Effective September 14, 1994, 29 C.F.R. Part 18 was amended to
eliminate the routine filing with the presiding ALJ of most
discovery documents, and to provide rules governing the filing
and service of documents by facsimile.
In regard to section 18.3(f), faxes will be permitted for
filing only when directed or permitted by statute, regulation or
order or consent of the presiding judge. Such filings must have
a service sheet and a cover sheet. Originals do not have to be
sent unless required by the presiding judge or if an original
signature is required (e.g., on a complaint). Under section
18.4(d), the time printed on the transmission by the receiving
fax machine is deemed the Chief Docket Clerk's date stamp.
See 59 Fed. Reg. 41874 (Aug. 15, 1994).
[Nuclear & Environmental Whistleblower Digest VII A 1]
HIPAA Regulations Governing the Privacy of Health Records
On April 14, 2003, Department of Health and Human Services' "Privacy Rules" governing the release of medical records went into effect for many of entities covered by the regulations. Standards for Privacy of Individually Identifiable Health Information, 45 CFR Parts 160 and 164. The primary purpose of the Privacy Rules is to require health plans and providers to maintain administrative and physical safeguards to protect the confidentiality of health information and protect against unauthorized access. HHS issued the rules in compliance with the Health Insurance Portability and Accountability Act of 1996 (HIPAA).
HHS' Office for Civil Rights has established a web page www.hhs.gov/ocr/hipaa/bkgrnd.html with links to information about the new rules. In addition, a page has been added to OALJ's web site with links to resources specific to the relationship between the Privacy Rules and judicial and administrative proceedings.
The regulations begin with the premise that "[a] covered entity may not use or disclose protected health information, except as permitted or required by [the regulations]." 45 C.F.R. § 164.502(a). Disclosures, however, are permitted in response to an order of a court or administrative tribunal and in response to a subpoena, discovery request, or other lawful process. 45 CFR § 164.512(e). The rule on disclosures in judicial and administrative proceedings contains some important details. For example:
When disclosing information in response to an order issued by a court or administrative tribunal, a covered entity may only disclose the protected health information expressly authorized by such order. 45 CFR § 164.512(e)(1)(i).
In responding to a subpoena or discovery request, a covered entity must "receive[]satisfactory assurance . . . from the party seeking the information that reasonable efforts have been made by such party to ensure that the individual who is the subject of the protected health information that has been requested has been given notice of the request." 45 CFR § 164.512(e)(1)(ii)(A).
[Nuclear and Environmental Digest VII.A.1.] DISCOVERY; GENERAL PRINCIPLES
In Khandelwal v. Southern California
Edison, ARB No. 98-159, ALJ Nos. 1997-ERA-6 (ARB Nov. 30, 2000), the ARB
remanded the case for further proceedings before the ALJ. On review, the parties had urged a
number of issues relating to discovery; two Board members declined to rule on these issues in
light of the disposition of the case. One member, however, issued a concurring opinion
providing direction for the ALJ should it be necessary to rule on the discovery issues on remand.
The following is an excerpt from that discussion:
Initially it is noted that the provisions regarding the scope of discovery and
the definition of relevant evidence contained in the rules of procedure applicable
to ALJ proceedings at Part 18 of Title 29 are generally applicable to this case. ...
As discussed by the Board in Seater [ v. Southern California Edison,
ARB No. 96-013, ALJ No. 1995-ERA-13 (ARB Sept. 27, 1996), slip op. at 4-
8], the Section 24.6(e)(1) prohibition against the application of formal rules of
evidence is consistent with the broad range of circumstantial evidence that may be
probative of retaliatory intent. ...
In employment discrimination cases, the courts have held that discovery
should be permitted "unless it is clear that the information sought can have
no possible bearing upon the subject matter of the action." ...
