Cox v. Massachusetts Department of Correction, et.al.
Filing
225
Judge F. Dennis Saylor, IV: ORDER entered. MEMORANDUM AND ORDER ON DEFENDANT'S POST-TRIAL MOTIONS. (Pezzarossi, Lisa)
UNITED STATES DISTRICT COURT
DISTRICT OF MASSACHUSETTS
___________________________________________
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WILLIAM COX,
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Plaintiff,
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v.
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MASSACHUSETTS DEPARTMENT OF
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CORRECTION,
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Defendant.
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___________________________________________)
Civil Action No.
13-10379-FDS
MEMORANDUM AND ORDER ON
DEFENDANT’S POST-TRIAL MOTIONS
SAYLOR, J.
This is an action brought by a mentally-disabled state prisoner asserting claims under the
Americans with Disability Act, 42 U.S.C. § 12101 et seq. Plaintiff William Cox contends that he
was the victim of discrimination on the basis of disability because he was denied adequate access
to (1) procedures to obtain medical care, (2) procedures to report and resolve grievances, (3)
procedures to report physical or sexual assaults, and (4) use of telephones. After a trial, a jury
found in his favor on those claims and awarded him money damages. 1 Defendant Massachusetts
Department of Correction has moved for judgment in its favor as a matter of law under Fed. R.
Civ. P. 50 and for remittitur or (in the alternative) for a new trial under Fed. R. Civ. P. 59(e) and
(a).
The basic question before the Court is whether the verdict should be overturned, in whole
1
Cox has sought both money damages and injunctive relief in this proceeding; this memorandum and order
resolves only the issue of money damages, leaving open the issue of injunctive relief.
or in part, on grounds of lack of evidence or sovereign immunity. The issue, of course, is not
whether Cox is an unsympathetic figure (he is a convicted murderer serving a life sentence) or a
sympathetic figure (he is a mentally disabled man who was sexually assaulted in prison). Nor is
the issue whether the procedures at issue are ideal in all respects. Rather, it is whether—under
the complex procedural interplay between the ADA, principles of sovereign immunity, and the
Constitution—the award of money damages should be upheld. For the reasons set forth below,
the motions will be granted in part and denied in part.
I.
Background
William Cox is a 57-year-old inmate currently serving a life sentence in Massachusetts
state prison for a conviction of second-degree murder in 2007. 2 He is mentally disabled and has
an intelligence quotient (“IQ”) of 51. (Tr. 3:65). He is unable to read, write, and dial a
telephone without assistance. (Tr. 2:45-46; 3:68, 92). Since 2009, he has been housed in the
residential-treatment unit (“RTU”), a specialized unit for inmates with mental-health problems.
(Tr. 3:23, 37).
At trial, Cox presented evidence concerning his inability to access various prison
programs and services. He presented evidence that, due to his inability to write, he was unable to
fill out sick-call slips to request medical attention. (Tr. 2:47). There was evidence that he
sometimes experienced delays in receiving medical care, although the length of the delays and
their cause is unclear. He testified that other inmates help him fill out sick-call slips, and that, in
exchange, he is often required to barter with them, generally by giving them items he has
purchased through the prison commissary system, such as chips, coffee, or pastries. (Tr. 5:12728). Because he is required to barter for favors, he believes that he is more vulnerable to
2
The jury in this matter was not advised of the nature of the crime for which Cox had been sentenced.
2
exploitation by other prisoners.
Cox also presented evidence that his inability to write prevented him from making full
use of the prison grievance system, and that, as with sick-call slips, he had to give other inmates
items from his commissary in exchange for their help writing out grievance forms. (Tr. 5:128).
Cox also presented evidence concerning his inability to dial the telephone. Again, he
testified that he sometimes gave other inmates items from his commissary in exchange for their
help dialing the telephone. (Tr. 5:127-28).
His inability to dial the telephone also restricted his ability to use the confidential hotline
to report instances of sexual assault, referred to as the “PREA” hotline in reference to the Prison
Rape Elimination Act, 34 U.S.C. § 30301 et seq. (Tr. 2:59-60, 92). There was testimony at trial
that he was the victim of a sexual assault committed by other inmates, in which other inmates
inserted a deodorant bottle in his anus. (Tr. 2:55-57). There was also testimony that another
inmate who witnessed the incident called the PREA hotline on Cox’s behalf to report it. (Tr.
5:114; 2:88).
Prior to that incident, the same inmates who sexually assaulted Cox at least twice pulled
his pants down and made fun of the size of his penis. (Tr. 2:61-63; 5:111, 122). Cox testified
that he reported the incidents to corrections officers, but that they told him that it was his fault
and “never done nothing about it.” (Tr. 5:111, 122).
An inmate named George Stallings testified that he occasionally helped Cox make phone
calls or write letters. (Tr. 2:63). Stallings testified in general terms that when Cox asked
corrections officers for assistance, they would refuse to help, and instead “laugh, clown at him,”
and say things like “‘look at this clown’ or ‘look at this guy, is he serious?’” (Tr. 2:64).
The DOC presented testimony that placement in the RTU meant that Cox had access to
3
the “very highest level of general population care [available] in the Department of Correction.”
(Tr. 3:131). There was testimony that the mental-health clinicians who staffed the RTU were
available to help inmates with things such as reading or writing letters or forms and dialing the
telephone. (Tr. 3:56-57, 93; 6:97). There was also testimony that Cox had daily access to nurses
and mental-health clinicians, from whom he could seek assistance at any time. (Tr. 6:94, 113,
3:54).
The jury returned a verdict in favor of Cox and against the DOC on most of his ADA
claims, finding that he lacked meaningful access to (1) procedures to obtain medical care; (2)
procedures to report and resolve grievances; (3) procedures to report physical or sexual threats or
assaults; and (4) use of telephones. (Docket No. 199 at 1-2). 3 The jury awarded damages in the
amount of $250,000, broken down between the different claims as follows: $50,000 for lack of
access to procedures to obtain medical care; $25,000 for lack of access to procedures to report
and resolve grievances; $150,000 for lack of access to procedures to report physical and sexual
threats or assaults; and $25,000 for lack of access to telephones. (Id. at 3).
The DOC has moved for post-trial relief in the form of judgment as a matter of law,
sovereign immunity as to the damages award, and remittitur or, in the alternative, a new trial on
damages.
II.
Analysis
A.
Judgment as a Matter of Law
The DOC has moved for judgment as a matter of law pursuant to Fed. R. Civ. P. 50(b). It
contends that judgment in its favor is warranted because (1) the evidence presented at trial
3
The jury found in favor of Steven J. O’Brien, the Superintendent of the Massachusetts Department of
Correction, who had been sued in his official capacity. It also found for defendants on a claim that Cox’s disability
prevented him from having meaningful access to the shower.
4
showed that Cox had meaningful access to prison programs and services and (2) the evidence did
not support a finding of intentional discrimination, as is required to award compensatory
damages under the ADA. It has further moved for judgment as a matter of law on the ground of
sovereign immunity.
1.
Whether the Claims Are Preserved
A Rule 50(b) motion for judgment as a matter of law is “bounded by the movant’s earlier
Rule 50(a) motion.” Parker v. Gerrish, 547 F.3d 1, 12 (1st Cir. 2008) (internal quotation marks
omitted). Such a motion cannot be used to “introduce a legal theory not distinctly articulated in
[the movant’s] close-of-evidence motion for a directed verdict.” Id. (internal quotation marks
omitted); accord Costa-Urena v. Segarra, 590 F.3d 18, 26 n.4 (1st Cir. 2009) (“It is wellestablished that arguments not made in a motion for judgment as a matter of law under Rule
50(a) cannot then be advanced in a renewed motion for judgment as a matter of law under Rule
50(b).”); Fed. R. Civ. P. 50 Advisory Committee’s Notes, 2006 Amendments (“Because the Rule
50(b) motion is only a renewal of the preverdict motion, it can be granted only on grounds
advanced in the preverdict motion.”).
Defendants filed two pre-verdict Rule 50(a) motions, one at the close of Cox’s case and
the other at the close of all the evidence. Those motions focused primarily on the claim against
defendant O’Brien in his individual capacity. (See Docket No. 194 at 1-8; Docket No. 195 at 18). As to the ADA claim against the DOC, the motions focused primarily on the issue of
sovereign immunity. (See Docket No. 194 at 8-10; Docket No. 195 at 8-10).
As part of its argument on sovereign immunity, the DOC contended that “the plaintiff has
failed to produce evidence to prove each element” of his ADA claim. (Docket No. 194 at 8;
Docket No. 195 at 8). It went on to state:
5
[Cox] has failed to produce evidence that the Department of Correction denied
[him] access to prison services with a discriminatory purpose, a required element
of his claim. [He] has failed to show that there was anything different about the
way he was treated “by reason of . . . disability.” [He] has failed to show that his
disability was a substantial cause of the exclusion or denial of any reasonable
accommodation. In order for his claim to survive, [he] must allege causation
between the alleged discrimination and his disability. [He] has failed to show that
the defendant violated Title II with respect to any of the alleged services he was
denied—assistance using [the] telephone, assistance filing grievances, assistance
writing sick slips, and assistance cleaning his cell or using the shower.
(Docket No. 194 at 8-9; Docket No. 195 at 8-9) (internal citations omitted). At oral argument on
the motion, defendants presented argument on the claims against O’Brien and the issue of
sovereign immunity only. (See Tr. 6:19-24). As to sovereign immunity, the DOC argued that
Cox had failed to show “any injury to . . . even with respect to any lost opportunity” to access
prison programs and services and that “Cox has failed to show any injury with respect to the
specific claims under the ADA with respect to medical care, the grievance procedures, telephone,
[and] showers.” (Id. at 21, 24). In context, however, it is unclear whether the DOC’s arguments
were made under the standards of the ADA itself or the standards of the constitutional provisions
relevant to each claim.
