Caldwell v. Kimberly-Clark USA, LLCCaldwell v. Kimberly-Clark USA, LLC
Case Information
IN THE UNITED STATES DISTRICT COURT FOR THE SOUTHERN DISTRICT OF ALABAMA SOUTHERN DIVISION
SANDRA CALDWELL, )
)
Plaintiff, )
)
v. ) CIVIL ACTION 24-0161-WS-M
)
KIMBERLY-CLARK USA, LLC, et al., )
)
Defendants. )
ORDER
This matter is before the Court on motions to dismiss filed by the entity defendant (“KC”) and by two individual defendants (“Murphy” and “Helms”). (Docs. 19, 30). The plaintiff has filed responses, (Docs. 22, 33), and the movants replies, (Docs. 25, 34), and the motions are ripe for resolution. After careful consideration, the Court concludes that both motions are due to be granted in part and denied in part.
BACKGROUND According to the amended complaint, (Doc. 14), the plaintiff is employed by KC as a material supply specialist. Helms is a white male and the plaintiff’s immediate
supervisor. Murphy is a white female who works for KC in Human Resources. Two
other individual defendants (“Kerstetter” and “Judd”) have not appeared. The amended
complaint lists the following eleven “claims for relief,” with the defendants identified by parenthetical:
• First Claim (KC and Helms): Race and sex discrimination in promotion, discipline, and hostile work environment, and retaliation, in violation of Title VII and Section 1981;
• Second Claim (KC and Helms): An essentially verbatim repetition of the First Claim, but without a request for punitive damages;
• Third Claim (all defendants): An essentially verbatim repetition of the Second Claim;
• Fourth Claim (KC and Helms): Racially discriminatory harassment and demotion, in violation of Sections 1981 and 1983;
• Fifth Claim (all defendants): Retaliation, in violation of Sections 1981 and 1983; • Sixth Claim (all defendants): Hostile work environment, in violation of Section 1981;
• Seventh Claim (all defendants except Kerstetter): Deprivation of due process, brought under Section 1983;
• Eighth Claim (all defendants): First Amendment retaliation, brought under Section 1983;
• Ninth Claim (KC): Breach of contract;
• Tenth Claim (individual defendants): Intentional infliction of emotional distress; • Eleventh Claim (KC): Violation of the Equal Pay Act.
(Doc. 14 at 16-29). The movants seek dismissal, pursuant to Rule 12(b)(6), of all claims asserted against them. (Doc. 19 at 3; Doc. 30 at 3).
DISCUSSION Rule 12(b)(6) allows a motion to dismiss for “failure to state a claim upon which relief can be granted.” Such challenges are of two basic stripes. The first is a failure of
the complaint to satisfy Rule 8(a) by alleging “enough facts to state a claim for relief that
is plausible on its face.”
Bell Atlantic Corp. v. Twombly
,
basis of a dispositive issue of law, no construction of the factual allegations will support
the cause of action.”
D.P. ex rel. E.P. v. School Board
,
2007) (internal quotes omitted). The movants advance challenges of both kinds.
Because they are the parties seeking relief, the movants “bear at least the initial
burden of demonstrating that [they are] entitled to dismissal under Rule 12(b)(6).”
Gailes
v. Marengo County Sheriff’s Department
,
accord Smith v. Seaport Marine, Inc
.,
This includes the burden of identifying specific reasons that specific portions of the
amended complaint are subject to dismissal and of presenting adequate support for their
position.
“There is no burden upon the district court to distill every potential argument that could be made based upon the materials before it on summary judgment.” Resolution
Trust Corp. v. Dunmar Corp
.,
Canova
,
motions to dismiss and accordingly limits its review to those arguments the parties have
expressly advanced.”
Parker v. Exterior Restorations, Inc
.,
Underwriters
,
As the Court has often ruled, it and other courts “ordinarily do not consider arguments raised for the first time on reply,” and will not do so as to any non-
jurisdictional argument unless “the offending party articulates an adequate reason for its failure to present in its principal brief an argument then available to it.” Parker , 653 F.
Supp. 3d at 1108.
I. Service of Process.
Murphy seeks dismissal under Rule 12(b)(5) for insufficient service of process.
(Doc. 30 at 3-4).
Rule 4(a)(1)(B) requires that a summons “be directed to the defendant.” The summons was directed to:
SARAH MURPHY
HUMAN RESOURCES KIMBERLY-CLARK USA, LLC CT Corporation – Registered Agent (Doc. 18 at 1). Without discussion, Murphy declares that this designation fails to comply with Rule 4(a)(1)(B). (Doc. 30 at 4). The Court cannot agree. The defendant’s name is Sarah Murphy, and the summons is directed to Sarah Murphy. The remaining lines
simply identify her employment, her employer, and an agent for service of process.
The plaintiff attempted service on Murphy pursuant to Rule 4(c)(1), which allows for service by “following state law.” Alabama law, unlike federal law, permits service by certified mail. Ala. R. Civ. P. 4(i)(2). Such service is effective upon “delivery to the
named addressee or the addressee’s agent as evidenced by signature on the return
receipt.” . Rule 4(i)(2)(C). The return of service indicates that process was mailed to
CT Corporation and signed for by an unidentified individual other than Murphy. (Doc.
21 at 1). Murphy believes it is plain that CT Corporation is KC’s registered agent and not hers, and she defies the plaintiff to present evidence otherwise. (Doc. 30 at 4).
Murphy has cited no authority for the proposition that the plaintiff must demonstrate that CT Corporation is her agent for receiving service of process before
Murphy presents evidence that it is not. Nor has Murphy accounted for the provision of Alabama law that the authority of an agent to receive mail and deliver it to the addressee “shall be conclusively established when the addressee acknowledges actual receipt of the summons and complaint.” Ala. R. Civ. P. 4(i)(2)(C).
Assuming nevertheless for purposes of argument that service on Murphy was ineffective, dismissal on this ground is presently unavailable. Murphy was added as a
defendant by the amended complaint, which was filed on July 9, 2024. The 90-day
period provided by Rule 4(m) for service of process began to run on that date. Ninety
days after July 9, 2024 is October 7, 2024. Rule 4(m) “prohibits dismissal for failure to serve process if fewer than [90] days have elapsed since the plaintiff filed [her]
complaint.”
Betty K Agencies, Ltd. V. M/V Monada
,
2005).
In summary, Murphy is not entitled to dismissal pursuant to Rule 12(b)(5).
II. Title VII Claims: Individual Capacity.
Murphy and Helms are sued only in their individual capacity. (Doc. 14 at 3-4).
They argue that they cannot be so sued under Title VII, because they are not the
plaintiff’s employer. (Doc. 30 at 12-13). The plaintiff offers no response.
“[W]e now expressly hold that relief under Title VII is available against only the employer and not against individual employees whose actions would constitute a
violation of the Act, regardless of whether the employer is a public company or a private
company.”
Dearth v. Collins
,
This is true even when the individual is the president and sole shareholder of the
corporate employer. . at 932, 934. Thus, for example, the defendant’s CEO was
properly granted summary judgment on a Title VII claim that he fired the plaintiff in
retaliation for her complaints of discrimination, since he was not the plaintiff’s employer.
from the First, Eighth, Ninth, and Tenth Circuits); accord 4B Charles Alan Wright & Arthur R.
Miller, Federal Practice and Procedure § 1137 & n.39 (4 ed. June 2024).
Martin v. Financial Asset Management Systems, Inc
.,
(11 th Cir. 2020).
In summary, Murphy and Helms are entitled to dismissal of the Title VII aspect of the First, Second, and Third Claims as to them.
III. Title VII Claims: Timeliness.
A plaintiff is required to bring suit under Title VII within 90 days after the EEOC “notif[ies]” the plaintiff that her charge has been dismissed. 42 U.S.C. § 2000e-5(f)(1).
The right-to-sue letter in this case is dated February 21, 2024. (Doc. 14 at 4; Doc. 16-1).
