ROBERT W. PRATT, District Judge.
Before the Court is Union Pacific Railroad Company's ("Defendant" or "UP") Motion for Summary Judgment ("Motion"), filed June 10, 2013. Clerk's No. 21. Thomas W. Ray ("Plaintiff" or "Ray") filed a resistance to the Motion on July 12, 2013. Clerk's No. 26. Defendant replied on July 22, 2013. Clerk's No. 27. The matter is fully submitted.
Plaintiff began working for Defendant on June 17, 1996. Def.'s Statement of Undisputed Material Facts in Supp. of Its Mot. For Summ. J. ("Def.'s Facts") (Clerk's No. 21.2) ¶ 1. At the time of Plaintiffs dismissal on December 30, 2009, he was employed as assistant foreman in Defendant's track repair department in Boone, Iowa. Id. ¶ 2. In this position, Plaintiff was represented by the Brotherhood of Maintenance of Way Employees Division, International Brotherhood of Teamsters ("BMWED"). Id. ¶ 3.
In April 2008, Plaintiff complained to his physician about pain in both of his knees. Id. ¶ 4. Plaintiff was diagnosed and treated for obesity and degenerative arthritis. Id. ¶ 5. Over time, Plaintiffs right knee pain worsened and, by 2009, he required surgery to repair it. Id. ¶¶ 6-7. In October 2009, Plaintiff informed his supervisor, Jim Biggerstaff ("Biggerstaff'), that he needed time off work for knee surgery. Id. ¶ 8. Biggerstaff asked Plaintiff whether the surgery was related to an on-duty injury, but Plaintiff replied that his surgery was not related to his work at the railroad. Id. ¶¶ 9-10. Defendant granted Plaintiff time off and Plaintiff had knee surgery on November 10, 2009. Id. ¶ 11.
On November 13, 2009, an attorney contacted Defendant and advised it that Plaintiff claimed to have cumulative knee injuries caused by work and that he was representing Plaintiff in connection with a potential action under the Federal Employers Liability Act ("FELA").
Rule 1.6 of Defendant's General Code of Operating Rules ("Code") provides, among other things, that "Employees must not be... Dishonest." Def.'s Facts ¶ 15; Def.'s App. in Supp. of Mot. for Summ. J. ("Def.'s App.") (Clerk's No. 21.1) at 12 8.
In his own testimony at the December 22, 2009 hearing, Plaintiff explained that he initially told Biggerstaff that his knee injuries were not work-related because he did not realize until after his surgery, while discussing it with his mother and some coworkers, that his work may have contributed to the wear and tear on his knees.
According to Defendant, its progressive disciplinary policy, known as the "UPGRADE" policy, is designed to ensure that rule violations are consistently addressed. Def.'s Facts ¶¶ 26-27; see Def.'s App. at 10 ("The intent of this policy is to provide a uniform structure to address rule and policy violations in a consistent and fair manner."). The UPGRADE policy provides that "All discipline is determined using the Discipline Assessment Table and Progressive Discipline Table." Def.'s Facts ¶ 28; Def.'s App. at 11. The Discipline Assessment Table separates Defendant's Code into five levels, with Level 1 encompassing minor rule violations and Level 5 encompassing major rule violations. Def.'s Facts ¶ 28; Def.'s App. at
Mulder appealed Plaintiff's dismissal on February 2, 2010 in a letter to Defendant's Assistant Director of Labor Relations, Justin Wayne, and requested that Plaintiff be reinstated with back pay and lost benefits. Def.'s Facts ¶¶ 34-35. Wayne reviewed the evidence and upheld Plaintiff's dismissal. Id. ¶ 36. BMWED General Chairman Wayne E. Morrow then appealed Plaintiff's dismissal to Defendant's Director of Labor Relations, Brant Hanquist ("Hanquist"), who also reviewed the evidence and upheld Plaintiff's dismissal. Id. ¶¶ 37-38. Eventually, Defendant's representatives met with BMWED representatives to attempt to resolve Plaintiff's claim and the case was referred to a Public Law Board ("PLB") for arbitration under the Railway Labor Act ("RLA").
While Plaintiff's RLA claims was pending, Defendant deposed Plaintiff in connection with a FELA claim that he had filed in Iowa state court.
The term "summary judgment" is something of a misnomer. See D. Brock Hornby, Summary Judgment Without Illusions, 13 Green Bag 2d 273 (Spring 2010). It "suggests a judicial process that is simple, abbreviated, and inexpensive," while in reality, the process is complicated, time-consuming, and expensive.