Thus, there is some ambiguity as to whether the DOC directly challenged the sufficiency
of the evidence to support Cox’s ADA claims in its earlier Rule 50(a) motions. However, the
first step in the relevant sovereign-immunity analysis is whether the plaintiff has stated a viable
ADA claim. See United States v. Georgia, 546 U.S. 151, 159 (2006). Accordingly, its Rule
50(b) motion does not introduce a wholly new legal theory or argument. The Court will
therefore proceed to the merits of the motion.
2.
Whether Judgment as a Matter of Law Is Appropriate
A motion for judgment as a matter of law may be granted only “when, after examining
the evidence of record and drawing all inferences in favor of the nonmoving party, the record
6
reveals no sufficient evidentiary basis for the verdict.” Zimmerman v. Direct Fed. Credit Union,
262 F.3d 70, 75 (1st Cir. 2001). When considering a motion for judgment as a matter of law,
“the court may not weigh the evidence, undertake credibility determinations, or engage in
differential factfinding.” Id. Rather, “the jury’s verdict must stand unless the evidence, taken in
the light most favorable to the prevailing party, points unerringly to an opposite conclusion.” Id.
To succeed on a claim under Title II of the ADA, a plaintiff must establish “(1) that he is
a qualified individual with a disability; (2) that he was either excluded from participation in or
denied the benefits of some public entity’s services, programs, or activities or was otherwise
discriminated against; and (3) that such exclusion, denial of benefits, or discrimination was by
reason of the plaintiff’s disability.” Parker v. Universidad de Puerto Rico, 225 F.3d 1, 5 (1st
Cir. 2000). The second prong generally requires that a plaintiff show that he was denied
“‘meaningful access’ to government benefits and programs,” meaning that the defendant failed
to take “reasonable steps to ensure that [the plaintiff] can take advantage of” its benefits and
programs. Theriault v. Flynn, 162 F.3d 46, 48 (1st Cir. 1998).
Here, it is undisputed that due to his intellectual disabilities, Cox is unable to read, write,
or dial a telephone. The DOC contends that the evidence presented at trial failed to establish that
those limitations prevented him from accessing the prison programs and services at issue.
For the reasons set forth below, the evidence here is sufficient, if sometimes marginally
so, to establish that Cox was denied access to (1) procedures to obtain medical care, (2)
procedures to report and resolve grievances, and (3) procedures to report physical and sexual
assault. It is not sufficient, however, to establish that he was denied meaningful access to the use
of telephones, and for that reason, the motion for judgment as a matter of law will be granted as
to that claim.
7
a.
Evidence of Denial of Access to Programs and Services
(1)
Procedures to Obtain Medical Care
The DOC contends that the evidence presented at trial did not establish that Cox was
denied meaningful access to procedures to obtain medical care. In particular, it contends that the
evidence showed that he does not need to write a sick slip in order to receive medical care, but
could simply ask any member of the staff, including his mental-health clinicians or the nurses
that he sees daily to receive insulin injections, that he needs to see medical staff.
At trial, Karen Dinardo, the deputy superintendent of re-entry at North Central
Correctional Institute-Gardner and the ADA coordinator, testified that Cox could access medical
care by “ask[ing] staff, let[ting] staff know that he is in need of service,” or asking a nurse in the
insulin line who “would make sure that he was seen by somebody if he was experiencing any
difficulty.” (Tr. 6:113). Andrea Mitchell, Cox’s mental-health clinician, also testified that she
sees him on a daily basis and would “[a]bsolutely” assist him with writing a sick-call slip if he
asked. (Tr. 6:94). Mitzi Peterson, the director of behavioral health for the DOC, testified that an
inmate could approach staff on the unit doing rounds to verbally ask for medical assistance. (Tr.
3:54). Cox himself also testified that his mental-health clinicians “help[] me any time I ask” and
that he can “go down to medical, they help me, too. I go down to medical and ask the people
who runs [sic] it.” (Tr. 5:138).
However, another inmate, George Stallings, testified that an inmate could “[a]bsolutely
not” just show up at the medical unit and receive treatment. (Tr. 2:47). Cox testified that
sometimes medical staff or mental health staff told him they were too busy to help him, and
would tell him to go back to his unit. (Tr. 5:132-33). 4 There was also evidence from which the
4
He also testified that corrections officers would sometimes tell him to “go back to his room” when he
asked them for help. (Tr. 5:133).
8
jury might have reasonably inferred that when Cox asked for medical attention, he was told that
he needed to fill out a sick-call slip in order to be seen. (Trial Ex. 1.1563 (sick-call slip,
apparently filled out by another inmate, stating “I want to know why I haven’t seen a doctor? As
told by Carol (nurse H.S.U). Please help. Thank you.”); Trial Ex. 1.1849 (sick-call slip,
apparently filled out by another inmate, stating “At approx. 9 AM during med. line I informed
nurse Tracy of bowl bleading [sic] when I poop. When I wipe the blood pours from me.”)). The
sick call request forms in evidence contain a number of complaints from Cox about delays. (See,
e.g., Exs. 1.1563, 1.1742, 1.2111, 1.2112). Cox testified that when other inmates helped him fill
out a sick slip, he would give them “my pastry, like cupcake, anything.” (Tr. 5:128).
As noted, Stallings testified that as a general matter, corrections officers would make fun
of Cox if he asked for assistance. (Tr. 2:64). Stallings did not specifically testify, however, that
corrections officers refused to assist Cox in filling out sick-call slips.
It is far from clear that the evidence as to the claim of denial of adequate access to
medical care is sufficient to sustain the verdict. There was unrebutted evidence that Cox had
daily access to medical and mental-health professionals who could (and would) assist him in
obtaining any required care. Medical resources are limited, even outside of prisons, and delays
in obtaining non-emergency care are commonplace; a delay by no means automatically equates
to a denial, or even the provision of substandard care. The question is further complicated by the
prison environment. It is reasonable for prisons to require orderly procedures for seeking
medical treatment, and not simply permit prisoners to simply show up at the clinic and receive
treatment on demand. The requirement of a written slip for non-emergency treatment is not
unreasonable, even for a mentally disabled prisoner, as long as assistance in filling out the slip is
provided.
9
On the other hand, prisoners are at the mercy of the staff, and they cannot seek care
elsewhere if their requests are ignored. There was some evidence that corrections officers did
not provide assistance in obtaining care, and instead made fun of Cox. Cox testified that (in
effect) he had to pay inmates to help him fill out sick slips. And there is some evidence of delays
in obtaining access to health care.
Accordingly, the Court will not overturn the verdict concerning Cox’s access to
procedures to request medical care because the evidence, viewed in the light most favorable to
him, does not “point[] unerringly to an opposite conclusion.” Zimmerman, 262 F.3d at 75.
(2)
Procedures to Report and Resolve Grievances
The DOC further contends that the evidence at trial failed to establish that Cox lacked
meaningful access to procedures to report and resolve grievances. It points to evidence that Cox
is able to advocate for himself and has in fact “advocated for himself in interpersonal struggles
with others, with issues with roommates.” (Tr. 3:125 (testimony of Mitzi Peterson)). There is
also evidence that, on at least one occasion, he spoke to a mental-health clinician about another
inmate who “provokes” him. (Tr. 3:60). 5
The DOC also points to evidence that Cox’s mental-health clinicians are available for
confidential meetings and can provide assistance with reading and writing. (Tr. 6:86-88). There
was evidence that if an inmate reported to a mental-health clinician that he was afraid that
someone else was going to harm him, that clinician would report that to the shift commander and
file a confidential incident report for the superintendent’s review. (Tr. 3:55). Finally, there was
evidence that inmates can report problems to DOC staff during staff rounds or staff access hour,
during which inmates can report problems or complaints to DOC officials from the
5
There was no evidence presented of any steps taken to resolve the apparent conflict with that other
inmate.
10
superintendent’s administration. (Tr. 2:67; Tr. 6:111).
However, there was also some evidence that Cox may have lacked meaningful access to
grievance procedures. For example, Prisoners’ Legal Services attorney Lauren Petit testified
that, to her knowledge, no DOC staff member had ever helped Cox file a grievance. (Tr. 4:81).
There was evidence from which the jury could conclude that Cox lacks the mental capacity to
advocate on his own behalf and proactively seek out assistance from staff members. (See Tr.
3:65-68 (discussing Cox’s IQ and intellectual capabilities); Tr. 4:100 (testimony by attorney
Lauren Petit that Cox is “unable to . . . understand the information that he would need to present
in order to substantiate what his needs are” and that his ability to express his needs is “very
limited”)). Cox testified that he “wouldn’t fill out no grievance,” but that if other inmates helped
him, he would give them something. (Tr. 5:128). And as noted, there was testimony from
Stallings that corrections officers were generally not responsive to Cox’s requests for assistance.
(See Tr. 2:64).
