Ida Mary LEWIS, Appellant, v. UNIVERSITY OF PITTSBURGH and University of Pittsburgh Book Center
No. 83-5052
United States Court of Appeals, Third Circuit
Decided Dec. 30, 1983
Rehearing and Rehearing In Banc Denied Feb. 9, 1984
725 F.2d 910
Submitted Under Third Circuit Rule 12(6) Sept. 14, 1983.
Probably, following remand, this articulate litigant will demonstrate what a panel of this Court has previously described as an “ability to improvise and [a] flair for the creative” and bring about the same difficulty encountered when, in response to an overly broad injunction, oenologist Walter S. Taylor began to refer to himself as “Walter S. Xxxxxx,” and depict himself on his wine bottles in a “Lone Ranger” type mask. See Taylor Wine Co., Inc. v. Bully Hill Vineyards, Inc., 590 F.2d 701, 702-03 (2d Cir. 1978).
Injunctions which are unclear or easily set at naught should not be issued in the first place. There exists already more than adequate statutory protection, both penal and civil, against mail fraud, wire fraud, securities fraud and breach of fiduciary duty in writing about investments. An injunction of this sort, particularly because of its illusory character, will add little to the protection of the public. This is especially true in this case because the majority will apparently allow Lowe to express his opinions freely and without limitation “in somebody else‘s bona fide newspaper as an employee, editor, or writer” (At 902).
Any balancing of the equities, essential before any injunction is granted, should weigh the benefit to the public (nil in this case because of the injunction‘s vague, subjective and illusory nature) against the burdens on those enjoined, severe in this case because free expression may be enjoyed only at great personal risk to Lowe, or his potential news publishing employers who might have to prove they are bona fide and not indirectly owned by Lowe.
This is not to mention the impossible burden of enforcement imposed on the district court.4
And for what is all this great effort? I agree with Chief Judge Weinstein below that “the censorship that the SEC would impose on Lowe is more extreme than necessary to effectuate the congressional goal of a confident and informed investing public,” (556 F.Supp. at 1366) and therefore a balancing of the equities requires that no injunction issue.
Essentially for the foregoing reasons, as well as those expressed by Chief Judge Weinstein in his opinion below, I believe that the judgment appealed from should be affirmed.
Lynn E. Wagner, Vasilis C. Katsafanas, Berkman, Ruslander, Pohl, Lieber & Engel, Pittsburgh, Pa., for appellees.
Before ADAMS, HUNTER, and GARTH, Circuit Judges.
OPINION OF THE COURT
GARTH, Circuit Judge:
Plaintiff Ida Mary Lewis brought suit against the University of Pittsburgh and its Bookstore under section 706 of Title VII of the Civil Rights Act of 1964,
I.
Ida Mary Lewis, a black woman, has been employed at the Book Center of the University of Pittsburgh since 1965. In 1967, she was promoted from clerk to Buyer in the Trade Book Department. She again became a clerk in 1975 when one Buyer position in the Trade Book Department was eliminated in a budgetary move.1
In October, 1976, Lewis applied for a vacant position as Assistant Buyer in the Trade Book Department. The position instead went to Jean Aiello, a white woman who had been employed with the Bookstore since 1972. Lewis alleged that she was better qualified for the position than Aiello and that the reason she was denied promotion was because she is black.
As the district court findings reveal, Lewis was 58 years old, had graduated from Perry High School in 1942, and from Carnegie Institute of Technology (now Carnegie Mellon University) in 1947 with a Bachelor‘s degree in History and English. She then enrolled at the University of Pittsburgh, receiving her Master‘s degree in History in 1950. She returned to Carnegie in 1961 and received a Master‘s degree in Library Science. In the fall of 1964, Ms. Lewis began studying for her Ph.D. in History. She was forced to abandon that plan, however, due to lack of finances and the illness of her parents.
Ms. Aiello, on the other hand, graduated from high school in 1970. Following graduation, she enrolled in the University of Pittsburgh for two years, but had to withdraw for financial reasons. Ms. Lewis had previous experience as a Buyer, while Aiello worked at the Book Center as a sales clerk.
The defendants contended that Lewis was denied the position as Assistant Buyer because she had a poor history of work habits, bookkeeping, and inventory control practices. These contentions were supported by the testimony of Russell Kierzkowski and Dwight Fong, the two current Buyers for the Trade Book Department. Kierzkowski stated that, when Lewis had previously been a Buyer (prior to 1975), Lewis had neglected to return unused books to the publishers on time, with the result that they had to be sold at a loss. Kierzkowski testified that he personally interviewed and assigned Aiello to help him eliminate the backlog of unused books. He claimed that even after the backlog had been eliminated, Lewis again failed to complete returns properly, and Aiello was assigned to do the work for a second time.
Kierzkowski also stated that Lewis had not adequately kept stock control cards in her files, and had not conducted regular inventory checks to see which books should be reordered. Mr. Fong testified that, at approximately the same time, he discovered that the paperback technical books had also not been returned or reordered, and that much of the inventory was discolored, worn, and dusty. The district court judge‘s findings with respect to some of these matters are set forth in the margin.2
The jury‘s verdict on the section 1981 and section 1983 claims was in the form of special interrogatories:
- Was plaintiff, Ida Mary Lewis, qualified in October, 1976, for the position of Assistant Buyer in the Trade Book Department?
ANSWER: YES. - Was plaintiff, Ida Mary Lewis, more qualified in October, 1976, for the position of Assistant Buyer in the Trade Book Department than Jean Aiello?