Federal Rule of Civil Procedure 56(a) provides that "[a] party may move for summary judgment, identifying each claim or defense — or the part of each claim or defense — on which summary judgment is sought." "[S]ummary judgment is an extreme remedy, and one which is not to be granted unless the movant has established his right to a judgment with such clarity as to leave no room for controversy and that the other party is not entitled to recover under any discernible circumstances." Robert Johnson Grain Co. v. Chem. Interchange Co., 541 F.2d 207, 209 (8th Cir. 1976) (citing Windsor v. Bethesda Gen. Hosp., 523 F.2d 891, 893 n. 5 (8th Cir. 1975)). The purpose of summary judgment is not "to cut litigants off from their right of trial by jury if they really have issues to try." Poller v. Columbia Broad. Sys., Inc., 368 U.S. 464, 467, 82 S.Ct. 486, 7 L.Ed.2d 458 (1962) (quoting Sartor v. Ark. Natural Gas Corp., 321 U.S. 620, 627, 64 S.Ct. 724, 88 L.Ed. 967 (1944)). Rather, it is designed to avoid "useless, expensive and time-consuming trials where there is actually no genuine, factual issue remaining to be tried." Anderson v. Viking Pump Div., Houdaille Indus., Inc., 545 F.2d 1127, 1129 (8th Cir.1976) (citing Lyons v. Bd. of Educ., 523 F.2d 340, 347 (8th Cir.1975)). Summary judgment can be entered against a party if that party fails to make a showing sufficient to establish the existence of an element essential to its case, and on which that party will bear the burden of proof at trial. See Celotex Corp. v. Catrett, 477 U.S. 317, 322, 106 S.Ct. 2548, 91 L.Ed.2d 265 (1986).
Federal Rule of Civil Procedure 56 mandates the entry of summary judgment upon motion after there has been adequate time for discovery. Summary judgment is appropriately granted when the record, viewed in the light most favorable to the nonmoving party and giving that party the benefit of all reasonable inferences, shows that there is no genuine issue of material fact, and that the moving party is therefore entitled to judgment as a matter of law. See Fed.R.Civ.P. 56(a); Harlston v. McDonnell Douglas Corp., 37 F.3d 379, 382 (8th Cir.1994). The Court does not weigh the evidence, nor does it make credibility determinations. The Court only determines whether there are any disputed issues and, if so, whether those issues are both genuine and material. See Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 252, 106 S.Ct. 2505, 91 L.Ed.2d 202 (1986); Wilson v. Myers, 823 F.2d 253, 256 (8th Cir.1987) ("Summary judgment is not designed to weed out dubious claims, but to eliminate those claims with no basis in material fact.") (citing Weight Watchers of Quebec, Ltd. v. Weight Watchers Int'l, Inc., 398 F.Supp. 1047, 1055 (E.D.N.Y. 1975)).
In a summary judgment motion, the moving party bears the initial burden of demonstrating the absence of a genuine issue of material fact based on the pleadings, depositions, answers to interrogatories, admissions on file, and affidavits, if any. See Celotex, 477 U.S. at 323, 106 S.Ct. 2548; Anderson, 477 U.S. at 248, 106 S.Ct. 2505. If the moving party has carried its burden, the nonmoving party must then go beyond its original pleadings and designate specific facts showing that there remains a genuine issue of material fact that needs to be resolved by a trial. See Fed.R.Civ.P. 56(c). This additional showing can be by affidavits, depositions, answers to interrogatories, or the admissions on file. Id.; Celotex, 477 U.S. at 322-23, 106 S.Ct. 2548; Anderson, 477 U.S. at 257, 106 S.Ct. 2505. "[T]he mere existence of some alleged factual dispute between the parties will not defeat a motion for summary judgment; the requirement is that
The FRSA was enacted in 1970 "to promote safety in every area of railroad operations and reduce railroad-related accidents." 49 U.S.C. § 20101. In 1980, the FRSA was expanded to include protections against retaliation for employees engaged in protected conduct, such as reporting violations of safety laws or refusing to work in hazardous conditions. See Fed. R.R. Safety Authorization Act of 1980, Pub. L. No. 96-423, § 10, 94 Stat. 1811 (1980). Disputes over such retaliation were "subject to resolution in accordance with the procedures set forth in section 3 of the [RLA] (45 U.S.C. [§ ]153)." Id. § 10, § 212(c)(1). The 1980 amendments also included for the first time an "election of remedies" provision, providing, "Whenever an employee of a railroad is afforded protection under this section and under any other provision of law in connection with the same allegedly unlawful act of an employer, if such employee seeks protection he must elect either to seek relief pursuant to this section or pursuant to such other provision of law." Id. § 10, § 212(c)(2)(d).
In 2007, Congress again amended the FRSA to include additional categories of protected conduct. See Implementing Recommendations of the 9/11 Commission Act of 2007, Pub. L. No. 110-53, § 1521, 1221 Stat. 266, 4444 (2007). Pursuant to these 2007 amendments, the FRSA today provides that "railroad carrier[s] ... may not discharge, demote, suspend, reprimand, or in any other way discriminate against an employee if such discrimination is due, in whole or in part, to the employee's lawful, good faith act done, or perceived by the employer to have been done or about to be done ... (4) to notify, or attempt to notify, the railroad carrier ... of a work-related personal injury or work-related illness of an employee." Id.; see 49 U.S.C. § 20109(a)(4). As well, the 2007 amendments replaced the requirement that FRSA actions proceed through the RLA arbitration process with a provision referring such cases to the Secretary of Labor. Pub. L. No. 110-53, § 1521, § 20109(c). Finally, the 2007 amendments changed the election of remedies language to the present-day language, and added subsections specifying that nothing in the FRSA preempts or diminishes other rights of employees and that the rights provided by the FRSA cannot be waived. Id.
