Lead Opinion
These cases arise under G. L. c. 151B. In each case, the Massachusetts Commission Against Discrimination (MCAD or commission) entered decisions finding the respondents liable for employment discrimination and awarded relief including damages for emotional distress. The respondents have sought judicial review of the MCAD’s decision pursuant to G. L. c. 151B, § 6, in accordance with standards set forth in G. L. c. 30A, § 14, and also have sought jury trials in the Superior Court, pursuant to this court’s decision in Lavelle v. Massachusetts Comm’n Against Discrimination,
Stonehill College vs. Massachusetts Commission Against Discrimination.
On April 27, 1995, Soo Tang Tan, a professor of mathematics at Stonehill College (Stonehill) filed a complaint with the MCAD charging Stonehill with unlawful discrimination based on his race and color in violation of G. L. c. 151B, § 4 (1). After a public hearing, an MCAD hearing officer determined that Stonehill had discriminated against Soo Tang Tan in violation of G. L. c. 15IB, and awarded him back pay, front pay, and $150,000 in damages for emotional distress. The commission affirmed the hearing officer’s decision in all respects. Stonehill then filed a complaint in the Superior Court seeking judicial review of the MCAD decision and, should its administrative appeal be unsuccessful, a jury trial de nova on the discrimination complaint. A Superior Court judge denied Soo Tang Tan’s motion to dismiss the latter but ordered Stonehill to file an election within thirty days as to its chosen avenue of relief. The judge reasoned that a respondent appealing from an unfavorable MCAD decision is entitled to an administrative appeal or a jury trial de nova, but not both. A single justice of the Appeals Court granted Stonehill leave to pursue an interlocutory appeal of the judge’s order, and this court allowed Stonehill’s application for direct appellate review.
On January 20, 1993, David Keeling filed a complaint with the MCAD alleging that he was unlawfully terminated by Wilfert Brothers Realty Co. (Wilfert Brothers) after incurring a knee injury during the course of his employment. After a public hearing, an MCAD hearing commissioner entered a decision finding Wilfert Brothers liable for handicap discrimination in violation of G. L. c. 15IB, § 4. The commission ordered Wilfert Brothers to pay Keeling lost wages and $35,000 in emotional distress damages.
Keyland Corporation vs. Massachusetts Commission Against Discrimination.
On November 29, 1994, Brenda Raffurty filed a claim with the MCAD asserting that Keyland Corporation and John Kheary (together, Keyland) subjected her to sexual harassment in the
On May 2, 1994, Geraldine Ross filed a claim with the MCAD alleging discrimination on the part of her employer, the Massachusetts Bay Transportation Authority (MBTA), in violation of G. L. c. 151B, § 4 (16) (handicap).
1. It will be useful to furnish some legal background. In
Four years after Dalis, a respondent named in a complaint of sex discrimination filed with the MCAD (Lavelle) brought an action in the Superior Court, asserting that, based on the principles stated in Dalis, and on principles of equal protection, he likewise was entitled to a jury trial. See Lavelle, supra at 333. A judge in the Superior Court dismissed the complaint as premature, on the ground that Lavelle had not exhausted his rights before the commission. On appeal, however, this court considered the merits of Lavelle’s claim and concluded that “[t]he reasoning of this court in its Dalis opinion identifying the constitutional right of a complainant to have a trial by jury applies equally to a respondent such as Lavelle. If one side to a dispute has a constitutional right to a jury trial, generally the other side must have a similar right.” Id. at 337.
Having perceived an equal protection infirmity in G. L.
“A right in a respondent to obtain a jury trial only after the commission has taken final action is the best available option. In this way the commission will be involved in the matter as fully as possible and as the Legislature directed. Many disputes will be settled by the commission and will not need to be adjudicated. Persons representing themselves will not be forced into unfamiliar court surroundings but will be heard instead in less intimidating agency proceedings. Courts, in turn, will not be unnecessarily inundated with gender-based discrimination lawsuits demanded by respondents, perhaps in some instances for tactical reasons. Also, the commission may decide in favor of the respondents on the merits, thereby ending the matter. G. L. c. 151B, § 9, first par. Moreover, although the commission may decide in favor of the complainant, it might only grant traditional equitable relief. In such a case, a respondent would have no right to a jury trial. Additionally, an unsuccessful respondent may conclude that an appeal based on the agency record (G. L. c. 151B, § 6) provides an adequate avenue of relief from the agency decision. We adopt this solution recognizing that it gives certain respondents two chances to prevail, before the commission and then in court, while a complainant unsuccessful before the commission may not proceed to court for a new hearing (G. L. c. 15IB, § 9, first par.), but may seek judicial review only on the agency record (G. L. c. 15IB, § 6). We also recognize that there will be practical problems in extending a jury trial right to a respondent, including the preparation of a complaint to be filed in court by or on behalf of a complainant. Other questions*558 may arise concerning the process we have described, but we decline to anticipate and answer them now.”13
Id. at 338-339.
