This case should serve as a reminder to employers of their obligation to keep their workplaces free of discriminatory harassment. Although much of what happened here was characterized as “jokes,” neither the discrimination nor the jury verdict is a laughing matter. Troy Swinton, a worker in the shipping department of a cardboard company, was subject to repeated “jokes” by co-workers featuring use of the word “nigger” and to a continuing stream of racial slurs. He sued his former employer for racial harassment under federal and state anti-discrimination statutes, and a jury awarded him $5,612 in back pay, $30,000 for emotional distress, and $1,000,000 in punitive damages. The employer’s claims on appeal fall into three categories. First, the employer asserts that the district court’s failure to instruct the jury as to an affirmative defense under
Burlington Indus., Inc. v. Ellerth,
Background
Troy Swinton was employed in the shipping department of U.S. Mat between August 1996 and February 1997. He was the only African-American of approximately 140 employees of the Woodinville, Washington company, which manufactures cardboard matting used in picture frames. Shortly before Swinton was hired, the company was acquired by the Chicago-based Potomac Corporation.
Swinton became aware of U.S. Mat through his fiancee, whose uncle, Jon Fos-dick, worked there as supervisor in the bevel-cutting department. Swinton listed Fosdick as a reference on his job application. Fosdick would often stop by the shipping department. While there, he would regularly tell racially offensive jokes in the presence of Swinton and others. Among the “jokes”:
• What do you call a transparent man in a ditch? A nigger with the shit kicked out of him.
• Why don’t black people like aspirin? Because they’re white, and they work.
• Did you ever see a black man on “The Jetsons”? Isn’t it beautiful what the future looks like?
• Reference to “Pontiac” as an acronym for “Poor old nigger thinks it’s a Cadillac.”
According to Swinton, Fosdick began telling such jokes soon after he arrived at the company and continued “whenever he felt like it, all the time.”
Pat Stewart, Swinton’s immediate superior as supervisor of the shipping department, witnessed Fosdick telling racial jokes and laughed along. Swinton testified that Stewart “was present at the table most of the time when [Fosdick] was coming in and saying this [the racial jokes].” Stewart also acknowledged making “racial jokes or a slur” two or three times, though it is not clear from his testimony whether such conduct occurred in Swinton’s presence. Stewart also overheard one of the two plant managers make racial jokes on several occasions. Stewart admitted that *800 although he had an obligation under company policy to report the racial harassment, he never made any such report and never told Fosdick or anybody else to stop making such jokes.
Though Fosdick was the main perpetrator of the jokes, Swinton’s co-workers also told racially offensive jokes in his presence, and those comments were witnessed by several co-workers. The jokes and comments ranged from numerous references to Swinton as a “Zulu Warrior” to a comment in the food line, “They don’t sell watermelons on that truck, you know, how about a 40-ouncer?” On the subject of Swinton’s broken-down car, it was suggested “why don’t you get behind it and push it and call it black power” and “why don’t you just jack a car. You’re all good at that.”
Testimony by co-workers underscored the ubiquity of the racist atmosphere at U.S. Mat. One co-worker said that there were jokes about a wide variety of ethnic groups, including whites, Asians, Polish people, gays, Jews, and Hispanics. Another testified that the majority of the people at U.S. Mat had actually witnessed the use of racially offensive language, and a third employee testified that “just about everybody” at U.S. Mat had heard Fosdick use “racial slurs and comments.” 1 During the short time he was at U.S. Mat, Swinton heard the term “nigger” more than fifty times.
Swinton’s reactions to the racially derogatory comments included glaring and walking away, and remarking to co-workers that the jokes were “f* * *ed up.” Swin-ton testified that he did not directly ask Fosdick to stop because he knew that Fos-dick regularly carried a .22 caliber pistol in his back pocket.
Despite Fosdick’s regular use of racially offensive language, Swinton and Fosdick socialized both at work and outside of work. Swinton claimed that he socialized with Fosdick not because he enjoyed doing so, but only at the urging of his fiancee (Fosdick’s niece), to maintain harmonious family relations.
Swinton testified that he did not immediately. quit in the face of the racial comments because he needed the job to support himself and his fiancee, who was pregnant. He eventually quit on February 27, 1997, stating in his testimony that he was “fed up ... with all the name-calling. I was angry. I was mad. I was upset. I was frustrated. I just couldn’t take it no more. I had to get out of there.” Potomac’s theory explaining why Swinton quit and brought suit centers around an alleged breakdown in family relations. According to Potomac, Swinton brought suit as a means to retaliate against Fosdick because of comments that Fosdick’s wife purportedly made about Swinton and his fiancee.
Upon commencing employment at U.S. Mat, Swinton was presented with an employee manual. Swinton testified alternately that he “read” and “browsed through” the manual; he did sign a form acknowledging that he received it. The employee manual included the following language:
If you believe you are being harassed by co-workers or others, notify your Supervisor. If you believe you are being harassed by your Supervisor, or if this is otherwise inappropriate, notify the President. No employee will be retaliated against in any way for making a factually supported claim of harassment.
*801 Swinton never availed himself of any formal internal complaint procedures. He advanced several reasons. According to Swinton, the “Supervisor” to whom he was supposed to direct his complaint was Pat Stewart, who had already witnessed the joke-telling and had actually “laugh[ed] along.” Swinton claimed that he did not know the identity of the “President” (whom the manual identified as an alternative complaint recipient), and thus did not bring the harassment to his attention. Swinton also feared Fosdick, whom he knew to carry a gun. Swinton told a coworker that he feared that he might lose his job if he complained because he was the “low man on the totem pole” (questioner’s paraphrase). Finally, Swinton testified that “everyone already knew.” This answer came in response to a question whether “people in management” knew of the racially offensive language directed at him.
