Lead Opinion
Staci Bonner commenced this action alleging that she and other female employees at Spin Magazine were the victims of sexual harassment. A number of causes of action were alleged under federal and state law. Of relevance here are three separate claims under Title VII of the Civil Rights Act of 1964, 42 U.S.C. § 2000e et seq., and three identical claims under the New York State Human Rights Law, N.Y. Executive Law § 296 (NYSHRL). Under both of the foregoing statutory schemes, Bonner claimed that she was the victim of quid pro quo sexual harassment, intentional gender discrimination and hostile work environment sexual harassment. On five of these six causes of action, the jury either found in favor of the defendants or failed to award any damages. Specifically, as the district court analyzed the record, Bonner did not prevail on her quid pro quo harassment claim because “[tjhere was insufficient evidence that she herself was asked to submit to sexual advances in order to gain a promotion,” Bonner v. Guccione, No. 94 CIV.7735,
The latter two causes of action give rise to the issues on this appeal from judgments entered in the United States District Court for the Southern District of New York (Cote, J.), awarding the plaintiff $90,000 on her NYSHRL cause of action and $760,109.92 in attorney’s fees and costs as a prevailing party on her Title VII cause of action. The issues relating to these two judgments have their genesis in the difference between the statutes of limitation for Title VII causes of action and' NYSHRL causes of action. Under Title
This difference was not reflected in Judge Cote’s charge. Instead, the instruction to the jury clearly suggested that the same statutory period of limitations ap: plied to both causes of action. As Judge Cote concluded her instruction on the period of limitations:
This means that for Ms. Bonner to recover on ... [the claims of hostile work environment sexual harassment, quid pro quo sexual harassment or intentional gender discrimination], she must prove that there was a continuous policy and practice of discrimination at Spin, and that one act in furtherance of this policy or practice occurred after September 11, 1993, and before Ms. Bonner left Spin on November 24,1993.
Joint Appendix 654 (hereafter cited to the page number, e.g. A654).
The suggestion that this charge applied to both the Title VII and the NYSHRL causes of action was conveyed to the jury both implicitly and explicitly. The charge was the only one that referred to the causes of action for hostile work environment sexual harassment. Indeed, the introductory clause of the statute of limitations charge indicated that it applied “to each of the three claims [Judge Cote had] just described,” A653. These included the Title VII and NYSHRL causes of action. A638-44. Moreover, a subsequent statute of limitations instruction on a different state law cause of action began as follows: “I have already charged you with regard to the statute of limitations for claims under Title VII and NYSHRL law.” A665.
The error in the statute of limitations instruction as it related to the NYSHRL causes of action was raised after the charge was read to the jury, but before the jury was told to begin its deliberations, when Judge Cote asked whether there were any objections to the charge. Plaintiffs counsel replied:
In your charge on the statute of limitations, you mentioned New York law. There is no statute of limitations issue with respect to New York law. It’s three years back. I didn’t see it, I just heard it. I don’t know if you intended that.... It wasn’t in the actual Title VII charge, so I don’t know that it needs to be corrected. I just wanted to bring it to your attention.
A494. Judge Cote then asked whether plaintiffs counsel wanted her to do anything to rectify the charge. She replied “No.” Id.
The next day Judge Cote presented the parties with draft supplemental instructions intended to clarify the appropriate statute of limitations for both Title VII and the NYSHRL. Defendants stated that they wanted the charge given to the jury while it was deliberating, but plaintiff argued that she would be prejudiced if'the charge were given at that point because “it emphasizes something that the jury hasn’t indicated they are in a quandary over.” A507. Rather, plaintiff preferred that any problems with the charge be rectified by a post-verdict interrogatory. A508. Judge Cote ultimately deferred to her request and declined to give the instruction. A515. Nevertheless, Judge Cote observed that, because the initial charge “would be read by the jury to suggest that the 300-day statute of limitations period applies to both the federal and the New York State
The jury found that plaintiff had established by a preponderance of the evidence that Camouflage Associates, the publisher of Spin Magazine, was liable for hostile work environment sexual harassment under Title VII and the NYSHRL, and that Robert Guccione, Jr. was liable for the same under the NYSHRL as a person with power over personnel decisions. The jury, however, found that plaintiff had failed to prove that she was entitled to compensatory or punitive damages against either defendant. On all other causes of action under Title VII and New York law, the jury found for the defendants on the issue of liability.
