MEMORANDUM OPINION
The present lawsuit appears at first blush to be a garden-variety type Title VII action. However, the motions filed by defendants, which, if granted in total would effectively dispose of all of the claims in plaintiffs’ complaint, raise a host of complicated issues for the Court to resolve. After careful consideration of the parties’ pleadings and the existing legal precedent, the Court concludes that rulings on defendants’ motion to dismiss the plaintiffs’ class action claims and two of the plaintiffs’ District of Columbia Human Right Act claims must be deferred and that defendants’ remaining motions should be granted in part and denied in part.
I. Factual Background
The lawsuit in this matter involves claims by all of the named plaintiffs of racial discrimination, also claims of gender discrimination by three of these plaintiffs and a claim of age discrimination by one plaintiff. The four named plaintiffs — Sheila Quarles, Tammy Rogers, Ebony Thomas, and Anthony Bellamy — allege, inter alia, that the defendants 1 have engaged in a practice of racial discrimination against minorities in violation of Title VII of the Civil Rights Act of 1964, 42 U.S.C. § 2000e et seq. (2000). These alleged practices include
[f]orcing past and current qualified African American employees [1] to hold intermediary positions prior to advancement that equally and/or less qualified white individuals are not forced to hold ... [2] to meet requirements for promotion that and/or [sic] less qualified white employees are not required to meet ... [3] failing to promote past and current qualified African American employees ... [4] failing to notify past and current qualified African American employees of job openings ... [and][5] otherwise prohibiting, based on their race, qualified past and current qualified African-American employees from advancement in the defendants’ corporations.
Compl. 1124. 2
Defendants have jointly filed four separate motions: (1) Motion to Dismiss Plaintiffs’ Class Action Claims; (2) Motion to Dismiss Title VII Claims for Lack of Venue; (3) Motion to Dismiss Counts I, II, V and VI Relating to Title VII Claims; and (4) Motion to Dismiss Claims Based on District of Columbia Human Rights Act. *4 The Court will address each of the defendants’ motions in turn.
II. Analysis
A. Defendants’ Motion to Dismiss Plaintiffs’ Class Action Claims
Defendants have moved for the dismissal of plaintiffs’ class action allegations pursuant to Federal Rule of Civil Procedure 12(b)(6). To survive a motion to dismiss based on this rule, a complaint need only provide “ ‘a short and plain statement of the claim’ that will give the defendant fair notice of what the plaintiffs claim is and the grounds upon which it rests.”
Conley v. Gibson,
In Count One of their First Amended Complaint, plaintiffs make allegations on behalf of “all African American persons currently and previously employed by any of the above-named defendants [,which] includes at least thirty individuals who currently reside and work in various jurisdictions throughout the Eastern United States.” Compl. 111116-17. Defendants, in their motion to dismiss plaintiffs’ class action claims, argue that plaintiffs cannot meet the certification requirements of Federal Rules of Civil Procedure 23(b)(2) or (b)(3). 3 First, defendants argue that the plaintiffs do not meet the requirements of Rule 23(b)(2) because they seek to recover compensatory damages, in addition to back-pay, front pay, and punitive damages, which will require individualized evidence regarding damages as to each plaintiff. Defendants’ Motion to Dismiss Plaintiffs’ Class Action Claims (“Defs.’ Class Mot.”) at 7, 9. Second, defendants argue that certification of a class is similarly inappropriate pursuant to Rule 23(b)(3) because plaintiffs’ attempt to recover compensatory damages would require “extensive review of each [plaintiff’s individual circumstances[, and] [b]ecause of the lack of commonality, the present case will result in the need for numerous separate mini-trials for each of the [plaintiffs.” Id. at 10-11. Plaintiffs counter that other judges of this court have recently ruled that a Title VII class action may *5 be properly certified under Rules 23(b)(2) and (b)(3), despite the fact that the plaintiffs in the class were seeking compensatory damages. Plaintiffs’ Opposition to Defendants’ Motion to Dismiss Plaintiffs’ Class Action Claims at 1. In addition, plaintiffs argue that even if the class could not be wholly certified under Rules 23(b)(2) or (b)(3), another alternative available to the Court would be hybrid certification of the class, i.e., the claims for injunctive and declaratory relief could be certified pursuant to Rule 23(b)(2) and the claims for monеtary relief could be certified pursuant to Rule 23(b)(3). Id. at 2-3.
Pursuant to Federal Rule of Civil Procedure 23, before a court can determine whether a class action can be maintained, the court must satisfy itself that the putative class meets the four prerequisites of Rule 23(a). These prerequisites are that the class: (1) is so numerous “that joinder of all members is impracticable”; (2) has common issues of law or fact; (3) that the claims of the class representatives “are typical of the claims ... of the class”; and (4) that the interests of the class will be “fairly and adequately protected]” by the representative parties. Fed.R.Civ.P. 23(a). It is only when a class has met these four prerequisites that the Court must then determine whether the class may be maintained pursuant to one of the subdivisions of Rule 23(b). See Fed. R.Civ.P. 23(b) (“An action may be maintained as a class action if the prerequisites of subdivision (a) are satisfied, and in addition [one of the subdivisions of Rule 23(b) are established]”) (emphasis added).
Although neither party seriously disputes that plaintiffs can satisfy the four prerequisites, the Court must nonetheless ascertain for itself whether the requirements of Rule 23(a) are satisfied.
See General Telephone Co. v. Falcon,
As indicated, before the Court can address the merits of the arguments advanced by the defendants regarding whether certification of the class comports with Rules 23(b)(2) or (b)(3), the Court must determine whether the class meets the prerequisites of Rule 23(a). Although, pursuant to Local Civil Rule 23.1(b), the defendants were permitted to “move at any time to strike the class action allegations or to dismiss the complaint[,]” the pleadings as they now exist do not permit the Court to intelligently determine whether the class, as now comprised, meets the requirements for certification under Rule 23(a).
