MEMORANDUM AND ORDER
On April 20,1994, plaintiff Matthew Simon (“Simon”) brought an action against defendant Safelite Glass Corporation (“Safelite”) alleging age discrimination in violation of the Age Discrimination in Employment Act of 1967, 29 U.S.C. §§ 621 et seq. (“ADEA”), and the New York State Human Rights Law, N.Y.Exec.Law §§ 290 et seq. (“NYSHRL”). On February 5, 1996, the Court denied defendant’s motion for summary judgment.
On February 12, 1996, the date scheduled for trial, Safelite informed the Court it had recently learned that Simon had failed to disclose his successful February 1994 application to the Social Security Administration (“SSA”) for Disability Insurance Benefits (“disability .benefits”) during discovery. The Court ordered further discovery as to plaintiffs application for disability benefits, and granted defendant leаve to renew its motion for summary judgment. February 12, 1996 Trial Transcript, at pp. 8-9. Safelite’s renewed motion for summary judgment is now before the Court. Also before the Court is Safelite’s motion for sanctions pursuant to Rule 11, Fed.R.Civ.P.
FACTS
On May 1, 1993, plaintiff Simon .lost his position as an auto glass installer at defendant Safelite when it closed the Bay Street branch office where Simon had been employed. On February 14, 1994, when his entitlement to unemployment benefits expired, Simon applied for Federal Disability Insurance. Ramirez Aff. ¶ 4; Ex. C, p. 12.; PI. 3(g) Statement, ¶ 12. As a part of the application process, Simon met with a Social Security representative who interviewed him and transcribed his answers onto a Disability Report. In response to a question concerning changes in Simon’s work circumstances, the representative wrote on Simon’s behalf, “stayed out on sick leave at times — was finally laid off — reduction in force.” In response to the question, “explain how your condition now keeps you from working,” the representative wrote, “I was laid off in 3/93 but I have not been able to do any additional work because my vision is getting worse. I have blurriness — not painful but is annoying. I cannot see to do any detail work.” Simon also signed an Application for Disability Insurance Benefits, attesting, among other things, to the following:
“I became unable to work becаuse of my disabling condition on March 31, 1993. I am still disabled.... I agree to notify the Social Security Administration if: — My medical condition improves so that I would be able to work, even though I have not yet returned to work. —I go to work whether as an employee or a self-employed person.”
PI. Rule 3(g) para. 13. Simon Aff. Ex. H (emphasis added).
Simon’s signature on the Application for Disability Insurance Benefits appears under the following paragraph:
I know that anyone who makes or causes to be made a false statement or representation of material fact in an application or for use in determining a right to payment under the Social Security Act commits a crime punishable under Federal Law by fine, imprisonment or both. I affirm that all information I have given in connection with this claim is true. 1
On March 25, 1994, a doctor appointed by the SSA examined Simon and confirmed that Simon suffered from a degenerative eye disease. Simon Aff. Ex. F. On April 13, 1994, a vocational consultant from the New York *263 State Department of Social Services Office of Disability Determination reviewed Simon’s medical records, application for disability benefits and disability report and concluded that a finding of disability was in order. Simon Aff. Ex. J.
On April 20, 1994, Simon filed this action alleging that Safelite fired and refused to rehire him because of his age. The complaint stated:
Plaintiff, at all times during his employment, satisfactorily performed all of his duties and responsibilities as an installer and in particular upon information and belief was one of the most productive installers defendant employed in the Metropolitan New York City area.... Upon information and belief defendant had and continues to have a distinct policy that limits employment opportunities for older individuals as installers and a further policy to fill vacancies for positions that plaintiff is fully qualified to fill with younger individuals than the plaintiff.
Stergios Aff., Ex. 1, Complaint, ¶¶ 7 & 15 (emphasis added).
On April 28, 1994, three days after Simon filed his employment discrimination ease, the SSA concluded its examination of Simon’s disability application and issued a Notice оf Award of Disability Insurance (“notice”). The notice stated:
We found that you became disabled under our rules on March 31, 1993.... You will receive $5,230.00 around April 28, 1994.... After that you will receive $757.00 each month.... The decisions we made on your claim are based on information you gave us. If this information changes, it could affect your benefits. For this reason, it is important that you report the changes to us right away.
Simon Aff. Ex. I.
Simon admits that “around the end of April, I was informed that I was eligible for benefits ... which I have been and continue to receive.” Simon Aff. ¶ 22.