After a discussion with counsel, and over a defense objection, the district judge submitted a special interrogatory entitled “Second Special Verdict Form” to the jury. The substance of this form inquired whether the jury reached its verdict for the defendants with respect to quid pro quo sexual harassment and intentional gender discrimination solely because plaintiff failed to prove “that defendants maintained a continuous policy or practice of discrimination, or that one act in furtherance of this policy or practice occurred after September 11, 1993.” A545. When the district judge summarized the special interrogatory to the jury, many of the jurors nоdded yes, and several others indicated orally that the statute of limitations had affected their verdict. Id. The jury deliberated briefly, and then returned a “yes” answer to both questions, A718, thereby indicating that the verdicts on the quid pro quo sexual harassment and intentional gender discrimination claims were based solely on the jury’s application of the statute of limitations as it had been charged.
The Second Special Verdict form did not ask the jury whether its verdict in favor of the plaintiff on the hostile work environment cause of action, without any award of damages, was affected by the erroneous statute of limitations instruction. .Judge Cote had agreed initially with the defendants that the issue of compensatory damages should not be reconsidered. A547. Upon reflection, however, she concluded that her initial statute of limitations instruction may have affected this verdict as well. As she explained:
[Bjecause while they found a violation of the hostile work environment cause of action under the New York human rights claim, obviously their understanding of the statute of limitations restricted, in their mind, an assessment to a final few months. And that may have affected similarly their decision on the amount of damages.
A560.
Judge Cote then gave the jury a supplemental instruction on the correct statute of limitations under the NYSHRL. Later that day, the jury returned a verdict that was identical to the previous verdict on liability on all of the affected causes of action under the NYSHRL. On plaintiffs NYSHRL hostile work environment cause of action, however, it awarded plaintiff $90,000 in compensatory damages.
Plaintiff then movéd for attorney’s fees. She argued that the finding of liability under Title VII rendered her a “prevailing party” on that cause of action even though the jury obviously found that the defendants had succeeded in establishing that the Title VII claim was time-barred. The district judge agreed and awarded plaintiff $760,109.92 in attorney’s fees and costs. A very substantial portion of the award included attorney’s fees for time expended in obtaining the $90,000 NYSHRL judgment. The latter judgment and a supplemental judgment awarding attorney’s fees are both challenged here.
The defendants argue that: (1) the district judge’s use of post-verdict interrogatories and her submission of a supplémen-
I. THE POST-VERDICT SUPPLEMENTAL JURY INSTRUCTION
Defendants argue here, as they did in a post-verdict motion, that “judgment should have been entered on the jury’s original verdict awarding no compensatory damages.” Brief for Defendants-Appellants at 11 (hereafter Def. Br.) (emphasis omitted). Specifically, defendants argue that Judge Cote erred in allowing the jury to deliberate a second time on plaintiffs claim for compensatory damages “because (i) plaintiff waived the statute of limitations issue; (ii) there was no basis for asking the jury to reconsider its rejection of plaintiffs compensatory damage claim; and (iii) the procedure was coercive.” Id. None of these objections entitle defendants to the entry of a judgment on the jury’s original verdict.
Judge Cote rejected the claim that plaintiff waived her right to a corrected instruction. Instead, she found that plaintiff “merely asked that it be given in a different form, as a post-verdict interrogatory, and not a charge during dеliberations.” Bonner v. Guccione, No. 94 CIV. 7735,
Nor is the waiver argument aided by the procedural forfeiture cases on which the defendants rely. Federal Rule of Civil Procedure 51, the formal procedural forfeiture rule that is most directly on point, provides that “[n]o party may assign as error the giving or the failure to give an instruction unless that party objects thereto before the jury retires to consider its verdict.” This rule is intended “to prevent unnecessary new trials because of errors the judge might have corrected if they had been brought to his attention at the proper time.” Cohen v. Franehard Corp.,
In Lavoie v. Pacific Press & Shear Co.,
Lavoie obviously implicated the policy of avoiding unnecessary retrials. Lavoie cited with favor an earlier case that held that the “ ‘failure to bring alleged inconsistencies in the verdict sheet to the court’s attention before the jury has been discharged waives the right to have the alleged inconsistencies remedied in' a new trial.’ ” Id. at 55 (quoting United States Football League v. National Foоtball League, 842 F.2d 1335, 1367 (2d Cir.1988) (emphases added)). Unlike Lavoie and similar cases, this case does not involve a failure to object that can be excused only at the cost of a retrial. Indeed, for this very reason, the district court judge may have had broader discretion to correct the error than we would have had to review it if the issue had been raised for the first time on direct appeal. Cf. City of Newport v. Fact Concerts, Inc.,
The defendants’ next argument is that “there was no basis for asking the jury to reconsider its rejection of plaintiffs compensatory damages claim.” Def. Br. at 11. It is true that the initial verdict, which found defendants liable for creating a hostile work environment under the NYSHRL, was not necessarily inconsistent with the jury’s failure to award damages. The charge, as initially given, allowed for an award of damages for a hostile work environment between September 11, 1993 and before November 24, 1993, a period during which “[m]ost of the people about whom plaintiff made allegations that the jury could have interpreted as contributing to a hostile environment had left SPIN [Magazine].” Def. Br. at 26 n. 4. Under these circumstances, the jury’s original verdict was consistent with the charge and the evidence. The problem is that the charge on the NYSHRL statute of limitations was wrong.
