MEMORANDUM
Plaintiff, Kathleen Scott, sues her former employer, Farm Family Life Insurance Co. (“Farm Family”), and Philip Weber, President of Farm Family, alleging improper employment termination.
*77 - Presently before the court is defendants’ motion to dismiss or to stay the action pending arbitration.
I
Background
.In April 1986, Farm Family hired Scott as an insurance sales agent. At that time, Scott signed an “Agent Contract” which provided that “all disputes arising under this agreement ... shall be resolved by binding arbitration pursuant to the rules of the American Arbitration Association.” Scott renewed this contract on August 22, 1988.
Scott, who was not married, alleges that in January 1988, she informed her manager, Thomas Hajadsz, that she was pregnant. She contends that Farm Family, through its agents and employees, including Weber, instructed Hajadsz to discharge Scott, or seek her resignation, due to her status as an unmarried, pregnant woman. Scott claims that Hajadsz refused to take any action against her and, as a result, was himself terminated.
Scott further claims that, throughout her employment, Weber repeatedly referred to her as “that fat broad” and “that slut.” Weber also purportedly made frequent comments about the sexual activities of Scott and other- female employees.
In September 1989, Weber terminated Scott’s employment. Scott contends that, at the time of her discharge, there were five sales agents who ranked lower than she did in sales production. She further alleges that Farm Family hired a man to replace her.
Scott filed a timely sex discrimination charge with the Massachusetts Commission Against Discrimination (“MCAD”) on March 22, 1990. The MCAD failed to docket her complaint or take any action until October 16,1992, when it issued a Right to Sue letter.
In her complaint, Scott alleges that defendants discriminated against her on the basis of her sex, marital status and pregnancy in violation of Title VII, 42 U.S.C. § 2000e, and Mass.Gen.L. ch. 151B, § 4. Scott further alleges claims of sexual harassment in violation of Mass.Gen.L. ch. 214, § 1C; intentional interference with contractual relations; breach of contract; violation of the Massachusetts Equal Rights Act, Mass.Gen.L. ch. 93, § 102; violation of the Massachusetts Civil Rights Act, Mass'.Gen.L. ch. 12, §§ 11H, 111;.- and intentional and negligent infliction of emotional distress.
II
Analysis
Defendants argue that Scott’s Agent Contract mandates that all of her claims be resolved by arbitration.
See Gilmer v. Interstate/Johnson Lane Corp.,
— U.S. -,
A. § 1 exclusion to the FAA
The Federal Arbitration Act (“FAA”) provides that “a contract evidencing a transaction involving commerce to settle by arbitration a controversy thereafter arising out of such contract or transaction ... shall,be valid, irrevocable, and enforceable_” 9 U.S.C. § 2. The statute defines “commerce” as:
commerce among the several States or with foreign nations, or in any Territory of the United States or in the District of Columbia, or between any such Territory and another, or between any such Territory and any State or foreign nation, or between the District of Columbia and any State or Territory or foreign nation, but nothing herein contained shall apply to contracts of employment of seamen, railroad employees, or any other class of workers engaged in foreign or interstate commerce.
9 U.S.C. § 1 (emphasis added). Scott contends that her Agent Contract should be excluded from the FAA’s arbitration requirement, because it is a “eontract[ ] of employment of ... [a] worker[ ] engaged in foreign or interstate commerce.”
The First Circuit has narrowly construed the § 1 exclusion of “contracts of employment of ... workers engaged in foreign or
*78
interstate commerce” as limited to those employees “involved in or closely related to the actual movement of goods in interstate commerce.”
Dickstein v. duPont,
Scott argues that the § 1 exclusion should apply to all employment contracts. In support of her position, Scott distinguishes
Dick-stein,
which involved a stock exchange registration agreement, not an employment contract. Similarly, Scott argues that the
Gil-mer
Court specifically declined to address the question of whether the § 1 exclusion applies to all employment contracts, as the situation before the
Gilmer
Court also concerned a stock exchange registration agreement.
See Gilmer,
— U.S. at - n. 2,
The
Dickstein
court, however, expressly found that the registration agreement was “an integral and mutually binding part of appellant’s employment arrangement.”
Dickstein,
To understand the logic behind the
Dick-stein
holding, it is helpful to look at the legislative history of the FAA. According to a report of the American Bar Association, which sponsored the bill, there was an objection made on behalf of the Seamen’s Union, that seamen’s wages come under admiralty jurisdiction and should not be subject to agreements to arbitrate.
See Tenney,
In further support of her argument that the § 1 exclusion should apply to all employment contracts, Scott reasons that the exclusion of only the transportation industry is an arbitrary distinction without meaning or purpose in the context of modern labor relations. She argues that it is absurd to limit the § 1 exclusion on the grounds that in 1925, when the FAA was passed, seamen and other transportation workers were subject to certain regulations apart from those set forth in their arbitration agreements.
