Opinion

Craig Hecht v. National Heritage Academies Inc

Court
Michigan Court of Appeals
Filed
Oct 28, 2014
Status
Unpublished
Cited by
0 cases
Authority
More cited than 33.4%

The opinion

STATE OF MICHIGAN

COURT OF APPEALS

CRAIG HECHT, UNPUBLISHED

October 28, 2014

Plaintiff-Appellee,

v No. 306870

Genesee Circuit Court

NATIONAL HERITAGE ACADEMIES, INC., LC No. 10-093161-CL

Defendant-Appellant.

Before: SERVITTO, P.J., and CAVANAGH and WILDER, JJ.

PER CURIAM.

Defendant appeals as of right a judgment entered following a jury verdict in favor of

plaintiff in this employment discrimination action. We affirm.

Defendant is a for-profit company that runs charter schools throughout the country.

Plaintiff, a 35-year-old white male at the time of his firing, had been employed at a teacher in an

at-will capacity with defendant since 2001. At the time of the incident giving rise to this

litigation, plaintiff taught third grade at Linden Charter Academy (“LCA”), whose student body

was approximately 93% African American.

On November 3, 2009, plaintiff was in his classroom with his students along with Floyd

Bell, an African American special education paraprofessional assigned to plaintiff’s classroom.

At some point, Lisa Code, a white woman, who worked in the school library, entered the

classroom to return a table she had borrowed. Realizing she had borrowed a brown table and

was bringing a white table into the classroom, Code asked plaintiff if he cared whether he was

getting a white table rather than the brown one she had actually borrowed. According to Code,

plaintiff said he definitely liked the white table better than the brown and that all of the brown

needed to go. Code thought that plaintiff was trying to be funny but was shocked because she

knew how it sounded and thus asked plaintiff, “What?” Plaintiff indicated that he was joking

with Bell at which point Code called “a big foul” on plaintiff.1 Bell then called a foul “to the

1

LCA employees created a “social contract” with each other, such that if an individual stated

something that someone else found offensive or inappropriate, the person offended was to “call a

foul” on the speaker. In response, the speaker was to give two “ups” to the person who called

-1-

highest power.” Code immediately reported to Corinne Weaver, the dean of LCA,2 a white

woman, that plaintiff had said “[W]hite is better than brown anyway. Brown should burn.”

Code also reported to Weaver that plaintiff looked over his shoulder at a group of students and

asked them, “White is better than brown, right?”

Bell also reported the incident to Weaver. As a result, Weaver asked plaintiff to come to

her office to discuss the incident. Plaintiff explained that he had not meant any racist intent but

merely meant his comments as a joke, like he had heard many times before at the school.

Plaintiff asked to speak to Bell, who arrived at the office and the two shook hands.

Following her meeting with plaintiff, Weaver contacted the principal of LCA, Linda

Caine-Smith, to advise her about the incident. As principal, Caine-Smith, a white woman, was

the highest ranking position at LCA. The next morning, Caine-Smith spoke with plaintiff, Bell

and Code and asked them all to prepare written statements about the incident. Caine-Smith also

reported the incident to Courtney Unwin, the employee relation manager at defendant’s office in

Grand Rapids. Unwin reviewed the written statements and spoke to plaintiff by telephone.

Noting that plaintiff’s statement to her contradicted his written statement in some respects,

Unwin informed plaintiff that an investigation of the incident would proceed and that his

dismissal was an option. Plaintiff was thereafter placed on administrative leave. According to

Bell, plaintiff approached him and pleaded with him to change his statement indicating that he

had a wife and child. Bell advised plaintiff that he would not lie. Plaintiff also left two phone

messages for Code, but she did not return his calls.

Bell reported his encounter with plaintiff to Caine-Smith and prepared a written statement

concerning the same. Caine-Smith also learned that plaintiff had attempted to contact Code and

believed he was attempting to interfere with their investigation. She thus called Unwin to

discuss this concern. Following their discussion, Caine-Smith and Unwin decided to terminate

plaintiff’s employment for the stated reasons that: (1) plaintiff made an inappropriate racial

statement in front of students; and, (2) plaintiff interfered with their investigation of the incident.