ANSWER: YES. - Would plaintiff, Ida Mary Lewis, have been promoted to the position of Assistant Buyer but for the fact that she is black?
ANSWER: NO.
As required by the statute, the district court judge entered separate findings of fact on the Title VII claim.3 He concluded that:
[Lewis] failed to prove by a preponderance of the evidence that the reasons for the denial of the promotion as articulated by Messrs. Fong and Kierzkowski were a mere “cover up” or pretext for a racially discriminatory intent. Ms. Lewis would have been denied the promotion even if she were not black. Her poor work history, not her race, was the cause or motivating factor of the denial.
App. at 47 (emphasis in original). He therefore granted judgment to defendants on the Title VII claim and entered judgment for defendants on Lewis’ 1981 and 1983 claims based upon the jury‘s response to Interrogatory No. 3.
II.
Lewis has raised a number of issues on this appeal. After carefully examining the record and her contentions, we conclude that the district court did not err in entering judgment for the defendants on all claims. One issue, however, requires discussion. Lewis charges that the trial judge was incorrect in instructing the jury as to the level of causation required for her to succeed on her claims. We are satisfied, as was the district court, that Title VII and sections 1981 and 1983 all require a showing of “but for” causation in an employment discrimination suit.
A.
To establish employment discrimination, it must be shown that the employer bore a racially discriminatory animus against the employee, and that this animus manifested itself in some challenged action, whether it be dismissal, failure to promote, or failure to hire. See, e.g., International Brotherhood of Teamsters v. United States, 431 U.S. 324, 334-35 (1977) (“ultimate factual issues are ... simply whether there was a pattern or practice of ... disparate treatment and, if so, whether the differences were racially premised“); General Electric Co. v. Gilbert, 429 U.S. 125, 137 n. 14 (1976) (Plaintiffs “who seek to establish discrimination have the traditional civil litigation burden of establishing that the acts they complain of constituted discrimination in violation of Title VII“); Massarsky v. General Motors Corp., 706 F.2d 111, 117 (3d Cir.1983) (“plaintiff alleging disparate treatment ... bears the ultimate burden of persuading [the trier of fact] that his treatment was caused by purposeful or intentional discrimination“).
In McDonnell Douglas Corp. v. Green, 411 U.S. 792 (1973), the Supreme Court announced the manner in which discrimination must be established: (1) the employee must show a prima facie case of discrimination,4 (2) once a prima facie case has been shown, the burden shifts to employer to articulate some non-discriminatory reason for the challenged action, (3) if such a facially legitimate reason is proffered, the employee must then bear the burden of demonstrating that the reason given by his employer is in fact merely a pretext, i.e. a fiction which obscures the reality of racial discrimination.
It is important to recognize that McDonnell Douglas does not in any way relieve the employee of his basic burden of proof.
It is in this third step of the McDonnell Douglas analysis that the issue of causation is most directly posed. The Supreme Court took great pains to emphasize in McDonald v. Santa Fe Trail Transportation Co., 427 U.S. 273 (1976) that nothing has altered the plaintiff‘s burden in showing that intentional “but for” discrimination exists. In focusing on “but for” causation, the Supreme Court stated that:
The use of the term “pretext” in this context does not mean, of course, that the Title VII plaintiff must show that he would have in any event been rejected or discharged solely on the basis of his race, without regard to the alleged deficiencies [in work-related performance]; ... no more need be shown than that race was a “but for” cause.
Id. at 282 n. 10 (emphasis added).
We find no indication in any decisions of the Supreme Court, or of any other court, that signals any deviation from the use of the “but for” test of causation.5 Accord, Mack v. Cape Elizabeth School Board, 553 F.2d 720 (1st Cir.1977); see League of United Latin American Citizens (LULAC) v. City of Salinas Fire Department, 654 F.2d 557 (9th Cir.1981). The effort by the dissent to suggest a test other than the Supreme Court‘s “but for” test is not persuasive. See Dissenting Opinion, Typescript at 5-6. Judge Adams, writing in dissent, cites to United States v. Hayes International Corp, 6 FEP Cases (BNA) 1328 (N.D.Ala.1973), aff‘d without opinion, 507 F.2d 1279 (5th Cir.1975), in support of his argument. However, that case was decided and affirmed prior to the Supreme Court‘s pronouncement in 1976 of the “but for” test found in Santa Fe. Moreover, in operation, the Hayes “any part” standard, although not artfully articulated, can be explained as part of the “but for” analysis. Judge Adams’ dissent also cites to Brodin, The Standard of Causation in Mixed-Motive Title VII Actions: A Social Policy Perspective, 82 Colum.L.Rev. 292 (1982). The Brodin article, however, concludes with a test for causation no different than the Supreme Court‘s test, and the test that we adopt here, since Brodin would require that the employee show that the “same decision” would not have been reached absent racial animus.
B.
Lewis argues that she need only show that race was a “substantial” or “motivating” factor leading to the defendants’ decision not to promote her to assistant buyer.6 In support for this proposition,
In Mt. Healthy, however, Justice Rehnquist specifically rejected the proposition that, under
Lewis also calls to our attention Whiting v. Jackson State University, 616 F.2d 116 (5th Cir.1980), and Niederhuber v. Camden County Vocational & Technical School District Board of Education, 495 F.Supp. 273 (D.N.J.1980), aff‘d, 671 F.2d 496 (3d Cir.1981), as support for the test which she argues should be employed. Niederhuber‘s analysis does not differ from Mt. Healthy‘s, on which it relies. Whiting, which referred to Arlington Heights but not to Mt. Healthy, noted that in proving pretext under the third part of the McDonnell Douglas analysis, “Title VII is not violated simply because an impermissible factor plays some part in the employer‘s decision. The forbidden taint need not be the sole basis for the action to warrant relief, but it must be a significant factor.” Id. at 121 (emphasis in original). Lewis contends that this language adopts a test which is less stringent than the traditional “but for” requirement.