This action was filed on May 22, 2024, some 91 days later. (Doc. 1). KC argues that the plaintiff has “failed to meet her burden of establishing that her action is timely.” (Doc.
19 at 5).
As KC acknowledges, (Doc. 19 at 4), the 90-day period in which to file suit runs from the plaintiff’s receipt of the notice, not from its issuance. E.g., Stamper v. Duval
County School Board
,
receives a notice of dismissal from the Commission, she has 90 days to file a civil action against the employer.”). KC nevertheless argues, without explanation or citation to
relevant authority, that the Title VII claims are due to be dismissed with prejudice
because the amended complaint “offer[s] no explanation or other facts related to the
timeliness of her lawsuit.” (Doc. 19 at 5).
KC apparently assumes the existence of a presumption of instantaneous receipt of a right-to-sue letter, such that the filing of suit 91 days after issuance mandates dismissal absent adequate explanation in the complaint. There is no such presumption. On the
contrary, “a plaintiff is presumed to have received a right to sue letter three days after it
was mailed.”
Ramion v. Brad Cole Construction Co
.,
2020) (describing
Kerr v. McDonald’s Corp
.,
Owens-Benniefield v. BSI Financial Services
,
(“We have applied a presumption of three days for receipt by mail when the date of
receipt is in dispute in the context of Title VII cases where a plaintiff must file a suit
within 90 days of receiving an Equal Employment Opportunity Commission’s right-to-
sue letter.”) (describing
Zillyette v. Capital One Financial Corp
.,
(11 Cir. 1999)).
The existence of this presumption means that a plaintiff filing suit 91 days after issuance of a right-to-sue letter need not plead additional facts in order to avoid a
limitations defense. Unless the complaint includes other allegations suggesting receipt on the date of issuance (and KC asserts none), the plaintiff’s Title VII claims cannot be
dismissed as untimely on the face of the complaint.
In summary, KC is not entitled to dismissal of the Title VII aspect of the First, Second, and Third Claims on the grounds of untimely suit.
IV. Title VII Claims: Scope of the Charge.
KC argues that the First, Second, and Third Claims should be dismissed in their entirety because the amended complaint’s allegations of harassment are “outside the
scope of her Charge.” (Doc. 19 at 11). Although KC seeks dismissal of these claims in toto , the requirement of exhaustion of administrative remedies applies only to their Title VII aspect. In addition, KC addresses only harassment, not the other wrongs alleged in
these claims. Therefore, only the hostile work environment and retaliation claims as
pursued under Title VII are placed in issue by KC’s argument.
The plaintiff’s charge asserted that she was “underpaid in [her] job compared to my white male coworkers who are paid more than me.” It then addressed at length a
denial of promotion by Helms and others in March 2023. The charge concludes as
follows:
In addition to my race and gender being motivating factors behind these adverse employment actions, Respondent has also retaliated against me for complaining of race and gender discrimination in 2023. My supervisor, Helms, is constantly picking at me and trying to discipline me. In summary, I have been discriminated against because of my race and female gender in wages and selection decisions and retaliated against for complaining of discrimination.
(Doc. 19-1). The charge identifies the earliest date of discrimination as March 2023 and states it is “continuing action” through the June 29, 2023 date of the charge. ( .).
KC complains that, while the harassment identified in the charge is described only generally as “constantly picking at me and trying to discipline me,” the amended
complaint identifies specific harassing incidents, occurring (a) before the charge was filed (a reprimand by Helms in May 2023), (b) after the right-to-sue letter issued (harassing
behavior by Murphy, Kerstetter, and Judd in April 2024 and a suspension by Helms in
May 2024), and (c) after this action was filed (an uncomfortable encounter involving
Helms in June 2024). KC complains further that, while the charge identifies the earliest
date of discrimination as March 2023, the amended complaint alleges that Helms’
harassment began around December 2022. (Doc. 19 at 11-12).
“[A] plaintiff’s judicial complaint is limited by the scope of the EEOC investigation which can reasonably be expected to grow out of the charge of
discrimination.” Patterson v. Georgia Pacific, LLC , 38 F.4 1336, 1345 (11 Cir. 2022) (internal quotes omitted). KC acknowledges the governing standard but does not apply
it, and it is not the Court’s role to develop and support arguments on KC’s behalf. In any event, it is not clear that any portion of the amended complaint lies beyond the scope of a reasonable EEOC investigation into her charge.
The charge alleges that Helms was constantly trying to discipline the plaintiff. A reasonable EEOC investigator would ask the plaintiff what she was referring to and
would presumably be told of the May 2023 reprimand. The amended complaint alleges
that Helms’ harassment began after the plaintiff lodged a formal grievance over pay. A
reasonable investigator would ask about the charge’s assertion of pay discrimination and would presumably be told of the grievance and of Helms’ response. In both instances,
the amended complaint is “like or related to, or gr[o]w[s] out of,” and properly serves to “amplify, clarify, or more clearly focus[,] the allegations in the EEOC complaint.”
Gregory v. Georgia Department of Human Resources
,
2004) (internal quotes omitted).
As for the April, May, and June 2024 incidents, and as the plaintiff notes, (Doc. 22 at 7-8), “it is unnecessary for a plaintiff to exhaust administrative remedies prior to
urging a retaliation claim growing out of an earlier charge ….” Baker v. Buckeye
Cellulose Corp
.,
Finally, KC argues that, even if the 2024 incidents of harassment are immune from the exhaustion requirement to the extent presented as retaliation, they are not immune
from the requirement to the extent presented as contributing to a discriminatorily hostile work environment. (Doc. 25 at 3). That is not an implausible distinction, but KC offers no authority demonstrating its legal existence. The sole case to which it cites says only
that post-charge “[d]iscrete acts” of discrimination “that are offered as the essential basis for judicial review” must be the subject of their own charge. Basel v. Secretary of
Defense
,
“essential basis” of a claim (such as for discriminatory discipline) but only as one of
several incidents contributing to a hostile work environment.
In summary, KC is not entitled to dismissal of any portion of the Title VII aspect of the First, Second, and Third Claims on the grounds of failure to exhaust administrative remedies.
V. Section 1981 Claims: Sex.
The First, Second, and Third Claims include the claim that the defendants discriminated against, and retaliated against, the plaintiff based on her race and sex, in
violation of Section 1981. (Doc. 14 at 16-19). The movants argue that Section 1981
addresses only race, not sex. (Doc. 19 at 14; Doc. 30 at 10). The plaintiff offers no
response.
Section 1981 generally provides that all persons will have the same enumerated right “as [are] enjoyed by white citizens.” 42 U.S.C. § 1981(a). What the statute
prohibits is “intentional race discrimination.” American Alliance for Equal Rights v.
Fearless Fund Management, LLC , 103 F.4 th 765, 775 (11 th Cir. 2024) (internal quotes
omitted). Sex is not race, and it is thus beyond the scope of Section 1981.
In summary, the movants are entitled to dismissal of the Section 1981 aspect of the First, Second, and Third Claims to the extent based on sex rather than race.
VI. Section 1981 Claims: Section 1983.
The Fourth and Fifth Claims assert violations of Section 1981 and Section 1983. (Doc. 14 at 20-21). “While it is not a source of substantive rights, section 1983 provides a method for vindicating federal rights conferred by the Constitution and federal
statutes.”
Bannum, Inc., v. City of Fort Lauderdale
,
“To state a claim under section 1983, [a plaintiff] must allege that an act or omission,
committed by a person acting under color of state law, deprived them of a right, privilege, or immunity secured by the Constitution or a federal statute.” A.W. ex rel. J.W. v.
Coweta County School District , 110 F.4 1309, 1315 (11 th Cir. 2024). The movants
argue that the Fourth and Fifth Claims must be dismissed for failure to allege that they
acted under color of state law. (Doc. 19 at 15-16; Doc. 30 at 11).