On March 7, 1997, Swinton filed an application for unemployment benefits with the Washington Employment Security Department, indicating that he had quit on February 28. In his handwritten responses to questions on the application form, Swinton referred to “racial slander” and “racial jokes daily by numerous people,” and stated, “Everyday, from one person or another, a racial joke or comment was thrown my way, and I was sick and tired of it.” Swinton identified several of the specific jokes about which he and others later testified at trial. He noted that he “didn’t feel comfortable going to management because they knew about the problem [and] did nothing about it.”
The State of Washington notified U.S. Mat of Swinton’s allegations of racial harassment on or about April 17, 1999. Upon learning of the charges, U.S. Mat Human Resources Manager Vickie Thompson interviewed Stewart, the plant co-managers, and the president. All denied to Thompson that they had witnessed the harassment of Swinton. Sometime in June, Thompson also interviewed Fosdick, who had left U.S. Mat’s employ April 1. After Swinton filed suit in July 1997, Thompson interviewed more of Swinton’s co-workers, who confirmed Fosdick’s telling of racial jokes but stated that they believed that Swinton was not bothered by them and “would laugh and joke back.” In September of 1997, in apparent response to Swinton’s charges, U.S. Mat had all of its supervisors and managers undergo training for the identification and prevention of harassment. No one at U.S. Mat was disciplined for the use of, or toleration of, offensive racial language.
Swinton filed suit against Potomac in Washington state court, alleging causes of action under 42 U.S.C. § 1981, 2 R.C.W. 49.60 et seq. (the “Washington Law Against Discrimination”), and the state tort of “outrage” (intentional infliction of emotional distress). Potomac removed the action to federal court. Judge John Coughenour, who conducted pre-trial proceedings, denied Potomac’s motion for summary judgment on the causes of action under the job discrimination statutes, but granted its motion as to the state “outrage” claim. The case was then transferred to Judge Jack Tanner for trial. After trial, the jury returned a verdict for Swinton and damages consisting of $5,612 in back pay, $30,000 for emotional distress, and $1,000,000 in punitive damages. Potomac moved for a new trial under Federal *802 Rules of Civil Procedure 50(b) and 59. The district court denied the motion with a brief order stating that the motion “merely rehashes arguments that it made and lost during trial.”
STANDARDS OF REVIEW
“[T]he verdict must be affirmed if there is substantial evidence to support the verdict.”
Gilbrook v. City of Westminster,
Discussion
I. Ellerth/Faragher Defense
We first address whether the affirmative defense to employer liability established in
Burlington Indus., Inc. v. Ellerth, 524
U.S. 742,
An employer is subject to vicarious liability to a victimized employee for an actionable hostile environment created by a supervisor with immediate (or successively higher) authority over the employee. When no tangible employment action is taken, a defending employer may raise an affirmative defense to liability or damages, subject to proof by a preponderance of the evidence.... The defense comprises two necessary elements: (a) that the employer exercised reasonable care to prevent and correct promptly any [ ] harassing behavior, and (b) that the plaintiff employee unreasonably failed to take advantage of any preventive or corrective opportunities provided by the employer or to avoid harm otherwise.... No affirmative defense is available however, when the supervisor’s harassment culminates in a tangible employment action, such as discharge, demotion, or undesirable reassignment.
Faragher,
*803
A plaintiff may state a case for harassment against the employer under one of two theories: vicarious liability or negligence.
3
Which route leads to employer liability depends on the identity of the actual harasser, specifically whether he is a supervisor of the employee, or merely a co-worker. If the harasser is a supervisor, the employer may be held vicariously liable.
Nichols v. Azteca Restaurant Enters.,
Swinton’s negligence theory was based primarily upon the harassment by Fosdick, who, while a supervisor within the company, was not
Swinton’s
supervisor in the shipping department. The Supreme Court made clear that the affirmative defense outlined in
Ellerth
and
Faragher
applies only in cases of vicarious liability, where the harasser is the victim’s supervisor.
Faragher,
Potomac argues that the availability of the Ellerth/Faragher defense in the vicarious liability context, but not in the negligence context, “leads to an absurd result: that an employer is better off if the harasser is an immediate supervisor or someone with successively higher authority, because it triggers an obligation of the plaintiff to utilize internal remedies.” This reasoning rests on the faulty premise that an employer is “better off’ in the strict liability context than in the negligence context.
It is, in fact, slightly misleading to say that the
EUerth/Faragher
defense is not available in the negligence context. While it is strictly true that it is not available as an affirmative defense, the principle embodied in the defense — that an employer can avoid liability in situations where it acts promptly to remedy harassment — is contained in the requirements for a prima facie case based on negligence. In the context of this case, it was Swinton’s burden, in accord with Jury Instruction 10, to prove that management knew or should have known of the harassment and “failed to take reasonably prompt, corrective action ... ”. And, as the Second Circuit has explained, a plaintiff alleging co-worker harassment must prove that the employer “either provided no reasonable avenue for complaint or knew of the harassment but did nothing about it.”
