Dеfendant Marion Perlmutter hired plaintiff, Carolyn Phinney, as a senior research associate at the Institute of Gerontology (lOG) at the University of Michigan. At the time, Perlmutter was a research scientist at the lOG, and defendant Richard Adelman was the director of the institute. Plaintiff accused Perlmutter of stealing her research. Adelman appointed defendant Lois Verbrugge to conduct an investigation. The investigators found that Perlmutter was not guilty of scientific misconduct. Perlmutter was also found not guilty in two other investigations concerning allegations that she committed plagiarism. In the meantime, plaintiff lost her job at the lOG.
Plaintiff sued, alleging that Perlmutter had defrauded her of her research and that Adelman and defendant University of Michigan Board of Regents retaliated against her for reporting Perlmutter’s misconduct. The jury agreed with plaintiff and awarded her $133,000 in damages against Perlmutter for fraud and $989,200 against Adelman for retaliatory discrimination. The trial court, sitting as the Court of Claims, found no cause of action against the board of regents with regard to plaintiffs claim under the Whistle- *521 blowers’ Protection Act (wpa), MCL 15.361 el seq.; MSA 17.428(1) et seq.
In Docket No. 175485, which involved the fraud claim, Perlmutter appeals and plaintiff cross appeals the judgment against Perlmutter. We affirm in part and remand for a recalculation of the amount of prejudgment interest to which plaintiff is entitled.
In Docket No. 175857, the retaliation claim against Adelman, Adelman appeals and plaintiff cross appeals the judgment against Adelman. We affirm in part and remand for a recalculation of the amount of prejudgment interest to which plaintiff is entitled.
In Docket No. 176940, the claim against the board of regents, plaintiff appeals and the board of regents cross appeals the trial court’s order finding no cause of action against the board of regents. We affirm.
DOCKET NO. 175485
I
Perlmutter argues that the trial court lacked subject-matter jurisdiction because plaintiff’s claim involves rights arising under federal copyright law. We disagree.
Whether a court has subject-matter jurisdiction is a question of law.
Universal Am-Can Ltd v Attorney General,
*522
In general, a federal court does not have original jurisdiction over a case in which the complaint presents a state-law cause of action.
Franchise Tax Bd v Laborers Vacation Trust,
In addition, plaintiffs claim was not preempted by the Copyright Act. Before an action for infringement may be made under the federal Copyright Act, a publication must be registered. 17 USC 411(a);
Marshall & Swift v BS & A Software,
n
Perlmutter argues that the trial court abused its discretion by permitting plaintiff to file a fourth
*523
amended complaint. We disagree. Amendment is generally a matter of right rather than grace.
Patillo v Equitable Life Assurance Society of the United States,
m
Perlmutter argues that plaintiff’s claim was barred by the statute of frauds. We disagree. Assuming arguendo that plaintiff’s claim is inextricably bound to her contract claim, an agreement for an indefinite term of employment is generally regarded as not being within the proscription of the statute of frauds.
Toussaint v Blue Cross & Blue Shield of Michigan,
IV
Perlmutter argues that the trial court erred in denying her motion for a directed verdict based on governmental immunity. We disagree. Viewing the evidence in the light most favorable to plaintiff,
Hatfield v St Mary's Medical Center,
v
Perlmutter argues that the verdict against her was against the great weight of the evidence. We disagree. Perlmutter preserved this issue by moving for a directed verdict, a judgment notwithstanding the verdict (jnov), and a new trial on this basis.
The standard of review for JNOV requires review of the evidence and all legitimate inferences in the light most favorable to the nonmoving party.
Orzel v Scott Drug Co,
In order to prove fraud or misrepresentation, plaintiff had to show: (1) that Perlmutter made a material misrepresentation, (2) that it was false, (3) that Perl-mutter knew it was false or made the promise recklessly without knowledge of its truth or falsity, (4) that Perlmutter made the promise with the intent that plaintiff would act on it, (5) that plaintiff acted in reliance, and (6) that plaintiff suffered damage.
Arim v General Motors Corp,
*526 Plaintiff testified that her initial work for Perlmutter focused on preparing a grant application with the Spencer Foundation. Perlmutter repeatedly told plaintiff that plaintiff would have a full-timе position if the Spencer Foundation application was granted and that Perlmutter believed that the grant would be funded. Marion Faldet, the vice president and corporate secretary of the Spencer Foundation, testified that the foundation declined the application on July 20, 1988. Plaintiff and her assistant, Lisa Chiodo, testified that Perlmutter continued to promise employment through August and September, even though she must have known that the grant was rejected. During this time, plaintiff wrote out all the research she had done on the topic of “wisdom,” including the theoretical rationale and methodology for all the instruments she developed to test subjects on the topic. It was not until November 1988 that Perlmutter told plaintiff that the Spencer Foundation grant application had been rejected. According to Chiodo, in addition to the promise that plaintiff would be employed, Perlmutter promised that plaintiff would have first authorship on any scientific paper if Perlmutter used her research in grant writing.
In addition, testimony at trial showed that plaintiff and Chiodo believed that a grant of $150,000 to $200,000 would be requested for a three-year period. In reality, the application requested more than $2 million over a six-year рeriod. Although Perlmutter argues that it would have been “incredible” for her to deliberately sabotage the grant process by requesting an unfundable amount, the relevant issue at trial was not the reasonableness of the grant proposal, but whether Perlmutter informed plaintiff that she had *527 substantially increased the amount of the grant request.