We do not read Whiting as departing from the “but for” causation requirement. By definition, a “significant” factor is one which makes a difference in the result. Conversely, if an action would have been taken regardless of race, any discriminatory factor could hardly be called “significant.” We can discern little difference in the result between a “significant factor” test and the “but for” test. Indeed, as the term “significant factor” is employed in Whiting, we would deem it to be the functional equivalent of the “but for” test which the Supreme Court has preferred. For ourselves, we too prefer the Supreme Court‘s concept of “but for,” as we regard it as the more analytically measurable, and a concept which can be employed more easily by a jury. At any rate, nothing in Whiting supports Lewis’ argument that race as “a substantial” or “a motivating factor” has supplanted “but for” causation as the test by which her claims must be measured.
III.
With Santa Fe Trail and our understanding of Lewis’ argument as a background, we turn to a consideration of the instructions given to the jury in Lewis’ case. Lewis, in an in chambers colloquy,7 argued that “the standard is that the consideration of race must only be a significant or a contributing or a substantial reason.” App. at 453. The district court judge in his causation charge, however, instructed the jury in terms of “but for” causation, i.e. “... but for the fact that Miss Lewis is black, would she have been promoted.” App. at 531-32; see also App. at 522-23, 527-28. In so instructing the jury, the district court judge also referred to race in terms of “the determinative factor.” Lewis has seized upon that expression as vitiating the court‘s entire charge, and complains that the charge which should have been given would have required Lewis to prove that race was only a “substantial” or “motivating” factor. App‘t Br. at 20.
The basic instruction on causation was as follows:
The defendants intended to or purposefully discriminated against plaintiff only if her race was the determinative factor in their failure to promote the plaintiff. This means that the defendants refused to promote the plaintiff because she was black, and that but for the fact that she was black, the plaintiff would have been promoted.
If the defendants failed to promote the plaintiff for any other reason than her race, then you cannot find that the defendants intentionally and purposefully discriminated against the defendant [sic] because of her race.
App. at 522-23 (emphasis added).
The consideration of race need not be the sole basis for the decision not to award the position to plaintiff, but it must be the determinative factor in the decision. If you find that Defendants did not intentionally and purposefully discriminate against the plaintiff because of her race, by failing to promote her, then you must find for the defendant.
Later, the judge added:
In summary, you must find for the plaintiff if you find that the plaintiff has proved by a preponderance of the evidence that, one, she was better qualified for the position of assistant buyer in the trade book department than Miss Aiello, and, two, that the determinative factor of the defendant‘s decision to deny Miss Lewis the promotion was her race. In other words, but for the fact that Miss Lewis is black, she would have gotten the promotion....
App. at 527-28.
The district court judge stressed the point one last time near the end of his instructions:
Remember, ladies and gentlemen, what a polestar is. A polestar is a conspicuous star like the North Star. The basic question that you must answer in this case is, but for the fact that Miss Lewis is black, would she have been promoted.
App. at 531-32.
Thus, the district court emphasized and reemphasized the requirement that, whatever else the jury found, it had to decide whether Lewis would have been promoted “but for” the fact that she was black. The charge, therefore, although using the term “the determinative factor,” did not rely on either “the determinative factor” or “a determinative factor” as the dispositive inquiry, for either is subsumed within the question posed by Interrogatory No. 3: “Would plaintiff, Ida Mary Lewis, have been promoted to the position of Assistant Buyer but for the fact that she is black?” Nor, understandably, was the jury required to make such a determination, for as the charge reveals, it was the “but for” test of causation which the district court judge commanded the jury to employ.
Every mention of the term “the determinative factor” in the judge‘s charge was accompanied by, and concluded with, a meticulous description of the “but for” test. Not only did the district court judge properly instruct the jury as to the “but for” test required by the Supreme Court during the liability aspect of his charge, but he also returned to the “but for” feature of his instructions after he had concluded charging on damages. It was at the end of his charge on damages that he repeated once again that the polestar and the basic question to be answered is “but for the fact that Miss Lewis is black, would she have been promoted. All the rest of the case revolves around that polestar.” Indeed, the crucial causation interrogatory was framed in those terms.
Whether or not the district court judge used the term “the determinative factor,” therefore, is not so important as how he explained that term. It is of course the substance of the instruction rather than the form which determines its correctness. In an analogous context, the First Circuit in Loeb v. Textron, Inc., 600 F.2d 1003 (1st Cir.1979) (suit under Age Discrimination in Employment Act), approved use of “the determining factor” in a district court‘s charge. It did so by recognizing that “the determining factor” was to be combined with the “but for” test as the correct measure of causation. The court stated:
[T]he court should [instruct] the jury that for plaintiff to prevail he had to prove by a preponderance of the evidence that his age was the “determining factor” in his discharge in the sense that “but for” his employer‘s motive to discriminate against him ... he would not have been discharged.
Id. at 1019 (emphasis added). See Laugesen v. Anaconda Co., 510 F.2d 307, 317 (6th Cir.1975) (discriminatory factor must have “made a difference in determining whether [employee] was to be retained or discharged“). In Bentley v. Stromberg-Carlson Corp., 638 F.2d 9 (2nd Cir.1981), the court stated that:
Although we ... saw no significant difference between the Laugesen formulation [discrimination must “make a difference” in the decision] and the “determining factor” charge enunciated in Loeb v. Textron, Inc. ... we did not mean to suggest approval of an instruction that stated only that the jury must find age to be a “determining” factor without clarifying that term. Instead ... a plaintiff must prove that age was a “determining factor in his discharge in the sense that ‘but for’ his employer‘s motive to discriminate against him because of his age, he would not have been discharged.”