See General Telephone Co.,
Mr. Bellamy’s situation as a maintenance engineer in Shirlington, Virginia will not be the same as that for a resident manager, such as Ms. Rogers, located in Mechanicsville, Virginia. Similarly, Ms. Quarles, as a senior marketing representative in Rockville, Maryland will not hаve faced the same circumstances as Ms. Thomas, who worked at a property in Herndon, Virginia.
Id.
Commonality is one of the prerequisites for class certification.
See
Fed.R.Civ.P. 23(a)(2). Indeed, the varying positions and circumstances of the members of the class may make certification unfeasible.
See, e.g., Rumpke v. Rumpke Container Service, Inc.,
Therefore, while the court “does not possess[ ] ‘any authority to conduct a preliminary inquiry into the merits of a suit in order to determine whether it may be maintained as a class action,’ ... it is evident that some inspection of the circumstances of the case is essential to determine whether the prerequisites of Federal Civil Rule 23 ... have been met.”
Wagner,
*7 For the reasons stated above, the Court is compelled to defer reaching the issues raised by the defendants’ motion to dismiss the class action claims until it has before it the information necessary for it to determine whether the potential class meets the requirements of Rule 23(a). Accordingly, the Court will order the plaintiffs to file a motion for certification that fully sets forth their factual and legal positions, so that the Court will be in a better position to evaluate whether the Rule 23(a) prerequisites are satisfied. Once all of the pleadings on the issue have been filed, the Court will determine whether an evidentiary hearing is required. The Court will then address defendants’ motion to dismiss plaintiffs’ class action claims.
B. Defendants’ Motion to Dismiss Plaintiffs’ Title VII Claims for Lack of Venue
Defendants seek to dismiss this action pursuant to Federal Rule of Civil Procedure 12(b)(3), because, they argue, venue in this district is improper for several reasons. First, the defendants allege that plaintiffs have failed to allege in the complaint “with any specificity where the alleged instances of employment discrimination occurred.” Defendants’ Motion to Dismiss Title VII Claims for Lack of Venue (“Defs.’ Venue Mot.”) at 2. Second, defendants maintain that each of the named plaintiffs must meet thе venue requirements and, as verified by the affidavit 4 of Patricia Shannon, Affidavit of Patricia Shannon, dated September 13, 2002 (“Shannon Aff.”), the regional vice president for the Mid-Atlantic region of defendant Windsor Property Management Company, none of the plaintiffs were employed in the District of Columbia or had any other connection with this district. Id. at 3. In her affidavit, Ms. Shannon states that plaintiff Quarles was “employed exclusively” in Rockville, Maryland; plaintiff Rogers was “employed exclusively” in Mechanicsville, Virginia; plaintiff Thomas was employed in Herndon, Virginia and Elkridge, Maryland, and plaintiff Bellamy “has been employed exclusively in Virginia.” Shannon Aff. 11113-6. In addition, Ms. Shannon states that the Mid-Atlantic region’s headquarters are located in Shirlington, Virginia, although the “overall headquarters for the company is located in Boston, Massachusetts.” Shannon Aff. 11117-8. Finally, she notes that employment decisions regarding any of the named plaintiffs “would have ultimately been made in the Shirlington office, sometimes in consultation with the office located in Boston, Massachusetts!!,]” and the employment records pertaining to the plaintiffs, as well as other employees of the Mid-Atlantic region, “are maintained in Shirlington, Virginia and/or Boston, Massachusetts.” Id. HH 8-9.
In opposition, plaintiffs, although they do not directly refute Ms. Shannon’s statements, present several arguments why venue in this district is proper. First plaintiffs argue that there is no requirement that all the named plaintiffs in a Title VII action meet the venue requirements. Plaintiffs’ Opposition to Defendant’s [sic] Motion to Dismiss Title VII Claims for Lack of Venue (“Pis.’ Opp’n”) at 2. Second, plaintiffs argue that *8 the allegation in the complaint regarding the defendants’ “pattern and practice of discrimination ... [,including] ‘failing to notify past and current qualified African American employees of job openings, concealing those job openings ... ’ and ‘otherwise prohibiting qualified past and current qualified African American employees ... from advancement in the defendants’ corporation!],]” satisfies Title VII’s venue requirement because the practices complained of “occurred in the District of Columbia within the relevant time period.” Id. at 4-5. As an example, plaintiffs detail an incident involving plaintiff Sheila Quarles who applied for a position in the defendants’ McLean Gardens property, which is located in the District of Columbia. Id. at 5. Ms. Quarles allegedly contacted Heather Mulcahy, the property manager at McLean Gardens, about an announced vacancy and was told that the position had been listed in error only to later learn that a white female had been given the position. Id. at 5; Affidavit of Sheila Quarles (“Quarles AS.”) K 6.
Both parties correctly note that whether this district is a proper venue for this Title VII action is determined by 42 U.S.C. § 2000e-5(f)(3j, which provides, in part:
[A]n action may be brought in any judicial district in the State in which the unlawful employment practice is alleged to have been committed, in the judicial district in which the employment records relevant to such practice are maintained and administered, or in the judicial district in which the aggrieved person would have worked but for the alleged unlawful employment practice, but if the respondent is not found within any such district, such an action may be brought within the judicial district in which the respondent has his principal office.