Plaintiff filed a complaint against defendant, alleging racial discrimination in violation of

the Elliott-Larsen Civil Rights Act, MCL 37.2201 et seq. Plaintiff alleged that race was a

substantial factor in defendant’s decision to terminate plaintiff’s employment and that he was

treated less favorably than similarly situated African-American employees. The jury agreed,

rendering a verdict in his favor in the amount of $535,120.00.

On appeal, defendant first contends that there was insufficient evidence to support the

jury’s verdict that racial discrimination was a factor in plaintiff’s termination such that the trial

court erred in denying its motion for JNOV. We disagree.

This Court reviews a trial court’s decision on a motion for JNOV de novo. Sniecinski v

Blue Cross and Blue Shield of Michigan, 469 Mich 124, 131; 666 NW2d 186 (2003). We review

the foul, which are positive statements about the person. In this instance, Plaintiff testified that

he did not give any “ups” to either Bell or Code because he did not hear any foul called.

2

The dean is the second highest position at LCA.

-2-

the evidence and all legitimate inferences in the light most favorable to the nonmoving party,

recognizing that a motion for JNOV should be granted only if the evidence viewed in this light

fails to establish a claim as a matter of law. Id.

MCL 37.2202 provides, in pertinent part, as follows:

(1) An employer shall not do any of the following:

(a) Fail or refuse to hire or recruit, discharge, or otherwise discriminate against an

individual with respect to employment, compensation, or a term, condition, or

privilege of employment, because of religion, race, color, national origin, age,

sex, height, weight, or marital status.

“The ultimate question in every employment discrimination case involving a claim of

disparate treatment is whether the plaintiff was the victim of intentional discrimination.” Reeves

v Sanderson Plumbing Products, Inc, 530 US 133, 153; 120 S Ct 2097; 147 L Ed 2d 105 (2000).

Proof of discriminatory treatment may be established by direct evidence or by indirect or

circumstantial evidence. Sniecinski, 469 Mich at 132. In Hazle v Ford Motor Co, 464 Mich 456,

462; 628 NW2d 515 (2001), our Supreme Court cited with approval the United States Court of

Appeals for the Sixth Circuit's definition of “direct evidence” as “evidence which, if believed,

requires the conclusion that unlawful discrimination was at least a motivating factor in the

employer's actions.” Id., quoting Jacklyn v Schering Plough Healthcare Products Sales Corp,

176 F3d 921, 926 (CA 6, 1999).

In this matter, the crux of plaintiff’s assertion that he was subject to disparate treatment

was that “racial bantering” occurred in the school on many occasions but that the others who

engaged in racial bantering were not punished because they were African-American. Plaintiff

asserted that the incident that he was involved in also constituted racial bantering, but that he was

discharged because he was white.

The only direct evidence of discrimination was a statement attributed to Caine-Smith, one

of the decision-makers who ultimately decided to discharge plaintiff. When relating the incident

in plaintiff’s classroom to Caine-Smith, Weaver testified that Caine-Smith also indicated to her

that she had heard racial bantering at the school before:

[Plaintiff’s Counsel]: Did you bring that information to her attention?

Weaver: I think I told her that, you know, those things do happen around

here, but they were under different circumstances.

[Plaintiff’s Counsel]: How did she respond when you said, “those things

do happen around here?”?

Weaver: I—I think her point was that it happens amongst African

Americans. And it’s not the other way around. And this wh—and that this one

was reported, someone was offended, and we had an obligation to follow up on it.

-3-

There need be no inference drawn to understand that Caine-Smith’s response was an

acknowledgement that while racial bantering among African Americans occurred, it did not

occur between a white person such as plaintiff and an African American, and in firing plaintiff

for such bantering one could conclude that Caine-Smith was motivated at least in part by

plaintiff’s race. In other words, if Weaver’s interpretation is believed by the trier of fact, it

would demonstrate that plaintiff’s race was at least a motivating factor in the employer’s actions

because if he were a black person saying that same comment to another black person, then he

would not have been punished. Caine-Smith stating to Weaver that the situation was

distinguishable because the incident was reported and someone was offended certainly is

important, but it does not negate her previous statement.

