ORDER
I. Introduction
Bеfore the Court are various motions in limine. First, plaintiff has moved to preclude admission of all evidence relating to Lammers’ employment at Fiskars Power Sentry, where he worked prior to applying for the position at issue (doc. # 89). Second, plaintiff has moved to еxclude all evidence it describes as “after-acquired” or, alternatively, for a bifurcation of liability and damages (doc. # 90). Defendant resists these motions (doc’s # 100, 101). Finally, defendant has moved to exclude portions of plaintiffs expert’s report and anticipated testimony (doc. # 92). Plaintiff resists this motion (doc. # 95). For reasons set forth below, the motions are DENIED.
II. Analysis
The Court begins by noting its general reluctance to grant broad motions in li-mine. Many courts have agreed with this reluctance, noting the “better practice is to deal with questions of admissibility of еvidence as they arise.” See, e.g.,
Sperberg v. Goodyear Tire & Rubber Co.,
Notably, denial of a motion in limine does not end the evidentiary question presented. As a district court wrote,
Denial of a motion in limine does not necessarily mean that all evidence contemplated by the motion will be admitted at trial. Denial merely means that without the context of trial, the court is unable to determine whether the evidence in question should be excluded. The court will entertain objections on individual proffers as they arise at trial, even though the proffer falls within the scope of a denied motion in limine.
Hawthorne Partners v. AT & T Technologies, Inc.,
A. Defendant’s motion to exclude or limit testimony by plaintiffs expert witness
Defendant seeks to exclude parts of a report by plaintiffs expert concerning “her opinions, observations and рurported legal conclusions on whether Defendant met its legal obligations under the [ADA] during the interview process of Lammers” and to prevent her from testifying t'o these subjects. (Def.’s Mot. in Limine at 2.) It argues this testimony exceeds the scope of an earlier order in this casе, exceeds the
Plaintiff resists the motion, noting that the report itself will not be offered into evidence and that the expert’s testimony will concern areas on which she is qualified to testify and will not turn become legal instruction. (Pl.’s Resp. to Def.’s Mot. in Limine at 2-4.) It also urges that the planned testimony does not in any way violate the earlier court order. (Id. at 4.)
This motion demonstrates why this Court prefers to wait until trial to resolve such matters. Since the report itself will not be offerеd into evidence, only testimony is subject to the motion. Yet without hearing the expert’s testimony and the questions asked by plaintiffs counsel, the Court has no way to evaluate whether any particular testimony is admissible, whether because it exceeds the scope of her expertise or for any other reason. Thus, the Court declines to limit her testimony in advance through a motion in limine.
Several factors further justify this decision. First, it is axiomatic that the Court will not allow an expert to testify outside of her area of expertise, which will have to be established at trial, or improperly to instruct the jury on the law. Further, defendant is free to object if, in the context of a specific question, the expert seeks to offer testimony which is inadmissible for any reason. Finally, defendant is free to examine the expert on аny relevant topics, including her qualifications. Given these facts, there is no reason to grant a broad motion in limine. Thus, the motion is DENIED.
B. Plaintiffs motion to exclude the Fis-kars evidence
Plaintiff seeks to exclude all evidence relating to Lammers’ employment at Fiskars Power Sentry, including his personnel file and testimony from co-wоrkers. (PL’s First Mot. in Limine at 1-2.) It urges first that this evidence is barred because it is “after acquired,” a point addressed in greater detail below. It also argues under Federal Rules of Evidence 401, 402 and 403 that the evidence is not sufficiently probative of any fact in issue to outweigh its prejudicial, confusing and prolonging effect, based in part on an assertion that the evidence is contradictory. In short, plaintiff argues the two jobs are so different that meaningful comparison is impossible, and allowing the evidence will lead to a confusing “mini-trial.” (Id. at 1-3.)
Defendant strenuоusly resists these arguments. It argues the evidence is relevant to the issue of Lammers’ qualifications and is not outweighed by the risk of prejudice, making it admissible under Rules 401, 402 and 408. (Def.’s Resp. to Pl.’s First Mot. in Limine, at 2.) Further, it notes that while the Fiskars evidence contains some contradictions, it is in acсord on key points. (Id.) Finally, defendant emphasizes that plaintiff seeks to use the fact of Lammers’ employment at Fiskars as evidence that defendant should have hired him while seeking to exclude all facts about his employment there. (Id. at 4.)
