CODY ZIPARO v. CSX TRANSPORTATION, INC.
Docket No. 20-1196-cv
UNITED STATES COURT OF APPEALS FOR THE SECOND CIRCUIT
August Tеrm, 2020 Argued: May 27, 2021 Decided: September 24, 2021
SACK, LYNCH, and PARK, Circuit Judges.
B e f o r e:
SACK, LYNCH, and PARK, Circuit Judges.
Plaintiff-Appellant Cody Ziparo sued his former employer, Defendant-Appellee CSX Transportation, Inc., for unlawful retaliation under the Federal Railroad Safety Act (“FRSA“). Ziparo alleges that he was terminated because he engaged in protected activity by “reporting, in good faith, a hazardous safety or security condition.”
Accordingly, we VACATE the judgment of the district court and REMAND to the district court for further proceedings.
P. MATTHEW DARBY, Berman, Sobin, Gross, Feldman & Darby, LLP, Lutherville, MD (H. David Leibensperger, Berman, Sobin, Gross, Feldman & Darby, LLP, Lutherville, MD; Lawrence M. Mann, Alper & Mann, Bethesda, MD, on the brief), for Plaintiff-Appellant.
JOSEPH C. DEVINE, Baker & Hostetler, LLP, Columbus, OH (Ryan A. Cates, Baker & Hostetlеr, LLP, Columbus, OH; Susan Roney, Benjamin Dwyer, Nixon Peabody, LLP, Buffalo, NY, on the brief), for Defendant-Appellee.
This case presents a question of first impression: Does the Federal Railroad Safety Act‘s (“FRSA“) prohibition of retaliation against employees who “report[], in good faith, a hazardous safety or security condition,”
Applying our interpretation of the statutory language to the summary judgment record, we conclude that a reasonable jury could find that Ziparo subjectively believed that what he was reporting was a hazardous safety or security condition within the meaning of the FRSA. We therefore VACATE the judgment of the district court and REMAND this case for further proceedings.
BACKGROUND
We draw the following statement of facts from the evidence in the summary judgment record, which we construe in the light most favorable to Ziparo. See, e.g., Cortez v. Foster & Garbus, LLP, 999 F.3d 151, 153-54 (2d Cir. 2021). To the extent that this opinion references facts contained in the sealed record, those portions of the record are unsealed.
Cody Ziparo worked for CSX as a train conductor from 2006 until 2016, when he was fired. As of October 2015, Ziparo was working in CSX‘s train yard in Watertown, New York, where he was supervised by trainmasters Ryan Van Blarcom and Jim Lacy. As a conduсtor, Ziparo‘s primary duties involved moving railcars onto their designated trains. This process often involves moving cars across parallel tracks, which are connected by manually operated track switches. For most of his career at CSX, including during 2015-2016, Ziparo worked with CSX engineer Christopher Pigula.
CSX conductors carry a tablet computer connected to CSX‘s “On-Board Work Order” system (the “OBWO“). Conductors use the OBWO to record tasks, such as the placement of cars, as they are completed; information from the OBWO is relayed to an internal customer service center and is ultimately made available to CSX‘s customers, who use it to track their orders, much as a typical consumer might use the tracking services offered by the Postal Service and similar private сouriers to monitor the status of a shipment. The OBWO is not mandated by federal law, and CSX does not use the OBWO on all of its trains. Further, while Ziparo and others testified that CSX employees use the OBWO to locate train cars, there is no evidence that its use for that purpose is anything other than a convenience. There is also no evidence that CSX itself uses the OBWO as a primary means of monitoring the location of train cars or for any other safety-related purpose. See, e.g., J. App‘x at 669-70 (describing use of the OBWO only for logistical and tracking purposes).1
In addition to providing information to CSX‘s customers, the OBWO provides valuable information to CSX by permitting it to track the productivity of its employees. Trainmasters, who are ultimately responsible for overseeing the work of emplоyees in each trainyard, are rewarded
In or around January 2016, Lacy and Van Blarcom began pressuring Ziparo and one of his fellow conductors, William Miner, to mark tasks as complete in the OBWO even though those tasks had not actually been completed. It is undisputed that Lacy‘s and Van Blarcom‘s purpose in doing so was to inflate their performance metrics so that they could earn larger bonuses.