None of the complainants in the four cases under review elected to bring a private action under G. L. c. 151B, § 9. In each case, after a full § 5 proceeding, the commission has determined that the respondent engaged in unlawful discriminatory employment practices. Various remedial orders, including orders for the payment of damages for emotional distress, have been entered against each respondent. The respondents have each filed a complaint in the Superior Court seeking to have the commission’s decision overturned or, alternatively, seeking a jury trial de nova. Although each case presents unique issues relative to the respondents’ asserted rights to a jury trial,
2. There is no flaw in the reasoning or conclusion in Dalis. Article 15 “preserves ‘the common law trial by jury in its indispensable characteristics as established and known at the time the Constitution was adopted’ in 1780.” Department of Revenue v. Jarvenpaa,
Independent research indicates that, from the late 1700’s until midway through the 1800’s, common law in both England and the American States provided for an employee’s cause of action against an employer for wrongful discharge or breach of employment contract.
Although a violation of G. L. c. 151B is not a tort, we have, on many occasions, identified tort-like aspects of a G. L. c. 151B discrimination claim brought in the Superior Court. See, e.g., Thomas v. EDI Specialists, Inc.,
In addition to the legal nature of the plaintiff’s claim in Dalis, the remedies sought in the case (compensatory and exemplary damages, interest and costs, and attorney’s fees) were predominantly legal rather than equitable in nature. See Conway v. Electro Switch Corp., supra (recognizing that implicit in language of § 9 allowing “civil action for damages or injunctive relief, or both,” was “a plain legislative intent to afford victims of discrimination the legal remedy of compensatory damages”). We note that the right to seek punitive damages granted to complainants, like Dalis, who choose to pursue their claim under G. L. c. 15IB, § 9, “traditionally [has] been viewed as a legal remedy that must be imposed by a jury.” Lebow v. American Trans Air, Inc., supra at 669. That G. L. c. 15 1B, § 9, also allows a plaintiff to seek injunctive relief as
3. We now confront the main holding in Lavelle. The decision, in most of its aspects, reaffirms Dalis, and much of what was said in Lavelle with respect to Dalis is correct. Based on arguments now made by the parties, and not made in Lavelle, however, we conclude that Lavelle incorrectly applied the holding in Dalis by mistakenly assuming that G. L. c. 151B procedures under § 5 and § 9 are, essentially, the same. Based on that erroneous assumption, the Lavelle court reasoned that respondents in a § 5 proceeding are similarly situated, with respect to art. 15, as plaintiffs in a § 9 action in the Superior Court, and so concluded that to deny such respondents the right
Adherence to the principle of stare decisis provides continuity and predictability in the law, but the principle is not absolute. No court is infallible, and this court is not barred from departing from previous pronouncements if the benefits of so doing outweigh the values underlying stare decisis. See Franklin v. Albert,
(a) The discrimination claim considered in the Dalis case had been filed in the Superior Court pursuant to G. L. c. 151B, § 9. There was no suggestion by the Dalis court, nor did any party in that case argue, that the art. 15 analysis also would apply to discrimination claims heard in proceedings conducted entirely within the MCAD pursuant to G. L. c. 15IB, § 5. The differences between administrative proceedings conducted pursuant to § 5 and a private right of action under § 9 are significant. We highlight but a few.
While the main object of a judicial proceeding under § 9 is
(b) The respondent in Lavelle (and the respondents in the four cases under review) was a party in an MCAD proceeding. The complainant in Lavelle (and the complainants in the four cases under review) chose not to proceed through the courts but opted instead for an administrative hearing and judicial review of the commission’s decision on her claims. That the Legislature has provided complainants, and not respondents, the right to choose the forum in which their claim will be heard does not pose an equal protection problem.
In that case, we found no merit in the argument that the procedures outlined in §§ 5 and 9 deprived an employer of its fundamental right to a trial because a complainant may transfer the controversy to the Superior Court for a judicial adjudication of the discrimination claim while an employer may not. See id. at 580-581. Our reasoning was premised on the fact that, because, pursuant to § 6, all orders of the commission are subject to judicial review, the respondent in a claim of employment discrimination “is not faced with a denial of access to the judicial system, but rather with a postponement of judicial adjudication at the complainant’s option until after the commission has issued a preliminary determination and ordered a remedy based on its findings of fact.” Id. at 580. We concluded that “[a]ny effect on the rights or privileges of employers as a class is limited to the differences between initial judicial adjudication of a discrimination claim, and a claim that reaches the court after an administrative hearing and determination.” Id.
