MEMORANDUM AND ORDER ON PLAINTIFFS’ MOTION FOR IUDGMENT ON THE PLEADINGS OR MOTION FOR PRELIMINARY INJUNCTION AND DEFENDANTS’ CROSS-MOTIONS TO DISMISS
This is аn action to enjoin an investigation of discrimination by a state agency on the grounds of ERISA preemption. Plaintiff Colonial Life & Accident Insurance Company issued a short-term disability plan for employees of plaintiff UMass Memorial Health Care, Inc., as part of the latter’s employee benefit package. Defendant Carolyn Calderon is a UMass Memorial employee who purchased a Colonial short-term disability plan. Defendants Malcolm S. Medley, Martin S. Ebel, and Sunila Thomas-George are Commissioners of the Massachusetts Commission Against Discrimination (“MCAD”).
In 2007, Calderon submittеd a claim for benefits based on short-term mental disability and was denied on the ground that the policy did not cover disability due to psychological or psychiatric conditions. She filed a discrimination claim with the MCAD in November 2006, contending that the denial of short-term disability benefits to individuals with mental disabilities is unlawful under state and federal law. The MCAD has begun an investigation of that discrimination charge.
Plaintiffs seek to enjoin the MCAD investigation on the grounds that it is preempted by the Employee Retirement Income Security Act of 1974, 29 U.S.C. § 1001
et seq.
(“ERISA”). Defendants contend that the Court should abstain from exercising jurisdiction over plaintiffs’ claim pursuant to
Younger v. Harris,
I. Background
Defendant UMass Memorial has established and maintains an employee benefit plan for the purpose of providing certain employees with various benefits, including short-term disability coverage. UMass Memorial employees may apply for аnd receive short-term disability insurance issued by Colonial as part of the employee benefit package. The policy issued by Colonial specifically excludes coverage for disability caused by psychiatric and psychological conditions.
Carolyn Calderon is a UMass Memorial employee who purchased short-term disability coverage from Colonial on January 1, 2007. On May 15, 2007, Calderon submitted a claim for benefits under the policy *373 for the period from May 8, 2007 through August 1, 2007, during which she was unable to work due to disability. The cause of Calderon’s disability was major depression, grief reaction, and panic disorder. By letter dated May 20, 2007, Colonial informed Calderon that it had denied her claim for benefits pursuant to the policy exclusion for psychiatric or psychological conditions.
On November 26, 2007, Calderon filed a charge of discrimination with the MCAD against both UMass Memorial and Colonial. In her complaint, Calderon claimed that, by refusing to provide short-term disability coverage for psychiatric or psychological disabilities, plaintiffs had violated Massachusetts’ anti-discrimination laws, Mass. Gen. Laws ch. 151B, § 4 and ch. 272, §§ 92A, 98, and 98A, as well as the federal Americans with Disаbilities Act of 1990 (“ADA”), 42 U.S.C. § 12101 et seq. and 42 U.S.C. § 12182(b)(l)(A)(iii). On November 30, 2007, the MCAD began an investigation of Calderon’s charge. That investigation remains pending.
On January 23, 2008, plaintiffs filed a complaint in this Court seeking declaratory judgment and injunctive relief. They simultaneously moved for judgment on the pleadings and for a preliminary injunction, contending that the MCAD’s investigation into state law violations is preempted by ERISA. On April 1, 2008, the MCAD defendants opposed plaintiffs’ motions and cross-moved to dismiss the complaint based on the Younger doctrine. Likewise, on April 2, defendant Calderon cross-moved to dismiss plaintiffs’ complaint, arguing that ERISA preemption is inapplicable in this matter and urging the Court to abstain from assuming jurisdiction over the case pursuant to Younger.
II. Analysis
Plaintiffs request that the Court (1) enjoin the MCAD from continuing its investigation of Calderon’s discrimination claims and (2) declare that the applicable Massachusetts anti-discrimination laws are preempted by ERISA and, accordingly, that the MCAD does not have jurisdiction to address those claims. It is well-settled that state agencies lack jurisdiction to enforce state laws against benefit plans if the law they seek to enforce is preempted by ERISA.
Shaw v. Delta Air Lines, Inc.,
Defendants counter that under the
Younger
doctrine, the Court should abstain from adjudicating this action and should instead permit the MCAD to address plaintiffs’ preemption arguments.
See Younger v. Harris,
Because the
Younger
abstention issue is dispositive here, the Court will address that issue first.
See Local Union No. 12004-, United Steelworkers of Am. v. Massachusetts,
*374 A. The Younger Doctrine
Under the principles established in
Younger v. Harris,
federal courts should not generally enjoin or otherwise interfere with certain ongoing state proceedings.
Pursuant to the
Younger
doctrine, a federal court should abstain from exercising jurisdiction over ongoing state proceedings where three conditions are satisfied: “(1) the proceedings are judicial (as opposed to legislative) in nature; (2) they implicate important state interests; and (3) they provide an adequate opportunity to raise federal constitutional challenges.”