"In such cases, the plaintiff must be given access to information that
will assist the plaintiff in establishing the existence of the alleged
discrimination." ... Consistent with this body of case law, the
Secretary of Labor and the ALJs have recognized the broad scope of discovery to
be afforded parties in whistleblower cases....
Accordingly, ... a broad view of the extent to which employers' records are
properly subject to discovery under the FRCP in employment discrimination cases
is required. ... In defining the parameters for discoverable materials, Section
18.14 provides for the discovery of unprivileged, relevant information but does
not require that the information, or documents, qualify as admissible evidence. 29
C.F.R. §18.14(a),(b). Specifically, Section 18.14 provides that unprivileged
information may properly be sought through discovery if the information is
"reasonably calculated to lead to the discovery of admissible
evidence." This standard, which is adopted from FRCP 26(b)(1), has
frequently been addressed by the courts within the context of employment
discrimination complaints. ... More to the point, a number of court
decisions explore the extent to which an employer's records may be relevant to a
complainant's discrimination theory in a case involving a reduction in force
termination. ...
Before both the ALJ and this Board, Respondent SCE raised the privacy
interests of its employees as a bar to the disclosure of certain personnel
information that Khandelwal requested. ... Once the party seeking discovery has
demonstrated the relevancy of the information or documents sought, the party
seeking to avoid disclosure of information or documents that otherwise qualify for
discovery bears the burden of establishing a basis for the denial or limiting of
discovery. ... Assuming the party seeking to avoid disclosure meets his
burden, as noted in the majority opinion ..., the confidential nature of the
information sought may nevertheless be ensured without a denial of discovery.
For example, the parties may agree to an order ensuring the confidential use of
such information.... If the parties cannot reach agreement on the confidentiality
issue, the ALJ should evaluate the question of whether to afford protections under
29 C.F.R. §18.15, including the imposition of restrictions on the use of
information obtained in discovery, in accordance with these and other court
decisions concerning discovery in employment discrimination cases.
Slip op. at 7-9 (citations and footnote omitted).
[Nuclear and Environmental Digest VII.A.1.] RIGHT TO HEARING AND DISCOVERY
In Rockefeller v. Carlsbad Area Office, U.S.
Dept. of Energy, ARB Nos. 99-002, 99-063, 99-067, 99-068, ALJ Nos. 1998-
CAA-10 and 11, 1999-CAA-1, 4 and 6 (ARB Oct. 31, 2000), Complainant argued that DOL
regulations and case law provide a right to take discovery and to be given a fair hearing, and that
the ALJ erred in not permitting any discovery or a hearing on the merits. The ARB held that
under the circumstances of the cases, Complainant was not entitled to discovery or a trial-type
evidentiary hearing. The Board wrote:
The CAA whistleblower protection provision provides that "[a]n
order of the Secretary shall be made on the record after notice and opportunity for
public hearing." 42 U.S.C. §7622(b)(2)(A). This language does not
mean that a trial-type evidentiary hearing must be held in every case. For obvious
reasons, evidentiary hearings are required when there are factual issues which
must be resolved. Where, as in these cases, it is determined that there is no
subject matter jurisdiction over a claim, or that complainant has failed to state a
claim upon which relief can be granted, or where there are no material issues of
fact in dispute, a trial-type evidentiary hearing is not in order. See, e.g., U. S.
v. Consolidated Mines & Smelting Co., 455 F.2d 432, 453 (9th Cir. 1971)
("It is settled law that when no fact question is involved or the facts are
agreed, a plenary, adversary administrative proceeding involving evidence,
cross-examination of witnesses, etc., is not obligatory-even though a pertinent
statute prescribes a hearing. In such situations, the rationale is that Congress does
not intend administrative agencies to perform meaningless tasks.").