Regarding damages,
1
in
Clemens v Lesnek,
Viewing the evidence in plaintiff’s favor, reasonable jurors could find that Perlmutter knowingly made several false representations. Similarly, reasonable jurors could find that Perlmutter made these representations with the intent that plaintiff would rely on them and continue to give Perlmutter access to her research, and that plaintiff did indeed rely on the representations in that manner. Reasonable jurors could find that such ongoing access to plaintiff’s research, regardless of whether identical grant applications had been sent simultaneously, made the representations material. Finally, reasonable jurors could find that *528 plaintiff suffered damages as a result of relying on Perlmutter’s misrepresentations. Accordingly, the trial court did not abuse its discretion in denying Perlmutter’s motions for a directed verdict and JNOV. Similarly, the trial court did not abuse its discretion in determining that the jury’s verdict was not against the great weight of the evidence.
VI
Perlmutter argues that the trial court abused its discretion by admitting inflammatory and misleading evidence. We disagree. The decision whether to admit evidence is within the sound discretion of the trial court and will not be disturbed on appeal absent an abuse of discretion.
Price v Long Realty, Inc,
First, Perlmutter argues that the trial court should not have admitted plaintiff’s testimony that Dr. W. Andrew Achenbaum told her that plaintiff was the fourth person to complain to him about Perlmutter. To the extent that Perlmutter is arguing that the trial court should have instructed the jury to consider the evidence against the university only, and not against Perlmutter, she waived that argument by failing to request such an instruction.
In re Forfeiture of $19,250,
We do not believe that the trial court abused its discretion in admitting plaintiff’s Exhibits 9, 10, and 11 as complete documents. Because plaintiff’s Exhibits 119, 120, 121, and 122 tended to show that Perlmutter was not as heavily recruited as her testimony made it appear, the trial court did not abuse its discretion in
*529
determining that they were relevant to Perlmutter’s credibility. MRE 401;
People v Bahoda,
Regarding Perlmutter’s proposed Exhibit 10, she failed to make an offer of proof to provide this Court with the information it needs to evaluate the claim of error. MRE 103(a)(2);
People v Stacy,
The trial court did not abuse its discretion with respect to any of the evidentiary issues raised by Perlmutter.
vn
Perlmutter argues that the trial court made several errors in instructing the jury. We agree in part.
*530 A
First, Perlmutter argues that the trial court erred in refusing to give an instruction that damages for emotional distress are not recoverable in a fraud action. We disagree. Perlmutter requested an instruction that “[d]amages for emotional distress, humiliation, injury to reputation or exemplary damages are not available in a fraud claim.” In refusing to give the jury this instruction, the trial court noted the general rule that absent tortious conduct independent of a breach, damages for mental distress are not available in a claim for breach of contract. However, the court also noted that when the contract has elements of personality, and when the damage suffered is not compensable by reference to the contract, damages for mental distress may be appropriate. Finally, the court stated that because the promises in this case involved matters of personality, damages for mental distress were awardable.
When a party requests an instruction that is not covered by the standard jury instructions, the trial court may, in its discretion, give additional, concise, understandable, conversational, and nonargumentative instructions, provided they are applicable and accurately state the law.
Chmielewski v Xermac, Inc,
In Michigan, mental distress damages are not recoverable for the breach of a commercial contract unless it can reasonably be said that such damages were contemplated by the parties at the time that the contract was made.
Kewin v Massachusetts Mutual Life Ins Co,
We are not bound in this case by contractual principles only. First, plaintiff alleged tortious conduct. In
Kewin, supra,
p 423, the plaintiff “alleged and proved no more than the failure of the defendant to discharge its obligations under the disability insurance contract.” Similarly, in
Valentine v General American Credit, Inc,
Second,
Kewin
requires not only allegation but also proоf of tortious conduct.
Phillips, supra,
p 251;
Valentine, supra,
p 263;
Kewin, supra,
pp 420-421. Thus, in
Roberts v Auto-Owners Ins Co,
Finally, the tortious conduct must be independent of the contractual breach. Phillips, supra, p 251; Kewin, supra, pp 420-421. Here, plaintiff alleged that her authorship and coauthorship of scientific papers, *532 grant applications, and studies were not within the scope of her employment. At trial, plaintiff testified that, in reliance on Perlmutter’s misrepresentations, she worked without pay and shared the resulting creative work and research with Perlmutter.
Because plaintiff alleged and proved tortious conduct independent of any contractual claim, the trial court erred in limiting the available damages to those based on contract principles.
Phillips, supra,
pp 251-252. Despite the trial court’s error, reversal is not required. This Court will not reverse where the right result is reached for the wrong reason.
Welch v District Court,
Generally in tort casеs actual damages include compensation for mental distress and anguish.
Phillips, supra,
p 251, n 32;
Veselenak v Smith,
In determining whether mental distress damages were awardable, the trial court stated:
The relationship between Phinney and Perlmutter was not strictly one of business. At the heart of this action was the use of mental impressions, creative works and academic research.
*533 We agree with this assessment and hold that in the context of such a relationship, 2 emotional distress reasonably might have been anticipated as a legal and natural consequence of Perlmutter’s actions.
Perlmutter relies on
Pantelas v Montgomery Ward & Co, Inc,
The trial court erred in limiting damages to those based on contractual principles. Phillips, supra, pp 251-252; Kewin, supra, pp 420-421. However, because damages for mental distress were awardable in this case under tort principles, the trial court correctly refused the give the instruction requested by Perlmutter. Clemens, supra, pp 463-464; Price, supra, p 472; Shaw, supra, p 311.