The parties part ways, however, about whether this provision affords plaintiffs the right to pursue this action in this district. Plaintiffs argue that because plaintiff Quarles applied for a position in the District of Columbia, was denied that position, and would have worked here “but for the alleged unlawful employment practice,” id., this is the proper venue for the filing of her action. Plaintiffs then opine that because Quarles’ case is properly venued here that all of the named class representatives are also properly before this Court because only one of thе named plaintiffs must actually meet one of the venue requirements of the statute. Defendants maintain, to the contrary, that all of the named plaintiffs must meet at least one of the venue requirements of the statute for their cases to be filed in this district, but that even if only one named plaintiff is required to meet the statutory requirements, plaintiff Quarles’ allegations do not suffice because her affidavit “does not reflect that any of the acts of discrimination actually occurred in the District of Columbia [and] because any decision relating to Ms. Quarles’ status would have been made either in the regional office located in Shirlington, Virginia or [at] the overall company headquarters in Boston, Massachusetts.” Defendants’ Reply to Plaintiffs’ Opposition to Motion to Dismiss Title VII Claims for Lack of Venue (“Defs.’ Reply”) at 3-4.
In ruling upon the defendants’ motion to dismiss for lack of proper venue, the Court “accepts the plaintiffs[’] wellpled factual allegations regarding venue as true, ... draws all reasonable inferences from those allegations in the plaintiffs[’] favor, and ... resolves any factual conflicts in the plaintiffsP] favor.... The court, however, need not accept the plaintiffs[’] legal conclusions as true.” James v. Booz-Allen, Hamilton, Inc.,227 F.Supp.2d 16 , 20 (D.D.C.2002) (citation omitted).
*9 The first issue the Court must decide is whether Ms. Quarlеs’ allegations are sufficient to establish venue in this district. Drawing all reasonable inferences from the allegations in plaintiffs favor, the Court concludes that they do. Title VII’s venue provision plainly permits an action to be maintained “in the judicial district in which the aggrieved person would have worked but for the alleged unlawful employment practice ...” 42 U.S.C. § 2000e-5(f)(3) (emphasis added). Clearly, according to Ms. Quarles’ allegations, if she had been offered the position she applied for, she would have worked at the defendants’ McLean Gardens property, which defendants do not dispute is located in the District of Columbia. This is sufficient to establish that this district is the proper venue for the filing of plaintiff Quarles’ action. See Johnson v. Washington Gas Light Co.,89 F.Supp.2d 45 , 47 (D.D.C.2000) (holding that venue under Title VII was proper in the District of Columbia where the record established that it was “likely that, had plaintiff received one of the positions he sought, he would have been assigned to work in the District of Columbia at some point.”) (emphasis in original); cf. Spencer v. Rumsfeld,209 F.Supp.2d 15 , 18 (D.D.C.2002) (holding that venue was not proper in the District of Columbia under Title VII’s venue statute where the defendant maintained that “even if it had promoted the plaintiff, he would have remained in Arlington, Virginia ..."). 5
The second issue the Court must address is more difficult, namely, whether the remaining three named plaintiffs must independently satisfy the venuе requirements of section 2000e-5(f)(3), or whether Ms. Quarles’ allegations are alone sufficient to establish venue in this jurisdiction for all of the named plaintiffs. The defendants rely upon United States v. Trucking Employers, Inc.,72 F.R.D. 98 (D.D.C.1976) (Bryant, J.), as support for their position that all of the named plaintiffs must individually satisfy the Title VII venue provision in order for venue to be proper in this district. In Tracking Employers, the court had certified a class of defendant trucking companies in a Title VII action filed by the United States against the companies for discrimination against black and “Spanish-surnamed persons involved in various phases of the industry.” Id. at 99. Two of the defendants argued that they were not proper members of the defendant class and therefore the claims against them should be dismissed because they had not been properly served and, in any event, venue in the District of Columbia was not proper as to them. Id. In rejecting the defendants’ claims, the court held that “[bjecause class actions do not necessarily require the presence of a class member before the court for an adjudication of his/her rights and liabilities, venue *10 restrictions are not determinative of the ability of the court to hear the action with respect to all members of the class.” Id. at 100. Therefore, the “non-party members” did not have' to be “рersonally before the Court, as long as the requirements of due process — in this context, primarily notice and representativeness of named class members — are afforded them.” Id. at 99. Specifically pertaining to the defendants who had been named as part of a class, Judge Bryant stated that “the relevant venue question in such circumstances is whether venue is proper as among the parties who have in fact been brought personally before the court as named parties to the action, the parties representing and in effect standing in for the absent class members.” Id. at 100 (footnote and citations omitted) (emphasis added). Because the two defendants who sought dismissal had not been personally brought before the court as named representatives of the class, Judge Bryant ruled that “lack of proper venue as to such absent class members [did] not impair the Court’s ability to entertain the action and adjudicate the rights and liabilities of those absent class members.” Id.
Plaintiffs argue that the language in Trucking Employers does not “mandate[ ]... [t]he notion that all named plaintiffs must meet the venue requirement ...” Pis.’ Opp’n at 2. However, the Trucking Employers court explicitly stated that the relevant venue inquiry in a Title VII action is whether venue among the “named parties to the action” is prоper. The Court interprets this language to mean that the parties who are before the court, ie., the named parties, must each satisfy-the venue requirements of the statute. To conclude otherwise would be to be to ignore the language contained in the Trucking Employers decision that venue must be determined “among” the parties who have been “personally brought before the court as named parties to the action.” Id. (emphasis added). Further, important to the Trucking Employers decision was the fact that the defendants who argued that venue as to them was not proper in this district had not been named as representatives of the class. And as the court stressed several times throughout its opinion, “class suits may be maintained without the personal appearance of class members ...” and therefore, venue need not be established “as to such absent class members ...” Id. at 100 (emphasis added).