As to the right to take discovery, in appropriate circumstances, a trial
judge may suspend discovery pending a decision on a motion potentially
dispositive of the case. See Hahn v. Star Bank, 190 F.3d 708, 719 (6th
Cir. 1999) ("Trial courts have broad discretion and inherent power to stay
discovery until preliminary questions that may dispose of the case are
determined."); Petrus v. Bowen, 833 F.2d 581, 583 (5th Cir.1987)
(same); Wyatt v. Kaplan, 686 F.2d 276, 284 (5th Cir.1982) (district judge
properly granted defendants' protective order barring discovery prior to decision
on pending motion to dismiss for jurisdictional defects). Of course, under certain
circumstances it is necessary and proper to allow a party to engage in discovery of
facts related to jurisdictional issues prior to ruling on jurisdiction. Thus, for
example, the Fifth Circuit has stated:
It is true that the factual determinations decisive to a
motion to dismiss for lack of jurisdiction are within the
court's power, and that no right to a jury trial exists
with regard to such issues . . . . But still the district
court must give the plaintiff an opportunity for
discovery and for a hearing that is appropriate to the
nature of the motion to dismiss. Thus, some courts
have refused to grant such a motion before a plaintiff
has had a chance to discover the facts necessary to
establish jurisdiction . . . . Other courts have refused to
uphold such a motion where -- absent an incurable
defect in the complaint -- the plaintiff has had no
opportunity to be heard on the factual matters
underlying jurisdiction . . . .
Williamson v. Tucker, 645 F.2d 404, 414 (5th Cir. 1981). However, in
the circumstance of these cases, where the jurisdictional facts are not in dispute,
discovery was not warranted.
[Nuclear & Environmental Digest VII A 1]
DISCOVERY; BALANCE BETWEEN NEED FOR BROAD RANGE AND POINT
WHEN DISCOVERY IS BEING USED TO HARASS OPPOSING PARTY
In Migliore v. Rhode Island Dept. of Environmental Management,
1998-SWD-3 (ALJ Aug. 13, 1998), the ALJ declined to issue a protective order as requested by
Respondent, noting that if Respondent has specific objections, it can state its grounds for
objection in response to Complainant's discovery request, and Complainant can submit a motion
to compel. The ALJ, however, provided the following "guidance to the parties as they
embark upon discovery":
On the one hand, in retaliatory intent cases that are
based on circumstantial evidence, fair adjudication of the complaint "requires full
presentation of a broad range of evidence that may prove, or disprove, retaliatory animus
and its contribution to the adverse action taken." ... In cases filed pursuant to the
SWD, the Office of Administrative Law Judges' Rules of Practice provide that material
and relevant evidence shall not be excluded unless "unduly repetitious."
See 29 C.F.R. Part 24.5(e)(1). ... The question of relevancy is to be more
loosely construed at the discovery stage than at trial....
On the other hand, discovery requests should be tailored to
the specifics of each case and broad, generalized discovery requests, while well-
intentioned at the time of issuance, may lead the fact-finder to infer that the requests are
not made in good faith but are designed to harass the opposing party and to greatly
prolong/exacerbate the litigation process. There is some point at which past occurrences
become too remote to have any real bearing on the matters at issue.
Slip op. at 2 (citations omitted).
In an order several weeks later, the ALJ granted in part Respondent's for a protective order
limiting the scope of questioning of 12 deponents, based on the ALJ's conclusion, after reviewing
the allegations in the complaint and the parties' respective arguments, that discovery should be
limited to activity after August 1, 1995. Migliore v. Rhode Island Dept. of
Environmental Management, 1998-SWD-3 (ALJ Sept. 1, 1998). The ALJ found that
this limitation struck the appropriate balance between Complainant's right to discovery and
Respondent's right to have discovery curtailed to reasonable limits. In the same order, the ALJ
granted Respondent's motion to cancel the deposition of Respondent's Director on the ground
that the Director is a high government official who should not be subject to deposition without a
showing of cause and an inability to gather the information sought through other means. The
ALJ ruled, however, that if subsequent discovery disclosed that the Director was an active
participant in the allegedly discriminatory conduct, Complainant could seek permission to
depose the Director.