Ziparo was not comfortable with these requests, and his refusals to implement them were met with threats of discipline. Both the requests and threats of discipline caused Ziparo stress to the point that he was unable to focus on his work. Pigula testified that communication between him and Ziparo deteriorated significantly, and that Ziparo, unable to focus on his work, “would just absent-mindedly walk past things or fail to complete a routine task.” J. App‘x at 635. Between January and early May, Ziparo and Pigula repeatedly complained to Lacy and Van Blarcom directly, “t[elling] both of them multiple times that the environment that they‘re creating is unsafe.” Id. at 567; see also id. at 637 (“We both told Mr. Lacy that it‘s going to be a safety issue.“). In early May, Ziparo met with Lacy in Lacy‘s office, where he complained again about Lacy‘s demands that he enter false information into the OBWO and explained that these demands were causing him undue stress. Lacy became frustrated, began yelling at Ziparo, and threatened to charge him with insubordination, although that charge did not materialize.
Unsatisfied by the response to his informal complaints, on May 3, 2016, Ziparo lodged a formal complaint against Lacy and Van Blarcom on CSX‘s ethics hotline. In his complaint, Ziparo stated that he viewed the ongoing pressure campaign “as a safety issue because employees are not focused on their work and are preoccupied with the harassment coming from Jim [Lacy] and Ryan [Van Blarcom].” Id. at 898. CSX interviewed Ziparo in connection with his complaint on June 6.
A few days after that interview, on June 9, a southbound train caused serious damage to a misaligned track switch; had the train been heading north, it likely would have been diverted onto side tracks where train cars were parked and caused a catastrophic collision. Though Ziparo disputes their reliability, CSX‘s reports show that Ziparo was the last person to operate the switch before the incident and that he failed to return the switch to the proper position after doing so. There is no evidence in the record that anyone else operated the switch at any point between when Ziparo did so and when the accident occurred, nor is there any evidence of tampering.
On June 16, CSX held an investigative hearing, where Ziparo was represented by his union representative. Ziparo was permitted to cross-examine CSX‘s witnesses and call witnesses to testify on his behalf. On July 15, the hearing officer found Ziparo responsible for failing to return the switch. CSX then terminated Ziparo. CSX subsequently concluded its investigation into Ziparo‘s complaint and, having found his allegations substantiated, reprimanded Lacy and Van Blarcom.
On June 29, 2017, Ziparo sued CSX for unlawful retaliation under
DISCUSSION
“We review the district court‘s decision to grant summary judgment de novo, resolving all ambiguities and drawing all permissible factual inferences in favor of the party against whom summary judgment is sought.” Booker v. Graham, 974 F.3d 101, 106 (2d Cir. 2020), quoting Ya-Chen Chen v. City Univ. of N.Y., 805 F.3d 59, 69 (2d Cir. 2015). Further, “[o]ur review of a district court‘s interpretation of a statute, a pure question of law, is also de novo.” Nielsen v. AECOM Tech. Corp., 762 F.3d 214, 218 (2d Cir. 2014).
Section 20109(b)(1)(A) of the FRSA provides that “[a] railroad carrier . . . shall not discharge, demote, suspend, reprimand, or in any other way discriminate against an employee for . . . reporting, in good faith, a hazardous safety or security condition.”
This case, thus, turns on the meaning of two statutory terms: “in good faith” and “a hazardous safety or security condition,” the interpretation of which is a matter of first impression for the federal appellate courts. We address each in turn before applying our interpretations to the facts of this case.
I. “In Good Faith”
“In interpreting any statute, we start with the plain meaning of the text, and absent any ambiguity, we end there too.” Wilson v. United States, 6 F.4th 432, 435 (2d Cir. 2021).
Section 20109(b)(1)(A) protects employees who make reports “in good faith.” In general, an act done “in good faith” is one performed “with honesty or sincerity of intention.” In Good Faith, Oxford English Dictionary (3d ed. 2014); see also Good Faith, Black‘s Law Dictionary (11th ed. 2019) (“A state of mind consisting in (1) honesty in belief or purpose . . . .“). That standard is on its face a subjective one, embracing only the actor‘s state of mind; it is unconcerned with whether the actor‘s
In contrast, an act or belief is “reasonable” when it is “[f]air, proper, or moderate under the circumstances.” Reasonable, Black‘s Law Dictionary (11th ed. 2019); see also Reasonable, Oxford English Dictionary (3d ed. 2014) (“Within the
limits of what would it be rational or sensible to expect . . . not irrational, absurd, or ridiculous.“). That is an objective standard, unconcerned with the actor‘s motivations or the sincerity of her beliefs. Accordingly, one may hold a belief or undertake an act in good faith, even if that belief or act is objectively unreasonable. That distinction is not a novel one; courts and legislatures routinely distinguish between good faith and reasonableness in a broad array of contexts.3
The ordinary meaning of the plain text of
To be sure, the district court was not the first court to interpret
But those decisions all share a common analytical flaw. Specifically, in concluding that “good faith” as used in
In Nielsen v. AECOM Technology Corporation, for example, on which the court in March v. Metro-North expressly relied, we held that a plaintiff pleading retaliation under the whistleblower protection provision of the Sarbanes-Oxley Act, codified at
requirement explained in Nielsen, applied to claims under the Consumer Product Safety Improvement Act‘s whistleblower provision, codified at
As already discussed, however,
As an initial matter,
condition, but only if “a reasonable individual in the circumstances then confronting the employee would conclude that . . . the hazardous condition presents an imminent danger of death or serious injury” and that the urgency of the situation requires such a refusal.
