JACKSON v. AFSCME MICHIGAN COUNCIL 25 et al
Filing
28
OPINION AND ORDER GRANTING DEFENDANTS MOTIONS FOR SUMMARY JUDGMENT - 20 Motion for Summary Judgment; 22 Motion for Summary Judgment. Signed by District Judge Marianne O. Battani. (KDoa)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF MICHIGAN
SOUTHERN DIVISION
ROY L. JACKSON,
Plaintiff,
Case No. 17-10671
v.
Hon. Marianne O. Battani
AFSCME MICHIGAN COUNCIL 25, LOCAL
1603, LaKAY AVANT, HURLEY MEDICAL
CENTER, and ERIKA McDERMITT,
Defendants.
_____________________________________/
OPINION AND ORDER GRANTING
DEFENDANTS’ MOTIONS FOR SUMMARY JUDGMENT
I.
INTRODUCTION
Plaintiff Roy L. Jackson commenced this action in this Court on March 3, 2017,
asserting claims of race discrimination under Title VII of the Civil Rights Act of 1964, 42
U.S.C. § 2000e et seq., against his former employer, Defendant Hurley Medical Center
(“HMC”); his supervisor at HMC, Defendant Erika McDermitt; his former collective
bargaining representative, Defendant American Federation of State, County, and
Municipal Employees (“AFSCME”) Michigan Council 25, Local 1603 (“Local 1603”); and
an official of the Defendant union, Defendant LaKay Avant. In support of these claims,
Plaintiff alleges that his employment was terminated for leaving his work site, but that
other employees of different races were not discharged despite engaging in the same or
similar conduct. Apart from these claims of race discrimination, Plaintiff arguably
appears to allege that he was subject to racial harassment and retaliation; that
Defendants conspired to terminate his employment and to violate his civil rights; that
Defendants violated his federal constitutional rights to due process and equal
protection; and that the Defendant union breached its duty of fair representation.
Two motions presently are pending before the Court. First, Defendants HMC
and Erika McDermitt seek an award of summary judgment in their favor under Fed. R.
Civ. P. 56, arguing primarily that Plaintiff’s claims of race discrimination should be
dismissed for failure to exhaust the required administrative remedies, and that these
claims also are subject to dismissal in light of Plaintiff’s failure to establish a prima facie
case of discrimination or show that Defendant HMC’s stated reason for discharging him
was a pretext for discrimination. Next, Defendants Local 1603 and LaKay Avant move
for summary judgment on similar grounds, citing Plaintiff’s apparent failure to exhaust
his administrative remedies or to establish a prima facie case of discrimination against
the Defendant union, and further asserting that Plaintiff has not marshaled evidentiary
support for his apparent claim that the union breached its duty of fair representation.
Plaintiff has responded to each of the Defendants’ motions, through a pair of nearly
identical briefs that are almost completely bereft of citation to authority and engage in
virtually no analysis of the pertinent legal principles as applied to the facts of this case.
Having reviewed the parties’ submissions in support of and in opposition to
Defendants’ motions, as well as the remainder of the record, the Court has determined
that it is appropriate to decide the pending motions without a hearing. See Local Rule
7.1(f)(2), Eastern District of Michigan. For the reasons set forth below, the Court
GRANTS Defendants’ motions for summary judgment.
2
II.
FACTUAL AND PROCEDURAL BACKGROUND
In 2004, Defendant Hurley Medical Center (“HMC”) hired Plaintiff Roy L. Jackson
for the position of environmental tech, with duties similar to those performed by a
custodian.1 Upon completing a probationary period, Plaintiff became a member of
Defendant AFSCME Michigan Council 25, Local 1603 (“Local 1603”). At all relevant
times, Defendant Erika McDermitt was Plaintiff’s immediate supervisor.
In the time period of relevance here, April of 2015, Plaintiff worked the first shift,
from 6:00 a.m. to 2:30 p.m., and his job duties for HMC consisted of cleaning and
maintaining the Dutcher Building, a standalone building across the street from the main
HMC facility. (See Dkt. 20, Defendant HMC’s Motion, Ex. G, Plaintiff’s Dep. at 36-38;
Ex. A, McDermitt Aff. at ¶ 2.) The Dutcher Building contains offices and meeting and
conference rooms, as well as apartments for physicians that are referred to as the
Bachelors’ Quarters (“BQ”). (See Plaintiff’s Dep. at 37-38; McDermitt Aff. at ¶ 2.)