Defendant contends that Plaintiff cannot pursue an FRSA claim because he has already challenged his discharge under the RLA. Def.'s Br. in Supp. of Mot. for Summ. J. ("Def.'s Br.") (Clerk's No. 21.3) at 15-20. In particular, Defendant points to § 20109(f) of the FRSA, entitled "Election of remedies," which provides that "[a]n employee may not seek protection under both this section and another provision of law for the same allegedly unlawful act of the railroad carrier." Id. at 15. According to Defendant, by bringing an action under the RLA § 3 First, Plaintiff "sought protection" under "another provision of law" for the same "allegedly unlawful act of Defendant" that he challenges in the present action under the FRSA. Id. at 15-17. Plaintiff counters that the election of remedies issue has already been decided in that the Administrative Review Board ("ARB"), the highest tribunal in the Department of Labor, rejected the position advanced by Defendant in the consolidated cases of Mercier v. Union Pacific Railroad and Koger v. Norfolk Southern Railway Co., Case Nos. 09-121, 09-101, 2011 WL 4915758 (ARB Sept. 21, 2011) (hereinafter "Mercier"). See Pl.'s Mem. of Law in Resp. to Def.'s Mot. for Summ. J. ("Pl.'s Br.") (Clerk's No. 26) at 12.
In Mercier, two separate plaintiffs, Michael Mercier ("Mercier") and Larry Koger ("Koger"), each had their railroad employment terminated in 2007. 2011 WL 4915758, at *2. Each filed a grievance and pursued arbitration under the RLA, and each also filed an FRSA action. Id. In Mercier's case, UP sought summary judgment, arguing as it does here that the FRSA's election of remedies provision barred Mercier from pursuing an FRSA claim after already pursuing an RLA claim. Id. In Koger's case, Norfolk Southern Railway moved to dismiss Koger's FRSA claim on the same basis. Id. at *2-3. Ultimately, the administrative law judge ("ALJ") in Mercier's case determined that the election of remedies provision in § 20109(f) did not bar Mercier's claim, while the ALJ in Koger's case determined that the same provision did bar Koger's claim. Id. UP sought interlocutory appeal, Koger appealed, and the two cases were consolidated for review before the ARB. Id.
The ARB concluded that Mercier and Koger's RLA actions did not preclude them from bringing an FRSA action because the RLA actions did not arise under "another provision of law," as required by the election of remedies provision:
Id. at *5-7.
Since Mercier, at least two district courts have concluded, as did the ARB, that § 20109(f) does not bar an FRSA action in situations where the plaintiff previously grieved and arbitrated essentially the same claim under the RLA. In Reed v. Norfolk Southern Railway Co., No. 12cv873, 2013 WL 1791694, at *4-5 (N.D.Ill. Apr. 26, 2013), the court found
Although it acknowledges that Mercier may be entitled to Chevron deference, Defendant nonetheless urges the Court not to give the ARB's decision deference "[b]ecause the ARB's reasoning is flawed and its conclusion is incorrect." Def.'s Br. at 18. In particular, Defendant argues that: 1) the RLA is "another provision of law" because "it is well-settled that grievance handling in the railroad industry... is established and governed by statute, not contract"; 2) §§ 20109(g) and (h) do not create a conflict with § 20109(f); 3) the ARB was incorrect in implying that § 20109(f) is merely a bar on double recoveries; and 4) the ARB was incorrect in implying that § 20109(f) was only meant to bar multiple actions under different federal whistleblower laws. Def.'s Br. at 18-20. The Court has carefully analyzed Defendant's arguments and finds them unconvincing. Indeed, the Court agrees with Reed that the language of § 20109 creates an ambiguity, that the ARB's decision is "reasonable," and that Mercier is entitled
The FRSA provides that an "employee who alleges discharge ... or other discrimination in violation of subsection (a) [prohibiting, among other things, discrimination for notifying an employer of a work-related personal injury] of this section, may seek relief ... by filing a complaint with the Secretary of Labor." 49 U.S.C. § 20109(d)(1). Effective with the 2007 Amendments, the FRSA procedures applicable to the Secretary's review of such a complaint are those set forth in 49 U.S.C. § 42121, the procedures applicable to the Wendell H. Ford Aviation Investment and Reform Act for the 21st Century ("AIR-21") whistleblower cases (hereinafter referred to as the "AIR-21 procedures"). See id. § 20109(d)(2)(A) (providing that such actions "shall be governed under the rules and procedures set forth in section 42121(b), including: (i) burdens of proof. — Any action brought under (d)(1) shall be governed by the legal burdens of proof set forth in section 42121(b)"). That statute provides:
49 U.S.C. § 42121(b)(2)(B). In the event the Secretary of Labor has not issued a final decision on such a complaint within 210 days after filing, "the employee may[, as Plaintiff did in the present action,] bring an original action at law or equity for de novo review in the appropriate district court of the United States." 49 U.S.C. § 20109(d)(3).