(c) Nothing in Dalis questioned or altered the equal protection analysis set forth in the New York & Mass. Motor Serv.
We emphasize that G. L. c. 15IB itself does not grant a complainant in an employment discrimination case the right to a jury trial. The statutory scheme merely grants an alleged victim of employment discrimination the threshold opportunity to choose one of “two largely independent avenues for redress of violations of [G. L. c. 151B], one through the MCAD (G. L. c. 151B, §§ 5-6), and the other in the courts (G. L. c. 15IB, § 9).” Brunson v. Wall,
“There are many instances in the law where a person entitled to sue may choose between alternative measures of redress and modes of enforcement; and this has been true since before the Constitution. But it never has been held, nor thought so far as we are advised, that to permit such a choice between alternatives otherwise admissible is a violation of due process of law. In the nature of things, the right to choose cannot be accorded to both parties, and, if accorded to either, should rest with the one seeking redress rather than the one from whom redress is sought.”
Panama R.R. v. Johnson,
This is the case even where, as here, one choice would allow the matter to be tried to a jury and one choice would not. See Paro v. Longwood Hosp.,
One observation is in order with respect to principles of equal protection. Following Lavelle, a respondent in a § 5 proceeding may wait until after an unfavorable MCAD decision to elect between judicial review pursuant to § 6 and a de nova jury trial on the merits. A complainant aggrieved with an MCAD decision, on the other hand, plainly has no corresponding strategic advantage. See Brunson v. Wall, supra at 452-453 (concluding that complainant who chose to pursue administrative remedy before MCAD cannot later invoke alternative remedy afforded by § 9). A persuasive argument, thus, could be advanced that Lavelle’s purported remedy for G. L. c. 151B’s perceived constitutional infirmity violation has created an even more inequitable situation. Moreover, it departs from the Legislature’s clear intent that both “parties would be bound by an MCAD decision, subject only to judicial review,” Brunson v. Wall, supra at 452, and is at odds with the doctrine of collateral estoppel and “the strong and oft-stated public policy of limiting each litigant to one opportunity to try his case on the merits.” Id. at 453, quoting Haran v. Board of Registration in Med.,
(d) The constitutional analysis in Dalis does not support the proposition that art. 15 rights vest whenever an allegation of a
On a finding of employment discrimination, the commission has broad authority to “take such affirmative action, including but not limited to, hiring, reinstatement or upgrading of employees, with or without back pay, or restoration to membership in any respondent labor organization, as, in the judgment of the commission, will effectuate the purposes of this chapter” (emphasis supplied). G. L. c. 151B, § 5. In Boumewood Hosp., Inc. v. Massachusetts Comm’n Against Discrimination,
The authority of the MCAD to order, in appropriate cases, secondary relief in the form of damages to the complainant for emotional distress does nothing to transform a § 5 proceeding into a “controversy concerning property” requiring a jury trial under art. 15. See Parker v. Simpson,
4. The question remains concerning the retroactive applicabil
It is true that our decision today extends no new constitutional rights and, viewed in terms of its practical import, curtails what, in reliance on Lavelle, has been assumed by many to be a respondent’s State constitutional right to a trial by jury. We conclude, nevertheless, that it is appropriate that retroactive effect of our decision today be given to all cases that are still open on direct review. Principles of equity and fairness dictate that complainants who have been found by the full commission to have been illegally discriminated against not be forced to re-litigate their claims in the Superior Court. We have considered the three factors enumerated in McIntyre v. Associates Fin. Servs. Co. of Mass.,
5. Keyland Corporation asks us to overrule Bournewood Hosp., Inc. v. Massachusetts Comm’n Against Discrimination, supra, and Buckley Nursing Home, Inc. v. Massachusetts Comm’n Against Discrimination, supra, which hold that damages for emotional distress in employment discrimination cases may be recovered on a finding of discrimination by the commission under G. L. c. 151B, § 5. We conclude that these decisions should not be overruled and express our views on considerations that the commission should apply in making such awards.