[N/E Digest VII A 1]
DISCOVERY; SCOPE; PROTECTIVE ORDER
In Paine v. Saybolt, Inc.,
97-CAA-4 (ALJ Mar. 21, 1997)(prehearing order), the ALJ concluded based on a review
various
legal authority, including the ARB decisions in Timmons v. Mattingly
Testing Services,
95-ERA-40 (ARB June 21, 1996) and Seater v. Southern California Edison
Co.,
95-ERA-13 (ARB Sept. 27, 1996), and the DOL regulations at 29 C.F.R. §
18.14(a) and
29
C.F.R. § 24.5(e)(1), that an ALJ should apply a broad scope of relevance,
and that
"[i]t logically follows that the scope of discovery is even
broader." Slip op. at 2
(citation omitted).
In Paine, the ALJ granted a protective order in regard to three
items that
the ALJ found to be irrelevant to the burdens and possible defenses in a Clean
Air Act
whistleblower case. The ALJ declined to issue a protective order for
documents Respondent
asserted were protected on the grounds of attorney-client privilege and/or the
work product
doctrine where Respondent failed to assert these privileges on a document
specific basis but only
asserted a blanket privilege.
The ALJ noted that Respondent was not relieved of discovery responsibilities
merely
because Complainant potentially could obtain the documents through FOIA,
citing Young v.
Philadelphia Elec. Co., 87-ERA-36 (ALJ Sept. 15, 1987)(citing Pleasant
Hill Bank v.
U.S., 58 F.R.D. 97 (1973) ("Material which is exempt under FOIA is
not necessarily
privileged for the purposes of discovery.")
VII A 1 Expansive nature of discovery
Generally, as to the expansive nature of discovery in employee
discrimination cases, see Holub v. H. Nash Babcock, Babcock
& King, Inc., 93-ERA-25 (ALJ June 24, 1993)
(prehearing order).
VII. A. 1. Scope of discovery; generally
Effective September 14, 1994, 29 C.F.R. Part 18 was amended to
eliminate the routine filing with the presiding ALJ of most
discovery documents, and to provide rules governing the filing
and service of documents by facsimile.
In regard to section 18.3(f), faxes will be permitted for
filing only when directed or permitted by statute, regulation or
order or consent of the presiding judge. Such filings must have
a service sheet and a cover sheet. Originals do not have to be
sent unless required by the presiding judge or if an original
signature is required (e.g., on a complaint). Under section
18.4(d), the time printed on the transmission by the receiving
fax machine is deemed the Chief Docket Clerk's date stamp.
In Hasan v. Enercon Services, Inc., ARB No. 05-037, ALJ Nos. 2004-ERA-22 and 27 (ARB July 31, 2007), the Complainant had applied for jobs advertised on the Respondent's web site, and filed several ERA whistleblower complaints when he was not hired. In discovery, the Complainant sought the "names, qualifications and experience, location, job requirement and clients of those civil/structural engineers [Enercon] hired nationwide" during the relevant time period. The ALJ granted this discovery request, and the Respondent provided that information as well as resumes for 16 engineers it hired during that period. The Respondent also provided the names of the individuals who made the hiring decisions, the reason and procedure behind each new hire, the name of each client the new hires were sent to serve, and an explanation of why the Complainant was not selected. The ALJ, however, did not order discovery of the entire personnel files of each new hire because to do so would constitute an "unwarranted fishing expedition." On appeal, the Complainant argued that the ALJ erred in not ordering the Respondent to provide all documents in its possession concerning the 16 engineers. The ARB agreed with the ALJ , however, that the Complainant had not made a convincing argument as to why he needed the entire personnel file of the newly hired engineers, and found that the ALJ had not abused his discretion in denying an overly broad and unduly burdensome request.
One member of the Board dissented, finding that the ALJ could have given the Complainant access to those items in the personnel files that pertained to the hiring process, without risking disclosure of personal, medical, financial, or similar data relating to the hirees.