As the Court -will address further below, a critiсal question in this case is whether Lammers is able to perform the essential functions of the job with or without reasonable accommodation, a jury question on which he bears the burden of proof.
Treanor v. MCI Telecommunications Corp.,
It seems clear that it does, at least in the abstract. It is true Fiskars and Fargo Assembly are not the same in every respect, and it is specifically true that Fis-kars cell system is different than the system at Fargo Assembly. Nevertheless, the maсhine plaintiff operated at Fiskars is similar to the one he applied to operate at Fargo Assembly, and the work done at the plants is similar. These differences do not require wholesale exclusion, however. Rather, plaintiff is free to examine on them аnd argue them to the jury.
Plaintiffs work experience at Fiskars is therefore relevant to his ability to do similar work at Fargo Assembly, bringing the evidence within the ambit of Rule 401. Since Rule 402 provides that all relevant evidence is generally admissible, the Fis-kars evidence is presumably admissible in this ease.
Plaintiff asserts, however, that the evidence is barred by Rule 403, which excludes otherwise relevant evidence “if its probative value is substantially outweighed” by a risk of unfair prejudice, confusion, or delay, among other factors. Plaintiff argues all these risks inhere in presеntation of this evidence, requiring the Court to exclude it. The Court declines to do so. Objections to evidence may be made as they arise in the course of trial when the Court can evaluate the issues in context.
Finally, the Court rejects plaintiffs contention that the evidence is inadmissible because it is contradictory. If the evidence is confusing or misleading under Rule 403, it will be dealt with as discussed above. However, evidence is not inadmissible because it contradicts other evidence. Counsel can point out and examine on thesе contradictions and argue them to the jury. Thus, the motion to exclude the evidence is DENIED.
C. Plaintiffs motion to exclude after-acquired evidence
Plaintiff also seeks to exclude, pursuant to
McKennon v. Nashville Banner Publishing Co.,
Analysis of this issue requires a brief review of the relative legal burdens the parties face. First, рlaintiff must make out a prima facie case by showing he is disabled within the meaning of the ADA, can perform the essential functions of the job with or without reasonable accommodation, and suffered an adverse work consequence because of his disability.
Treanor,
Here, the parties agree Lammers is disabled. Thus, to make its prima facie case,
Of course, while plaintiff bears the burden of proving qualification, defendant is free to present evidence showing lack thereof. See
Buckles,
Here, the Court denied defendant’s summary judgment motion (doc. # 78). In so doing, it held that plaintiff had created a fact question over whether Lammers was qualified to perform the job. It further rejected defendant’s claim that Lammers’ SSDI applications were inconsistent with pursuing an ADA claim, concluding a reasonably juror could find the two were not in conflict. Finally, the Court found plaintiff had established a fact question over whether defendant made its decision for discriminatory reasons. Now, plаintiff must convince the jury to resolve these fact questions in its favor before the burden shifts to the defendant.
Thus, to shift the burden to the defendant, plaintiff must at least convince the jury Lammers is able to do the job for which he applied, with or without reasonable accommodаtion. It is not incumbent on plaintiff merely to prove that the defendant did not know with certainty Lammers could not do the job, nor is it incumbent on defendant to prove Lammers could not do the job. However, this is what plaintiffs reliance on McKennon, which concerns an emplоyer’s knowledge of employee wrongdoing, seems to require. The Court rejects this interpretation of McKennon.
Crucial to this issue is that the evidence in McKennon was offered for a different purpose than that for which defendant offers the evidence here. In MсKennon, the defendant conceded its discrimination against the plaintiff and offered the after-acquired evidence of plaintiffs wrongdoing as a legitimate reason for discharging her.
The Court agrees that McKennon, and sound logic, prevent defendant from using after-aсquired evidence as a legitimate reason for its actions after the burden shifts. It may not argue to the jury that it decided not to hire Lammers because of his failure at Fiskars — assuming it proves such failure — since it did not have that
The Court also declines to bifurcate the trial between damages and liability. Bifurcation is appropriate in a true McKen-non situation because, while subsequently-obtained evidence of wrongdoing may not be used to prove or disprove liability, it may be relevant to determination of damages. See
McKennon,
IT IS SO ORDERED.
