Grivois v. Wentworth-Douglass Hospital et al
Filing
44
ORDER denying 29 Motion for Summary Judgment; denying 26 Motion to Amend 1 Complaint; granting in part and denying in part 22 Motion to Exclude or Limit Disclosed Expert Opinions of Harford, Bopp & Drukteinis. So Ordered by Chief Judge Joseph N. Laplante.(jb)
UNITED STATES DISTRICT COURT
DISTRICT OF NEW HAMPSHIRE
Jeanne Grivois
v.
Civil No. 12-cv-131-JL
Opinion No. 2014 DNH 017
Wentworth-Douglass Hospital
and Gregory Walker
MEMORANDUM ORDER
The central question in the case, like in many employment
cases, turns on why the defendant fired the plaintiff--a question
of state of mind that, while it does not necessarily preclude the
remedy of summary judgment, see Fed. R. Civ. P. 56, calls for
“particular cautio[n]” in its application.
Stepanischen v.
Merchants Despatch Transp. Co., 722 F.2d 922, 927 (1st Cir.
1983).
The record in this case, like the record in many
employment cases, is characterized by disputes over who said what
to whom, and when, as interested witnesses have given their
recollections of largely undocumented interactions that occurred
several years ago.
None of that, though, has stopped the
defendant employer here--like the employer in many employment
cases--from moving for summary judgment, arguing that the
undisputed record evidence shows that it did not fire the
plaintiff for, as she claims, performing acts that public policy
would encourage.
Specifically, the plaintiff, Jeanne Grivois, claims that the
defendant, Wentworth-Douglass Hospital, wrongfully terminated her
for engaging in acts that public policy would encourage--her
“expression of concern about Hospital policies which she believed
had created the potential of harm to Hospital patients”--in
violation of New Hampshire law.
See Cloutier v. Great Atl. &
Pac. Tea Co., 121 N.H. 915, 920 (1981).
Grivois has also sued
the hospital’s president and CEO, Gregory Walker, claiming that
he defamed her when he told surgeons who had worked with her that
she was “fired for engaging in a ‘heinous act.’”
The defendants
have moved for summary judgment on that claim, too, as well as to
exclude or limit the trial testimony of several of Grivois’s
expert witnesses.
Grivois, for her part, has filed a motion to amend her
complaint, see Fed. R. Civ. P. 15(a)(2), seeking to add claims
based on Walker’s statement and the statement of another hospital
employee who, Walker says, erroneously told him that Grivois had
been fired for threatening to publicly say that her supervisor is
gay (which the supervisor denies).
This court has subject-matter
jurisdiction under 28 U.S.C.
§ 1332(a)(1) (diversity),
because Grivois is a citizen of Maine and Wentworth-Douglass and
Walker are citizens of New Hampshire.
2
Following oral argument, the defendants’ motion for summary
judgment is denied, their motion to exclude or limit the
testimony of Grivois’s designated expert witnesses is granted in
part and denied in part, and Grivois’s motion to amend is denied.
In moving for summary judgment on Grivois’s wrongful discharge
claim, the defendants argue that (1) her mere “‘expressions of
concern’ that changes in training or different staffing patterns
could create a potential risk to patient safety . . . were not,
as a matter of law, protected acts,” (2) in any event, Grivois
lacks evidence that she was fired for expressing those concerns,
as opposed to the unrelated reason that the hospital gave for
firing her, and (3) Grivois likewise lacks evidence that she was
fired “out of bad faith, malice, or retaliation,” which she must
also prove to prevail on her wrongful termination claim, Short v.
Sch. Admin. Unit No. 16, 136 N.H. 76, 84 (1992).
As fully
explained below, see infra Part I.C.1, the court disagrees.
Based on the record evidence (much of which the defendants have
failed to address or glossed over in their briefing), a rational
jury could find that (1) public policy encouraged Grivois to
complain to her managers that their changes to training and
staffing procedures had endangered patient safety, (2) the
hospital fired Grivois for making such complaints, and (3) it
acted out of bad faith, malice, or retaliation in doing so.
3
As
also fully explained below, the defendants are incorrect that
Walker’s statement that Grivois had been fired for (as one
witness remembers the statement) “a heinous crime” was either
inactionable or privileged as a matter of law.
I.C.2.
See infra Part
The motion for summary judgment is denied.
Grivois’s motion to amend is also denied, because, as fully
discussed below, she filed it several months after the applicable
deadline and has failed to show good cause for that delay.
infra Part II.
See
Finally, the defendants’ motion to exclude or
limit the opinion testimony of Grivois’s designated experts is
denied insofar as it is based on the alleged untimeliness of her
expert disclosures, see infra Part III.A, but is granted in part
and denied in part insofar as the motion argues that the opinions
are inadmissible, see infra Part III.B.
The court will address
the various motions in turn.
I.
Summary judgment
A.
Applicable legal standard
Summary judgment is appropriate where “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.”
P. 56(a).
Fed. R. Civ.
A dispute is “genuine” if it could reasonably be
resolved in either party’s favor at trial by a rational fact-
4
finder, and “material” if it could sway the outcome under
applicable law.
(1st Cir. 2010).
See Estrada v. Rhode Island, 594 F.3d 56, 62
Importantly, in deciding summary judgment, the
court “views all facts and draws all reasonable inferences in the
light most favorable to the non-moving” party.
B.
Id.
Background
The facts relevant to the defendants’ summary judgment
motion, set forth in the light most favorable to Grivois, are as
follows.1
Grivois began working for Wentworth-Douglass as a
1
Invoking L.R. 7.2(b)(2), the defendants argue that all of
the properly supported material facts set forth in their summary
judgment memorandum are deemed admitted because Grivois has not
“properly opposed” them in her opposition memorandum--a task
which, in the defendants’ view, required her to “identify . . .
which of the [their] properly supported material facts [she]
contends are either not material or are not disputed by her.”
Local Rule 7.2(b)(2), however, does not envision the non-movant’s
version of facts as a response to the movant’s version; the rule
requires only that the opposition memorandum “incorporate a short
and concise statement of material facts, supported by appropriate
record citations, as to which the adverse party contends a
genuine dispute exists as to require a trial.” In other words,
L.R. 7.2(b)(2) simply directs the non-movant to “set forth, with
specificity, her own version of the material facts,” accompanied
by citations to the record. Lagasse v. McLane/E., Inc., No.
12-cv-240, slip op. at 3 (D.N.H. Oct. 21, 2013). Grivois’s
summary judgment memorandum does so, and therefore complies with
Local Rule 7.2(b)(2).
This is not to say that Grivois’s summary judgment objection
complies with all other rules applicable to those filings, most
notably, Rule 56(c)(2), which requires that “material submitted
to support or dispute a fact . . . be presented in a form that
would be admissible in evidence.” While Grivois cites to certain
admissible materials, such as depositions, affidavits, and
5
surgical technologist in 1976 and, by the time of the events
giving rise to this lawsuit, was acting as a “service
coordinator” for the hospital’s general surgeons.
In 2009, Wentworth-Douglass hired Christine Hamill as its
assistant vice president of surgical and out-patient services, a
position that included oversight of the operating room (“OR”).
Hamill, in turn, hired Dale Spracklin as the OR’s nurse manager,
in or around June 2010.
1.
Grivois’s complaints to management
Hamill and Spracklin began to implement certain changes to
staffing procedures in the OR.2
One of these changes was to
interrogatory answers, she also repeatedly cites to her
complaint--which is unverified--as evidence of the facts alleged.
The allegations of an unverified complaint cannot be used to
demonstrate a genuine issue of fact in opposing summary judgment.
See, e.g., Fragoso v. Lopez, 991 F.2d 878, 887 (1st Cir. 1993).
This deficiency is not cured, moreover, by Grivois’s submission
of an affidavit stating, in a single sentence, that “the
information contained in [her summary judgment memorandum] is
accurate to the best of [her] knowledge and belief.” See
F.D.I.C. v. Roldan Fonseca, 795 F.2d 1102, 1106 (1st Cir. 1986)
(ruling that an affidavit “to the effect that the facts in a
certain pleading are true to the best of affiant’s ‘knowledge and
belief’ . . . is in no way the evidentiary affidavit called for”
by Rule 56). In its summary judgment analysis, then, this court
has ignored Grivois’s factual assertions insofar as they are
supported only by citations to her complaint.