(a) The Bournewood decision, which allowed recovery of emotional distress damages in employment cases before the MCAD involving retaliation, has been the law for twenty-eight years. The Buckley decision, which allowed such damages in other employment cases before the MCAD in a finding of discrimination, has been the law for nineteen years. The Bournewood decision points out that the commission’s authority under G. L. c. 151B, § 5, as has been quoted above, allows it to fashion remedies that involve “affirmative action, including, but not limited to, [certain specified remedies] as, in the judgment of the commission, will effectuate the purposes of this chapter” (emphasis supplied). Bournewood, supra at 307, 315-316, quoting G. L. c. 151B, § 5, as amended through St. 1969, c. 751, §§ 10-12. The decision emphasizes that the broad power of the commission, as articulated in § 5, and read in conjunction with the mandate in G. L. c. 151B, § 9, liberally to construe the provisions of c. 151B “for the accomplishment of the purposes thereof,” namely, the commission’s over-all mission, provides a “statutory basis” for the commission to award compensatory damages, which encompassed emotional distress damages in a retaliation case. Id. at 316. The Buckley decision applied the reasoning in Bournewood in extending the commission’s right to award emotional distress damages to other employment cases
The Legislature obviously has been aware of the Bournewood and Buckley decisions. Legislative history discloses that several
We note that in Federal employment discrimination cases under Title VII of the Civil Rights Act, see 42 U.S.C. §§ 2000e-2, 2000e-3, 2000e-5, 2000e-16 (2000), and the Americans with Disabilities Act (ADA), see 42 U.S.C. §§ 12117(a), 12112 (2000), in cases involving intentional discrimination,
With respect to State counterparts, some State discrimination statutes authorize their enforcement agencies to remedy unlawful acts with an award of compensatory damages, including emotional distress damages. The statutory basis for such an award may be expressly stated, see, e.g., Cal. Gov’t Code § 12970(a) (Deering Supp. 2004) (authorizing fair employment and housing commission, if it finds an unlawful practice has been committed, to “take action, including, but not limited to . . . damages for emotional injuries . . . [such as] emotional pain, suffering, inconvenience, mental anguish, loss of enjoyment of life, and other nonpecuniary losses”); La. Rev. Stat. Ann. § 51:2261 (West 2003) (authorizing commission on hu
(b) Some concern has been expressed on the amount of emotional distress damages that the commission has been awarding in employment discrimination cases and the basis for such awards. We take this occasion to state some views on the subject.
We stress that emotional distress damages should not be improperly considered, or awarded, as a substitute for punitive
In view of the foregoing principles, we conclude that a finding of discrimination or retaliation, by itself, is no longer sufficient to permit an inference of, or a presumption of, emotional distress. This approach is espoused by the EEOC. See EEOC: Policy Guide on Compensatory and Punitive Damages Under 1991 Civil Rights Act (July 7, 1992), reprinted in Fair Empl. Prac. Man. (BNA) 405:7091-405:7102 (stating that “[e]motional harm will not be presumed simply because the complaining party is a victim of discrimination”). To be compensable, emotional distress must be proved.
Judges acting under G. L. c. 30A in reviewing emotional distress damage awards by the commission should keep the above in mind. Judges, of course, are aware that this aspect (as well as all others) of the commission’s decision must be supported by substantial evidence and may not be arbitrary or
6. In view of what has been said and held above, it is not necessary to answer the questions reported by the judges in three of the cases. In each of the four cases, the respondent’s request in the Superior Court for a jury trial is struck. The four cases are to be deemed as cases filed in the Superior Court for review and decision under G. L. c. 30A, on the records prepared before the commission in the G. L. c. 151B, § 5, proceedings. On this basis, the four cases are to stand for further proceedings in the Superior Court.
So ordered.
Notes
Other relief awarded by the Massachusetts Commission Against Discrimination (MCAD or commission) against Wilfert Brothers Realty Co. were orders to cease and desist handicap discrimination in the workplace and to submit a plan for antidiscrimination training for its employees.
In addition to the relief ordered by the hearing commissioner, the full commission awarded Keeling attorney’s fees and costs.
“Did Wilfert Brothers Realty Co. waive its right to a jury trial by not asserting its claim until after the decision of the MCAD hearing officer, but before the Full Commission affirmed that decision, when the decision was issued more than three years after the claim arose?”
The questions reported are as follows:
“1. Did Kheary and Keyland waive their right to a jury trial by not asserting their claim until after the decision of the MCAD Hearing Officer, but before the Full Commission affirmed that decision, when the decision was issued more than three years after the claim arose?
“2. If Kheary and Keyland did not waive their right to a jury trial, is the trial de novo7 Specifically:
“a) Does the defendant (the complainant in [the] previous MCAD hearing) have the burden of proof?
“b) Is the MCAD’s decision admissible?
“c) Is discovery warranted?
“d) Does the MCAD have a right to intervene?”
The original complaint filed with the MCAD alleged that Ross had been denied the opportunity to obtain a full-time position as a fare collector on the basis of her sex (female) and her race and color (African-American). The complaint later was amended, by the MCAD investigating commissioner, to include the claim of handicap discrimination, and Ross withdrew her claims of sex and race discrimination at the time of the public hearing on her claims.