It is true that Weaver’s testimony constitutes a summation of what Caine-Smith may have

meant rather than a statement of what Caine-Smith actually said. As such, it could reasonably be

subject to differing interpretations. For example, the statement or point attributed to Caine-

Smith could be interpreted to mean that because plaintiff was white, his racially based comments

could not be tolerated in the same way that comments made by African Americans could be, or

that she felt pressure to impose a stricter punishment on plaintiff for his comments because he

was white. An equally plausible interpretation could be that Caine-Smith was searching for an

explanation or rationalization as to why no one had previously complained to the administration

about racial bantering at the school and found one in the fact that prior bantering had occurred

only between African Americans and not between a white person such as plaintiff and an African

American such as Bell or between only white persons such as plaintiff and Code. In either event,

however, plaintiff’s race was clearly part of the equation. And, that the statements could be

subject to differing interpretations supports upholding the jury’s verdict.

In DeBrow v Century 21 Great Lakes, Inc (After Remand), 463 Mich 534, 540; 620

NW2d 836 (2001), our Supreme Court held that a single remark in the context of a discussion

regarding an employee’s termination, and the remark’s weight and believability are matters for

the fact-finder to determine. In that case, after the plaintiff was fired from his job, he sued his

former employer, alleging age discrimination. The trial court granted summary disposition in

favor of the employer and a panel of this Court twice affirmed. Our Supreme Court reversed,

holding that the singular statement to the plaintiff by his supervisor that he was “getting too old

for this shit” constituted direct evidence of age discrimination. Id. at 538. Relevant to the instant

matter, the DeBrow Court stated:

We recognize that this remark may be subject to varying interpretations. It might

reasonably be taken as merely an expression of sympathy that does not encompass

a statement that the plaintiff's age was a motivating factor in removing him from

his position as an executive. However, it is well established that, in reviewing a

decision on a motion for summary disposition under MCR 2.116(C)(10), we must

consider the documentary evidence presented to the trial court in the light most

favorable to the nonmoving party. Id. at 538-539.

The Supreme Court concluded, “While a factfinder might be convinced by other evidence

regarding the circumstances of the plaintiff's removal that it was not motivated in any part by the

plaintiff's age and that the facially incriminating remark was no more than an expression of

sympathy, such weighing of evidence is for the factfinder . . . .” Id. at 539.

-4-

While this matter involves a motion for JNOV rather than a motion for summary

disposition, the standard of review for both motions is the same and it is the standard of review

that we must apply that is the crucial factor in resolving this matter. Again, reversal is permitted

when reviewing the denial of a motion for JNOV only if the evidence, while viewed in a light

most favorable to the plaintiff, fails to establish a claim as a matter of law. Sniecinski, 469 Mich

at 131. When reasonable jurors could honestly reach different conclusions regarding the

evidence, the jury verdict must stand. Zantel Marketing Agency v Whitesell Corp, 265 Mich App

559, 568; 696 NW2d 735 (2005).

Consistent with DeBrow, even if Weaver’s recollection of Caine-Smith’s alleged

statement was subject to differing interpretations, it was properly up to the jury to determine

which interpretation fit Caine-Smith’s intention. We must view the evidence in the light most

favorable to the non-moving party upon review and it is not irrational to conclude that the jury

made a determination of Caine-Smith’s statement that was unfavorable to defendant’s position.

Such a determination was within the jury’s realm just as it was within the jury’s realm to weigh

and consider all of Caine-Smith’s remarks and ultimately decide if plaintiff’s race was a factor in

defendant’s decision to terminate plaintiff’s employment.