If the jury had been instructed properly that it could consider conduct occurring, over a period of three years, instead of seventy-three days, it would have been difficult to reconcile its finding in favor of plaintiff on liability without an award of any compensatory damages. See Vichare v. AMBAC Inc.,
We likewise reject the argument that the resubmission of the issues with a correct instruction violated the defendants’ Seventh Amendment right to a jury trial. We agree that, “‘[g]iven correct instruction on the law and no clear disregard for that instruction on the face of the verdict, a jury verdict must remain immune from questioning by the district court.’ ” T.H.S. Norbhstar Assocs. v. W.R. Grace and Co.,
The defendants’ final argument is that the post-verdict “procedure was coercive.” Def. Br. at 11. This argument cannot be reconciled with the language of the supplemental instruction. The jury was initially asked whether the erroneous chаrge had affected its verdict. After it replied in the affirmative, Judge Cote explained to the jury that it was being given some additional instructions and questions related to plaintiffs claims under the New York State Human Rights Law. Judge Cote then gave the first of her cautionary instructions as follows:
By giving you these instructions and questions I am not in any way suggesting what your answers should be. Remember, you are the sole judges of the facts. Your answers should be based on the facts as you find them and the law as contained in the Jury Charge as a whole as previously given to you, except as modified by the Supplemental Charge.
A735.
Judge Cote then went on to explain the circumstances that led to the resubmission of the issue to the jury. Specifically, she told the jurors that the statute of limitations charge at the specified pages of her initial instruction “was a description of the law that applies to Title VII claims. Because the charge did not explain the differences in the statute of limitations law for the Title VII and New York law claims,” the jury was being given a Third Special Verdict Form. Id.
After explaining the form, and outlining the law with respect to the statute of limitations, and the jury’s duty with respect to the claims on which it initially found for the defendants — gender discrimination and quid pro quo sexual harassment — Judge Cote addressed the hostile environment sexual harassment claims as to which the jury found in favor of the plaintiff on the issue of liability. She ex
The foregoing instruction plainly refutes defendants’ complaint that the procedure employed by Judge Cote was coercive. Nor is there any merit to defendants’ contention that “the jury was re-instructed on the state statute of limitations in a manner that improperly emphasized the decision not to award any compensatory damages.” Def. Br. at 18. The defendants do not cite any language in the charge that has this effect. Indeed, the charge is a model of clarity and fairness. The only objectionable language is in a later response to a note from the jury on a question added to the Verdict Sheet to clarify the jury’s intent with respect to its original award of back pay on the Equal Pay Act cause of action. In the course of responding to the questions, defendants allegе that “[t]he court repeatedly reminded the jurors that they were not permitted to award damages for back pay under Title VII, focusing the jury’s attention on the fact that they had not awarded any damages on the hostile environment claim.” Id. (citing A603-06).
Our review of the record cited by defendants simply does not support the claim that Judge Cote’s response to the jury note “focusfed] the jury’s attention on the fact that they had not awarded any damages on the hostile environment claim.” Id. Nor was any objection taken by the defendants on this ground. On the contrary, it was the plaintiff who objected to this charge, A601, complaining bitterly that “we have been tremendously prejudiced” because the jury was “told four times that they can’t give back pay for-sexual harassment hostile work environment,” but was not told “that they are entitled to give her compensatory damages for that.” A606. Judge Cote, accepting the advice of defendants’ counsel, declined to reinstruct the jury that it was entitled to award compensatory damages. A607.
Defendants’ claim that the verdict was coerced is undermined even further by the verdict itself. The jury did not change a single one of its findings on the issue of liability on the three causes of action that were resubmitted, and it declined to make any additional award of back pay. More significantly, defendants impliedly concede that the evidence at trial provided a rational, if not a compelling, basis for the jury to draw the distinction it ultimately did between the Title VII hostile work environment cause of action (on which it did not award any damages) and the comparable NYSHRL cause of action on which it awarded $90,000 in compensatory damages. Def. Br. at 26 & n. 4.