It is well established that “[w]here Congress includes particular language in one section of a statute but omits it in another section of the same Act, it is generally presumed that Congress acts intentionally.” Russello v. United States, 464 U.S. 16, 23 (1983) (citation omitted).
To hold that
Moreover, interpreting
Finally, intеrpreting “good faith” to require only subjective belief is consistent with the overall structure of
different types of protected activities:
The conditions under which those categories of employees are protected, however, are different, and are made more restrictive as the burden imposed on the railroad by their actions escalates. Employees who simply report a hazardous condition are protected against retaliation by
employee would conclude that--
- the hazardous condition presents an imminent danger of death or serious injury; and
- the urgency of the situation does not allow sufficient time to eliminate the danger without such refusal; and
(C) the employee, where possible, has notified the railroad carrier of the existence of the hazardous condition and the intention not to perform further work, or not to authorize the use of the hazardous equipment, track, or structures, unless the condition is corrected immediately or the equipment, track, or structures are repaired properly or replaced.
(3) In this subsection, only paragraph (1)(A) shall apply to security personnel employed by a railroad carrier to protect individuals and property transported by railroad.
condition that they make their report “in good faith.” Employees who take the more dramatic and burdensome steps of refusing to work or refusing to authorize the use of equipment when they believе that doing so would create a hazardous condition are subject to additional requirements, which are spelled out in
This broader context helps to explain why Congress would subject some actions by employees, but not others, to an objective reasonableness requirement in order to be protected. A refusal to work or to authorize the use of equipment imposes a substantial burden on a railroad. In contrast, a mere report of a putative safety violation to the railroad itself, even if mistaken, imposes no meaningful costs on the railroad. Nor does the protection extended to an emplоyee making such a report impose unreasonable burdens or costs: The FRSA does not require the railroad to take remedial action on the basis of the employee‘s report, or even to investigate
Nor are we persuaded that reading the statute as Congress wrote it creates absurd or intolerable results. The FRSA does not permit incompetent workers to hide behind a report that they later seek to characterize as involving safety. The statute does not protеct from discipline every worker who has previously made, even in good faith, a report of a purported safety violation, or preclude any consideration of the reasonableness of the report. Rather, it prohibits the railroad from disciplining a worker “for” reporting such a condition.
Moreover, “good faith” requires that the employee actually believe that the facts she is reporting are true and do indeed constitute a hazardous safety or security condition, and that the employee did not make the report for an improper purpose. Cf. Good Faith, Black‘s Law Dictionary (11th ed. 2019) (“A state of mind consisting in (1) honesty in belief or purpose . . . .“). Since factfinders have no direct access to the subjective motivations of parties, good faith, like other states of mind, must often be determined through circumstantial evidence, and the unreasonablenеss of a purported belief can support an inference by a factfinder that the employee did not in fact hold that belief in good faith. Such matters, however, raise questions of fact; we hold not that the unreasonableness of a belief is irrelevant, but only that a plaintiff is not required by
Accordingly, we hold that a railroad employee engages in protected activity under
II. “A Hazardous Safety or Security Condition”
We next turn to the question of what an employee must report in good faith to be protected under
We cannot, however, endorse the district court‘s particular formulation in this case, which imposes a non-textual, categorical restriction on the kinds of conditions that come within the protection of the statute. After surveying thе case law, the district court concluded that “[h]azardous safety or security conditions have generally been found to be physical conditions that are within the control of the rail carrier” and, applying that definition, held that Ziparo‘s reports did not fall within the statute‘s scope. Ziparo, 443 F. Supp. 3d at 297 (emphasis added) (internal quotation marks omitted). But the word “physical” appears nowhere in
Without question, limiting the FRSA‘s protection to reports of physical conditions would unduly limit its scope and beget results that Congress surely did not intend. It is plain that various practices that do not involve physical conditions can create safety hazards. For example, undеr the district court‘s formulation, an employee who reports that her supervisor fails to perform required safety checks, or performs them under the influence of drugs or alcohol, would be left unprotected even though she is clearly reporting a safety hazard and exposing herself to the possibility (or even likelihood) of retaliation by her supervisor. Likewise, the district court‘s rule would not protect an employee who reports that a colleague is operating heavy machinery without appropriate training, as was the case in Worcester v. Springfield Terminal Railway Company, despite the fact that, as the Worcester court sensibly observed, “[a]n employee taking on a task he cannot safely complete could constitute a ‘hazardous safety . . . condition.‘” No. 12-cv-328, 2014 WL 1321114, at *4 (D. Me. Mar. 31, 2014) (omission in original). Similarly, a critical employee‘s stress or fatigue can create dangers; that is why safety regulations limit the numbers of hours or lengths of shifts that can be worked by such workers as airline pilots, truck drivers, or, indeed, railroad engineers. See