2
Prior to Spracklin’s arrival, Hamill made a change to the
OR’s on-call policy. Previously, employees over the age of 60
(including Grivois) had been exempt from “on-call” duty. Hamill
discontinued that exemption. Grivois formally complained to the
6
relax the training required for new OR staffers.
Previously, a
new staff member could fully assume independent duties in the OR
only after completing three months of training and convincing the
“operating room educator,” Cindy Wyskiel, that the new hire was
ready for that responsibility.
If, based on feedback from more
experienced staffers, Wyskiel determined otherwise, then the new
staffer was not left alone to perform tasks for patients in the
OR until he or she demonstrated the necessary proficiency.
After
Hamill took over, however, new staffers were given sole
responsibility over those tasks solely by virtue of completing
the three-month training period.
Grivois says that this led to several situations where
patients were unnecessarily exposed to the risk of harm.
She
recalls one case of a laparoscopic abdominal surgery in which a
new staff person could not readily identify an instrument that
the surgeon had requested (a hemoclip), resulting in an
human resources department about this change, which she believed
was “a safety issue” (though her formal complaint did not say
that). While the complaint in this action mentions that, prior
to her firing, Grivois voiced a concern that “at [her] age, being
on-call put her at risk for performing her duties with less than
adequate competence,” she testified at her deposition that she
did not believe that the “primary reason” she was fired was that
she “complained about being on call,” and that she did not
believe that her formal complaint played “any part” in her
termination. In ruling on summary judgment, then, the court has
not considered any theory that Grivois was fired for complaining
about the change to the on-call policy.
7
interruption to the procedure and, ultimately, the need to remove
the laparoscope so that blood could be cleared.
Grivois says
that this delay could have increased the potential for infection
and tissue morbidity and that “[u]nder the former training
procedure, the experienced staff person with whom [the new hire]
would have been paired would have prevented this unnecessary
delay.”
Grivois recalls that, in another case, a new staff
member incorrectly positioned the cautery device, causing its
foot pedal to jam underneath the operating table so that the
device malfunctioned--which occasioned several minutes’ delay as
the cautery unit was reactivated.
Grivois also recalls another
incident in which a new staff member improperly repositioned an
obese patient for a procedure, risking nerve damage.
At her deposition, Grivois said that she raised her concerns
about the orientation of new staff--specifically, “the fear that
something was going to happen to a patient”--to Wyskiel on
“several” occasions.
Grivois also testified that she also raised
the issue “10, 12, multiple times” with Spracklin, as well as
during “a long talk” with Hamill in the late spring of 2010.
In
addition, in her answers to the defendants’ interrogatories,
Grivois states that she told Spracklin “about all of the dangers
that [Grivois] witnessed at [her] yearly evaluation,” which took
place in or around September 2010.
8
Another change that Hamill and Spracklin had started to
implement, in the fall of 2010, was to introduce a system called
“PODS” (an acronym for “professional of designated speciality”).
Under this system, each OR nurse works in just a few specific
surgical specialities.
This focus, in theory, enables the nurse
to better familiarize himself or herself with the procedures
common to those specialties.
This differs from a more
traditional staffing model, in which each nurse is expected to
assist with all types of surgery, rather than specializing.
At her deposition, Grivois testified that she “saw flaws in
the POD system which [she] stated to” Hamill and Spracklin,
telling them that it was “a patient safety issue.”
Under the
PODS regime, as Grivois states in her answers to the defendants’
interrogatories, a surgeon “would train people who would then not
be in his [operating] room [assisting] for a long time, then he
would train more people[,] then when the original people rotated
back into his room, they had totally forgotten what he had taught
them.”
Grivois states that “[t]his is not good patient care”
because “[i]nexperienced staff make more mistakes.”
In addition,
Grivois states, “[t]he service coordinators are not there” to
9
guide the inexperienced staff because they “are in other rooms
doing other POD services.”3
2.
Grivois’s suspension and firing
In September 2010, Hamill and Christi Blanchard, who held
the title of “Human Resource Recruitment and Retention Officer”
at Wentworth-Douglass, informed Spracklin that two nurses who had
recently left the hospital’s employ had complained about Grivois
during their exit interviews.
These nurses had said that
“Grivois was mean to them, did not support the OR staff, and was
an overall bad influence in the OR.”
Spracklin spoke to both of
the nurses, who generally repeated the substance of what they had
said in their exit interviews.
In an affidavit submitted with Grivois’s objection to the
summary judgment motion, Spracklin explains that she “found it
easy to believe that people were quitting based on inappropriate
behavior by Ms. Grivois,” because, among other reasons, Hamill
and Blanchard had told Spracklin that “Grivois had a reputation
3
In her interrogatory answers, Grivois describes an incident
where she and another coordinator were both assisting with a
gynecological procedure, leaving a different surgeon to prepare
for another procedure with the help of “3 or 4 new people who had
no idea how to position [the] patient for surgery.” As a result,
Grivois says, “the patient was unnecessarily repositioned
multiple times, putting the patient under physical stress,” which
“could have been avoided by having a [general surgery]
coordinator,” such as Grivois, present.
10
for being a disruptive employee and there were perhaps multiple
written warnings in her personnel file.”
In fact, Spracklin
attests, Hamill and Blanchard “led [her] to believe that Ms.
Grivois’ complaints about the implementation of the POD system
were just more examples of her disruptive behavior.
that I should ‘get rid of her.’”4
I was told
Spracklin further attests that
Hamill and Blanchard told her, after Spracklin began working at
Wentworth-Douglass in June 2010, that she “would have difficulty
in implementing changes,” due in part to certain employees who
“would be reluctant to change.”
Hamill and Blanchard identified
Grivois as “one of those ‘trouble’ employees.”
4
At oral argument, the defendants maintained that this
statement from Spracklin’s affidavit--“I was told that I should
just get rid of her”--failed to show that it was Hamill or
Blanchard who had told Spracklin that, presumably because the
statement is couched in the passive voice. As just discussed,
though, the surrounding paragraphs of Spracklin’s affidavit
specifically identify Hamill and Blanchard as the source of other
critical comments about Grivois, so it is at least reasonable to
read the statement as identifying the same people as the source
of the advice to “just get rid of her.” Again, the court must
view the summary judgment in the light most favorable to Grivois,
giving her the benefit of all reasonable inferences. See Part
I.A, supra. It is also worth noting that the defendants had a
copy of Spracklin’s affidavit prior to her deposition, so they
could have used that opportunity to ask her to clarify her
statement, in hopes of eliminating a potential issue of fact.
But they did not do so, at least in any portion of Spracklin’s
deposition that has been submitted to the court. While the
defendants were of course entitled to leave the record as it
stood on this point, it is the court’s view that, on the record
as it stands, the “just get rid of her” comment is fairly
attributable to Hamill or Blanchard.
11
Spracklin (with the assistance of Hamill and Blanchard)
took formal disciplinary action against Grivois, in the form of a
“Level II Warning,” based on the outgoing nurses’ complaints.
At
a one-on-one meeting in November 2010), Spracklin presented
Grivois with the warning, but she refused to sign it.
In
disputing the accuracy of the nurses’ complaints, Grivois told
Spracklin, according to Spracklin’s affidavit:
I shouldn’t believe everything that I heard from OR
staffer members. She then commented that I should hear
what OR staff members said about me.
I asked her what was being said. She replied that
others had said: that I had been fired from my last
job, that I was going through a divorce, and that I was
gay.
Spracklin assured Grivois that these stories were untrue.
Spracklin then told Hamill what Grivois had said.
On the next
working day, Grivois apologized to Spracklin, who said she would
be making a formal complaint about Grivois’s comments.
To do so, Spracklin met with Erin Flanigan, the vice
president of human resources at Wentworth-Douglass, on November
19, 2010.
complaint.
Flanigan, in turn, notified Grivois of Spracklin’s
When Flanigan met with Grivois, she admitted to
making the inappropriate comments to Spracklin.
notified Grivois that she was being suspended.
12
Flanigan
On November 22, 2010, Hamill and Flanigan presented Grivois
with written notice that, “[b]ased on [their] investigation of
the recent complaint lodged against [her] and [her] admission of
said complaint,” Grivois was immediately suspended without pay
until December 13, 2010, and relieved of her role as the service
coordinator for general surgery (she was reassigned to
orthopedics).
She was also warned that “[i]f improvement in
these areas does not occur, further disciplinary action, up to
and including termination, may occur.”