Since the 2007 amendments, only one court has undertaken significant analysis of the elements needed to sustain a claim under the FRSA. In Araujo v. New Jersey
Id. at 157; see also In re Hamilton, No. 12-022, 2013 WL 2146736, at *1 (ARB Apr. 30, 2013).
Defendant contends that Plaintiff cannot establish the first and fourth elements of a prima facie FRSA case. See Def.'s Br. at 11 ("[Plaintiff] cannot satisfy his burden of proof as to his FRSA claim based upon the evidence adduced in discovery, both because he cannot show by a preponderance of the evidence that he engaged in protected activity, and because he cannot show that protected conduct contributed to his dismissal."). The Court will address each of these two elements for Plaintiff's prima facie case in turn.
As to the first element, whether Plaintiff has shown that he engaged in protected activity, Defendant argues that Plaintiff did not engage in protected activity because he did not make his injury report "in good faith." Id. at 11-12. According to Defendant, Plaintiff "changed his story regarding the circumstances of his injury at least four times in two years," thereby precluding a reasonable jury from finding that he acted in good faith. Id. at 12. Specifically, Defendant points out that in October 2009, Plaintiff told Biggerstaff that his injury was not work related; in November 2009, he filed an injury report stating that he first became aware that his knee injury was work related a "year ago"; in December 2009, he told Biggerstaff that he was unaware that cumulative trauma could have caused his injury when he informed Biggerstaff that his injury was not work related in October; and in 2012, Plaintiff testified that he told Biggerstaff in October 2009 that his injury was not work related because he feared being fired. Def.'s Br. at 12. According to Defendant, Plaintiff's "lies are so extensive that proving that he was honest at one time merely demonstrates that he was dishonest at another." Def.'s Br. at 13. Plaintiff counters that for purposes of the
Defendant is correct that § 20109 prohibits discrimination against a railroad employee when such discrimination is due "in whole or in part, to the employee's lawful, good faith act done ... to notify ... the railroad carrier ... of a work-related personal injury." 49 U.S.C. § 20109(a)(4) (emphasis added). This statutory requirement can arguably be read into the first prima facie element, meaning that a railroad employee only "engage[s] in protected activity" under the FRSA if his notification to the employer about a work-related injury is made in good faith. This conclusion is supported by Walker v. American Airlines, Case No. 05-028, 2007 WL 1031366 (ARB Mar. 30, 2007), a case Defendant cites in support of its contention that the "FRSA does not protect false or dishonest reports." See Def.'s Br. at 11.
In Walker, Paul Walker called an airline's hotline and reported that his supervisors had "been intimidating him into signing off on tasks that have not been completed or are not safe just so they can get the plane out." 2007 WL 1031366, at *2. When Walker was interviewed by an investigator, however, he allegedly retracted the charge, "admitting that his hotline call was `false' in charging that managers knowingly released incomplete or unsafe planes." Id. at *3. Walker brought suit under AIR-21, which, as discussed supra, provides the procedures to be used in evaluating an FRSA claim. Id. at *1. Following a hearing, the ALJ determined that Walker "did not have a good faith and reasonable basis for making" the allegation about his supervisors and "concluded that the allegation in the hotline call was not protected activity." Id. at *7. The ARB affirmed, finding that there was "substantial evidence for the ALJ's finding that Walker's hotline allegation was not in good faith." Id. at *12. The ARB went on to state the "provision of `information' is protected activity only when the complainant actually `believe[s] in the existence of a violation. Here, the finding that Walker did not make his hotline call in good faith is a finding that Walker did not actually believe the charge he made in that call ... Walker's hotline call cannot qualify as protected activity." Id.
There exists a critical distinction between Walker and the present case. That is, in Walker, Walker knew that the information he provided to the hotline was false at the time it was provided. By contrast, other than his initial statement to Biggerstaff in October 2009 that his injury was not work-related, Plaintiff has maintained at all times, including when he filed his injury report in November 2009, that his injury was work-related. Even though Plaintiff has provided varying accounts about the precise contours of when and how he realized his injury was caused by his employment, Defendant does not directly challenge Plaintiffs claim that his knee problems were actually work-related.
Section 20109 does not apply the good faith requirement to all of an employee's
There is no dispute that Defendant was aware that Plaintiff engaged in a protected activity by reported a work-related injury in November 2009. There is also no dispute that Plaintiff suffered an unfavorable personnel action on December 30, 2009 when Defendant terminated his employment. Accordingly, the Court turns to the final contested factor in Plaintiff's prima facie case — whether Plaintiff's protected activity was a contributing factor in the unfavorable action.