Murray v. New York Univ. College of Dentistry,
And, indeed, it is not clear under which rubric employers are “better off’ from an evidentiary and legal standpoint. It might reasonably be argued, in fact, that employers are “better off’ in the negligence context, where the plaintiff is required to prove both the employer’s knowledge of the harassment (or that it should have known) and that it failed to take reasonable corrective action. In the strict liability context, the plaintiff is required to prove significantly less in the prima facie case: merely that the harasser was his supervisor. Thus, given the different elements that the plaintiff must prove under each theory, it is quite logical that the defense should be available in one context but not the other. Under which theory of liability an employer is “better off’ is often in the eyes of the beholder, will vary under the specific facts of the case, and has no bearing on whether the employee may assert the Ellerth/Faragher defense. The fact is that vicarious liability and negligence are two distinct bases for liability, each with its own elements of proof.
Given the overwhelming evidence of racial harassment presented at trial, it is hardly surprising that the jury would have imposed liability against Potomac under the negligence theory, as articulated by Jury Instruction 10, which provided in relevant part that the jury should find for Swinton if they determined:
That management knew, through complaints or other circumstances, of the harassing conduct or language by Fos-dick or co-workers and the employer failed to take reasonably prompt, corrective action designed to end the harassment, OR
That management should have known of the harassment [by] Fosdick or co-workers, due to the pervasiveness of the conduct or language, or through other circumstances, and the employer failed to take reasonably prompt, corrective action designed to end the harassment.
Indeed, in light of the undisputed testimony detailing Fosdick’s racial harassment of Swinton, the racial comments and acquiescence of co-workers, and the undisputed testimony that Pat Stewart witnessed the harassment but did nothing to end it, the jury was all but compelled to find for Swinton under this instruction.
Potomac, however, maintains on appeal that, though Stewart was a supervisor, he was not part of U.S. Mat’s “management,” as identified in Jury Instruction 10, and thus that his knowledge and inaction could not be imputed to the company. We considered the issue of what sort of employees constitute “management” for purposes of imputation to the employer in Title VII law in
Brooks v. City of San Mateo,
It is beyond dispute that Stewart fell into the second category of “management” employees identified by
Lamb:
employees with “an official or strong de facto duty to act as a conduit to management for complaints about work conditions.”
Potomac maintains, however, that, even if Instruction 10 correctly stated the law, the verdict nonetheless cannot stand because Instruction 12 on the vicarious liability theory was incorrect. This instruction purports to set forth the vicarious liability theory, as well as the
Ellerth /Faragher
defense. It states that the jury may find for the plaintiff if it finds, inter alia, “That John [sic] Fosdick was employed in a supervisory capacity and participated in the harassment.” Potomac is correct that this instruction is an erroneous statement of the law. It is not sufficient that Fosdick “was employed in a supervisory capacity.” Rather, for vicarious liability to attach, he must have been
Swinton’s
supervisor.
See Faragher,
We employ the following standard in evaluating a verdict where the jury was given an incorrect instruction:
An error in instructing the jury in a civil case requires reversal unless the error is more probably than not harmless. Coursen v. A.H. Robins Co., Inc.,764 F.2d 1329 , 1337 (9th Cir.1985). While this standard of review is less stringent than review for harmless error in a criminal case, it is more stringent than review for sufficiency of the evidence, in which we view the evidence in the light most favorable to the prevailing party. See, e.g., United States v. Adler,879 F.2d 491 , 495 (9th Cir.1988). In reviewing a civil jury instruction for harmless error, the prevailing party is not entitled to have disputed factual questions resolved in his favor because the jury’s verdict may have resulted *806 from a misapprehension of law rather than from factual determinations in favor of the prevailing party.
Caballero v. City of Concord,
In sum, we hold that the district court did not err in its formulation of the negligence theory of employee liability for harassment, and that the promulgation of the erroneous vicarious liability instruction was harmless.
II. Jury Instruction/Evidentiary Challenges
A. Instruction under 42 U.S.C. § 1981
Potomac proposed an instruction under 42 U.S.C. § 1981, stating that the plaintiff was required to prove both intentional discrimination and “that white employees were not subject to” the same sort of conduct as was Swinton. The district court did not err in declining to give such an instruction. Potomac is correct that § 1981 does require proof of intentional discrimination. But there is no authority for the proposition that the word “intentional” must be included in jury instructions. The cases Potomac cites in this regard,
Evans v. McKay,
The Supreme Court has held that employment discrimination not based on a disparate impact theory is, in fact, intentional discrimination: “The 1991 [Civil Rights] Act limits compensatory and punitive damages awards ... to cases of ‘intentional discrimination’- — that is, cases that do not rely on the ‘disparate impact’ theory of discrimination.”
Kolstad v. Am. Dental Ass’n,
Where the employee proves (1) that he was subjected to verbal or physical conduct of a harassing nature, (2) that this conduct was unwelcome, and (3) that the conduct was sufficiently severe or pervasive to alter the conditions of the victim’s employment and create an abusive working environment.
Pavon v. Swift Tramp. Co., Inc.,
Nor was Swinton required to prove that white employees were not subject to similar harassment. To suggest, as Potomac does, that it might escape liability because it equally harassed whites and blacks would give new meaning to equal opportunity. Potomac’s status as a purported “equal opportunity harasser” provides no escape hatch for liability. The fact that Fosdick may have told jokes about racial or ethnic groups other than African-Americans does not excuse the fact that he racially harassed Swinton.
See, e.g., Steiner v. Showboat Operating Co.,
B. General instruction regarding corporations
Potomac asserts that the district court committed prejudicial error by giving a standard instruction regarding corporate liability, Instruction No. 3, which provides in part, "a corporation is responsible for the acts of its employees, agents performed within the scope of authority.” Potomac argues that this instruction misstates the law of employer liability as stated in Ellerth, Faragher, and Kolstad.