The Court’s interpretation of the Trucking Employers decision finds support in Dukes v. Wal-Mart Stores, Inc., No. Civ.A. 01-2252,2001 WL 1902806 , at *2 (N.D.Cal. Dec.3, 2001), cited by the defendants, where the court faced a nearly identical issue as the one presented in this case. In Dukes, the six named class representatives sought to bring a class action pursuant to Title VII in the Northern District of California. Id. at *1. Two of the named plaintiffs resided in California; the others resided in several other states. Id. The defendant’s principal place of business was in Arkansas. Id. As in this case, the plaintiffs argued that because at least one of the named рlaintiffs was able to establish that venue was proper in the Northern District of California, venue was therefore proper for all of the class representatives. Id. The defendants, relying in large part on the decision in Trucking Employers, argued that each of the named plaintiffs was required to meet the venue requirements of section 2000(e)-5(f)(3) of Title VII in order for venue to be proper in the Northern District of California. Id. at *2.
The Dukes court agreed with the defendants. It began its analysis with a discussion of the Trucking Employers decision and concluded that *11 [w]hile the opinion does not explicitly state that each named plaintiff must individually satisfy venue, that the Trucking Employers court espoused such a proposition is implicit in its holding. In concluding that the status of absent class members was not material to the venue determination in the case, the district court necessarily held that only named representatives of the class were considered for venue purposes.... Thus, prior to finding immaterial the venue status of the absent class members, the Trucking Employers court made clear that the venue status of the named plaintiffs ‘represent! ] and in effect stand! ] in for the absent class members.’ ... Afortiori, had venue been improper as to the named plaintiffs, the Trucking Employers court would have been without jurisdiction, and would have been without authority to compel the trucking companies to remain as defendants.
Id. at *3.
The Dukes court went on to hold that the approach enunciated in Trucking Employers was the practical approach for determining the issue of venue in a Title VII case. The court stated:
Requiring that every named plaintiff in a class action satisfy venue makes good judicial sense in that it is consistent with a principle well settled in case law____ Accordingly, the Court declines [plaintiffs’ invitation and adopts the reasoning expressed in Trucking Employers, finding, as a general rule, that, in class action settings, each plaintiff must individually satisfy venue.
Id.
at *5 (citing
Trucking Employers,
As support of their argument that all named plaintiffs do not have to meet the venue requirements, plaintiffs rely on
Exxon Corp. v. Federal Trade Comm’n,
[Requiring every plaintiff in an action against the federal government or an agent thereof to independently meet section 1391(e)’s standards would result in an unnecessary multiplicity of litigation. The language of the statute itself mandates no such narrow construction. *12 There is no requirement that all plaintiffs reside in the forum district.
Id.
at 898-899.
Exxon
did not involve claims filed pursuant to Title VII nor, more importantly, did it involve a class action lawsuit. In addition, plaintiffs rely on
Jewish War Veterans v. United States,
The
Exxon
and
Jewish War
cases are inapposite to the present situation. Both cases involved the venue рrovision of section 1391(e), which differs substantially from the venue provision at issue here. The Title VII venue provision “provides four judicial districts in which employment discrimination suits may be filed.”
Stebbins v. State Farm Mutual Auto. Ins. Co.,
In contrast, under section 1391(e), an action may be brought in any “judicial district in which ... a defendant in the action resides,” a far less restrictive requirement than section 2000e-5(f)(3)’s requirement that venue is proper only where the defendant has its principal place of business, and then only when one of the other three venue predicates cannot be satisfied.
Compare
28 U.S.C. § 1391(e)
with
42 U.S.C. § 2000e-5(f)(3);
see also Stebbins,
The
Dukes
court also similarly rejected the plaintiffs’ claims that Title VII’s venue provision should be interpreted broadly to permit plaintiffs to choose the forum they determined to be most convenient.
Id.
at *7. The court held that the position advanced by plaintiffs was not evident in Title VII’s language or legislative history and noted that the plaintiffs had failed to provide any evidence to support the proposition that Congress’ intent was to “abrogate the generally accepted rule regarding venue in class actions.”
Id.; see also Stebbins,
Similarly in this case, plaintiffs do not present any persuasive authority that would support a conclusion that Congress intended that Title VII’s venue requirements should be broadly construed to permit a class representative to bring suit in a jurisdiction where he cannot personally satisfy
the
venue requirements of the statute. As the court stated in
Trucking Employers,
“[t]he central function of venue generally is to regulate the forum in which a party may appear or may force another party to appear personally, in a suit in which the court would otherwise have jurisdiction. ... Venue is therefore intimately connected to and prediсated upon the personal appearance of the party.”
The final issue the Court must address regarding the defendants’ venue motion is whether this matter should be transferred to another federal district. Once the court has determined that venue is not proper in its district, it may dismiss “or, if it be in the interest of justice, transfer such case to any district or divi
*14
sion in which it could have been brought.” 28 U.S.C. § 1406 (2000);
see also James,
In this case, however, because the Court holds that one of the named plaintiffs (Quarles) has filed a Title VII claim that is properly venued in this district, but has deferred deciding whether this action will be certified as a class, the Court will also defer ruling on whether the claims of plaintiffs Rogers, Bellamy and Thomas as named parties should be dismissed while permitting them to remain as unnamed members of the class if class certification is granted,
8
or whether their claims should be transferred to the appropriate federal district or districts where their claims could have been brought.