While defendant additionally argues that plaintiff presented insufficient circumstantial

evidence to survive the burden-shifting approach set forth in McDonnell Douglas v Green, 411

US 792; 93 S Ct 1817; 36 L Ed 2d 888 (1973), the burden-shifting approach is inapplicable not

only where direct evidence is offered, as it was here, but simply in general once the matter has

proceeded to trial and is passed to the jury. “Where direct evidence is offered to prove

discrimination, a plaintiff is not required to establish a prima facie case within the McDonnell

Douglas framework, and the case should proceed as an ordinary civil matter.” DeBrow, 463

Mich at 539-540 (quotations omitted). More importantly, as our Supreme Court explained in

Hazle, 464 Mich at 466-467, quoting Texas Dep’t of Community Affairs v Burdine, 450 US 248,

256 n 8; 101 S Ct 1089; 67 L Ed 2d 207 (1981):

[t]he McDonnell Douglas burden-shifting framework is merely intended ‘to

progressively sharpen the inquiry into the elusive factual question of intentional

discrimination.’ It is important to keep in mind, therefore, that for purposes of

claims brought under the Michigan Civil Rights Act, the McDonnell Douglas

approach merely provides a mechanism for assessing motions for summary

disposition and directed verdict in cases involving circumstantial evidence of

discrimination. It is useful only for purposes of assisting trial courts in

determining whether there is a jury-submissible issue on the ultimate fact question

of unlawful discrimination. The McDonnell Douglas model is not relevant to a

jury's evaluation of evidence at trial . . . . See Gehring v Case Corp, 43 F 3d 340,

343 (CA 7, 1995) (explaining that, in federal discrimination cases, “[o]nce the

judge finds that the plaintiff has made the minimum necessary demonstration [the

‘prima facie case’] and that the defendant has produced an age-neutral

explanation, the burden-shifting apparatus has served its purpose, and the only

remaining question-the only question the jury need answer-is whether the plaintiff

is a victim of intentional discrimination”).

-5-

The McDonnell Douglas framework approach “was adopted because many plaintiffs in

employment-discrimination cases can cite no direct evidence of unlawful discrimination. The

courts therefore allow a plaintiff to present a rebuttable prima facie case on the basis of proofs

from which a factfinder could infer that the plaintiff was the victim of unlawful discrimination.”

DeBrow, 463 Mich at 537-538 (emphasis in original).

As the Sixth Circuit Court of Appeals explained, there was no jury in McDonnell

Douglas and “ ‘The critical issue,’ as the Supreme Court explained, ‘concerns the order and

allocation of proof in a private, non-class-action challenging employment discrimination.’

[McDonnell Douglas, 411 US at 800]. The ‘order and allocation of proof’ are not matters for

which juries are responsible.” Brown v Packaging Corp of America, 338 F3d 586, 591 (CA 6

(2003) (emphasis in original). Thus, the McDonnell Douglas analysis is used only when

plaintiff’s establishment of a prima facie case is at issue. Once a jury submissible issue on the

ultimate fact of whether there has been unlawful discrimination has been found-i.e., once

summary disposition and directed verdict motions have been resolved, the need for the analysis

has passed. In the instant matter, no summary disposition decision is at issue, nor is the

defendant’s directed verdict motion being appealed.

Plaintiff’s claim was for disparate treatment. Thus, had he not provided direct evidence

of discrimination, in order to defeat defendant’s motion for JNOV, he must have provided

sufficient circumstantial evidence that: (1) he was a member of a protected class; (2) that an

adverse employment action was taken against him; (3) that he was qualified for the position; and,

(4) that others, similarly situated and outside the protected class were unaffected by the

employer's adverse conduct. See, e.g., Town v Michigan Bell Telephone Co, 455 Mich 688, 695;

568 NW2d 64 (1997). So long as the jury found some type of evidence of intentional

discrimination-direct or circumstantial-its verdict must be upheld.