Bettencourt v. Board of Registration in Med.,
When considering the magnitude of a state’s interest in its administrative proceedings, a court does “not look narrowly to [the State’s] interest in the
outcome
of the particular case,” but looks to “the importance of the generic proceedings to the State.”
New Orleans Pub. Serv., Inc., v. Council of New Orleans,
B. The “Facially Conclusive” Exception to the Younger Doctrine
Although the Supreme Court has found
Younger
abstеntion appropriate even where a federal plaintiff brings a
substantial
claim of federal preemption, it has left open the possibility that abstention may be inappropriate where the plaintiff brings a
facially conclusive
claim.
NOPSI,
In
Chaulk Services,
the First Circuit held that abstention was inappropriate where a federal plaintiff sought to enjoin the MCAD’s investigation of a gender discrimination claim that arose from conduct during a union-organizing campaign.
In contrast, in
Local Union No. 1200k,
the First Circuit noted that
Younger
abstention might be appropriate in an action brought under facts very similar to
Chaulk Services:
a supervisor filed charges of discrimination on the basis of sexual orientation with the MCAD premised on conduct that occurred during a labor dispute.
The difficulty, then, is determining when it is “facially conclusive” from the claims in the complaint that the state’s action is preempted by federal law. In addition, there is some question as to how extensively the Court may inquire into the issues before it moves out of the parameters of “facially conclusive.” The Supreme Court has stated that “what requires further factual inquiry can hardly be deemed ‘flagrantly’ unlawful for the purposes of a threshold abstention determination.”
NOPSI,
However, the issue of ERISA preemption of state laws is hardly a novel one.
See Egelhoff v. Egelhoff,
Pursuant to
Shaw,
a court must determine whether alleged employment practices are prohibited by federal law: “[i]f they are not, the state law will be supersеded and the agency will lack authority to act.”
Id.
at 105-06,
C. ERISA and the ADA
“Congress enacted ERISA in 1974 in order ‘to promote the interests of employees and their beneficiaries in employee benefit plans,’ ” as well as to “safeguard employers’ interests by ‘eliminating the threat of conflicting or inconsistent State and local regulation of employee benefit plans.’ ”
McMahon,
162
F.3d
at 35-36 (quoting
Shaw,
Applying these principles to this matter, exemption from ERISA preemption is at least theoretically possible because the ADA is a federal law that depends on state law for its enforcement. The First Circuit has held that “the ADA, like Title VII, contemplates that state laws will contribute to the overall federal enforcement regime.”
Tompkins v. United Healthcare of New Eng., Inc.,
Title III of the ADA prohibits discrimination between disabled individuals and other individuals in the provision of goods or services by any person who owns or operates a “place of public accommodation.” 42 U.S.C. § 12182(a) & (b)(l)(A)(iii).
2
The First Circuit, unlike
*378
other circuits, has determined that a “public accommodation” under the ADA can include employee benefit plans under certain circumstances.
Tompkins,
Nonetheless, the First Circuit has left open the question whether Title III “is intended merely to provide access to whatever product or service the subject entity may offer, or is intended in addition to shape and control which products and services may be offered.”
Carparts,
Even assuming that the anti-discrimination prohibitions of the ADA were intended to apply to the contents of short-term disability plans, the question remains as to whether
any
provision of the ADA requires that individuals with mental disabilities receive the same benefits as individuals with physical disabilities under the same employee benefit plan. Most circuits that have addressed this issue have found conclusively that the ADA does not prohibit “discrimination” between different classеs of disabilities.
Weyer v. Twentieth Century Fox Film Corp.,
The First Circuit has not addressed this issue.
Iwata v. Intel Corp.,
In finding that the ADA рrohibits discrimination “amongst classes of the disabled,” the court’s opinion in
Iwata
followed the reasoning of the Eleventh Circuit in
Johnson.
A central factor in the reasoning of
Iwa-ta
was the Supreme Court’s decision in
Olmstead v. L.C.,
In contrast, the court in
Wilson
found that the ADA does not prohibit “different benefits for different disabilities.”
Finally, the court in Wilson determined that Olmstead did not “alter[] the legal landscape.” Id. at 97. It concluded that the holding of Olmstead was limited to its facts: the case dealt with Title II of the ADA and the issue of reasonable accommodation by public entities. Although a footnote in Olmstead noted past decisions in which the term discrimination “encompassed disparate treatment among members of the same protected class,” the court in Wilson found the footnote had no greater significance other than rebutting the dissent. Id. Ultimately, the court concluded that Olmstead did not address the “[disparate treatment of different disabilities.” Id.