Although the Fourth and Fifth Claims invoke Section 1983, the underlying right secured by federal law rests in Section 1981, and “[t]he rights protected by this section
are protected against impairment by nongovernmental discrimination ….” 42 U.S.C. §
1981(c). Pursuant to this language, “Section 1981 provides a cause of action for
individuals subjected to discrimination by private actors ….” Lee v. Hughes , 145 F.3d
1272, 1277 (11 Cir. 1998). Because Section 1981 itself provides the cause of action as against private actors, the plaintiff need not satisfy Section 1983 in order to pursue the
Fourth and Fifth Claims.
In summary, the movants are not entitled to dismissal of the Fourth and Fifth Claims for failure to plead that they acted under color of state law.
VII. Pleading Deficiencies.
To survive dismissal under Rule 12(b)(6), a complaint must satisfy the pleading
requirements of Rule 8(a)(2).
Bell Atlantic Corp. v. Twombly
,
“A pleading that states a claim for relief must contain … a short and plain statement of
the claim showing that the pleader is entitled to relief ….” Fed. R. Civ. P. 8(a)(2). Rule
8 establishes a regime of “notice pleading.”
Swierkiewicz v. Sorema N.A
.,
First, the complaint must address all the elements that must be shown in order to support recovery under one or more causes of action. “At a minimum, notice pleading
requires that a complaint contain inferential allegations from which we can identify each
of the material elements necessary to sustain a recovery under some viable legal theory.”
Wilchombe v. TeeVee Toons, Inc
.,
internal quotes omitted).
Pleading elements is necessary, but it is not enough to satisfy Rule 8(a)(2). The rule “requires more than labels and conclusions, and a formulaic recitation of the
elements of a cause of action will not” satisfy the rule.
Twombly
,
allegations must be enough to raise a right to relief above the speculative level ....” Id .
That is, the complaint must allege “enough facts to state a claim for relief that is plausible
on its face.” . at 570. “A claim has facial plausibility when the plaintiff pleads factual
content that allows the court to draw the reasonable inference that the defendant is liable
for the misconduct alleged.”
Ashcroft v. Iqbal
,
plausibility standard … asks for more than a sheer possibility that the defendant has acted unlawfully,” and “[w]here a complaint pleads facts that are merely consistent with a
defendant’s liability, it stops short of the line between possibility and plausibility of
entitlement to relief.” Id . (internal quotes omitted). A complaint lacking “sufficient
factual matter, accepted as true, to state a claim to relief that is plausible on its face” will
not “survive a motion to dismiss.” . But so long as the plausibility standard is met, the
complaint “may proceed even if it strikes a savvy judge that actual proof of those facts is
improbable, and that a recovery is very remote and unlikely.”
Twombly
,
“[W]e do not require heightened fact pleading of specifics, but only enough facts
to state a claim to relief that is plausible on its face.”
Twombly
,
facts, tertiary facts, ad infinitum in order to satisfy Rule 8(a)(2).” Howard v. Bayrock
Mortgage Corp
.,
naturally from the principle that the plaintiff “need not prove his case on the pleadings – h[er] Amended Complaint must merely provide enough factual material to raise a
reasonable inference, and thus a plausible claim, that” the defendants violated her
asserted rights. Speaker v. United States Department of Health and Human Services
Centers for Disease Control and Prevention,
A complaint that fails to plead enough facts to meet the plausibility standard is subject to dismissal under Rule 12(b)(6). But the complaint is so exposed only if the
defendant moves for dismissal under that rule, invokes the plausibility standard, and
makes a satisfactory showing that, in certain, specified respects, for certain, specified
reasons, the complaint falls short of that standard. “Vague, generalized assertions that a
claim is somehow implausible, without a clear, supported explanation of just what is
implausible and why, places no burden on the Court to supply the deficiency or on the
plaintiff to respond.”
FNB Bank v. Park National Corp
.,
Ala. 2013). Just as “the Twombly standard is not a trap for the unwary pleader who fails to utter talismanic incantations,” Caytrans BBC, LLC v. Equipment Rental and
Contractors Corp.
,
talisman or thaumaturgical word, the invocation of which excuses a defendant from
demonstrating why, in the context of a specific complaint, an allegation or cause of action
lacks plausibility.
68V BTR Holdings, LLC v. City of Fairhope
,
The movants challenge almost every claim asserted by the plaintiff as infected with fatal pleading deficiencies under the standards identified above. The Court
considers these challenges in turn.
A. Failure to Promote.
The First, Second, and Third Claims assert a claim for race and sex discrimination in failing to promote the plaintiff. (Doc. 14 at 16-20). The movants first object that the
amended complaint does not allege that the failure to promote was based on the
plaintiff’s race and/or sex. (Doc. 19 at 10; Doc. 30 at 11). The amended complaint,
however, explicitly alleges exactly that. (Doc. 14, ¶ 58).
The movants next argue that a conclusory allegation that an employment decision was based on race or sex in insufficient to satisfy Rule 8(a). (Doc. 19 at 10; Doc. 30 at
11-12). This is correct. The need for factual allegations to render a claim “plausible on
its face” extends to the element of discriminatory motive. In Iqbal , an allegation that the defendants’ treatment of the plaintiff was “solely on account of [his] religion, race, and/or national origin” was “nothing more than a formulaic recitation of the elements of a
constitutional discrimination claim” and therefore “not entitled to be assumed true.” 556 U.S. at 680-81 (internal quotes omitted). The Eleventh Circuit has routinely required
plaintiffs to include sufficient factual allegations to make it plausible that a defendant’s
action was based on an unlawful motive.
The movants have identified the correct standard, but they have not explained how the failure-to-promote claim fails to satisfy it. The amended complaint alleges: that the
plaintiff has had consistently good performance throughout her 16 years with KC; that
promotion within her department has historically been based on seniority; that she was
the senior person in her department; that she had been promised the promotion by her
supervisor (identified as Helms); that she had been trained for that position; and that the
promotion was nevertheless given instead to a named white male with less experience
and inferior qualifications. (Doc. 14, ¶¶ 19, 35, 40, 53-56). These factual allegations are at least as strong as those in the cited appellate cases in which an allegation of unlawful
discriminatory motive was deemed plausible. Absent explanation, which the movants do not provide, the Court cannot conclude that the amended complaint fails to plausibly
allege that the plaintiff was denied promotion due to her race and/or sex.
As Murphy and Helms acknowledge, Section 1981 “provide[s] for individual
liability.”
Shotz v. City of Plantation
,
allege that they were “linked” to the challenged conduct. (Doc. 30 at 14). The plaintiff
does not respond.
Murphy and Helms rely on this Court’s decision
in Page v. Winn-Dixie
Montgomery, Inc
.,
federal courts “have held that a claim for individual liability under § 1981 requires an
affirmative showing linking the individual defendant with the discriminatory action.” .
at 1355. Because there was no triable issue as to whether a discriminatory action had
occurred, id . at 1356, the Court in Page did not resolve what “link” is necessary. Murphy and Helms identify no test for “linkage,” and the Court declines to discover or create one on their behalf.
Finally, the movants argue that the amended complaint admits that every employment decision of which the plaintiff complains (including failure to promote) was made on a non-discriminatory basis. (Doc. 19 at 10; Doc. 30 at 2). The portions of the
amended complaint on which they rely merely quote KC policy; they do not allege that
KC lived up to its policy of non-discrimination. (Doc. 14, ¶¶ 45-52).
In summary, the movants are not entitled to dismissal of the discriminatory failure-to-promote claim.
B. Suspension.
The First, Second, and Third Claims assert a claim for race and sex discrimination in suspending the plaintiff without pay. (Doc. 14 at 16-20). The movants argue first that the amended complaint fails to allege that the plaintiff was suspended due to her race
and/or sex. (Doc. 19 at 10; Doc. 30 at 11). The Court again must disagree, as the First,
Second, and Third Claims allege that the movants discriminated against the plaintiff by
suspending her based on her race and sex. (Doc. 14 at 16-20).
Better supported is the movants’ argument that the amended complaint does not include factual allegations making a discriminatory motive for the suspension plausible.