See Spencer,
C. Defendants’ Motion to Dismiss Counts I, II, V, and VI (Title VII Claims)
In their third motion, the defendants seek dismissal, pursuant to 12(b)(1) and 12(b)(6), of counts one (the class’ claims), count two (plaintiff Sheila Quarles’ age discrimination claim), 10 count five *15 (plaintiff Ebony Thomas’ race and gender discrimination claims) and count six (plaintiff Anthony Bellamy’s race discrimination claims). In light of the Court’s conclusion that plaintiffs Thomas’, Rogers’, and Bellamy’s Title VII claims, wherein they are named parties, will have to either be dismissed or transferred to another district or districts, depending upon how it resolves the class certification issue, 11 it will only address the defendants’ argument that plaintiff Quarles’ Title VII claims must be dismissed because she failed to exhaust her administrative remedies. The basis for defendants’ exhaustion challenge is that this action was filed prematurely. Pursuant to 42 U.S.C. Section 2000e-5(f)(1):
If a charge ... filed with the Commission ... is dismissed by the Commission, or within one hundred and eighty days from the filing of such charge ... the Commission has not filed a civil action under this section ... the Commission ... shall so notify the person aggrieved and within ninety days after the giving of such notice a civil action may be brought against the respondent named in the charge ...
Defendants note that Ms. Quarles filed a complaint with the Equal Employment Opportunity Commission (“EEOC”) “on or about April 17, 2002.” Defendants’ Motion to Dismiss Counts I, II, V and VI Relating to Title VII Claims (“Defs.’ Title VII Mot.”) at 4; Defs.’ Title VII Mot. Ex. A (Charge of Discrimination filed by Ms. Sheila L. Quarles, dated April 18, 2002). Thereafter, “Ms. Quarles sought and received a notice of right to sue dated August 23, 2002.” Defs.’ Title VII Mot. at 4; Ex. B (Dismissal and Notice of Rights from EEOC dated August 23, 2002). Defendants argue that, pursuant to the District of Columbia Circuit’s holding in
Martini v. Federal National Mortgage Assoc.,
Plaintiffs, in opposition, argue that because Ms. Quarles has also filed a claim pursuant to the Age in Discrimination Employment Act, 29 U.S.C. § 621, which has a 60 day waiting period before a civil ac *16 tion may be commenced, that “Ms. Quarles was permitted to file [a] claim in court on or after June 17, 2002, 60-days following her formal EEOC complaint.” Plaintiffs’ Opposition to Defendants’ Motion to.Dismiss Counts I, II, V, and VI Relating to Title VII Claims (“Pis.’ Title VII Opp’n”) at 6. The Court need not address plaintiffs’ argument because it concludes that plaintiff Quarles has properly exhausted her Title VII administrative remedies.
In
Martini,
the District of Columbia Circuit Court dismissed, without prejudice, the action of a Title VII complainant who had received a right to sue letter, at her request, only twenty one days after filing her complaint with the EEOC.
However, the circumstances presented to the Martini court were critically distinguishable from the facts here. In Martmi, the premature right to sue letter terminated the EEOC’s statutory duty to investigate the plaintiffs claims, before it conducted an investigation. See id. at 1346 (“[A]n early right-to-sue notice typically terminates EEOC investigation of the charge ... precisely what happened in [Martini ]”). In this case, the Dismissal and Notice of Rights issued by the EEOC indicates that the Commission was closing its file regarding plaintiff Quarles’ charge because it had already completed an investigation and concluded that Ms. Quarles’ charge did not establish a statutory violation. Specifically, the notice provided, in part:
The EEOC issues the following determination: Based upon its investigation, the EEOC is unable to conclude that the information obtained establishes violations of the statutes. This does not certify that the respondent is in compliance with the statutes. No finding is made as to any other issues that might be construed as having been raised by this charge.
Defs.’ Title VII Mot. Ex. B (EEOC Dismissal and Notice of Rights dated August 23, 2002) (emphasis addеd). In addition, the EEOC’s notice to plaintiff indicated that she had ninety days “from [her] receipt of this Notice” to file a lawsuit. Id. Therefore, in this case, unlike the situation in Martmi the EEOC stated that it had conducted an investigation of the plaintiff’s claims, determined there was no statutory violation, and dismissed plaintiffs charge of discrimination.
In a case somewhat analogous to the present situation, but with even less compelling facts and which neither party cited, Judge Robertson of this court reached the same conclusion this Court will reach. See Tesfaye v. Carr Park, Inc., 85 F.Supp.2d 37 (D.D.C.2000). In Tesfaye, the plaintiff had filed a charge of discrimination with the EEOC on April 20, 1999. Id. at 38. The EEOC issued the plaintiff a “Dismissal and Notice of Rights” on June 28, 1999, sixty-nine days later. Id. In this document, the EEOC indicated that plaintiff’s claims were being dismissed and that plaintiff had ninety days to file his claim in court. Id. Judge Robertson noted that it was “unclear” from the documents provided by the EEOC “what investigation, if any, the EEOC performed.” Id. However, *17 analyzing the Martini decision and the statutory language contained in section 2000e-5(f)(l), the court concluded that permitting the plaintiff to proceed with his complaint before the court was not in violation of Martini. The Tesfaye court stated:
The timing of the complaint and of the EEOC’s right to sue letter do not offend the rationale of the Martini decision, which acknowledges that ‘the statute ... authorizes a complainant to sue within 180 days if the EEOC dismisses the charge.... Nor is the plaintiff’s pre-180 day filing at odds with Martini’s public policy rationale: Martini was concerned that early authorization of private suits ‘undermines [the EEOC’s] statutory duty to investigate every charge filed,’ ... but here the EEOC apparently investigated the plaintiffs claim and simply concluded before 180 days had passed that it lacked merit.