This court noted, in Lavelle v. Massachusetts Comm’n Against Discrimination,
The court further held that the plaintiff was entitled to a jury trial on her other allegations of violations of G. L. c. 93, § 102 (equal rights act); G. L. c. 149, §§ 105A-105C (wage discrimination based on gender); and G. L. c. 149, § 105D (maternity leave act). See Dalis v. Buyer Advertising, Inc.,
The Lavelle decision did not decide at what point in the MCAD proceedings a respondent should assert its intention to request a jury trial but suggested the possibility that “to avoid a claim of waiver, [Lavelle] must assert [his right to a jury trial] before the commission holds a hearing on the complaint, perhaps at the same point in the proceedings that G. L. c. 151B, § 9, permits a complainant to elect a judicial, rather than a commission, determination of the complaint.” Lavelle, supra at 335.
One common issue raised in each case below is whether the respondents, by waiting to request a jury trial until after the public hearing and the entry of the commission’s decision in favor of the complainant, have waived their asserted rights to a jury trial. See note 13, supra. See also note 23, infra. The commission subsequently addressed this issue by regulation, see 804 Code Mass. Regs. § 1.20(5) (1999) (providing that the right to jury trial must be preserved “in writing, and provided to the Commission and the Complainant within 30 days after Certification to Public Hearing”), which did not become effective until January 1, 1999, and so does not apply to the four respondents before us. We note that Stonehill did file a reservation of its right to a jury trial in January, 1999, approximately one year before the MCAD conducted a public hearing on Soo Tang Tan’s discrimination complaint.
As the Supreme Court of Connecticut observed in Magnan v. Anaconda Indus., Inc.,
“In the sixteenth century a statute enacted in England prohibited an employer from discharging an employee ‘unless it be for some reasonable and sufficient cause of matter . . . .’ Statute of Labourers, 5 Eliz. C. 4 (1562), reprinted in 6 Pickering’s Statutes 159-60 (1763). Although the statute was eventually repealed, English courts continued to hold that a contract of employment for an indefinite duration was presumptively for a term of one year; see 1 Blackstone, Commentaries 335 (1832); 25 Halsbury’s Laws of England 480-81 (3d ed. 1958); and permitted the employee to maintain a cause of action for breach of the employment contract.”
Arguments presented in the concurring and dissenting opinions suggest that the holding in Dalis, supra at 223, discussed above, cannot be reconciled with our earlier decision in Nei v. Burley,
We acknowledge that in Wynn & Wynn, P.C. v. Massachusetts Comm’n Against Discrimination,
on a finding that a respondent has engaged in any unlawful practice under G. L. c. 15 IB, § 4, the commission “shall issue and cause to be served on such respondent an order requiring such respondent to cease and desist from such unlawful practice . . . [and] to take such affirmative action, including but not limited to, hiring, reinstatement or upgrading of employees, with or without back pay, or restoration to membership in any respondent labor organization, as, in the judgment of the commission, will effectuate the purposes of this chapter.” G. L. c. 151B, § 5. As of July 1, 2003, the commission also may impose civil administrative penalties, ranging from $10,000 to $50,000, depending on the number of discriminatory practices a respondent was adjudged to have committed in the past. See St. 2003, c. 26, §§ 438, 715.
The forum selection issue is by no means the only asymmetrical provision of the statutory scheme. Section 5 directs the MCAD to assist complainants presenting a case (but not to help employers defend) and permits attorney’s fees and costs to be awarded to successful complainants only. See New York & Mass. Motor Serv., Inc. v. Massachusetts Comm’n Against Discrimination,
Section 9 actually authorizes a complainant alleging injury from a practice unlawful under G. L. c. 151B to “bring a civil action for damages or injunctive relief or both in the superior or probate court.” Indisputably, no constitutional right to a jury trial attaches in the Probate and Family Court. See Edgar v. Edgar,
In reaching our decision, it is not necessary to determine whether we should, for purposes of art. 15 analysis, adopt the “public rights” doctrine, advanced by the United States Supreme Court when considering claims of a right to a trial by jury in matters assigned for resolution to an administrative agency. See Granfinanciera, S.A. v. Nordberg,
The three factors are “(1) whether a new principle has been established whose resolution was not clearly foreshadowed, (2) whether retroactive application will further the rule, and (3) whether inequitable results, or injustice or hardships, will be avoided by a holding of nonretroactivity.” McIntyre v. Associates Fin. Servs. Co. of Mass.,
There is no need to address the waiver issue raised in the four cases under review. We note, however, that our decision in the Lavelle case issued after the cases had been certified for public hearing and after the complainants’ options to institute private actions in the Superior Court had lapsed. For this reason alone, considerations of hardship weigh heavily in favor of the four complainants.
We note that, pursuant to an amendment to G. L. c. 15IB, § 3, by St. 2003, c. 26, § 437, and effective July 1, 2003, the commission may now retain “reasonable attorney’s fees and costs awarded to a prevailing complainant, under [§ 5], when one of its attorneys presents the charge of discrimination before the commission on behalf of the prevailing complainant.”