B
Perlmutter argues that the trial court abused its discretion by refusing to instruct the jury that plaintiff
reasonably
must have relied on any representation made by Perlmutter. We disagree. Michigan courts have repeatedly cited the elements for a claim of fraud and misrepresentation as requiring that the “plaintiff acted in reliance upon [a material misrepresentation].”
Kassab v Michigan Basic Property Ins Ass’n,
Perlmutter relies on
Montgomery Ward & Co v Williams,
To defeat an otherwise righteous cause for fraud, by means of the allegation that the plaintiff had timely knowledge of the fact he says was falsely represented, proof of negligence on his part will not suffice. The representation and its materiality proven, it must be shown that the plaintiffs knowledge was so informatively complete as to render the allegation of reliance quite as false as the representation itself.
In other words, someone who knows that a representation is false cannot rely on that representation. Such knowledge prevents not only reasonable reliance, it prevents any reliancе at all. Accordingly, Montgomery Ward and Sautter are consistent with a requirement of actual, and not reasonable, reliance.
Our decision is complicated by the opinion in
Nieves v Bell Industries Corp,
Defendant also contends that the trial court erred in refusing to dismiss plaintiffs misrepresentation claim. We agree. A misrepresentation claim requires reasonable reliance on a false representation. See State-William Partnership v Gale,169 Mich App 170 ;425 NW2d 756 (1988). There can be no fraud where a person has the means to determine that a representation is not true. Montgomery Ward & Co v *536 Williams,330 Mich 275 ;47 NW2d 607 (1951); Webb v First of Michigan Corp,195 Mich App 470 , 474;491 NW2d 851 (1992). Here, plaintiff acknowledged that he read the at-will employment language in the various documents presented to him and that Lemer could not alter the terms of the employment agreement. He chose to believe Lemer rather than the signed contract. However, a plaintiff cannot claim to have been defrauded where he had information available to him that he chose to ignore. Webb, supra, p 475.
Numerous cases both before and after
Nieves
have required only actual, and not reasonable, reliance. See, e.g.,
James v City of Burton,
In any case, as its support for the proposition that a misrepresentation claim requires reasonable reliance, Nieves cites State-William, supra, p 179, which stated:
Defendants’ fraud claim also fails because Gale could not reasonably rely on the alleged statements that the Bagel Place would rent the premises when the land contract expressly required plaintiff to deliver that space vacant. Gale expressly reserved to himself that space, and cannot later claim that he relied on plaintiff to lease it when making his decision to purchase the building. [Emphasis added.]
*537 A close reading of this language in State-William shows that the Court actually made an estoppel-type argument that prevented the counterclaim defendant from being able to show actual reliance. In addition, earlier in State-William, the Court had cited the elements of fraudulent misrepresentation as only requiring reliance. Id., p 178. The Court never cited any authority requiring reasonable, as opposed to actual, reliance. We believe that the misstatement in Nieves derives from this misreading of State-William.
The trial court did not err in refusing to give the instruction requested by Perlmutter.
c
Because Perlmutter never objected on the record to the instruction regarding the burden of proof before the jury retired to deliberate, appellate review of this issue is precluded absent manifest injustice. MCR 2.516(C);
Phillips v Deihm,
vm
Perlmutter argues that the judgment erroneously failed to distinguish between past and future damages. However, she stipulated the use of a general verdict form. Error requiring reversal cannot be error to which the aggrieved party contributed by plan or negligence.
Harville v State Plumbing & Heating, Inc,
rx
Perlmutter argues that the damages awarded by the jury were excessive. We disagree. There was evidence from plaintiffs treating physician about her emotional distress and prognosis. In addition, other testimony showed that plaintiffs career would be damaged. The amount awarded was not greater than the highest amount the evidence can support. MCR 2.611(E)(1);
Palenkas v Beaumont Hosp,
Although the trial court may consider whether a verdict was induced by bias or prejudice, its inquiry must be limited to objective considerations relating to the actual conduct of the trial or to the evidence adduced.
Palenkas, supra,
p 532;
Howard v Canteen Corp,
*539 x
Perlmutter argues that a new trial should have been granted on the basis of newly discovered evidence. We disagree. The excerpt of plaintiffs interview that Perlmutter provided in her appeal is ambiguous. In any case, the fact that plaintiff was able upon discovery of Perlmutter’s scheme to prevent further injury did not undo the damage that had already been inflicted. After reviewing the record, we do not believe that the trial court abused its discretion in denying Perlmutter’s motion for a new trial.
People v Miller (After Remand),
XI
Perlmutter argues that the trial court erred in failing to determine whether jury misconduct required a new trial. We disagree. Perlmutter did not make an affirmative showing of prejudice. Nor do the facts that Perlmutter presented clearly establish an inference that juror prejudice occurred. The trial court did not abuse its discretion in denying Perlmutter’s motion for a new trial.
People v Strand,
XII
On cross appeal, plaintiff argues that the trial court should have granted interest from the date of the filing of plaintiff’s original complaint. We agree.
Plaintiff first filed a complaint against Perlmutter on October 1, 1990. However, that complaint did not *540 allege fraud and misrepresentation, the theory upon which рlaintiff ultimately recovered. Plaintiff did not allege fraud and misrepresentation against Perlmutter until her fourth amended complaint, which was filed on March 11, 1992. The trial court ruled that judgment interest on the amount recovered from Perlmutter should run from the date of the filing of the fourth amended complaint.
This Court reviews de novo the award of prejudgment interest pursuant to MCL 600.6013(1); MSA 27A.6013(1).