There is no dispute that plaintiff, a white male, was a qualified teacher who suffered an

adverse employment action. At trial, evidence was provided concerning several instances of

racial “banter” (which plaintiff claims his comments constituted) wherein those engaging in the

same were not punished. On a professional development day, plaintiff was with several other

people, when one of them, an African American man, made a statement about a Dora the

Explorer mural on the wall. The employee stated that because the paint on Dora’s skin was so

dark, she should be called “Laquisha” instead. Bell was present during this incident. On another

professional development day, some staff members were on a bus when Weaver was asked in

casual conversation what she was doing for dinner that night. When she responded that she was

making pork chops, an African American staff member replied, “Why would you be making

pork chops; you’re white?” Plaintiff was one of approximately 25 staff members on the bus

when this incident occurred. According to Weaver, on another occasion, an African American

staff member told her she should not eat soul food because she was white. Plaintiff testified to

an incident where he saw the school secretary, who is African American, call to one of the

students, saying “[H]ey, come here light skinned.” When Code was working as a secretary at the

school, an African American staff member had told her she could not do something because she

was white. Though she felt the comment was inappropriate, Code testified that she did not report

the incident. Weaver also testified to hearing the “n” word used several times at LCA by African

American staff members and that she had heard African American staff members engage in

racial bantering up to 20 times.

-6-

It is undisputed that no African American staff member was ever disciplined in any

manner for racial bantering, even though the dean was the target of such bantering on several

occasions. It is true that plaintiff’s remarks appear to be the only ones that generated a complaint

that was forwarded to the principal. However, Unwin, defendant’s employee relations manager

(and the second party involved in the decision to terminate plaintiff) testified that Weaver had an

obligation to report all serious racial remarks, including the use of the “n” word, even if it was

spoken by an African American individual and it was incorrect for her to have failed to do so.

Plaintiff was the only person at LCA to ever be disciplined for making a racial remark.

The above constitutes sufficient circumstantial evidence that plaintiff was similarly

situated to African American employees who had made racial remarks at school and to other

employees who were not punished. The trial court thus properly denied defendant’s motion for

JNOV.

Defendant next contends that disclosures concerning plaintiff’s unprofessional conduct

that it made in response to requests by prospective employers of plaintiff should not have been

admitted into evidence. According to defendant, the disclosures were mandatory pursuant to

MCL 380.1230b and the trial court erred in admitting them into evidence because the evidence

was irrelevant. We disagree.

We review preserved evidentiary issues for an abuse of discretion. In re Utrera, 281

Mich App 1, 15; 761 NW2d 253 (2008). An abuse of discretion occurs when the trial court

chooses an outcome that falls “outside the range of principled outcomes.” Id.

In general, relevant evidence is admissible and irrelevant evidence is not admissible.

MRE 402. Relevant evidence “means evidence having any tendency to make the existence of

any fact that is of consequence to the determination of the action more probable or less probable

than it would be without the evidence.” MRE 401. County of Wayne v Michigan State Tax

Com'n, 261 Mich App 174, 196; 682 NW2d 100 (2004).

The disclosures at issue were required under MCL 380.1230b, which provides in relevant

part:

(1) Before hiring an applicant for employment, a school district, local act school

district, public school academy, intermediate school district, or nonpublic school

shall request the applicant for employment to sign a statement that does both of

the following:

(a) Authorizes the applicant's current or former employer or employers to disclose

to the school district, local act school district, public school academy,

intermediate school district, or nonpublic school any unprofessional conduct by

the applicant and to make available to the school district, local act school district,

public school academy, intermediate school district, or nonpublic school copies of

all documents in the employee's personnel record maintained by the current or

former employer relating to that unprofessional conduct.

(b) Releases the current or former employer, and employees acting on behalf of

the current or former employer, from any liability for providing information

-7-

described in subdivision (a), as provided in subsection (3), and waives any written

notice required under section 6 of the Bullard-Plawecki employee right to know

act, Act No. 397 of the Public Acts of 1978, being section 423.506 of the

Michigan Compiled Laws.

(2) Before hiring an applicant for employment, a school district, local act school

district, public school academy, intermediate school district, or nonpublic school

shall request at least the applicant's current employer or, if the applicant is not

currently employed, the applicant's immediately previous employer to provide the

information described in subsection (1)(a), if any. The request shall include a

copy of the statement signed by the applicant under subsection (1).