"Considering the plain meaning of the statute, FRSA burden-shifting is much more protective of plaintiff-employees than the McDonnell Douglas framework." Araujo, 708 F.3d at 158. "The plaintiff-employee need only show that his protected activity was a `contributing factor' in the retaliatory discharge or discrimination, not the sole or even predominant cause." Id. (citing 49 U.S.C. § 42121(b)(2)(B)(ii)); see also Marano v. Dep't of Justice, 2 F.3d 1137, 1140 (Fed. Cir.1993) (finding under the Whistleblower Protection Act ("WPA") that the contributing factor test "is specifically intended to overrule existing case law, which requires a whistleblower to prove that his protected conduct was a `significant', `motivating', `substantial', or `predominant' factor in a personnel action in order to overturn that action"). "In other words, `a contributing factor is any factor, which alone or in combination with other factors, tends to affect in any way the outcome of the decision.'" Id. (citing Ameristar Airways, Inc. v. Admin. Rev. Bd., 650 F.3d 562, 567 (5th Cir.2011)). Plaintiff can establish a prima facie case that his report of a work-related injury was a contributing factor in his discharge by direct or circumstantial evidence. See Araujo, 708 F.3d at 160 (holding that neither direct evidence nor evidence of motive is required to prove the contributing factor element) (citing Desert Palace, Inc. v. Costa, 539 U.S. 90, 100, 123 S.Ct. 2148, 156 L.Ed.2d 84 (2003) and Marano, 2 F.3d at 1141); DeFrancesco v. Union R.R. Co., No. 10-114, 2012 WL 694502, at *3 (ARB Feb. 29, 2012) ("The contributing factor element of a complaint may be established by direct evidence or
DeFrancesco, 2012 WL 694502, at *3.
Here, Defendant argues that Plaintiff cannot prove that his report of a work-related injury contributed to his dismissal. Def.'s Br. at 13. According to Defendant, the "undisputed record evidence demonstrates that [Defendant] reasonably believed that Plaintiff was guilty of dishonesty and late reporting, and disciplined him for these rule violations consistent with its discipline policy." Id. In particular, Defendant argues:
Def.'s Br. at 13-15.
Plaintiff counters that the ARB has stressed that contributing causation for purposes of the FRSA analysis "is presumed in situations where the employee's protected activity and the adverse action are `inextricably intertwined.'" Pl.'s Br. at 7. Various ARB decisions, including DeFrancesco, support Plaintiffs assertion in this regard. In DeFrancesco, a rail worker reported to his employer a back injury resulting from a slip and fall on December 6, 2008. DeFrancesco, 2012 WL 694502, at *1. After watching the video of the alleged incident and reviewing reports, railroad management decided to review the worker's "discipline and injury history to determine whether he exhibited a pattern of unsafe behavior that required corrective action." Id. After reviewing the worker's history, the railroad determined that the worker violated two rules by being careless, and violated another rule by virtue of his discipline and injury history. Id. The worker was told he could accept the charges against him and be suspended for 15 days without pay, or proceed with an investigative hearing that would likely lead to his discharge. Id. at *2. The worker waived the hearing, was suspended for 15 days, and subsequently brought an FRSA action alleging retaliation for reporting a work-related injury. Id. Although OSHA
On appeal, the ARB determined "as a matter of law that [the worker's] reporting of his injury was a contributing factor in his suspension." Id. at *4. In particular, the ARB held:
Id. at *3-4; see also Hutton v. Union Pac. R.R. Co., No. 2010-FRS-020, 2013 WL 2450037, at *2 (ARB May 31, 2013) ("The ALJ erred in determining that this chain of events does not establish that Hutton's
Similarly, in Henderson v. Wheeling & Lake Erie Railway, a worker reported two work-related injuries, a back injury allegedly caused by Defendant's equipment and a neck injury allegedly caused by an air bag deploying while the worker was on duty. No. 11-013, 2012 WL 5391422, at *1 (ARB Oct. 26, 2012). The employer launched an investigation and ultimately terminated the worker for a variety of infractions, including for failing to report an injury "not later than the end of tour of duty." Id. at *2. In reversing an ALJ decision granting summary judgment to the railroad, the ARB found that since the worker was informed of the investigation a mere four days after he filed his injury report, "temporal proximity between his protected activity and the adverse action is sufficient to raise an inference of causation." Id. at *8. The ARB further stated:
Id. at *8-9.