Plaintiff testified that while he was assigned to the Dutcher Building, he took his work
breaks in the BQ apartments because there was “no designated area” for workers to
take their breaks, and he acknowledged that he had left paperwork from his outside
business, an auto body shop, and articles of clothing in these rooms. (Plaintiff’s Dep. at
17-18, 39-44.)
According to Erika McDermitt, a fellow HMC employee, Debi Wright, contacted
her on April 7, 2015 and advised her that “she thought someone was using one of the
BQ apartments as a personal break room.” (McDermitt Aff. at ¶ 2.) Upon entering the
1
Plaintiff previously worked for HMC from 1997 until July of 1998, but the
circumstances surrounding his 1998 separation from employment are not relevant here.
3
apartment with Ms. Wright and a public safety officer, Ms. McDermitt “saw a jacket on
the sofa, which was the same jacket Plaintiff wore into work that morning,” as well as
“other items in the apartment that appeared to belong to Plaintiff.” (Id. at ¶ 3.) Ms.
McDermitt then attempted to locate Plaintiff in order to discuss this situation, but “he
could not be found on [the] premises,” and he also failed to respond to numerous
attempts to page him. (Id. at ¶ 4.)
A “couple of days later,” Ms. McDermitt asked the HMC public safety department
to “review video surveillance camera footage and Plaintiff’s identification card swipe
data” in an effort to determine his whereabouts on April 7. (Id. at ¶ 5.) As a result of
this review, it was “determined that Plaintiff left [HMC] property at some point earlier in
the day on April 7, 2015, and returned to HMC at 2:37 p.m. to punch out.” (Id. at ¶ 5.)
Based on “suspicion that this was a frequent occurrence,” HMC’s public safety staff
broadened its review of surveillance camera footage and card swipes and determined
that on March 29, April 3, and April 6, Plaintiff had “left HMC property for 2 or 3 hours[]
without swiping out.” (Id. at ¶ 5.) This “absence of card swipes during those lengthy
periods of time led [Ms. McDermitt] to conclude that Plaintiff left HMC numerous times
without punching out and, thus, received money in his paycheck for time he did not
actually work.” (Id. at ¶ 7.)
Plaintiff disputes these investigative findings. First and foremost, he denies that
he ever clocked in and then left the HMC premises without permission. (See Plaintiff’s
Dep. at 51-52.) Although HMC points to video footage and card swipe data that
purportedly support Ms. McDermitt’s conclusion that Plaintiff left the workplace without
punching out, Plaintiff testified that “[t]hey have no footage of me,” and that the person
4
shown in the video was not him. (Id. at 52-53.)2 As for the card swipe data, Plaintiff
explained that he usually would pass through a tunnel when traveling between the main
HMC facility and the Dutcher Building, and that it was not necessary to swipe his card in
order to go back and forth between the two buildings via this tunnel. (See id. at 54-56.)
Based on its determination that Plaintiff had left the workplace without
permission, HMC suspended Plaintiff for violating medical center policy and various
employee conduct rules. (See Defendant HMC’s Motion, Ex. C, Record of Disciplinary
Action.) After further investigation, this suspension was converted to a termination of
employment effective May 6, 2015. (See Defendant HMC’s Motion, Ex. D, Notice of
Termination.)
Following his termination, Plaintiff requested that the Defendant union file a
grievance on his behalf, and the union did so. (See Plaintiff’s Dep. at 70-71.) The
matter proceeded through the steps of the grievance process, culminating in a live
appeal held on May 2, 2016. (See id. at 72-79; see also Dkt. 22, Defendant Local
1603’s Motion, Ex. C, 5/10/2016 Denial Letter.) Upon hearing Plaintiff’s appeal, an
arbitration review panel determined that his grievance “lack[ed] merit for arbitration.”
(5/10/2016 Denial Letter.) The panel explained:
The employer provides badge swipe records and video/screenshots of an
individual they allege is [Plaintiff] exiting [from] and returning [to] the
2
Ms. McDermitt, in contrast, states that “there is absolutely no doubt in [her]
mind” that the individual in the video footage is Plaintiff, and she further asserts that this
individual “was seen leaving HMC property in cars/pickups known to be owned by
Plaintiff.” (McDermitt Aff. at ¶ 6.) Likewise, HMC’s labor relations officer, Barry Fagan,
states in his affidavit that he is “absolutely certain that the person depicted [in the video
footage] entering vehicles and leaving [HMC] property was in fact Plaintiff.” (Defendant
HMC’s Motion, Ex. B, Fagan Aff. at ¶ 7.)
5
facility. [Plaintiff] denies the individual in the video and in the photographs
[is] him; however, the timestamps from the video and photographs line up
with the badge swipe records provided in the file.