Again, it is far from clear whether the evidence on this issue is sufficient. Because Cox is
illiterate and has limited intellectual capacity, he will never be able to put grievances in writing
without assistance, and will always have difficulty advocating for himself and seeking out the
help of staff, regardless of what procedures are in place. There is no evidence that he ever
actually attempted to file a grievance and failed, was prevented from filing a grievance, or
suffered an injury that could have been resolved by a grievance. 6
Nonetheless, again the Court will not overturn the jury’s verdict as to this issue because
6
The closest the evidence comes to establishing such an injury is Cox’s testimony that he had a bag of
coffee and corn chips stolen by another prisoner from his cell; that he had a cassette player stolen by a different
prisoner; that he told his mental-health worker about the thefts; and that the prisoner responsible for the cassetteplayer theft was not punished for it. (Tr. 5:113-14). There was no evidence, however, as to any effort by Cox to file
a grievance as to those incidents, or whether or how the grievance process might have resolved the situation.
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the evidence, viewed in the light most favorable to plaintiff, does not “point[] unerringly to an
opposite conclusion.” Zimmerman, 262 F.3d at 75.
(3)
Procedures to Report Physical and Sexual Assault
The DOC next contends that the evidence at trial failed to establish that Cox was denied
meaningful access to procedures to report physical and sexual assaults. It points to evidence that
he was able to report any problems to DOC staff, including mental-health clinicians, corrections
officers, and other officials during either staff rounds or staff access hour. It also points to
evidence that he has monthly confidential meetings with his mental-health clinician, that he
could request additional confidential meetings if necessary, and that if he reported any instance
of physical or sexual assault to his clinician, that person would then file an incident report for the
superintendent’s review. (Tr. 3:55; 6:86-87). Thus, the DOC contends that his inability to dial a
telephone and use the confidential PREA hotline did not prevent him from reporting assaults in
other ways.
As noted, there was evidence that DOC staff were not always responsive to Cox’s
requests for assistance. Cox testified that he reported to corrections officers that other inmates—
the same inmates who later sexually assaulted him—were pulling down his pants, laughing at
him, and making fun of the size of his penis, but that the officers did nothing about it. (Tr.
5:111, 122). Again, there was also testimony from Stallings that when Cox asked corrections
officers for help, they would “laugh at him” or call him a “clown.” (Tr. 2:64). Furthermore,
there was testimony from Stallings that the PREA hotline was necessary to provide a confidential
means of reporting assault so that the individual making the report would not be labelled a “rat,”
which could have consequences for that prisoner’s safety. (Tr. 2:91-92). Arguably, the earlier
refusal of the guards to respond to the earlier incidents contributed, at least in part, to the
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subsequent sexual assault of Cox.
Again, it is not at all clear that the evidence as to this issue was sufficient. If Cox cannot
use a telephone without the assistance of others, he will never be able to access the PREA
hotline, and will always have to rely on oral reports to staff or the assistance of staff.
Nonetheless, again the Court will not overturn the verdict, as it is not plainly against the weight
of the evidence.
(4)
Access to Telephones
Finally, the DOC contends that the evidence presented at trial does not support the jury’s
verdict that Cox lacked meaningful access to use of the telephone. It points to testimony that
clinical staff would be available to help him dial a telephone if he requested that help. (Tr. 6:97).
It also points to Cox’s own testimony concerning his ability to ask his clinician to help him place
a telephone call. While Cox did testify that he asked his mental-health clinician to help him call
his family, his testimony on the issue was ambiguous at best. He testified that he sometimes
asked a particular mental-health caseworker to call his brother or sister and he seemed to suggest
that she helped him when he requested. (Tr. 5:138). When he was asked whether his “case
workers help [him] dial the phone,” he responded, “[s]he don’t dial the phone, I’ll ask her, she’ll
turn around and call in the office for me.” (Tr. 5:140). He also testified that “sometimes” when
he wants to make a phone call, he asks other inmates for help and that he will give them “a bag
of coffee or a bag of chips.” (Tr. 5:127-28).
As to this issue, there is insufficient evidence to sustain the verdict. There was no
testimony that anyone on DOC staff ever refused to help him dial the phone, or that his access
was impeded in any meaningful way, or that he could not make calls unless he paid other
inmates. It is true that inmate Stallings testified in general terms that corrections officers did not
13
assist Cox. But there is no evidence tying any such refusal, directly or indirectly, to the use of
the telephone, and Cox’s testimony seems to suggest the contrary. Accordingly, the verdict will
be overturned as to that issue, and judgment as a matter of law will be granted as to Cox’s ability
to access the telephone.
b.
Evidence of Intentional Discrimination
It is well-settled that “private individuals may recover compensatory damages under . . .
Title II only for intentional discrimination.” Nieves-Marquez v. Puerto Rico, 353 F.3d 108, 126
(1st Cir. 2003). Many circuit courts have held that the applicable standard for proving
intentional discrimination is one of “deliberate indifference.” See, e.g., S.H. ex rel. Durrell v.
Lower Merion Sch. Dist., 729 F.3d 248, 263 (3d Cir. 2013); Liese v. Indian River Cnty. Hosp.
Dist., 701 F.3d 334, 348 (11th Cir. 2012); Meagley v. City of Little Rock, 639 F.3d 384, 389 (8th
Cir. 2011); Barber ex rel. Barber v. Colo. Dep’t of Revenue, 562 F.3d 1222, 1228-29 (10th Cir.
2009); Mark H. v. Lemahieu, 513 F.3d 922, 938 (9th Cir. 2008); Garcia v. S.U.N.Y. Health Scis.
Ctr. of Brooklyn, 280 F.3d 98, 115 (2d Cir. 2001). However, the First Circuit appears to have
adopted the more stringent standard of “discriminatory animus.” Nieves-Marquez, 353 F.3d at
126-27; Carmona-Rivera v. Puerto Rico, 464 F.3d 14, 17-18 (1st Cir. 2006).
Proof of “deliberate indifference” “does not require a showing of personal ill will or
animosity toward the disabled person.” Meagley, 639 F.3d at 389. Rather, the test for deliberate
indifference is comprised of two prongs: (1) “knowledge that a harm to a federally protected
right is substantially likely,” and (2) “a failure to act upon that . . . likelihood.” Barber, 562 F.3d
at 1229 (citing Duvall, 260 F.3d at 1139). By contrast, proof of “discriminatory animus”
requires a showing that a defendant intended to discriminate against a plaintiff based on his
disability. See Liese, 701 F.3d at 344 (“Discriminatory animus . . . requires a showing of
14
prejudice, spite, or ill will.”); see also Laurin v. Providence Hosp., 150 F.3d 52, 58 (1st Cir.
1998) (finding that direct evidence is usually needed to prove discriminatory animus); Moebius
v. Tharperobbins Co., 2016 WL 6476941, at *17-18 (D. Mass. Nov. 1, 2016).
The DOC contends that the evidence at trial failed to establish intentional discrimination,
and that he could access all of the programs and services at issue by approaching DOC staff and
asking for their assistance. Because the claims survive under either standard, the Court will
assume, without deciding, that intentional discrimination under the ADA must be established
under a “deliberate indifference” standard. See Liese, 701 F.3d 334, 345-48.
The evidence that DOC was deliberately indifferent to Cox’s right to be free from
disability discrimination is relatively thin. First, Cox argues that there was evidence that the
DOC knew that he lacked the ability to advocate on his own behalf and that being required to
approach staff for assistance was therefore a likely barrier to his ability to access the programs
and services at issue. 7 But knowledge that Cox faced barriers is not the same as deliberate
indifference to his ability to surmount those barriers. Because of his mental limitations, as a
practical matter Cox could never access the programs and services at issue without the assistance
of staff. This is not a situation where the prison could remove the barriers by building a ramp, or
widening a doorway, or providing a piece of technical equipment. Indeed, Cox has put forth no
evidence of reasonable alternatives under which he could have reasonable access to the programs
and services at issue without staff assistance. The fact that he was required to seek assistance is
therefore inadequate, standing alone, to show deliberate indifference.
Second, Cox contends that DOC staff refused to assist him when he did seek their help.
7
For example, Prisoners’ Legal Services attorney Lauren Petit testified that she wrote a letter to the
Director of Classification, Carol Mici, stating that Cox “does not appear to have the wherewithal to appropriately
represent himself or his needs.” (Tr. 4:67-69).
15
Of course, evidence that staff was not as completely responsive as they might have been, or that
they were not as proactive, is not sufficient to constitute deliberate indifference. The issue is not
whether that Cox’s access to the relevant programs and services was ideal; it is whether the
individuals responsible for that access actually knew that his rights as a disabled person were
being violated, or were likely to be violated, and failed to take the necessary steps to ensure his
access to the relevant programs and services.
The principal evidence of such refusal concerns corrections officers, rather than medical
or mental-health professionals. But corrections officers are DOC staff, no less than medical or
mental-health professionals, and any indifference of such officers is properly attributable to the
DOC. Moreover, it is not unreasonable under the circumstances to infer a causal relationship
between Cox’s disability and the officers’ failure to assist him. That evidence is not strong, but
it is evidence from which a reasonable jury could have found deliberate indifference.
Accordingly, under the circumstances, there was sufficient evidence from which the jury
could have reasonably concluded that DOC corrections officers “knew that harm to a federally
protected right was substantially likely and . . . failed to act on that likelihood” as to Cox’s access
to procedures to obtain medical care report grievances, and report sexual or physical assault. See
Liese, 701 F.3d at 344. 8
2.
Sovereign Immunity
The DOC also seeks entry of judgment as to the damages award on the ground of
sovereign immunity.
8
Defendant contends that “[i]f the Department was deliberately indifferent and purposefully trying to
avoid its obligations under the ADA, Mr. Cox would likely not reside in [the RTU].” (Def. Mem. at 22). However,
the fact that Cox was housed in the RTU is not enough to show a lack of deliberate indifference. In other words, if
the evidence at trial, viewed in the light most favorable to Cox, supports the conclusion that the DOC knew that the
RTU placement itself was likely insufficient to ensure that he had meaningful access to the programs and services at
issue, then judgment as a matter of law is not warranted.