VII A 2 Discovery of material
denied under FOIA
exemption
In Young v. Philadelphia Electric Co., 87-ERA-36
(ALJ Sept. 15, 1987) (memorandum and order ruling on Department
of Labor's motion to quash subpoenas), the ALJ ruled that
although the Department of Labor had provided certain documents
sought by the respondent under the Freedom of Information Act, it
was an incomplete remedy because certain of the information was
deleted under a FOIA exemption. The ALJ noted that material
which is exempt under FOIA is not necessarily privileged for the
purposes of discovery. Pleasant Hill Bank v. United
States, 58 FRD 97 (1973).
[Nuclear and Environmental Whistleblower Digest VII A 2]
DISCOVERY; ALJ'S DISCRETION TO SUSPEND DISCOVERY WHILE CONSIDERING POTENTIALLY DISPOSITIVE MOTION FOR SUMMARY DECISION
In Santamaria v. U.S. Environmental Protection Agency, ARB No. 04-063, ALJ No. 2004-ERA-6 (ARB May 31, 2006), the ALJ did not abuse his discretion in suspending further discovery after the Respondent filed a potentially dispositive motion for summary decision where the Complainant failed to show how further discovery would have permitted rebuttal of the Respondent's motion. The Respondent's motion had been based on the argument that the Complainant had not engaged in protected activity, and the ARB observed that the Complainant himself should have known whether he engaged in such activity.
[Nuclear and Environmental Whistleblower Digest VII A 2] DISCOVERY; WHERE COMPLAINANT FAILS TO ALLEGE THAT A NAMED RESPONDENT ENGAGED IN A COGNIZABLE ADVERSE ACTION, ALJ DOES NOT ABUSE DISCRETION IN DENYING A DISCOVERY REQUEST BASED ON A MERE HOPE THAT COMPLAINANT CAN DISCOVER EVIDENCE TO SUPPORT HER ALLEGATIONS
In Erickson v. U.S. Environmental Protection Agency, ARB Nos. 04-024, 04-025, ALJ Nos. 2003-CAA-11 and 19, 2004-CAA-1 (ARB Oct. 31, 2006),
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the Complainant sought discovery of documents held in EPA's Office of the Inspector General (IG) that contained her name on the ground that in an earlier case, the ALJ had found that the IG took retaliatory action against the Complainant when it filed a petition for review of the ALJ's recommended decision. The ARB held that the ALJ did not abuse his discretion in denying this discovery request, observing that "petitioning for review of an ALJ recommended decision and order is not an adverse action; it is a right afforded by law. 29 C.F.R. § 24.8(a)." USDOL/OALJ Reporter at n.5 (citation omitted). The Board cited as authority, "Cf. First Nat’l Bank of Az. v. Cities Serv. Co, 391 U.S. 253, 289-290 (1968) (rule disfavoring summary judgment without discovery does not 'permit plaintiffs to get to a jury on the basis of the allegations in their complaints, coupled with the hope that something can be developed at trial in the way of evidence to support those allegations.')."
Id.
[Nuclear & Environmental Whistleblower Digest VII A 2]
DISCOVERY; LIMITATIONS THAT DO NOT AFFECT ABILITY TO DISCOVER
FACTS RELEVANT TO ERA GATEKEEPING ELEMENTS
In Hasan v. USDOL, No. 01 9521 (10th Cir.
Apr. 26, 2002) (case below 2000 ERA 14), the Complainant presented a refusal to hire
complaint. The ALJ and ARB dismissed the complaint because Complainant failed to allege all
the elements of a refusal to hire case, as required by the ERA "gatekeeping"
provision at 42 U.S.C. § 5851(b)(3). On review before the Tenth Circuit, the
Complainant alleged, inter alia, that the DOL decision was in error because he had
been denied discovery. The court, however, found that none of Complainant's discovery
requests were relevant to the crucial element that he had failed to plead that Respondent
hired someone with Complainant's qualifications to fill an open position or that Respondent
continued to seek someone with Complainant's qualifications for an open position. Accordingly,
the ARB's decision to dismiss the action prior to discovery did not affect Complainant's ability
to state a viable claim.
