This case, brought by a former employee who alleges age and sex discrimination by a health insurance provider, involves interesting questions concerning the exercise of pendent jurisdiction over state law claims, and Rule 11 sanctions.
Defendant Health Insurance Plan of New York (“HIP”) employed plaintiff beginning February 11, 1985. She continued in HIP’s employ until April 17, 1987, when she took sick leave status. She alleges that this was necessitated by a nervous breakdown, allegedly resulting from acts of harassment and discrimination by HIP and the other defendants, her supervisors. The complaint alleges claims arising under section 3 of the Age Discrimination in Employment Act, 29 U.S.C. §§ 621-634 (1982) (“ADEA”), 42 U.S.C. § 1985(3) (1982), and claims arising under New York statutory and common law. Jurisdiction is asserted under 28 U.S.C. §§ 1331, 1332, 1343 (1982), and the doctrine of pendent jurisdiction. The action is before the court on defendant’s motion to dismiss the complaint in part, pursuant to Fed.R.Civ.P. 12(b), plaintiff’s cross-motion for leave to amend the complaint, defendant’s cross-motion to strike pleadings from the amended complaint, and plaintiff’s cross-motion for a continuance, to strike plaintiff’s cross-motion, disqualify defendant’s counsel, and for sanctions pursuant to Fed.R.Civ.P. 11.
LEGAL ANALYSIS
A. The Substantive Motions
Leave to amend a complaint shall be given freely, absent bad faith, undue delay, or prejudice to the defendant.
See Foman v. Davis,
However, the defendants do assert that “a careful reading of the [proposed] Amended Complaint demonstrates that it has the same serious deficiencies as the original.” Defendants’ Reply Memorandum, dated Mar. 25, 1988, at 2-3. For that reason, it is appropriate to scrutinize the submitted proposed amended pleading. The court “need not permit an amendment which is a legally insufficient basis for any recovery.”
Ganguly v. New York State Dep’t of Mental Hygiene
— Dunlap
Manhattan Psychiatric Center,
Preliminarily, the court notes that the proposed amended complaint does not assert any violation of 42 U.S.C. § 1985(3) (1982). See Exhibit A to Affidavit of Arthur M. Wisehart, executed Mar. 16, 1988, at para. 1; see also Plaintiff’s Memorandum in Opposition, dated Mar. 16, 1988, at 4. Instead, plaintiff asserts a claim under Title VII, 42 U.S.C. §§ 2000e to 2000e-17 (1982). Second, the proposed amendment adds a claim under the Equal Pay Act, 29 U.S.C. § 206(d) (1982). See Exhibit A to Wisehart Mar. 16, 1988 Aff. at para. 1. Third, the amended pleading does not allege diversity of citizenship as a basis of jurisdiction. See id.
Defendants’ only objection to a federal claim in the proposed pleading concerns the claim under the Equal Pay Act. Defendants contend that the pleading fails to assert a claim under that Act. To succeed on a claim under the Equal Pay Act, the plaintiff must plead and prove that an employer-defendant
pays different wages to employees of opposite sexes “for equal work on jobs the performance of which requires equal skill, effort, and responsibility, and which are performed under similar working conditions.”
Corning Glass Works v. Brennan,
The amended complaint alleges violations of the Equal Pay Act based on plaintiffs employment in relation to two individuals, defendant Pellegrino and an unnamed consultant. Defendants correctly point out that the complaint acknowledges that Pelle-grino “was head of the department in which plaintiff worked,” and for a time was plaintiffs immediate supervisor. Amended Complaint at para. 7. Thus, as a matter of law their jobs did not entail equal responsibility.
See Jones v. Flagship Int’l,
Defendants also argue that there is no allegation in the proposed amendment that the consultant performed a job of equal skill, effort, or responsibility as the one plaintiff performed. This contention is not persuasive. Dismissal pursuant to Rule 12(b)(6) for failure to state a claim is not warranted unless “it appears beyond doubt that the plaintiff can prove no set of facts in support of h[er] claim which would entitle h[er] to relief.”
Conley v. Gibson,
Defendants further object to the proposed amendment because it continues to include pendent state claims which they objected to in their original motion to dismiss. See Defendant’s Memorandum in Support of Motion to Dismiss, dated Jan. 22, 1988, at 10-21; Defendants’ Reply Memorandum, dated Mar. 25, 1988, at 14-18. Because plaintiff has had an opportunity to respond to defendant’s contentions, it is appropriate to rule at this time.
“The decision to exercise pendent jurisdiction is vested in the sound discretion of the district court.”