Grivois objected that the
punishment was too harsh, and refused to sign the notice, asking
for time to decide how to respond.
After Flanigan agreed to give
Grivois a week, Hamill left the room, and Flanigan asked Grivois
whether she would talk to Spracklin.
Grivois agreed.
After Spracklin entered, she told Grivois that she was being
moved from her position in general surgery to orthopedics, but
that “we’re going to try to work things out.”
is a matter of some dispute.
What happened next
Flanigan has testified that Grivois
“moved forward to the edge of her chair and actually leaned
forward to” Spracklin to express “disagreement with the process
around the Level II Warning” (which, as just discussed, had
resulted from the complaints the two outgoing nurses had made
about Grivois).
In response, Flanigan recalls, Spracklin “got
flustered, was actually sitting back, had a flushed face and was
13
kind of looking at [Flanigan] very deer-in-the-headlights.”
So
Flanigan “stopped the conversation,” because “in the course of a
conversation where her manager was trying to get the employee
focused on the future, it became clear . . . that this was not an
employee who was open to hearing feedback from” Spracklin.
Spracklin’s account of the meeting is that “obviously
[Grivois] was upset” and “defensive” at the loss of her role as
the service coordinator for general surgery, and “folded [her]
arms and sighed,” but that “[t]he discussion was not heated” and
that neither woman “became argumentative.”
Grivois, for her
part, testified that she told Spracklin, “I would admit to
something I did if I did it, but I didn’t know what she said that
I did . . . .
I needed to see the complaint.”
Grivois stated
that, in giving that message, she “used some hand motion” and may
have been “leaning forward” but did not raise her voice.
Grivois
further recalled that Spracklin “didn’t seem flustered.”
In
fact, Grivois testified, after Flanigan “stopped the conversation
and said this is going nowhere,” Grivois asked Flanigan, “was I
unprofessional in my demanor to [Spracklin] at all?” and Flanigan
said “no, you weren’t.”
In any event, Flanigan ended the meeting.
She then called
Hamill and reported that Grivois “was not interested in improving
her interpersonal relations with [Spracklin] or with people
14
generally, and so it was [Flanigan’s] recommendation that
[Wentworth-Douglass] consider termination.”
decided to fire Grivois.
Hamill agreed, and
Spracklin was not consulted further.
On November 23, 2010 (the day after Grivois’s meeting with
Flanigan and Spracklin), Hamill and Flanigan notified Grivois
that she was being terminated due to, as Grivois recalls it, her
“failure to move on with [her] supervisor,” Spracklin.
Following Grivois’s termination, some of the surgeons with
whom she had worked approached Walker, Wentworth-Douglass’s CEO,
seeking to learn why Grivois had been fired.
In a series of
meetings that followed, Walker responded, initially, that he
would not discuss the specific reasons for one employee’s
termination with the hospital’s other employees.
Eventually,
though, Walker stated--according to one of the surgeons who was
there--that Grivois had “performed a heinous crime.”5
Walker did
not further elaborate, but has since explained, at his deposition
in this case, that he thought when he made that statement that
Grivois had been fired because she threatened “[t]o go public
with the fact that [Spracklin] had an alleged affair with another
5
Other witnesses recalled that Walker had used the phrase
“heinous act”--which is also what Grivois, in her complaint in
this action, accused Walker of saying. Again, though, this court
must take the record in the light most favorable to Grivois.
15
employee” at the hospital where she worked prior to taking her
job at Wentworth-Douglass.
C.
Analysis
1.
Wrongful termination
“In order to prevail on a wrongful termination claim under
New Hampshire law, a plaintiff must establish two elements:
one,
that the employer terminated the employment out of bad faith,
malice, or retaliation; and, two, that the employment was
terminated because the employee performed acts which public
policy would encourage or refused to perform acts which public
policy would condemn.”
Straughn v. Delta Air Lines, Inc., 250
F.3d 23, 44 (1st Cir. 2001) (quotation marks, bracketing, and
ellipses omitted).
The defendants argue that they are entitled
to summary judgment on Grivois’s wrongful termination claim
because she cannot show a genuine issue of material fact as
either of these elements.
Specifically, the defendants argue
that Grivois lacks sufficient proof:
(a) that she performed any act that public policy would
encourage;
(b) even if she did, that Wentworth-Douglass fired her
for performing that act, instead of for her conduct at
the meeting with Flanigan and Spracklin, in November
2010; and
(c) that, whatever the conduct that prompted Grivois’s
termination, it was motivated by the bad faith,
16
retaliation, or malice, as also necessary to give rise
to a wrongful termination claim.
For the reasons explained below, this court disagrees, and rules
that Grivois has presented a triable claim for wrongful
termination.
a.
Acts that public policy would encourage
As noted at the outset, Grivois alleges that she was fired
for her “expression of concern about Hospital policies which she
believed had created the potential of harm to Hospital patients.”
In moving for summary judgment, the defendants do not dispute
that Grivois generally expressed such concerns--instead, they
argue that “diffuse ‘expressions of concern’ that changes in
training or different staffing patterns could create a risk to
patient safety, without any basis in established minimum
standards or regulations to support that claim, were not, as a
matter of law, protected acts.”
This court disagrees with the
defendants’ characterizations of both what Grivois did, as a
matter of fact, and what an employee is required to do, as a
matter of law, to give rise to a wrongful termination claim.
To start with, neither the New Hampshire Supreme Court nor
this court has ever held that an employee’s complaints about
safety risks caused by her employer’s operations are “protected
acts” only if those risks result from the violation of
17
“established minimum standards or regulations.”
Cf. Bruning v.
D.E. Salmon, Inc., No. 03-352, 2003 WL 22995122, at *2-*3 (D.N.H.
Dec. 18, 2003) (denying motion to dismiss wrongful termination
claim for the lack of a cognizable public policy where the
plaintiff alleged he was fired for complaining about unsafe
behavior in the workplace, without discussing whether that
behavior violated established standards or regulations); Brewer
v. K.W. Thompson Tool Co., 647 F. Supp. 1562, 1565 (D.N.H. 1986)
(similar).
To the contrary, “[p]ublic policy exceptions giving
rise to wrongful discharge actions may [] be based on
non-statutory policies” and determining “[t]he existence of a
public policy [] calls for the type of multifaceted balancing
process that is properly left to the jury in most instances.”
Cloutier, 121 N.H. at 922-24.
So far as this court can tell from the existing
pronouncements of the New Hampshire Supreme Court, this
“multifaceted balancing process” does not impose absolute
requirements, such as the one the defendants propose.
The
defendants make no attempt to reconcile established New Hampshire
law with their view that public policy encourages complaints
about workplace safety only when those complaints concern
violations of “established minimum standards or regulations.”
18
Instead, the defendants rely on case law rejecting wrongful
termination claims under Massachusetts law.
But, while
Massachusetts law provides “a cause of action for wrongful
discharge if the discharge is contrary to public policy,” DeRose
v. Putnam Mgmt. Co., 496 N.E.2d 428, 431 (Mass. 1986),
Commonwealth law in this area differs from that of this state in
at least one crucial respect.
As Grivois points out,
Massachusetts recognizes “a cause of action for wrongful
termination only if the termination violates a clearly
established public policy,” and “has consistently interpreted the
public policy exception narrowly.”
King v. Driscoll, 638 N.E.2d
488, 492 (Mass. 1994) (emphasis added).
Thus, Massachusetts courts have generally restricted
wrongful termination claims to “employees who are terminated for
asserting a legal right, for doing what the law requires, or for
refusing to disobey the law,” and to a few other “reasons for
terminations which would directly contradict well-defined public
policies of the Commonwealth.”
Upton v. JWP Businessland, 682
N.E.2d 1357, 1358-59 (Mass. 1997) (parentheticals omitted).
The
New Hampshire Supreme Court, in contrast, has explicitly refused
to limit wrongful termination claims to firings that implicate “a
strong and clear public policy,” and, again, has left identifying
19
the existence of a public policy to juries applying a
“multifaceted balancing process,” Cloutier, 121 N.H. at 923-24.6
In light of this important difference between the Massachusetts
and New Hampshire doctrines of wrongful termination, this court
is not persuaded by the Massachusetts decisions that the
defendants have cited in support of their summary judgment
motion, even though two of those cases arose out of circumstances
quite similar to those presented here.