Id. at 11-12 (quoting Loeb, 600 F.2d at 1019).
Here, the district court not once—but at least three times—explained and clarified the “but for” test and its use of “the determinative factor.” By doing so, the district court correctly and clearly conformed to the requirements and clarifications specified by Santa Fe, Loeb, and Bentley.9
We have also examined Lewis’ other arguments made on appeal and find them without merit.10
district court ever prevented Lewis from presenting proofs which might discredit the University‘s articulated reason for not promoting her. We have no quarrel with the contention that proof of intent can be shown by either direct or indirect proof. The trial judge, however, gave explicit instructions in this regard, when he charged:
Now, there are, generally speaking, two types of evidence from which the jury may properly find the truth as to the facts of this case. One is direct evidence, such as the testimony of any eyewitness. And both attorneys have told you, and I am inclined to agree with them, that there has been little or no direct evidence in this case with respect to the ultimate question involved here.
The other type of evidence is indirect or circumstantial evidence pointing to the existence or nonexistence of certain facts....
As a general rule, the law makes no distinction between direct and circumstantial evidence, but simply requires that the jury find the facts in accordance with the preponderance of all the evidence in the case, both direct and indirect.
App. at 515-16. Later, the district court returned to this theme:
Now, intent ordinarily may not be proved directly because there is no way of fathoming or scrutinizing the operations of the human mind. But you may infer a person‘s intent from surrounding circumstances. You may consider any statement made or act done or omitted by any party whose intent is in issue, and all other facts and circumstances which indicate his or her state of mind.
You may consider it reasonable to draw the inference and find that a person intends the natural and probable consequences of acts done knowingly or knowingly omitted, but it is for you to determine what facts have been established by the evidence.
App. at 523-24.
The dissent would apparently require that a new element be added to the McDonnell Douglas/Burdine instructions which would restate the instructions already given in a more emphatic manner. We find no support for the creation of such a requirement, nor has it ever
IV.
Our review of the district court‘s charge reveals that the district court properly instructed the jury in terms of the Supreme Court‘s “but for” test. Thus, it was not error for the district court to decline to charge the plaintiff‘s requested test of “substantial” or “motivating” factor. Nor did the district court err in the use of the term “determinative factor” in its clarification of the “but for” test. For these reasons, the judgments of the district court dated December 10, 1982 (pertaining to the sections 1981 and 1983 (jury) claims) and January 1, 1983 (pertaining to Lewis’ Title VII claim) will be affirmed.
ADAMS, Circuit Judge, dissenting.
This appeal starkly demonstrates the need to reaffirm the fundamental policy behind statutory protections against employment discrimination.
In the case before us, the trial court misconceived the substantive rights protected by the antidiscrimination statutes, as well as the evidentiary burden—both intermediate and ultimate—allocated to a plaintiff by McDonnell Douglas Corp. v. Green, 411 U.S. 792 (1973). Thus while I agree with the majority that all three statutory claims in this proceeding are governed by the same legal standards, and while I also agree that Ida Mary Lewis had the ultimate burden under all three claims of proving that she was denied a promotion because of her race, I cannot join the majority‘s conclusion that the district court charged the jury with, and itself applied, the proper legal standard by which to determine whether race was the grounds for the University‘s decision not to promote Ms. Lewis. Nor do I agree with the exclusion of testimony regarding possible nepotism in the promotion decision. Accordingly, I respectfully dissent.
I.
Racial discrimination in employment is a serious societal ill for which Congress has prescribed strong statutory remedies:
been recommended in any handbook or treatise. See Devitt & Blackmar, Federal Jury Practice and Instructions § 92.25 (Supp.1982)
What is required by Congress [in Title VII] is the removal of artificial, arbitrary, and unnecessary barriers to employment when the barriers operate invidiously to discriminate on the basis of racial or other impermissible classification.
Griggs v. Duke Power Co., 401 U.S. 424, 431 (1971). The Supreme Court has further noted that
[t]he language of Title VII makes plain the purpose of Congress to assure equality of employment opportunities and to eliminate those discriminatory practices and devices which have fostered racially stratified job environments to the disadvantage of minority citizens.
McDonnell Douglas, supra, 411 U.S. at 800.
Title VII case law may be divided into two discrete types of claims: 1) those challenging practices that have a disparate impact upon members of a protected class; and 2) those challenging the disparate treatment of individual members of a protected class with regard to hiring, pay, promotions, and the like. In addressing the second type of claim, which is represented by the case at bar, this Court has declared that
[a] plaintiff alleging disparate treatment ... bears the ultimate burden of persuading the jury that his treatment was “caused by purposeful or intentional discrimination.”
Massarsky v. General Motors Corp., 706 F.2d 111, 117 (3d Cir.1983), cert. den., U.S., 104 S.Ct. 348, 78 L.Ed.2d 314 (1983), quoting Smithers v. Bailar, 629 F.2d 892, 898 (3d Cir.1980).
Employment discrimination claims brought under
II.
Considerable confusion surrounds the proper formulation of the ultimate issue in a disparate treatment employment discrimination claim. Although I believe the principal error committed at trial in this case was the preclusion of inferential proof, I also cannot join the majority in holding that the burden upon Ms. Lewis was to show that race was “the but for” reason for the University‘s failure to promote her.