(3) Not later than 20 business days after receiving a request under subsection (2),

an employer shall provide the information requested and make available to the

requesting school district, local act school district, public school academy,

intermediate school district, or nonpublic school copies of all documents in the

employee's personnel record relating to the unprofessional conduct. An

employer, or an employee acting on behalf of the employer, that discloses

information under this section in good faith is immune from civil liability for the

disclosure . . . .

Though defendant maintains that the disclosures should not have been admitted into evidence

because subsection (3) provides for immunity from civil liability, such immunity applies only

“for the disclosure” itself. In other words, a defendant cannot be sued for making a good-faith

disclosure under the statute. The statute does not, however, create a privilege whereby evidence

of the disclosure is inadmissible under all circumstances. Plaintiff in this case did not sue

defendant for the disclosure but instead sued defendant for racial discrimination on the basis of

his termination. The fact that the disclosures may be relevant in the discrimination lawsuit does

not implicate the immunity granted by statute.

A plaintiff bringing a civil rights action may bring such an action for “damages,” which is

defined as “damages for injury or loss caused by each violation” of the Elliott-Larsen Civil

Rights Act, MCL 37.2810 et seq. MCL 37.2801(3). A plaintiff bears the initial burden of

proving his or her damages, but once that burden has been met, the respondent bears the burden

of demonstrating that the claimant failed to mitigate his or her damages. Department of Civil

Rights v Horizon Tube Fabricating, Inc, 148 Mich App 633, 638; 385 NW2d 685 (1986). The

respondent must do so by establishing “(1) that the damage suffered by plaintiff could have been

avoided, i.e., that there were suitable positions available which plaintiff could have discovered

and for which he was qualified; and (2) that plaintiff failed to use reasonable care and diligence

in seeking such a position.” Id., quoting Sias v City Demonstration Agency, 588 F2d 692, 696

(CA 9, 1978). In this matter, plaintiff had the burden of proving his damages and, anticipating

that defendant would claim that he failed to mitigate his damages, could reasonably address any

such argument by showing that he attempted to obtain other teaching jobs but was unable to do

so due to the disclosures and instead took a job outside of the area of teaching that paid

considerably less than his teaching position with defendant. The evidence was thus relevant and

the trial court did not abuse its discretion in admitting the evidence.

-8-

Defendant also argues that even if relevant, the evidence should have been excluded

under MRE 403 because the probative value of the evidence was substantially outweighed by the

danger of unfair prejudice. Defendant did not raise this argument before the trial court. We thus

review this unpreserved evidentiary issue to determine whether there was plain error affecting

defendant’s substantial rights. See, e.g., Hilgendorf v St. John Hosp and Medical Center Corp,

245 Mich App 670, 700; 630 NW2d 356 (2001).

“Evidence is unfairly prejudicial when there exists a danger that marginally probative

evidence will be given undue or preemptive weight by the jury.” People v Crawford, 458 Mich

376, 398; 582 NW2d 785, 796 (1998). The probative value of the disclosures was not merely

marginally probative, given that it helped explain why plaintiff failed to obtain another teaching

job after he was fired. Additionally, it was not clear that the jury would have given this evidence

undue weight because the jury was instructed that defendant was required by law to provide the

disclosures. Defendant has thus failed to establish any plain error affecting its substantial rights

in the admission of the challenged evidence.

Defendant’s final argument on appeal is that the jury’s award of future economic

damages or “front pay” was excessive and unsupported by the evidence such that it was entitled

to a new trial or remittitur premised upon this award. We disagree.

We review a trial court’s decision on a motion for new trial or remittitur for an abuse of

discretion. Shaw v Ecorse, 283 Mich App 1, 17-18; 770 NW2d 31(2009). In conducting our

review, we view all of the evidence in the light most favorable to the nonmoving party. Id. at 18.

