In these companion Title VII
1. Procedural Background
On May 5, 1976, the Association filed a complaint, on behalf of itself, its women members and all women situated similarly to its women members, against Wynne & Jaffe, a Dallas law firm.
The Equal Employment Opportunity Commission (EEOC) filed a motion for leave to intervene as a party-plaintiff on August 23. Judge Higginbotham issued an order respecting Wynne & Jaffe’s interrogatories on October 12, sustaining the Association’s objection to four of the interrogatories and requiring it to answer the remaining twenty-nine.
On October 26, the Association brought a separate suit against Thompson, Knight, Simmons & Bullion, another Dallas law firm, alleging similar Title VII violations in the hiring of summer law clerks and associates.
Judge Woodward issued an order on May 10 granting the EEOC’s motions to intervene in the two actions and the Association’s request for leave to amend its complaints by adding A-D as parties plaintiff, “except that the identities of Lawyers A, B, C and D must be disclosed for these complaints and for all further purposes. (Only Lawyers A and B need be named in Wynne & Jaffe).” The trial court reasoned that “[t]he demand of the Association to prevent disclosure of Lawyers A-D is not mandated by the record. This is not a case involving racial strife or labor informants. Present there, but not here, were dangers of physical harm to the protected parties. Here the harm is at the most economic and at the least social. Further, the mechanics of nondisclosure would only further complicate an already complicated set of cases.”
On May 19, plaintiffs filed a motion requesting the district court to amend its May 10 order “so as to permit an interlocutory appeal therefrom pursuant to 28 U.S.C. § 1292(b)”; the trial judge denied that motion on May 25. Meanwhile, Wynne & Jaffe served plaintiffs with a second set of interrogatories on May 24. Plaintiffs moved for a “protective and restraining order” to strike certain interrogatories on May 27, objecting to defendant’s queries with respect to the Association’s current membership list and the identities of the women whom plaintiffs alleged were reluctant to join or “labor for the Association in the public eye” and fearful “that, if they are associated with the Association, they
II. Appealability of the District Court’s Orders
Plaintiffs urge us to reverse the trial court’s orders compelling disclosure of the identities of A-D and information regarding the Association’s membership. They assert that the four anonymous lawyers and the organization’s members will “suffer economically and socially should their participation in these actions become generally known.” Lawyers A, B and C, in sealed affidavits, express a belief that they would “be eased out” or “assigned less desirable matters” by their current employers and one of the women suggests “that her firm would likely lose business should her identity become known.” Plaintiffs further argue that if the identities of A-D and the Association’s members are revealed and these persons “find it difficult to practice law,” other professionals subjected to illegal discrimination will become reluctant to bring Title VII actions and hesitant to band together “in law and other professional schools to advocate their rights under the civil rights statutes.” Plaintiffs’ brief on appeal, pp. 25-27.
However, before considering the merits of plaintiffs’ contentions, we must determine whether the district court’s pretrial disclosure orders are appealable, for as Mr. Justice Jackson observed in Cohen v. Beneficial Industrial Loan Corporation, “[a]ppeal gives the upper court a power of review, not one of intervention. So long as the matter remains open, unfinished or inconclusive, there may be no intrusion by appeal.”
Under the collateral order doctrine announced by the Supreme Court in Cohen, supra, a trial court order is an appealable section 1291 “final decision” when it represents “a final disposition of a claimed right which is not an ingredient of the cause of action and does not require consideration with it” and which presents “a serious and unsettled question” of law.