Simon states that he has worked occasionally installing auto glass since his termination from Safelite. Ramirez Aff. Ex. C, Deposition of Matthew Simon, pp. 65, 70-71; Sterg-ios 2/5/96 Aff.Ex. 10, 4/19/95 Deposition of Matthew Simon, pp. 30-32. However, despite the instructions in the notice and in the Application for Disability Insurance Benefits which he signed, Simon has not informed the SSA of any change in his medical condition or that he has occasionally returned to work.
DISCUSSION
I.
DEFENDANT’S MOTION FOR SUMMARY JUDGMENT
A. Summary judgment standards
Summary judgment under Rule 56 is appropriate “if the pleadings, depositions, answers to interrogatories, and admissions on file together with the affidavits, if any, show that there is no genuine issue as to any material fact and that the moving party is entitled to judgment as a matter of law.”
See Celotex Corp. v. Catrett, 477
U.S. 317, 322,
A genuine factual issue exists if there is sufficient evidence favoring the nonmovant such that a jury could return a verdict in its favor.
Anderson v. Liberty Lobby, Inc., 477
U.S. 242, 249,
*264 B. Proving age discrimination under the ADEA and the NYSHRL
The ADEA prohibits employers from discriminating against workers aged 40 or older on the basis of their age. To survive a motion for summary judgment [in an ADEA cause of action], the plaintiff must first establish a prima facie case of discrimination by showing that he or she (1) is a member of a protected group; (2) was qualified to perform the duties required by the position; and (3) suffered an adverse employment action “under circumstances suggesting that age was a factor.”
Robinson v. Overseas Military Sales Corp.,
New York State courts have applied a similar burden shifting analysis to eases brought under the NYSHRL. To prevail under that law, as under the ADEA, Simon must prove he “satisfactorily performed the duties required” by his position at Safelite.
Song v. Ives Lab., Inc.,
Safelite contends that Simon is judicially estopped from claiming that he is capable of performing the work from which he was terminаted by his representations to the contrary in support of his application for disability benefits, which was granted, and by his subsequent and continuing acceptance of those benefits. That estoppel precludes Simon from establishing a prima facie case and compels, without more, granting the defendant’s motion.
C. Judicial Estoppel
The United States Court of Appeals for the Second Circuit has had few occasions to consider in meaningful detail the doctrine of judicial estoppel. Research has disclosed only one in which it did, namely
Bates v. Long Island R.R. Co.,
The Court stated the doctrine of judicial estoppel to be aimеd at preventing “a party from asserting a factual position in a legal proceeding that is contrary to a position previously taken by him in a prior legal proceeding.”
Bates,
[JJudicial estoppel protects the sanctity of the oath and the integrity of the judicial *265 process. Thus, there are two distinct objectives behind judicial estoppel, both of which seek to protect the judicial system. First, the doctrine seeks to preserve the sanctity of the oath by demanding absolute truth and consistency in all swоrn positions. Preserving the sanctity of the oath prevents the perpetuation of untruths which damage public confidence in the integrity of the judicial system. Second, the doctrine seeks to protect judicial integrity by avoiding the risk of inconsistent results in two proceedings.
By focusing on the rationales behind judicial estoppel, the elements of the doctrine become clear. First, the party against whom the estoppel is asserted must have argued an inconsistent position in a prior proceeding; and second, the prior inconsistent position must have been adopted by the court in some manner.
The court revеrsed the decision of the district court deciding that the second element was not satisfied because the settlement of Lyons’ FELA action neither required nor implied judicial acceptance of his claims of permanent disability and therefore there was no basis for invoking judicial es-toppel to his Rehabilitation Act claim.
A critical reading of
Bates
gives rise to several questions and therefore to some uncertainty regarding the reach of its holding. As has been indicated above, the Court stated the doctrine to be aimed at preventing “a party from asserting a factual position in a legal proceeding that is contrary to a prior legal proceeding.” The first question prompted by that statement is what is meant by a legal proceeding? At a later point in the opinion, as has been indicated above, the Court wrote that “the doctrine seeks to preserve the sanctity of the oath by demanding absolute truth and consistency in all
sworn
positions.” The second question prompted by
that
statement is does “legal proceeding” embrace any proceeding, e.g., administrative, quasi-judicial, in which a “sworn position” is taken? In writing that the second element of the doctrine is “that the prior inconsistent position must have been adopted
by the court
in some manner,” the third question raised is did the court intend to restrict the demand for thе sanctity of an oath and “absolute truth and consistency in all sworn positions” to an oath taken in a court? The Court acknowledged in
Bates
that the doctrine of judicial estoppel was “never, ... clearly defined in this Circuit.”