“In determining whether remittitur is appropriate, a trial court must decide whether the

jury award was supported by the evidence. This determination must be based on objective

criteria relating to the actual conduct of the trial or the evidence presented.” Silberstein v Pro–

Golf of America, Inc, 278 Mich App 446, 462; 750 NW2d 615 (2008) (citation omitted). Our

Supreme Court has indicated that the objective factors that should be considered by this Court

are:

(1) whether the verdict was the result of improper methods, prejudice,

passion, partiality, sympathy, corruption, or mistake of law or fact; (2) whether

the verdict was within the limits of what reasonable minds would deem just

compensation for the injury sustained; and (3) whether the amount actually

awarded is comparable with awards in similar cases both within the state and in

other jurisdictions. [Freed v Salas, 286 Mich App 300, 334; 780 NW2d 844

(2009) (citation omitted).]

If the award falls reasonably within the range of the evidence and within the limits of what

reasonable minds would deem just compensation, the jury award should not be disturbed.

Frohman v Detroit, 181 Mich App 400, 415; 450 NW2d 59 (1989).

While defendant first contends that the existence of any front pay is too speculative, that

does not preclude an award of damages. Rather, “[i]n deciding whether to award such damages

the courts should look to (1) whether reinstatement would be a feasible remedy, (2) the

employee's prospects for other employment, and (3) the number of years remaining before the

-9-

employee would be faced with mandatory retirement.” Riethmiller v Blue Cross and Blue Shield

of Michigan, 151 Mich App 188, 200-201; 390 NW2d 227 (1986). Moreover, “[t]he fact that

such damages may be speculative should not exonerate a wrongdoer from liability. Id. at 201-

202.

In this matter, it was clear that reinstatement was not a feasible remedy. The evidence

also made clear that it was highly unlikely that plaintiff would ever be able to obtain another

teaching position. As previously indicated, for every such potential employment opportunity,

defendant was obligated to provide the disclosures to plaintiff’s potential employers. MCL

380.1230b. Considering that plaintiff had been consistently told that his services were no longer

needed once his employer had received the disclosures, the jury could reasonably infer that the

pattern would continue. And, the evidence indicated that plaintiff, a relatively young man, had a

bachelor’s degree in elementary education and a master’s degree in educational leadership,

indicating that his education and qualifications appear to be primarily (if not solely) in the field

of education.

Defendant maintains that the fact that plaintiff cannot obtain employment as a teacher

due to the statutorily required disclosures means that his “injury” is not compensable. However,

the salient point is that the jury found that defendant had wrongfully discriminated against

plaintiff when it fired him. Thus, plaintiff was entitled to recover for any loss caused by the

violation in order to make him “whole.” See MCL 37.2801(3). Plaintiff was making $51,000

per year in defendant’s employ and, as a result of defendant’s wrongful conduct, was unable to

continue making this income. As a result of the disclosures, brought about by defendant’s

discriminatory conduct, he was unable to obtain another teaching position that may have paid a

similar amount. Instead, he was only able to secure employment outside of his field making

approximately $29,000 per year. The jury could reasonably award plaintiff the shortfall he was

expected to encounter going forward.

Further, it was not too speculative to presume that plaintiff would have continued to teach

as an employee of defendant for many years. The record reveals that plaintiff was passionate

about teaching and had favorable reviews as a teacher with defendant. Plaintiff was 35 years old

and had worked for defendant for eight years when he was fired. Consequently, the verdict

awarding plaintiff future damages in the amount of $485,000 ($22,000 shortfall multiplied by 22

years) was supported by the evidence. Viewing the evidence in a light most favorable to

plaintiff, the award fell within the range of the evidence and within the limits of what reasonable

minds would deem just compensation. Frohman, 181 Mich App at 415. The particular

circumstances in this case show that the trial court did not abuse its discretion in denying

defendant’s motion for a new trial or remittitur.

Affirmed.

/s/ Deborah A. Servitto

/s/ Mark J. Cavanagh

-10-

This is a copy of a public record, reproduced as it was published. It is not legal advice, and it may not be the version a court would rely on. Check the official source before you cite it.

A word about cookies

We need a few to keep you signed in and the library working. The rest help us see which pages people use and where they get stuck. They stay off unless you say yes.