(Doc. 19 at 10; Doc. 30 at 11-12). The amended complaint vaguely questions the
legitimacy of the suspension, and it identifies the instigator as a white female (Murphy)
and the decisionmaker as a white male (Helms), (Doc. 14, ¶¶ 22-33, 64-65), but it does
not allege that persons outside the plaintiff’s protected categories have engaged in similar conduct without consequence, nor does it present any other factual indication that race or sex motivated either Murphy or Helms. The plaintiff offers no relevant response. (Doc.
22 at 11-12).
In summary, the movants are entitled to dismissal of the discriminatory suspension claim as to them.
C. Demotion.
The heading of the Fourth Claim alleges a racially discriminatory “demotion and retraction of duties.” (Doc. 14 at 20). KC argues that the amended complaint contains no allegations regarding a demotion or retraction of duties, (Doc. 19 at 10), while Helms
argues that the amended complaint contains no factual allegations making it plausible that any demotion or retraction of duties was based on the plaintiff’s race. (Doc. 30 at 12).
Although it seems possible that it hints at a loss of pay and/or level due to some
grandfathering snafu, (Doc. 14, ¶¶ 59-62), the amended complaint plainly fails to
articulate that a demotion actually occurred, and it contains no allegations rendering
plausible the Fourth Claim’s conclusory allegation that the plaintiff was demoted based
on her race. The plaintiff offers no response.
In summary, KC and Helms are entitled to dismissal of the Section 1981 claim for discriminatory demotion and retraction of duties.
D. Hostile Work Environment.
The First, Second, Third, Fourth, and Sixth Claims all seek relief on the grounds that the plaintiff was subjected to a racially and/or sexually hostile work environment.
(Doc. 14 at 16-23). The movants argue that the amended complaint fails to allege that the hostile work environment was based on race or sex. (Doc. 19 at 10; Doc. 30 at 12). The Court again finds such an allegation within the body of the claims. (Doc. 14, ¶¶ 68, 70,
76, 78, 84, 86, 95).
The movants next argue that the amended complaint does not contain factual allegations making plausible the assertion that the hostile work environment was
motivated by race or sex discrimination. (Doc. 19 at 13-14; Doc. 30 at 8-10). The Court agrees. The amended complaint does not allege that racial or sexual language was used, does not allege that similarly situated whites or males were not subjected to a similar
work environment, and does not include any other allegations that could suggest a racial or sexual motivation. The plaintiff offers no response.
An essential element of a claim of a hostile work environment is that the harassment complained of be “sufficiently severe or pervasive to alter the conditions of
[the plaintiff’s] employment.” Copeland v. Georgia Department of Corrections , 97 F.4 766, 774 (11 Cir. 2024) (internal quotes omitted). The movants argue that the
harassment alleged in the amended complaint is insufficient as a matter of law to satisfy
this element. (Doc. 19 at 13-14; Doc. 30 at 8-10). The plaintiff offers no relevant
response. (Doc. 22 at 13-14; Doc. 33 at 10-12).
The amended complaint identifies the following as contributing to a hostile work environment: (1) in or about January 2023, Helms began creating a hostile work
environment, which continued up through the plaintiff’s filing of a charge of
discrimination in June 2023, (Doc. 14, ¶ 38); (2) in early 2023, a promotional opportunity was taken away from her, ( id ., ¶ 40); (3) in May 2023, Helms reprimanded the plaintiff
for reporting out as a ‘no call no show,’ even though the plaintiff reported out correctly,
( id ., ¶ 42); (4) on April 23, 2024, Murphy harassed the plaintiff by yelling at her in front of co-workers, having a “nasty attitude,” exhibiting a “harsh demeanor,” being “rude and demanding,” threatening to involve the plant manager, insisting that the plaintiff leave
work for the day, saying she was “tired of this mess” and of being disrespected, talking
over the plaintiff as she tried to explain the situation to others, telling the plaintiff she
could not speak with a union representative, and bringing in the senior manufacturing
lead, ( id ., ¶¶ 22-29); (5) the senior manufacturing lead (Kerstetter) told the plaintiff she
needed to go home, accused her (apparently accurately) of recording their conversation,
told her (inaccurately) that this is illegal, and threatened and harassed her, ( id ., ¶ 27); (6) two days later, Murphy requested a third party to be present at a meeting between the
plaintiff and Murphy’s supervisor (Judd) to discuss the events of April 23, ( id ., ¶ 32); (7) when the plaintiff told Judd what Murphy had done on April 23, Judd just asked the
plaintiff if she liked her job, how long she had been employed, and what department she worked in, ( id ., ¶ 31); (8) in May 2024, Helms filed a notice of reprimand and suspended the plaintiff for three days without pay as a result of the April 23 incident, ( id ., ¶ 64); and (9) on June 4, 2024, Helms came to the plaintiff’s work area and told her firmly that “you need to acknowledge me,” even though Helms no longer worked in that area. ( ., ¶ 66).
1. Discrete acts.
A hostile work environment is one “permeated with discriminatory intimidation,
ridicule, and insult.”
National Railroad Passenger Corp. v. Morgan
,
(2002) (internal quotes omitted). It is “composed of a series of separate acts that
collectively constitute one ‘unlawful employment practice’ under Title VII, id. at 117,
and by its “very nature involves repeated conduct.” Id . at 115. “Hostile environment
claims are different in kind from discrete acts,” id . at 115, because “[d]iscrete acts …
[e]ach … constitute[e] a separate actionable ‘unlawful employment practice.’” Id . at 114.
“Discrete acts” include “termination, failure to promote, denial of transfer, or refusal to
hire,” and any other “adverse employment decision,” id ., that is, what are commonly
called “adverse employment actions.” A suspension without pay is an adverse
employment action, Davis v. Legal Services Alabama, Inc ., 19 F.4 th 1261, 1266 (11 th Cir.
2021), as is a failure to promote. Bell v. Sheriff of Broward County , 6 F.4 th 1374, 1377
(11 th Cir. 2021). The Eleventh Circuit has described the relationship between discrete
acts and a hostile work environment claim in varying ways but, as discussed below, the
Court concludes that established precedent does not allow the plaintiff to base her claim, in whole or in part, on her suspension or non-promotion.
The Eleventh Circuit in
McCann v. Tillman
,
allegations “constitute discrete acts that must be challenged as separate statutory
discrimination and retaliation claims” and that “ cannot be brought under a hostile work
environment claim.” Id . at 1378 (emphasis added). The panel agreed with this Court’s
conclusion, based on Morgan , that “discrete discriminatory acts must be challenged as
separate statutory violations and not lumped together under the rubric of hostile work
environment.”
McCann v. Mobile County Personnel Board
,
(S.D. Ala. 2006). Under McCann , the plaintiff is absolutely barred from arguing that her suspension and the failure to promote her contributed to a hostile work environment.
After this Court’s ruling in
McCann
, but before the Eleventh Circuit’s affirmance,
a different panel decided
Chambless v. Louisiana-Pacific Corp
.,
2007). The plaintiff in Chambless brought claims for failure to promote, hostile work
environment, and retaliation. Id . at 1347. All the non-discrete acts contributing to a
hostile work environment – sexual touching, jokes, pranks and propositions, ridicule over the plaintiff’s pregnancy, social isolation, and enforcing different arrival and break rules – occurred outside the limitations period. . at 1347, 1349. The retaliation and failure to promote, however, which the Court recognized as “[d]iscrete acts of harassment
actionable as unlawful employment practices,” were timely. Id . Relying on Morgan ’s
discussion of how to apply limitations rules to hostile work environment claims, the
Chambless panel ruled that, “[w]here the discrete act is sufficiently related to a hostile
work environment claim so that it may be fairly considered part of the same claim,” the
timeliness of the discrete act could render timely the otherwise untimely non-discrete
acts. Id . at 1350. “The pivotal question is whether the timely discrete acts are
sufficiently related to the hostile work environment claim.” Id . The Court concluded
they were not, because the “circumstances” did not “suggest” that the discrete acts of
retaliation and failure to promote “were the same type of discriminatory intimidation,
ridicule, and insult that characterized the untimely allegations.” . (internal quotes
omitted).
