DocketNumber: No. CV95 0050418S
Citation Numbers: 1999 Conn. Super. Ct. 8688
Judges: CORRADINO, JUDGE.
Filed Date: 6/29/1999
Status: Non-Precedential
Modified Date: 7/5/2016
The standards to be applied in summary judgment procedures are clear. A trial court cannot grant such a motion if there is a genuine issue of material fact. Parties have a constitutional right to a trial by jury. However, if no such issue exists, litigants should not be subjected to the cost and inconvenience of continuing litigation.
First, the court will discuss the general factual background to this case.
In a deposition, the plaintiff stated that almost immediately CT Page 8690 after he began work at the new assignment, salesman asked about his sexual preference. Plaintiff alleges he was excluded from social gatherings with other male employees — golf, happy hour, sporting events — although a person with the same position was not so excluded. Plaintiff never asked to be included in these functions and McGrath did invite the plaintiff to social functions before and after he started working at the Milford office. He claims salespeople spoke to him in a different tone.
After the first six months, the plaintiff claims the discrimination became more overt and the plaintiff alleged several occurrences of such dicrimination. At a 1992 staff meeting, McGrath laughingly asked if anyone in the workroom had marched in the gay pride parade the previous weekend — the plaintiff was the only openly gay person in the office. Dillman made a comment to a coworker in reference to the plaintiff and his problem with a job function that "it's a woman thing." Also, Dillman allegedly told a coworker that the plaintiff was "one of those people" and made gestrures with his wrists and fluttered his eyes — the plaintiff did not see or hear any of this, the coworker told him about the incident according to the plaintiff.
The plaintiff said he told McGrath about this latter incident but was told not to worry about it and plaintiff gathered the inference that McGrath did not believe it was a big deal.
The plaintiff received good performance evaluations and pay raises, although he claims McGrath limited his incentive earnings. The plaintiff heard from other employees that McGrath felt he was not performing well on his job but never himself said this to the plaintiff. No one said his work performance was bad and, in plaintiff's appraisal, Dillman said "overall [the plaintiff] was doing a good job." But when he inquired about advancement opportunities the plaintiff claims he was given vague answers.
The plaintiff described McGrath as being harsh with people and he felt McGrath would remove anyone who got in his way; McGrath was gruff with plaintiff as with others.
In December 1992, the plaintiff told McGrath he did not like how he was being treated and that things had to change. He said he wanted to be treated like other employees, fairly. McGrath CT Page 8691 became angry and asked what he would do if things did not change. After this discussion, McGrath appeared to back off.
Five months after the meeting with McGrath, the plaintiff was suspended and subsequently terminated from his employment for allegedly falsifying a part of one transmittal form and for alleged expense report improprieties. He was accused of falsifying names on a compensation form having solicited two workers to forge the names of the two men who were not present in the office and were required to sign the documents. The plaintiff said this had been done in the past and as to the expense accounts the plaintiff said he simply had been following McGrath's instructions.
The plaintiff had received a copy of and signed for the defendant companies; code of conduct. The code stated that falsifying records, including travel, entertainment and expense reports was violative of the code of business ethics. Employees were expected to comply with the code and report violations of the code. They were warned that violations could lead to discipline up to and including dismissal.
Certain facts should be mentioned which were not specifically articulated in the defendant's brief but were referred to in the plaintiff's brief for the purpose of rebutting the so-called same-actor defense. Under that defense to these discriminatory termination cases, it is sometimes argued that such a claim does not lie because the same person who allegedly fired the plaintiff for discriminatory reasons was the very person who had hired the plaintiff shortly before, i.e., the motive for the termination could not have been discrimination under such circumstances. The plaintiff, in an attempt to counter this defense, made a factual admission at page 13 of its brief which the defendant at oral argument maintained is critical to the viability of the whole discrimination claim apart from its relevance to the same actor defense. In its March 13, 1998 brief, the plaintiff stated:
"However, the decision to terminate plaintiff was made by Marianne Cassidy [formerly Osbourne] in consultation with Thomas Trieber and Attorney Stephanie Middleton. . . . In fact, neither McGrath or Dillman were consulted on the decision. . . . Clearly, the individuals that hired plaintiff were not involved in the decision to terminate the plaintiff."