Prior to addressing the questions posed, it is interesting to note that the only three Second Circuit cases the court identified as having discussed the doctrine in detail de- • fined it in these terms: In
Young v. United States Dep’t of Justice,
The judicial estoppel doctrine ... may prevent a party who benefits from the assertion of a certain position, from subsequently adopting a contrary position.... It is supposed to protect judicial integrity by preventing litigants from playing “fast and loose” with courts, thereby avoiding unfair results and “unseemliness.” (Citations omitted) The circumstances under which the doctrine could be applied are far from clear.”
In
Merrill Lynch, Pierce, Fenner & Smith, Inc. v. Georgiadis,
a. What is meant by “legal proceeding” and do those words embrace any proceeding, e.g., administrative, quasi-judicial, in which a “sworn position” is taken?
The answer to those questions, I would submit, becomes readily apparent when the indelible thread that runs through the cases is kept clearly in view, which is that the doctrine of judicial estoppel is aimed at respecting the sanctity of the oath and the integrity of the judicial process. The staunch insistence upon the sanctity of the oath and all that it implies for the integrity of the judicial process is tenaciously maintained notwithstanding the view surely espoused by some, including
Wigmore,
that “[i]t can hardly be denied that the moral effiсacy of the oath has long since ceased to be what it once was.” 6 James H. Chadboum,
Wigmore on Evidence
§ 1827 (rev. ed. 1976). The assumption aside that it may no longer be believed that the divine hand will smite the liar, it cannot be gainsaid that having taken the oath, the fear of being indicted for perjury may inhibit false testimony and serve the integrity of the judicial process. If, indeed, it is the sanctity of the oath and the integrity of the process that lies at the heart of the doctrine of judicial estoppel then the answer to the question posed must be that “the truth is no less important to an administrative body acting in a quasi-judicial capacity than it is to a eourt of law.”
Rissetto v. Plumbers and Steamfitters Local 343,
In
Muellner v. Mars, Inc.,
Muellner’s application for disability benefits amounted to the first step in an administrative proceeding which was quasi-judicial in nature. ... That Muellner was immediately successful at obtaining disability benefits and did not have to proceed to an actual hearing in order to prevail ultimately does not alter the essential character of the procedure involved in applying for disability benefits.
The SSA administrator’s decision to pay disability benefits as sought by Muellner in her claim amounts to a quasi-judicial endorsement of Muellner’s prior position of disability.
In observing that if Muellner was not disabled she should never have applied for disability benefits and by denying that she was disabled she “flaunts the ... fraud she committed on the SSA, and still commits by her continued acceptance of disability benefits,” Id at 359, the court presaged the facts and the opinion in this case. After restating the function of judicial estoppel to be the protection of the integrity of the judicial process, the court concluded that Muellner was es-topped to assert that she was able to perform the duties of her job.
In
Cline v. W. Horseman, Inc.,
judgment the court noted the following: (1) “Disability” under the Social Security Act is defined to mean an inability to engage in any substantial gainful activity because of physical impairment which has lasted or can be expected to last for not less than 12 months. 42 U.S.C, § 423(d)(1)(A). To meet that definition the claimant must have a severe impairment which prevents him from doing his previous work or any other substantial gainful activity existing in the national economy. 20 C.F.R. § 404.1505 (1995). In awarding disability benefits, the Administrative Law Judge found the plaintiff to be disabled, driving the court to conclude as a matter of law that the plaintiff cannot be “disabled” and entitled to receive SSA benefits and yet still be able to perform the essential functions of her job with the defendant. The estoppel argument, said the court, was a persuasive one and cited the following cases, reaching the same result:
Reiff v. Interim Personnel, Inc.,
In
McNemar v. Disney Store, Inc.,
“The fact that the choice between obtaining federal or state disability benefits and suing under the ADA is difficult does not entitle one to make false representations with impunity. Nothing in the reasoned jurisprudence of judicial estoppel goes this far. Nothing grants a person the authority to flout the exalted status that the law accords statements made under oath or penalty of perjury. Nothing permits one to undermine the integrity of the judicial system by ‘playing fast and loose in the courts by asserting inconsistent positions.’” Nothing vests such immunity. (Citation omitted).
Rissetto v. Plumbers and Steamfitters Local 343,
b. Are Workers’ Compensation Proceedings Equivalent to Judicial Proceedings? Unsurprisingly given its name, judicial es-toppеl is often articulated as applying to “judicial” proceedings. However, many cases have applied the doctrine where the prior statement was made in an administrative proceeding, and we are not aware of any case refusing to apply the doctrine because the prior proceeding was administrative rather than judicial.
We hold that the doctrine of judicial estop-pel is not rendered inapplicable in this case by the fact that plaintiffs prior position was taken in a workers’ compensation proceeding rather than in a court. (Citations omitted)."