16
a.
The Legal Framework
In United States v. Georgia, 546 U.S. 151 (2006), the Supreme Court held that Title II of
the ADA validly abrogates state sovereign immunity insofar as it “creates a private cause of
action for damages against the States for conduct that actually violates the Fourteenth
Amendment.” Id. at 159 (emphasis in original). For claims involving conduct that does not
actually violate the Fourteenth Amendment, Title II may nonetheless abrogate sovereign
immunity if Congress’s proscription of that “class of conduct” constitutes a valid exercise of its §
5 enforcement powers. See id.; City of Boerne v. Flores, 521 U.S. 507 (1997); see also
Tennessee v. Lane, 541 U.S. 509, 522-34 (2004) (applying Boerne to analyze abrogation of state
sovereign immunity under Title II). Under § 5, Congress may act prophylactically to deter
violations of the Fourteenth Amendment “by prohibiting a somewhat broader swath of conduct,
including that which is not itself forbidden by the Amendment’s text.” Lane, 541 U.S. at 518
(internal quotation marks omitted).
The Fourteenth Amendment provides that states may not deprive persons of life, liberty,
or property without due process of law. U.S. Const. Amend. XIV. In addition, the due-process
clause of the Fourteenth Amendment has been interpreted to “incorporate” various specific
constitutional rights and make them applicable to the states. Those rights include, among others,
the right to be free from cruel and unusual punishments under the Eighth Amendment and the
right to petition for redress of grievances under the First Amendment. See Robinson v.
California, 370 U.S. 660 (1962) (Eighth Amendment); Edwards v. South Carolina, 372 U.S. 229
(1963) (First Amendment).
Whether legislation is a valid exercise of Congress’s § 5 enforcement powers is
determined under a three-pronged inquiry: (1) first, the court must “identify with some precision
17
the scope of the constitutional right at issue,” Bd. of Trustees of Univ. of Ala. v. Garrett, 531 U.S.
346, 365 (2001); (2) second, the court must determine whether Congress identified a history and
pattern of unconstitutional conduct by the states with respect to that right, id. at 368; and (3)
third, the legislation must be a “congruent and proportional response to [the] history and pattern
of unconstitutional discrimination,” Toledo v. Sanchez, 454 F.3d 24, 39 (1st Cir. 2006). In the
First Circuit, the analysis focuses “on the particular category of state conduct at issue,” rather
than on the full range of constitutional rights protected under the ADA and the concomitant wide
range of state conduct potentially violating those rights. Toledo, 454 F.3d at 35.
Abrogation of sovereign immunity under Title II is determined on a claim-by-claim basis.
See Georgia, 546 U.S. at 159. Thus, for each claimed ADA violation, the complained-of
conduct (1) must violate Title II and (2) either (a) must violate the Fourteenth Amendment or (b)
its proscription must bear congruence and proportionality to the rights protected under that
Amendment. See id.; Buchanan v. Maine, 469 F.3d 158, 172-73 (1st Cir. 2006).
When an immunity defense is pressed after a jury verdict, “the evidence must be
construed in the light most hospitable to the party that prevailed at trial. . . . [D]eference should
be accorded to the jury’s discernible resolution of disputed factual issues.” Iacobucci v. Boulter,
193 F.3d 14, 23 (1st Cir. 1999).
In returning its verdict, the jury necessarily found that Cox was denied “meaningful
access to the benefits” of the programs and services at issue; that he either requested reasonable
accommodations or that his need for accommodations was obvious; and that he was denied the
benefit those services “by reason of his disability.” (Tr. 7:100-02). By awarding damages on
those claims, the jury necessarily found that the DOC “‘intentionally’ discriminated against
[Cox] on the basis of his disability.” (Tr. 7:106-07).
18
b.
Whether Sovereign Immunity Has Been Waived
Cox contends that the DOC has waived its sovereign-immunity defense through
affirmative action in litigation. Certain affirmative acts of litigation may be deemed to constitute
a waiver of sovereign immunity; in particular, “where a State voluntarily becomes a party to a
cause, and submits its rights for judicial determination, it will be bound thereby, and cannot
escape the result of its own voluntary act by invoking the prohibitions of the Eleventh
Amendment.” Gunter v. Atlantic Coast Line R.R. Co., 200 U.S. 273, 284 (1906). Generally,
waiver is limited to cases where a state voluntarily appears in court, either by filing an action,
intervening in an action, or removing an action to federal court. See Clark v. Barnard, 108 U.S.
436, 447 (1883); Lapides v. Board of Regents of Univ. Sys. of Ga., 535 U.S. 613, 619, 624
(2002). Where states are involuntarily brought into court, however, waiver is generally not
found unless permitting the state to assert sovereign immunity belatedly will work some
unfairness. See N.H. v. Ramsey, 366 F.3d 1, 18-19 (1st Cir. 2004) (declining to find waiver of
sovereign immunity as to damages, despite belated raising of defense, absent any indication of
unfairness); Union Pacific R.R. Co. v. Louisiana Pub. Serv. Comm’n, 662 F.3d 336, 341-42 (5th
Cir. 2011) (permitting state to raise sovereign immunity for first time on appeal where there was
no evidence of “gamesmanship”). Cf. Calderon v. Ashmus, 523 U.S. 740, 745 n.2 (1998)
(stating that Eleventh Amendment sovereign immunity “can be raised at any stage of the
proceedings”).
Here, it does not appear that the DOC received any tactical advantage from waiting until
the summary judgment stage to raise a sovereign-immunity defense. Cf. In re Bliemeister, 296
F.3d 858, 862 (9th Cir. 2002) (expressing concern that the DOC received an “unfair advantage”
from waiting to assert sovereign immunity until after “listening to a court’s substantive
19
comments on the merits”); Hill v. Blind Indus. & Servs. of Md., 179 F.3d 754, 757 (9th Cir.
1999) (noting that state can “gain an improper advantage” by waiting to raise sovereign
immunity until after ruling on motion for summary judgment or pre-trial motions). Although the
DOC did not raise sovereign immunity in its motion to dismiss, that motion did not focus on the
substantive merits of Cox’s ADA claims; instead, it focused on issues of claim preclusion and
failure to exhaust administrative remedies. The only argument raised as to the ADA claims was
the complaint’s failure to allege that the DOC did not reasonably accommodate Cox’s disability.
The Court’s brief discussion of the ADA claims in its memorandum and order was limited to that
narrow question. (See Docket No. 29 at 18). Accordingly, given the narrow nature of the
DOC’s motion to dismiss, there is no reason to think that it received any unfair advantage from
waiting until summary judgment to raise the issue of sovereign immunity. For that reason, the
Court finds that the DOC has not waived the defense of sovereign immunity.
c.
Whether Sovereign Immunity Has Been Abrogated as to the
Claims at Issue
(1)
Access to Procedures to Obtain Medical Care
As noted, the jury found that Cox lacked meaningful access to procedures to obtain
medical care. There is no constitutional right to any particular procedures to access medical
care. However, the failure to provide adequate medical care to a prisoner can constitute an
Eighth Amendment violation where prison officials are deliberately indifferent to a known
serious medical need. See Estelle v. Gamble, 429 U.S. 97, 104 (1976).
The first question presented is whether Cox’s lack of meaningful access to procedures to
obtain medical care violated the Eighth Amendment. “[T]o prove an Eighth Amendment
violation, a prisoner must satisfy both of two prongs: (1) an objective prong that requires proof
of a serious medical need, and (2) a subjective prong that mandates a showing of prison
20
administrators’ deliberate indifference to that need.” Kosilek v. Spencer, 774 F.3d 63, 82 (1st
Cir. 2014). Under the first prong, a medical need is sufficiently serious if is “one that has been
diagnosed by a physician as mandating treatment, or one that is so obvious that even a lay person
would easily recognize the necessity for a doctor’s attention.” Id.
Here, there was evidence that Cox has suffered from a number of medical conditions
while incarcerated, including pain in his back, sides, and knees; rectal bleeding; and trouble
breathing. (See Tr. Exs. 1.1561, 1.1603, 1.1684, 1.1744). Those are serious medical needs; there
is evidence that his back pain and knee pain were diagnosed as requiring treatment (see Tr. Exs.
1.1684, 1.1781), and even a lay person would recognize the necessity for medical attention
concerning rectal bleeding or serious difficulty breathing.
However, Cox does not allege, nor does the evidence show, that he did not receive any
treatment for those needs. In fact, the evidence presented at trial includes four volumes of
medical records documenting the care that he received while incarcerated. (See Tr. Ex. 1).
Rather, Cox contends that his lack of meaningful access to procedures to obtain medical care
resulted in delays in treatment because on at least some occasions he had to wait to seek care
until he could find someone, usually another inmate, to fill out a sick-call slip on his behalf.
“When the basis for a prisoner’s Eighth Amendment claim is a temporary delay or
interruption in the provision of otherwise adequate medical treatment, it is appropriate to focus
on the challenged delay or interruption in treatment rather than the prisoner’s underlying medical
condition alone in analyzing whether the alleged deprivation is, in ‘objective terms, sufficiently
serious,’ to support an Eighth Amendment claim. Smith v. Carpenter, 316 F.3d 178, 185 (2d Cir.
2003) (quoting Chance v. Armstrong, 143 F.3d 698, 702 (2d Cir. 1998)); see also Gaudreault v.