If Chambless and McCann both represent holdings on the same issue, Chambless presumably would prevail under the prior-panel-precedent rule. [11] A sister court has
reconciled McCann and Chambless by limiting Chambless to the question of the
timeliness of a hostile work environment claim.
Dawkins v. Fulton County Government
,
is that a discrete act may be considered “part of the same” hostile work environment
claim when sufficiently related, and it is unclear how it could be part of such a claim for the purpose of measuring timeliness but not part of the claim for the purpose of
measuring the existence of a hostile work environment.
Ultimately, the Court need not decide whether McCann or Chambless controls, because the plaintiff cannot satisfy either. Chambless requires that the discrete acts be
“sufficiently related” to the plaintiff’s hostile work environment claim, which requires
“circumstances” suggesting that the discrete acts reflected discriminatory “intimidation,
ridicule and insult.”
the suspension of the plaintiff was so infused; it states only that Helms suspended her
based on the April 23 incident. (Doc. 14, ¶ 64). The failure to promote is alleged in
similarly neutral language. ( Id ., ¶¶ 40, 53-56, 59). These discrete acts, as alleged, thus
are not sufficiently related to the hostile work environment claim to be considered part of that claim under Chambless .
The Eleventh Circuit again addressed the interplay between a hostile work
environment claim and discrete acts in
Gowski v. Peake
,
Citing McCann , the Gowski panel stated that “[d]iscrete acts cannot alone form the basis of a hostile work environment claim.” Id . at 1312 (emphasis in original). Citing
Chambless , the panel then stated, “[b]ut the jury could consider discrete acts as part of a hostile work environment claim.” Id . at 1313 (emphasis in original). The panel
“concluded that the jury could consider discrete acts as part of the hostile work
environment,” ( id . at 1314), and it ruled that both non-discrete acts and discrete acts
“played a role in the intimidation and ridicule” that created the hostile work environment. . at 1313.
The Court respectfully suggests that Gowski misread McCann , which established a prophylactic rule that is not amenable to an “alone” exception. The single additional
authority cited by Gowski for its “alone” qualifier said only that the defendant’s “hiring
decisions, light work assignments, and alleged retaliation constituted discrete acts, not
acts that were part of a hostile work environment” (a claim that had been asserted but
dismissed without appeal).
Davis v. Coca-Cola Bottling Co
.,
comprise part of a hostile work environment claim; it comes much closer to saying the
opposite.
Unlike Chambless , Gowski treated discrete acts as part of the hostile work environment for purposes of measuring its severity and pervasiveness. But like
Chambless , it did so only after confirming that the discrete acts “played a role in the
intimidation and ridicule,” echoing Chambless ’s “sufficiently related” standard. Gowski thus did not introduce a third, lax standard for considering discrete acts under a hostile
work environment claim. Even had it done so, and even if the prior-panel-precedent rule would not preclude its effectiveness, Gowski involved a claim of retaliatory hostile work environment, where the severe-or-pervasive test does not apply to begin with.
Monaghan v. Worldpay US, Inc
.,
with
Burlington Northern & Santa Fe Railway Co. v. White
,
In summary, the plaintiff cannot rely on either her unpaid suspension or the denial of promotion as part of the hostile work environment.
2. Non-discrete acts.
The non-discrete acts on which the plaintiff relies consist of: an unearned reprimand from Helms in May 2023; an unpleasant encounter with Murphy and
Kerstetter in April 2024; Murphy being a busybody and Judd being disinterested in the
plaintiff’s situation, also in April 2024; and Helms insisting that the plaintiff
acknowledge him in June 2024.
“Determining whether the harassment was sufficiently severe or pervasive involves both an objective and a subjective component. [citation omitted] In
determining the objective element, a court looks to all the circumstances, including the
frequency of the discriminatory conduct; its severity; whether it is physically threatening
or humiliating, or a mere offensive utterance; and whether it unreasonably interferes with
an employee’s work performance.”
McCann v. Tillman
,
2008) (internal quotes omitted). “[I]solated incidents (unless extremely serious) will not amount to discriminatory changes in the terms and conditions of employment.”
Faragher v. City of Boca Raton
,
The plaintiff alleges no incident so serious as to singlehandedly alter the terms and conditions of her employment. The individual incidents, far from being severe, are
remarkably mild: being given a reprimand; being told to acknowledge a person; being
told to go home; being paid attention to; being ignored. The most serious allegation is a
single instance of Murphy yelling at the plaintiff in front of other employees, conduct the
Eleventh Circuit has ruled does not support an objectively severe work environment even
when (unlike here) it is accompanied by mocking and is repeated at least four times in as
many months.
Peters v. HealthSouth, Inc
.,
2013).
The amended complaint does not allege that any of the incidents were physically threatening or humiliating, and the plaintiff offers no explanation how they reasonably
could be so construed. Nor does the amended complaint allege any actual interference with the plaintiff’s work performance, and no reasonable employee would experience
such an interference on such minimal provocation. [15] As for frequency, four incidents in thirteen months (or, more generously, three in two months) ranks low on the frequency
scale. [16]
“[W]e recognize that Title VII is neither a general civility code nor a statute
making actionable the ordinary tribulations of the workplace.”
Gupta v. Florida Board of
Regents
,
complaint alleges only such ordinary tribulations. The plaintiff herself recognizes that
she “must plead more than isolated incidents of rude or disrespectful behavior,” (Doc. 22 at 13), but that is indeed all she has pleaded. Because all of the relevant factors point in
the same direction, the conclusion is clear: the amended complaint does not state a claim for a racially or sexually hostile work environment.
In summary, the movants are entitled to dismissal of the discriminatory hostile work environment claim as to them.
E. Retaliation.
The First, Second, Third and Fifth Claims assert claims for retaliation in violation of Title VII and/or Section 1981. (Doc. 14 at 16-22). KC asserts no argument addressing the retaliation claims, and Murphy and Helms assert only one: that the amended
complaint fails to allege that the plaintiff’s protected activity was a complaint based
“specifically upon race,” as required by Section 1981. [17] (Doc. 30 at 12). [18] The amended complaint, however, expressly alleges that the defendants retaliated against the plaintiff
“for complaining of race and gender discrimination.” (Doc. 14, ¶ 58). Murphy and
Helms do not acknowledge this allegation or explain how it is inadequate, leaving the
Court nothing to consider.
In summary, the movants are not entitled to dismissal of any part of the retaliation claims.
F. Constitutional Claims.
The Seventh and Eighth Claims allege violations of the First and Fourteenth Amendments and are brought pursuant to Section 1983. (Doc. 14 at 23-25). The
movants argue that these claims must be dismissed because the amended complaint does not allege the necessary governmental nexus – “state action” for the substantive claims
and “color of state law” for the Section 1983 gateway. [19] (Doc. 19 at 15-16; Doc. 30 at
10-11).
The plaintiff’s constitutional claims require the plaintiff to allege state action.
Farese v. Scherer
,
Fourteenth Amendments do not apply to private parties unless those parties are engaged in an activity deemed to be ‘state action.’”) (internal quotes omitted). “To state a claim
under section 1983, [a plaintiff] must allege that an act or omission, committed by a
person acting under color of state law, deprived them of a right, privilege, or immunity
secured by the Constitution or a federal statute.” A.W. , 110 F.4 at 1315. The amended complaint alleges neither that the movants were engaged in state action nor that they
acted under color of state law. Therefore, the Seventh and Eighth Claims fail to state a
claim on which relief can be granted. The plaintiff offers no relevant response. (Doc. 22 at 17-18; Doc. 33 at 15-16).
In summary, the movants are entitled to dismissal of the Seventh and Eighth Claims as to them.
G. Breach of Contract.
The Ninth Claim alleges that the plaintiff entered a contract for employment with KC, which KC breached. (Doc. 14 at 25-26). KC argues that, to satisfy Rule 8, the
amended complaint must identify the contract and the provision(s) allegedly breached
and that the amended complaint does neither. (Doc. 19 at 7). The plaintiff offers no
response.