Id. at 38 (emphasis in original and emphasis added). 12
Unlike
Tesfaye,
in this case the EEOC did not just
appear
to have investigated plaintiffs claims, but specifically stated that her claims
had been investigated
and that it had determined that the claims did not have merit, and instructed plaintiff that she had ninety days from the date of the issuance of its notice to file this action. Defendant does not argue that the EEOC did not actually investigate plaintiffs discrimination charge, nor does plaintiff have an affirmative duty to prove that the EEOC, in fact, investigated her charge of discrimination.
See Hill v. Washington Metro. Transit Auth.,
E. Defendants’ Motion to Dismiss Claims Based on the District of Columbia Human Rights Act
Finally, the defendants seek to dismiss, pursuant to Rule 12(b)(1), the claims of *18 plaintiffs Quarles and Rogers made pursuant to the District of Columbia Human Rights Act (“DCHRA”), D.C.Code §§ 2-1401.01-2-1411.06 (2001). Defendants argue that plaintiffs Quarles and Rogers cannot assert a claim pursuant to the DCHRA because the statute contains a one year statute of limitations and requires that the act of discrimination occurred in the District of Columbia. Defendants’ Motion to Dismiss Claims Based on District of Columbia Human Rights Act (“Defs.’ DCHRA Mot.”) at 2. In regards to Ms. Rogers’ claims, defendants state, as supported by Ms. Shannon’s affidavit, that Ms. Rogers “was employed exclusively in the property known as Windsor at Hunter’s Woods located in Mechanicsville, Virginia from April- 24, 2000 through thé date of her resignation on June 27, 2001.” Id. at 3. First, the defendants note that the complaint fails to allege where or when the alleged discriminatory acts occurred. Id. Second, defendants argue, supported by the affidavit of Ms. Shannon, that since at least May 2000, Ms. Quarles worked exclusively in the defendants’ Windsor Villa Apartments, which are located in Rock-ville, Maryland and Ms. Rogers was employed exclusively in Virginia. Id. Therefore, thе defendants maintain that because Ms. Quarles and Ms. Rogers were not “employed in the District of Columbia during the one year period prior to their initiating the present lawsuit, there is no basis for a claim under District of Columbia law.” Id. at 3.
In opposition, plaintiffs argue that the filing of an administrative appeal tolled the DCHRA one year statute of limitations and, in any event, Ms. Quarles was discriminated against within- one year of the filing of this action, when she applied for and was denied a position at the defendants’ McLean Gardens property, located in the District of Columbia. 14 Plaintiffs’ Opposition to Defendant’s [sic] Motion to Dismiss D.C. Human Rights Act Claims (“Pis.’ Opp’n”) at 2. In addition, plaintiffs argue that Ms. Rogers, “in her EEOC complaint ...[,] specifically refers to the position of Senior Property Manager that she was denied during the period between May 1, 2001, and June 27, 2001[,] [which] ... was located in the District of Columbia, at McLean Gardens.” Id.
Federal Rule of Civil Procedure 12(b)(1) permits dismissal of a complaint if the Court “lack[s] jurisdiction over the subject matter ...” Under this rule, “the plaintiff bears the burden of establishing that the court has jurisdiction.”
Fowler v. District of Columbia,
Pursuant to D.C.Code § 2-1403.16(a) (2001):
Any person claiming to be aggrieved by an unlawful discriminatory practice shall have a cause of action in any court of competent jurisdiction for damages ... A private cause of action pursuant to this chapter shall be filed ... within one *19 year of the unlawful discriminatory act, or the discovery thereof ...
Defendants maintain that plaintiffs cannot allege a claim pursuant to this statutory provision because they failed to do so within the time permitted by the act and because they were not employed in the District of Columbia. Defendants cite
Matthews v. Automated Business Systems & Services, Inc.,
In Matthews, the plaintiff had been employed by a District of Columbia corporation that had its principal place of business in Maryland. Id. at 1177. Matthews alleged in count one of her complaint that she was the victim of “unlawful discrimination based on her age and sex in violation of the Human Rights Act.” Id. The defendants filed a motion to dismiss count one of Matthews’ complaint pursuant to District of Columbia Superior Court Rule of Civil Procedure 12(b)(1), 15 arguing that the court did not have subject matter jurisdiction over Matthews’ DCHRA claims because, as stated in affidavits of the company’s personnel, the “substantial part” of the company’s business was in Maryland and “its activities in the District of Columbia were limited.” Id. at 1178. In addition, the Matthews defendants maintained that the plaintiffs “employment contracts were negotiated, executed, and substantially performed in Maryland and that Matthews was assigned to work in Maryland, where her supervisors, her personnel records and her business phone were all located.” Id. In opposition, Matthews submitted her own affidavit in which she stated that, contrary to the defendants’ assertions, the company performed a substantial amount of their work in the District, that “between forty and sixty percent of her work was pеrformed in the District ... [,]the terms of her employment were substantially negotiated within the District and that some of the acts of alleged discrimination occurred in the District.” Id. The District of Columbia trial court in Matthews granted the employer’s motion to dismiss the complaint, holding that “because Matthews’ ‘actual place of employment was at all times in Maryland,’ there was not a sufficient nexus between Matthews and the District of Columbia to permit the court to entertain an action under the Human Rights Act.” Id. 16
The District of Columbia Court of Appeals reversed the ruling of the trial court. The court rejected the trial court’s interpretation of
Honig v. District of Columbia Office of Human Rights,
[i]f the events alleged in Matthews’ complaint occurred in the District of Columbia, they are subject to scrutiny under [the Act] regardless of whether her ‘actual place of employment’ was in Maryland, the District or both. Thus, the critical factual issue bearing on jurisdiction is whether these events took place in the District____Matthews’ affidavit says that some of them did, but [defendants’] affidavits do not address this question.