See Wright v. Shriners
Hosp. for Crippled Children, 589 N.E.2d 1241 (Mass. 1992); SmithPfeffer v. Superintendent of Walter E. Fernald State Sch., 533
N.E.2d 1368 (Mass. 1989).
Like Grivois, the plaintiff in Wright provided patient care
in a hospital, as a nurse, and claimed that she had been
wrongfully terminated “in retaliation for her having criticized
the hospital, specifically in regard to the quality of care
rendered to patients, to [its] national headquarters survey
team.”
589 N.E.2d 1243-44.
Rejecting that claim, the Supreme
Judicial Court held, as a matter of law, that firing the
plaintiff for such remarks “would not have violated public
6
Indeed, in so holding, the court rejected the opinion of a
dissenting justice that “an employee at-will may be discharged
with or without cause, unless he identifies a specific expression
of clear public policy.” Cloutier, 121 N.H. at 926 (Bois, J.,
dissenting).
20
policy,” id., relying heavily on the absence “of any statute that
clearly expresses a legislative policy to encourage nurses to
make the kind of internal report involved in this case,” id. at
1244.
But, as just discussed, the public policy supporting a
wrongful termination claim under New Hampshire law does not
require a statutory source, let alone one that “clearly
expresses” the policy in question, see Cloutier, 121 N.H. at
923-24, so Wright provides little guidance here.
The same is true of Smith-Pfeffer, the case of a medical
director at a state school for the mentally disabled who claimed
she was wrongfully terminated after she criticized plans to
reorganize the school in a way that would “compromise service
delivery to the residents.”
533 N.E.2d at 1370.
In affirming a
directed verdict for the school, the court noted that the
plaintiff did not claim that her actions fit within any of the
limited categories of conduct (listed above) that can support a
wrongful discharge claim under Massachusetts law, and refused to
recognize a public policy protecting employees for “performing
appropriate, socially desirable duties.”
Id. at 1371.
Again,
New Hampshire takes a more flexible view of the public policies
that can ground a wrongful termination claim and, in any event,
Grivois does not claim that she was fired merely for “performing
appropriate, socially desirable duties.”
21
Rather, Grivois says that she was fired for complaining
about new Wentworth-Douglass “policies which she believed had
created the potential of harm to Hospital patients.”
The
defendants do not question that, applying New Hampshire law, a
rational fact-finder could conclude that public policy encourages
an employee at a hospital or similar facility to raise concerns
about risks to patient safety.
In fact, the defendants agree
that such a policy could be found to exist, so long as the risks
“pose a direct or imminent threat to patient safety.”
Again,
though, the defendants do not provide any New Hampshire case law
that imposes such a limitation, or any analogous one, on the
kinds of public policy that can support a wrongful termination
claim, and, once again, their suggestion is at odds with the
“multifaceted” approach adopted in Cloutier.
But even assuming, for the sake of argument, that New
Hampshire law imposes this highly specific requirement, Grivois
meets it, at least when the summary judgment record is taken in
the light most favorable to her.
As discussed supra, Grivois
testified that she “saw flaws in the POD system which [she]
stated to” Hamill, telling her that it was “a patient safety
issue.”
Grivois also testified that she raised her “fear that
something was going to happen to a patient” as a result of the
22
relaxed training requirements during “a long talk” with Hamill.7
Despite the defendants’ urging, this court is unwilling to
characterize an employee’s warnings that inadequate training or
staffing in a hospital operating room could result in physical
harm to a patient as presenting a safety threat that is
insufficiently “direct” or “imminent” to implicate public policy
as a matter of law.
In this court’s view, then, this case does not raise the
potential problem--identified by the Massachusetts Supreme
Judicial Court in Wright--of wrongful discharge claims by health
care workers who fail to define their protected conduct any more
specifically than “reporting on issues they feel are detrimental
to health care.”
589 N.E.2d at 1245.
Again, the summary
judgment record permits the conclusion that, at a minimum,
Grivois told Hamill of specific training and staffing policies
7
Grivois also attests that, at her evaluation in September
2010, she told Spracklin “about all of the dangers that [Grivois]
witnessed,” including, as discussed above, three specific
incidents where a patient was exposed to an additional risk of
complications due to the inadequate training of OR staff
following the changes put in place by Hamill and Spracklin. The
summary judgment record arguably supports a reasonable inference
that Grivois also referenced those incidents during her “long
talk” with Hamill, but the court need not decide that because, as
just explained, a jury could conclude that public policy
encouraged Grivois to complain to Hamill that the changes in OR
staffing and training threatened patient safety, even if Grivois
did not provide examples of cases where that had happened.
23
that had jeopardized patient safety.
That is sufficient to
create a triable issue as to whether Grivois engaged in conduct
that public policy would encourage under New Hampshire law.
The defendants also suggest that Grivois’s wrongful
termination claim fails precisely because it is premised on her
complaints about changes to OR training and staffing policies,
since “an employee’s disagreement with management decisions,
including those involving the implementation or enforcement of
internal policies, is not, without more, protected by public
policy.”
Here, however, there is “more,” because (at least on
one permissible view of the evidence) some of the “management
decisions” and “internal policies” at issue put patients at
greater risk of complications, which was the reason Grivois gave
for voicing her disagreement with them.
That fact, which a rational jury could find, distinguishes
this case from those where New Hampshire courts have rejected
wrongful discharge claims premised on an employee’s mere
expression of disagreement with managerial or organizational
decisions.
See, e.g., MacKenzie v. Linehan, 158 N.H. 476, 481
(2009) (deputy’s disagreement with sheriff over whether deputy
had violated department policy during a drunken off-duty
encounter with a civilian); Short, 136 N.H. at 85 (educational
consultant’s disagreement with school board’s criticism of the
24
superintendent).
Unlike in those (and similar) cases, Grivois’s
wrongful discharge claim is not that public policy encouraged her
to disagree with her supervisors’ decisions, but that public
policy encouraged her to inform her supervisors of her concerns
that those decisions endangered the safety of others.
Because a
rational jury could so find, the defendants’ motion for summary
judgment is denied insofar as it argues that Grivois took no
action that public policy would encourage.
b.
Causal connection
To prevail on her wrongful termination claim, Grivois must
prove not only that she engaged in acts that public policy would
encourage, but also that Wentworth-Douglass fired her because of
those acts.
See, e.g., Short, 136 N.H. at 85.
The defendants
argue that Grivois cannot create a genuine issue of fact as to
whether she was fired for raising concerns that the training and
staffing changes in the OR were jeopardizing patient safety.
Instead, they argue, the record permits only one conclusion as to
why Grivois was fired, i.e., her behavior toward Spracklin at the
meeting with Flanigan in November 2010.
The court disagrees.
First, and most importantly, the defendants ignore
substantial record evidence tending to show a causal connection
between Grivois’s allegedly protected conduct and her firing,
viz., Spracklin’s affidavit.
Spracklin attests that Hamill--who
25
ultimately made the decision to fire Grivois--“led [Spracklin] to
believe that Ms. Grivois’ complaints about the implementation of
the POD system were just more examples of her disruptive
behavior” and that Spracklin “should ‘get rid of her.’”
Spracklin also recalls that Hamill described Grivois as “trouble”
due to her “reluctan[ce] to change” (as already discussed,
Grivois testified that she had complained to Hamill in the spring
of 2010, before Spracklin’s arrival, that the change to the
training requirement had endangered patient safety).
This
testimony suggests that Hamill wanted to fire Grivois for her
complaints about changes to OR training and staffing procedures,
i.e., the relaxed training requirements and the PODS system.
Second, the defendants assert that “neither Hamill nor
Flanigan, the sole decision-makers with respect to Grivois’[s]
termination, had received any complaints from [her] of any
actual, direct or imminent threats to patient safety which [she]
attributed to . . . changes in policy regarding staffing or
training of OR staff.”
While that may be accurate as to Flanigan
(a point the court need not decide at present), it is not
accurate as to Hamill, as already discussed.
supra.
See Part I.C.1.a,
So, while a plaintiff cannot recover on a wrongful
discharge claim without proof that those involved in the decision
to fire her knew of her allegedly protected acts, see Rowe v.
26
Liberty Mut. Ins. Co., 2013 DNH 168, 28-29, appeal docketed, No.
13-2506 (1st Cir. Dec. 10, 2013), Grivois has such proof here.