The district court’s pretrial disclosure orders pass the Cohen test of appealability. Since there is no “plain prospect that the trial court may itself alter the challenged ruling[s],” we regard them as finished and conclusive. United States v. Gurney, supra,
III. Disclosing the Identities of A — D
Plaintiffs have not cited, nor have we found, any prior decisions which recognize or even discuss the right of Title VII plaintiffs to proceed anonymously. Neither the Federal Rules of Civil Procedure nor Title VII itself make provision for anonymous plaintiffs. The rules require that “[i]n the complaint the title of the action shall include the names of all the parties,” Fed.R.Civ.P. 10(a), and the language of Title VII establishes no exception to the general principle that “the identity of the parties to a lawsuit should not be concealed.” Doe v. Deschamps, D.Montana, 1974,
Under certain special circumstances, however, courts have allowed plaintiffs to use fictitious names. “[W]here the issues involved are matters of a sensitive and highly personal nature,” such as birth control,
Plaintiffs argue that disclosure of A-D’s identities will leave them vulnerable to retaliation from their current employers, prospective future employers and an organized bar that does “not like lawyers who sue lawyers.” In our view, A-D face no greater threat of retaliation than the typical plaintiff alleging Title VII violations, including the other women who, under their real names and not anonymously, have filed sex discrimination suits against large law firms. See, e. g., Kohn v. Royall, Koegel & Wells, S.D.N.Y.1973,
Because we find neither an express congressional grant of the right to proceed anonymously nor a compelling need to “protect[] privacy in a very private matter,” Doe v. Deschamps, supra,
IV. Disclosure of the Membership Information
In his June 8, 1977 order, Judge Woodward stated that he would grant a motion by defendant Wynne & Jaffe to produce the Association’s current membership list “if same is not voluntarily produced” and instructed plaintiffs to answer certain questions in Wynne & Jaffe’s second set of interrogatories regarding the identities of the women whom plaintiffs claimed were hesitant to join “or labor for the Association in the public eye” and who were afraid “that, if they associated with the Association, they will be singled out for discrimination by Defendants and other law
Under Judge Higginbotham’s order of October 12, 1976, dealing with Wynne & Jaffe’s first set of interrogatories, defendant law firm’s counsel may “not communicate Plaintiff’s answers ... to any person other” than two named partners of the firm, who in turn are forbidden to divulge plaintiff’s responses to any other persons “except upon further application to and order of this Court.” We believe that this ruling strikes a sensible balance between Wynne & Jaffe’s need to defend this lawsuit and the Association’s desire to avoid the purportedly adverse consequences of revealing information with respect to its membership. Therefore, we hold that the disclosure limitations announced in the October 12, 1976 order will also apply to the Association’s membership list and plaintiffs’ answers to Wynne & Jaffe’s second set of interrogatories. With that modification, we affirm the order of the trial court dated June 8, 1977.
MODIFIED AND AFFIRMED.
Notes
. 42 U.S.C. §§ 2000e-2000e-17 (Act).
. The Association filed a sworn charge under the Act with the Equal Employment Opportunity Commission (EEOC) on March 3, 1975, setting forth its allegations against Wynne & Jaffe of illegal sex discrimination. On December 5, 1975, the EEOC found reasonable cause to believe that the Act had been violated in the manner charged and invited the Association and Wynne & Jaffe to enter into conciliation. When the law firm informed plaintiff that it did not desire to enter into conciliation, the Association requested the EEOC to issue a right-to-sue letter against Wynne & Jaffe. The EEOC gave the Association Notice of Right to Sue Within Ninety Days in a letter dated March 23, 1976.
. Among other things, the law firm’s contested interrogatories sought to ascertain the identities of the officers and members of the Association’s governing body; asked whether the Association was sponsored by or operated with the approval of Southern Methodist University; requested the identity of Association members who “had applied for and were refused employment with Defendant because of Defendant’s alleged discrimination” and of those members who would have applied but for that purported discrimination; asked the identity of any persons who had requested the Association to file charges against Wynne & Jaffe with the EEOC; and queried whether the governing body or membership of the Association had made the decision to institute charges with the EEOC, along with “full details regarding when and how such decision was made.”
. The district court ordered that the Association not be required to answer those interrogatories which asked that it identify any documents in its possession or control which had been sent to the EEOC in connection with the charges made against Wynne & Jaffe and any persons who had requested the Association to bring charges against the law firm with the EEOC (interrogatories numbers 23 and 28); or those seeking “full details” with respect to whether the Association’s governing body or membership had made the decision to institute charges with the EEOC (interrogatories numbers 29 and 30).
. The Association filed a sworn charge under the Act with the EEOC on March 3, 1975, detailing its allegations against Thompson, Knight of illegal sex discrimination. On February 14, 1976, the EEOC found reasonable cause to believe that the Act had been violated and invited the Association and Thompson, Knight to enter into conciliation. When the parties failed to reach a conciliation agreement, the Association requested the EEOC to issue a right-to-sue letter against Thompson, Knight. The EEOC gave the Association Notice of Right to Sue Within Ninety Days in a letter dated September 27, 1976.
. The motions for protective orders also sought to limit disclosure of information other than that relating to the identities of the anonymous plaintiffs and the Association’s members “only to those persons who actually participated in the employment practice to which the information pertains.”
. The May 10 order did not address that portion of plaintiffs’ April 13 motion for a protective order which sought to limit to defendant’s counsel disclosure of the identities of the Association’s members. In addition, as we interpret the order it does not require the EEOC to divulge the identities of Lawyers A-D or any other information which would tend to reveal their identities.
. Poe v. Miman,
. E. g., Roe v. Wade,
. E. g., Doe v. Department of Transportation Federal Aviation Administration, 8 Cir., 1969,
. E. g., Doe v. Carleson, N.D.Cal., 1973,
. See, e. g., Roe v. Wade, supra; Doe v. Commonwealth's Attorney for City of Richmond, supra; Doe v. Shapiro, supra.
. We note that nothing in the June 8 order alters that part of Judge Higginbotham’s October 12, 1976 order under which plaintiffs are held not to be required to answer interrogatories respecting any information the Association and its members communicated to the EEOC in connection with the charges against Wynne & Jaffe. See notes 3 and 6 supra.