It is true that this instruction, taken in isolation, does not fully state the applicable law of employer liability for harassment by its employees. But the law governing appellate review of jury instructions counsels against looking at any one jury instruction in isolation. Rather, “prejudicial error results when, ‘looking
to the instructions as a whole,
the substance of the applicable law was [not] fairly and correctly covered.’ ”
In re Asbestos Cases,
C. Admission of summaries of Swin-ton’s statements to counselors
The district court admitted two exhibits consisting of documents prepared by psychologists contacted by Swinton after he left the employ of U.S. Mat. These documents include Swinton’s account of the harassment, as related to the therapist. Potomac argued in a motion in limine that these documents consist of hearsay outside *808 any exception, and it repeats this argument on appeal.
The district court admitted these medical summaries under Federal Rule of Evidence 803(4), which excludes from hearsay, “statements made for purposes of medical diagnosis or treatment and describing medical history, or past or present symptoms, pain, or sensations, or the inception or general character of the cause or external source thereof insofar as reasonably pertinent to diagnosis or treatment.” The exhibits at issue appear to reflect the psychologists’ collection of a patient’s medical history, a routine part of medical diagnosis. Potomac has not offered any evidence, case law, or argument to the contrary. The cases it cites do not discuss Rule 803(4), the medical diagnosis exception; rather, they discuss Rule 803(3), the state of mind exception, and Rule 803(6), the business records exception. In sum, nothing suggests that the district court abused its discretion in admitting the exhibits pursuant to Fed.R.Evid. 803(4).
D. Refusal to admit evidence relating to timing of retention of counsel and seeking of counseling
Potomac unsuccessfully sought to admit evidence that Swinton only sought psychological counseling two days after consulting with his attorney. Potomac’s argument is that the court’s ruling prevented it from effectively cross-examining Swinton and arguing that his emotional distress claim was not genuine. Although another judge might have chosen to admit this timing evidence, the district court fully considered the issue and was within its discretion in making its ruling. Potomac had ample opportunity to cross-examine Swinton about the extent of his mental distress and to explore the basis for the emotional distress claim. In any event, given the wealth of other evidence admitted, any error on this evidentiary point was almost certainly harmless.
E. Court’s questioning of Hondo Vo
Potomac asserts that the district court demonstrated bias by improperly questioning Hondo Vo, one of the two co-plant managers at U.S. Mat. The law grants district judges wide discretion to participate in the questioning of witnesses. “It is well established that a trial judge is more than a moderator or umpire.”
United, States v. Mostella,
An examination of the questions the court posed to Hondo Vo reveals little of consequence. Probably the information most harmful to Potomac about which the court inquired of Vo was the fact that Swinton was the only black employee at U.S. Mat. 5 But this colloquy was not the jury’s only source of this information. Even before the judge’s inquiry, Swinton himself testified to this fact, as did Vickie Thompson, the human resources director. Later, Lloyd Everhard, U.S. Mat’s presi *809 dent, testified to the same thing. At the beginning of the trial, out of the presence of the jury, Potomac’s counsel actually admitted that it was inevitable that the jury would be made aware of this fact during trial. Therefore, the court’s elicitation of this information was, if anything, cumulative and superfluous. It did not present the jury with anything about which it was not already aware, and thus was not prejudicial.
F. Court’s statement about “going all over the countryside”
Potomac asserts error in the district court's statement, during the direct testimony of company president Lloyd Ev-erhard, "Can we get to the issues of this case with this witness instead of going all over the countryside?" It was not error for the district court to make this statement. An examination of the context in which the court made this comment reveals that it came after several minutes of testimony that were frequently interrupted by objections that the witness' answers were not responsive to the attorney's questions. The court, as was entirely proper, was simply expressing its desire for the witness to answer questions without injecting extraneous information.
G. District court’s “exclusion” of exhibit regarding the investigation
The last of Potomac’s asserted evidentia-ry errors concerns what it terms the “ex-clu[sion]” of an undated memorandum written by human resources director Vickie Thompson purporting to recount the steps she took in her investigation of the Swinton matter. Potomac misperceives what actually took place; this exhibit was never excluded by the court. When Potomac moved during Thompson’s testimony for the admission of the document, Swin-ton’s attorney objected on hearsay grounds. The court responded, “I will reserve on it. Let me see it. Go ahead.” Swinton’s attorney then said that he also objected on the grounds that the exhibit had not been identified in the pretrial order. The court responded, “I understand the argument and the objection. Let’s continue with this witness. Something else.” The court never “excluded” the exhibit. It merely “reserved” ruling on the objection, to which Potomac’s attorney responded by stating, “I have no further questions.”
Potomac’s attorney could have used the document to refresh the witness’s memory on the point. Although he started down this path before he first moved for admission of the exhibit, he never followed-up. He could have argued that the report was admissible as a past recollection recorded under Federal Rule of Evidence 803(5). He chose not to do so, and we are in no position to second-guess his tactics. Potomac’s counsel also could have asked the court for an immediate ruling, but, for whatever reason, chose not to. Nor did Potomac raise the issue again or at a later point move for introduction of the exhibit. In any case, Potomac cannot now complain of the exclusion of evidence when the district court never actually excluded it. In addition, it is true that this exhibit was not included in the pretrial order. The court would be well within its discretion to exclude an exhibit not identified in the pretrial order.