Third, though the defendants try to suggest otherwise, there
are material factual disputes as to Grivois’s behavior toward
Spracklin at the meeting, and Spracklin’s reaction to it.8
While
Flanigan recalls that Spracklin became visibly “flustered” as a
result of Grivois’s tone and body language, Grivois maintains
that Spracklin “didn’t seem flustered,” and Spracklin herself
says that the discussion never became “heated” or
“argumentative.”
Moreover, Grivois has testified that, after
Flanigan decided to end the meeting because it was “going
nowhere,” Grivois asked Flanigan, “was I unprofessional in my
demanor to [Spracklin] at all?” and Flanigan said “no, you
weren’t.”
Yet Flanigan later decided to recommend to Hamill that
Grivois should be fired for the way she behaved toward Spracklin
in the meeting.
8
The defendants also argue at length that Grivois has not
denied making the comments to Spracklin, earlier in November
2010, which, among other things, questioned her sexual
orientation. As the defendants emphasize, however, Grivois was
not fired for making those comments (she was suspended), so her
“admission” that she did so is immaterial as to whether a genuine
dispute exists over why she was fired. The defendants’
additional point that “[h]ad [Wentworth-Douglass] intended to use
[those] remarks to [Spracklin] as a pretextual reason to
terminate [Grivois], it would have [done] so” is, self-evidently,
just one permissible inference to draw from the sequence of
events leading up to her termination.
27
Viewing the record in the light most favorable to Grivois,
then, a rational jury could conclude that she did not in fact
behave unprofessionally or inappropriately toward Spracklin at
the November 20 meeting.
A finding that Grivois did not engage
in the behavior that her employer cited in firing her, of course,
raises a genuine issue of fact as to whether the real reason for
her termination was her protected activity--at least where, as
here, there is additional evidence to that effect, viz., Hamill’s
statements to Spracklin.
Cf. Cook v. CTC Commc’ns Corp., 2007
DNH 132, 19-20 & 34-35 (denying summary judgment for defendant on
a wrongful termination claim based on evidence that, after
plaintiff raised concerns over company practices to the human
resources director, the human resources director told the CEO
that the plaintiff should be fired, which tended to show that the
stated reason for firing the plaintiff was pretextual).
The defendants are not entitled to summary judgment based on the
absence of a causal connection between Grivois’s allegedly
protected acts and her termination.
c.
Bad faith, retaliation, or malice
Finally, the defendants argue that no rational jury could
conclude that Grivois was terminated “out of bad faith, malice,
or retaliation,” which she also must show to prevail on her
wrongful discharge claim.
Straughn, 250 F.3d at 44.
28
This
argument suffers from the same flaws as the defendants’ challenge
to Grivois’s proof of a causal connection between her protected
acts and her firing, and fails for essentially the same reasons.
Again, the defendants do not address Spracklin’s testimony
that Hamill had identified Grivois as a “disruptive” employee
whom, based on her complaints about the PODS system, Spracklin
should “just get rid of.”9
Nor do the defendants address
Grivois’s version of her meeting with Spracklin and Flanigan,
which, as just discussed, does not square with the reason the
defendants have given for terminating Grivois--in that, among
other things, Flanigan assured Grivois at the end of the meeting
that she had not acted unprofessionally toward Spracklin.
As the
defendants acknowledge, an inference of bad faith or malice can
arise when “the record does not support the stated reason for the
discharge.”
Id.
Accordingly, a reasonable jury could find that
Wentworth-Douglass terminated Grivois out of bad faith,
9
Instead, the defendants argue at length that Grivois cannot
show that she “was terminated for pursuing policies condoned by
her employer,” nor that she was subjected to “disparate
treatment.” While “[b]ad faith or malice on the part of the
employer may be established under New Hampshire law where an
employee is discharged for pursuing policies condoned by the
employer . . . or disparate treatment was administered to a
similarly situated employee,” Straughn, 250 F.3d at 44 (numbering
omitted), those are not the only ways to show the bad faith or
malice necessary to prevail on a wrongful termination claim. To
the contrary, “[b]ad faith or malice comes in various forms.”
Antonis v. Elecs. for Imaging, Inc., 2008 DNH 204, 7.
29
retaliation, or malice.
The defendants’ motion for summary
judgment on the wrongful discharge claim is denied.
2.
Defamation
“Typically, a plaintiff proves defamation by showing that
the defendant failed to exercise reasonable care in publishing a
false and defamatory statement of fact about the plaintiff to a
third party, assuming no valid privilege applies to the
communication.”
Thomas v. Tel. Publ’g Co., 155 N.H. 314, 321
(2007) (quotation marks omitted).
Grivois claims that Walker,
the Wentworth-Douglass CEO, defamed her when he told some of her
former colleagues that she had been fired because she “performed
a heinous act”--and, as noted above, one witness to Walker’s
statement recalls that he said Grivois “performed a heinous
crime.”
See note 5 and accompanying text, supra.
In moving for
summary judgment on that claim, the defendants argue that, as a
matter of law, Walker’s statement was (a) not a statement of
fact, but an inactionable statement of opinion, (b) protected by
a qualified privilege, and (c) not the source of any recoverable
damages, in any event.
The court disagrees, and rules that
Grivois has presented a triable defamation claim.
First, even “[a] statement couched as an opinion . . . can
be actionable,” so long as it “presents or implies the existence
30
of facts which are capable of being proven true or false.”
Levinsky’s, Inc. v. Wal-Mart Stores, Inc., 127 F.3d 122, 127 (1st
Cir. 1997) (applying Maine law); see also, e.g., Gray v. St.
Martin’s Press, Inc., 221 F.3d 243, 248 (1st Cir. 2000) (applying
New Hampshire law).
The defendants argue that Walker’s statement
contains no such “objectively verifiable assertion.”10
“Whether a given statement can be read as being or implying
an actionable statement of fact is itself a question of law to be
determined by the trial court in the first instance, considering
the context of the [statement] as a whole.”
Nash v. Keene Publ’g
Corp., 127 N.H. 214, 219 (1985) (citation omitted).
Here, after
being asked by Grivois’s former co-workers to explain why she had
been fired, Walker at first refused to discuss the subject, but
then said (at least according to the account of one witness) that
10
The defendants premise this argument on their version of
Walker’s statement, i.e., that Grivois “performed a heinous act.”
Again, though, one witness gave a version of that statement which
is more favorable to Grivois’s defamation claim, i.e., that she
“performed a heinous crime,” and it is that version which this
court must accept in ruling on summary judgment. See Part I.A,
supra. Contrary to the defendants’ suggestion at oral argument,
this court cannot disregard that account of Walker’s statement
because, as they put it, that witness “has an agenda” (an
accusation which, this court suspects, fits many of the witnesses
here to one degree or another) or because the other witnesses to
Walker’s statement recalled it differently. “Of course, the
ground rules of summary judgment leave no room for credibility
determinations [and] no room for the measured weighing of
conflicting evidence.” Rodriguez v. Municip. of San Juan, 659
F.3d 168, 177 (1st Cir. 2011) (quotation marks omitted).
31
Grivois had “performed a heinous crime.”
While a less literal
reading is perhaps possible, this statement, on the face of it,
amounts to factual assertion that Grivois had been fired for
breaking the law in a serious way.11
Because “an average
[listener] could reasonably understand [Walker’s] statement as
actionable defamation, then[,] there is an issue for the jury’s
determination, and summary judgment must be denied.”
Id. at 220.
Second, the defendants have not even pointed to record
evidence sufficient to support their qualified privilege
argument, let alone shown that the evidence is undisputed on that
point.
New Hampshire recognizes a qualified privilege for
otherwise defamatory statements “if the facts, although untrue,
were published on a lawful occasion, in good faith, for a
11
It is also worth noting that, despite the defendants’
argument that “[w]hether an act or statement performed by another
individual is ‘heinous’ . . . cannot be objectively verified or
disproved,” they also assert that “Walker’s characterization of
[Grivois’s] remarks [to Spracklin] was substantially true.”
Obviously, a statement cannot be both objectively unverifiable
and objectively true, and this inconsistency significantly
hinders the defendants’ attack on the defamation claim. Cf. Ark.
Pub. Emp. Ret. Sys. v. GT Solar Int’l, Inc., 2009 DNH 149, 28
(noting the inconsistency in defendants’ arguments that allegedly
fraudulent statements were both “inactionable puffery” and
“accurate statements of historical fact”). Insofar as the
defendants are arguing for summary judgment on the ground that
Walker’s statement was “substantially true,” that argument is a
non-starter, since there is no evidence that Grivois committed a
crime of any severity, let alone that such a transgression played
any role in her firing.