CT Page 8692 Mr. Trieber investigated the expense voucher matter for Cigna; he was employed by the corporate audit section of the defendant. Stephanie Middleton was an attorney in employment law for the defendant who worked in Philadelphia. Cassidy makes the decision to terminate employees in these matters in conjunction with Attorney Middleton. After he was terminated, Ms. Cassidy had a conversation with the plaintiff in which the plaintiff stated he felt he was being fired because of his sexual preference. In her deposition testimony, Ms. Cassidy said she did not know what the plaintiff's sexual preference was and it would not have made any difference in regards to his termination. McGrath, in his deposition, said he probably was consulted by a company official as to the plaintiff's performance prior to the plaintiff's termination but then retracted that statement and testified that he did not even know the plaintiff had been suspended with pay and that no one asked him for any input as to whether or not the plaintiff should be terminated. He said he learned about the reasons for the plaintiff's firing only after the termination. McGrath said he had no idea the plaintiff was being terminated. During the investigation by Trieber, Trieber called McGrath and told him he was doing an investigation and asked whether the plaintiff had taken a client out to dinner during a business trip to Boston which McGrath and the plaintiff had taken. McGrath stated to Trieber that would be highly unlikely. This was all Trieber asked him about during his investigation. McGrath had never spoke to Trieber before this.
Of the three people who reached a consensus on firing the plaintiff, Attorney Middleton worked for the defendant in a Philadelphia office, Mr. Trieber worked in an office in Bloomfield, the records does not indicate where Ms. Cassidy worked, but there is nothing to indicate she worked in the Milford office where the plaintiff was employed.
Both sides agree that in interpreting the act our courts apply federal case law dealing with federal anti-discrimination statutes for the purpose of applying and analyzing the essential CT Page 8693 elements of a discrimination claim and whether it is viable in the summary judgment context. Board of Education v. CHRO,
A prima facie case of discrimination can be established either by utilizing the test formulated in McDonnell DouglasCorp. v. Green,
"Simply put, in a pretext case [McDonnell], the plaintiff seeks to show discrimination indirectly, and the defendant claims a non-discriminatory reason for its action. In mixed motive cases, [Price Waterhouse], discrimination directly and the defendant must then the plaintiff demonstrates the presence of I prove that it harbored other motives [whence the term ``mixed motive'] which would have led it to the same decision, without regard to the impermissible (i.e., discriminatory] factor. [The term ``pretext case' is used for the first type of case referred to by Larson because once the ``defendant claims a nondiscriminatory reason for its action,' the plaintiff can try to show the reason was a ``pretext.']
See Larson at § 136.02 at page 136-4. Also see for reference to same dichotomy in method of proof Wall v. Trust Co. ofGeorgia,
What creates confusion is that: "Many courts draw mixed motive/pretext dividing lines based on whether the plaintiff CT Page 8694 offers direct or indirect circumstantial evidence of discrimination. . . . [M]ore nuanced decisions differentiate not between direct and circumstantial evidence, but between evidence directly reflecting [discrimination of whatever sort] and that which permits only an indirect inference thereof." Larson at page 136.08. Or, to put it in plainer English, the McDonnell test does involve the use and analysis of "circumstantial evidence" as generally understood while, under the Price Waterhouse test, direct evidence of bias can be shown by circumstantial evidence in some circumstances.
In Griffiths v. Cigna Corp. ,
"At least some of the courts which have allowed a plaintiff to establish a mixed motives case through circumstantial evidence recognize that such evidence must be different in kind from the circumstantial evidence supplied under the McDonnell/Burdine shifting burden analysis. For example, in Ostrowski v. Atlantic Mut. Ins. Co.,
968 F.2d 171 ,182 (2d Cir. 1992), the court stated that the circumstantial evidence "must be tied directly to the alleged discriminatory animus.' Thus,``purely statistical evidence would not warrant [shifting of burden]; nor would evidence merely of the plaintiff's qualification for and the availability of a given position; nor would "stray" remarks in the workingplace by persons who are not involved in the pertinent decisionmaking.'