(Id.) The panel further stated that because “a Live Appeal is the last step in the appeal
process,” Plaintiff’s grievance would be “move[d] to final closure.” (Id.)
This suit followed on March 3, 2017, with Plaintiff asserting Title VII claims of
race discrimination against HMC, Ms. McDermitt, Local 1603, and a union
representative, LaKay Avant. Although Plaintiff’s complaint is not clear on this point and
lacks separate counts setting forth distinct theories of recovery, he arguably also has
asserted claims of racial harassment and retaliation against Defendant HMC and Ms.
McDermitt. He further appears to allege that Defendants violated his constitutional
rights to equal protection and due process, and that Local 1603 breached its duty of fair
representation owed to Plaintiff.
III.
STANDARD OF REVIEW
Through the present pair of motions, Defendants seek an award of summary
judgment in their favor on each of the claims asserted in Plaintiff’s complaint. Under the
pertinent Federal Rule governing this motion, summary judgment is proper “if the
movant shows that there is no genuine dispute as to any material fact and the movant is
entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a). As the Supreme Court
has explained, “the plain language of Rule 56[] mandates the entry of summary
judgment, after adequate time for discovery and upon motion, against a party who fails
to make a showing sufficient to establish the existence of an element essential to that
party’s case, and on which that party will bear the burden of proof at trial.” Celotex
Corp. v. Catrett, 477 U.S. 317, 322, 106 S. Ct. 2548, 2552 (1986).
6
In deciding a motion brought under Rule 56, the Court must view the evidence “in
a light most favorable to the party opposing the motion, giving that party the benefit of
all reasonable inferences.” Smith Wholesale Co. v. R.J. Reynolds Tobacco Co., 477
F.3d 854, 861 (6th Cir. 2007). Yet, the nonmoving party may not rely on bare
allegations or denials, but instead must support a claim of disputed facts by “citing to
particular parts of materials in the record, including depositions, documents,
electronically stored information, affidavits or declarations, stipulations . . . , admissions,
interrogatory answers, or other materials.” Fed. R. Civ. P. 56(c)(1)(A). Moreover, any
supporting or opposing affidavits “must be made on personal knowledge, set out facts
that would be admissible in evidence, and show that the affiant or declarant is
competent to testify on the matters stated.” Fed. R. Civ. P. 56(c)(4). Finally, “[a] mere
scintilla of evidence is insufficient” to withstand a summary judgment motion; rather,
“there must be evidence on which the jury could reasonably find for the non-moving
party.” Smith Wholesale, 477 F.3d at 861 (internal quotation marks and citation
omitted).
IV.
ANALYSIS
A.
Plaintiff’s Title VII Claims Are Subject to Dismissal Due to His Failure
to Timely Produce Evidence That He Exhausted His Administrative
Remedies.
As the first issue raised in each of their two pending motions, Defendants
contend that Plaintiff’s claims under Title VII of the Civil Rights Act of 1964, 42 U.S.C. §
2000e et seq., must be dismissed in light of Plaintiff’s apparent failure to exhaust his
administrative remedies. It is well established that “[a] plaintiff must exhaust [his]
7
administrative remedies before filing [a Title VII] suit in federal court.” Peeples v. City of
Detroit, 891 F.3d 622, 630 (6th Cir. 2018). This, in turn, entails (i) “timely fil[ing] a
charge of employment discrimination with” the Equal Employment Opportunity
Commission (“EEOC”), and (ii) “receiv[ing] and act[ing] upon the EEOC’s statutory
notice of the right to sue (‘right-to-sue letter’).” Peeples, 891 F.3d at 630 (internal
quotation marks and citation omitted).
In this case, Plaintiff alleged in his complaint that he filed “charges” with the
EEOC, and that he secured the requisite right-to-sue letter before commencing this
action. (Dkt. 1, Complaint at ¶¶ 2, 23.) Yet, while Plaintiff claimed that these
documents were attached as exhibits to his complaint, (see id. at ¶¶ 2, 23), no such
materials accompanied this pleading. Similarly, in response to interrogatories served by
Defendants during discovery, Plaintiff stated that he had filed charges with the EEOC
and received a right-to-sue letter, (see Defendant HMC’s Motion, Ex. E, Interrogatory
Responses at 3-4; Defendant Local 1603’s Motion, Ex. D, Interrogatory Responses at 34), but he failed to provide copies of any such materials in response to Defendants’
requests that he produce all documents referenced in his interrogatory responses, (see
Defendant HMC’s Motion, Ex. F, Document Requests at 3; Defendant Local 1603’s
Motion, Ex. E, Document Requests at 3). Consequently, at the time Defendants filed
their present motions, Plaintiff had not produced any evidence in support of his
allegations that he had properly exhausted his administrative remedies. It follows, in
Defendants’ view, that Plaintiff’s Title VII claims are subject to dismissal on this ground.