Unable to establish any actual coercion, defendants are reduced to arguing for a per se rule that would treat “post-verdict submissions such as the one made here ... [as] inherently coercive and improper.” Def. Br. at 18. The two cases upon which they rely, however, do not bear any resemblance to the present ease. McCollum v. Stahl,
Perricone v. Kansas City S. Ry.,
Because of the defendant’s failure to object, the Court of Appeals for the Fifth Circuit “affirm[ed] ... the resubmission of the case to the jury,” id. at 1382, although it did hold that there was a “substantial risk” that the jury may have conсluded that “it [was] being told that its finding of 70 percent contributory negligence was unsound,” id. at 1378. We agree with this assessment of the procedure followed in Perricone. Nevertheless, we do not agree that a post-verdict resubmission automatically warrants reversal. Indeed, defendants concede that post-verdict instructions are appropriate “where an erroneous instruction is noticed for the first time after the verdict has been returned.” Def. Br. at 13 (citing Auwood v. Harry Brandt Booking Office, Inc.,
United States v. Desimone,
While we conclude that the procedure followed here does not warrant the entry of a judgment based on the initial verdict, we add these additional words with the benefit of hindsight that appellate judges enjoy. Judge Cote should have followed her original instinct to correct the error in her instruction as soon as it was brought to her attention. The jury had barely begun its deliberations when she proposed to do so, and there is no reason to believe that plaintiff would have been prejudiced if a corrected charge had been given at that time. Delaying the correction of an instruction implicates the concern articulated in Perricone that, however the resubmission is explained, there remains the risk that the jury will infer that the judge is conveying her unhappiness with the verdict.
Delay also invites other problems. In the present case, for example, the district court judge initially agreed with the defen-' dants that the hostile work environment cause of action was not affected by the erroneous statute of limitations instruction. On this basis, she asked the jury only whether its verdict in favor of the defendants on the quid pro quo sexual harassment and gender discrimination causes of action was affected by the erroneous instruction. After the jury rеsponded that the charge affected the verdict on those causes of action, the district court judge changed her mind about the hostile work environment cause of action and concluded that it should be resubmitted as well.
This led to a second verdict in which the jury did not change its verdict on the two causes of action which it had expressly-indicated had been affected by the erroneous instruction, and to an altered verdict on the cause of action as to which no prior inquiry had been made regarding the effect of the erroneous statute of limitations instruction. This sequence, as Judge Cote aptly observed, “exquisitely complicated” the problem created by the delay in correcting her instruction, A559, and would have made this a closer case if the language of the resubmitted instruction was drawn with less care and if the final verdict did not appear to be entirely rational in light of the evidence and the charge.
Because unforeseeable complications are inevitable when an erroneous instruction is not corrected until after a verdict is returned, an error in the charge should be corrected as soon as practicable after it is called to the judge’s attention. Such prompt corrective action is also consistent with the language of Federal Rule of Civil Procedure 51 which, notwithstanding its purpose of avoiding unnecessary retrials, requires an objection to be madе “before the jury retires to consider its verdict.” These considerations suggest the rule that the procedure followed here should be reserved for the rare case where the error in the charge is noticed only belatedly and where it cannot be corrected promptly without seriously prejudicing the rights of the aggrieved party.
While all three members of the panel agree that the error in the charge here should have been corrected as soon as it was noticed, Judge Jacobs would reverse the judgment and reinstate the original verdict, because the supplemental instruction that was administered “invited the inference that the judge wanted the jury to award Bonner damages on her NYSHRL cause of action.” Infra at 602. Because we agree that there is always a risk that the procedure followed here may lead the jury to infer that the judge is suggesting her unhappiness with the verdict, we have adopted a prophylactic rule to avoid the risk. The violation of such a rule does not, however, provide a basis for the automatic reversal of the judgment.