Section 438 of St. 2003, c. 26, provides:
“If, upon all the evidence at any such hearing, the commission shall find that a respondent has engaged in any such unlawful practice, it may, in addition to any other action which it may take under this section, assess a civil penalty against the respondent:
“(a) in an amount not to exceed $10,000 if the respondent has not been adjudged to have committed any prior discriminatory practice;
“(b) in an amount not to exceed $25,000 if the respondent has been adjudged to have committed one other discriminatory practice during the 5-year period ending on the date of the filing of the complaint; and
“(c) in an amount not to exceed $50,000 if the respondent has been adjudged to have committed 2 or more discriminatory practices during the 7-year period ending on the date of the filing of the complaint. Notwithstanding the aforesaid provisions, if the acts constituting the discriminatory practice that is the object of the complaint are committed by the same natural person who has been previously adjudged to have committed acts constituting a discriminatory practice, then the civil penalties set forth in clauses (b) and (c) may be imposed without regard to the period of time within which any subsequent discriminatory practice occurred.”
Compensatory damages may not be awarded in cases involving disparate impact. See 42 U.S.C. § 1981a(a)(l), (2) (2000).
Although a Title VII complainant cannot initially commence a civil action in Federal court, a complainant retains the right to file such an action after filing a charge with the EEOC and regardless whether the EEOC finds “reasonable cause” to support a complainant’s charge of discrimination. See 42 U.S.C. § 2000e-5(b), (c), (e) (2000); 29 C.F.R. §§ 1601.19, 1601.28(b) (2003).
Pursuant to G. L. c. 151B, § 9, “the court” may award punitive damages to a prevailing petitioner who opted to proceed in the Superior, Probate, or Housing Court instead of before the commission.
Concurrence Opinion
(concurring). I concur in the court’s decision to overrule Lavelle v. Massachusetts Comm’n Against Discrimination,
The tests for analyzing a claim of a right to trial by jury under art. 15 of the Massachusetts Declaration of Rights are well known. Where the suit is “between two or more persons” (as is the case in all employment discrimination suits), or the matter is a “controvers[y] concerning property,” art. 15 accords a jury trial “except in cases in which it has heretofore been otherway s used and practiced.” That exception “incorporates the experience of its drafters, who sought to retain the ordinary forms and administration of the English common law (with which they were most familiar), while allowing future generations to create new forms of actions and proceedings which, for
The Dalis court opined that employment discrimination claims are “analogous to common law actions sounding in both tort and contract.” Dalis, supra at 223. Today’s decision, citing to a history of common-law actions for “wrongful discharge or breach of employment contract,” similarly concludes that there is an appropriate analogy between an employment discrimination claim under G. L. c. 151B and those common-law contractual causes of action. Ante at 559-561. However, G. L. c. 151B sweeps far more broadly than breach of contract actions by discharged employees — it creates a cause of action for persons who had no contractual relation with the defendant, premised on the defendant’s refusal to enter into a contract in the first place (e.g., discriminatory refusal to hire, or refusal to promote). See G. L. c. 15 IB, § 4 (1) (unlawful for employer “to refuse to hire or employ or to bar or to discharge from employment” on grounds of race, color, religious creed, national origin, sex, sexual orientation, genetic information, or ancestry). See also Whalen v. NYNEX Info. Resources Co.,
Claims for retaliation under G. L. c. 151B (which, in light of Dalis, also now enjoy a right to trial by jury, see MacCormack v. Boston Edison Co.,
Both Dalis and today’s decision also invoke the notion that claims under G. L. c. 151B have some “tort-like aspects.” Ante at 560. See Dalis, supra at 223. However, as today’s decision acknowledges, “a violation of G. L. c. 151B is not a tort.” Ante at 560. Indeed, subsequent to Dalis, this court has shied away from the notion that G. L. c. 151B claims are akin to tort claims. In Thomas v. EDI Specialists, Inc.,
Dalis cites to one prior case from this court for the proposition that G. L. c. 151B claims are “analogous” to common-law tort actions. Dalis, supra at 223, citing Conway v. Electro Switch Corp.,
The difficulty in applying this test in a consistent fashion is most vividly illustrated by this court’s decision in Nei v. Burley,
The result in Nei is also inconsistent with the notion that such
Instead of that analysis, Nei observed that G. L. c. 93A “created new substantive rights in which conduct heretofore lawful under common and statutory law is now unlawful.” Nei, supra at 315. This observation mirrors that made in other cases, namely, that the jury trial right of art. 15 does not extend to wholly new causes of action created by the Legislature. See Department of Revenue v. Jarvenpaa,