In his responses to Defendants’ summary judgment motions, however, Plaintiff
has at long last produced at least some of the documentary evidence requested by
8
Defendants during discovery. Specifically, although Plaintiff’s underlying EEOC charge
is nowhere to be found in the record, he has submitted a copy of a right-to-sue letter
issued by the EEOC on December 22, 2016. (See Dkt. 24, Plaintiff’s Response, Ex. A,
EEOC Notice of Suit Rights.) Thus, he argues that he has now produced evidence that
he exhausted his administrative remedies before bringing this suit.
As Defendants correctly observe, however, Plaintiff’s response is insufficient on
two grounds. First, Plaintiff was obligated to produce his right-to-sue letter during
discovery, either (i) as part of his initial disclosures under Fed. R. Civ. P. 26(a)(1)(A)(ii),
which mandates the production of “all documents . . . that the disclosing party has in its
possession, custody, or control and may use to support its claims or defenses,” or (ii) at
a minimum, in response to Defendants’ discovery requests that specifically called for
Plaintiff to disclose all documents evidencing his purported filing of an EEOC charge
and pursuit of his administrative remedies. Moreover, once Plaintiff failed, for whatever
reason, to provide his right-to-sue letter in response to Defendants’ requests for this
document, he had a duty to supplement his document disclosure upon learning that he
had not produced this letter as required. See Fed. R. Civ. P. 26(e)(1)(A).
In light of these violations of Rule 26(a) and (e), Plaintiff is “not allowed to use”
the right-to-sue letter in aid of his opposition to Defendants’ summary judgment motions,
unless his failure to disclose this letter “was substantially justified or is harmless.” Fed.
R. Civ. P. 37(c)(1). As the Sixth Circuit has emphasized, “exclusion of late or
undisclosed evidence is the usual remedy for noncompliance with Rule 26(a) or (e).”
Howe v. City of Akron, 801 F.3d 718, 747 (6th Cir. 2015); see also Vance v. United
States, No. 98-5488, 1999 WL 455435, at *4 (6th Cir. June 25, 1999) (“[T]he required
9
sanction in the ordinary case is mandatory preclusion.”). “Although Rule 37(c)(1) does
authorize the court to consider less severe sanctions, these are secondary options,” and
“exclusion is the rule’s primary directive.” Pullins v. NWS Michigan, Inc., No. 07-13146,
2008 WL 11355516, at *3 (E.D. Mich. July 2, 2008) (internal quotation marks and
citation omitted). Moreover, it is Plaintiff’s burden to show that his untimely production
of the right-to-sue letter was either substantially justified or harmless, such that the
sanction of exclusion is not warranted. See Roberts ex rel. Johnson v. Galen of
Virginia, Inc., 325 F.3d 776, 782 (6th Cir. 2003). Plaintiff has not attempted to make
such a showing, or even acknowledged that his untimely production of the right-to-sue
letter after the close of discovery might be problematic under the rules governing the
discovery process. Accordingly, the Court declines to consider the right-to-sue letter
that Plaintiff has produced for the first time in his summary judgment briefing, and
instead holds that Plaintiff’s Title VII claims are barred for lack of evidence that Plaintiff
exhausted his administrative remedies.
Even if the Court were to allow Plaintiff to introduce his right-to-sue letter into the
record at this late date, Defendant HMC points out that this letter, standing alone, does
not disclose precisely which administrative remedies Plaintiff might have pursued.
Because Plaintiff still has not produced the underlying charge he filed with the EEOC,
there is no way of knowing (i) which claims or theories he advanced in this charge, or (ii)
who he named as parties to these claims. Most importantly, nothing in the right-to-sue
letter (or elsewhere in the record) indicates that either HMC or Plaintiff’s supervisor, Ms.
McDermitt, were identified as parties in Plaintiff’s underlying EEOC charge. To the
contrary, Defendant HMC correctly observes that only the president of AFSCME
10
Michigan Council 25, Albert Garrett, was sent a copy of the right-to-sue letter, (see
Plaintiff’s Response, Ex. A, EEOC Notice of Suit Rights), which strongly suggests that
Plaintiff brought his EEOC charge only against the union or Local 1603. Moreover,
because Plaintiff has not provided a copy of his EEOC charge, there is no way of
ensuring that Plaintiff exhausted his administrative remedies as to the claims of race
discrimination, harassment, and (perhaps) retaliation that he seeks to pursue in this
case. For this additional reason, the Court finds that the record lacks evidence that
Plaintiff exhausted his administrative remedies as a prerequisite to bringing the Title VII
claims asserted in his complaint.