Id. (emphasis added). The Matthews court therefore remanded the case to the trial court for reconsideration of its dismissal of the complaint “in light of [its] holding that subject-matter jurisdiction exists under count one.” Id. at 1182.
The ruling in Matthews establishes that the most important factor in determining whether a court has subject matter jurisdiction over a claim filed pursuant to the DCHRA is not whether the plaintiff was actually employed in the District of Columbia but whether the alleged discriminatory acts occurred in the District. See id. at 1180 (“Most significantly, [plaintiff Matthews] alleges that some of the acts of sex discrimination alleged in the complaint occurred in the District of Columbia.”).
In this case, in light of the facts and Ms. Quarles’ allegations, the Court concludes there is a sufficient basis for Ms. Quarles to sustain her claim under the DCHRA. First, Ms. Quarles’ affidavit alleges that she applied for and was denied a position at the defendants’ Washington, DC property. Defs.’ Title VII Mot. Ex. A. Second, in the EEOC complaint she filed, Ms. Quarles states that the employer who discriminated against her was the “Village at McLean Gardens [located at] 3401 38th Street, N.W., Washington, DC 20016[,]” in addition to the defendants’ Boston, Massachusetts location.
See
Defs.’ Title VII Mot. Ex. A (Ms. Quarles’ Charge of Discrimination). Thus, according to Ms. Quarles’ allegations, she was discriminated against by the defendants’ decision not to hire her for a position in the District of Columbia and .therefore, contrary to defendants’ assertions, discrimination occurred in the District of Columbia.
See Martin v. Holiday Universal Inc.,
No. Civ.A. 90-1188,
However, regarding the statute of limitations challenge to Ms. Quarles’ DCHRA claims, she states in her affidavit that she learned in July 2001 that a white employee was given the position she had applied for and the defendants do not refute this statement. If, in fact, it is proven that Ms. Quarles allegedly learned about the position being given to a white employee on a date earlier than July 28, 2001, then it is possible that her complaint was filed untimely under the DCHRA. Therefore, because the Court has “an affirmative obligation to ensure that it is acting within the scope of its jurisdictional authority[,]”
Fowler,
Similarly, the Court must defer its ruling regarding the claims of plaintiff Rogers, albeit for a different reason. Plaintiffs have not submitted an affidavit from Ms. Rogers that confirms that, similar to Ms. Quarles, she applied for a position at the defendants’ District of Columbia property and was denied the position for a discriminatory reason. In fact, in her EEOC complaint, Ms. Rogers listed the defendants’ “Windsor-Hunter’s Woods Apts, [property], [located at] 7438 Tack Room Drive, Mechanicsville, [Virginia,]” as the sole discriminating employer. Defs.’ Title VII Mot. Ex. C (Charge of Discrimination filed by Tammy E. Rogers). Although plaintiff Rogers states in her EEOC complaint that she applied for the position of “Senior Property Manager,” the only allegation that this position was located in the District of Columbia is made in plaintiffs’ opposition to defendants’ motion to dismiss plaintiffs’ DCHRA claims, which the Court concludes is inadequate proof that it can exercise subject matter jurisdiction over plaintiff Rogers’ DCHRA claim, especially where her EEOC complaint supports defendants’ argument that no discrimination against Ms. Rogers occurred in the District of Columbia.
See Prakash v. American Univ.,
An order consistent with the Court’s ruling accompanies this Memorandum Opinion.
ORDER
For the reasons set forth in the Memorandum Opinion that accompanies this Order, it is on this 10th day of March, 2003, hereby
ORDERED that a ruling on defendants’ Motion to Dismiss Class Action Claims [# 5] is deferred. It is further
ORDERED limited discovery shall commence on March 4, 2003, and conclude by May 2, 2003. Discovery at this time shall be limited to plaintiffs class action allegations; the Title VII and DCHRA claims of plaintiff Rogers; and the DCHRA claims of plaintiff Quarles. It is further
ORDERED that plaintiff shall file a motion for class certification by May 30, 2003; defendants’ opposition, if any, must be
filed by June 27, 2003; and plaintiffs’ reply, if any, must be filed by July 11,200s. 1 It is further
ORDERED that defendants’ Motion to Dismiss Title VII Claims for Lack of Venue [# 7] is denied in part and deferred in part; the motion is denied regarding the claims of plaintiff Quarles and is deferred regarding the claims of plaintiffs Thomas, Rogers, and Bellamy. It is further
ORDERED that defendants’ Motion to Dismiss Counts I, II, V and VI Relating to Title VII Claims [# 6] of plaintiff Quarles is denied and a ruling on whether plaintiffs Thomas’, Rogers’ and Bellamy’s Title VII claims will be either dismissed or transferred will be deferred until a ruling on the plaintiffs’ class certification request is rendered. It is further
ORDERED that a ruling on defendants’ Motion to Dismiss Claims Based on District of Columbia Human Rights Act [# 8] is deferred; a decision on this motion will be issued after the parties file supplemental pleadings addressing the issues raised in the Court’s Memorandum Opinion. 2 It is further
ORDERED that a further status conference shall be held on September 19, 2003, at 9:00 a.m.
Notes
. The named defendants include General Investment and Development Company, Windsor Property Management Company, and Windsor Investment Company.
. References to "Compl.” are to the first amended complaint plaintiffs filed on August 30, 2002.
. In their opposition, plaintiffs state that they no longer seek certification pursuant to Federal Rule of Civil Procedure 23(b)(1). Plaintiffs’ Opposition to Defendants’ Motion to Dismiss Plaintiffs' Class Action Claims ("Pis.' Opp’n”) at 1. Accordingly, the Court need not address defendants’ challenge to plaintiffs’ request for class certification based on Rule 23(b)(1).
