MEMORANDUM OPINION AND ORDER
Plaintiffs Sharon Volling, Julie Banser, and April Soulak allege that they were subjected to sexual harassment, sex discrimination, retaliation, and assault and battery at the hands of co-workers and supervisors while they worked for the Antioch Rescue Squad, a private, non-profit provider of emergency medical and ambulance services in the Village of Antioch, Illinois. The squad is jointly operated and staffed by the two defendants. In an earlier decision, with which the Court assumes the reader’s familiarity, the Court dismissed the counts brought under 42 U.S.C. § 1988 with prejudice and their state-law counts, alleging negligent retention and supervision, without prejudice. In the Third Amended Complaint (Dkt. # 80), the plaintiffs re-plead their negligence counts and add counts of assault and battery; they also reprise their allegations of sexual harassment, sex discrimination, and retaliation under Title VII and the Illinois Human Rights Act (“IHRA”). Only plaintiff Banser brings claims against ARS, the other plaintiffs having satisfied their claims pursuant to an offer of judgment; with this distinction in mind, the Court will refer to the “plaintiffs” collectively throughout this decision. Each defendant now moves to dismiss the Third Amended Complaint; Metro furthers moves to strike what it claims are inflammatory and irrelevant allegations. The motions are granted in part and denied in part for the reasons set forth below.
DISCUSSION
A motion under Rule 12(b)(6) challenges a complaint’s sufficiency to state a claim upon which relief may be granted. Hollinan v. Fraternal Order of Police Chicago Lodge No. 7, 570 F.3d 811, 820 (7th Cir.2009). To survive a motion to dismiss, a complaint must set forth enough factual detail give the defendant fair notice of the claims and the grounds upon which they rest, and the allegations must add up to a claim for relief that is plausible on its face. Ashcroft v. Iqbal,
In Counts XIII(a) and XlII(b),
A. Pleading Requirements
Although the plaintiffs have divided their allegations into separate counts corresponding to various legal theories, and the defendants attack the complaint count by count, it bears noting at the outset that this common approach to litigating motions to dismiss tends to obscure the critical difference between “claims,” which explain the plaintiffs grievance and demand relief, and “counts,” which describe legal theories by which those facts purportedly give rise to liability and damages. See NAACP v. American Family Mut. Ins. Co.,
That is why a motion to dismiss should be filed (and granted) when the facts in the plaintiffs complaint, taken as true, do not state a plausible claim under any “recognized legal theory.” See Richards v. Mitcheff,
The Court previously ruled that Section 1983 did not provide a viable theory of relief because the defendants could not be considered state actors, but that Title VII and the IHRA provides a plausible theory of liability for sex discrimination, sexual harassment, and/or retaliation, based on essentially the same facts. The Court further held that the IHRA preempted the common-law claims to the extent they overlapped with the statutory claims, but left open the possibility that other types of misconduct (ie., non-gender-based) might provide a plausible basis for liability in tort. The tort theories the plaintiffs have advanced in the Third Amended Complaint are the focus of the defendants’ present motions. Although, as will be seen, plaintiffs’ negligence theories are not viable as to plaintiff Volling, the conduct on which those claims are based remains a plausible source of liability. Ultimately, in reviewing the defendants’ motion to dismiss, the critical question is whether the plaintiffs have stated a plausible claim for relief under some recognized legal theory, not whether they have properly labeled that theory.
B. Standing
Both defendants argue that the plaintiffs lack Article III and prudential standing to bring the negligence “claims.” But, as just noted, it is not clear that the plaintiffs have “claims” for negligence that are separate from other tort “claims”: the negligence counts are premised on the same factual scenario that underlies the counts for assault and battery. The plaintiffs allege that the two defendants are directly liable for failing to take action to prevent or remedy the systemic physical and verbal harassment, abuse, and mistreatment they suffered at the hands of their coworkers and supervisors. Whether that “claim” is properly labeled negligent supervision, negligent retention, assault, battery, or some other species of tort, is not— at this stage of the proceedings, anyway— dispositive of the defendants’ potential liability, and it is therefore ineongruent for the defendants to argue that the plaintiffs lack standing solely as to the negligence “claims” but not the others that are premised on the same set of facts.