Id. Instead, the Ostrowski court suggested that a plaintiff could shift the burden to the defendant' through such evidence as ``policy documents or statements of person involved in the decisionmaking or retahatory animus of the type complained of in the suit.' Id. See also Kirschner v. Office of the Comptroller,
973 F.2d at 93 (circumstantial evidence sufficient if ``tied directly to' discriminatory animus)."1
". . . we have previously tailored the four elements of a McDonnell Douglas prima facie case to permit a plaintiff in a non-reduction in force case to make a prima facie showing of age discrimination without establishing that she was replaced by a younger employee. . . . Plaintiff can establish a prima facie case by showing that (1) she was in the protected age group; (2) she was qualified for the job; (3) she was discharged; (4) the discharge occurred under circumstances giving rise to an inference of age discrimination."
Montana v. First Federal S L of Rochester,
The Second Circuit applies this test for a prima facie case to age discrimination and all Title VII cases. Dister v.CT Page 8696Continental Group,
The Chambers court discusses practical considerations involved in establishing the initial prima facie case underMcDonnell Douglas and some of the factors that should be considered because of the circumstantial nature of the evidence involved:
"Because an employer who discriminates is unlikely to leave a "smoking gun' attesting to a discriminatory intent, a victim of discrimination is seldom able to prove his [/her] claim by direct evidence, and is usually constrained to rely on circumstantial evidence. Circumstances contributing to a permissible inference of discriminatory intent may include the employer's continuing, after discharging the plaintiff, to seek applicants from persons of the plaintiff's qualifications to fill the position. . . or the employer's criticism of the plaintiff's performance in ethnically degrading terms. . . or its invidious comments about others in the employee's protected group or the more favorable treatment of employees not in the protected group. . . or the sequence of events leading to the plaintiff's discharge. . . or the timing of the discharge. . . ." Id. at page 37.
At the summary judgment stage, if and when a prima facie case is established, the exercise is not quite played out; at page 38Chambers goes on to say:
"Once the plaintiff has presented a prima facie case of discrimination, the defendant has the burden of producing "through the introduction of admissible evidence, reasons for its actions which, if believed by the trier of fact, would support a finding that unlawful discrimination was not the cause of the employment action'. . . (Emphasis added by court)
Then, the court goes on to say:
"After the defendant has articulated such CT Page 8697 nondiscriminatory reasons, the plaintiff has an opportunity to show that the reason was merely a pretext for discrimination."
And the court goes on to say, importantly, that: "Pretext may be demonstrated either by the presentation of additional evidence showing that ``the employer's proffered explanation is unworthy of credence. . . or by reliance on the evidence comprising the prima facie case, without more, see St. Mary's Honor Center v.Hicks,. . . at. . .
However, what is important to remember in applying the burden shifting rules of the McDonnell test is that the proof scheme it sets out ". . . is designed to give judges ``a method of organizing evidence and assigning the burdens of production and persuasion in a discrimination case. . . . Courts must, however, resist the temptation to become so entwined in the intricacies of the proof scheme that they forget that the scheme exists solely to facilitate determination of the ``ultimate question of discrimination vel non.'" Proud v. Stone,
The Second Circuit test in discharge cases uses different language for its last criteria than the Fifth and Seventh Circuit. It adds an element to the McDonnell Douglas test that tan hardly be described as "objective" or mechanical in application for trial judges handling summary judgment motions. Thus, the court in Chambers said that in a discriminatory discharge case, in addition to the preliminary McDonnell Douglas
criteria, it must be shown that "(4) the discharge occurred under circumstances giving rise to an inference of age discrimination." 43 F.3d at page 37; Montana v. First Federal, supra at 869 F.2d, page 104. It is all well and good to argue, as the plaintiff correctly does, that in the Second Circuit "the burden of proof that must be met to permit an employment discrimination plaintiff to survive a summary judgment motion "at the prima facie stage is de minimis.'" Dister v. Continental Group, Inc., 859 F.2d 1219, 1221 (CA 2, 1994); cf., Viola v. Philips Medical Systems of NorthAmerica,
True, every inference must be given in favor of the non-moving plaintiff as a corollary to the de minimis test. But a CT Page 8699 court must still determine under Second Circuit criteria whether any credible evidence could possibly or fairly suggest that the discharge occurred under circumstances giving rise to an inference of discrimination — this can hardly be described as a simply objective test mechanically to be applied. Thus, to say that the Second Circuit test, and by implication, our test for establishing a prima facie case of employment discrimination is a de minimis one and/or that such a burden is a "modest one," see Viola, supra at 43 F.3d page 104, is, without more, not very helpful.