32
justifiable purpose, and with a belief, founded on reasonable
grounds of its truth, provided the statements are not made with
actual malice.”
Simpkins v. Snow, 139 N.H. 735, 740 (1995)
(quotation marks omitted).
Here, among other shortcomings, the
defendants have not identified any evidence that Walker’s
statement that Grivois was fired for a “heinous act” was “founded
on reasonable grounds of its truth.”
To the contrary, the
defendants acknowledge that Walker believed--erroneously,
according to the undisputed record evidence--that Grivois “had
threatened to go public with the fact that her supervisor had an
alleged affair with a female employee at [her former]
institution, but that Walker “does not recall who told him that
Grivois had threatened to use the information against Spracklin.”
Even on the defendants’ version of the facts, then, there is a
genuine issue (at best) as to whether Walker’s stated belief that
Grivois had been fired for a “heinous act” was “founded on
reasonable grounds of its truth,” as necessary to support a
qualified privilege.
Moreover, taking the facts in the light most favorable to
Grivois, there is no evidence that Walker could have reasonably
believed that Grivois was fired for a “heinous crime” because,
again, there is no evidence that he even believed Grivois had
done anything remotely illegal.
The defendants are not entitled
33
to summary judgment on this basis.
See Chamberlin v. 101 Realty,
Inc., 626 F. Supp. 865, 871 (D.N.H. 1985) (denying defendant’s
motion for summary judgment on a defamation claim given a genuine
issue as to “the existence of [his] good faith reasonable belief”
in the accuracy of his defamatory statement).
Third, and finally, the defendants’ argument that Grivois
cannot prove that Walker’s statement caused her any damages, even
if accurate, is beside the point.
“When[,] as in this case, the
factfinder could find that the defamatory [statement] charged the
plaintiff with activities that would tend to injure him in his
trade or business, commonly called libel per se, he can recover
as general damages all damages that would normally result from
such defamation, such as harm to his reputation.
prove those damages specifically.”
He need not
Lassonde v. Stanton, 157 N.H.
582, 592-93 (2008) (quotation marks, citation, ellipse, and
bracketing by the court omitted).
Because a rational trier of
fact could conclude that Walker’s statement that Grivois had been
fired from her job for “a heinous crime” accused her of an act
that would tend to injure her in her chosen profession (the
defendants do not argue otherwise), her inability to prove that
the statement in fact caused such an injury does not prevent her
from recovering in defamation.
See id.
The defendants’ motion
for summary judgment as to the defamation claim is denied.
34
II.
Amendment
Grivois, for her part, has moved to amend her complaint to
add four new claims:
• a claim for defamation against Wentworth-Douglass,
alleging that an as-yet unidentified employee falsely told
Walker that Grivois had threatened to go public with
information that Spracklin was gay;
• a claim against Wentworth-Douglass for intentional
infliction of emotional distress based on that same conduct;
• a claim against Wentworth-Douglass for “negligent
infliction of emotional distress” based on that same
conduct; and
• a claim against both defendants for “negligent infliction
of emotional distress” based--like Grivois’s existing
defamation claim--on Walker’s statement to the surgeons that
Grivois had been fired for “doing something heinous.”
The default rule governing a motion to amend a pleading, if
more than 21 days have passed since it was filed, is Fed. R. Civ.
P. 15(a)(2), which instructs the court to “freely give leave when
justice so requires.”
Here, however, this court’s scheduling
order, entered when it approved the plan jointly submitted by the
parties, set a deadline of January 15, 2013 for Grivois to amend
her pleadings.
Order of Aug. 16, 2012.
Grivois did not file her
motion to amend until October 11, 2013.
Where a scheduling order
sets a deadline for such amendments, and that deadline has passed
when amendment is sought, “the liberal default rule is replaced
by the more demanding ‘good cause’ standard of Fed. R. Civ. P.
35
16(b),” because allowing the amendment would amount to a de facto
modification of the order.
F.3d 7, 12 (1st Cir. 1994).
Steir v. Girl Scouts of the USA, 383
“This standard focuses on the
diligence (or lack thereof) of the moving party more than it does
on the prejudice to the party-opponent.”
Id. (footnote omitted).
While Grivois’s motion does not explicitly address the
applicable standard, she suggests that she acted diligently in
moving to amend because the underlying facts “were not known by
[her] until obtained at the depositions” of the four employees
whom, at Walker’s deposition, he identified as the only potential
sources of his information that Grivois had been fired for
threatening to publicize Spracklin’s reputed homosexuality.
It
was at those depositions, Grivois explains, that each of the
employees denied having said that to Walker.
Thus, Grivois
suggests, she could not have brought claims arising out of those
employees’ alleged statements to Walker until she had taken those
employees’ depositions.
The court does not follow this logic.
Even on Grivois’s
version of events, it was at Walker’s deposition that she first
heard evidence that some other Wentworth-Douglass employee told
him that she had been fired for threatening to publicize
Spracklin’s reputed homosexuality.
So it was at that juncture
that Grivois possessed the facts on which she relies for her
36
proposed new claims against Wentworth-Douglass, each of which
asserts that the hospital is liable for the employee’s statement
under the doctrine of respondeat superior.
Yet Grivois did not
seek to add those claims through her motion to amend until more
than two months after Walker’s deposition, which took place on
August 2, 2013.
It is true that Grivois did not take some of the depositions
of the four employees that Walker, at his deposition, identified
as the potential source of the statement (Spracklin, Hamill,
Flanigan, and Ellen Caille, the hospital’s executive vice
president) until later (though Caille’s deposition actually took
place the same day as Walker’s, Flanigan, Hamill, and Spracklin
who were deposed on August 8, August 19, and September 26,
respectively).
According to Grivois, though, what she learned at
those depositions was that each of the employees denied telling
Walker that Grivois had been fired because she threatened to
publicize the allegations about Spracklin’s sexuality.
But that
information undermines, rather than supports, Grivois’s proposed
new claims against Wentworth-Douglass.
So the court is at a loss
to see how Grivois, having obtained Walker’s testimony that one
of four other employees had made a false statement to him as to
why Grivois had been fired, needed to wait until each of those
employees denied being the source of that statement before she
37
could bring claims against Wentworth-Douglass--rather than
against any individual employee--alleging the statement was
tortious.
Furthermore, Grivois does not even attempt to show good
cause for waiting until after she deposed all of those employees
to seek to add her claim for “negligent infliction of emotional
distress” against both defendants.
That proposed claim, as noted
at the outset of this section, is based not on what was said to
Walker, but on what Walker said to Grivois’s former colleagues,
about why she had been fired.
That conduct, of course, is the
basis of Grivois’s existing defamation claim--a claim that she
set out in her original complaint, filed at the commencement of
this action.
Grivois offers no reason why she did not include
her proposed “negligent infliction of emotional distress” claim
in her original complaint or, failing that, seek to add the claim
through a timely motion to amend.
While Grivois references
Walker’s deposition testimony “that he did not in any way
investigate the truth or falsity of the alleged statement” by the
other employee (whoever she was), Grivois had already accused
Walker of speaking without exercising due care, since that is an
essential element the defamation claim set out in her original
complaint.
See Part I.C.2, supra.
Well before she took Walker’s
deposition, then, Grivois had a factual basis for alleging that
38
Walker had spoken negligently when he attributed her firing to
her commission of a “heinous crime.”
In any event, as already noted, Grivois deposed Walker on
August 2, yet did not file her motion to amend until October 11.
Grivois does not explain this additional delay of more than two
months, which resulted in her seeking to add four new claims to
her complaint just ten days prior to the deadline for the
defendants to move for summary judgment, which was October 21.
This court has previously found that an unexplained delay of two
and a half months, resulting in a motion to amend filed at the
summary judgment deadline, “comes nowhere near the ‘good cause’
necessary to allow an amendment for which leave was not sought
until eight months after the deadline set forth in the scheduling
order.”
Contour Design, Inc. v. Chance Mold Steel Co., 2011 DNH
069, 22-23.
The timeline here is quite similar--as is, more
importantly, the unexplained nature of the delay--so the court
comes to the same conclusion.