Article III standing is a requirement for federal jurisdiction, and it requires the plaintiff to demonstrate “a personal injury fairly traceable to the defendant’s allegedly unlawful conduct and likely to be redressed by the requested relief.” Allen v. Wright,
The Court previously raised the issue of standing because it concluded that any state-law tort claims premised on the same facts underlying the sexual harassment claims are preempted by Title VII and the IHRA, which provide exclusive remedies for such misconduct. The Court questioned whether the plaintiffs had standing to bring claims premised on allegations that did not go to the preempted claims, because those allegations seemed to describe conduct that would be offensive or injurious to individuals other than the plaintiff, such as the allegedly abused patients, non-plaintiff co-workers, or even the general public. The Court allowed the plaintiffs the opportunity to re-plead and allege that they personally suffered an injury in fact for purposes of Article III standing, and that, for purposes of prudential standing, the injury was not one common to the public at large.
These shortcomings have been remedied in the Third Amended Complaint. The plaintiffs allege they personally were harmed by three broad categories of misconduct other than the sexual harassment on which their statutory claims are based:
The plaintiffs plausibly allege that this misconduct harmed them personally. For example, the plaintiffs allege that their employers’ acts or omissions caused them to suffer assaults and batteries at the hands of the employee-perpetrators. Third Am. Compl., Dkt # 80, ¶¶ 152(a), 164(a), 175(a), 187(a). They further allege that defendants’ negligence allowed other employees to persist in conduct, such as that described above, that caused the plaintiffs “injury, emotional distress, severe embarrassment, pain, suffering, humiliation, fear, anxiety, damage and risk of damage to their careers and reputations, damage to their standing in the community, loss of enjoyment of life, inconvenience and other non-pecuniary losses.” These harms are concrete and particularized; they are also plausible in light of the factual allegations.
Metro raises the question whether some of these injuries “count” for purposes of the standing analysis, to the extent they are purely emotional or reputational in nature. See Mem., Dkt. # 102 at 8. But Metro misreads the applicable law. Under Illinois law, negligence is actionable if it directly causes emotional distress even without any physical symptoms. Corgan v. Muehling,
It is possible to isolate certain factual allegations — such as the use of squad funding to purchase alcohol — and doubt they caused injury to these individual plaintiffs. That is the spirit of the defendants’ arguments, but this approach is inconsistent with the requirements of notice pleading and with the default rule that the plaintiff is given the benefit of all reasonable inferences. G & S Holdings LLC,
B. Preemption of Tort Theories
The defendants next argue that the plaintiffs’ negligence, assault, and battery counts are all preempted by the Illinois Human Rights Act (“IHRA”) and the Illinois Workers’ Compensation Act (“IWCA”).
1. IHRA Preemption
This Court has already ruled that — assuming the plaintiffs had' standing — the IHRA did not preempt the plaintiffs’ tort theories. The IHRA is the exclusive state remedy for sexual harassment, discrimination, and retaliation. See 775 ILCS 5/8-111. Thus, the statute preempts tort counts to the extent that they do not require proof of conduct that is also proscribed by the Act-claims that are “inextricably linked” to civil rights violations. See Maksimovic v. Tsogalis,
2. IWCA Preemption
IWCA preemption is a closer issue, at least as to plaintiff Volling. As to the other plaintiffs, the Court concludes as a matter of law that they have no remedies as “employees” for purposes of the IWCA and therefore, their assertion of tort theories cannot be preempted by the provision of the statute making it the exclusive state-law remedy for workplace injuries. The parties did not distinguish between the individual plaintiffs in arguing for and against IWCA preemption, but Illinois law does. Illinois courts have held that the IWCA does not protect volunteers. Board of Ed. of City of Chicago v. Industrial Commission,
Although they did not address the issue of whether the injuries of plaintiffs Soulak and Banser were compensable under the IWCA, such that they could be preempted, the plaintiffs raise a related question of whether for the defendants are estopped from raising the defense of IWCA preemption. They argue that the defendants “cannot bring dispositive motions based on defenses available only to employers while simultaneously asserting that they are not employers.”