Complainant's discovery had sought (1) any information maintained by Respondent which in
any way concerned or mentioned him as well as reports of all verbal contacts with anyone about
him; (2) the names, qualifications and experience of all civil/structural/pipe support engineers
working for Respondent as well as all contractors, subcontractors, and architectural and
engineering firms contracting with respondent in all locations; and (3) all information about any
of respondent's employees or other job applicants who had filed whistleblower complaints.
[Nuclear & Environmental Digest VII A 2] DISCOVERY; UNDULY BURDENSOME REQUEST FOR E-MAIL
In Williams v. Lockheed Martin Energy Systems, Inc., ARB No. 98-059, ALJ No. 1995-CAA-10 (ARB Jan. 31, 2001), it was not an abuse of discretion for the ALJ to limit discovery on e-mail systems to those which related to Complainant's complaint.
[Nuclear & Environmental Digest VII A 2] DISCOVERY; LIMITATIONS ON SCOPE
In Hasan v. Burns & Roe Enterprises, Inc., ARB No. 00-080, ALJ No. 2000-ERA-6 (ARB Jan. 30, 2001), a refusal to hire case, Complainant argued that the ALJ improperly limited discovery by not requiring Respondent to produce a list containing name, qualifications and experience of every civil/structural engineer it employs, regardless of location. The Board wrote:
Under the Secretary's Rules of Practice and Procedure, a party may obtain discovery only for "relevant" information and an ALJ may, upon motion of a party, "make any order which justice requires to protect a party or person from annoyance, embarrassment, oppression, or undue burden or expense, including [a ruling that] . . . . [c]ertain matters not relevant may not be inquired into or that the scope of discovery be limited to certain matters." 29 C.F.R. §§18.14(a) and 18.15(a) (2000). The Secretary's Rules also state "[t]he Rules of Civil Procedure for the District Courts of the United States shall be applied in any situation not provided for or controlled by these rules, or by any statute, executive order or regulation." 29 C.F.R. §18.1(a).
The Secretary's Rules governing the scope of discovery are substantially the same as those of Fed. R. Civ. P. 26. In Herbert v. Lando, 441 U.S. 153 (1979), the Supreme Court noted that Fed. R. Civ. P. 26 gives district judges ample authority to prevent abuse of the discovery process and encouraged judges to use that authority when necessary. Specifically, the Court stated:
The Court has more than once declared that the deposition-discovery rules are to be accorded a broad and liberal treatment to effect their purpose of adequately informing litigants in civil trials . . . . But the discovery provisions, like all of the Federal Rules of Civil Procedure, are subject to the injunction of Rule 1 that they "be construed to secure the just, speedy, and inexpensive determination of every action." (Emphasis added.) To this end, the requirement of Rule 26(b)(1) that the material sought in discovery be "relevant" should be firmly applied, and the district courts should not neglect their power to restrict discovery where "justice requires [protection for] a party or person from annoyance, embarrassment, oppression, or undue burden or expense . . . ." Rule 26(c). With this authority at hand, judges should not hesitate to exercise appropriate control over the discovery process.
The ARB held that under the circumstances - the hiring decision was made in corporate headquarters and Complainant had not shown that such decisions were being made elsewhere - the ALJ acted within the scope of his authority in limiting discovery.
