JANET BOND ARTERTON, District Judge.
On November 30, 2011, Plaintiff Burton T. Fried
Plaintiff, who is seventy-two, began his employment with Defendants in 1986, and held several positions with LVI, including General Counsel, President and CEO, interm
In June 2006, Robert McNamara was hired as Defendants' President and CEO, and Plaintiff moved into his new role as Chairman. (See Pl.'s Dep. at 81-82.) Upon assuming the role of Chairman, Plaintiff agreed to a twenty-percent reduction in salary along with a commensurate twenty-percent reduction in his work schedule. (See Pl.'s Dep. at 109.)
During the search, one or more LVI managers introduced Defendant State as a potential candidate for the President and CEO position. (Pl.'s Dep. at 117.) Plaintiff, who had known Defendant State for several years, recommended that State apply for the position. (Id. at 116-18.) Plaintiff proposed Defendant State to the LVI Board as the management choice for the President and CEO position. (Id.) During negotiations between Defendant State and LVI's Board, Defendant State asked to speak with Plaintiff. (See Ex. A to Mann Aff. at LVI 002465.) On September 21, 2010, Simmons indicated to Plaintiff that Defendant State might have concerns regarding Plaintiff's "ongoing role at LVI." (Id.) In response to these concerns, Plaintiff stated: "I am prepared to remain at LVI until he, the Board or I decide its [sic] time for me to leave ... an offer he can't refuse. Ask you [to] recall that one of the purposes of my working in Westport was to get out of the way of the new CEO at the N.Y. Corporate office.... [State] will be in charge and get all the room he wants from me." (Id.) On September 23, 2010, Defendant State accepted the position of President and CEO, and assumed
On October 5, 2010, Plaintiff and Defendant State scheduled an in-person meeting for later that week. (See Ex. O to Mann Aff.) In preparation for this meeting, Plaintiff sent Defendant State a list of the responsibilities he planned to undertake in his role as Chairman. (See Ex. P to Mann Aff.) This list included duties such as "monitor all employee air travel," "review and approve of all LVI Offers of Employment," and "select all outside counsel to represent LVI on legal matters." (Id.) On October 19, 2010, Plaintiff met with Defendant State in LVI's New York office to discuss Plaintiff's responsibilities as Chairman. (See Pl.'s Dep. at 176-82.) During the meeting, Defendant State informed Plaintiff that he would be reassigning all of Plaintiff's responsibilities to other managers within the next three months, and after that, he would let Plaintiff know "if there [wa]s anything else for [Plaintiff] to do." (Id. at 182.) When Plaintiff asked Defendant State why he was eliminating all of Plaintiff's responsibilities as Chairman, Defendant State replied: "Burt, you're 71 years of age, how long do you expect to work?" (Id.)
On October 28, 2010, Plaintiff sent the list he had prepared for his meeting with Defendant State to Simmons. (See Ex. S to Mann Aff.) On November 2, 2010, Simmons responded to Plaintiff and informed him that the list was "more expansive" than what had been envisioned for the Chairman role. (See Ex. T to Mann Aff. at BSIMMONS 000027.) Simmons also stated that he would like to replace Plaintiff's existing employment contract with a consulting agreement, and that the Board was willing to discuss Plaintiff's future role in closed session at the upcoming Board meeting. (See id.) At the end of the regularly scheduled November 4, 2010 Board meeting, the Board, Defendant State, and Plaintiff discussed the nature of Plaintiff's role as Chairman. (See Pl.'s Dep. at 226-32, 242-51.) During the meeting, members of the Board informed Plaintiff that they supported Defendant State in his decision to reassign Plaintiff's responsibilities. (See id. at 242-51.)
On November 15, 2010, Plaintiff's counsel sent a letter to Defendant State informing State that Plaintiff intended to pursue his legal rights and requesting that Defendants' contact counsel regarding settlement of the issue. (See Ex. Z to Mann Aff. at BSIMMONS 000048.) The next day, Simmons, on behalf of Defendants sent Plaintiff a letter informing Plaintiff that "[e]ffective November 30, 2010, your employment with LVI will terminate and you will be offered the opportunity to continue your relationship with LVI as a consultant." (Ex. Y to Mann Aff. at BSIMMONS 000038.) The letter also laid out the terms of a proposed consultancy agreement between Plaintiff and Defendants, which included a waiver of Plaintiff's age discrimination claims. (See id. at BSIMMONS 000038-41.) On November 30, 2010, Plaintiff submitted a resignation letter stating: "Effective immediately, because of the termination of my employment as Chairman of LVI Services Inc., I hereby resign all of my positions as Director and/or Officer of LVI Parent Corp., LVI Services Inc. and all of it's [sic] subsidiaries and affiliated companies." (Ex. AA to Mann Aff. at LVI 001030.) Plaintiff's employment with Defendants ended on November 30, 2010, but Defendants continued to offer Plaintiff a consultancy contract via communications with his counsel.
On December 13, 2010, Plaintiff filed suit against Defendants in the United
Defendants argue that they are entitled to summary judgment on all claims because this suit is barred by the doctrines of res judicata and collateral estoppel. Furthermore, arguing in the alternative, Defendants assert that Plaintiff's claims fail on the merits because he has failed to establish a prima facie case of age discrimination and cannot show that Defendants' proffered reason for Plaintiff's termination is pretextual. Because the Court concludes that this action is barred by the doctrine of res judicata, this opinion does not address Defendants' other arguments.
Defendants argue that the decision
Plaintiff argues, however, that because he did not have an adequate opportunity to fully and fairly litigate his CFEPA claims in the New York action, the Court should not apply res judicata to bar this action. While this has been recognized as a relevant consideration under Connecticut law, see State v. Osuch, 124 Conn.App. 572, 581 (2010), cert. denied, 299 Conn. 918 (2010) ("The appropriate inquiry with respect to claim preclusion is whether the party had an adequate opportunity to litigate the matter in the earlier proceeding."), it is not a necessary element to res judicata under federal law. See Overview Books, LLC v.