B.
Plaintiff Has Failed to Establish a Prima Facie Case of Race
Discrimination Against Any of the Defendants.
Even assuming Plaintiff exhausted his administrative remedies before
commencing this suit, Defendants next assert that Plaintiff has failed to establish a
prima facie case of discrimination that could sustain his Title VII claims against HMC
and Local 1603.3 In response, Plaintiff insists that he has established the requisite
prima facie case through evidence that, in his view, demonstrates that he was treated
differently from other employees who purportedly engaged in similar conduct. As
discussed below, the Court agrees with Defendants that the evidence cited by Plaintiff
3
To the extent that Plaintiff also seeks to assert Title VII claims of discrimination
or harassment against his former supervisor at HMC, Defendant McDermitt, or an
official of Local 1603, Defendant Avant, the Sixth Circuit has held that Title VII’s
definition of an “employer” does not encompass individual employees or supervisors.
See Wathen v. General Electric Co., 115 F.3d 400, 405 (6th Cir. 1997); see also
Colston v. Cleveland Public Library, No. 12-4103, 522 F. App’x 332, 336 (6th Cir. April
15, 2013). Thus, any Title VII claims of discrimination or harassment asserted against
these individuals are subject to dismissal.
11
does not suffice to surpass even the modest threshold for establishing a prima facie
case of discrimination.
In the absence of direct evidence of discriminatory motive, Plaintiff’s Title VII
claims of discrimination on account of his race are properly analyzed under the familiar
burden-shifting approach articulated by the Supreme Court in McDonnell Douglas Corp.
v. Green, 411 U.S. 792, 802, 93 S. Ct. 1817, 1824 (1973). Under the first step of this
analysis, Plaintiff must establish a prima facie case of discrimination by proving (i) that
he is a member of a protected class, (ii) that he suffered an adverse employment action,
(iii) that he was qualified for his position, and (iv) that he was “replaced by someone
outside the protected class or w[as] treated differently than similarly-situated, nonprotected employees.” Peeples, 891 F.3d at 634. Once Plaintiff establishes this prima
facie case, Defendants then must “articulate some legitimate, nondiscriminatory reason
for” the action taken against Plaintiff. Peeples, 891 F.3d at 634 (internal quotation
marks and citations omitted). If they are able to do so, then Plaintiff must show that the
reasons given by Defendants are a pretext for unlawful discrimination. See Peeples,
891 F.3d at 634; O’Donnell v. City of Cleveland, 838 F.3d 718, 726-27 (6th Cir. 2016).
In their present motions, Defendants do not dispute Plaintiff’s showing as to the
first three elements of a prima facie case of discrimination, but instead focus solely on
the fourth prong of this standard — namely, that Plaintiff was either replaced by
someone outside his protected class or was treated differently from employees outside
this protected class who engaged in similar conduct. Nothing in the record indicates
that Plaintiff was replaced by someone of a different race. Rather, Plaintiff seeks to
establish this element of a prima facie case through evidence that a number of his
12
fellow HMC employees “engaged in conduct similar to what [Plaintiff] was accused of
but were not disciplined.” (Dkt. 24, Plaintiff’s Response Br. at 6.)
As a threshold matter, Local 1603 correctly observes that this purported evidence
of similarly situated employees who were not disciplined does not assist Plaintiff in
establishing a prima facie case against his union representative. Nothing in the record
suggests that Local 1603 was involved in the disciplinary decision that led to Plaintiff’s
discharge. Rather, the Defendant Local’s role was limited to processing Plaintiff’s
grievance after his discipline and discharge. Thus, to establish a prima facie case of
discrimination against Local 1603, Plaintiff must produce evidence that this union
defendant handled Plaintiff’s grievance differently from the grievances of other
employees outside of Plaintiff’s protected class who were accused of similar violations
of HMC’s policies and rules. No such evidence appears in the record — nor, in fact,
does Plaintiff even make such an allegation in his complaint. To the contrary, when
Plaintiff was asked at his deposition whether he was asserting a claim of race
discrimination against Local 1603, he responded that “I just can’t answer that.”
(Plaintiff’s Dep. at 79-80.) He further testified that his claims against this union
defendant were based on Local 1603’s alleged failure to represent him, and not on any
action it took on account of his race. (See id. at 80.) Accordingly, Plaintiff has not
established a prima facie case of discrimination against Local 1603.