[Nuclear & Environmental Digest VII A 2]
DEPOSITION OF COMPLAINANT; COMPLAINANT ALREADY DEPOSED ONCE
In Graf v. Wackenhut Services LLC, 1998-ERA-37 (ALJ Mar. 9,
1999), Complainant objected to a second notice of deposition on the ground, inter alia,
that he had already been deposed once. Respondent sought the second deposition to ask
questions about audiotapes secretly made by Complainant or Complainant's friend. Complainant
further objected that Respondent already had notice of the existence of the tapes at the time of the
first deposition, did not request copies of the tapes until after the deposition, and therefore
waived its right to depose him about the contents of the tapes. The ALJ found Complainant's
argument unpersuasive, noting that 29 C.F.R. § 18.13 expressly provides that unless the
ALJ orders otherwise, the frequency or sequence of depositions is not limited. The ALJ also
took into consideration that due to technical problems, the copying of the tapes had taken a long
time.
[Nuclear & Environmental Digest VII A 2]
DISCOVERY; REQUEST FOR ALL DOCUMENTS RELATING TO
WHISTLEBLOWERS
In Graf v. Wackenhut Services
LLC, 1998-ERA-37 (ALJ Mar. 19, 1999), the ALJ found that the following
discovery request was overly broad and burdensome: "With the exception of financial
data, identify and produce all documents in your possession, custody or control pertaining to
whistleblower(s) who were [Respondent's] employees for any time between January 1, 1992 and
the present." Thus, the ALJ ordered that "all documents" shall be interpreted
to mean a) documents contained in the personnel file; b) documents maintained by the Human
Resources Department relating to whistleblower activities; c) all other correspondence and
memos maintained by the Human Resources Department relating to whistleblowers; d)
memos reflecting in-house investigations into whistleblower complaints, providing that said
documents are not privileged; and e) the EAP file (i.e., psychiatric evaluations of
employees).
The ALJ permitted Respondent to withhold a) settlement agreements; and b) information
covered by the attorney client or attorney work product privileges, pursuant to Fed. R. Civ. P.
26(b)(5). To protect the privacy of the employee, the ALJ ordered that information disclosed
under this discovery request would be governed by the terms of an earlier protective order.
[N/E Digest VII A 2]
INTERVIEW STATEMENTS; REQUEST FOR ORDER DIRECTING WAGE AND
HOUR TO PRODUCE
In Verdone v. Northeast
Utilities, 97-ERA-27, 28, 29 and 30 (ALJ May 9, 1997), the ALJ
declined to order
the Wage and Hour Division to produce Complainants' interview statements
submitted during the
investigation of the matter. Respondents had filed a FOIA request with Wage
and Hour for the
statements, but Wage and Hour declined to disclose the documents, citing FOIA
exemption
7(c) (unwarranted invasion of personal privacy). The ALJ noted that appeals
of FOIA requests
are resolved in another forum (appeal to the Solicitor of Labor), and that he
would not over step
judicial boundaries to order Wage and Hour to produce the documents.
In addition, the ALJ held, even assuming he could order Complainants' to waive
their
privacy interest in the statements, it was not necessary under the present
posture of the case in
which there was a pending motion for summary decision that did not require
evidence of the
statements for resolution. The ALJ, however, did not encourage or prohibit an
attempt at
discovery of the statements.
[N/E Digest VII A 2]
DISCOVERY; BALANCING TEST WHEN OPPOSED BY CLAIM OF PRIVACY
In Saporito v. Florida Power & Light Co., 89-ERA-7 and 17 (ALJ
Dec.
24, 1996), Complainant attempted to discover the addresses and telephone
numbers of certain
nonsupervisory/nonmanagerial employees of Respondent in order to depose them.
Respondent
opposed the discovery on the privacy grounds and because it was not obliged to
produce for
deposition or hearing nonsupervisory/nonmanagerial personnel. The ALJ applied
the Eleventh
Circuit's balancing test for determining whether information is discoverable
when opposed by a
claim of the privilege of privacy: the court must balance the plaintiff's
interest in discovering
relevant information and the privacy and confidentiality interests of the
individuals involved.
See Serina v. Alberstson's, Inc., 128 F.R.D. 290, 292 (M.D. Fla. 1989),
citing
Farnsworth v. Procter & Gamble Co., 758 F.2d 1545 (11th Cir. 1985).