Beach v State Farm Mutual Automobile Ins Co,
Interest shall be allowed on a money judgment recovered in a civil action, as provided in this section, except that for complaints filed on or after October 1, 1986, interest shall not be allowed on future damages from the date of filing of the complaint to the entry of judgment. As used in this subsection, “future damages” means that term as defined in [MCL 600.6301; MSA 27A.6301],
Imposition of statutory interest under this statute is mandatory.
Hadfield v Oakland Co Drain Comm’r,
When courts construe statutes, their primary goal is to ascertain and give effect to legislative intent.
Institute in Basic Life Principles, Inc v Watersmeet Twp (After Remand),
Here, the question posed by plaintiff has not been squarely addressed. Neither Rittenhouse, supra, nor Beach, supra, involved a plaintiff who filed an amended complaint that changed the theory of liability under which the plaintiff eventually recovered from the defendant. It would not seem to further the purpose of prejudgment interest to award it in a situation where the plaintiff’s amendment changed the theory of liability. However, the prejudgment interest statute is remedial in nature and is to be construed liberally in favor of the plaintiff. Hadfield, supra, p 357. The Supreme Court has held that the relation back of amendments for other purposes is not analogous to the purposes of prejudgment interest. Rittenhouse, supra, p 218 (Riley, J.). Rather, “the complaint” for purposes of this statute is the “formal complaint filed against the defendant upon whom the prejudgment interest is being taxed.” Id., p 217 (Riley, *542 J.). Accordingly, prejudgment interest was awardable from the date that a complaint was filed against Perl-mutter. Id. Contrary to Perlmutter’s argument, plaintiff is entitled to prejudgment interest for future damages when the action does not result from personal bodily injury. Paulitch, supra, pp 662-663. We remand and instruct the trial court to recalculate prejudgment interest from the date that plaintiff filed her original complaint.
DOCKET NO. 175857
xm
Defendant Adelman argues that the Court of Claims had exclusive jurisdiction over the claim against him because he is a state official. We disagree. Ordinarily, state actors may be sued only in the Court of Claims.
Anzaldua v
Band,
XIV
Defendant Adelman argues that he is entitled to a new trial because plaintiff was not entitled to a jury trial under the wpa. We disagree. After an extensive discussion, this Court held recently that the wpa subjects state entities to jury trials. Anzaldua, supra, p 589. In any case, Adelman waived this challenge by consenting to the jury trial.
*543 XV
Defendant Adelman argues that the trial court abused its discretion by permitting plaintiffs fourth amended complaint. We disagree. In granting plaintiffs motion for leave to amend her complaint, the trial court imposed $10,000 in costs upon plaintiff. Defendant Adelman has not shown bad faith on plaintiff’s part or that the amendment caused him prejudice. The argument that the amendment was futile because of a ninety-day statute of limitations is treated in issue xvi. The trial court did not abuse its discretion in granting plaintiff’s motion for leave to amend her complaint. Patillo, supra, p 456.
xvi
Defendant Adelman argues that plaintiff’s claim against him was barred by the statute of limitations. We disagree. In reviewing a motion for summary disposition pursuant to MCR 2.116(C)(7), this Court accepts the plaintiff’s well-pleaded allegations as true and considers all the documentary evidence that the parties disputed.
Bowers v Bowers,
Plaintiff’s original complaint of October 1, 1990, did not name Adelman as a defendant. Plaintiff first named Adelman as a defendant in her first amended complaint on April 1, 1991. On appeal, Adelman asserts for the first time that, for purposes of the statute of limitations, the filing date of plaintiff’s claim against him should be April 1, 1991. When Adelman’s counsel raised a statute of limitations argument before the trial court, he argued that “[t]he suit involving Dr. Adelman was, likewise, not started until October 1 of 1990.” In renewing Adelman’s motion,
*544
counsel again referred to that date. As a general rule, issues not raised before the trial court are not рroperly preserved for appellate review.
People v Connor,
Adelman argues in the alternative that if October 1, 1990, is the appropriate date, then the allegations against Adelman were present effects of earlier decisions that do not extend the wpa limitation period. A civil action under the wpa must be brought within ninety days after the “occurrence of the alleged violation of this act.” MCL 15.363(1); MSA 17.428(3)(1);
Covell v Spengler,
It is not disputed that plaintiff was denied housing at the Institute for Gerontology within ninety days of October 1, 1990. Similarly, it is not disputed that plaintiff was denied a position in Seрtember 1990. However, other acts alleged by plaintiff clearly pre *545 dated the filing of plaintiffs complaint by more than ninety days. For example, plaintiff alleges that Adelman suspended her for insubordination from October 13, 1989, to October 17, 1989, and that Adelman repeatedly attempted to coerce plaintiff into relinquishing her first authorship rights in November 1989. Accordingly, we must determine whether the continuing violations doctrine applies to claims under the wpa, an issue that is one of first impression.
In
Sumner v Goodyear Tire & Rubber Co,
The rationale that necessitated development of the doctrine in the federal courts and that led the Michigan Supreme Court to adopt the doctrine for claims
*546
under the fepa, the Civil Rights Act, and the hcra supports the application of the doctrine to claims under the wpa. First, like title VII of the 1964 Civil Rights Act, the wpa is a remedial statute that is to be liberally construed in favor of the persons intended to be benefited.
Dudewicz v Norris-Schmid, Inc,
Having determined that the continuing violations doctrine is applicable to claims under the wpa, we must determine whether the doctrine is relevant to this case. In
Sumner,
the Court noted that there were three distinct subtheories under the continuing violations doctrine.