Rule 8 requires the pleader to identify the contract and the provisions of which
have been breached.
Estate of Bass v. Regions Bank, Inc
.,
contract that [the defendant] might have breached” failed to satisfy Twombly ). The
amended complaint quotes liberally from what appears to be KC’s EEO policy, (Doc. 14, ¶¶ 45-52), but without alleging that the policy constitutes a contract with the plaintiff.
(
Id
. at 2).
See generally Abney v. Baptist Medical Centers
,
1992) (discussing how provisions in an employee handbook may become binding
promises). Similarly, the amended complaint mentions, seemingly in passing, a
mysterious “contract book” that apparently had some relevance to her January pay
grievance, (Doc. 14, ¶ 39), but without alleging that it constitutes an employment contract with the plaintiff.
In summary, KC is entitled to dismissal of the Ninth Claim.
H. Intentional Infliction of Emotional Distress.
The Tenth Claim alleges that the individual defendants engaged in extreme and outrageous conduct that intentionally inflicted emotional distress upon the plaintiff.
(Doc. 14 at 26-27). “The four elements of the tort of intentional infliction of emotional
distress, which is also known as the tort of outrage, are: (1) the actor intended to inflict
emotional distress, or knew or should have known that emotional distress was likely to
result from his conduct; (2) the conduct was extreme and outrageous; (3) the defendant’s actions caused the plaintiff distress; and (4) the distress was severe.” Martin v. Hodges
Chapel, LLC
,
Murphy and Helms first argue that their alleged conduct, as a matter of law, does not invoke a fact pattern that can state such a claim. (Doc. 30 at 13-14). “By extreme we refer 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.”
Horne v. TGM Associates, L.P.
,
(internal quotes omitted). “This Court has consistently held that the tort of outrage is a
very limited cause of action that is available only in the most egregious circumstances.”
Thomas v. BSE Industrial Contractors, Inc
.,
According to Murphy and Helms, (Doc. 30 at 13), “[t]he tort of outrage … is so limited
that this Court has recognized it in regard to only three kinds of conduct: (1) wrongful
conduct in the family-burial context [citation omitted]; (2) barbaric methods employed to coerce an insurance settlement [citation omitted]; and (3) egregious sexual harassment
[citation omitted].”
O’Rear v. B.H
.,
omitted). This listing, however, “is not to say ... that the tort of outrage is viable in only
the three circumstances noted” above.
Little v. Robinson
,
2011) (noting that liability was upheld in O’Rear even though the facts fell within none
of the three categories). Therefore, to say “that the tort of outrage is limited to three
situations is an incorrect statement of the law.” Wilson v. University of Alabama Health
Services Foundation, P.C.
,
Wilson , for example, was based on comments made by the medical defendants to the
plaintiff regarding her mother’s “condition and her impending death, and to the effect that she was wasting resources by being in the hospital instead of dying at home.” . at 675.
Germane to this case, the Alabama Supreme Court has allowed an outrage claim to proceed when, “among other things, the employee alleged a pattern of harassment that
lasted for several months and that the conduct was directed toward the illegal purpose of
violating the employee’s federally protected right to be free from discrimination based on
sex.”
Cunningham v. Dabbs
,
Sea Breeze Health Care Center, Inc
.,
(considering how violation of public policy affects the assessment of conduct as extreme and outrageous). Murphy and Helms, who have offered only glittering generalities, have not addressed such cases or the fact that “no precise formula can establish what conduct
will be deemed beyond all possible bounds of decency, atrocious, and utterly intolerable
in a civilized society” under Alabama law.
Cunningham
,
quotes omitted).
Murphy and Helms also argue that the severe emotional distress the tort redresses “could never have been caused by” the conduct of which the plaintiff complains. (Doc.
30 at 14). No authority, legal principle, or line of reasoning is offered in support of this
ipse dixit , leaving nothing for judicial consideration.
In summary, Murphy and Helms are not entitled to dismissal of the Tenth Claim. I. Equal Pay Act.
The Eleventh Claim alleges that KC violated the Equal Pay Act. (Doc. 14 at 27- 29). In a single line of argument, KC asserts that this claim is conclusory and inadequate under Rule 8. (Doc. 19 at 14-15). As noted, such bland assertions – themselves
conclusory – “plac[e] no burden on the Court to supply the deficiency or on the plaintiff
to respond.”
FNB Bank
,
argument is based on the false premise that the body of the Eleventh Claim contains all of the amended complaint’s allegations regarding that claim, even though the Eleventh
Claim incorporates by reference the factual allegations of the pleading, a number of
which explicitly address pay issues.
KC’s only other argument is that the Eleventh Claim alleges that KC has paid the plaintiff less than it pays “to its female employees.” (Doc. 14, ¶ 124; Doc. 19 at 15). It is true, as KC says, that the Equal Pay Act addresses only wage discrimination on the basis of sex, and it is true that the plaintiff is female. But KC offers no authority for the
proposition that a claim should be dismissed based on such an obvious typographical
error, [21] and sister courts have rejected similar efforts, frowning on the “sharp,” even
“frivolous,” nature of such tactics. [22] Absent contrary authority, which KC does not
provide, the Court will follow their lead.
In summary, KC is not entitled to dismissal of the Eleventh Claim. J. Shotgun Pleading.
Shotgun pleadings come in four recognized flavors. “The most common type – by a long shot – is a complaint containing multiple counts where each count adopts the
allegations of all preceding counts, causing each successive count to carry all that came
before and the last count to be a combination of the entire complaint.” Weiland v. Palm
Beach County Sheriff’s Office
,
connected to any particular cause of action.” Id . at 1322. Third is a complaint “not
separating into a different count each cause of action or claim for relief.” Id . at 1323.
Finally, there is the complaint that “assert[s] multiple claims against multiple defendants without specifying which of the defendants are responsible for which acts or omissions,
or which of the defendants the claim is brought against.” Id . “The unifying characteristic of all types of shotgun pleadings is that they fail to one degree or another, and in one way or another, to give the defendants adequate notice of the claims against them and the
grounds on which each claim rests.” . The movants argue that the amended complaint is a shotgun pleading under each of these tests and ask that the Court either dismiss the
amended complaint on this ground under Rule 12(b)(6) or strike it and require
interpleader under Rule 12(e). (Doc. 19 at 7-9; Doc. 30 at 6-8).
The amended complaint is indeed poorly designed, but it is not so bad as the movants make out, especially after the rulings the Court has made above. Regarding the third form of shotgun pleading, the movants complain that the First through Fifth Claims “cit[e] multiple statutes in the heading,” but this cannot possibly lead to confusion. For
the first three claims, the two statutes are Title VII and Section 1981, which address the
same wrongs and are subject to essentially the same standards. For the Fourth and Fifth Claims, the two statutes are Sections 1981 and 1983 and, as discussed in Part VI, the
Section 1983 language is surplusage.
The movants also complain that most of the amended complaint’s claims are “direct[ed] … toward multiple defendants.” There is nothing improper or confusing
about such a common if not universal practice. The fourth form of shotgun pleading is
implicated only when the pleading fails to specify “which of the defendants the claim is
brought against,”
Weiland
,
that as to each of its claims.
The movants’ main objection is that each claim incorporates by reference all 52 paragraphs of the “statement of facts,” which contain irrelevancies and conclusory
assertions, without identifying which allegations are relevant to which count and which
defendant. Once again, the movants offer no explanation or even example but instead
ask the Court to do the heavy lifting. The Court grudgingly does so, but only because the Eleventh Circuit has advised that, “[w]hen faced with a shotgun pleading, the trial court, whether or not requested to do so by the party’s adversary, ought to require the party to
file a repleader.”
United States ex rel. Atkins v. McInteer
,
For starters, the amended complaint does not implicate the first form of shotgun pleading. Each of the plaintiff’s claims incorporate the 66 paragraphs preceding the First Claim, but none of them incorporate by reference the allegations of the preceding claims.