This conclusion derives additional
support from the fact that, in granting Grivois an extension of
the deadline to disclose her expert witnesses (after she had let
it pass months earlier without disclosing any), this court warned
her counsel to “strictly comply with all future deadlines and
expect no further indulgences.”
Order of Apr. 16, 2013.
An
unexplained delay of two months between coming into possession of
39
the information allegedly necessary to move to amend and actually
filing the motion to amend is inconsistent with that directive.
Because Grivois has failed to show the necessary “good cause” for
her untimely motion to amend, it is denied on that basis.12
III. Exclusion of expert testimony
In addition to moving for summary judgment, the defendants
seek to exclude or limit testimony from three witnesses whom
Grivois has indicated will give expert testimony at trial:
12
Jack
Furthermore, at least as to the claims for negligent and
intentional infliction of emotional distress, the amendment
appears to be futile. Of course, “futility is fully sufficient
to justify the denial of a motion to amend.” Hatch v. Dep’t for
Children, Youth & Their Families, 274 F.3d 12, 19 (1st Cir.
2001). Except in circumstances where a plaintiff witnesses the
defendant negligently causing physical injury to a close family
member, New Hampshire has not allowed recovery in negligence for
purely emotional harm. See Palmer v. Nan King Rest., 147 N.H.
681, 683-84 (2002). But Grivois’s proposed negligence claims
allege only emotional distress. The New Hampshire Supreme Court
has likewise limited recovery for intentional infliction of
emotional distress to conduct “so outrageous in character, and so
extreme in degree, as to go beyond all possible bounds of
decency, and to be regarded as atrocious, and utterly intolerable
in a civilized society.” Mikell v. Sch. Admin. Unit No. 33, 158
N.H. 723, 728-29 (2009) (quotation marks omitted). The false
report to Walker that Grivois had been fired for threatening to
publicize Spracklin’s reputed homosexuality does not meet this
formidable standard--indeed, the New Hampshire Supreme Court has
held that a teacher’s “false report of misconduct [against a
student] in an effort to affect his disciplinary record and
eventually expel him” from school did not reach “the level of
extreme and outrageous conduct necessary.” Id. at 729. Because
the amendment was untimely, however, the court need not decide
whether it was also futile.
40
Bopp, a vocational counselor; Phil Harford, a psychotherapist;
and Albert Drukteinis, a psychiatrist.
The defendants challenge
portions of this anticipated testimony as either improperly
disclosed under Rule 26 of the Federal Rules of Civil Procedure
or inadmissible under Rule 702 of the Federal Rules of Evidence.
For the reasons explained below, the court overrules those
objections, and denies the defendants’ motion--except as to a
portion of a proffered opinion from Harford and the challenged
opinions from Bopp.
A.
Improper disclosures
The scheduling order set a deadline of January 15, 2013, for
Grivois to disclose her expert witnesses.
Some two and one-half
months later, on April 1, 2013, Grivois filed a motion to extend
that deadline, acknowledging that she had “failed to disclose her
anticipated expert witnesses under the current discovery
deadline.”
Grivois stated, however, that she had “anticipated
identifying” two expert witnesses, Bopp and Catharine Newick, an
economist, “from early in this litigation,” because their
testimony was “essential to prove a significant portion of Ms.
Grivois’ claimed damages.”
The motion thus requested an
“extension of [the] discovery deadline for disclosure of
plaintiff’s experts [to] June 1, 2013” (capitalization omitted).
41
This court subsequently granted the motion over the defendants’
objection, though “very reluctantly,” and with a caution to
Grivois’s counsel, as noted supra.
Order of Apr. 16, 2013.
The
court also granted the defendants’ request, presented as an
alternative to denying Grivois’s motion, to extend their deadline
to disclose experts until August 15, 2013.
Id.
Grivois served the defendants with a “preliminary expert
disclosure” identifying Bopp, Newick, and Drukteinis, as well as
a “hybrid witness disclosure” identifying Harford, on May 31,
2013--the day before the extended deadline.
The defendants argue
that the disclosures of Harford and Drukteinis were nevertheless
untimely because, unlike Bopp and Newick, they were not mentioned
in Grivois’s motion to extend the expert disclosure deadline.
As
Grivois points out, however, her motion did not limit its request
for relief to an extension just so that she could disclose Bopp
and Newick.
Nor did the court limit the extension it granted to
the disclosure of Bopp and Newick.
While, as the basis for the
relief, the motion cited Grivois’s intention to disclose Bopp and
Newick, the court declines to rule, from that fact alone, that
either the motion or the order granting it contained the
limitation now urged by the defendants--who, significantly, do
not claim that they were ever under the impression that any such
42
limitation was in effect.
Their motion to preclude testimony
from Harford and Drukteinis as untimely disclosed is denied.
In the alternative, the defendants seek to limit the bases
for Drukteinis’s opinions to those disclosed in his expert report
of May 31, 2013, to the exclusion of additional bases for his
opinions set forth in a subsequent letter from Drukteinis, which
counsel for the defendants did not see until August 5, 2013.
The
letter states, in relevant part, that Drukteinis has “now also
had the opportunity to review Ms. Grivois’s deposition, interview
her, and administer pyschological testing.
This new information
does not change the opinions expressed in my earlier report of
[May 30, 2013] and, in fact, supports those opinions.”
The
defendants argue that, insofar as this letter could serve to
supplement Drukteinis’s expert report, see Fed. R. Civ. P. 26(e),
the supplementation is “untimely and improper.”
The court
disagrees on both counts.
While, oftentimes, the parties will propose a deadline in
their discovery plan for the supplementation of expert reports,
the parties here did not.
Their proposed plan, endorsed by the
court, states simply that “[s]upplementations under Rule 26(e)
are to be made seasonably pursuant to court rules.”
Those rules
provide, in relevant part, that “[f]or an expert whose report
must be disclosed under Rule 26(a)(2)(B),” such as Drukteinis,
43
“the party’s duty to supplement extends both to information
included in the report and information given during the expert’s
deposition.
Any additions or changes to this information must be
disclosed by the time the party’s pretrial disclosures under Rule
26(a)(3) are due.”
Fed. R. Civ. P. 26(e)(2).
disclosures are due 30 days before trial.
26(a)(3)(B).
By rule, those
Fed. R. Civ. P.
Here, the defendants received Drukteinis’s letter
on August 5, 2013, and trial is not scheduled to commence until
March 4, 2013.
So the letter was not “untimely,” at least as a
matter of Rule 26(e)(2).
Nor was the letter “improper” under Rule 26(e)(1).
That
rule requires a party to supplement a prior disclosure or
discovery response “in a timely manner if the party learns that
in some material respect the disclosure or response is incomplete
or incorrect.”
As the defendants point out, courts have
cautioned that this rule “‘permits supplemental reports only for
the narrow purpose of correcting inaccuracies or adding
information that was not available at the time of the initial
report.’”
Christensen v. Quinn, No. 10-4128, 2013 WL 2181102, at
*2 (D.S.D. May 17, 2013) (quoting Minebea Co. v. Pabst, 231
F.R.D. 3, 6 (D.D.C. 2005)).
But that is exactly what
Drukteinis’s letter did.
44
Again, Drukteinis’s letter noted that, since his initial
expert disclosure, he had interviewed Grivois, subjected her to
psychological testing, and reviewed her deposition.
Time records
that he attached to the letter show that he reviewed the
deposition and conducted the interview and testing in mid-July
2013, i.e., after the defendants received his original report on
May 31.
By disclosing those tasks in the letter, then, he was
“adding information not available at the time of the initial
report.”
Id.
He also made the supplemental disclosure in a
“timely manner” under Rule 26(e)(2)(1)(A), i.e., less than three
weeks after he completed those tasks and, moreover, nearly two
months before discovery closed on October 1.
Furthermore, the defendants acknowledge that Drukteinis
“renders no new or different opinions” in the letter from those
set forth in his initial report, and they do not challenge the
adequacy of the bases for his opinions as they are set forth in
his initial report.
This is not a case, then, where a party is
using supplementation “to sandbag [its] opponent with claims and
issues which should have been included” in its expert’s original
report, Beller ex rel. Beller v. United States, 221 F.R.D. 696,
702 (D.N.M. 2003) (quotation formatting omitted), or to provide
“a ‘new and improved’ expert report” that attempts to correct the
45
flaws that its adversary has identified, Gallagher v. S. Source
Packaging, LLC, 568 F. Supp. 2d 624, 631 (E.D.N.C. 2008).