Turning to whether the types of relief available in G. L. c. 151B claims are “predominantly legal” as opposed to “equitable,” Dalis, supra at 226, the picture is again clouded. With the adoption of the Massachusetts Rules of Civil Procedure, we have long since merged “equitable” and “legal” proceedings, see Mass. R. Civ. P. 2,
Both proceedings involve some components of relief that are unambiguously recognized as “equitable” — e.g., orders that a MCAD complainant or court plaintiff be reinstated to her former position, or that a perpetrator of sexual harassment be reassigned to keep him apart from the complainant or plaintiff. As to the components of monetary awards, however, the lines become blurred. In Dalis, the court considered an award of monetary damages “for economic losses as well as for mental anguish” as the “legal remedy of compensatory damages.” Dalis, supra at 224, quoting Conway v. Electro Switch Corp.,
Given the MCAD’s broad authority to fashion remedies for discrimination, see G. L. c. 15IB, § 5, the MCAD’s power to award monetary relief to a complainant includes all of the “compensatory” (and therefore “legal” remedies) that a plaintiff could obtain in court. See Boumewood Hosp., Inc. v. Massachusetts Comm’n Against Discrimination,
Today’s decision overruling Lavelle rests on the premise that MCAD proceedings, including the monetary awards granted therein, are predominantly “remedial” and “equitable” (as opposed to “legal”) in nature. Ante at 560, 567-568. The monetary awards themselves, the court opines, are merely “a logical incident” to the MCAD’s equitable powers, just a form of “secondary relief.” Ante at 567, 568. Cf. Lavelle, supra at 337 (“Damages for pain and suffering, emotional distress, and economic loss except perhaps back wages are not traditional forms of equitable relief and may not easily be treated as incidental to equitable relief”). If these damages are “equitable” when awarded by the MCAD, they do not lose their “equitable” flavor when awarded by a court. Thus, the second premise on which Dalis rests, namely that the damages awarded
In my view, G. L. c. 151B has created an entirely new cause of action, unheard of at common law, that awards relief predominantly equitable in nature, namely, a combination of injunctive relief and monetary restitution to make the victim whole. As such, administrative proceedings before the MCAD do not violate any party’s art. 15 right to a jury trial, and court proceedings instituted by a victim of discrimination do not implicate art. 15 rights either. I am thus inclined to the view that Dalis was wrongly decided or, at the very least, that it cannot be reconciled with Nei.
I am also of the view that, at least until more recent times, the Legislature had “practical reasons” for believing that this new cause of action would not be “appropriate” for “decision by a jury.” Commonwealth v. Mongardi,
It is for these reasons that today’s uncritical reaffirmance of the analysis in Dalis strikes me as potentially troublesome. In the future, the Legislature may wish to address some other pervasive social problem, and may again want to create a new
However, a decision to overrule a prior case must be based on more than a mere academic disagreement with its analysis. By their nature, cases heard by this court regularly involve difficult issues where there is much to be said for both sides. Whatever result the court reaches thus remains open to justifiable criticism in future years. It is the doctrine of stare decisis that comes to the rescue and allows us to avoid endless revisiting of what were, and will always remain, difficult legal issues. “Stare decisis is a salutary principle, because in most matters a settled mie on which reliance can be placed is of more importance than the precise form of the rule.” Kabatchnick v. Hanover-Elm Bldg. Corp.,
Thus, in order to overrule a prior case, it is not enough that some or all of the Justices of this court have some intellectual or academic disagreement with the earlier analysis of the issue. There must be something more, above and beyond such a disagreement, that would justify some exception to the doctrine of stare decisis. Here, whatever my concerns as to the soundness of the reasoning in Dalis, I see no problem or injustice that results from continued adherence to the holding of that case. While I doubt that there is a constitutional right to jury trials in
Nor do I see any unfairness in overruling Lavelle while continuing to adhere to the holding in Dalis. In my view, Dalis gives both sides something that they are not actually entitled to, namely, a right to a jury trial on § 9 claims. That both sides have that undeserved benefit under this court’s analysis of § 9 does not make it unfair to give them only what they are entitled to in proceedings under § 5. As is customary, it is the claimant who chooses the forum in which to pursue her claim, and the procedures available to both parties in whichever forum is
I am thus satisfied that today’s decision properly overrules Lavelle, but it is stare decisis, and stare decisis alone, that convinces me to adhere to the holding in Dalis.