As the
Weiland
Court specifically ruled, the first form of shotgun pleading is not in issue
when “[t]he allegations of each count are not rolled into every successive count on down
the line.”
Before considering the remainder of the movants’ argument, the Court takes inventory of the dismissed and remaining claims. The Court’s rulings in this opinion
result in the complete dismissal of the Fourth, Sixth, Seventh, Eighth, and Ninth Claims
as to the movants. These rulings obviate consideration of the movants’ general challenge as applicable to those claims.
The Eleventh Claim is a discrete claim against KC for violation of the Equal Pay Act and, as noted in Part VII.I, the factual allegations regarding the compensation and
work of the plaintiff and other employees are plainly set forth and easily identifiable.
The Tenth Claim is a claim for the tort of outrage asserted against the individual defendants. As it says, it is based on “[t]he conduct set out in this Complaint committed by the Defendant.” (Doc. 14, ¶ 119). Murphy and Helms are aware of what conduct by
them is alleged in the amended complaint (and thus made the subject of the Tenth Claim), since they themselves identify it. (Doc. 30 at 2, 9). By way of recap, the amended
complaint alleges that Murphy harassed the plaintiff on April 23 and 25, 2024, by means described in detail. (Doc. 14 at 1-2 & ¶¶ 22-29, 32). The amended complaint alleges that Helms: promised the plaintiff a promotion to Storekeeper and had her trained for the
position in 2022 but gave the job to a less qualified white male in March 2023; [26]
reprimanded the plaintiff in May 2023 for a non-existent ‘no call no show’; reprimanded and suspended the plaintiff in May 2024 in connection with the April 2024 incident; and approached the plaintiff in June 2024 with an odd comment about her needing to
acknowledge him. ( ., ¶¶ 38-39, 42, 54-56, 64, 661).
The Fifth Claim is for retaliation in violation of Section 1981. As discussed in Part VII.E, the protected activity to support such a claim must be opposition to race
discrimination, and the amended complaint alleges such opposition. (Doc. 14, ¶ 58). The retaliatory conduct is of course the conduct described in the preceding paragraph (as well as the conduct of Kerstetter and Judd), and the claim as against KC of course
encompasses all the conduct of the individual defendants.
KC suggests the amended complaint does not characterize all these actions as retaliatory, (Doc. 25 at 4), but plainly it does:
• Failure to promote Helms’ harassment began shortly after the plaintiff complained about Helms and pay disparities, (Doc. 14, ¶¶ 38-41, 44), an allegation repeated in the Fifth Claim, ( id ., ¶ 98);
• Reprimand the May 2023 reprimand was part of the same pattern, ( id ., ¶¶ 42-44), and the plaintiff’s write-ups were retaliatory, ( id ., ¶ 99);
• April 2024 incident Murphy subjected the plaintiff to reprisal during this incident due to her EEOC charge, ( id . at 1-2); Murphy and Kerstetter retaliated against the plaintiff by their April 2024 conduct, ( id ., ¶¶ 100-01); Judd knew of the plaintiff’s pending EEOC charge when he met with the plaintiff, ( id ., ¶¶ 31-32); • Suspension the plaintiff’s write-ups were retaliatory, ( id ., ¶ 99); • June 2024 incident the defendants retaliated after the plaintiff’s 2024 judicial complaint, ( id ., ¶ 58), and this incident occurred two weeks after it was filed; the Fifth Claim lists this incident as a basis of the retaliation claim, ( id ., ¶ 98).
The remaining portions of the First, Second, and Third Claims are for retaliation and for race and/or sex discrimination in promotion. As discussed in Part VII.A, the
allegations regarding failure to promote are all in place, and the movants cannot be
confused about them. The retaliation claim echoes that raised in the Fifth Claim and is
adequately addressed above.
Some of the amended complaint’s allegations are perhaps of obscure import, some are perhaps expressed as legal conclusions, and the document as a whole falls far short of the ideal. A shotgun pleading, however, is objectionable only insofar as it “fail[s] … to
give the defendants adequate notice of the claims against them and the grounds upon
which each claim rests.”
Weiland
,
where it is virtually impossible to know which allegations of fact are intended to support which claim(s) for relief.” . at 1325 (internal quotes omitted, emphasis in original)
(finding that standard unsatisfied). The movants insist the amended complaint is so
“confusing” that it is “virtually impossible” for them to respond to each claim, (Doc. 19
at 9; Doc. 30 at 8), but the discussion above refute s their contention. The movants
invoke Rule 12(e), but that provision similarly requires a pleading “so vague or
ambiguous that the party cannot reasonably prepare a response,” which is patently non-
descriptive of the amended complaint.
In summary, the movants are not entitled to dismissal of the amended complaint as a shotgun pleading.
VIII. Leave to Amend.
The plaintiff requests leave to amend to correct any pleading deficiencies. (Doc.
22 at 18; Doc. 33 at 16). The movants request that dismissal be with prejudice because
the plaintiff “cannot rectify the deficiencies that plague her Amended Complaint.” (Doc.
25 at 1; Doc. 34 at 1).
The movants’ argument conflates two related but separate concepts: dismissal with prejudice and dismissal without leave to amend. The former does not depend on the latter but on the grounds of the dismissal. A dismissal on the merits is a dismissal with
prejudice, and a dismissal under Rule 12(b)(6) for failure to state a claim is a dismissal on the merits. Beach Blitz Co. v. City of Miami Beach , 13 F.4 1289, 1299 (11 Cir. 2021) (internal quotes omitted). Every dismissal accomplished by this order is under Rule
12(b)(6) and so is both on the merits and with prejudice.
Just as whether a dismissal is with prejudice does not depend on whether the dismissal is with leave to amend, whether a dismissal is with leave to amend does not
depend on whether the dismissal is with prejudice. The Court recently addressed this in
Carla G. Mattson and James E. Mattson Trust v. Farudi
,
2024). Claims dismissed with prejudice for incurable reasons (such as the non-existence of the pleaded cause of action) need not be with leave to amend. Id . at *7. Claims
dismissed with prejudice for potentially curable reasons (such as pleading deficiencies
under Rules 8(a) and 9(b)) are generally susceptible to amendment. . at *8. This
“presumptive opportunity to amend” may be cut off, for example, when a represented
plaintiff suffers a final judgment without having properly sought leave to amend, id ., but the Court is not entering final judgment, since claims remain against each of the movants, as well as against the other defendants.
Of the claims and portions of claims dismissed by this order, the following are for incurable reasons and therefore may not be the subject of a second amended complaint:
(1) the Title VII claims against Murphy and Helms in their individual capacity; and (2)
the Section 1981 claims to the extent based on sex discrimination. The following claims and portions of claims dismissed by this order are for potentially curable reasons [27] and
therefore may be the subject of a second amended complaint: (1) discriminatory
suspension; (2) discriminatory demotion; (3) discriminatory hostile work environment;
(4) free speech; (5) due process; and (6) breach of contract.
The plaintiff is granted leave to file, on or before October 10, 2024 , a second amended complaint responsive to this order, [28] after which such leave must be sought by
motion or mutual consent under Rule 15(a)(2). The plaintiff shall endeavor by any such pleading to streamline, organize, and clarify her factual allegations and her statement of
her claims. Leave is granted only for the purposes set forth in the preceding paragraphs;
no new claims or parties may be added except on motion.
Farudi
,
guaranteed another.
CONCLUSION This case does not appear to be as complex as the parties have made it. The plaintiff has filed an unnecessarily cumbersome pleading, and the movants have gotten
lost in the weeds. Neither side seems fully conversant with the governing law, and both
sides seem content to offer broad generalities and let the Court supply and apply the
details. The Court recognizes that counsel on both sides are new to this District, but they will be held to its standards nonetheless.