Fay v. South Colonie Cent. School Dist.,
With these principles in mind, the court declines to exercise pendent jurisdiction over those of plaintiff’s claims that are based on state law.
1
There are two rea
*50
sons, which when viewed together, require this result. First, the ADEA does not allow for the recovery of either compensatory or non-statutory punitive damages.
See Trans World Airlines, Inc. v. Thurston,
Viewed in isolation, this ground probably would not persuade the court to decline jurisdiction. Considerations of judicial economy, convenience, and fairness to the litigants would weigh heavily in favor of exercising jurisdiction over the state claims.
See Glezos v. Amalfi Ristorante Italiano,
The plaintiff asks this court a) for relief to which she is not entitled on her claim for intentional infliction of emotional distress, and b) to apply state law on a wholly unprecedented basis in New York on a very important issue in the defamation area.
*51
First, regarding plaintiffs claim for intentional infliction of emotional distress, the law is settled that normally Worker’s Compensation proceedings are the exclusive remedy for such claims.
See Martin v. Citibank, N.A.,
The amended pleading contains only a single factual reference to the corporate defendant. Some two months after plaintiff took sick leave status, Fred Blickman, HIP’s Vice President for Human Resources, sent plaintiff a letter asking for “clarification concerning a specific date of [he]r return to work.” See Exhibit A to Exhibit A of Complaint. Otherwise, the letter goes on, HIP would terminate the plaintiff’s employment for lack of availability. Id. The letter continues that in the event of termination, plaintiff would be considered for possible re-employment if she subsequently became available for work. Id.
There is nothing in this letter, even in view of the plaintiff’s November, 1986 letter to Blickman and others detailing some specific instances of the harassment she claims she was being subjected to,
see
Exhibit B to Affidavit of Joffre C. Burger, executed Mar. 29, 1988, that satisfies the requirements of a cause of action in intentional infliction of emotional distress — “extreme and outrageous conduct.”
See Murphy v. American Home Prods. Corp.,
All that remain are allegations of physical assault and verbal harassment by plaintiff’s co-employees. As a matter of law, these allegations fail to state a claim against HIP for intentional infliction of emotional distress.
See Hart,
Plaintiff also asks the court to adopt, as a matter of New York’s defamation law, the self-publication rule.
5
The court begins with the “elementary” proposition that “there can be no [defamation] ... unless there is publication.”
Church of Scientology of Cal., Inc. v. Green,
In conclusion, these interests, weighed together, convince the court to decline to exercise its jurisdiction over the pendent state claims. They are dismissed without prejudice so that the plaintiff may pursue her remedies in the state judicial system.
6
See Gibbs,
Defendants move to strike the pleadings contained in paragraphs 11(h), 28, and 41 of the proposed amended complaint, pursuant to Fed.R.Civ.P. 12(f), on the grounds that they are “immaterial, impertinent and scandalous.” Defendants’ Notice of Cross-Motion to Strike, dated Mar. 25, 1988. The allegations at issue allege criminal activity in billing for services not actually performed. See Exhibit A to Wisehart Mar. 16, 1988 Aff. at paras. 11(h), 28, and 41. Plaintiff claims the defendants mistreated her in part because of her knowledge of these illegal activities. See id.
To properly decide a motion to strike, the issues must be framed.
Gleason v. Chain Serv. Restaurant,
Once the issues are framed, the court turns to the particular allegations, keeping in mind that “[mjotions to strike are generally disfavored and will not be granted unless the matter asserted clearly has no bearing on the issue in dispute.”
Reiter’s Beer Distribs. v. Christian Schmidt Brewing Co.,
The court finds these allegations to be immaterial, impertinent, and scandalous. Plaintiffs amended pleading should delete all references to these allegations.
See Reiter’s Beer Distribs.,
B. The Motion to Disqualify
Plaintiffs motion to disqualify defendants’ counsel is based on the Code of Professional Responsibility Ethical Consideration 5-18, which states in substance that a lawyer for a corporation should act on behalf of an individual connected with the corporation, such as an employee, “only if the lawyer is convinced that differing interests are not present.” N.Y.Jud.Law App. Code of Professional Responsibility EC 5-18 (McKinney 1975). Plaintiff presents no proof that differing interests are present. As defendants have not yet filed their answers, the motion is premature.