But the two positions are not necessarily inconsistent. Title VII and the IHRA are distinct statutes that serve different purposes and define the relationship between employees and employers differently. Title VII’s remedial purpose — to make the workplace “an environment free of discrimination, where race [or gender] is not a barrier to opportunity,” Ricci v. DeStefano,
Even if the defendants had taken an inconsistent position regarding them status as “employers,” their preemption argument would not be foreclosed by judicial estoppel because they did not prevail in their argument that they are not the plaintiffs’ employers; they are not pursuing an argument that is inconsistent with one they previously convinced a court to accept. See In re Hovis,
The only plaintiff who is possibly subject to IWCA preemption, then, is Volling, who is a paid employee of Metro. The IWCA is the exclusive state law remedy for accidental injuries sustained by an employee arising out of and in the course of her employment. See 820 ILCS 305/5, 305/11; Meerbrey v. Marshall Field & Co.,
Under Illinois law, the IWCA’s exclusivity provisions do not bar “a common law cause of action against an employer ... for injuries which the employer or its alter ego intentionally inflicts upon an employee or which were commanded or expressly authorized by the employer.” Meerbrey,
Here, Volling’s allegations are sufficient to plausibly allege that the defendants effectively authorized the offending employees’ behavior by failing to take any corrective action after being repeatedly advised of the problems. The plaintiffs allege that they reported the misconduct, orally in in writing, to the chief, two deputy chiefs, and the board, to no avail, and further that the misconduct often occurred in full view of supervisors and board members; indeed, the plaintiffs allege that a board member and a supervisor perpetrated certain of the offensive acts they complain about. The plaintiffs further allege that when they reported misconduct, they were rebuffed, told to keep their problems
If the plaintiffs’ version of events is true — and for present purposes, it is assumed to be — ARS and Metro were uninterested in investigating their complaints or disciplining the offenders, and indeed tried to convince the plaintiffs not to pursue their grievances, which allowed the conduct to continue and escalate with the employers’ knowledge and approval. This is enough, at least at the pleading stage, to allow the inference that the tortious conduct was “expressly authorized,” and therefore, that the resultant injuries were not “accidental” under the IWCA. The knowing ratification of, and in some cases participation in, the injurious acts of plaintiffs’ co-workers, would make the plaintiffs’ injurious foreseeable from the employer’s standpoint, and therefore, inconsistent with the definition of “accidental” set forth Meerbrey. See
C. Vicarious Liability for Intentional Torts
Because the plaintiffs allege that ARS and Metro expressly authorized or directed the injurious conduct of the plaintiffs’ co-workers — the Court rejects the argument that the assault and battery “claims” must be dismissed because the torts did not occur within the scope of employment.
Under the theory of respondeat superior, an employer can be liable for the torts of its employee when those torts are committed within the scope of the em
As discussed, the IWCA preempts plaintiff Volling’s negligence claims. But to the extent that she alleges “express authorization” on the part of ARS and Metro, the intentional tort theories remain viable and, if proved, could lead to direct liability for the employers. However, there is no path to vicarious liability as to plaintiff Volling; she is subject to IWCA preemption, and that statute “bar[s] employees from bringing common law actions against their employers based solely upon the doctrine of respondeat superior.” Meerbrey,
That is not true for plaintiffs Banser and Soulak, however, so the defendants’ argument that the misconduct that injured them was committed outside the scope of the perpetrators’ employment is in play, though it is generally a fact issue not appropriate for resolution on summary judgment, let alone on a motion to dismiss. Pyne v. Witmer,
Plaintiffs Soulak and Banser argue that they can establish vicarious liability because the tortious conduct was so pervasive and common, and so well-known to the defendants, that it could reasonably be considered within the scope of employment, “where the assaults and batteries occurred on work grounds, during work hours, were subject to Defendants’ control, and were committed repeatedly, and with the awareness and implied consent of the Defendants,” and where “management not only authorized such misconduct but also actively participated in the misconduct.” In other words, they contend that the deviation from the perpetrators’ normal duties was not “exceedingly marked and unusual” so as to be beyond the scope. See Tyne,
Nevertheless, based upon the complaint alone, the Court cannot conclude as a matter of law that the challenged actions were beyond the scope of employment; the Court has already concluded that the plaintiffs plausibly allege that the defendants are directly liable for those torts and on these allegations the Court cannot say that it would be unreasonable as a matter of law to infer that conduct that has been expressly sanctioned by the employer amounts as well to conduct within the “scope of employment” provided by that employer. That ruling makes the scope of employment issue somewhat academic; even if the defendants’ conduct is deemed to be outside the scope of employment— thereby foreclosing derivative Lability— the direct Lability counts (assault and battery) would survive. Of course, under a direct LabLity theory, the plaintiffs will have to prove that- the defendants — not their employees — are liable for every element of the intentional torts. See Vancura v. Katris,
C. Timeliness
ARS next contends that the plaintiffs’ amendment of their negligence “claims” (and possibly the bringing of assault and battery claims) to add facts relating to “harmful pranks” is untimely. According to ARS, the original complaint only gave notice of sexual harassment, discrimination, and retaliation, rendering ahegations of conduct that does not give rise to such “claims” untimely. The argument is meritless.