As for Plaintiff’s claim against HMC, he first runs afoul of the same discovery
violation discussed earlier — namely, an attempt to rely on evidence that he failed to
disclose during discovery. In this instance, Plaintiff seeks to establish a prima facie
case of discrimination by resort to the affidavit of Lawanda Hardnett, who identifies
13
herself as HMC’s environmental service manager at the time of the events giving rise to
this suit. (See Plaintiff’s Response, Ex. B, Hardnett Aff. at ¶ 3.)4 As HMC points out,
however, as part of the initial disclosures mandated under Rule 26(a)(1), Plaintiff was
required to identify “each individual likely to have discoverable information — along with
the subjects of that information — that the disclosing party may use to support [his]
claims or defenses, unless the use would be solely for impeachment.” Fed. R. Civ. P.
26(a)(1)(A)(i). Plaintiff did not name Ms. Hardnett in his initial disclosures as an
individual who was likely to possess discoverable information — indeed, HMC states
without contradiction that Plaintiff made no initial disclosures whatsoever. Nor did he
identify Ms. Hardnett as a witness at any other point during discovery, “despite multiple
opportunities to do so.” (Dkt. 26, Defendant HMC’s Reply Br. at 2.) Consequently,
under the authorities cited earlier, Plaintiff is “not allowed to use” Ms. Hardnett’s
statements in her affidavit as a basis for opposing Defendant HMC’s motion for
summary judgment. Fed. R. Civ. P. 37(c)(1); see also Jack Cooper Transport Canada,
Inc. v. TCB Importing, LLC, No. 16-13812, 2018 WL 836448, at *2-*3 (E.D. Mich. Feb.
13, 2018) (declining to consider an affidavit cited in a party’s summary judgment
briefing, where the affiant had not been identified in the party’s initial disclosures or later
in discovery); Pullins, 2008 WL 11355516, at *3-*4 (same).
4
Briefly, Ms. Hardnett asserts in her affidavit that Plaintiff’s supervisor, Defendant
McDermitt, “treated [Plaintiff] differently than she would treat the white employees under
her supervision.” (Id. at ¶ 7.) She further contends that Ms. McDermitt acted outside of
the usual chain of command in disciplining Plaintiff, and that Ms. McDermitt and other
management-level employees at HMC “would get together in their attempt to find some
reason to discharge[]” Plaintiff. (Id. at ¶¶ 8-10.)
14
Absent Ms. Hardnett’s affidavit, Plaintiff relies solely on his own deposition
testimony in order to establish the “different treatment” element of his prima facie case
of discrimination. Specifically, he points to this testimony as identifying “a number of
employees who engaged in conduct similar to what [Plaintiff] was accused of but were
not disciplined.” (Plaintiff’s Response Br. at 6 (citing Plaintiff’s Dep. at 49-50).) Yet, in
the cited passage of his deposition testimony, Plaintiff merely identified two fellow
employees who took breaks in the BQ rooms at the Dutcher Building but were not
disciplined or discharged. (See Plaintiff’s Dep. at 49-50.) Even assuming Plaintiff has
the requisite personal knowledge about the activities of his two co-workers and their
disciplinary records, the record shows that Plaintiff was not discharged for taking breaks
in the BQ rooms. Rather, his employment was terminated due to his “flagrant[]
violat[ion]” of employee conduct rules and HMC policy by “leaving work for long periods
of unauthorized time on several occasions while still on the clock.” (Defendant HMC’s
Motion, Ex. D, Notice of Termination; see also McDermitt Aff. at ¶¶ 7-8.)
Because Plaintiff has not identified any co-workers who engaged in this or similar
misconduct but were allowed to remain on the job, he has failed to satisfy the fourth and
final element of a prima facie case of race discrimination against Defendant HMC.
Consequently, he cannot go forward with his Title VII claims of race discrimination
against any of the Defendants, and Defendants therefore are entitled to summary
judgment in their favor on these claims.
C.
Plaintiff Has Failed to Produce Evidence in Support of Any Other
Theory of Recovery Arguably Asserted in His Complaint.
15
Apart from his Title VII claims of race discrimination, Plaintiff arguably has
advanced other theories of recovery in his complaint. In their present motions,
Defendants contend that Plaintiff has failed to provide evidentiary support for any such
additional claims he might be pursuing in this case. They further argue that Plaintiff has
abandoned most of these additional claims by failing to address them in his responses
to Defendants’ motions. The Court agrees on both scores.