See
Fed. R.Civ.P. 16(e);
Byrd v. Guess,
III. Punitive Damages
A. Availability of punitive damages under Kolstad
In Kolstad v. American Dental Ass'n,
The parties generally agree that the answer to the question whether punitive damages are appropriate under
Kolstad
turns on whether the actions (or, rather, the inaction) of Swinton’s direct supervisor, Pat Stewart, in the face of Fosdick’s behavior, may properly be imputed to Potomac. Potomac takes the position that Stewart — though designated in the employee manual as the proper recipient of harassment complaints by virtue of his position as Swinton’s supervisor — was only a low-level supervisor and was thus not employed in a “managerial capacity,” permitting punitive damages under
Kolstad,
Courts in several other circuits have addressed similar situations, where a supervisor who did not actually perpetrate the harassment but nonetheless was responsible under company policy for receiving and acting upon complaints of harassment, failed to take action to remedy the harassment. They have reached the conclusion that the inaction of even relatively low-level supervisors may be imputed to the employer if the supervisors are made responsible, pursuant to company policy, for receiving and acting on complaints of harassment. In
Deters v. Equifax Credit Information Servs., Inc.,
In an effort to invoke the good faith defense, Potomac cites to its written materials forbidding harassment and putting in place anti-harassment procedures as conclusive evidence that it acted in good faith and was thus undeserving of punitive damages. Aside from the fact that, as just noted, Potomac is not entitled to assert the good-faith defense under these circumstances, it is well established that it is insufficient for an employer simply to have
*811
in place anti-harassment policies; it must also implement them.
See Passantino v. Johnson & Johnson Consumer Prods., Inc.,
B. Post-litigation remedial actions
Potomac next seeks a new trial on punitive damages because the district court excluded evidence of one of the steps taken by U.S. Mat to remedy the discrimination after Swinton filed his discrimination suit. Potomac argues that such evidence is relevant to the issue of punitive damages because it demonstrates the company’s good faith once the company became fully aware of the racial harassment; also, such evidence would tend to show that the imposition of punitive damages was not necessary to deter U.S. Mat from future tolerance of harassment. , Swinton counters that such evidence was properly excluded as irrelevant.
Swinton cites numerous cases purporting to stand for the proposition that evidence of post-occurrence remediation is nearly always irrelevant in discrimination cases.
See Lam v. Univ. of Hawaii,
But the issue of discrimination
vel non
is distinct from the issue whether punitive damages are warranted.
See Kolstad,
In support of its argument, Potomac points us to several recent decisions of the Supreme Court, and one from this court, in which the opinions, in discussing punitive damages, make reference to remedial action undertaken by defendants after the filing of a lawsuit. For example, in
BMW,
Similarly, in
Cooper Indus., Inc. v. Leatherman Tool Group, Inc.,
Potomac thus urges the view that, as a general principle, remedial action undertaken by the defendant, even after the filing of a lawsuit, is necessarily admissible and relevant to the issue whether punitive damages are appropriate. We do not, however, read the cases as necessarily establishing the bright-line rule Potomac urges. The Supreme Court’s references to post-litigation remedial action are glancing and ambiguous. The Court did not, to be sure, face head-on the question presented here: whether a defendant must be permitted to present evidence of remedial action undertaken after the filing of a complaint as a means of mitigating a punitive damages claim. We do not interpret the language in BMW and Cooper as relying on evidence of post-occurrence remediation for overturning the punitive damages awards; rather, the Court appears simply to have been recounting a full history of the litigation to give a complete picture of the proceedings. Nonetheless, the Court’s passing references are not without some persuasive value in the context of evaluating punitive damages on appeal.
*813
A review of case law from other jurisdictions and academic commentary on this subject reveals no consistent rule on the admissibility of such evidence.
See
Tom Alan Cunningham & Paula K. Hutchinson,
Bifurcated Trials: Creative Uses of the
Moriel
Decision,
46
Baylor L.Rev.
807, 821-22 (1994) (“Some courts have held that evidence of a defendant’s rehabilitated character or actions or both are irrelevant to the issue of punitive damages, on the theory that it is the defendant’s intent, motive or state of mind at the time of the occurrence which is controlling. However, other courts have found that subsequent occurrences may be relevant to the determination of punitive damages, insofar as such damages are intended to serve as a deterrent to future bad acts.”) (footnotes omitted). Some courts have taken the view that such evidence is almost never relevant in assessing punitive damages. For example, in
O’Gilvie v. Int'l Playtex, Inc.,
The Tenth Circuit reversed, however, holding that such remittitur was improper because the district court “based its decision to remit on events occurring after trial.”
Id.
at 1449. In doing so, the
O’Gil-vie
court relied on decisions from both the Kansas Supreme Court and the Oregon Supreme Court holding that evidence of post-occurrence action by the defendant is not relevant in determining punitive damages.
See Ettus v. Orkin Exterminating Co.,
Evidence of the parties’ conduct subsequent to the event, which produces plaintiffs claim for punitive damages, whether aggravating or mitigating, must be probative of the defendant’s state of mind at the time of the transaction. [Citation omitted].
In the case here at issue the evidence of contrition and a conciliatory attitude of one of the defendant’s agents after the complaint was filed has scant relevance respecting the state of mind of other agents of defendant at the time [of the wrong]. Assuming the evidence established the good faith and good will of defendant’s president toward plaintiff, such conduct came as a response to the complaint, which prayed for substantial punitive damages. The evidence shows a desire to “buy peace” and minimize the risk of an award of punitive damages and not that the defendant dealt in good faith with plaintiff [at the time of the tort].
Byers v. Santiam Ford, Inc.,
Other courts, however, permit the introduction of post-occurrence remediation evidence by the defendant as a shield against punitive damages. The Tennessee Supreme Court has held that jurors
must,
in assessing punitive damages, consider “whether, once the misconduct became known to defendant, defendant took remedial action or attempted to make amends by offering a prompt and fair settlement for actual harm caused ...”