Under both Illinois and federal law, an amendment relates back to an earlier pleading when it arises out of the same transaction or occurrence. Phillips v. Ford Motor Co.,
The original complaint gave the defendants notice of a wide range of offensive conduct that occurred during the same time period; there.is nothing in the latest complaint that pertains to a separate “transaction.” Furthermore, as the Court has now stated multiple times, the plaintiffs are not limited to the labels they placed on the counts of their original complaint; indeed, they are not required to plead any legal theories explicitly. See Jajeh,
D. Redundancy of Claims
Both defendants press the argument that Illinois does not recognize negligent supervision and negligent retention as separate torts.
III. Motion to Strike
Finally, Defendant Metro moves to strike various allegations from the Third Amended Complaint on the ground that they are “redundant, immaterial, impertinent, scandalous and prejudicial and cannot form the basis of a claim.” See Fed. R. Civ. P. 12(f). Metro sets forth 14 paragraphs of the complaint (two with multiple sub-paragraphs) that it contends are inflammatory and irrelevant.
Allegations may be stricken as “scandalous” if the matter bears no possible relation to the controversy or may cause the objecting party prejudice. Talbot v. Robert Matthews Distributing Co.,
Moreover, the factual allegations the defendants catalog are not gratuitous
For the reasons set forth above, the Court partially grants the defendants’ motions [98, 100] and dismisses Counts XIII(b) and XV as they apply to plaintiff Volling only. The Court otherwise denies the defendants’ motions to dismiss and strike.
Notes
. The Third Amended Complaint labels both negligent supervision counts (Banser’s claim against ARS and all plaintiffs' claim against Metro) "Count XIII.''
. The actual complaint labels two counts “XVII”; the Court will rename the battery count by plaintiff Banser against ARS Count XVII(b).
. For this, the Court takes some responsibility, as the issue of standing for the negligence ''claims'' was raised by the Court in its prior opinion, but that was before the Third Amended Complaint added new legal theories of assault and battery based on the same conduct.
. The plaintiffs protest that it is improper to isolate the sexually harassing behavior and attendant injuries from the conduct underlying the tort claims, insisting that their complaint must be viewed as a whole. But here, the tort claims are preempted to the extent they mirror the sexual harassment claims. Therefore the court cannot consider injuries attributable to sexual harassment when determining whether there is standing to bring the negligence claims.
. Rather than address the foregoing, the defendants contend in their reply brief that their IWCA preemption argument is consistent — or not inherently inconsistent — with their position that they are not employers, because the IWCA preemption argument can be made by anyone, not just employers. The court is not convinced by this argument; the cases cited by the defendants do not go that far, and the statute itself explicitly blocks separate recovery by workers covered by the IWCA only as against "the employer, his insurer, his broker, any service organization retained by the employer, his insurer or his broker.” The defendants, to the extent they are not employers, would be attempting to vindicate some third party's rights with their preemption defense. Nor is the Court convinced by Metro's argument that it can avoid the potential inconsistency simply by taking all of plaintiff’s allegations as true. As Metro previously argued, and this Court agreed, whether defendants are "employers” is a legal question, and legal conclusions pleaded in the complaint are not taken as true on a motion to dismiss.
. The plaintiffs also contend that the perpetrators were the alter ego of ARS and Metro; it is not necessary for the Court to consider this argument in light of its decision that the complaint contains sufficient allegations of express authorization to survive dismissal.
. Amending a complaint simply to add new legal theories does not implicate relation back. Joseph v. Elan Motorsports Tech. Racing Corp.,
. Dismissal of the negligence counts as to plaintiff Volling does not moot this issue; those counts remain viable as to plaintiffs Banser and Soulak.
. The Court does not find it necessary at this time to reconcile the non-binding cases cited by the respective parties reaching different conclusions about whether negligent retention and negligent supervision are independent torts. Compare, e.g., Swift v. BPI Energy, Inc.,
. This is not to signify agreement with the unnecessarily prolix nature of the complaint, but its tedious length would not be meaningfully ameliorated by striking the handful of allegations that Metro cherry-picks.