There is no dispute that the first several McDonnell Douglas
criteria have been established for the purposes of this motion — the plaintiff's sexual orientation placed him in a protected class, he was qualified for the position and he was discharged. The real question concerns the fourth criteria or requirement — given the discharge were there "circumstances giving rise to an inference of discrimination." Cronin v. Aetna LifeCo.,
Let us refer to some of the "circumstances" mentioned as noted in the Chambers case, id. at page 37, and determine if they can be found in this case. There was no evidence introduced here that, after the termination of the plaintiff, the employer continued to seek applicants from persons of the plaintiff's qualifications to fill the vacated position. Meiri v. Dacon,
This does not mean that whenever a large corporation sets up special investigatory units, separate from the day to day workplace, to determine whether a particular individual should be fired, that a prima facie case cannot be proven. Proof of disparate treatment of workers with the same history of rule violations could be offered. Washington v. Garrett,
But the court will assume for the purposes of discussion that its preceding analysis is mistaken and that the plaintiff has established a prima facie case and proceed with its analysis accordingly. If such a case has been established, the defendant would now have the burden of producing "``through the introduction of admissible evidence' reasons for its actions which, if believed by the trier of fact, would support a finding that unlawful discrimination was not the cause of the employment action." St. Mary's Honor Center v. Hicks,
Once the employer has produced evidence of a non-discriminatory reason for its actions, the factual inquiry proceeds to a new level or specificity. The plaintiff retains the ultimate burden of proving that intentional discrimination rather than the employer's explanation was the true reason for firing.Viola v. Philips Medical Systems, supra at 42 F.3d, page 717. The Second Circuit in an age discrimination case has said that where a non-discriminatory reason to terminate has been provided by the employer, to defeat a properly supported motion for summary judgment, a plaintiff must "produce sufficient evidence to support a rational finding that the legitimate, nondiscriminatory reasons proffered by the employer were false and that more likely than not the employee's age was the real reason for the discharge." Woroski v. Nashua Corp. ,
In any event, what is clear is that to rebut a claim of non-discriminatory reasons for the termination a plaintiff cannot rely on conclusory allegations or unsubstantiated charges actual evidence must be presented and we are beyond the mechanical finding and non-intent world at least as stated as the ideal in the McDonnell Douglas test for establishing the initial prima facie case;. . . "conclusory and unsubstantiated allegations do not provide a basis to avoid summary judgment" at this stage of the McDonnell Douglas test, Schwenke v. Skaggs Alpha Beta Inc.,
This the plaintiff may show others not in the plaintiff's protected group for similar infraction which led to the firing were more favorably treated — this would certainly show pretext, see Sorlucci v. N.Y. City Police Dept,
Statistics can be presented showing company wide policies that foster discrimination against protected groups, McDonnellDouglas Corp. v. Green,
In determining whether the proffered non-discriminatory reason is a pretext courts, in fact, have also taken into consideration whether the person who decided to fire the plaintiff was involved in discriminatory statements or activity or was tainted in the decision making process by those who were. In La Montagne v. American Convenience Products Inc.,
Here any notion of pretext because of involvement by the people in the defendant company who decided to terminate the plaintiff in discriminatory statements or activity is not supported by anything in the record. There is also nothing to indicate that people who allegedly engaged in discriminatory activity at the office where the plaintiff worked, had any substantial input into the decision to terminate if they had any input at all.