Dalis v. Buyer Advertising, Inc.,
In a similar vein, Gallagher v. Wilton Enters., Inc., supra at 123, cites Pons v. Lorillard,
The remaining two cases cited in Gallagher v. Wilton Enters., Inc., supra, are not discrimination cases. See Hill v. Winn-Dixie Stores, Inc.,
The case of Mitchell v. Walton Lunch Co.,
By comparison, in Rosati v. Boston Pipe Covering, Inc.,
It is, of course, quite possible that it is Nei, and not Dalis, that was wrongly decided, and that the inability to harmonize the two is not attributable to anything wrong in Dalis. However, where our jurisprudence on the subject is sufficiently muddled to have produced these two irreconcilable cases, we should not flatly announce that “[tjhere is no flaw in the reasoning or conclusion in Dalis," ante at 559, while postponing “[ajnalysis of inconsistencies in the court’s reasoning in Dalis and in Nei” to “another day.” Ante at 561 n.16.
Effective July 1, 2003, even that difference was effectively abolished. See St. 2003, c. 26, § 438, amending G. L. c. 151B, § 5 (giving Massachusetts Commission Against Discrimination [MCAD] authority to impose civil penalties in employment discrimination cases).
Comparison to G. L. c. 93A is again instructive. The multiple damage provisions of § 9 and § 11 are punitive in nature, see Kapp v. Arbella Mut. Ins. Co.,
Prior to the Civil Rights Act of 1991, Pub. L. No. 102-166, 105 Stat. 1071, the Supreme Court had stated that there was no right to a jury trial in Title VE cases. See Lehman v. Nakshian,
By comparison, the court’s overruling of Lavelle in today’s decision is well justified. Beyond the errors in its analysis, the Lavelle decision has literally wreaked havoc with the conduct of MCAD proceedings, undercut the MCAD’s role in enforcing G. L. c. 151B, caused substantial delay in the resolution of discrimination claims, and produced a plethora of difficult substantive and procedural questions as to the interplay between the MCAD proceedings, the MCAD’s decision, and a subsequent jury trial. When an erroneous decision has, in the vernacular, “created a monster,” as Lavelle has done, stare decisis does not stand in the way of our correcting that error.
Dissenting Opinion
(dissenting). Our decision in Dalis v. Buyer Advertising, Inc.,
The right to a jury trial is fundamental. Aetna Ins. Co. v. Kennedy,
However, Dalis was inconsistent with our earlier decision in Nei v. Burley,
Assuming Dalis was correctly decided, however, and a jury trial right attaches to § 9 claims, that right must be equally available to plaintiffs and respondents.
The court characterizes the advantage it confers on plaintiffs as a product of a mere choice of fomm or avenue for redress, citing Panama R.R. v. Johnson,
The court also goes to great lengths to distinguish § 9 “private actions” from § 5 “civil administrative proceedings,” the “primary purpose of [which] is to vindicate the public’s interest.” Ante at 563, 567. This distinction is artificial. Nowhere in G. L. c. 151B, or in our prior cases, is it established that the vindication of the public’s interest in prosecuting discrimination claims in general is the “primary purpose” to be promoted over the vindication of the private interests of those adversely affected by that discrimination. The cases cited by the court for this proposition, Thomas v. EDI Specialists, Inc.,
Irrespective of debates over the abstract purpose of antidiscrimination laws, in reality, proceedings under G. L. c. 151B, § 5, are just as much cases between two parties as are civil actions proceeding under G. L. c. 151B, § 9. The court cites Zora v. State Ethics Comm’n,
Despite these indicia of a private action at law, the court insists on labeling proceedings under § 5 as somehow more administrative and equitable in nature than private actions. But this denomination is belied by the court’s simultaneous concern about the amount of emotional distress damages routinely awarded by the commission to plaintiffs. Ante at 575. The court’s attempt to rein in those amounts by suggesting guiding principles and factors is tellingly reminiscent of the type of instructions that would be given to a jury at a trial. But even assuming arguendo that, in cases proceeding under § 5, the MCAD is not participating in a private action but primarily acting to vindicate public rights, there is still no permissible basis for granting the right to a jury trial only to one side of a dispute simply by declaring that the process is “administrative,” at least while the proceeding may result in an order that compels a respondent to pay, sometimes substantially, for the plaintiff’s alleged losses.
For example, G. L. c. 15 IB, § 4, prohibits employers from refusing to hire members of protected classes, owners of land from refusing to sell or lease to protected classes, and retailers from refusing to extend credit because of a person’s age.
The Legislature can authorize a jury trial to one aggrieved by the violation of a statute even where art. 15 does not demand it. Whalen v. Nynex Info. Resources Co.,
For the sake of clarity, I use the term “plaintiffs” to refer both to “complainants” proceeding under G. L. c. 151B, § 5, and to aggrieved persons seeking a civil remedy in court under G. L. c. 151B, § 9.
The court notes that Lavelle itself recognized that certain respondents might secure “two chances to prevail,” one before the MCAD and again before a jury. Lavelle v. Massachusetts Comm’n Against Discrimination,