At points in his complaint, Plaintiff appears to suggest that Defendants created a
hostile work environment in which he was unlawfully harassed on account of his race.
(See Complaint at ¶¶ 5, 7-8.) To the extent that these allegations are meant to support
a Title VII claim of racial harassment, the Court previously explained that Plaintiff has
failed to produce evidence that he exhausted his administrative remedies before
bringing his Title VII claims in federal court. Because this requirement of administrative
exhaustion applies equally to Title VII claims of discrimination and hostile work
environment harassment, any claims that Plaintiff might be pursuing under the latter
theory of recovery are also subject to dismissal. Moreover, Plaintiff has not even
mentioned a claim of race-based harassment in his responses to Defendants’ motions,
much less identified any evidentiary support for this theory of recovery, so any such
claim has been abandoned.
Next, Plaintiff seemingly alleges in his complaint that one or more Defendants
retaliated against him after he engaged in protected activity. (See Complaint at ¶¶ 8,
11-12.) Again, to the extent that Plaintiff means to assert a claim of retaliation under
Title VII, this claim would be subject to dismissal due to Plaintiff’s failure to exhaust his
administrative remedies. Alternatively, if Plaintiff seeks to pursue a claim of retaliation
16
under Michigan’s Whistleblowers’ Protection Act, Mich. Comp. Laws § 15.361 et seq.,
(see Complaint at ¶ 11), Defendant HMC observes in response that this claim would be
barred as brought well outside the statute’s 90-day limitation period, see Mich. Comp.
Laws § 15.363(1). Finally, Plaintiff has abandoned this claim by failing to address it in
his responses to Defendants’ motions.
Plaintiff’s complaint also makes passing reference to the guarantees of equal
protection and due process under the Fourteenth Amendment to the U.S. Constitution.
(See Complaint at ¶¶ 9-10.) Yet, beyond his conclusory assertion that Defendants
somehow “violat[ed]” the Equal Protection and Due Process Clauses of the Fourteenth
Amendment, thereby giving rise to claims under 42 U.S.C. § 1983, (id. at ¶ 9), Plaintiff
alleges no facts that, if proven, would establish such a constitutional violation. Neither
does he mention this theory of recovery in his responses to Defendants’ motions, much
less endeavor to explain how the record might support a § 1983 claim against any of the
Defendants.5 Accordingly, Plaintiff has abandoned any such claim he might have
asserted in his complaint.
Finally, Plaintiff appears to allege that Defendant Local 1603 breached a duty of
fair representation owed to him by his union representative. (See Complaint at ¶¶ 20,
24-28.) In opposing Local 1603’s request for summary judgment in its favor as to this
claim, Plaintiff tersely asserts in a single paragraph (i) that although the defendant union
viewed the evidence against him as “insurmountable,” the video footage relied upon by
the union in making this determination did not, in fact, capture Plaintiff “leaving the
5
It also is doubtful that Local 1603 or the union official named as a defendant,
LaKay Avant, would qualify as state actors who are subject to liability under § 1983.
17
hospital while he was supposed to be working,” (ii) that in response to the union’s
request for evidence to support his challenge to the video footage and other materials
that purportedly justified his discharge, Plaintiff “obtained affidavits from six individuals
who worked with him on the dates in question and saw him at work,” and (iii) that the
union “should have considered the affidavits” in handling his grievance “because they
rebutted the evidence against” Plaintiff. (Dkt. 25, Plaintiff’s Response Br. at 6.)
As observed by Local 1603, however, Plaintiff’s argument on this point rests on a
mischaracterization of the record. Plaintiff himself testified that in support of his written
appeal of the defendant union’s decision not to take his grievance to arbitration, he
submitted the co-worker affidavits that he now claims Local 1603 “should have
considered.” (See Plaintiff’s Dep. at 74-75.) Then, when this written request was
denied and Plaintiff sought a live appeal, he again was given the opportunity to present
documentation — presumably including the affidavits of his co-workers — to the
arbitration review panel. (See id. at 75, 77-78.) Thus, while Plaintiff suggests that the
Defendant local failed to consider the co-worker affidavits, he offers no evidence to
support this conjecture. To the contrary, the arbitration review panel recognized that
Plaintiff had “denie[d] that the individual in the video” was him, but it nonetheless
concluded “[u]pon review of the evidence” that Plaintiff’s “grievance lacks merit for
arbitration.” (Defendant Local 1603’s Motion, Ex. C, 5/10/2016 Denial Letter.) Under
this record, it cannot be said that Local 1603 failed to consider the documentation
submitted by Plaintiff in support of his grievance.