In the present case, despite initially claiming that his knee injury was not work-related, Plaintiff filed a report with his employer on November 19, 2009 claiming the injury was the result of cumulative trauma. See Def.'s App. at 126-27. A mere five days later, Plaintiff was notified to appear for "investigation and hearing" on an allegation that he "changed the reporting of an off duty/ off company property knee surgery to reporting a cumulative trauma, on company property and on duty." Id. at 120. According to the notice of investigation and hearing, the "allegations, if substantiated, would constitute a violation of Rule 1.6 (Conduct), and Rule 1.2.5 (Reporting), among others of the General Code of Operating Rules as adopted and modified by Union Pacific." Id. As well, the notice informed Plaintiff that if he was "found to be in violation of this alleged charge, the discipline assessment may be a Level 5, and under the Carrier's UPGRADE Discipline Policy may result in permanent dismissal." Id. Plaintiff submitted to the hearing and investigation on December 22, 2009, see id. at 55-118, and was terminated for "violation of General Code of Operating Rules 1.6, and 1.2.5" on December 30, 2009. Id. at 143.
Under these circumstances and the authority recounted above, the Court finds that Plaintiff has demonstrated a genuine issue of material fact as to whether his protected activity was a contributing factor in his termination, both because of the temporal proximity between the report and the subsequent investigation, and because Plaintiffs report is inextricably intertwined with the adverse employment action. See Araujo, 708 F.3d at 161 (finding temporal proximity sufficient to establish prima facie contributory causation despite its "entirely circumstantial" nature) (citing Kewley v. Dep't of Health and Human Servs., 153 F.3d 1357, 1362 (Fed.Cir. 1998) (stating that under the WPA, "the circumstantial evidence of knowledge of the protected disclosure and a reasonable relationship between the time of the protected disclosure and the time of the personnel action will establish, prima facie, that the disclosure was a contributing factor to the personnel action")). Indeed, just as in DeFrancesco and Henderson, if Plaintiff had not reported the alleged work-related injury, Defendant would not have undertaken an investigation into either the honesty of Plaintiffs statement to Biggerstaff in October 2009 or the timeliness of Plaintiffs injury report, and Plaintiff would not have been terminated.
Since Plaintiff has established a prima facie case of FRSA retaliation, the burden of proof shifts to Defendant to show by clear and convincing evidence that it would have terminated Plaintiff regardless of his injury report. As the employer, Defendant faces a "steep burden ... under
Here, Defendant contends that it would have dismissed Plaintiff even if he had not reported an injury. Def.'s Br. at 15. "At UP, the penalty for dishonesty is discharge. UP applies this policy uniformly, regardless of the subject about which an employee is dishonest." Id. In support of this contention, Defendant points out that "[i]n the Council Bluffs Service Unit where Ray worked, nine employees engaged in dishonest conduct unrelated to an injury between 2007 and 2009. UP dismissed all nine." Id. ("UP has a zero tolerance policy for dishonesty, and it followed this policy with Ray, just as it did with all other employees charged with the same offense in the several years prior to Ray's dismissal."). In support of its assertion, Defendant cites to Hanquist's declaration and the service reports of the nine employees who Defendant claims were discharged for dishonesty. See Def.'s App. at 3-7, 29-50.
In his declaration, Hanquist states that under the UPGRADE policy, "dishonesty is classified as a Level 5 offense and results in permanent dismissal. Between 2007 and 2009, nine employees in the Council Bluffs Service Unit were disciplined for dishonest conduct in situations that did not involve injury reports. Of these employees, all nine were terminated from employment." Def.'s App. at 4 (Hanquist Decl. ¶ 6). The employee records show: 1) an employee was terminated October 3, 2008 for violations of "reporting and complying with instructions, "duty-reporting or absence," and "conduct" arising from being "dishonest & fail[ing] to provide documentation for unexcused absences" (Def.'s App. at 29); 2) an employee was terminated June 2, 2009 for violations of "vehicle maintenance," "clearing obstructions," and "conduct," for being "dishonest in failing to properly report a vehicle incident resulting in damage to company vehicle" (id. at 32); 3) an employee was terminated effective August 20, 2008 for a "conduct" violation wherein "he was dishonest in regards to his unauthorized possession of Union Pacific property which was not related to his job duties" (id. at 33); 4) an employee was terminated February 17, 2009 for a "conduct" violation wherein "he was dishonest when he cheated on his GCOR exam" (id. at 34); 5) an employee was terminated September 16, 2010 for a "conduct" violation wherein "he violated the terms of his leniency reinstatement on 08/09/10 when he admittedly failed to comply with the TE & Y attendance policy. His leniency reinstatement required that he fully comply with all the carrier rules, regulations & policies & such compliance was a condition
Defendant's own records raise a genuine issue of material fact as to whether employees are uniformly terminated for conduct violations regarding dishonesty. According to the December 30, 2009 letter terminating Plaintiffs employment, Plaintiff was found guilty of violating General Code of Operating Rules 1.6 and 1.2.5. Def.'s App. at 143. Under Defendant's UPGRADE policy, however, only the Rule 1.6 "conduct" violation was subject to a Level 5 assessment that would result in "permanent dismissal." See id. at 17 (identifying a Rule 1.2.5 violation as Level 3); id. at 20 (identifying a Rule 1.6 violation
Moreover, in resistance to Defendant's affirmative defense, Plaintiff has provided the declaration of Mulder, the now-retired Assistant General Chairman of the Unified System Division of BMWED. Pl.'s App. at 2-7. Mulder attests that he had been a union officer for over ten years at the time of Plaintiffs termination and that it was "common practice for the Union Pacific Railroad and the Council Bluffs Service Unit to discipline an employee who reported an injury." Id. at 3. Mulder claims that in his personal experience, it was the "practice that if an employee reported an injury three or so days (or more) after the injury occurred, the employee would almost certainly be charged with being dishonest, and dismissed." Id. Mulder also asserts:
Id. at 6-7. Mulder's declaration, at a minimum, heightens the Court's uncertainty as to whether Defendant always terminates employees for dishonesty conduct violations as it contends.