Hodges v. S.C. Toof & Co.,
We decline to endorse here, in the context of an employment discrimination suit, either the view that such evidence is always relevant, or that it is always irrelevant. We note that nearly all the courts that have discussed this issue have done so in products liability suits, which present their own unique issues and problems. In most such suits, for example, the defendant attempts to exclude under Federal Rule of Evidence 407 6 any evidence of post-occurrence remediation, fearing that introduction of such evidence tends to show consciousness of guilt. In the employment discrimination context, however, post-occurrence remediation is part and parcel of the legal framework. Under the negligence standard, the plaintiff must prove that the employer failed to take reasonably prompt corrective action once it learns of the harassment. And, in the vicarious liability context, the Ellerth/Far-agher defense encourages employers to introduce such evidence as a defense to liability. Thus while the case law cited above highlights the conflicting policy implications of admitting or excluding this category of evidence, it does not compel any particular answer here.
Accordingly, we hold that a district court may, in its discretion, allow a defendant/employer to introduce evidence of remedial conduct undertaken in response to its discovery of discrimination as a means to mitigate punitive damages. Likewise, where the plaintiff, in arguing for punitive damages, contends that they are necessary to “teach the defendant a lesson,” post-charge remediation may be *815 relevant to defendant’s posture. The plaintiff can, of course, make arguments about prejudice, too little too late, and relevance of remedial conduct. Adoption of this approach has the advantage of encouraging employers to implement remedial measures, while leaving to the trial court, which has a front-row seat in evaluating the evidence, the discretion to determine the limitations on such evidence. In framing this discussion, we do not attempt to prejudge in all cases whether remedial conduct is admissible, even if it occurs after the plaintiff has filed a charge with an administrative agency such as the EEOC, or has in fact filed a lawsuit. Rather, the determination as to whether the evidence is too far afield, temporally or by subject matter, is left, in the first instance, to the discretion of the trial court.
While we stress that district courts have discretion, under traditional relevance principles, to admit or exclude evidence of remediation undertaken after the filing of a complaint, we do offer some guidance. Ellerth, Faragher, and Kolstad all clearly stand for the proposition that employers should be encouraged to institute anti-harassment measures, and must be given the opportunity to present evidence of such efforts. Thus an employer should be given the opportunity to present evidence that tends to prove that it undertook prompt and appropriate remedial measures, whether such measures occurred before or after the plaintiff happened to file his complaint.
Consider the situation where the plaintiff quits based on a constructive discharge, files a § 1981 suit (or an EEOC complaint) the next day, and then seeks to bar any evidence of post-complaint investigation and follow-up. If a court were to exclude all post-complaint remediation evidence, the employer might well be denied the Ellerth/Faragher defense and the opportunity to demonstrate good faith as an argument against punitive damages. In contrast, if the plaintiff files an EEOC complaint, then waits until the last possible day to a file a lawsuit, and only then does the employer take any remedial action, the circumstances may well be different. The point is that the timing and nature of remedial action are case-specific and will not always fit in a neat box. From a policy standpoint, the law should encourage employers to undertake remedial action without regard to their ultimate liability.
We also wish to emphasize that evidence of post-charge remediation would not automatically bar the imposition of punitive damages. A jury would, of course, be free to discount such evidence on the grounds that the remedial action undertaken by the employer is nothing but a sham concocted by defense attorneys as a strategy to avoid punitive damages. In the first instance, the trial court acts as a gatekeeper with respect to relevance. But once this evidence is admitted, the system relies on the jury to determine whether the remedial conduct is nothing more than window dressing. We have little doubt that some juries will cast a skeptical eye on such evidence of after-the-fact good works. But the jury might also find that such remedial actions were indeed bona fide efforts to repent and to prevent the reoccurrence of similar harassment in the future, thus lessening the need for additional deterrence in the form of punitive damages. 7 See Hacker, supra at 994 (evidence *816 of remedial measures “allows the defendant to illustrate some deterrence has already occurred ... ”). We also stress that our holding here does nothing to alter the underlying rules regarding a district court’s determination of relevancy under the rules of evidence. See Fed R. Evid. 401-03.
Turning, then, to the instant case, we conclude that the district court did not abuse its discretion in limiting, in response to Swinton’s motion in limine, evidence of remedial action undertaken after Swinton filed his lawsuit. In fact, it appears that, despite the court’s ruling, Potomac was still able to introduce evidence of remedial action undertaken after the filing of the suit. Specifically, human resources manager Vickie Thompson testified about the steps she undertook to investigate Swinton’s charges, including interviews she conducted after Swinton filed suit. As a consequence, the court’s ruling had the effect of excluding only one piece of evidence: the fact that all U.S. Mat supervisors and managers underwent anti-harassment training in September 1997, approximately seven months after Swinton quit, five months after he filed his unemployment claim alleging racial harassment, and two months after he filed suit. The district court was within its discretion to exclude this single piece of evidence. Such evidence, if introduced, would have done little, if anything, to undermine the un-controverted evidence that, even after everyone in management became fully cognizant of Swinton’s allegations, no one — not Pat Stewart, none of those at U.S. Mat who had witnessed the harassment and had done nothing about it, and none of the workers who had actually hurled the epithet “nigger” at Swin-ton — was ever fired, demoted, or in any way disciplined. 8
Potomac also argues that the exclusion of evidence of remedial action undertaken after the suit was filed was particularly prejudicial because Swinton’s counsel stated in his closing argument, while discussing punitive damages, that U.S. Mat “did nothing.... They should have done something.” Potomac asserts that it was unfair to allow Swinton to argue that U.S. Mat “did nothing” in response to the harassment, but to preclude Potomac from introducing evidence tending to rebut this charge. Potomac’s argument is unavailing, for two reasons. First, Potomac never made a contemporaneous objection to this argument, thus subjecting the error alleged only to the highly deferential “plain or fundamental error” standard of review, where we will reverse only “where the integrity or fundamental fairness of the proceedings in the trial court is called into serious question.” Bird v. Glacier Elec. Coop., Inc., 255 F.3d 1136, 1148 (9th Cir.2001). Even were we to assume that Swinton’s counsel’s argument unfairly prejudiced Potomac, the level of prejudice does not rise to the level of “plain or fundamental error ... where the integrity or fundamental fairness of the proceedings in the trial court is called into serious question.” Id. Second, a close reading of *817 the argument to which Potomac now objects reveals that the allegation that Potomac “did nothing” is a reference to a failure to train workers not to engage in harassment before the events about which Swinton complained — not to any actions that Potomac may have taken, or failed to take, after the filing of the suit. Recognizing that statements by Swinton’s counsel were argument, not evidence, we also note that Potomac did introduce evidence of its investigation and follow-up, thus belying the claim that it did nothing.