For the reasons set forth above, the movants’ motions to dismiss are granted with respect to: (1) the Title VII claims against Murphy and Helms asserted in the First,
Second, and Third Claims; (2) the Section 1981 claims asserted against the movants in
the First, Second, and Third Claims, to the extent based on anything other than race
discrimination or retaliation for complaining of race discrimination; (3) the claims
asserted against the movants in the First, Second, and Third Claims for discriminatory
suspension; (4) the claims asserted against the movants in the First through Fourth and
Sixth Claims for discriminatory hostile work environment; (5) the claim asserted in the
Fourth Claim for discriminatory demotion; (6) the claim asserted against the movants in
the Seventh Claim; (7) the claim asserted against the movants in the Eighth Claim; and
(8) the entirety of the Ninth Claim. These claims, to the extent asserted against the
to” the complaint but only an entire “amended complaint.” Civil Local Rule 15(a) (“Any
amendment to a pleading … must reproduce the entire pleading as amended and may not
incorporate any prior pleading by reference.”).
movants, are dismissed with prejudice , subject to the right of the plaintiff to amend as
set forth in this order. In all other respects, the movants’ motions to dismiss are denied .
DONE and ORDERED this 19 day of September, 2024.
s/ WILLIAM H. STEELE UNITED STATES DISTRICT JUDGE
[1] The plaintiff’s motions to strike the movants’ filings for violating the font requirements of General Local Rule 5(a)(2), (Doc. 22 at 18; Doc. 33 at 16), are denied . The movants’ filings do not violate the rule.
Notes
[2] For specific arguments, the movants also invoke Rules 12(b)(5) and 12(e).
[3] “[W]hen an amended complaint names a new defendant, a plaintiff has 120 days [now
90 days] from the date on which the amended complaint is filed to serve that defendant with
process.”
Lindley v. City of Birmingham
,
[4] The plaintiff does not defend the validity of service. Instead, she assures the Court that
she has been “diligently researching” Murphy’s address and intends to seek an alias summons.
(Doc. 33 at 7-8). Murphy for her part expresses a willingness to waive service if properly
requested. (Doc. 34 at 2). The plaintiff seeks an extension of time pursuant to Rule 4(m) but, as
noted in text, she is still operating within the 90-day service period that rule provides. Like
Murphy’s motion to dismiss, the plaintiff’s request for additional time is premature.
Nevertheless, it would be imprudent of the plaintiff not to pursue service or waiver before
October 7, 2024: Rule 4(m) requires an extension of time only “if the plaintiff shows good
cause,” which exists “only when some outside factor such as reliance on faulty advice, rather
than inadvertence or negligence, prevented service.”
Prisco v. Frank
,
[5] “[T]he court may consider a document attached to a motion to dismiss without converting the motion into one for summary judgment if the attached document is (1) central to the plaintiff’s claim and (2) undisputed,” that is, if “the authenticity of the document is not challenged.” Day v. Taylor ,400 F.3d 1271 , 1276 (11 Cir. 2005). KC invites the Court to consider the charge under this principle, (Doc. 19 at 2 n.2), and the plaintiff offers no objection.
[6] Only when the defendant is a state actor must a plaintiff invoke Section 1983 in order to
pursue a claim under Section 1981.
Butts v. County of Volusia
,
[7] The only exception is the Tenth Claim, which is addressed in Part VII.H for ease of flow.
[8]
Compare McCarthy v. City of Cordele
, 111 F.4 th 1141, 1143, 1146-47 (11 th Cir. 2024)
(discriminatory motive by a majority of commissioners was plausible where the complaint
alleged,
inter alia
, that one commissioner campaigned for election on the platform of replacing
white employees with blacks, that he told the plaintiff he would be replaced by a black woman,
that all the commissioners who voted to terminate the plaintiff were black, that the vote occurred
on the new commissioners’ first day in office, that the outgoing commissioners had just renewed
the plaintiff’s contract a month earlier, and that the plaintiff was replaced with a black woman);
Ziyadat v. Diamondrock Hospitality Co
., 3 F.4 th 1291, 1296 (11 th Cir. 2021) (discriminatory
motive was plausible where the complaint alleged that other guests of different ethnicity behaved
similarly to the plaintiff but were not required to leave);
Smith v. CH2M Hill, Inc
., 521 Fed.
Appx. 773, 775 (11 th Cir. 2013) (discriminatory motive was plausible where the complaint
alleged,
inter alia
, that the plaintiff was replaced by a person of a different race and that persons
not of his race were retained when he was discharged);
and McManus v. Amerijet International,
Inc.
,
[9] “By its very nature, … discrimination is a comparative concept – it requires an
assessment of whether ‘like’ (or instead different) people or things are being treated
‘differently.’”
Lewis v. City of Union City
,
[10] The amended complaint identifies two white male comparators but does not address their work environment. (Doc. 14, ¶¶ 20, 21).
[11] “Under our prior panel precedent rule, we are bound to follow a prior panel’s holding unless and until it is overruled or undermined to the point of abrogation by an opinion of the Supreme Court or of this Court sitting en banc.” League of Women Voters Inc. v. Florida Secretary of State , 66 F.4 905, 943 (11 Cir. 2023) (internal quotes omitted).
[12]
Accord Good v. Omni Hotels Management Corp
.,
[13] The Court assumes for discussion that the reprimand is not a discrete act.
See
Barneman v. International Longshoreman Association Local 1423
,
[14] In
Gupta v. Florida Board of Regents
,
[15] Interference with job performance “involves both a subjective and objective inquiry.”
Gupta
,
[16]
See Gupta
,
[17] A Section 1981 plaintiff must show that “the unlawful employment practice complained
of was racial discrimination.”
Bell v. City of Auburn
,
[18] The movants’ briefs addressing Rule 8 deficiencies do not mention retaliation or point out any particular deficiency in the pleading of such a claim. (Doc. 19 at 5-7; Doc. 30 at 4-6). As noted, the Court does not identify pleading deficiencies on behalf of defendants that, like the movants, make only a generalized Rule 8 objection. The movants’ briefs addressing “causation” ( i.,e ., unlawful motivation) expressly and repeatedly limit the argument to claims of “discriminat[ion]” based on “race or gender,” (Doc. 19 at 9-10; Doc. 30 at 11-12), language that excludes any challenge to the retaliation claims.
[19] “While it is not a source of substantive rights, section 1983 provides a method for
vindicating federal rights conferred by the Constitution ….”
Bannum
,
[20] The Fourth Claim references an “employment contract with” KC bestowing an “interfer[ed] with … right to a work environment free from racial discrimination,” (Doc. 14, ¶ 93), but this allegation is not incorporated into the Ninth Claim. ( ., ¶ 112).
[21] The EEOC charge, which KC insists the Court consider, states that the plaintiff was underpaid “compared to my white male coworkers.” (Doc. 19-1).
[22]
Vargas v. Snowflake Unified School District No. 5
,
[23]
Standard v. A.B.E.L. Services, Inc
.,
[24] KC says the number is 66, but that figure includes jurisdictional allegations, venue allegations, exhaustion allegations, and identification of the parties, (Doc. 14 at 2-4), none of which are challenged as confusing or otherwise objectionable. Most of the remaining allegations preceding the First Claim, though challenged as being otherwise, are of similarly pellucid significance, including without limitation: paragraphs 15-18, 35, 53 (the plaintiff’s protected characteristics and employment history); paragraphs 19, 22, 34 (the individual defendants’ place in KC’s hierarchy); paragraphs 20-21 (plaintiff’s comparators); paragraphs 22-33, 64 (describing the April 2024 incident and subsequent suspension); paragraphs 40, 54-57 (describing the failure to promote); paragraphs 42-44 (the May 2023 reprimand and the internal complaint it prompted); and paragraphs 45-52 (excerpts from a KC policy).
[25] For their contrary proposition, the movants ignore
Weiland
and rely instead on
Magluta
v. Samples
,
[26] According to the plaintiff’s EEOC charge, which KC insists the Court consider, Helms interviewed the plaintiff for the position in March 2023. (Doc. 19-1).
[27] While successful cure seems unlikely – even remote – for some of these claims, the Court rejects the movants’ unexplained ipse dixit that cure is impossible.
[28] “The Court does not recognize partial pleadings.”
Walker v. Love’s Travel Center
,