Under the circumstances in this case, and taking the evidence in the light most favorable to Plaintiff, the Court cannot conclude that Defendant has shown by clear and convincing evidence that it would have terminated Plaintiff even if Plaintiff had not filed an injury report. Indeed, the record demonstrates that there are genuine issues of material fact on this question that should properly be resolved by a jury.
Defendant's sole remaining argument is that the PLB made several factual findings that are binding on Plaintiff and preclude his FRSA claim. Def.'s Br. at 8-11. Specifically, Defendant contends:
Def.'s Br. at 8-9. According to Defendant, both the RLA Section 3, First and traditional collateral estoppel principles make these factual findings "binding on [Plaintiff] and dispose of his FRSA claim." Id. at 9. Specifically, Defendant asserts the following in support of its claim that it is "impossible" for Plaintiff to prove two elements of his FRSA claim: 1) "To prevail on his FRSA claim, Ray must show that he reported an injury in good faith, and that his injury report contributed to his dismissal. The PLB's conclusion that he lied about the circumstances of his injury precludes a finding that he reported the injury in good faith"; and 2) "Similarly, the PLB's conclusion that substantial evidence supported UP's discipline decision, coupled with the conclusion that management did not harass or intimidate Ray when he reported his injury, completely undermines Ray's ability to prove that his injury report contributed to his dismissal." Def.'s Br. at 10.
Title 45, United States Code § 153 First (m) provides: "The awards of the several divisions of the Adjustment Board shall be stated in writing. A copy of the awards shall be furnished to the respective parties to the controversy, and the awards shall be final and binding upon both parties to the dispute." Defendant makes no particular argument as to how this provision gives preclusive effect to the PLB's "factual findings," other than to state that this provision means that a "PLB's factual findings are binding and may not be relitigated in a later case." Def.'s Br. at 9 (citing Andrews v. Louisville & Nashville R.R., 406 U.S. 320, 325, 92 S.Ct. 1562, 32 L.Ed.2d 95 (1972), Summerville v. Trans World Airlines, Inc., 219 F.3d 855, 858 (8th Cir.2000), and Alexander v. Kan. City. S.R.R., 2011-FRS-9 at 5-6 (ALJ May 20, 2011)). Regardless, the Court notes that § 153 First (m) makes reference to "awards" being final and binding, not to specific factual findings. Given the lack of case law or other authority on the preclusive effect of § 153 First (m), the Court finds it prudent to evaluate the issue simply as a matter of collateral estoppel.
The doctrine of collateral estoppel, also known as issue preclusion, provides that "once a court has decided an issue of fact or law necessary to its judgment, the same issue cannot be relitigated in later proceedings." Winnebago Indus., Inc. v. Haverly, 727 N.W.2d 567, 571 (Iowa 2006) (citing Hunter v. City of Des Moines, 300 N.W.2d 121, 123 n. 2 (Iowa 1981)).
The PLB was tasked with determining whether substantial evidence supported Defendant's decision to terminate Plaintiff for dishonesty. See Def.'s App. at 176-83. The vast majority of the eight page order, however, does little more than recount the positions of the parties in relation to evidence that is essentially the same as the undisputed facts in this case. See id. The PLB recites that Plaintiff told Biggerstaff in October 2009 that his knee injury was not work related, Plaintiff filed an injury report asserting that his knee injury was work-related in November 2009 and claiming that he was previously unaware of cumulative trauma injuries, and Plaintiff wrote on the injury reporting form that he first became aware that his injury was potentially work-related a "year ago." Id. at 179-81. In regard to these facts, the PLB concluded that "substantial evidence was adduced at the Investigation that the Claimant was guilty as charged." Id. at 183. Upon review of the entire decision, it appears that this conclusion can only have been based on the PLB's determination that, in light of Plaintiffs statement on the injury report form that he became aware his condition was work-related a "year ago," "when [Plaintiff] told his Manager that he need to be off for surgery [on] account of off-duty injuries he knew that statement was not accurate." Id. at 181 (emphasis added).