Municipality of Salem, Mass., 923 F.2d 203, 208 (1st Cir. 1990) (“The ‘seriousness’ of an
21
inmate’s needs may also be determined by reference to the effect of the delay of treatment.”).
The exacerbation of injuries or illnesses or the suffering of needless pain due to a delay in
treatment can be sufficient to establish a sufficiently serious medical need. See Boretti v.
Wiscomb, 930 F.2d 1150, 1154-55 (6th Cir. 1991); Gaudreault, 923 F.2d at 208-09.
Here, there is some evidence suggesting that Cox may have experienced delays in
treatment due to his inability to fill out a sick-call slip. For example, there are several sick-call
slips, presumably filled out by other inmates, indicating that Cox had asked nurses for medical
attention but was unable to receive care until after another inmate filled out the sick-call slip. A
sick-call slip dated August 26, 2010, states “I want to know why I haven’t seen a doctor? As
told by Carol (nurse H.S.U.). Please help. Thank you.” (Tr. Ex. 1.1563). Another sick-call slip
dated March 10, 2008, states “I have a hard time breathing, my knees hurt and my legs are
crampping [sic] up bad. Please help! I have asked every nurs [sic] for help [but] they say wait.”
(Tr. Ex. 1.2111-12). Furthermore, there is some evidence suggesting that the delays in treatment
resulted in some amount of additional pain. For example, the March 10, 2008 sick-call slip
indicates that Cox was in pain due to a lack of medication. (Tr. Ex. 1.2111-12).
“[E]ven if medical care is so inadequate as to satisfy the objective prong, the Eighth
Amendment is not violated unless prison administrators also exhibit deliberate indifference to the
prisoner’s needs.” Kosilek, 774 F.3d at 83. In this context, deliberate indifference “requires
evidence that the failure in treatment was purposeful” or that prison officials exhibited a “wanton
disregard” to the prisoner’s needs, “requiring consciousness of ‘impending harm, easily
preventable.’” Id. (quoting Watson v. Canton, 984 F.2d 537, 540 (1st Cir. 1993)). The requisite
state of mind can be manifested by a doctor’s refusal to provide treatment, a doctor’s choice of a
less-effective treatment, or a prison guard intentionally denying or delaying access to medical
22
care. See Estelle, 429 U.S. at 104-05 & n.10. However, the relevant conduct “must involve
more than ordinary lack of due care for the prisoner’s interests of safety.” Whitley v. Albers, 475
U.S. 312, 319 (1986).
The evidence presented at trial is not sufficient to establish that DOC employees acted
with deliberate indifference to Cox’s medical needs within the meaning of the Eighth
Amendment. First, there is insufficient evidence concerning the length of any delay in treatment.
For example, while the March 10 sick-call slip indicates that nurses had told Cox to wait for
treatment, there is no evidence concerning when he asked the nurses for help, or how long he had
to wait between asking those nurses and finding someone to assist him in writing out a sick-call
slip. Because Cox’s claim is premised on the delay in his treatment, information on the length of
and reason for that delay is crucial in order to determine whether the alleged deprivation caused
by the delay itself is sufficiently serious to constitute an Eighth Amendment violation. See
Smith, 316 F.3d at 186 (noting that delay in treatment may not violate the Eighth Amendment
where “the alleged lapses in treatment are minor and inconsequential”). Persons who are not
incarcerated and who do not have mental disabilities often experience delays in obtaining
medical care; indeed, such delays are a routine part of life. Because Cox has failed to present
sufficient evidence concerning the length of any delays in treatment or the severity of the
resulting injury or harm, he has failed to establish an Eighth Amendment violation.
Furthermore, there is insufficient evidence to warrant a finding of deliberate indifference
to Cox’s medical needs. While a nurse’s refusal to provide treatment certainly could constitute
deliberate indifference, whether it does so depends on the circumstances. Among other things,
whether a delay in treatment constitutes deliberate indifference depends upon the availability of
resources, whether there is a medical reason or other justification for the delay, and whether the
23
person responsible for the delay was aware of the severity of the medical need at issue. See
Perez v. Fenoglio, 792 F.3d 768, 778 (7th Cir. 2015) (“[w]hether the length of delay is tolerable
depends upon the seriousness of the condition and the ease of providing treatment”); McElligott
v. Foley, 182 F.3d 1248, 1255 (11th Cir. 1999) (noting that “the reason for the delay and the
nature of the medical need is relevant in determining what type of delay is constitutionally
intolerable”). Again, there is no evidence in the record sufficient to sustain an Eighth
Amendment claim based on delays in providing treatment.
There is, accordingly, insufficient evidence to establish an Eighth Amendment violation.
However, abrogation of sovereign immunity may nonetheless be warranted if Congress’s
proscription of the specific conduct at issue under the ADA bears “congruence and
proportionality” to constitutionally protected rights, to be determined under the three-prong test
noted above. As to the first prong of the inquiry, the precise scope of the constitutional right at
issue has already been discussed: under the Eighth Amendment, prison officials may not be
deliberately indifferent to inmates’ serious medical needs. As to the second prong, in enacting
the ADA, Congress recognized that “discrimination against individuals with disabilities persists
in such critical areas as . . . health services.” 42 U.S.C. § 12101(a)(3). Furthermore, with respect
to medical care in prisons specifically, “cases involving inadequate medical care . . . have
perhaps been [the] most numerous” claims brought by disabled prisoners. Georgia, 546 U.S. at
162 (Stevens, J., concurring); cf. Toledo, 454 F.3d at 37 (identifying court decisions as
appropriate sources for determining whether constitutional violations at issue were sufficiently
widespread).
The third prong requires a determination of whether requiring meaningful access to
procedures to obtain medical care is “a congruent and proportional response to this history and
24
pattern of unconstitutional discrimination.” Toledo, 454 F.3d at 39. It appears that it does.
Under Title II of the ADA, public entities such as prisons may not deny medical treatment on the
basis of disability and must ensure that individuals with disabilities have “meaningful access” to
health services by taking “reasonable steps to ensure that individuals with disabilities can take
advantage of” such benefits and programs. See Theriault, 162 F.3d at 48. While those
requirements will sometimes, as here, exceed what is required under the Eighth Amendment,
they are not “so out of proportion to supposed remedial or preventive object that it cannot be
understood as responsive to, or designed to prevent, unconstitutional behavior.” City of Boerne,
521 U.S. at 532.
Thus, in the context of access to medical care, Congress’s proscription of conduct under
the ADA bears congruence and proportionality to the requirements of the Eighth Amendment,
and abrogation of sovereign immunity is accordingly warranted as to this claim.
(2)
Procedures to Report and Resolve Grievances
Prisoners have “a First Amendment right to petition the prison for the redress of
grievances.” Schofield v. Clarke, 769 F. Supp. 2d 42, 46 (D. Mass. 2011); accord Herron v.
Harrison, 203 F.3d 410, 415 (6th Cir. 2000) (“An inmate has an undisputed First Amendment
right to file grievances against prison officials on his own behalf.”). “However, depriving
prisoners of this opportunity only ‘in some theoretical sense’ will not establish a [constitutional
violation].” Rodgers v. Hawley, 14 Fed. Appx. 403, at *3 (6th Cir. 2001) (quoting Lewis v.
Casey, 518 U.S. 343, 351 (1996)). To state a First Amendment violation, “a prisoner must show
[that] prison officials’ conduct inflicted an ‘actual injury,’ i.e., that the conduct hindered his
efforts to pursue a nonfrivolous [grievance].” Id. (citing Lewis, 518 U.S. at 351-53).
Here, there is no evidence from which the jury could reasonably conclude that DOC
25
personnel actually inflicted an injury under the First Amendment. As noted, there is no evidence
that Cox actually sought to pursue a grievance and was hindered in doing so.
The question then becomes whether Congress’s proscription of the specific conduct at
issue under the ADA bears “congruence and proportionality” to constitutionally protected rights.
As to the first prong of the test, the constitutional right at issue is the First Amendment right of a
prisoner to petition for redress of grievances. As to the second prong, Congress identified a
history and pattern of unconstitutional conduct by the states with respect to access to judicial and
court procedures. Congress specifically found that “discrimination against individuals with
disabilities persists in such critical areas as . . . institutionalization.” 42 U.S.C. § 12101(a)(3).
And a significant focus of prisoner litigation prior to the enactment of the ADA was claims by
disabled prisoners for “interference with access to the judicial process, and procedural due
process violations.” Georgia, 546 U.S. at 162 (Stevens, J., concurring). Grievance procedures in
prisons (which normally must be exhausted before litigation can be filed) are closely related to
judicial procedures, and serve similar goals. Under the circumstances, the ADA—which, in this
context, requires states to provide disabled prisoners “meaningful access” to grievance
procedures, see Theriault, 162 F.3d at 48—is a congruent and proportional response to the
history and pattern of discrimination. 9
Accordingly, as to the claim for denial of access to procedures to report and resolve
grievances, the Court finds that sovereign immunity has been abrogated.
9
Under Title II of the ADA, “meaningful access” generally means that public entities must take
“reasonable steps to ensure that [the plaintiff] can take advantage of” their benefits and programs. Theriault, 162
F.3d at 48. In discussing the analogous issue of prisoners’ access to the courts, the Supreme Court has instructed
that “‘[m]eaningful access’ to the courts is the touchstone.” Bounds v. Smith, 430 U.S. 817, 823 (1977) (quoting
Ross v. Moffitt, 417 U.S. 600, 611-12, 615 (1974)).