In fact, there is nothing in the record to indicate that the reason given by the employer for the firing of the plaintiff was manufactured to avoid liability.
The court will grant the motion for summary judgment as to the first count alleging discrimination based on sexual preference.
Our Supreme Court in Peytan v. Ellis,
(1) that the actor intended to inflict emotional distress, or that he/she knew or should have known that emotional distress was a likely result of his/her conduct
(2) that the conduct was extreme and outrageous
(3) that the defendant's conduct was the cause of the plaintiff' s distress(4) that the emotional distress sustained by the plaintiff was severe
The defendant's reply brief of July 10, 1998 focuses on the third requisite for this cause of action — the conduct was extreme and outrageous. The defendant claims that as a matter of law what occurred here was not extreme and outrageous; the plaintiff argues that this question should be decided by the trier of fact. The court will rely in large part on a decision it wrote in Lucuk v. Cook et al, 21 Conn. L. Rptr 377 (1998). Our court in Peytan and by its reference to Murray v. BridgeportHospital,
It is for the court to determine, in the first instance, whether the defendant's conduct may reasonably be regarded as so extreme and outrageous as to permit recovery or whether it is necessarily so. Where reasonable (people) may differ, it is for the jury, subject to the control of the court, to determine whether in the particular case, the conduct has been sufficiently extreme and outrageous to result in liability.
Following this reasoning, courts in this state and other states recognize that whether certain conduct can be regarded as outrageous can in certain instances be regarded as a question of law — even in the appropriate case permitting a motion to strike if conduct alleged in the pleadings is not deemed to be outrageous, cf Moore v. Greene,
What about the conduct and statements in this case? The plaintiff alleges that certain derogatory remarks were made in the office where he worked over a period of time. They were not made directly to him except for one instance where one of these individuals came into a staff meeting and asked if anyone had been to the gay pride parade. The plaintiff was the only gay person in the office and the supervisor making the remark knew the plaintiff was gay. Two other comments were made by another supervisor to co-workers of the plaintiff. The plaintiff was told CT Page 8708 not to worry about it when he spoke to his supervisor about the treatment he said he was receiving. The plaintiff felt he was not invited to certain social functions and was spoken to in a different way because of his sexual preference. What do the cases say regarding these kinds of allegations and whether they can support a finding of outrageous behavior.
The cases in this area reach divergent results to say the least. Some courts hold that it is extremely rare to find conduct in the employment context that will rise to the level of outrageousness necessary to establish the tort of intentional infliction of emotional distress, Cox v. Keystone Carbon Co.
The courts appear to agree that mere insults or verbal taunts do not rise to the level of extreme and outrageous conduct even when they include obnoxious activity like threats, insults or taunts McNeal v. City of Easton
The majority opinion in Bouie is not particularly persuasive, CT Page 8709 to this court at least, as far as the issue of whether conduct such as racial slurs should be regarded as a matter of law to not be extreme and outrageous. The dissent at 959 F.2d pages 878 et seq. argues that it should make little difference whether a supervisor made derogatory remarks behind the plaintiff's back or to his face; Section 46 of the Restatement makes no such distinction as the dissent notes,
The court believes this case is a close one; the alleged harassment here involved incidents spanning a fairly substantial period of time but they were not constant or as alleged unusually or extremely cruel although obnoxious and understandably upsetting if made. Despite this court's opinion that this tort must be strictly policed to avoid turning ordinary life and its insults and ignorant behavior into an endless and uncontrollable pool for litigation, see Lucuk v. Cook et al, supra, given this state's strong public policy as expressed in its statutes against discriminatory conduct and behavior in the work place, the court will not grant the motion to dismiss as to this count.
Here there is no evidence presented that the termination process by even the most liberal definition of that term was conducted in such a way as to have caused the plaintiff emotional distress nor was it negligently conducted so as to lead to the possibility of such a result. Mere termination cannot provide the basis for such a claim, Parsons at 243 Conn. page 88.
Summary judgment is granted as to the third count.
CORRADINO, J.
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