However persuasive Scott may be in her logic, this court is the wrong forum for her argument. If the reasons behind the § 1 exclusion are outdated, then it is for Congress alone to address this inadequacy. Furthermore, current public policy suggests that the FAA should be read to further, rather than discourage, the use of arbitration.
See Moses H. Cone Hosp. v. Mercury Constr. Corp.,
Scott argues, in the alternative, that the court should consider her an employee engaged in interstate commerce because she sold insurance policies in Massachusetts which originated in New York. Scott concedes that she did not actually transport the policies. Nevertheless, she attempts to distinguish
Corion,
B.MCAD’s failure to prosecute her charge
Scott further argues that her situation is distinguishable from that in
Gilmer
because there, the Court relied on the fact that a discrimination claimant, who was subject to an arbitration agreement, would still be free to file a charge with the Equal Employment Opportunity Commission (“EEOC”), even though the claimant could not institute a private judicial action.
Gilmer,
— U.S. at -,
This court finds, however, that the holding in Gilmer is not based on the fact that the plaintiff could file a charge with the EEOC. Rather, the Gilmer Court addressed this issue in response to Gilmer’s argument that forcing parties to submit to arbitration would undermine the role of the EEOC in enforcing the Age Discrimination in Employment Act of 1967 (“ADEA”), 29 U.S.C. §§ 621-634. In addition to reasoning that plaintiffs would still be free to file a charge with the EEOC, the Court stated that “nothing in the ADEA indicates that Congress intended that the EEOC be involved in all employment disputes. Such disputes can be settled, for example, without any EEOC involvement.” Id.
Furthermore, although this court notes that Scott’s experience with the MCAD was certainly wanting, the MCAD’s inaction regarding her charge is irrelevant to a determination that the FAA mandates enforcement of Scott’s agreement to arbitrate.
C. Arbitrators’ ability to handle discrimination claims
Scott further argues that she cannot trust that the arbitrators have the necessary expertise or will apply the correct standards and burdens of proof in handling her discrimination claims. She also fears that the full range of damages will not be available to her, because in states like New York (where defendants reside), arbitrators cannot award punitive damages. The
Gilmer
Court, however, expressly rejected such arguments, finding that arbitrators can ably resolve issues of discrimination.
See Gilmer,
— U.S. at -,
D. Retroactive application of Gilmer
Scott next argues that at the time she entered into the Agent Contract, employment discrimination claims were not subject to arbitration, and thus it was not within the contemplation of the parties to contract away anti-discrimination provisions.
Scott entered into the arbitration agreement in 1986 and renewed it in 1988. At that time, the controlling law was the Supreme Court’s decision in
Alexander v. Gardner-Denver Co.,
The Supreme Court in
Gilmer
limited the scope of the
Alexander
decision, and thereby effectively overruled
Utley,
by finding that employment discrimination claims
are
appropriate for arbitration. The
Gilmer
Court did not overrule
Alexander,
but rather distinguished it for the following reasons: First, in
Alexander,
the employee had brought a contractual claim based on a collective bargaining agreement to a grievance committee. This claim was different from his Title VII statutory claim, although the two claims arose from the same conduct. The employees had not agreed to arbitrate their statutory claims.
Gilmer,
— U.S. at -,
Courts since
Gilmer,
when faced with a statutory employment discrimination claim and an arbitration agreement, have enforced the agreement to arbitrate.
See, e.g., Mago v. Shearson Lehman Hutton, Inc.,
Furthermore, the court in
Foley,
Retroactive application of the rule will promote arbitration, in consonance with strong federal policy. And there is no inequity in directing [plaintiff], in 1992, to conform to an undertaking to arbitrate that he elected to enter into in 1987. The fact that the Third Circuit ... in 1989, gave arbitration undertakings of this kind a narrower reading than the Supreme Court, two years later in Gilmer, was to assent to, gave [plaintiff] no vested right in the permanence of the narrower reading.
Id.
Here, Scott entered into the arbitration agreement at a time when Alexander was controlling and thus she had a vested right only in the law according to Alexander. Scott’s situation here is factually distinguishable from Alexander and thus an argument that Alexander precludes arbitration of her claims is without merit. Furthermore, the fact that after entering into the agreement, the First Circuit narrowly interpreted Alexander to preclude arbitration of all employment discrimination claims is irrelevant to what was in the contemplation of the parties at the time of contracting.
Accordingly, this court determines that Scott’s claims are subject to mandatory arbitration.
Ill
Conclusion
Having determined that Scott’s claims are subject to mandatory arbitration, this court GRANTS defendants’ motion to dismiss *81 without prejudice. Accordingly, defendants’ motion for stay of discovery is MOOT.