The majority relies heavily upon McDonald v. Santa Fe Trail Transportation Co., 427 U.S. 273 (1976), for the proposition that the Supreme Court has clearly articulated a restrictive “but for” standard. It is noteworthy that the majority points only to one footnote in Santa Fe Trail for this proposition. Id. at 282 n. 10. The sparse documentation is reflective of the fact that the Supreme Court has yet to address the degree of causation a plaintiff must establish to prevail on a Title VII disparate treatment claim. Indeed, the cited footnote states only that “no more need be shown than that race was a ‘but for’ cause.” Id. The “no more need be shown” phrase indicates that a showing of but for causation would be sufficient; it does not signify that such a showing is necessary to prevail.2 Moreover, the footnote uses the article “a” rather than “the” to describe how determinative a discriminatory factor must be to satisfy the requirements of “but for.”
The majority cites only two cases to support its interpretation of the Santa Fe Trail footnote. LULAC v. City of Salinas, 654 F.2d 557 (9th Cir.1981); Mack v. Cape Elizabeth School Bd., 553 F.2d 720 (1st Cir.1977). While the First Circuit, without substantive discussion or any analysis, does require that the discriminatory reasons be shown to be determinative, the Ninth Circuit does not support the majority‘s position. Rather, LULAC concerns a defendant‘s claim that the district court failed to require a showing that the discriminatory acts alleged “actually caused ... [the] failure to be promoted.” LULAC, 654 F.2d at 558. Significantly, the Ninth Circuit expressly refused to require such a showing.
Apart from LULAC and Mack, the case law is split between courts holding that “[i]f any element of racial discrimination or retaliation or reprisal played any part in a challenged action, no matter how remote or slight or tangential, the Court would hold that the challenged action was in violation of the law ...,” United States v. Hayes Int‘l Corp., 6 FEP Cases (BNA) 1328, 1330 (N.D.Ala.1973), aff‘d, 507 F.2d 1279 (5th Cir.1975), see also Brodin, The Standard of Causation in the Mixed-Motive Title VII Action: A Social
To require an alleged victim of discrimination to prove that race was “the determinative factor” in the employer‘s decision not to hire or promote would severely hamper the ability of victims of discriminatory treatment to vindicate their statutory rights. At bottom, this standard amounts to a “sole basis” test which finds little or no support in the case law or in the legislative history of Title VII. In fact, during the legislative debates on Title VII, Senator McClellan proposed an amendment which would have established the “sole basis” test. In reply, Senator Case argued:
The Senator from Arkansas, as always, seeks to provide the benefit of great clarity and simplicity in his objectives and methods. The difficulty with this amendment is that it would render title VII totally nugatory. If anyone ever had an action that was motivated by a single cause, he is a different kind of animal from any I know of. But beyond that difficulty, this amendment would place upon persons attempting to prove a violation of this section, no matter how clear the violation was, an obstacle so great as to make the title completely worthless. I therefore regret that we are obliged to oppose the amendment, and also to recommend that it be rejected.
110 Cong.Rec. 13,837-38 (1964). Both the proposed McClellan amendment and a similar proposal in the House were defeated prior to ratification of the Civil Rights Act of 1964. To permit by judicial fiat what Congress specifically rejected raises a serious separation of powers question.
An illustration may shed additional light on my concern: two similarly qualified applicants apply for a job; one is white, the other black. After the white applicant is selected, the black applicant sues. The employer testifies that while race was of course a factor, it was not “the” reason for the hiring decision. He goes on to explain that race was one factor leading to the hiring of the white applicant, but not the major one. Under the majority‘s analysis the black plaintiff would not prevail. I do not believe that the legislative intent undergirding Title VII and the other anti-discrimination statutes may be reconciled with such a result. If these statutes are to have the effect sought by Congress, namely ridding society of discrimination in employment, the introduction of race as any consideration in hiring must not be allowed to withstand judicial scrutiny. It bears emphasis that the leading Supreme Court decision in this area, McDonnell Douglas, requires only that a plaintiff “persuad[e] the court that a discriminatory reason more likely motivated the employer.” Burdine, 450 U.S. at 256.
Thus I must respectfully dissent from the majority‘s unduly restrictive reading of the “but for” factor.
III.
Equally important to the present case are the trial errors not addressed by the majority. In this type of disparate treatment claim, I believe that a “critical issue ... concerns the order and allocation of proof in a private, non-class action challenging racial discrimination.” McDonnell Douglas, supra, 411 U.S. at 800. Even if the district court had properly posed the question whether race was a significant factor in the hiring decision or, alternatively, whether race was a “but for” cause of the denial of the promotion to Ms. Lewis, this would not have terminated the
This Court has taken notice of the fact that “because it often will be difficult for the plaintiff to obtain direct evidence of the employer‘s motive, the Supreme Court in McDonnell Douglas ... articulated a set of rules of proof that give the plaintiff the benefit of a presumption operating in his [or her] favor.” Massarsky, supra, 706 F.2d at 117-18. This “benefit” to the plaintiff is created by an evidentiary shifting of the burden of production to allow a legally cognizable inference of discrimination to be created:
The McDonnell Douglas case involved an individual complainant seeking to prove one instance of unlawful discrimination. An employer‘s isolated decision to reject an applicant who belongs to a racial minority does not show that the rejection was racially based. Although the McDonnell Douglas formula does not require direct proof of discrimination, it does demand that the alleged discriminatee demonstrate at least that his rejection did not result from the two most common legitimate reasons on which an employer might rely to reject a job applicant: an absolute or relative lack of qualifications or the absence of a vacancy in the job sought. Elimination of these reasons for the refusal to hire is sufficient, absent other explanation, to create an inference that the decision was a discriminatory one.