Sumner, supra,
p 528. Thе “policy of discrimination” subtheory involves “allegations that an employer has engaged in a continuous policy of discrimination.” The “continuing course of conduct” subtheory involves a situation “where an employee challenges a series of allegedly discriminatory acts which are sufficiently related so as to constitute a pattern, only one of which occurred within the limitation period.”
Id.
Finally, the “present effects of past discrimination” subtheory involved the situation where “a party suffered timely effects or injury from a past untimely act of discrimination.”
Id.
This subtheory ceased to be actionable following the United
*547
States Supreme Court’s decision in
United Air Lines, Inc v Evans,
Here, there was not sufficient evidence to support a claim under a theory of a “policy of discrimination.” For example, in Evans, supra, a stewardess had been forced to resign under then-existing company rules that required stewardesses, but not male employees, to resign when they got married. Similarly, in Robson v General Motors Corp, a companion case to Sumner, supra, the issue involved whether General Motors guidelines violated the plaintiff’s rights under the HCRA. There was no comparable university policy at issue here. Rather, this case is comparable to Sumner, supra, where the plaintiff was allegedly subject to a continuing course of racial harassment that culminated in his dismissal. Thus, the question here is whether there was a genuine issue оf material fact concerning whether there was a “continuing course of conduct” that satisfied the requirements of the continuing violations doctrine.
In applying the “continuing course of conduct” sub-theory, the Sumner Court considered the following factors:
The first is subject matter. Do the alleged acts involve the same type of discrimination, tending to connect them in a continuing violation? The second is frequency. Are the alleged acts recurring (e.g. a biweekly paycheck) or more in the nature of an isolated work assignment or employment decision? The third factor, perhaps of most importance, is degree of permanence. Does the act have the degree of permanence which should trigger an employee’s awareness of and duty to assert his or her rights, or which should indicate to the employee that the continued existence of the adverse consequences of the act is to be expected without *548 being dependent on a continuing intent to discriminate? [Sumner, supra, p 538, quoting Berry v LSU Bd of Supervisors, 715 F2d 971, 981 (CA 5, 1983).]
As in Sumner, the facts here fit within this analysis. The alleged acts involved the same subject matter, i.e., retaliation, and occurred with fairly high frequency. Sumner, supra, pp 538-539. As with harassment, the nature of a retaliatory act is that it ceases once the intent to retaliate ends. It does not provide notice of subsequent neutrally initiаted injuries. Id., p 539. Accordingly, we believe that there was a genuine issue of material fact regarding whether there was a continuing course of conduct that violated the plaintiff’s rights under the wpa.
Of course, the mere existence of a continuing violation is insufficient if none of the relevant conduct occurred within the limitation period. Id., pp 539, 543. Indeed, Adelman’s central argument is that the acts that occurred within the ninety-day statute of limitations were not independent acts of discrimination, but rather present effects of past discrimination. However, unlike in Knight v Blue Cross-Blue Shield of Michigan, a companion case to Sumner, supra, p 544, here there was evidence of retaliatory acts within the limitation period. We believe that there was a genuine issue of material fact that the denial of housing at the Institute for Gerontology and the denial of a position in September 1990 were independent acts of discrimination sufficiently connected with the prior acts to constitute a continuing violation. Accordingly, the trial court did not err in denying Adelman’s motion for summary disposition.
*549 xvn
Adelman argues that the trial court erred in denying his motions for summary disposition, a directed verdict, and JNOV where plaintiffs claim was barred by the doctrine of governmental immunity. We disagree.
In determining whether a plaintiffs claim is barred by immunity granted by law, MCR 2.116(C)(7), a court must consider all documentary evidence filed or submitted by the parties.
Tryc v Michigan Veterans' Facility,
Here, it is not disputed that Adelman was engaged in the exercise of a governmental function. Accordingly, were plaintiff an ordinary citizen, the governmental immunity act would generally bar her from suing Adelman for tort liability. However, the wpa explicitly includes the state in its definition of “employer,” MCL 15.361(b); MSA 17.428(1)(b). Similarly, the statute includes an agent of an employer within its definition of an “employer.” Id. Accordingly, we must determine whether the wpa operates as an exception to the governmental immunity act.
*550
In an analogous case,
Madison v Detroit,
All of those factors apply here. First, like Madison, this case concerns the duties of a governmental agency as an employer. Accordingly, the governmental immunity statute must be read in pari materia with the wpa. Second, the extension of remedies under the wpa is consistent with the protections that the governmental immunity act offers to governmental employees against third parties. Third, the wpa not only “contains no language freeing the government from its *551 requirements, regulations and restraints in other areas,” id., but it explicitly includes the state in its definition of “employer.” MCL 15.361(b); MSA 17.428(1)(b). Accordingly, the wpa treats the state like any other employer.
In addition, where there are two acts or provisions, one of which is special and particular and certainly includes the matter in question and the other general, which, if standing alone, would include the same matter and thus conflict with the special act or provision, the special act must be taken as intended to constitute an exception to the general act, because the Legislature is not to be presumed to have intended a conflict. Driver, supra, p 17. We hold that the specific duties that the wpa requires of state entities and their agents constitute an exception to the general rule established by § 7 of the governmental immunity act. Madison, supra, pp 360-361; Driver, supra, p 17. Accordingly, Adelman’s claim must fail.
xvm
Adelman argues that insofar as the wpa abrogates governmental immunity, it violates the Title-Object Clause of the Michigan Constitution. We disagree. Const 1963, art 4, § 24 provides:
No law shall embrace more than one object, which shall be expressed in its title. No bill shall be altered or amended on its passage through either house so as to change its original purpose as determined by its total content and not alone by its title.