In accord are
Simo v. Home Health & Hospice Care,
The second issue, which is not presented in this case, addresses one decided without much discussion in
Bates
and which is decid
*269
ed differently in
Rissetto
after posing the question, at
c. Does a Favorable Settlement Constitute Success?
Under what is sometimes termed the “majority5’ view of the doctrine of judiciаl es-toppel, the prior inconsistent statement must have been “actually adopted by the court in the earlier litigation.”
[Having settled her claim] It ... cannot be said literally that her prior statement was “actually adopted” by any court or administrative tribunal.
It can, however, be said that plaintiff'luc-eeeded or prevailed on her workers’ compensation claim.... In our view, the fact that plaintiff prevailed by obtaining a favorable settlement rather than a judgment should have no more relevance than in the context of civil rights attorney’s fees awards, i.e., none whatever. See Maher v. Gagne,448 U.S. 122 ,100 S.Ct. 2570 ,65 L.Ed.2d 653 (1980) (party who obtains consent decree is “prevailing party” no less than one who obtains a judgment on the merits).
We hold that a favorable settlement constitutes the success required under the so-called majority view.
This view was announced many years ago in
Scarano v. Central R.R. Co. of New Jersey,
If I am correct in the belief that it is the sanctity of the oath and the integrity of the process which energizes the doctrine of judicial estoppel then it should follow that the fact of settlement rather than judgment is irrelevant. The essential validity of that conclusion is most vividly and simply stated by Judge Posner in
Chaveriat v. Williams Pipe Line Co.,
The plaintiffs reliance upon
Overton v. Reilly,
Simon is the paradigmatic judicial estoppel plaintiff. He has played fast and loose with the system, arguing “whatever state of facts seems advantageous at a point in time, and a contradictory state whenever self-interest may dictate a change.” IB Jeremy C. Moore, et al., Moore’s Federal Practice ¶ 0.405[8] (2d ed. 1996). The cost to Simon of lying is thus raised by the doctrine of judicial estoppel which compels him to choose irrevocably his sworn position before the SSA that he was totally disabled thereby preserving the sanctity of the oath and the integrity of the process. The defendant’s motion for summary judgment is, for the foregoing reasons granted.
I am sensitive to the fact that the Court of Appeals for this Circuit has not yet addressed the issue of judicial estoppel where social security disability benefits have been awarded upon the oath of disability of an ADA claimant. I am also mindful, however, of Judge Learned Hand’s dissenting opinion in
Spector Motor Serv., Inc. v. Walsh,
II.
DEFENDANT’S MOTION FOR SANCTIONS PURSUANT TO RULÉ 11, FEDERAL RULES OF CIVIL PROCEDURE
The portion of Rule 11 that has relevance for this motion is as follows:
(b) Répresentations to Court. By presenting to the court ... a ... paper, an attorney ... is certifying that to the best of the person’s knowledge, information, and belief, formed after an inquiry reasonable under the circumstances,—
(2) the claims, ... and other legal contentions therein are warranted by existing law or by a nonfrivolous argument for ... the establishment of new law.
(3) the allegations and other factual contentions have evidentiary support....
Neither of those sub-divisions is applicable for the reason that the Court of Appeals for this Circuit has not had occasion to decide whether the doctrine of judicial estoppel will be applied where the sworn statement subsequently sought to be disavowed was made in an administrative or quasi-judicial proceeding. The court in
Bates v. Long Island R.R. Co.,
The violation by the plaintiff’s attorney of Rule 26(e)(1) in failing to supplement his disclosures by revealing the plaintiffs application for and receipt of social security disability benefits of which he conceded to have knowledge and faded to disclose is beyond cavil. For that failure to disclose sanctions are clearly warranted. Rule 37(e)(1), Fed.R.Civ.P., provides that the offending party may be required to pay reasonable expenses, including attorney’s fees, caused by the failure to disclose. That sanction is entirely appropriate in this case. The defendant’s attorney is directed to submit an affidavit of such expenses and fees incurred by reason of the breach by the plaintiffs attorney of his duty to disclose. That affidavit shall be submitted within twenty days of the date of this order and the plaintiffs attorney shall have five days thereafter to respond.
CONCLUSION
For all of the reasons heretofore stated, the defendant’s motion for summary judgment is granted and its motion for sanctions is granted to the extent indicated.
SO ORDERED.
Notes
. See, in this regard, 28 U.S.G. § 1746.
.
Chaveriat
also decided that "[t]hough called judicial estoppel, the doctrine has been applied, rightly in our view, to proceedings in which a party to an administrative proceeding obtains a favorable order that he seeks to repudiate in a subsequent judicial proceeding.”
