pretrial adjudication particularly
    disfavors employment discrimination plaintiffs"). See also
    Donald and Pardue, Bringing Back Reasonable Inferences: A
    Short, Simple Suggestion for Addressing Some Problems at the
    Intersection of Employment Discrimination and Summary Judgment,
    
    57 N.Y.L. Sch. L. Rev. 749
    , 752 (2012-2013) ("Federal Judicial
    Center has noted that '[s]ummary judgment motions by defendants
    are more common in [employment discrimination] cases [than in
    other civil actions], are more likely to be granted, and [are]
    more likely to terminate the litigation'").
    31
    result.   Singarella v. Boston, 
    342 Mass. 385
    , 387 (1961).   At
    issue here is the fourth element, i.e., whether the defendants
    committed a breach of the contract embodied in the medical
    resident agreement.
    The plaintiff maintains that the defendants committed such
    a breach in five ways:   by failing to comply with the ACGME's
    nondiscrimination policy; by failing to include a resident on
    the ad hoc committee as required by the hospital's written
    procedures; by failing to advise the plaintiff, in advance, of
    certain items to be discussed by the ad hoc committee; by
    failing to provide him with the resources and supervision
    necessary to perform his job; and by failing to offer him an
    opportunity to appeal from the decision of the ad hoc
    committee.21   To prevail on a motion for summary judgment on
    these claims, the defendants must demonstrate that "there are no
    material facts in dispute."   Somerset Sav. Bank v. Chicago Title
    Ins. Co., 
    420 Mass. 422
    , 426 (1995).
    21
    Although the complaint contained a general breach of
    contract claim, the motion judge declined to address directly
    any of these particular assertions because the specific grounds
    mentioned were first identified in the plaintiff's opposition to
    the summary judgment motion. In its de novo review, the Appeals
    Court nonetheless addressed these claims, see Bulwer, supra at
    333-334, apparently concluding that they were properly before
    the motion judge. The Appeals Court noted, however, that the
    evidence does not support the plaintiff's contention that the
    defendants failed to offer him an opportunity to appeal from the
    ad hoc committee's decision. See Bulwer, supra at 334 n.16. We
    do not disagree.
    32
    With regard to the first allegation, the defendants were
    bound by the ACGME's nondiscrimination policy prohibiting
    discrimination based on race or national origin.   This policy
    was incorporated by reference in the medical resident agreement.
    See Chicopee Concrete Serv., Inc. v. Hart Eng'g Co., 
    398 Mass. 476
    , 478 (1986) ("incorporation by a clearly stated general
    reference will suffice").   Whether the defendants violated this
    policy requires analysis of much the same evidence noted in our
    discussion of the plaintiff's discrimination claim.   For similar
    reasons, we conclude that the defendants have failed to
    establish the absence of any issue of material fact with regard
    to the assertion of a violation of the ACGME's nondiscrimination
    policy.
    Turning to the second allegation -- failure to include a
    resident on the ad hoc committee -- it is undisputed that the ad
    hoc committee did not include a resident.   The inclusion of a
    resident was required by the hospital's grievance policy, which
    the hospital was to follow under the terms of the ACGME
    requirements and thereby under the medical resident agreement as
    well.   Although the defendants claim that the plaintiff was not
    harmed by this failure to comply with the medical resident
    agreement, that is a question of fact for the jury.
    It is also undisputed that the plaintiff was not invited to
    the latter two meetings of the ad hoc committee and that the
    33
    defendants failed to notify the plaintiff, in advance of those
    meetings, that they were considering immediately terminating his
    employment.    There is also no indication in the record that the
    plaintiff was ever given any information about "additional"
    concerns cited by the committee regarding patient safety
    notwithstanding the plaintiff's request for pertinent
    information.   The hospital's grievance policy, however, requires
    that a resident receive from the department chair in advance of
    the meeting a "written statement of the specific issues [to be
    discussed at the meeting]."22   Although the defendants gave the
    plaintiff an opportunity to submit written rebuttal evidence, a
    reasonable jury could find that this was not equivalent to an
    opportunity to participate fully in the initial proceedings.
    They could also find that the plaintiff's lack of notice and
    diminished participation in the meetings reduced the
    effectiveness of his participation in those meetings and,
    accordingly, affected the outcome of the committee's
    deliberations.
    The plaintiff contends further that the defendants failed
    to provide him, as required by the ACGME, with the "appropriate
    supervision" and "resources" necessary to perform his work.    In
    22
    The policy also requires that all bases for the
    committee's decision "be introduced into evidence at the
    proceeding" and, more generally, that the resident will receive
    "a fair hearing."
    34
    this regard, the plaintiff has proffered evidence that his
    mentor did not hold weekly meetings with him as outlined in his
    remediation plan.   More generally, he points to evidence,
    detailed earlier, that he was not offered the same remediation
    opportunities as similarly situated peers, which could be
    construed as a failure to provide "appropriate supervision."23
    3.   Conclusion.   The judgments in favor of the defendants
    on the plaintiff's claims for employment discrimination under
    G. L. c. 151B, § 4, and breach of contract are vacated and set
    aside.    The matter is remanded to the Superior Court for further
    proceedings consistent with this opinion.
    So ordered.
    23
    A jury could find that the plaintiff's lack of
    familiarity with hospital procedures, mentioned by Song in his
    deposition, could have resulted from the absence of close
    mentoring or supervision.
    

Document Info

Docket Number: SJC 11875

Citation Numbers: 473 Mass. 672

Filed Date: 2/29/2016

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (16)

Gomez-Gonzalez v. Rural Opportunities, Inc. , 626 F.3d 654 ( 2010 )

Douglas v. J.C. Penney Co. , 474 F.3d 10 ( 2007 )

Bonefont-Igaravidez v. International Shipping Corp. , 659 F.3d 120 ( 2011 )

Sandra Conway v. Electro Switch Corp., Sandra Conway v. ... , 825 F.2d 593 ( 1987 )

Cariglia v. Hertz Equipment Rental Corp. , 363 F.3d 77 ( 2004 )

texanita-cole-plaintiff-appellantcross-appellee-v-ruidoso-municipal , 43 F.3d 1373 ( 1994 )

Brady v. Office of the Sergeant at Arms , 520 F.3d 490 ( 2008 )

Wheelock College v. Massachusetts Commission Against ... , 371 Mass. 130 ( 1976 )

Lewis v. Area II Homecare for Senior Citizens, Inc. , 397 Mass. 761 ( 1986 )

Singarella v. City of Boston , 342 Mass. 385 ( 1961 )

Cox v. New England Telephone & Telegraph Co. , 414 Mass. 375 ( 1993 )

Chicopee Concrete Service, Inc. v. Hart Engineering Co. , 398 Mass. 476 ( 1986 )

Trustees of Forbes Library v. Labor Relations Commission , 384 Mass. 559 ( 1981 )

McDonnell Douglas Corp. v. Green , 93 S. Ct. 1817 ( 1973 )

Director, Office of Workers' Compensation Programs v. ... , 114 S. Ct. 2251 ( 1994 )

Ash v. Tyson Foods, Inc. , 126 S. Ct. 1195 ( 2006 )

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