When assessing a title-object challenge to the constitutionality of a statute, all possible presumptions should be afforded to find constitutionality.
Lawnichak v Dep’t of Treasury,
Here, the purpose of the wpa is to protect employees who suffer retaliation for reporting violations of law. Dudewicz, supra, p 77. The inclusion of the state within the definition of employer is merely incidental to this purpose. Accordingly, the wpa does not violate the Title-Object Clause of the constitution. Lawnichak, supra, pp 620-621; Ace Tex, supra, p 615.
XIX
Adelman argues that the trial court abused its discretion by denying his motions for summary disposition, a directed verdict, and JNOV where plaintiff failed to prove that she engaged in protected activity or made any report to higher authority, to establish any nexus between her alleged protected activity and the *553 nonrenewal of her appointment, or to demonstrate pretext. We disagree.
Adelman’s argument focuses entirely on the evidence that plaintiff presented at trial. Accordingly, the portion of this issue dealing with Adelman’s motion for summary disposition has been abandoned on appeal as being insufficiently briefed.
Dresden v Detroit Macomb Hosp Corp,
In order to establish a prima facie case under the wpa, the plaintiff must establish: (1) that plaintiff was engaged in protected activities as defined by the act; (2) that plaintiff was subsequently discharged, threatened, or otherwise discriminated against; and (3) that a causal connection existed between the protected activity and the discharge, threat, or discrimination. MCL 15.362; MSA 17.428(2);
Terzano, supra,
p 526;
Hopkins v Midland,
reports or is about to report, verbally or in writing, a violation or a suspected violation of a law or regulation or rule promulgated pursuant to law of this state, a political subdivision of this state, or the United States to a public body, unless the employee knows that the report is false, or because an employee is requested by a public body to participate in an investigation, hearing, or inquiry held by that public body, or a court action. [MCL 15.362; MSA 17.428(2).]
*554 Here, plaintiff made several reports of “a violation or a suspected violation of a law or regulation or rule.” Plaintiff testified that she reported her allegations to many University of Michigan employees: Pam Donaldson, a personnel officer; Dr. Achenbaum, a faculty member of the IOG; Adelman, the director of the IOG; and Verbrugge, the person whom Adelman appointed to investigate plaintiffs allegations. Plaintiff told these employees that Perlmutter was tiying to take credit for her research, that Perlmutter was breaking employment contracts with her, and that Perlmutter had stolen data and a test instrument library from her.
Adelman’s argument would have this Court hold that larceny, among other applicable regulations and statutes, is not “a violation or a suspected violation of a law or regulation or rule promulgated pursuant to law of this state, a political subdivision of this stаte, or the United States to a public body.” Id. We decline to adopt Adelman’s position. See MCL 750.356 et seq.; MSA 28.588 et seq.; Dudewicz, supra, p 75 (wpa not limited to violations of laws closely connected with the employment setting). In addition, whether plaintiff sought personal gain in making her reports, rather than the public good, is legally irrelevant and need not be addressed except to note that the reporting of misconduct in an agency receiving public money is in the public interest. Accordingly, when the evidence is viewed in the light most favorable to plaintiff, Hatfield, supra, p 325; Severn, supra, p 412, she made a report of a violation or a suspected violation of a law or regulation or rule.
Second, the wpa requires that a report of a violation or suspected violation be made to a “public body.”
*555
MCL 15.362; MSA 17.428(2). Remedial statutes such as the wpa are to be liberally construed in favor of the persons intended to be benefited.
Dudewicz, supra,
p 77. Although Adelman argues that plaintiffs reports had to be made to a “higher authority,” the University of Michigan satisfies the statutory definition of a public body. MCL 15.361(d)(iv); MSA 17.428(1)(d)(iv); Const 1963, art 8, § 4. In addition, plaintiffs allegations triggered a University of Michigan police investigation. Finally, unlike the plaintiff police officer in
Dickson v Oakland Univ,
Finally, there was sufficient evidence regarding the nexus between the retaliatory action and the protected activity and regarding whether Adelman’s alleged nondiscriminatory reasons for his conduct were a pretext. When Adelman was asked if he had repeatedly expressed to plaintiff the need for her to drop the charges, he replied, “In the context of refocusing her energies on her publication record, yes.” Adelman admitted that he told plaintiff that she was jeopardizing her career by focusing on the conflict with Perlmutter. Finally, Adelman stated:
I finally got to the point where I had to use threats rather than begging and cajoling. You know, “Carolyn, please, publish your research.” To Carolyn: “Publish your research already or you’re gone.” Yes. Yes, that’s exactly what I did.
Viewing this evidence in a light most favorable to plaintiff, Hatfield, supra, p 325; Severn, supra, p 412, á jury could reasonably find that Adelman threatened to terminate plaintiffs employment if she did not *556 drop the charges and that the issue of publication was a pretext.
The trial court did not abuse its discretion in denying Adelman’s motions for a directed verdict and jnov. Hatfield, supra, p 325; Severn, supra, p 412.
xx
Adelman argues that the trial court should have granted his motion for jnov because plaintiff’s construction of the wpa is unenforceable. We disagree. The gist of plaintiff’s claim was that Adelman retaliated against plaintiff for raising questions that triggered a university investigation. Plaintiff does not contest whether the investigation was begun pursuant to regulation. Plaintiff did not bring a claim under the Copyright Act. Nor did plaintiff sue to recover lost intellectual property such that her claim would chill expression. Although plaintiff complained of lost intellectual property when she spoke with Adelman, that property was not the subject of plaintiff’s complaint against Adelman in this suit. Adelman’s argument is without merit.