Int‘l Bhd. of Teamsters v. United States, 431 U.S. 324, 358 n. 44 (1977).
In Furnco Construction Corp. v. Waters, 438 U.S. 567, 577 (1978), Justice Rehnquist summarized the case law providing for inferential proof of discriminatory intent:
The method suggested in McDonnell Douglas ... is merely a sensible, orderly way to evaluate the evidence in light of common experience as it bears on the critical question of discrimination. A prima facie case under McDonnell Douglas raises an inference of discrimination only because we presume these acts, if otherwise unexplained, are more likely than not based on the consideration of impermissible factors.... And we are willing to presume this largely because we know from our experience that more often than not people do not act in a totally arbitrary manner, without any underlying reasons, especially in a business setting. Thus, when all legitimate reasons for rejecting an applicant have been eliminated as possible reasons for the employer‘s actions, it is more likely than not the employer, who we generally assume acts only with some reason, based his decision on an impermissible consideration such as race.
An examination of the mechanics of the McDonnell Douglas standard demonstrates how the use of presumptions is employed to arrive at the ultimate issue in an employment discrimination claim. To create a prima facie case, the plaintiff must establish: (i) that he belongs to a racial minority; (ii) that he applied and was qualified for a job for which the employer was seeking applicants; (iii) that, despite his qualifications, he was rejected; and (iv) that, after his rejection, the position remained open and the employer continued to seek applicants from persons of complainant‘s qualifications. McDonnell Douglas, supra, 411 U.S. at 802. Such a prima facie case creates a presumption that the employer unlawfully discriminated against the employee. “If the trier of fact believes the plaintiff‘s evidence, and if the employer is silent in the face of the presumption, the court must enter judgment for the plaintiff because no issue of fact remains in the case.” Texas Dept. of Community Affairs v. Burdine, 450 U.S. 248, 254 (1981).
Upon the establishment of a prima facie case, the burden of production then shifts to the defendant to rebut the presumption of discriminatory intent by producing evidence that the employee was rejected or someone
The Supreme Court has carefully detailed the purpose of the second step of McDonnell Douglas:
Placing this burden of production on the defendant thus serves simultaneously to meet the plaintiff‘s prima facie case by presenting a legitimate reason for the action and to frame the factual issue with sufficient clarity so that the plaintiff will have a full and fair opportunity to demonstrate pretext. The sufficiency of the defendant‘s evidence should be evaluated by the extent to which it fulfills these functions.
Burdine, supra, 450 U.S. at 255-56. The plaintiff now has the full burden of establishing that race was a significant factor in the failure to promote. This, however, can be accomplished either inferentially or directly:
[The plaintiff] must have the opportunity to demonstrate that the proffered reason was not the true reason for the employment decision. This burden now merges with the ultimate burden of persuading the court that she has been the victim of intentional discrimination. She may succeed in this either directly by persuading the court that a discriminatory reason more likely motivated the employer or indirectly by showing that the employer‘s proffered explanation is unworthy of credence.
Id. at 256 (emphasis added).
At the third step, the immediate burden, that of production or going forward with the evidence, comes together with the ultimate burden of this or any case, that of persuasion or proof. The use of these various terms should not obscure the importance of the McDonnell Douglas test. In order to arrive at the plaintiff‘s ultimate burden in employment discrimination claims, the intermediate shifting of subordinate burdens allows for inferential conclusions. Thus, while I do not take issue with the majority‘s assertion that the burden of proof rested with the plaintiff, I believe that the district court‘s treatment of the intermediate burdens was flawed.
IV.
By requiring the jury to find direct proof of the ultimate issue in Ms. Lewis’ claim, the district court in effect foreclosed the indirect method of proof sanctioned by the McDonnell Douglas test. In particular, the district court‘s instruction prevented Ms. Lewis from prevailing by demonstrating that the non-discriminatory reasons proffered by the University were unworthy of belief. Such indirect proof was especially critical to Ms. Lewis’ case since she had succeeded in proving to the jury‘s satisfaction that she was “more qualified” than the applicant promoted in her stead. Yet, because of the trial court‘s apparent misunderstanding of McDonnell Douglas, the jury was prevented from evaluating the significance of her indirect proof.
Instead of explaining the two types of proof permitted at the third stage of McDonnell Douglas, the trial judge instructed the jury only on what it viewed as the ultimate issue in an employment discrimination case—whether race was the “but-for” cause of the challenged decision. As the majority has documented, see Maj.Op. at 917-918, the trial judge repeatedly explained the concept of “but-for” causation and emphasized that this “polestar” or basic question was the crucial inquiry in the case. What the judge failed to explain, however, was the fact that the ultimate issue in an employment discrimination claim need not be proven directly, but may also be established inferentially by a showing that the reasons offered by an employer are “unworthy of credence.” Burdine, supra, 450 U.S. at 256.
The trial judge‘s sole discussion of indirect proof in the context of the McDonnell Douglas test4
The burden is on the plaintiff to prove by a preponderance of the evidence that the reasons stated by the defendants were just a pretext for a racial [sic] discriminatory reason. If the plaintiff can show the reasons stated by the defendants are a pretext, if she proves they are not the true reasons that the plaintiff was not promoted and that the plaintiff‘s race was the determinative factor for the denial of the promotion ... then your verdict must be for the plaintiff.