This leaves only Plaintiff’s more generalized complaint that Local 1603 breached
its duty of fair representation by electing not to take his grievance to arbitration. As
18
noted by the Defendant union, Plaintiff was employed by a public hospital, and the
union’s collective bargaining agreement with this hospital therefore is governed by the
Public Employment Relations Act (“PERA”), Mich. Comp. Laws § 423.201 et seq. Like
the federal-law standards imposed on unions that represent private sector employees,
the duty of fair representation owed by a union to public sector employees under the
PERA mandates that the union’s conduct toward members of the collective bargaining
unit must not be arbitrary, discriminatory, or in bad faith. See Goolsby v. City of Detroit,
419 Mich. 651, 358 N.W.2d 856, 861-62 & n.5, 870 (1984); Taylor School District v.
Rhatigan, 318 Mich. App. 617, 900 N.W.2d 699, 711 (2016). As already discussed, to
the extent that Plaintiff accuses Local 1603 of engaging in discrimination through its
decision not to pursue arbitration of his grievance, he has failed to produce any
evidence, whether of differential treatment or otherwise, that could sustain this
allegation of discrimination. Neither has he alleged or produced evidence that the
Defendant local acted in bad faith in its handling of his grievance.
Thus, to sustain his claim that Local 1603 breached its duty of fair representation,
Plaintiff must point to evidence that gives rise to an issue of fact as to whether the
Defendant local acted arbitrarily in electing not to take Plaintiff’s grievance to arbitration.
The Michigan courts have emphasized that a bargaining unit employee does not have
“an absolute right to have his grievance taken to arbitration,” and that the union instead
has “considerable discretion to determine which grievances to press and which to
abandon.” Demings v. City of Ecorse, 423 Mich. 49, 377 N.W.2d 275, 284 (1985); see
also Goolsby, 358 N.W.2d at 863. If the union exercises this discretion to reach a
“reasoned, good-faith, non-discriminatory decision not to process a grievance,” then it
19
has not “acted arbitrarily [or] breached its duty of fair representation.” Goolsby, 358
N.W.2d at 871 (footnote omitted); see also Knoke v. East Jackson Public School
District, 201 Mich. App. 480, 506 N.W.2d 878, 881 (1993) (explaining that a union’s
“considerable discretion” in handling a grievance encompasses the authority to “assess
each grievance with a view to individual merit”).
Plaintiff has not pointed to any evidence in the record that might rebut or
undermine Local 1603’s showing that it engaged in a reasoned decision-making
process in declining to pursue arbitration of Plaintiff’s grievance. In reaching this
decision, the Defendant local acknowledged Plaintiff’s denial that he had left the
workplace without permission, but it pointed to competing evidence produced by HMC,
including “badge swipe records and video/screenshots of an individual [it] allege[s] is
[Plaintiff] exiting [from] and returning [to] the facility.” (Defendant Local 1603’s Motion,
Ex. C, 5/10/2016 Denial Letter.) Upon reviewing this evidence and convening a live
appeal at which, by his own admission, Plaintiff appeared and provided documentation
in support of his grievance, an arbitration review panel determined that Plaintiff’s
“grievance lacks merit for arbitration.” (Id.) Nothing in this decision or the process
leading to it is suggestive of the sorts of conduct described by the Michigan Supreme
Court as evidencing arbitrariness in a union’s handling of a grievance on behalf of a
member of the collective bargaining unit. See Goolsby, 358 N.W.2d at 872.
Accordingly, Local 1603 is entitled to summary judgment in its favor on Plaintiff’s claim
that the Defendant union breached its duty of fair representation.
V.
CONCLUSION
20
For these reasons, the Court GRANTS the August 28, 2018 motion for summary
judgment filed by Defendants Hurley Medical Center and Erika McDermitt (Dkt. 20), and
also GRANTS the August 29, 2018 motion for summary judgment filed by Defendants
AFSCME Michigan Council 25, Local 1603 and LaKay Avant (Dkt. 22).
IT IS SO ORDERED.
Date: March 28, 2019
s/Marianne O. Battani
MARIANNE O. BATTANI
United States District Judge
CERTIFICATE OF SERVICE
The undersigned certifies that the foregoing Order was served upon counsel of record via the Court's ECF System to their
respective email addresses or First Class U.S. mail to the non-ECF participants on March 28, 2019.
s/ Kay Doaks
Case Manager
21
Disclaimer: Justia Dockets & Filings provides public litigation records from the federal appellate and district courts. These filings and docket sheets should not be considered findings of fact or liability, nor do they necessarily reflect the view of Justia.
Why Is My Information Online?