At most, Drukteinis arguably ought to have interviewed and
tested Grivois in time to incorporate the results into his
initial report (he could not have reviewed her deposition before
then, however, because it was not even taken until June 19).
But
that failing, if it is one, would not support barring Drukteinis
from relying on the interview and testing at trial.
At the time
the defendants received the supplemental letter, they had yet to
take Drukteinis’s deposition--and still had plenty of time to do
so, since there were nearly two months to go until discovery
closed (and the scheduling order contained no separate deadline
for expert discovery).
Ultimately, though, the defendants did
not seek to depose Drukteinis.13
This is not a case, then, where
a party did not learn that the opposing expert had conducted
13
While the defendants say that they “chose not to incur the
expense of deposing Drukteinis” due to “the limited scope of his
inquiry” as reflected in his original report, they do not explain
why they did not seek his deposition after learning, via the
letter, that his inquiry had broadened--again, nearly two months
of discovery remained at that point. The defendants also point
to the fact that, while Drukteinis has opined that Grivois
suffers from depression, he has not disclosed an opinion linking
that condition to her termination from Wentworth-Douglass. If
that is correct, then Drukteinis will not be able to offer such
an opinion at trial (and this court will decide that at the
appropriate time). But it has nothing to do with whether the
letter--which, as the defendants acknowledge, does not set forth
any new opinions--complies with Rule 26(e).
46
post-report testing until his deposition, hampering counsel’s
ability to conduct the deposition.
See MMG Ins. Co. v. Samsung
Elecs. Am., Inc., 293 F.R.D. 58, 61 (D.N.H. 2013).
were some violation of Rule 26, it was harmless.
Even if there
See Fed. R.
Civ. P. 37(c)(1); West v. Bell Helicopter Textron, Inc., 2013 DNH
118, 13-14.
The defendants’ motion to limit Drukteinis’s
testimony is denied.
B.
Inadmissible opinions
Finally, the defendants seek to exclude certain opinions
disclosed by Harford and Bopp as inadmissible under Rule 702 of
the Federal Rules of Evidence.
Under that rule,
If scientific, technical, or other specialized
knowledge will assist the trier of fact to understand
the evidence or to determine a fact in issue, a witness
qualified as an expert by knowledge, skill, experience,
training, or education, may testify thereto in the form
of an opinion or otherwise, if (1) the testimony is
based upon sufficient facts or data, (2) the testimony
is the product of reliable principles and methods, and
(3) the witness has applied the principles and methods
reliably to the facts of the case.
The defendants argue that several of Harford’s opinions (and one
of Bopp’s) are inadmissible under this rule because, variously,
they will not assist the trier of fact, they are not based on
reliable principles and methods, and the witness is unqualified
to give them.
While the court agrees as to Bopp’s challenged
opinion, it disagrees (with one exception) as to Harford’s.
47
1.
Harford
Harford is a licensed clinical social worker who practices
as a psychotherapist.
He began treating Grivois in March 2013
and, since then, has conducted approximately 64 counseling
sessions with her.
depressive order.
Harford has diagnosed Grivois with major
While he had also diagnosed her with
post-traumatic stress disorder (“PTSD”), as stated in his
original expert report, he later revised his report to indicate
that she did not meet the accepted diagnostic criteria for that
condition, though she displayed symptoms of it.
The defendants
argue, then, that “Harford should be precluded from testifying
that Grivois has PTSD.”
In response, Grivois states that Harford will not testify
that she has PTSD, but “will testify that she has PTSD-like
symptoms.”
In the court’s view, however, the potential for that
testimony to confuse the jury substantially outweighs any
probative value it has.
See Fed. R. Evid. 403.
While Harford
can testify to Grivois’s symptoms as he has noted them, he cannot
testify that they are “PTSD-like” when he acknowledges that she
does not in fact have PTSD.
The defendants further argue that Harford cannot testify
that Grivois has major depressive order, because that diagnosis
“was necessarily based on [her] self-report of ‘a depressed and
48
anxious mood,’” rather than “psychological tests” (though they
also acknowledge, two sentences later, that Harford performed
“limited testing . . . based on what Grivois told him”), or any
“other records.”
So far as this court is aware, however, a
trained psychotherapist can diagnose depressive disorder based
solely on a patient’s in-person reports; the defendants provide
no evidence or authority to the contrary.
The jury will make its
own assessment of the reports Grivois gave Harford (informed, of
course, by its assessment of her credibility as a trial witness)
and if it does not find them credible, can discount his opinions
accordingly.
But that possibility goes to the opinions’ weight,
not their admissibility.
See, e.g., Newell P.R. v. Rubbermaid,
Inc., 20 F.3d 15, 20 (1st Cir. 1994).
Harford can testify to his
opinion that Grivois suffers from major depressive order.
The defendants also challenge Harford’s opinion as to the
cause of Grivois’s depressive disorder.
In his expert report,
Harford states his “clinical observation that the involuntary
loss of her employment was one of a number of events that
contributed significantly to Ms. Grivois’s depression.”
The
other recent events, as also identified in Harford’s reports,
were “the death of her parents and her sister and the unexpected
discord she observed among her surviving siblings,” and “a
painful loss involving the euthanasia of her two horses.”
49
The
defendants argue that Harford is no “more qualified than the
average juror to determine whether, and to what extent, one or
more of the recent stressors in Grivois’ life contributed to
[her] emotional distress.”
Harford is, however, a practicing
psychotherapist, and one of the roles of a psychotherapist is to
assist patients in managing the symptoms of their psychological
disorders by identifying the origins of those symptoms.
The
court sees nothing to suggest that Harford departed from reliable
methods of psychotherapy in attributing Grivois’s depression, in
part, to her termination from Wentworth-Douglass.
While the defendants are correct that the causal connection
(if any) between Grivois’s termination and her alleged emotional
distress is ultimately for the jury to decide, that does not
itself render Harford’s causation opinion inadmissible, because
“the bar on ‘ultimate issue’ opinions has been abolished in civil
cases.”
Dinco v. Dylex Ltd., 111 F.3d 964, 973 (1st Cir. 1997)
(citing Fed. R. Evid. 704(a)).
This does not provide “carte
blanche for experts to substitute their views for matters well
within the ken of the jury,” id., but that is not a fair
characterization of what Harford would be doing by testifying
that Grivois’s termination “was one of a number of events that
contributed significantly to [her] depression.”
Indeed, expert
opinion testimony attributing a plaintiff’s emotional disorder to
50
a defendant’s allegedly tortious conduct is commonly allowed, so
long as it meets the requirements of Rule 702.
2013 DNH 118, 14.
See, e.g., West,
Harford’s opinions as to Grivois’s depression
and its causes meet those requirements, so far as the court can
tell from the record and arguments before it at present.
The
defendants’ motion to exclude those opinions is denied, without
prejudice to revisiting their objections at trial.
2.
Bopp
The defendants direct their sole challenge to Bopp’s
disclosed opinions at his statements in his report that
(1) “there exists a ‘grapevine’ among hospitals and medical
practices within the state and I suspect the story of Ms.
Grivois’ discharge circulated among professionals in the local
medical industry” and (2) her “involuntary termination . . . is
perceived negatively by most of the prospective employers she has
contacted and I suspect that it has lead [sic] prospective
employers to decide against considering her.”
The court agrees
with the defendants that these statements, at least as they are
presented in Bopp’s report, are speculation--as indicated by his
use of the phrase “I suspect”--rather than opinions based on
reliable principles and methods.
The defendants’ motion to
preclude Bopp from making such statements at trial is granted.
See Fed. R. Evid. 702.
This ruling is not intended to prohibit
51
Bopp from giving other opinions as to the likelihood of Grivois’s
finding future employment following her termination, so long as
those opinions are properly disclosed and otherwise admissible.
IV.
Conclusion
For the foregoing reasons, the defendants’ motion to exclude
or limit the opinions of Grivois’s experts14 is GRANTED in part
and DENIED in part, as fully discussed above; Grivois’s motion to
amend15 is DENIED; and the defendants’ motion for summary
judgment13 is DENIED.
SO ORDERED.
____________________________
Joseph N. Laplante
United States District Judge
Dated:
cc:
January 28, 2014
John G. Vanacore, Esq.
Debra Weiss Ford, Esq.
14
Document no. 22.
15
Document no. 26.
13
Document no. 29.
52
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