See Schwartz v. Guterman,
C. Rule 11
Plaintiff seeks the imposition of sanctions under Rule 11 for defendants’ counsel’s actions in litigating these motions. Particularly, plaintiff objects to the manner with which opposing counsel interposed the issue whether plaintiff had an employment contract with HIP. In support of its motion to dismiss the complaint, defendants’ counsel submitted an attorney’s affidavit which stated, in relevant part, that “[u]pon information and belief, Plaintiff does not have an employment contract with Defendant HIP.” Affidavit of Richard Block, executed Jan. 20, 1988, at para. 6. Defendants’ memorandum in support of their motion to dismiss relied exclusively on Block’s assertion of fact in arguing that plaintiff’s claim of tortious interference with contract must be dismissed for failure to state a claim for relief. See Memorandum of Law in Support of Defendants’ Motion to Dismiss, dated Jan. 22, 1988, at 20. Plaintiffs’ counsel correctly objected to this presentation in his responding affidavit. See Wise-hart Mar. 16, 1988 Aff. at para. 9(b) (“Block has no personal knowledge and is ineligible to submit such statements in affidavit form.”). Counsel continued with the familiar observation that for purposes of a motion to dismiss for failure to state a claim, the complaint’s allegations must be deemed true, and stated that Block’s affidavit should be disregarded in respect to the Rule 12(b)(6) motion. See id.
Not content to let sleeping dogs lie, or more appropriately, let the dogs slink inconspicuously from the field, defendants submitted reply papers, including an affida *54 vit of Fred Blickman, Vice President for Human Resources with HIP. Blickman states that plaintiff “does not and never did have an employment contract of any kind with H.I.P.” Affidavit of Fred Blick-man, executed Mar. 25, 1988, at para. 2. Defendants offered this evidence in support of their argument that “Plaintiff fails to state a claim for tortious interference with contractual relations.” Defendants’ Reply Memorandum of Law, dated Mar. 25, 1988, at 20. Plaintiff responded by moving to strike the Blickman Affidavit, or for a continuance to develop a factual record, and for sanctions. See Wisehart Mar. 29, 1988 Aff. at para. 10. Defendants responded to this request. Counsel “respectfully requested] that their motion to dismiss be determined by this Court on the basis of defendants’ original moving papers, plaintiff’s answering papers and defendants’ reply.” Affidavit of Robin Stout, executed Mar. 30, 1988, at para. 2. Basing a decision on those papers only, the court was informed, is in accordance with “standard Federal Court practice.” Id. Counsel summarily dismissed plaintiff’s further objection that the defendants were seeking to transform the motion to dismiss into one for summary judgment, stating:
Defendants do not believe that the submission of the Blickman Reply Affidavit transforms the instant motion into a motion for summary judgment.... That affidavit is directed expressly to whether plaintiff has stated causes of action concerning her alleged “contract,” the proper province of a motion to dismiss.
Stout Mar. 30 Aff. at para. 3(b) (citation to Wisehart Aff. omitted).
Rule 11 states, in relevant part:
The signature of an attorney or party constitutes a certificate by him that he has read the pleading, motion, or other paper; that to the best of his knowledge, information, and belief formed after reasonable inquiry it is well grounded in fact and is warranted by existing law or a good faith argument for the extension, modification, or reversal of existing law, and that it is not interposed for any improper purpose, such as to harass or to cause unnecessary delay or needless increase in the cost of litigation.
Under the rule, two considerations assume paramount importance. First, the rule creates an “objective standard of reasonable inquiry into the factual and legal soundness of ‘[ejvery pleading, motion, and other paper’ signed by the attorney in an action.”
Kamen v. American Tel. & Tel. Co.,
The court finds that Block’s affidavit was not warranted by existing law.
See
Rule 11. It has been clear “at least” since the Supreme Court decided
Automatic Radio Mfg. Co. v. Hazeltine Research, Inc.,
The court further finds counsel's insistence on presenting the Blickman Affidavit in its reply papers, especially after having been reminded of Rule 12(b)’s requirements, not to be warranted by existing law, nor made in a good faith effort to extend the law of procedure. Ms. Stout’s statement that the submission of the Blickman Affidavit does not convert the motion into *55 one for summary judgment is distressing. It is “standard Federal Court practice” for attorneys to read the Federal Rules of Civil Procedure and to comply with their dictates. All attorneys admitted to practice in the Southern District are required, in their verified petition for admission, to state that they have read and are familiar with the Federal Rules of Civil Procedure for the district courts. See General Rule 2(a) of the Rules of the United States District Courts for the Southern and Eastern Districts of New York. Rule 12(b) is explicit and not susceptible of misinterpretation. It states:
If, on a motion asserting the defense numbered (6) to dismiss for failure of the pleading to state a claim upon which relief can be granted, matters outside the pleading are presented to and not excluded by the court, the motion shall be treated as one for summary judgment and disposed of as provided in Rule 56, and all parties shall be given reasonable opportunity to present all material made pertinent to such a motion by Rule 56.