On the contrary, we have “come a long way from the time when all trial error was
Particularly apposite here are our cases involving intrusive interrogation and commentary by trial judges that always carry a risk of suggesting that the judge favors one side over the other. In criminal cases, where our willingness to accept the risk of prejudice is presumably less than in civil cases, we have held that “this Court’s role is ‘not to determine whether the trial judge’s conduct left something to be desired, or even whether some comments would have been better left unsaid. Rather, we must determine whether the judge’s behavior was so prejudicial that it denied [the defendant] a fair, as opposed to a perfect, trial.’ ” United States v. Rosa,
The error in this case does not come close to approaching this standard. Judge Jacobs acknowledges that “[t]he trial record discloses no agenda on the part of the district judge other than to elicit the true verdict of the jury under a sound statement of the law, without influence or manipulation by the court,” infra at 602, and we have already set forth in detail the considеrations that persuade us that the risk of prejudice in this case is sufficiently insignificant as to render the error harmless. Indeed, when asked at oral argument what prejudice the defendants had suffered by post-verdict resubmission of the issue of liability, defendants’ counsel asserted only that they were prejudiced because they were deprived of the right to a judgment on the first verdict returned by the jury. This is a separate argument that we have already considered and rejected on its merits. On the assumption that the defendants did not have a vested right to the entry of a judgment based on the answers to the first verdict sheet, we decline to presume that the delay in recharging the jury was prejudicial.
Moreover, we also take issue with the remedy Judge Jacobs would afford the defendants. While we would characterize it as an abuse of discretion, we need not quarrel here with Judge Jacobs’s suggestion that, once the court allowed the jury to render its verdict under the erroneous charge, “the court lacked discretion at that point to direct further deliberations guided by an amended charge.” Infra at 601. Nevertheless, it is hardly clear that reinstatement of the original verdict is the appropriate remedy. In Finnegan v. Fountain,
II. ATTORNEY’S FEES
Title VII provides that, “[i]n any action or proceeding under this subchapter the court, in its discretion, may allow the prevailing party ... a reasonable attorney’s fee ... as part of costs.” 42 U.S.C. § 2000e-5(k). The district judge found that plaintiff was a “prevailing party” within the meaning of the foregoing section, and awarded her fees and costs totaling $760,109.92. Plaintiff was entitled to an award of attorney’s fees and costs on the Equal Pay Act claim on which the jury returned an award of $10,000. Nevertheless, it is undisputed that a very substantial part of the award of attorney’s fees covered the cost of litigating the hostile work environment sexual harassmеnt cause of action. We agree with defendants that plaintiff was not entitled to attorney’s fees expended in obtaining a $90,000 judgment on the NYSHRL hostile work environment cause of action.
The law is clear that, if the Title VII hostile work environment cause of action had been tried separately, and the jury returned its verdict here — a finding of liability without awarding damages — there could be no award of attorney’s fees to plaintiff as a prevailing party. The applicable law in this area — the product of three separate holdings — was summed up by Justice Thomas in Farrar v. Hobby as follows:
[T]o qualify as a prevailing party, a civil rights plaintiff must ... obtain an enforceable judgment against the defendant from whom fees are sought, or comparable relief through a consent decree or settlement. Whatever relief the plaintiff secures must directly benefit [her] at the time of the judgment or settlement. Otherwise the judgment or settlement cannot be said to “affec[t] the behavior of the defendant toward the plaintiff.” Rhodes [v. Stewart,488 U.S. 1 , 4,109 S.Ct. 202 ,102 L.Ed.2d 1 (1988) ]. Only under these circumstances can civil rights litigation effect the material alteration of the legal relationship of the parties and thereby transform the plaintiff into a prevailing party. In short, a plaintiff “prevails” when actual relief on the merits of [her] claim materially alters the legal relationship between the parties by modifying the defendant’s behavior in a way that directly benefits the plaintiff.
[A] judicial pronouncement that the defendant has violated the Constitution, unaccompanied by an enforceable judgment on the merits, does not render the plaintiff a prevailing party. Of itself, “the moral satisfaction [that] results from any favorable statement of law” cannot bestow prevailing party status. Hewitt [v. Helms,482 U.S. 755 , 762,107 S.Ct. 2672 ,96 L.Ed.2d 654 (1987) ]. No material alteration of the legal relationship between the parties occurs until the plaintiff becomes entitled to enforce a judgment, consent decree, or settlement against the defendant.