Of course, this does not mean that the term “hazardous safety or security condition” has no limitations whatsoever. For example, although the text of
In sum,
III. Ziparo‘s Complaints
Having clarified
At the outset, we observe that Ziparo‘s brief makes a lengthy argument that falsifying OBWO records could have catastrophic consequences, analogizing the situation to an air traffic controller being asked to falsify the location of planes in the sky. That contention, however, has no basis in the record; no other employee testified that the OBWO itself has any safety-related purpose or that CSX uses the OBWO to monitor the physical location of train cars.10 Nor, for that matter, could a reasonable jury conclude from the record evidence that Ziparo subjectively understood аt the time that he made his reports that the falsification of OBWO information itself has safety implications of that nature; Ziparo did not voice such concerns at the time he made his reports, nor did he testify that such concerns motivated his complaints.11
However, it is likewise clear from the record that a reasonable jury could conclude that Ziparo believed that Lacy‘s and Van Blarcom‘s demands were creating an unsafe environment by causing Ziparo (and at least one other employee, Pigula) to be stressed and distracted and therefore unable to focus properly on their work. Ziparo testified that his superiors’ constant demands left him unable to focus on his work and that communication between him and Pigula deteriorated significantly as a result, a characterization with which Pigula agreed. Ziparo and Pigula both testified that they repeatedly told Lacy and Van Blarcom that their demands were creating an unsafe environment and that, as Ziparo put it, “[s]omething [was] going to happen.” J. App‘x at 567. Moreover, Ziparo repeated that precise concern to CSX‘s ethics hotline when he lodged a formal complaint against Lacy and Van Blarcom, explaining that their demands created “a safety issue because employees are not focused on their work.” J. App‘x at 898.
Contrary to the district court, we hold that complaints of stressful and distracting work conditions like Ziparo‘s may well fall within the scope of “hazardous safety or security condition[s]” under
Finally, we decline CSX‘s invitation to affirm the district court‘s judgment on the alternate basis that no reasonable jury could find that Ziparo was fired in part for his reports about Lacy and Van Blarcom rather than solely because of his negligence in failing to properly reset a switch. See Tompkins, 983 F.3d at 82-83 (discussing factors relevant to assessing whether a plaintiff has sufficiently established a causal relationship between the protected activity and a disciplinary action). Although CSX advanced that argument below, the district court did not reach it, and we decline to do so for the first time on appeal. The district court, of course, remains free to consider that issue on remand.
CONCLUSION
For the reasons stated above, the judgment of the district court is VACATED and the case is REMANDED for further proceedings.
Notes
J. App‘x at 226; see also id. at 893-94 (testimony of Ziparo‘s expert Patrick Reilly to the same effect). There is no evidence, however, that the OBWO itself generates information that first responders need, or that CSX uses the OBWO actively to monitor train locations in real time in order to prevent collisions or derailments.[W]hen you depart on the [OBWO], it gives you a printed hard copy of your work order. And that printed hard copy you can use in the case of any derailments or anything like that. It has your hazmat information and things like that on it so you can present that to an emergency responder if there was an accident.
(b) Hazardous safety or security conditions.--
(1) A railroad carrier engaged in interstate or foreign commerce, or an officer or employee of such a railroad carrier, shаll not discharge, demote, suspend, reprimand, or in any other way discriminate against an employee for--
(A) reporting, in good faith, a hazardous safety or security condition;
(B) refusing to work when confronted by a hazardous safety or security condition related to the performance of the employee‘s duties, if the conditions described in paragraph (2) exist; or
(C) refusing to authorize the use of any safety-related equipment, track, or structures, if the employee is responsible for the inspection or repair of the equipment, track, or structures, when the employee believes that the equipment, track, or structures are in a hazardous safety or security condition, if the conditions described in paragraph (2) exist.
(2) A refusal is protected under paragraph (1)(B) and (C) if--
(A) the refusal is made in good faith and no reasonable alternative to the refusal is available to the employee;
(B) a reasonable individual in the circumstances then confronting the