In sum, given the particular circumstances presented here, the district court did not abuse its discretion in excluding, on a limited basis, evidence of remedial actions undertaken after Swinton filed suit.
C. Constitutional limits on punitive damages
Lastly, we must consider de novo whether the punitive damages award of $1,000,000 was constitutionally excessive under
BMW. Cooper Indus.,
1. Reprehensibility
We first must assess the degree of reprehensibility of Potomac’s conduct. In so doing, we are mindful of the fact that the conduct for which Potomac was found liable was not Fosdick’s “nigger” jokes per se, but rather the action — or, rather, inaction — of the company’s proxies in response to them. But, of course, the reaction to the jokes cannot be divorced from the jokes themselves; one can only judge the reaction of the company with reference to that to which it reacted (or failed to react).
Potomac asserts on appeal that, though “tasteless, objectively offensive joking” occurred in its workplace, it was, at the end of the day, nothing more than “joking,” and did not justify such a large punitive damages award. We reject this benign characterization of the evidence presented at trial. Swinton made clear on the witness stand that he did not consider the language to which he was subject a joke. The only African-American employee of about 140 at the U.S. Mat plant, he was subject to daily abuse featuring the word “nigger,” “perhaps the most offensive and inflammatory racial slur in English, ... a word expressive of racial hatred and bigotry.” Merriavu-Webster’s Collegiate Dictionary 784 (10th ed.1993). Potomac presented its “joke” theory of the case to the jury. Had they believed it, they would have found for Potomac, as mandated by the jury instructions that required Swinton to prove that “the plaintiff regarded the conduct as undesirable and offensive.” As signaled by the jury’s verdict on liability and damages, they believed that what went on at U.S. Mat was “undesirable and offensive,”' — not a “joke” — and we do not hesitate before agreeing.
Nor do we agree with Potomac’s contention that a large punitive damages award is unjustified because “this [is not] a case where the plaintiff complained and his *818 complaints went unaddressed.” As explained above, Potomac made Stewart its proxy by placing him in the position as recipient of Swinton’s harassment complaints. For the purposes of liability and damages, what Stewart knew, Potomac knew, and what Stewart failed to do, Potomac failed to do as well. Despite witnessing the constant barrage of racial harassment directed at Swinton, Stewart (and thus Potomac) did absolutely nothing to stop it. Despite testimony that offensive racial language was ubiquitous at U.S. Mat, there is nothing to indicate that anyone in the company did anything to combat this problem until officially informed by a state agency that Swinton was charging racial harassment.
Without minimizing the effect of the ugly word and the racially-charged jokes that permeate this case, we do note, however, that the Supreme Court in
BMW
outlined what one court has termed a “hierarchy of reprehensibility,” with acts and threats of violence at the top, “followed by acts taken in reckless disregard for others’ health and safety, affirmative acts of trickery and deceit, and finally, acts of omission and mere negligence.”
Florez v. Delbovo,
In sum, we have no trouble concluding that the highly offensive language directed at Swinton, coupled by the abject failure of Potomac to combat the harassment, constitutes highly reprehensible conduct justifying a significant punitive damages award.
2. Ratio
We next examine the ratio of the punitive damages award to the amount of compensatory damages: $1,000,000 to $35,600, which yields a ratio of 28:1. We admit to uncertainty as we undertake this analysis. Though we are instructed that punitive damages must bear a “reasonable relationship” to compensatory damages,
BMW,
This is precisely the type of case posited by the Court in BMW — the low award of compensatory damages supports a higher ratio of punitive damages because of “particularly egregious” acts and “noneconomic harm that might have been difficult to determine.” Id. at 582,
Recognizing that the defendant’s wealth can also be a factor in assessing the ratio, *819 Potomac conceded that “The award was [not] out-of-line with defendant’s net worth.” Potomac is a multi-million dollar company with net sales exceeding $90 million in recent years. The ratio of the award is not excessive in view of this financial picture.
We are left, then, with the Supreme Court’s upper limit of a “breathtaking 500 to 1” ratio,
id.
at 583,
It also bears noting that the jury was warned not to go hog wild. Even in the face of repeated admonitions by
Sivinton’s
counsel that the jury “[should] not get carried away,” that it would be “wrong” to award ten million dollars, and that they should “[b]e more moderate,” the jury awarded significant punitive damages. The large award appears to have been calculated by the jury to effect the twin goals of punitive damages: “punishing unlawful conduct and deterring its repetition.”