XXI
Adelman argues that the trial court failed to properly instruct the jury about the quantum of proof. To preserve for review an issue concerning a jury instruction, a party must object on the record before the jury retires to deliberate. MCR 2.516(C); Mina, supra, p 680. Here, despite a lengthy conference concerning the jury instructions, Adelman did not raise these objections to the instructions before the jury’s retirement to deliberate. Rather, defendant raised these objections as part of his motion for a new trial. *557 This Court wall review an unpreserved issue concerning an error in jury instruction only when necessary to prevent manifest Injustice. Id. Manifest injustice occurs where the defеct in instruction is of such magnitude as to constitute plain error, requiring a new trial, or where it pertains to a basic and controlling issue in the case. Id.
Here, this Court has previously required that a plaintiff establish a claim under the wpa by a preponderance of the evidence. See Hopkins, supra, p 378. In any case, the wpa protects an employee who “reports or is about to report” a violation or suspected violation. MCL 15.362; MSA 17.428(2). The wpa then states that the clear and convincing evidence standard applies to the “about to report” element. MCL 15.363(4); MSA 17.428(3)(4). The language of the statute is clear and unambiguous that the clear and convincing standard applies to the “about to report” element of MCL 15.362; MSA 17.428(2) only, and not to other elements of a plaintiffs claim. See Schlinker & Szymanski, Michigan Whistle-Blowers’ Protection Act: A Practitioner’s Guide, 74 Mich B J 1192, 1193 (1995). Failure to review this issue would not result in manifest injustice. Mina, supra, p 680. Similarly, failure to review the issue of the trial court’s failure to instruct the jury sua sponte about the elements of the wpa would not result in manifest injustice. Id.
xxn
Adelman argues that the trial court improperly deferred to the jury’s findings. We disagree. The fact that the trial court denied Adelman’s motions for a directed verdict and JNOV, but sitting as the Court of Claims found in favor of the university, reflects the
*558
trial court’s understanding of the differing standards applicable to those separate roles. A trial court sitting as the Court of Claims is not obligated to return a verdict consistent with the jury’s verdict in a circuit court action joined with a Court of Claims action.
Lumley v Univ of Michigan Bd of Regents,
XXTTT
Adelman argues that he is entitled to a new trial because of several evidentiary errors. We disagree. Objections to the admission of evidence may not be raised for the first time on appeal absent manifest injustice. In re Forfeiture of $19,250, supra, p 32.
Here, there were no objections to plaintiff’s testimony about an alleged “fraud buster,” her testimony that a staff member of Congressman John Dingell maintained an open file against the University of Michigan, or plaintiff’s testimony “of vague stories.” In addition, only Perlmutter’s counsel objected to plaintiff’s testimony regarding the comments of Dr. Achenbaum. 4 Adelman has waived each of these issues. Id. Regarding Perlmutter’s Exhibit 10, the discussion at trial indicates that the exhibit was part of an earlier exhibit offered by plaintiff. The earlier exhibit was excluded on objection from Adelman’s counsel. Error requiring reversal cannot be error to which the aggrieved party contributed by plan or negligence. Harville, supra, p 324.
Plaintiff’s testimony regarding Marianne Zоrza was responsive to the question posed by counsel for Perl- *559 mutter. The trial court appropriately limited any resulting prejudice by directing counsel to move to another area of questioning. See Price, supra, p 466. Similarly, the trial court did not abuse its discretion in limiting the cross-examination of Chiodo. MRE 611(b); Wischmeyer, supra, pp 474-475; see issue vi.
The trial court did not abuse its discretion in denying Adelman’s motion for a new trial. Mahrle, supra, p 351.
XXIV
Adelman argues that the trial court erred in failing to grant remittitur or a new trial. We disagree. First, the amount was not greater than the highest amount the evidence can support. MCR 2.611(E)(1); Palenkas, supra, pp 531-532. Although the issue was disputed, plaintiff presented two expert witnesses who testified that plaintiff suffered from posttraumatic stress disorder. Second, the trial court did not abuse its discretion in determining that the jury’s verdict was not motivated by impermissible considerations. Palenkas, supra, p 532; Howard, supra, p 436. Regarding the failure to distinguish between past and future damages, Adelman did not object to the jury verdict form and has waived this issue. Harville, supra, p 324.
Adelman also argues that emotional distress damages are not awardable under the wpa. We disagree. In
Howard, supra,
pp 435-436, this Court held that damages for mental anguish, emotional distress, and humiliation are awardable in a claim under the Civil Rights Act. Here, the wpa provides that a “person who alleges a violation оf this act may bring a civil action for appropriate injunctive relief, or actual damages, or both.” MCL 15.363(1); MSA 17.428(3)(1). The statute
*560
then defines damages as “damages for injury or loss caused by each violation of this act, including reasonable attorney fees.” MCL 15.363(3); MSA 17.428(3)(3). The Civil Rights Act uses identical language in describing the remedy for a person alleging a violation of the action and in providing a definition of damages. MCL 37.2801(1) and (3); MSA 3.548(801)(1) and (3). Given the fact that the relevant language of the wpa is identical to that of the Civil Rights Act, we hold that emotional distress damages are awardable in a claim brought under the wpa.