The gravamen of Plaintiff's argument appears to be that he could not have a brought his CFEPA claims in the New York action, because the CHRO only released jurisdiction over those claims after the district court had granted summary judgment in the case. Because res judicata bars only those claims that "could have been raised in that action," Legnani v. Alitalia Linee Aeree Italiane, S.p.A., 400 F.3d 139 (2d Cir.2005), Plaintiff argues that his CFEPA claims should not be barred by res judicata. Cf. Storey v. Cello Holdings, L.L.C., 347 F.3d 370, 384 (2d Cir.2003) ("Claims arising subsequent to a prior action need not, and often perhaps could not, have been brought in that prior action; accordingly, they are not barred by res judicata regardless of whether they are premised on facts representing a continuance of the same course of conduct.")
Defendants cite several cases from within this circuit where courts found that a plaintiff's subsequent suit was barred by res judicata even where he did not receive a notice of right to sue until after the prior case was decided. In Woods v. Dunlop Tire Corp., 972 F.2d 36 (2d Cir.1992), the plaintiff brought suit against her employer alleging violations of the Labor Management Relations Act ("LMRA"). Before filing suit, she had also filed charges with the EEOC, but the EEOC did not issue a Notice of Right to Sue on the plaintiff's Title VII claims until two years after her LMRA claims had been dismissed. When the plaintiff brought a second suit against her employer, asserting her Title VII claims, the district court found that her suit was barred under the doctrine of res judicata. The Second Circuit affirmed the district court's determination, holding that res judicata was appropriate in that instance, because the plaintiff could have pursued one of two alternate courses of action that would have preserved her right to bring both claims in the same suit:
Id. at 41; see also Barnes v. Royal Health Care LLC, 357 Fed.Appx. 375, 377 (2d Cir.2009) ("[Plaintiff] attempts to avoid [the effects of res judicata] by arguing that his federal employment discrimination claims were unexhausted at the time he commenced his state court action, and that he therefore could not have asserted them in that action. However, he could have either (1) commenced his state court action and then stayed the proceedings pending the outcome of his Title VII EEOC charges; or (2) amended his state court
Plaintiff attempts to distinguish Woods and Mulero because in those cases, the plaintiffs waited for years after filing their first actions to bring the subsequent suits, and because they could have requested right-to-sue letters 180 days after their EEOC complaints were filed, which would have given them ample time to amend their original complaints with their additional claims. In this case, Plaintiff requested a release of jurisdiction from the CHRO at the earliest possible date, which was after the district court granted summary judgment in the New York action. However, in Mennella v. Office of Court Administration et al, No. 97-7811, 1998 WL 650812 (2d Cir. Aug. 21, 1998), the Second Circuit extended its holding in Woods to apply to those cases where the plaintiff could not have requested a right-to-sue letter until after the original suit had been dismissed:
Id. at *2. Here, although Plaintiff received his release of jurisdiction from the CHRO on October 17, 2011, which was several days after the district court granted summary judgment in the New York action, Plaintiff filed his claim with the CHRO on May 16, 2011, before Defendants had even moved for summary judgment. Thus, Plaintiff had ample time to request a stay of the New York action pending receipt of the release of jurisdiction in order to amend his complaint to add his CFEPA claims.
In a further attempt to distinguish Woods, Plaintiff argues that his case is similar to Devlin v. Transportation Communications Intern., 175 F.3d 121 (2d Cir. 1999) and that therefore res judicata should not apply. In Devlin, the plaintiffs first brought claims under state law and ERISA in a first action, and then in a separate action filed eleven months later, asserted their ADEA claims. See id. at 128. The plaintiffs waited to file the second suit because the EEOC had not yet issued their right-to-sue letter when the first action was commenced. See id. However, when the second action was filed, it was referred to the same judge who was deciding the first-filed action and was accepted by that judge on the basis that it was a related case. See id. at 129. The Second Circuit held that res judicata should not bar the plaintiffs' second suit under these circumstances because the district court had prior notice of both actions, understood that they were related, and had the authority to consolidate them sua sponte when the second action was filed.
Plaintiff also references two district court opinions from outside this Circuit where courts found that res judicata did not bar a second suit by a plaintiff in circumstances similar to the case at bar. See Ludwig v. Quebecor Dailies, Inc., 483 F.Supp. 594 (E.D.Pa.1980); Mitchell v. Board of Trustees of Pickens County School Dist., 380 F.Supp. 197 (D.S.C.1973). While these two cases may be factually similar to the case at bar, they are outdated in that they are at odds with the Second Circuit precedent announced in Woods and extended by Mennella. In its opinion in Woods, the Second Circuit cited both Ludwig and Mitchell, but rejected their reasoning to reach the opposite conclusion under similar circumstances. See Woods, 972 F.2d at 39-40. Under Woods and Mennella, Plaintiff bore the burden of informing the Southern District of his potential CFEPA claims as soon as they were filed with the CHRO and taking action to preserve his right to assert those claims in the original suit. Based on the controlling precedent of this Circuit, Plaintiff could have brought or preserved his CFEPA claims for consideration in the New York action by requesting a stay pending the issuance of a release of jurisdiction from the CHRO, but failed to take any steps to do so. Thus, his current suit asserting his CFEPA claims is barred by the doctrine of res judicata.
For the foregoing reasons, Defendants' Motion [Doc. #47] for Summary Judgment is GRANTED. The Clerk is hereby directed to enter judgment in favor of Defendants and to close the case.
IT IS SO ORDERED.