The PLB then went on to discuss Plaintiffs January 4, 2012 deposition where he was questioned about his October 2009 statement to Biggerstaff. Id. In that deposition, Plaintiff admitted that he knew his injury was work-related in October 2009 when he spoke to Biggerstaff, but did not tell Biggerstaff because he "was afraid to lose [his] job." Id. at 181; see also id. at 188. Although it found that such concerns were not entirely unjustified, see id. at 181 ("The record indicates that [Plaintiffs] argument [that railroad carriers have "created an Injury Reporting Environment that had a chilling effect on the reporting of on-duty injuries"] is not without some merit[.]"), the PLB nonetheless was "not persuaded that harassment and intimidation played any role in [Plaintiffs] decision not to tell the truth to Manager Biggerstaff in mid-October 2009" because Plaintiff had testified at deposition that he "thought at [the time of the meeting with railroad personnel where he filled out the injury report form] that "everything was just fine. We had a nice discussion. Nobody got real mean." Id. at 181-83.
The Court finds that collateral estoppel is inapplicable in this case. The primary problem with Defendant's position is that, even if the Court accepts the relatively few "factual findings" of the PLB, i.e., that Plaintiff lied to Biggerstaff in October 2009, that Plaintiff's lie was not caused by Defendant's harassment or intimidation, and that Defendant was warranted in finding Plaintiff guilty of dishonesty, there is no "identity" between these findings and the issues in Plaintiffs FRSA claim upon which to apply the collateral estoppel doctrine. Indeed, as the Court discussed in supra § III.B. 1.a., the FRSA prohibits Defendant from discriminating against Plaintiff for his "lawful, good faith act done" to notify Defendant of a work-related personal injury. The fact that Plaintiff may have lied in October 2009 about his
For the reasons stated herein, Defendant's Motion for Summary Judgment (Clerk's No. 21) is DENIED.
IT IS SO ORDERED.
On September 13, 2013, the Court entered an Order denying Union Pacific Railroad Company's ("Defendant") Motion for Summary Judgment. Clerk's No. 35. In particular, the Court rejected Defendant's assertion that an election of remedies provision in the Federal Railway Safety Act ("FRSA") bars Thomas Ray's ("Plaintiff") action because Plaintiff already challenged his discharge from employment with Defendant under the Railway Labor Act ("RLA"). See 49 U.S.C. § 20109; 45 U.S.C. § 153. Before the Court is Defendant's Motion to Amend and Certify Order for Interlocutory Appeal Pursuant to 28 U.S.C. § 1292(b) and for a Stay of Proceedings Pending Appeal, filed October 1, 2013. Clerk's No. 36. Plaintiff filed a resistance to the Motion on October 14, 2013. Clerk's No. 37. The matter is fully submitted.
The Eighth Circuit Court of Appeals has held that certification of a § 1292(b) interlocutory appeal is an "extraordinary course," which requires that three criteria be satisfied: "`(1) the order involves a controlling question of law; (2) there is substantia] ground for difference of opinion; and (3) certification will materially advance the ultimate termination of the litigation.'"
In its request for certification, Defendant argues the second element — that there is substantial ground for difference of opinion — is satisfied because: 1) the Eighth Circuit has not yet addressed the issue
Perhaps most compellingly, the Court finds that Defendant has failed to demonstrate the third element necessary for certification — that an immediate appeal will "materially advance the ultimate termination of the litigation." Defendant is correct that if this Court certifies the matter, and if the Eighth Circuit agrees with Defendant's position that the FRSA's election of remedies provision bars Plaintiff's action, "this litigation will end." Def.'s Br. at 6-7. The Court cannot, however, ignore the reasonable likelihood of an alternate outcome, namely that the Court of Appeals would affirm this Court's ruling on the election of remedies issue. Indeed, if this latter scenario comes to fruition, the litigation in this matter will have been dramatically and unnecessarily prolonged, at significant expense to both parties, by an interlocutory appeal. Given that the case is ready to proceed to an estimated fiveday trial, the Court sees no particular gain to be had by staying the matter and awaiting a potential interlocutory appeal. Indeed, the ultimate termination of this litigation is likely to occur far more quickly if trial is conducted and the parties present all their claims of error in a single appeal following trial.
For the reasons stated herein, Defendant's Motion to Amend and Certify Order for Interlocutory Appeal Pursuant to 28 U.S.C. § 1292(b) and for a Stay of Proceedings Pending Appeal (Clerk's No. 36) is DENIED.
IT IS SO ORDERED.
Id.
The Court notes that Plaintiff's responses to Defendant's material facts are not compliant with the Court's Local Rules, which provide: "A response to an individual statement of material fact that is not expressly admitted must be supported by references to those specific pages, paragraphs, or parts of the pleadings, depositions, answers to interrogatories, admissions, exhibits, and affidavits that support the resisting party's refusal to admit the statement, with citations to the appendix containing that part of the record." LR 56(b) (emphasis added). Plaintiff's counsel is reminded that all litigants in this Court are expected to comply fully with the Local Rules.