Id.
at 568,
Finally, under
BMW
we are permitted to address the reasonable relationship between the punitive damages and “the harm likely to result from the defendant’s conduct as well as the harm that actually has occurred.”
Id.
at 581,
In view of the factors articulated by the Court, we cannot say that the ratio is constitutionally excessive or jars our “constitutional sensibilities.”
Haslip,
3. Analogous civil penalties
The last of the
BMW
guideposts which we must consider is “the difference between this remedy [punitive damages] and the civil penalties authorized or imposed in comparable cases.”
In sum, after analyzing the punitive damages award here in light of the three BMW guideposts, we cannot say that the punitive damages award amounts to a constitutional due process violation.
CONCLUSION
We affirm the jury’s verdict as to liability, as to the award of compensatory damages, and as to the amount of punitive damages.
AFFIRMED.
APPENDIX
Selected Jury Instructions
Instruction No. 3
Under the law, a corporation is a person. It can act only through its employees, agents, directors, or officers. Therefore, a corporation is responsible for the acts of its employees, agents, directors, and officers performed within the scope of authority.
Instruction No. 10
To establish his claim of racial harassment under federal or state law against the defendant the plaintiff has the burden of proving each of the following propositions:
1. That there was language or conduct of a racial nature, or that occurred because of the plaintiffs race; and
2. That this language or conduct was unwelcome in the sense that the plaintiff regarded the conduct as undesirable and offensive; and
3. That the conduct or language complained of was so offensive or pervasive that it could reasonably be expected to alter the conditions of plaintiffs employment;
*821 4. That management knew, through complaints or other circumstances, of the harassing conduct or language by Fosdick or co-workers and the employer failed to take reasonably prompt, corrective action designed to end the harassment, OR
5. That management should have known of the harassment [by] Fosdick or coworkers, due to the pervasiveness of the conduct or language, or through other circumstances, and the employer failed to take reasonably prompt, corrective action designed to end the harassment.
If you find from your consideration of all of the evidence that each of these propositions has been proved, then your verdict should be for the plaintiff on the state and federal harassment claims.
Instruction No. 12
If you find that the defendant neither knew nor should have known of the racially harassing conduct, plaintiff may still prevail under federal law if he proves each of the following propositions:
1. That there was language or conduct of a racial nature, or that occurred because of the plaintiffs race; and
2. That this language or conduct was unwelcome in the sense that the plaintiff regarded the conduct as undesirable and offensive; and
3. That the conduct or language was so offensive or pervasive that it could reasonably be expected to alter the conditions of the plaintiffs employment; and
4. That John Fosdick was employed in a supervisory capacity and participated in the harassment.
The defendant has the burden of proving each of the following by a preponderance of the evidence:
1. That the employer exercised reasonable care to prevent and correct promptly any racially harassing behavior, and
2. That the plaintiff employee unreasonably failed to take advantage of any preventive or corrective opportunities provided by the employer or to avoid harm otherwise.
If the plaintiff has failed to prove each of the things on which plaintiff has the burden of proof, your verdict should be for the defendant on this claim.
If you find that each of the things on which plaintiff has the burden of proof has been proved, your verdict should be for the plaintiff, unless you also find that each of the things on which the defendant has the burden of proof has also been proved, in which your verdict should be for the defendant on this claim.
Notes
. The trial transcript contains references to many other instances of offensive racial comments by various employees of U.S. Mat, but it is not clear whether any of these were directed at, or witnessed by, Swinton.
. "All persons within the jurisdiction of the United States shall have the same right in every State and Territory to make and enforce contracts.... The rights protected by this section are protected against impairment by nongovernmental discrimination and impairment under color of State law.”
. Though
Ellerth
and
Faragher
involve Title VII, their reasoning applies to cases involving § 1981 and RCW 49.60
et seq. See Jurado v. Eleven-Fifty Corp.,
. Here we may determine that Stewart was a niember of "management” as a matter of law because "[t]he [c]ourt's conclusion depends not on factual findings regarding the job, but on the implications of the employment with[in] the Title VII framework.”
Lamb,
. U.S. Mat's hiring practices were not at issue in the lawsuit.
. Rule 407. Subsequent Remedial Measures When, after an injury or harm allegedly caused by an event, measures are taken that, if taken previously, .would have made the injury or harm less likely to occur, evidence of the subsequent measures is not admissible to prove negligence, culpable conduct, a defect in a product, a defect in a product's design, or a need for a warning or instruction. This rule does not require the exclusion of evidence of subsequent measures when offered for another purpose, such as proving ownership, control, or feasibility of precautionary measures, if controverted, or impeachment.
. Assume, for example, that — contrary to the evidence presented at trial — Swinton filed suit the week after he quit, and that high-level managers at U.S. Mat and Potomac immediately undertook swift and decisive action to remedy the situation by firing or disciplining anyone who had uttered a racial slur, demoting anyone who had witnessed the harass *816 ment but had failed to do anything about it, instituting a better reporting system, and sending all employees and managers to anti-harassment training. Under such circumstances, we would think that Potomac would be entitled to present this evidence as tending to demonstrate that it was capable of mending its ways without being hit over the head with the club of a significant punitive damages award. But such circumstances were not present in this case.
. Fosdick himself quit soon after Swinton left, leaving Potomac little opportunity to discipline him. We can only speculate whether the company would have disciplined him had he not quit on his own.