Howard, supra,
pp 435-436; see
Skene v Fileccia,
XXV
On cross appeal, plaintiff argues that the trial court abused its discretion by denying attorney fees on the ground that plaintiff received a substantial judgment. We disagree. Awards of costs and attorney fees are recoverable only where specifically authorized by a statute, a court rule, or a recognized exception.
Yuhase v Macomb Co,
Here, the wpa states that the “court may also award . . . reasonable attorney fees ... if the court determines that the award is appropriate.” MCL 15.364; MSA 17.428(4). If the language of a statute is clear and unambiguous, the plain meaning of the statute reflects the legislative intent and judicial construction
*561
is not permitted.
Tryc, supra,
p 136. The term “may” in a statute ordinarily designates a permissive provision.
Jordan v Jarvis,
Because of the private nature of plaintiff’s claim, and because of the monetary nature of her damages, this is not a case where it would have been difficult for plaintiff to obtain and compensate competent counsel without some guarantee that her counsel could recover attorney fees and costs if successful. See
Eide, supra,
p 161; see also
Howard, supra,
p 441;
Yuhase, supra,
pp 13-14. In addition, the trial court properly considered the existence of the contingent fee arrangement between plaintiff and her counsel as “merely one of the factors to be considered” in determining whether to award attorney fees.
Wilson v General Motors Corp,
*562 XXVI
Plaintiff argues that the trial court erred in refusing to grant plaintiff interest from the date of the filing of plaintiff’s original complaint. We agree in part. Here, plaintiff did not name Adelman as a defendant until the first amended complaint, which was filed on April 1, 1991. Although plaintiff did not add a wpa claim against Adelman until her fourth amended complaint, the relation back of amendments for other purposes is not analogous to the purposes of prejudgment interest. Rittenhouse, supra, p 218 (Riley, J.). Rather, “the complaint” for purposes of this statute is the “formal complaint filed against the defendant upon whom the prejudgment interest is being taxed.” Id., p 217. Accordingly, we remand with instructions that the trial court recalculate prejudgment interest from the date of the filing of the first amended complaint. In addition, as held in issue xn, plaintiff is entitled to prejudgment interest for future damages when the suit does not result from personal bodily injury. Paulitch, supra, pp 662-663.
xxvn
Finally, plaintiff argues that the trial court erred in dismissing her whistleblower claim against defendant Verbrugge because the fraudulent concealment statute, MCL 600.5855; MSA 27A.5855, tolled the running of the statute of limitations. We disagree.
Under the fraudulent concealment statute, the limitation period is tolled when a party conceals the fact that the plaintiff has a cause of action.
Sills v Oakland General Hosp,
Here, plaintiff failed to plead sufficient facts to show fraudulent concealment. In addition, plaintiff fails to cite any record evidence that Verbrugge actively concealed the report from her. On the other hand, the record does show that plaintiff knew of the report and that it was critical of her. The trial court did not err in granting Verbrugge’s motion for summary disposition.
Id.) Witherspoon v Guilford,
DOCKET NO. 176940
xxvm
Plaintiff argues that the trial court clearly erred in finding that plaintiff had failed to establish that defendant board of regents violated the wpa. We disagree.
Under the wpa, the plaintiff has the initial burden of establishing by a preponderance of the evidence a prima facie case of discrimination.
Hopkins, supra,
p 378. If the plaintiff succeeds, the burden shifts to the defendant to articulate some lеgitimate, nondiscriminatory reason for the adverse action.
Id.
If the defendant carries this burden, the plaintiff must have an opportunity to prove that the legitimate reason offered by the defendant was not the true reason, but was only a pretext for discrimination.
Id.
The plaintiff may meet her burden of showing pretext “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.,
p 380. After
*564
reviewing the record, we believe that the trial court did not clearly err in finding that the board of regents had showed legitimate, nondiscriminatory reasons for the adverse actions and that plaintiff had not adequately showed pretext. To the extent that plaintiff argues that the trial court erred by employing the wrong burden of proof, she failed to preserve this issue by not raising it in the statement of questions presented. MCR 7.212(C)(5);
Marx v Dep’t of Commerce,
xxrx
Plaintiff argues that the court should order appropriate injunctive relief. In addition, the board of regents makes several arguments on cross appeal. In light of our resolution of the previous issue, these issues are moot.
In Docket No. 175485, we affirm in part and remand for a recalculation of the amount of prejudgment interest to which plaintiff is entitled. We do not retain jurisdiction. Plaintiff, being the prevailing party, may tax costs pursuant to MCR 7.219.
In Docket No. 175857, we affirm in part and remand for a recalculation of the amount of prejudgment interest to which plaintiff is entitled. We do not retain jurisdiction. Plaintiff, being the prevailing party, may tax costs pursuant to MCR 7.219.
In Docket No. 176940, we affirm. The board of regents, being the prevailing party, may tax costs pursuant to MCR 7.219.
Notes
In issues vn(A), vni, and IX, Perlmutter makes other arguments regarding damages. In this issue, we analyze only whether there was sufficient evidence such that a jury could reasonably find that plaintiff suffered damages.
We caution that mental distress damages will not always be award-able in a fraud and misrepresentation action. Rather, the focus is on whether, under the circumstances of the case, damages are the legal and natural consequences of the wrongful act and reasonably might have been anticipated. Price, supra, p 472; Fagerberg, supra, pp 356-357.
In summarily reversing this Court’s decision, the Supreme Court did not address the issue whether there is an exception to governmental immunity under the wdca. Madison, supra. Rather, the Supreme Court stated that the facts of that case did not constitute an intentional tort under the wdca as a matter of law. Id.
In any case, there is no merit to this issue. See issue vi.