Tr. at 536-37. Thus the judge repeatedly linked proof of “pretext” with proof that the actual reasons were “racially discriminatory.” In so doing, he mistakenly incorporated a requirement for direct proof into the indirect approach. Ms. Lewis was not permitted to succeed simply by showing that the University‘s reasons were unworthy of credence. Rather, the instructions of the court required her to show that the reasons were unworthy of belief because the real reasons were discriminatory.
This collapsing of the indirect and direct branches of proof defeats the purpose of the McDonnell Douglas test. The test‘s three-step minuet of shifting burdens of production is, as Justice Rehnquist explained in Furnco Construction, an orderly means of evaluating evidence in light of a presumption that “otherwise unexplained” actions disadvantaging minorities are “more likely than not” the product of “an impermissible consideration such as race.” 438 U.S. at 577. If at the third step of the McDonnell Douglas test the plaintiff is required to prove directly that discriminatory reasons motivated the employer, then the plaintiff is denied the all-important Furnco presumption of impermissible motive; the McDonnell Douglas test is thereby reduced to an empty ritual. There is no reason for the parties to trudge through the three steps of the test if, at the third step, the plaintiff is forced to prove directly the ultimate issue of the case.5
Tr. at 536-37. Subsequently, the court reiterated this explanation:
In summary, you must find for the plaintiff if you find that the plaintiff has proved by a preponderance of the evidence that, one, she was better qualified for the position of assistant buyer in the trade book department than Miss Aiello, and, two, that the determinative factor of the defendant‘s decision to deny Miss Lewis the promotion was her race. In other words, but for the fact that Miss Lewis is black, she would have gotten a promotion. And, three, the reasons advanced by the defendant for denying her the promotion are not true, and, four, the defendant‘s reasons are merely a pretext for racially discriminatory reasons.
V.
While mistaken instructions are ofttimes insignificant and therefore harmless, in the present case it appears very likely that these instructions altered the verdict. In response to special interrogatories, the jury found as follows:
Number one, was the plaintiff, Ida Mary Lewis, qualified in October 1976, for the position of assistant buyer in the trade book department? Answer, yes.
Number two, was the plaintiff, Ida Mary Lewis, more qualified in October 1976, for the position of assistant buyer in the trade book department than Jean Aiello? The answer, yes.
Number three, would the plaintiff Ida Mary Lewis, have been promoted to the position of assistant buyer but for the fact she was black? Answer, no. So say you all.
Tr. 549-50. Despite its finding that Ms. Lewis was “more qualified” than the woman promoted in her place,6 the jury nonetheless found that race was not the “but for” cause of the University‘s decision. Given that the University‘s defense turned on its claim that Ms. Lewis performed her job poorly—that is, that she was less “qualified” than the other applicant—the special verdict lends critical significance to the judge‘s failure to explain the inferential method of evaluating the evidence. Having found that Ms. Lewis was “more qualified,” a properly charged jury might well have inferred under Furnco and Burdine that Ms. Lewis was a victim of discrimination. But because of the incorrect instructions, Ms. Lewis was denied this opportunity to prevail through the indirect method sanctioned by McDonnell Douglas.
The University seeks to avoid the implications of the special verdict by hypothesizing that the jury believed Ms. Lewis to have superior paper credentials, but inferior job performance. This theory, however, appears to have been foreclosed by the judge‘s careful instructions explaining the meaning of “qualifications:”
Education, training and experience are factors to be considered in determining the relative qualifications of the plaintiff and Jean Aiello if they are relevant to the person‘s ability to perform the job. Not all education, training or experience is relevant to the ability to perform every job. However, on-the-job performance is always relevant to a person‘s ability to perform in a similar or higher job.
Tr. at 534. Thus in answering “yes” to Interrogatory 2, the jury appears to have rejected the legitimate, nondiscriminatory reason advanced by the University. Under these circumstances, the erroneous instruction on inferential proof would normally require the grant of a new trial.
VI.
Although Ms. Lewis’ attorney repeatedly objected to the judge‘s instruction on causation, he did not request that the judge explain to the jury the inferential method of proof mandated at the third step of McDonnell Douglas. Instead, he focused on the instruction that race must be “the” determinative factor, rather than “a” significant factor. Tr. at 456, 459, 460. Thus, in order to review the trial court‘s explanation of inferential proof—an error independent of the one specifically identified by Ms. Lewis’ counsel—an appellate court must determine that the mistaken instructions constituted “plain error.” Smith v. Coy, 460 F.2d 1226, 1227 (3d Cir.1972).
Our Court, like others, will not find plain error except when the mistake is so funda-
VII.
The trial court committed a third error that was properly objected to and that would independently require a new trial: the exclusion of evidence showing nepotism. Ms. Lewis sought to introduce evidence indicating that nepotism influenced the decision to promote Jean Aiello in her place. In particular, Ms. Lewis asked to introduce testimony that Ms. Aiello was the niece of Mary Bonasso, operations manager of the bookstore and the second-highest ranking member of management. See Transcript of In-Chambers Conference (Dec. 13, 1982) at 6. Additionally, Ms. Lewis sought to introduce testimony that the two men who were immediately in charge of the promotion decision knew that their supervisor was Ms. Aiello‘s aunt.
The evidence of nepotism was clearly relevant to the present case for two distinct reasons. First, under McDonnell Douglas the burden upon Lewis at the third step was to show that the proffered legitimate, non-discriminatory reasons were not worthy of credence. If Lewis could establish that family relations were the controlling consideration in promotions at the bookstore, the University‘s defense that the individual chosen for promotion was the most qualified would be undermined. Thus, evidence of nepotism would contribute to the inferential proof of discrimination at the third step of the inquiry. Under Rule 401 of the Federal Rules of Evidence, such evidence was clearly admissible as having a “tendency to make the existence of any fact that is of consequence to the determination of the action more probable or less probable than it would be without the evidence.”