26
(3)
Procedures to Report Physical and Sexual Assault
The jury found that Cox lacks meaningful access to procedures to report physical and
sexual assaults. Cox contends that his lack of access to such procedures violated his rights under
the Eighth Amendment.
Prison officials have a duty under the Eighth Amendment to “take reasonable measures to
guarantee the safety of the inmates.” Farmer v. Brennan, 511 U.S. 825, 832 (1994) (internal
quotation marks omitted). That includes “‘a duty . . . to protect prisoners from violence at the
hands of other prisoners.’” Id. at 833 (quoting Cortes-Quinones v. Jimenez-Nettleship, 842 F.2d
556, 558 (1st Cir. 1988)) (alteration in original). Nonetheless,
[i]t is not . . . every injury suffered by one prisoner at the hands of another that
translates into constitutional liability for prison officials responsible for the
victim’s safety. Our cases have held that a prison official violates the Eighth
Amendment only when two requirements are met. First, the deprivation alleged
must be, objectively, sufficiently serious; a prison official’s act or omission must
result in the denial of the minimal civilized measure of life’s necessities. For a
claim (like the one here) based on a failure to prevent harm, the inmate must show
that he is incarcerated under conditions posing a substantial risk of serious harm.
The second requirement follows from the principle that only the unnecessary and
wanton infliction of pain implicates the Eighth Amendment. To violate the Cruel
and Unusual Punishments Clause, a prison official must have a sufficiently
culpable state of mind. In prison-conditions cases that state of mind is one of
deliberate indifference to inmate health or safety.
Id. at 834 (internal citations and quotation marks omitted). In this context, “deliberate
indifference” requires that a prison “official knows of and disregards an excessive risk to inmate
health or safety; the official must both be aware of facts from which the inference could be
drawn that a substantial risk of serious harm exists, and he must also draw the inference.” Id. at
837. “[P]rison officials who actually knew of a substantial risk to inmate health or safety may be
found free from liability if they responded reasonably to the risk, even if the harm ultimately was
not averted.” Id. at 844.
27
There is no dispute that rape and sexual assault are “objectively, sufficiently serious” to
satisfy the first prong. See Calderon-Ortiz v. LaBoy-Alvarado, 300 F.3d 60, 64 (1st Cir. 2002).
However, the DOC contends that it was not deliberately indifferent to a known risk of harm. To
establish deliberate indifference, Cox must first show that the DOC knew of an unreasonable risk
of harm, meaning “a strong likelihood that violence [or sexual assault] would occur.” Purvis v.
Ponte, 929 F.2d 822, 825 (1st Cir. 1991) (citation and internal quotation marks omitted).
The precise framework for this claim is unclear, both from the parties’ briefing and from
the case law. However, in the context of analyzing whether sovereign immunity has been
abrogated, it appears that the inquiry must focus narrowly on Cox’s inability to access
procedures to report physical and sexual assault, rather than broadly on whether his mental
disabilities made him vulnerable to assault. Accordingly, Cox must establish that DOC
personnel knew that any limitations on his ability to access procedures to report physical and
sexual assault created a substantial risk of serious harm and that they disregarded that risk.
Here, it is by no means clear that Cox has established an Eighth Amendment violation
arising out of his inability to access procedures to report instances of physical or sexual assault.
While there was evidence suggesting that DOC officials knew that he could not dial a telephone,
and therefore that he could not independently call the PREA hotline, there was also evidence
presented that they believed that he was capable of confidentially reporting instances of assault
to his mental-health clinicians, and that any such report would trigger a larger investigation. (See
Tr. 6:86-88; Tr: 3:54-55). There was also evidence that his mental-health clinician believed that
Cox was able to advocate for himself and come to her with problems or questions. (Tr. 6:87-88).
The second requirement is that DOC officials must have known, or were deliberately
indifferent to the fact, that Cox could not access such procedures and that the lack of such access
28
created a substantial risk of serious harm. Under the Eighth Amendment, deliberate indifference
requires “an actual, subjective appreciation of risk.” Giroux v. Somerset Cnty., 178 F.3d 28, 32
(1st Cir. 1999). Here, there was evidence that corrections officers did nothing when Cox
complained of sexual horseplay, and that he was eventually sexually assaulted by the same
prisoner who had earlier harassed him. Whether that evidence is sufficient to support a finding
of actual, subjective appreciation of risk is unclear.
Rather than resolve the issue, the Court will instead turn to the question whether the
abrogation of sovereign immunity is valid pursuant to Congress’s enforcement powers under § 5
of the Fourteenth Amendment. First, the specific right at issue is the Eighth Amendment right to
have prison officials take reasonable measures to prevent known risks of serious harm. The
second prong of the relevant inquiry requires consideration of whether Congress enacted the
ADA in response to a history and pattern of unconstitutional conduct by the states with respect to
that right. See Garrett, 531 U.S. at 374. There does not appear to be direct evidence that
Congress considered the vulnerability of disabled prisoners to physical and sexual assault when
it adopted the ADA. Nonetheless, it is clear that Congress was concerned about the treatment of
disabled prisoners generally, and about the ability of prisoners to access services such as health
care to promote their safety and well-being. Considering the issue as a whole, it appears that
Congress intended to address unconstitutional abuses of state prisoners when enacting the ADA,
that the physical and sexual abuse of prisoners is subsumed within the scope of the statute, and
that therefore the second prong of the test is satisfied. Therefore, the ADA—which, in this
context, requires states to provide disabled prisoners meaningful access to procedures to report
physical and sexual assaults—is a congruent and proportional response to the history and pattern
of discrimination.
29
Accordingly, as to the claim for denial of access to procedures to report physical and
sexual assaults, the Court finds that sovereign immunity has been abrogated.
(4)
Equal Protection
Finally, Cox contends that the ADA violations found by the jury constitute violations of
his rights under the Equal Protection Clause. Cox did not raise the equal protection issue as a
basis for abrogation during the pre-trial proceedings concerning sovereign immunity. For that
reason, and because it is unnecessary to reach the issue, the Court will not address the interplay
between the ADA, the Equal Protection Clause, and principles of sovereign immunity.
B.
Remittitur or New Trial on Damages
The DOC has also moved for remittitur pursuant to Rule 59(e), or, in the alternative, a
new trial on damages pursuant to Rule 59(a). It contends that the damages awarded are grossly
excessive and unconscionable in light of the lack of evidence of (1) mitigation of damages; (2)
intentional discrimination; (3) actual injury; and (4) physical injury or sexual assault. It also
contends that remittitur or a new trial on damages is appropriate due to what it contends was an
unfair surprise at trial concerning the time period of Cox’s ADA claim.
1.
Whether the Motion Is Premature
As a preliminary matter, it appears that any motion pursuant to Rule 59(a) or (e) may be
premature. Motions for new trials pursuant to Rule 59(a) as well as motions to alter or amend a
judgment must be filed within 28 days after the entry of judgment. Fed. R. Civ. P. 59(b), (e). In
this case, however, no judgment has yet been entered. While motions made before the entry of
judgment are not untimely and may be considered valid Rule 59 motions, they may also be
“decidedly premature” under the circumstances. See Kersey v. Dennison Mfg. Co., 3 F.3d 482,
485 n.7 (1st Cir. 1993). In the usual case, Rule 59 motions may be filed prior to the entry of
30
judgment simply because there is occasionally a delay between a court’s memorandum opinion
and the entry of judgment, which, pursuant to Rule 58, must be entered as a separate document.
See Smith v. Hudson, 600 F.2d 60, 62 (6th Cir. 1979). In such cases, the judgment is effectively
final even if, as a technical matter, judgment has not officially been entered.
In this case, there is not yet any final judgment. The issue of sovereign immunity,
although resolved in this opinion, had not been resolved at the time of the motion, and the trial
addressed only the question of damages, not equitable relief. Nonetheless, because it appears
that the Court has the power to act, and because the issues have been briefed in full, the Court
will resolve them now. If necessary to preserve an issue for appeal, the motion may be renewed
at the time judgment is entered.
2.
Remittitur
a.
The Standard under Rule 59(e)
“Rule 59(e) itself does not state the grounds on which relief under the rule may be
granted, and the district courts have considerable discretion in deciding whether to grant or deny
a motion to alter or amend under Rule 59(e).” Venegas-Hernandez v. Sonolux Records, 370 F.3d
183, 190 (1st Cir. 2004). In exercising that discretion, courts should balance “the need for
finality of judgments with the need to render a just decision.” Id. The First Circuit has generally
construed Rule 59(e) to require either “an ‘intervening change’ in the controlling law, a clear
legal error, or newly-discovered evidence.” Soto-Padro v. Public Bldgs. Auth., 675 F.3d 1, 9 (1st
Cir. 2012). Relief under the rule may also be available “‘in cases in which a party has been
unfairly made the victim of surprise.’” Perez-Perez v. Popular Leasing Rental, Inc., 993 F.2d
281, 287 (1st Cir. 1993) (granting new trial where district court permitted testimony of
undisclosed expert). “[A] party cannot use a Rule 59(e) motion to rehash arguments previously
31
rejected or to raise ones that ‘could, and should, have been made before judgment issued.’”
Soto-Padro, 675 F.3d at 9 (quoting Moran Vega v. Cruz Burgos, 537 F.3d 14, 18 n.2 (1st Cir.
2008)). “The granting of a motion for reconsideration is an extraordinary remedy which should
be used sparingly.” United States ex rel. Ge v. Takeda Pharm. Co., 737 F.3d 116, 127 (1st Cir.
2013).