In Farrar, the Supreme Court held that a plaintiff, who received a nominal damage award of. one dollar on his 42 U.S.C. § 1983 action, was a prevailing party entitled to attorney’s fees. Id. at 113,
Plaintiff here failed tо obtain either an enforceable judgment or settlement agreement against the defendants on her Title VII cause of action. The jury’s liability finding on the Title VII cause of action entitled plaintiff to none of these — there was simply nothing to “enforce.” Indeed, if a separate judgment for the Title VII claim had been entered on the jury verdict, it would have provided that plaintiff take nothing of the defendants. Nor did the jury’s finding that defendants were liable for creating a hostile work environment in any other way affect a “material alteration of the legal relationship between the parties” and transform plaintiff into a prevailing party. Id. at 113,
■ On point here is Rhodes v. Stewart,
The jury’s finding here of sexual harassment on the Title VII cause of action is of no more legal consequence than a declaratory judgment to that effect. Plaintiff was no longer employed by the defendants, and any change in defendants’ practices resulting from the verdict will not affect the relationship between them. Under these circumstances, as the Court of Appeals for the Eleventh Circuit observed of a plaintiff who obtained a finding of sex discrimination without an award of damages, “Walker did not attain even a declaratory judgment as did the plaintiffs in Rhodes. Instead, Walker’s only claim to the spoils of victory is a jury finding of sexual harassment. ‘That is not the stuff of which legal victories are made.’ ” Walker v. Anderson Elec. Connectors,
Lightfoot made clear that an award of attorney’s fees in such circumstances was appropriate only where a plaintiff prevailed on a statutory claim pendent to a substantial unresolved constitutional claim. The prudential reason for such an exception, which finds support in the legislative history of 42 U.S.C. § 1988, see Maher v. Gagne,
This case is a mirror image of Lightfoot. Indeed, the pretrial dismissal of the ADEA cause of action in that case was in part based on the statute of limitations. Plaintiffs claim here derives solely from the fact that, unlike Lightfoot, the federal and state causes of action were tried together. Her argument that these fortuitous circumstances entitle her to prevailing party status is akin to the equation of 0 + 0 = 1. If adopted, it would undermine the policy judgments of two sovereigns. In addition to “circumvent[ing] the [New York] state-law rule that attorney’s fees are not available under the NYSHRL,” Lightfoot,
National Private Truck Council v. Oklahoma Tax Commission,
Ultimately, following a protracted procedural history that we skip over, the Supreme Court of Oklahoma held that the plaintiffs were entitled to prevail because the taxes constituted an unlawful burden on interstate commerce. While it granted a refund of taxes pursuant to Oklahoma law, it declined to grant relief under 42 U.S.C. § 1983 even though one of the “rights privileges or immunities” protected by § 1983 was the right to be free from state action that violates the dormant Commerce Clause. Dennis v. Higgins,
The Supreme Court' affirmed the denial of relief pursuant to 42 U.S.C. § 1983, after concluding that “Congress never authorized federal courts to entertain damages actions under § 1983 against state tаxes when state law furnishes an adequate legal remedy.” National Private Truck Council,
The Oklahoma Tax Commission ease, like Farrar v. Hobby, involved an action pursuant to 42 U.S.C. § 1983, and its provision for an award of attorney’s fees to a prevailing party, 42 U.S.C. § 1988. Nevertheless, it is settled law that the standard for recovery of attorney’s fees by a prevailing party, is the same under the corresponding provisions of Title VII, 42 U.S.C. § 2000e-5(k). See Hensley v. Eckerhart,
Our own holding in Russo v. State of New York,
The district court judge in Russo— Judge Sofaer — recognized that, “[a]s a general proposition, a rule precluding attorney’s fees when the plaintiff has specifically lost on the civil rights claim asserted seems proper.” Meriwether v. Sherwood,
[A] finding that plaintiff is the prevailing party is warranted because, in addition to the presence of an adequate factual predicate for such a finding, the litigation vindicated the plaintiffs constitutional quest. The defendant was found liable under state law precisely for the kind of activity that may create liability under section 1983. Plaintiff was awarded significant damages, both compensatory and punitive, and succeeded, to a significant extent, in clearing his name in the community in which he lives and needs to secure employment. To the extent that his claim of harassment was true, moreover, he may have succeeded in deterring such conduct whether aimed at himself or at other members of his community.
Id.
We reversed. Echoing the Supreme Court’s admonition that “courts must guard against awarding attorney’s fees where Congress has not authorized [them],” we rejected the “novel theory” on which plaintiff was awarded damages. Russo v. State of New York,
In section 1988 Congress has provided that a prevailing party in a section 1983 action can recover attorney’s fees, however, it has nоt provided that a prevailing party in a malicious prosecution can do so. In the absence of legislative intent and pronouncement, it was not within the province of the trial court to fashion an award of attorney’s'fees in*598 this case. A court cannot appropriate a function which Congress has reserved for itself.
Id.