Second, nepotism is by its nature a non-objective consideration in hiring or promotional decisions that has the effect of locking in the racial and ethnic status quo. If a workforce is racially segregated and hiring
VIII.
The incorrect formulation of the ultimate burden of proof to be borne by the plaintiff, combined with presence of the plainly erroneous instructions on inferential proof under McDonnell Douglas and the exclusion of the nepotism evidence, requires that Ms. Lewis be given a new trial.
Beyond the immediate trial errors, however, this case points to the difficulty of protecting the statutory rights of minorities and women not to be subjected to discrimination in the hiring procedures utilized in our society. Necessarily, choices must be made in allocating a limited number of jobs and promotions. Decision-makers must assess abilities, ambitions, and a number of often indeterminate and non-quantifiable factors. Because in our society employment decisions are generally private, the ability of the courts to review these matters for evidence of discrimination is circumscribed. The time when applicants were turned down directly and openly on the basis of race, sex, national origin, and the like is fortunately drawing to a close. This does not mean, however, that there is no longer any discrimination or that the task of the courts in this regard has been simplified. Today we must address the less easily recognizable forms of discrimination that may be present in closed-door decisions to employ or promote individuals. Without sufficient attention to the need to eliminate considerations of race from any role in the hiring process and without sensitivity to inferential proof of discrimination, we would in effect retard the process of eradicating discriminatory practices and the advances that have been made in this area over the last several decades.
Because I do not believe that the majority opinion is sufficiently attuned to the difficulties of proof in this type of discrimination claim, and because of the errors committed at trial, I must respectfully dissent.
SUR PETITION FOR REHEARING
Before SEITZ, Chief Judge, ADAMS, GIBBONS, HUNTER, GARTH, HIGGINBOTHAM, SLOVITER and BECKER, Circuit Judges.
GARTH, Circuit Judge.
The petition for rehearing filed by Appellant Ida Mary Lewis in the above entitled case having been submitted to the judges who participated in the decision of this court, and to all the other available circuit judges of the circuit in regular active service, and no judge who concurred in the decision having asked for rehearing, and a majority of the circuit judges of the circuit in regular active service not having voted for rehearing by the court in banc, the petition for rehearing is denied.
ADAMS, GIBBONS, HIGGINBOTHAM, SLOVITER and BECKER, Circuit Judges, would grant the petition for rehearing.
Statement Sur Petition for Rehearing
ADAMS, Circuit Judge.
Although I do not wish to comment further on the substantive issues in this case, I am constrained to note my uneasiness about a procedural dilemma illustrated by the rejection of Ida Mary Lewis’ petition for rehearing in banc. Under the Third Circuit‘s longstanding practice, a judge who is disqualified in a particular case is in effect counted as a vote against rehearing.1
Today, as the foregoing order reveals, two of the ten active judges on our Court have recused themselves from voting on Ms. Lewis’ petition for rehearing. Thus under Third Circuit custom, her appeal may not be reheard unless six of the eight participating judges—that is, every judge not in the original panel majority—vote to reconsider her case. The vote is only 5-3 in favor of rehearing, and so the petition is denied. To Ms. Lewis, I fear, this result of our Court‘s in banc voting rule must appear quite unfair.
The main reason for our procedure is that it insures that major developments in the law of the Circuit reflect the participation of all members of the Court. If, for example, five of the ten judges are disqualified from a particular case, our rule absolutely precludes reconsideration of the panel decision. Were the rule otherwise, we could grant a petition for rehearing favored for example by a vote of 3-2. Then the “in banc” panel would consist of only five judges and the settled law of our Circuit could be overturned by as few as three members of the Court. Such a result would be at odds with the goal of intracircuit uniformity underlying Congress’ decision to authorize in banc proceedings, see H.R.Rep. No. 1246 (to accompany H.R. 3390), 77th Cong., 1st Sess. (1941); Hearings on S. 1053 Before a Subcommittee of the Senate Judiciary Committee, 77th Cong., 1st Sess. 14-16 (1941),2 a goal clearly embodied throughout our Court‘s Internal Operating Procedures (I.O.P.‘s),3 and especially emphasized by the Third Circuit‘s strict rule of stare decisis in I.O.P. 8C.4
Our approach, however, is by no means required by the wording of the in banc statute,
Cases and controversies shall be heard and determined by a court or division of not more than three judges, unless a hearing or rehearing before the court in banc is ordered by a majority of the circuit judges of the circuit who are in regular active service. A court in banc shall consist of all circuit judges in regular active service.
Until recently, most Courts of Appeals followed the same in banc vote-counting rule that our Court employs. Of late, however, a new trend has developed. As of now, four circuits—the Fourth,7 the Seventh,8 the Eighth,9 and the Ninth10—have chosen to grant in banc reconsideration whenever favored by a majority of the non-recused judges.11
While I acknowledge that sound reasons have been advanced to support this new trend, I am not persuaded that it represents the ideal accommodation of the conflicting
demands of fairness to the individual litigant and stability in a circuit‘s decisional law. Whatever may be the best solution, I believe that the current lack of uniformity among the circuits on this important issue creates the appearance of rights determined by happenstance. Accordingly, though I do not advocate that our Court use its rule-making power to follow the new trend, I do record my concern with the intercircuit conflict over the rules for granting in banc reconsideration and express the thought that Congress or the Supreme Court should provide definitive guidance at an early occasion.