Where a Rule 59(e) motion seeks to reduce an award of damages, a court may “order a
remittitur if such an action is warranted in light of the evidence adduced at trial.” ClimentGarcia v. Autoridad de Transporte Maritimo y Las Islas Municipio, 754 F.3d 17, 21 (1st Cir.
2014) (internal quotation marks omitted). “To warrant remittitur, however, the award must
exceed ‘any rational appraisal or estimate of the damages that could be based upon the evidence
before it.’” Id. (quoting Wortley v. Camplin, 333 F.3d 284, 297 (1st Cir. 2003)). Remittitur is
only appropriate where the award of damages “is so grossly disproportionate to any injury
established by the evidence as to be unconscionable as a matter of law.” Koster v. Trans World
Airlines, Inc., 181 F.3d 24, 34 (1st Cir. 1999); see Franceschi v. Hospital Gen. San Carlos, Inc.,
420 F.3d 1, 5 (1st Cir. 2005).
b.
Whether the Award Was Excessive in Light of the Evidence
The DOC first contends that the damage award was “grossly excessive and exceed[ed]
any rational appraisal of the damages based on the evidence presented to the jury.” (Def. Mem.
at 24). In particular, it contends that the award was excessive in light of the lack of evidence
concerning (1) intentional discrimination; (2) mitigation of damages; (3) physical or sexual
injury; and (4) actual injury.
(1)
Intentional Discrimination
The DOC first contends that remittitur is appropriate because Cox failed to produce
32
evidence of intentional discrimination. However, as already discussed, there was evidence from
which the jury could reasonably conclude that corrections officers acted with deliberate
indifference with regard to his ability to access medical services, procedures to report grievances,
and procedures to report physical or sexual abuse. Accordingly, the award of damages is not
excessive as a matter of law on that basis.
(2)
Mitigation
The DOC next contends that remittitur is appropriate in light of “plaintiff’s obligation to
mitigate.” (Def. Mem. at 24). The crux of this argument appears to be that Cox could have
mitigated his damages by asking DOC staff and other inmates for help accessing the various
programs and services at issue. (See Def. Mem. at 24 (“[I]t is clear that plaintiff understands
how to function within the prison—both by asking staff for help and inmates for help.”)). There
was, in fact, evidence at the trial that he did ask other inmates and DOC staff for assistance.
(See, e.g., Tr. 5:138 (testimony from Cox that mental-health clinicians “helps [sic] me anytime I
ask); Tr. 2:46 (testimony of inmate Stallings that he “helped [Cox] with the phone, I helped him
if he needed things”); Ex. 1.2128 (sick-call slip filled out by another inmate “of Mr. Cox’s
request”)).
There was evidence, however, from which the jury could reasonably have concluded that
Cox’s access to the programs and services at issue was not always “meaningful”—because, for
example, he was required to barter with other inmates in exchange for their assistance. (See Tr.
5:128-29). Cf. Randolph v. Rodgers, 170 F.3d 850, 858 (8th Cir. 1999) (holding that “limited
participation” does not equal “meaningful access” under the ADA). Accordingly, the jury could
reasonably have concluded that Cox did attempt to mitigate his damages but was, nonetheless,
denied meaningful access the programs and services at issue. His alleged failure to mitigate,
33
therefore, does not warrant remittitur.
(3)
Physical or Sexual Injury
Next, the DOC contends that remittitur is appropriate because the evidence failed to
establish that Cox had suffered either a “physical injury or sexual assault” in connection with
each alleged ADA violation. According to the DOC, such an injury or assault is required under
the Prison Litigation Reform Act (“PLRA”), 42 U.S.C. § 1997e, in order to bring a claim for
“mental or emotional injury.”
The PLRA provides that “[n]o federal civil action may be brought by a prisoner confined
in a jail, prison or other correctional facility for mental or emotional injury suffered while in
custody without a prior showing of physical injury or the commission of a sexual act.” 42
U.S.C. § 1997e(e). The DOC appears to contend, in substance, that any deprivation of rights
under the ADA, absent physical harm or sexual assault, is a “mental or emotional injury.” Cox
contends that the denial of access to prison programs and services is a distinct injury under the
ADA that is separate from any claim of mental or emotional injury.
Circuits are split regarding the scope of the PLRA’s bar, and the First Circuit has not yet
addressed the issue of whether it extends to claims for the deprivation of rights (either
constitutional or statutory) absent physical injury or sexual assault. A number of courts have
held that § 1997e(e) precludes recovery for any claim that does not involve physical injury or
sexual assault. See, e.g., Brooks v. Warden, 800 F.3d 1295, 1298 (11th Cir. 2015). Other courts,
however, have held that the violation of constitutional or statutory rights are a “type of intangible
harm wholly apart from mental or emotional injury.” Aref v. Lynch, 833 F.3d 242, 263 (D.C.
Cir. 2016); see also id. at 265 (holding that plaintiffs can recover compensatory damages for
injuries, like constitutional violations, that are neither mental nor emotional); King v. Zamiara,
34
788 F.3d 207, 213 (6th Cir. 2015) (same). As the D.C. Circuit reasoned in Aref, the latter
approach appears to be the better reading of the statute, as the phrase “mental and emotional
injury” would otherwise be superfluous. See 833 F.3d at 263 (“Had Congress intended to graft a
physical-injury requirement onto every single claim, the statute could simply have provided:
‘No Federal civil action may be brought by a prisoner . . . for any injury suffered while in
custody without a prior showing of physical injury.’” (emphasis in original)).
The Court concludes, in accordance with the reasoning of Aref, that a prisoner’s
inability to access prison programs and services is itself an injury, separate and distinct from a
mental and emotional injury, for which the prisoner can recover compensatory damages absent
any showing of physical injury or sexual assault. See Cassidy v. Ind. Dep’t of Corr., 199 F.3d
374, 375-77 (7th Cir. 2000) (dismissing, pursuant to § 1997e(e), prisoner’s claim for damages
under ADA based on mental and emotional harm but permitting claim for damages based on,
among other things “the loss of access to programs, services, and activities”). Accordingly, §
1997e(e) does not preclude Cox from recovering damages based on his inability to access prison
programs and services. 10
10
That conclusion is not contrary to the holding in Memphis Cmty. Sch. Dist. v. Stachura, 477 U.S. 299
(1986). There, the Supreme Court held that compensatory damages for constitutional violations should be based on
“compensation for provable injury” and not a “jury’s subjective perception of the importance of constitutional rights
as an abstract matter.” Id. at 308. It stated that “nominal damages, and not damages based on some undefinable
‘value’ of infringed rights, are the appropriate means of ‘vindicating’ rights whose deprivation has not caused actual,
provable injury.” Id. at 308 n.11.
Here, while the inability to access certain prison programs and services may be an intangible harm, it is not
abstract in the same way as the rights at issue in Stachura. Carey v. Piphus, 435 U.S. 247 (1978), on which
Stachura primarily relied, illustrates the distinction. In Carey, two students challenged their suspensions from
school on procedural due-process grounds. The Seventh Circuit held that that the students were “entitled to recover
substantial nonpunitive damages even if their suspensions were justified, and even if they [did] not prove that any
other actual injury was caused by the denial of procedural due process.” Id. at 248. The Supreme Court reversed,
holding that injury from procedural deficiencies could not be presumed and that damages were only warranted if
plaintiffs could prove that an injury occurred. Id. at 263-64. The issue in Carey, a constitutional violation without
any discernible injury, is analogous to the ADA violations in Gregory and Long. There, the ADA violations were
abstract because the plaintiffs had failed to allege that they had either attempted to use the facilities at issue or were
likely to attempt to use them in the near future. In this case, by contrast, there was evidence at trial from which the
35
(4)
Actual Injury
The DOC finally contends that remittitur is appropriate because, aside from the sexual
assault on Cox, there was no evidence of any actual injury. It relies on Gregory v. Otac, Inc.,
247 F. Supp. 2d 764 (D. Md. 2003), for the proposition that “[t]he mere violation of the ADA
does not alone establish injury. Id. at 769. “A plaintiff is obligated to show, by competent
evidence, that a defendant’s violation of the ADA caused him actual injury before such plaintiff
can recover.” Id. at 769-70 (citing Long v. Coast Resorts, Inc., 32 F. Supp. 2d 1203, 1210 (D.
Nev. 1998)).
Gregory and Long dealt with issues of standing (in cases where the plaintiffs had not
alleged either that they had attempted to use the allegedly inaccessible facilities or that they were
likely to attempt to use those facilities in the future). Here, by contrast, there was evidence from
which the jury could reasonably conclude that Cox did in fact attempt to access at least some of
the programs and services at issue, but was unable to obtain meaningful access by reason of his
disability. Thus, in this case, as “[i]n most instances, the injury alleged pursuant to Title II of the
ADA is exclusion from participation in, or the denial of the benefits of the services, programs, or
activities of a public entity, because of discrimination against a person by reason of disability.”
Parker v. Universidad de Puerto Rico, 225 F.3d 1, 7 (1st Cir. 2000).
That does not, however, end the inquiry. Whether Cox suffered a compensable injury
under the ADA does not mean that the amount of the jury award is not grossly disproportionate
to the point of unconscionability, and therefore a proper subject of remittitur.
The largest component of the jury award, $150,000, was for damages for lack of access to
procedures to report physical and sexual abuse. As noted, Cox was sexually assaulted by certain
jury could reasonably have concluded that Cox tried to access at least some of the programs and services at issue but
was unable to obtain meaningful access. His injury, while intangible, was therefore not abstract.