Fed.R.Civ.P. 12(b). No reasonable practitioner would conclude that an affidavit controverting a pleaded factual assertion is not “matter[] outside the pleading.”
8
“[E]ven a cursory review of Rule 12 would have revealed that” Ms. Stout’s assertion “lacked any foundation in law.”
INVST Fin. Group v. Chem-Nuclear Sys.,
In conclusion, the court finds that Rule 11 has been violated by defendants’ counsel’s lack of reasonable inquiry, in two separate instances. While the court has no discretion in determining whether to impose sanctions for violations of Rule 11, it is given wide discretion in deciding “the nature and extent of sanctions to impose.”
INVST Fin. Group,
In determining an appropriate sanction, the court is mindful that different courts have viewed either deterrence or compensation as the primary rationale behind Rule 11.
See Anschutz Petroleum Mktg. Corp. v. E.W. Saybolt & Co.,
First, plaintiffs counsel is directed to serve and file an affidavit detailing the time expended on, and costs incurred in meeting, this particular point. This should include all expenditures relating to the otherwise wholly unnecessary April 7, 1988 Reply Affidavit of Arthur Wisehart. The affidavit should include time spent ascertaining the damage done and developing the affidavit itself. This time is recoverable on a “but-for” principle.
See Miller v. Affiliated Fin. Corp.,
Second, to insure that the deterrence function of Rule 11 is satisfied, the court directs defendants’ counsel to pay to the Clerk of the Court the amount of $2,500.00. The court further directs counsel to file a certificate of compliance with the Clerk of the Court within ten days from this date. Counsel are enjoined from passing any part of these awards on to their clients, directly or indirectly.
See Anschutz Petroleum Mktg. Corp.,
CONCLUSION
Plaintiff is granted leave to file an amended complaint that conforms to the conclusions reached in this opinion within twenty days from this date. The parties are directed to proceed with discovery, which shall be concluded 60 days from this date. Plaintiff’s counsel should file an affidavit detailing its expenses in connection with the Rule 11 award at the earliest possible date.
SO ORDERED.
Notes
. Plaintiff states claims under New York common law for tortious interference with contract, breach of contract, intentional infliction of emotional distress, and defamation (slander). See generally Exhibit A to Wisehart Mar. 16, 1988 Aff.
Plaintiff also alleges a claim under New York Executive Law § 296 (McKinney 1982 & Supp. 1988).
See
para. 20 of proposed Amended Complaint. This court “sits as a state court [with respect to pendent state claims], and is bound by principles of state law.”
Hunnewell v. Manufacturers Hanover Trust Co.,
. It is not necessary to decide an issue raised by the parties, whether Title VII permits the recovery of either compensatory or punitive damages,
compare People of the State of New York v. Holiday Inns, Inc.,
. The ADEA claim and the state claims would have to be tried first. "When issues common to both legal and equitable claims are to be tried together, the legal issues are to be tried first, and the findings of the jury are binding on the trier of the equitable claims.”
GTE Sylvania Inc. v. Continental T.V., Inc.,
.A plaintiff prevailing on a claim under New York Executive Law § 296 is entitled to recover compensatory damages, N.Y.Exec.Law § 297(4) (c) (iii) (McKinney 1982), which may include compensation for mental anguish.
See Batavia Lodge No. 196, Loyal Order of Moose v. New York State Div. of Human Rights,
. Under the self-publication rule, the originator of the defamatory statement is held "liable for damages caused by the statement where the originator knows, or should know, of circumstances whereby the defamed person has no reasonable means of avoiding publication of the statement or avoiding the resulting damages.”
Lewis v. Equitable Life Assurance Soc'y of the United States,
. This resolution moots plaintiffs cross-motion for a continuance.
. The court cannot agree with plaintiffs counsel that these allegations "are indicative of the types of skulduggery in the workplace to which women have frequently been forced to consent as a condition of retaining employment.” See Reply Affidavit of Arthur Wisehart, executed Apr. 7, 1988, at para. 17.
. Defendants should have been alerted to the distinction between a motion to dismiss and one for summary judgment by a case they cited in their moving papers. After citing the Block Affidavit, Defendants’ Memorandum in Support states: "Thus, Plaintiffs claim must be dismissed for failure to state a claim upon which relief may be granted.
Oakley v. St. Joseph’s Hosp.,
. Because the merits of the argument are not the basis of the violation, the court need not consider whether Rule 11 focuses "on the filing of the entire pleading or motion, as opposed to parts of the document.”
Martinez, Inc.
v.
H. Landau & Co.,