Milwe v. Cavuoto,
Nor is Bridges v. Eastman Kodak, Co.,
We affirmed the district court’s award of attorney’s fees on the theory that Bridges was a prevailing party, because (1) her Title VII claim was heard and resolved in her favor, and (2) she won a substantial monetary award under her related state-law claim. She thus “‘materially altered the legal relationship between the parties,’ ” and thereby “achieved some of the benefit she sought in bringing suit.”
We recognize the effort Bridges made to distinguish itself from Russo on the ground that Russo “lost on his federal civil rights claim,” whereas “Bridges’ federal civil rights claim was heard and it was decided in her favor.” Id. at 59. While the present case would appear to fall on the Bridges side of this tenuous distinction, the form of the verdict here is particularly inconsequential because it is common ground that the jury found that the Title VII claim for damages (the only relief sought) was time-barred. If the jury had returned a special verdict containing such an express finding, the defendants would have been entitled to the entry of a judgment in their favor. There is no rational reason why a different result should follow because of the form of the verdict.
This is not the only reason why Bridges should not dictate the outcome here. Unlike Bridges, the state-law claim for which plaintiff won $90,000 in compensatory damages did not arise from the same events that gave rise to her Title VII claim. The jury necessarily found that plaintiff was not entitled to damages for any of defendants’ conduct that took place within the 300-day limitations period prior to the filing of her complaint. The only explanation for the difference between the first jury verdict (awarding plaintiff a finding of liability but no damages on her claims under both Title VII and the NYSHRL) and the second verdict (awarding her $90,000 in compensatory damages under the NYSHRL) is that the jury found that plaintiff was entitled to damages as a result of the defendants’ conduct during the longer NYSHRL limitations period. The events giving rise to the NYSHRL award, then, are not the same as those giving rise to the Title VII claim (although they may be the same or similar in kind and characterization). Since it is the damage award on the NYSHRL cause of action that “materially alter[s] the legal relationship between the parties” and thereby affords plaintiff “some of the benefit she sought in bringing suit,” Bridges,
Moreover, it'is also of significant consequence that the award of damages here covered events for which recovery was precluded by the statute of limitations. In United Air Lines, Inc. v. Evans,
[a] discriminatory act which is not made the basis for a timely charge is the legal equivalent of a discriminatory act which occurred before the statute was passed. It may constitute relevant background evidence in a proceeding in which the status of a current practice is at issue, but separately considered, it is merely an unfortunate event in history which has no present legal consequences.
Under this analysis, the events for which plaintiff was awarded $90,000 under the NYSHRL must be treated as if they occurred during a period in which Title VII was not in force. Viewed in this way, there is simply no justification for a conclusion that thе jury verdict on the NYSHRL cause of action vindicated plaintiffs rights under Title VII.
Similar considerations render inapposite those cases which permit a plaintiff who prevails on her federal cause of action to avoid a deduction for time expended by her attorney in pursuing unsuccessful state
A remand here would not be warranted, even if plaintiff is dеemed to be a prevailing party on the Title VII cause of action, because it would be an abuse of discretion to award attorney’s fees on that claim. See id at 758 (“A plaintiff who has ‘prevailed]’ in the litigation has established only his eligibility for, not his entitlement to, an award of fees.”) (alteration in original). The cases in which a plaintiff has obtained nominal damages are particularly apposite here. While an award of such nominal damages is sufficient to make plaintiff a prevailing party, “Farrar [v. Hobby] indicates that the award of counsel fees [in such a case] will be rare.” Pino v. Locascio,
While we hold that plaintiff was not a prevailing party on her Title VII cause of action, we remand for further proceedings because the jury awarded plaintiff $10,000 in back pay under the Equal Pay Act, 29 U.S.C. § 206(d). This judgment entitled plaintiff to attorney’s fees pursuant to 29 U.S.C. § 216(b). Judge Cote observed in the opening paragraph of her opinion that plaintiffs motion for attorney’s fees was made under both Title VII and the EPA, Bonner II at *1, but her only subsequent discussion of the EPA fee statute was the observation that, “[u]nder the EPA, a prevailing plaintiff is entitled to attorney’s fees ... [and t]here is no dispute that the plaintiff was the prevailing party on her
CONCLUSION
The judgment of the district court entered on the jury verdict is affirmed. The judgment awarding attorney’s fees and costs is vacated and the case is remanded for further proceedings consistent with this opinion. We have considered the defendants’ remaining arguments addressed to both of the judgments and we find them to be either without merit or moot.