After considering the rationale behind both positions, this Court finds the conclusion and reasoning of the court in
Wilson
substantially more compelling. Moreover, that conclusion makes considerable practical sense. If Congress had intended parity between mental and physical disabilities in the provision of employee benefit plans, it surely would have specified that desire more clearly, rather than rely on a tortuous inference from statutory language.
See McNeil,
In summary, because the Court finds that the ADA does not prohibit discrimination between mental and physical disabilities in the provision of short-term disability benefits, defendants’ claims under Ch. 151B are preempted under ERISA. And because the Court finds that the issue of ERISA preemption is “facially conclusive,” Younger abstention does not apply. 4
*381 D. Motion for Preliminary Injunction
The Court must weigh four factors in determining whether to issue a preliminary injunction: “(1) the likelihood of success on the merits; (2) the potential for irreparable harm if the injunction is denied; (3) the balance of relevant impositions, i.e., the hardship to the nonmovant if enjoined as contrasted with the hardship to the movant if no injunction issues; and (4) the effect (if any) of the court’s ruling on the public interest.”
Charlesbank Equity Fund II v. Blinds to Go, Inc.,
The Court’s consideration of the four factors is relatively straightforward. As detailed above, plaintiffs have established a likelihood of success on the merits, as MCAD may not require the plan to pay benefits for short-term mental health disability. The Court finds that plaintiffs will suffer irreparable injury if the MCAD continues its investigation into a discrimination complaint when it lacks jurisdiction over the matter. The Court further finds that the hardship to plaintiffs substantially outweighs that of the defendants. Finally, the Court concludes that the preliminary injunction will further the public’s interest in maintaining cohesive and consistent regulation of ERISA plans. Accordingly, the MCAD defendants will be preliminarily enjoined from investigating or adjudicating the question whether plaintiffs’ ERISA benefit plan violates Mass. Gen. Laws ch. 151B because it does not provide short-term mental health benefits to plan beneficiaries. 5
E. Motion for Judgment on Pleadings
As noted, the Court has concluded that it need not abstain from deciding this case on the basis of
Younger
abstention, and that Mass. Gen. Laws ch. 151B is preempted to the extent that it is being applied to an ERISA benefit plan. Nonetheless, plaintiffs’ motion for judg
*382
ment on the pleadings is premature as defendants have not yet answered the complaint. Fed.R.Civ.P. 12(c) allows motions for judgment on the pleadings only “[ajfter the pleadings are closed.” As the First Circuit has pointed out, “The rule expressly provides that such relief can be sought only ‘after the pleadings are closed.’ Pleadings, of course, include an answer to the complaint.”
Figueroa v. DEA,
III. Conclusion
For the foregoing reasons plaintiffs’ motion for judgment on the pleadings is DENIED, plaintiffs’ motion for a preliminary injunction is GRANTED, and defendants’ cross-motions to dismiss are DENIED.
A separate form of preliminary injunction order will be entered by the Court. So Ordered.
Notes
. Defendants contend that any "facially conclusive” preemption exception must be applied very narrowly.
See Hughes v. Attorney Gen. of Fla.,
. Defendants’ MCAD complaint alleges violations of “Part II” of the ADA but cites the section of the United States Code corresponding to Title III of the ADA. (PL CompL, Ex. 1 at 2). Section 12182(a) рrovides that "[n]o individual shall be discriminated against on the basis of disability in the full and equal enjoyment of the goods, services, facilities, privileges, advantages, or accommodations of any place of public accommodation by any person who owns, leases (or leases to), or operates a place of public accommodation.” 42 U.S.C. § 12182(a).
Section 121 S2(b)(l)(A)(iii) of the ADA generally prohibits the provision of separate benefits, stating that “[i]t shall be discriminatory to provide an individual or class of individuals, on the basis of a disability or disabilities of such individual or class, dirеctly, or through contractual, licensing, or other arrangements with a good, service, facility, privilege, advantage, or accommodation that is *378 different or separate from that provided to other individuals, unless such action is necessary to provide the individual or class of individuals with a good, service, facility, privilege, advantage, or accommodation, or other opportunity that is as effective as that provided to others." 42 U.S.C. § 12182(b)(l)(A)(iii).
. As noted, the opinion in Johnson was later vacated pending a rehearing en banc.
. Defendants also contend that
Younger
abstention is inappropriate because the Court must engage in additional fact-finding to determine whether the state aсtion is preempted. If an employer pays for what would otherwise be ERISA benefits out of general assets (that are not governed by ERISA) rather than out of an accumulated fund (that is subject to ERISA requirements) then state law may regulate those benefits without being subject to preemption.
See Massachusetts v. Morash,
The Court need not resolve this dispute to reach its conclusion. "Such factual inquiry [into the ERISA status of plaintiff's plan] is collateral to the issue presented here, and need not be conducted in federal court.”
Partners Healthcare,
. The preliminary injunction will be contingent upon the posting of a bond of $25,000 as security in accordance with the requirements of Fed.R.Civ.P. 65(c).