. Defendants note in their reply that the affidavit they have submitted does not covert the present motion to dismiss into a motion for summary judgment. No such risk was present here. Pursuant to Federal Rule of Civil Procedure 12(b)(3), a defendant may move to dismiss a complaint on the basis of improper venue. In addition, it is only when filing a motion pursuant to Rule 12(b)(6) that a motion to dismiss ''shall” be converted into a motion for summary judgment if “matters outside the pleading are presented to and not excluded by the court ...” Fed.R.Civ.P. 12(b).
. The court is cognizant of the fact that courts must determine Title VII venue issues based on a “ 'commonsense appraisal' of how the events in question arose.”
Spencer,
. The Court notes that plaintiffs also sought to invoke 42 U.S.C. § 1981 as a basis for venue in this matter for the first time in their opposition to the dismissal motion. First, whether plaintiffs can amend their complaint through a statement in their opposition is a dubious proposition at best. However, even if the Court permitted suсh an amendment, this would not necessarily save the claims of those named plaintiffs who the Court has concluded may not raise their claims in this district. "Indeed, the greater weight of authority suggests that when a plaintiff brings a Title VII action under both 42 U.S.C. §§ 1981 and 2000e-5, the narrower venue provision of section 2000e-5(f)(3) controls.”
James,
. Federal Rule of Civil Procedure 21 provides:
Misjoinder of parties is not ground for dismissal of an action. Parties may be dropped or added by order of the court on motion of any party or of its own initiative at any stage of the action and on such terms as are just. Any claim against a party may be severed and proceeded with separately.
.
See Dukes,
. In Plaintiffs' Opposition to Defendant’s [sic] Motion to Dismiss D.C. Human Rights Act Claims аt 2, discussed infra at 27, plaintiffs allege that Ms. Rogers' Equal Employment Opportunity Complaint ("EEOC”) complaint specifically avers that she applied for the position of Senior Property Manager, which was located in the District of Columbia, at McLean Gardens, and which was denied to her sometime during May 1, 2001, and June 27, 2001. Plaintiffs presented no evidence regarding this alleged claim in their opposition to defendants’ motion to dismiss the Title VII claims for lack of venue. If in fact there are allegations pertaining to any of the other named plaintiffs that would support a finding that venue is proper in this district, the Court will reconsider its decision that their Title VII claims must be either dismissed or transferred, if an appropriately filed amended complaint is filed. However, the Court notes that in her EEOC filed charge of discrimination, Ms. Quarles specifically listed the defendants’ District of Columbia location as the discriminating employer, whereas Ms. Rogers listed the defendants’ Mechanicsville, Virginia location as the discriminating employer. Cf. Plaintiffs' Opposition to Defendant's [sic] Motion to Dismiss D.C. Human Rights Act Claims, Exhibits 2 and 3.
. Defendants mistakenly seek to dismiss count two of plaintiffs’ complaint. However, count two of the complaint contains allegations pertaining to plaintiff Sheila Quarles' *15 claims of disсrimination on the basis “of her age in violation of 29 U.S.C. 623.” Compl. II33. Count three contains the allegations regarding plaintiff Quarles’ race and gender discrimination claims. It appears that defendants seek to dismiss plaintiff Quarles’ Title VII race and gender discrimination claims because the basis for their dismissal request rests on the fact that plaintiff Quarles filed her lawsuit prior to the expiration of Title Vlf s 180 day filing period due to the fact that her right to sue letter was issued after the EEOC had her claim before it for only 128 days. Defendants’ Motion to Dismiss Counts I, II, V and VI Relating to Title VII Claims (“Defs.’ Title VII Mot”) at 5.
. Because the Court has determined that venue is proper in this district regarding plaintiff Quarles’ claim, and because it has declined to certify the class at this time, the defendants are at liberty to renew their motion to dismiss the claims concerning the class allegations once a request for class certification is submitted to the Court. This course is being taken by the Court at this juncture because the class has not been properly defined and the Court would therefore have to engage in speculation to address the issues raised in defendants' motion pertaining to the class.
. Judge Robertson certified his case for an interlocutory appeal of his ruling in
Tesfaye
"[bjecause the correct application of
Martini ...
involves a 'controlling question оf law as to which there is substantial ground for difference of opinion ... ”’ (citing 28 U.S.C. § 1292(b)). The appeal was subsequently dismissed by the District of Columbia Circuit.
See Carr Park, Inc. v. Tesfaye,
. The fact that plaintiff Quarles filed her initial complaint on June 28, 2002, prior to the receipt of her notice of dismissal, does not bar her action at this time. As plaintiffs correctly note, "[r]eceipt of a right-to-sue notice during the pendency of the Title VII action cures the defect caused by the failure to receive a right-to-sue notice before filing a Title VII claim in federal court.”
Williams v. Washington Metro. Area Transit Auth.,
. According to Ms. Quarles’ affidavit she learned of the fact that she was denied the position she sought "on or after July 2001,” and her complaint in this action was filed on July 28, 2002. Pis.’ Opp’n, Ex. 1 (Quarles Aff.) H 6.
. This Rule is the local equivalent of federal rule 12(b)(1).
. The trial court in
Matthews
dismissed the remaining counts of the complaint on the ground of
forum non conveniens.
. These are also the dates by which the parties must file any pleadings regarding plaintiffs' motion to amend the complaint, if such a motion is filed.
. The same dates by which the parties must file any pleadings regarding plaintiffs’ motion • to amend the complaint apply to the filing of these supplemental pleadings.