Notes
. A plaintiff may also be a prevailing party where the lawsuit is a "catalyst” that prompts a defendant to halt the practices challenged in the complaint before the entry of a final judgment. See Marbley v. Bane,
. The other two were Hewitt and Texas State Teachers Ass’n v. Garland School Dist.,
. Cases in other circuits on which plaintiff relies for an award of counsel fees based on her success on the pendent state law claim either implicate the policy concern of avoiding unnecessary constitutional decisions, see e.g. Williams v. Thomas,
Concurrence in Part
dissenting in part and concurring in part:
I respectfully dissent from the majority opinion insofar as it concludes that the supplemental jury charge was properly given in this case. I agree with the majority opinion that such post-verdict instructions should not be given except in “the rare case where [a potentially outcome-determinative] error in the charge is noticed only belatedly and where it cannot be corrected promptly without seriously prejudicing the rights of the aggrieved party.” Supra at 591. But this is not that “rare case”:
(i) Bonner’s counsel advised the trial court of the error before the jury started deliberating, so the error in the charge was not noticed belatedly; and
(ii) the error could have been corrected without prejudice to the party aggrieved by the error in the original charge — plaintiff Bonner — because expansion of the period for which she was entitled to recover damages under Title VII could only have benefited her.
I therefore endorse the majority’s analysis, but I cannot agree that that analysis justifies the result on appeal.
The majority accounts for the disconnect between rule and result by characterizing the rule as “prophylactic” only. I respectfully disagree. The rule is a rule — not precatory words. And it is a good rule that should be applied because its prophylactic-effect depends on its application.
The original jury charge erroneously applied Title VII’s 300-day statute of limitations to Bonner’s New York State Human Rights Law (“NYSHRL”) claim, which has a three-year statute of limitatiоns. Compare 42 U.S.C. § 2000e-5(e)(l) (1994) with Koemer v. State,
Post-verdict supplementation of the charge has a natural and irreducible ten
Here, however, the jury’s initial verdict was internally consistent and fully compatible with the district court’s initial charge. And the district court’s supplemental charge was no mere clarification or restatement of the earlier instructions; it was a new charge that expanded the time-frame for which the jury could award damages in a time-sensitive case. Since the jury had just returned special verdict answers finding the defendants “liable”'for sexual harassment but awarding zero damages — a verdict which decisively resolved Bonner’s claims in the defendants’ favor— this new charge invited the inference that the judge wanted the jury to award Bonner damages on the NYSHRL cause of action. See McCollum v. Stahl,
The trial record discloses no agenda on the part of the district judge other than to elicit the true verdict of the jury under a sound statement of the law, without influence or manipulation by the court. The majority’s analysis turns in large part on this evident lack of bias. Such an analysis is unworkable, however. We are not in a good position to gauge judicial bias in a close case, and there, would be an institutional reluctance to make such a finding. For these reasons, the abuse of discretion inquiry should focus on w;hat was done (which will be of record) rather than on the judge’s intentions (which are not always evident and are usually presumed to be pure). Here, the timing and manner of the district court’s corrective measures in effect invited the jury to award damages for Bonner’s NYSHRL claim. It is a dangerous proposition to allow an exercise of discretion in which a court can await a jury’s verdict before correcting the jury charge to reflect a proposition of law that the court fully appreciated prior to the moment the jury retired.
I therefore conclude that we should deem the district court’s supplemental charge to be an abuse of discretion and reinstate the jury’s initial verdict. No retrial is needed, because Bonner waived her right to object to the initiаl charge and because the jury’s first verdict conformed to that charge. In the end, the district judge’s methodical handling of this delicate situation assured that this Court would have before it all of the facts necessary to direct entry of judgment, and that no retrial would be entailed regardless of how we ruled on the substance and timing of statute of limitations charge.
As to the issue of attorney’s fees, I concur in the result reached by the majority opinion because Bonner would not be entitled to attorney’s fees under 42 U.S.C. § 2000e-5(k) after reinstatement of the
The majority opinion considers and discusses a number of precedents that bear upon the availability of attorney’s fees under Title YII in various circumstances in which the only recovery is won under a state statutory analog. In my view, this case does not compel us to fit all these cases into a doctrinal framework. The holding of the majority opinion is that “[bjecause the damages award [Bonner] obtained on the pendent state law cause of action was for conduct that occurred outside the Title VII statute of limitations, and because there are no special circumstances here, [Bonner] would not be entitled to an award of attorney’s fees even if she was otherwise eligible for it” because she brought a Title VII claim. Supra at 600-01. That is the holding because it is the only articulated ground that narrowly fits the circumstances of this case and because it is entirely sufficient to decide it. I therefore concur in that analysis as well as in the result to which it leads.