36
of his fellow inmates. This lawsuit is not a suit against the perpetrators, or against the guards
who were on duty at the time and failed to prevent it; rather, it is a claim for disability
discrimination. Nonetheless, viewed in the light most favorable to the plaintiff, the jury could
have concluded (1) that Cox had been abused at least twice before, when his pants had been
pulled down; (2) that he complained to the corrections officers, who did nothing; (3) that he was
unable to access the PREA phone to report the incidents; and (4) that the same inmates later
sexually assaulted him. From that sequence, the jury could have reasonably concluded that
Cox’s inability to access reporting procedures contributed, at least in part, to a subsequent
physical or sexual injury. Accordingly, the award cannot be said to be excessive, and the Court
will allow it to stand.
The jury also awarded Cox $50,000 as damages for his lack of access to procedures to
obtain medical care. Any injury suffered by Cox is not due to any failure to provide medical
treatment, as there was no evidence to support such an award. Instead, the award is necessarily
to compensate him for delays incurred in obtaining treatment. As noted above, there is little
evidence as to the length of any delay or the reasons for the delay; again, the provision of nonemergency medical services routinely involves delays, even for non-prisoners. Nonetheless,
when viewing the evidence as a whole, the amount of damages under the circumstances is not so
grossly excessive as to require remittitur.
Finally, the jury awarded damages of $25,000 for lack of access to procedures to report
and resolve grievances. As noted, there is no evidence of any actual or specific grievance that
Cox was unable to report or resolve, or that he was impaired in reporting, because he was denied
meaningful access to such procedures. While Cox has suffered an “injury” under the ADA as to
that issue, it is not an injury that will support an award of compensatory damages. In other
37
words, such an injury may be sufficient to support a claim for equitable relief, or nominal
damages, but not a substantial damages award. Under the circumstances, any award of more
than nominal damages is grossly disproportionate to the harm he suffered.
That raises the issue of what the damages award ought to be. Nominal damages are often
awarded in amounts such as a single dollar; here, it appears that the highest award that could
reasonably be considered nominal damages, at least under these circumstances, is $1,000.
Accordingly, the Court will condition its denial of a new trial as to the issues of lack of access to
grievance procedures on acceptance by the plaintiff of remittitur in the amount of $1,000.
c.
Whether the Award Was the Result of Unfair Surprise
The DOC also seeks a new trial on the ground that it was unfairly surprised by the
Court’s instruction that Cox’s ADA claim went back to 2007. It contends that prior to and
during the trial, the Court had indicated that the ADA claim was limited to the years 2010
through the present, and that any claims based on conduct that occurred between 2007 and 2010
would be barred by the ADA’s three-year limitations period.
At trial, Cox sought to admit into evidence a classification report from 2007 in
connection with the cross-examination of the Director of Behavioral Health for the DOC. The
DOC objected to the admission of the report. The Court excluded the report, and related
evidence, because Cox had not asserted a claim for improper classification. (Tr. 3:76-78, 3:8890). Those rulings were based on the nature of the evidence, not the date of the classification
events (although the dates at issue were discussed).
After the jury had begun deliberating, they submitted a written question to the Court
asking: “What period of time does the ADA claim cover?” (Tr. 7:125). Counsel for plaintiff
stated that the claim began with Cox’s incarceration in 2007; counsel for defendant stated that
38
the claim began in 2010. (Tr. 7:125-26). The parties and the Court then had the following
exchange:
MS. BRIGGS: Your Honor, I’d also like to bring up sort of a statute of
limitations argument. I don’t think that this case goes back to 2007. It was filed
in 2013. There’s a three-year statute of limitations on ADA claims. That would,
again, bring us to 2010 . . . .
THE COURT: Although that hasn’t been raised as a factual matter at the trial,
right? In other words, there’s no request for a statute of limitations instruction.
It’s an affirmative defense. It has to be—
MS. MELVILLE: Well, that’s because, your Honor, the evidence that all went in
was 2010 forward. That’s when the complaint began for the time period, and the
Court at sidebar at one point did point out to plaintiffs that everything begins with
Old Colony, when we did bring that to the Court’s attention at sidebar during
plaintiff’s case.
THE COURT: Well, that was certainly my understanding, at least at the time.
MS. MELVILLE: That’s why there’s no statute of limitations. That was our
understanding.
THE COURT: Ms. Codagnone.
MS. CODAGNONE: Your Honor, in the plaintiff’s trial brief and all the filings
up and until that point, when we were trying to explain to the parties what our
position was, it was every day of his incarceration he’s been without these
services. They haven’t provided a reasonable accommodation in 2007 when
Kimberly O’Brien notified the DOC that he could not read or write and he needed
someone to help him with letters, when they referred him to the RTU in 2007,
they did not make that accommodation. That’s all within the medical records. . . .
As to the statute of limitations, that’s something that was never argued as an
affirmative defense, never raised up and until this point. The jury has the case. I
think that’s a little bit late.
(Tr. 7:127-28).
Counsel for Cox requested that the Court instruct the jury to “find what the evidence
shows, and when the elements [of an ADA claim] are met, that’s when the claim begins, and of
course, it can’t extend beyond or prior to his incarceration within the Department of
Correction . . . which begins in 2007.” (Tr. 7:129). The DOC responded that “that would plainly
39
prejudice the defendants, who have never prepared to defend 2007 to 2010. The period of
time—the evidence went in on the period of time 2007 sort of towards notice in the record but
certainly not as a claim in the case.” (Id.).
The Court consulted Cox’s trial brief, which stated that he had been denied access to
prison programs and services “[t]hroughout his incarceration.” (Tr. 7:132). The Court also
consulted the complaint, which stated that “Plaintiff is a qualified individual with a disability as
defined in the ADA. Since 2007, plaintiff has been held in the custody of the defendants.” (Tr.
7:138). The Court concluded that “the combination of the complaint and the pretrial brief, I
guess, are enough to have put the defendants on notice that the complaint as to the ADA was not
limited to the three-year limitation period, and so that’s going to be my ruling.” (Id.). The Court
then answered the jury’s question as follows:
The time period begins no earlier than 2007 because he wasn’t incarcerated at that
point—that is, the plaintiff wasn’t incarcerated—and it begins as to each specific
disputed issue under the ADA at the point where the requirements for the ADA
are satisfied. In other words, the point at which according to the evidence the . . .
plaintiff had a qualifying disability, that he was denied meaningful access to the
particular service, program, or activity, and that he either had made a request for a
reasonable modification or reasonable accommodation or that request was
obvious and that it had been denied, and it may be different for each particular
item, [or] it may all be the same, it depends on what the evidence shows that point
at which all of those factors have been satisfied.
(Tr. 7:139).
The record does not support a finding of unfair surprise. Throughout the course of this
litigation, Cox’s pleadings have made clear his position that his claims extend back to the
beginning of his incarceration in 2007. For example, the complaint includes numerous
references to events that occurred between 2007 and 2010, and, with respect to the ADA claim in
particular, it states that Cox is a “qualified individual with disabilities”; that “[s]ince 2007, [he]
has been held in the custody of Defendants”; and that the DOC “fail[ed] to provide him with
40
reasonable accommodation.” (Compl. ¶¶ 66, 68) (emphasis added). Similarly, Cox’s opposition
to defendants’ motion for summary judgment begins by stating that “Plaintiff Cox, an inmate
with severe mental illness, who is unable to read, write, dial a telephone or to remember how to
change his own clothes, filed this suit because throughout his incarceration the Defendants have
failed to protect him.” (Pl. Opp. to Def. Mot. for Summ. J. at 1) (emphasis added). Cox’s trial
brief similarly stated that “[t]hroughout his incarceration, he has been unable to contact his
counsel, his family, participate in the classification or appeals processes, fill out a sick slip, or
even order food from canteen without asking another inmate for assistance.” (Pl. Tr. Br. at 2).
While perhaps not the most precise statements of the scope of his claim, those statements
certainly should have put defendants on notice that his claim extended beyond 2010. Under
these circumstances, it cannot be said that Cox’s position that his claim extended back to 2007
was a “completely new issue.” See Perez-Perez v. Popular Leasing Rental, Inc., 993 F.2d 281,
287 (1st Cir. 1993) (stating that finding of reversible error from unfair surprise is generally
limited to “situations where a completely new issue is suddenly raised or a previously
unidentified expert witness is suddenly called to testify” (quoting Conway v. Chemical Leaman
Tank Lines, Inc., 687 F.2d 108, 111-12 (5th Cir. 1982)).
Furthermore, although defendants pleaded the statute of limitations as an affirmative
defense, they did not assert that issue at trial, and the question was not put to the jury. Under the
circumstances, the Court will not grant a new trial on the issue of unfair surprise.
III.
Conclusion
For the foregoing reasons,
1.
The motion of defendant Massachusetts Department of Correction for judgment
as a matter of law under Fed. R. Civ. P. 50 is GRANTED in part as to plaintiff’s
41
claim under the American with Disabilities Act concerning his access to the use
of telephones, and is otherwise DENIED.
2.
The motion of defendant Massachusetts Department of Correction for remittitur
pursuant to Fed. R. Civ. P. 59(e) and for a new trial pursuant to Fed. R. Civ. P.
59(a) is GRANTED in part as to plaintiff’s claim under the American with
Disabilities Act concerning his access to procedures to report and resolve
grievances. The Court will order a new trial limited solely to the issue of
damages for plaintiff’s access to procedures to report and resolve grievances
unless plaintiff accepts a remittitur of $1,000 within 30 days of this order. The
motion is otherwise DENIED.
So Ordered.
/s/ F. Dennis Saylor IV
F. Dennis Saylor IV
United States District Judge
Dated: March 31, 2018
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