The ALJ found
that the party posing the objection must show the particulars of the
expectation of privacy
beyond merely conclusory allegations that the employer considers such
information to be private
and keeps it confidential. Humphreys v. Caldwell, 881 S.W.2d 940, 946
(Tex. App.
1994). In the instant case, the ALJ found that the information sought was not
particularly
sensitive nor the kind one would expect to be kept in confidence. The ALJ,
however, directed
that subpoenas be served at the employee's work address.
DISCOVERY; E-MAIL; REQUEST MUST RELATE TO MATERIAL
ISSUE OF FACT WITHIN RELEVANT TIME PERIOD AND MUST NOT
BE OVER BROAD; IMPACT OF PENDING MOTION FOR SUMMARY
DECISION ON UNRELATED ISSUE
[N/E Digest VII A 2]
In Freels v. Lockheed Martin Energy Systems, Inc.,
95-CAA-2, 94-ERA-6 (ARB Dec. 4, 1996), the Board affirmed the ALJ's
denial of Complainant's request for production of e-mail and related back-up
tapes because most of the discovery requests were designed to help determine
the identity of employees having knowledge about a matter concerning which
there was no material issue of fact, and which concerned events well outside
the 180-day limitations period. For the one request concerning events within
the 180-day limitations period, the request was over broad because
Complainant was seeking e-mail messages by, to, or about seven employees
regardless of whether the messages had anything to do with Complainant's
case. In addition, the Board implied that e-mail discovery need not be
granted
prior to rulings on dispositive motions for summary decision on unrelated
issues.
The ALJ had cited several other grounds for denying the e-mail
discovery, such as other extensive discovery having already been completed
and the time required for searching the e-mail records. The Board noted these
grounds, but did not rely on them in affirming the ALJ's denial of the
discovery request.
DISCOVERY; APPROPRIATE TO STAY GENERAL DISCOVERY
UNTIL DECISION IS MADE ON UNDERLYING JURISDICTIONAL
ISSUE
[N/E Digest VII A 2]
In Reid v. Secretary of Labor, No. 95-3648 (6th Cir.
Dec. 20, 1996)(unpublished decision available at 1996 U.S. App. LEXIS
33984)(case below, 93-CAA-4), the Sixth Circuit affirmed the ALJ's stay on
discovery until after the underlying jurisdictional issue of whether
Complainant was a covered employee was decided.
See also Freels v. Lockheed Martin Energy Systems,
Inc., 95-CAA-2, 94-ERA-6 (ARB Dec. 4, 1996), which the Board
implied that the ALJ properly denied discovery on e-mail where, inter
alia, there were pending dispositive motions for summary decision on
unrelated issues.
DISCOVERY; ALJ'S DISCRETION IN LIMITING
[N/E Digest VII A 2]
An ALJ is given wide discretion to limit discovery and his or her ruling will
be reversed
only when arbitrary or an abuse of discretion. In Robinson v. Martin Marietta Services,
Inc., 94-TSC-7 (ARB Sept. 23, 1996), the Board found that the ALJ
did not abuse
his discretion in declining to compel responses to Complainant's document
requests. The ALJ
had not ruled on Complainant's initial discovery request that was styled
"Motion for
Turnover of Documents," because a party must begin with a request for
document
production, show that the request was not compiled with, and only then request
an order
compelling production. After granting a continuance, the ALJ admonished the
parties to do their
discovery promptly and correctly because he was not inclined to grant further
hearing
postponements; later, the ALJ denied motions to compel from both parties
because they were not
submitted in time for him to address the issues prior to the hearing.
EXPEDITED HEARINGS; ALJ ERRS IN LIMITING DISCOVERY OR LENGTH
OF HEARING IN ORDER TO COMPLY WITH STATUTORY OR REGULATORY TIME
LIMITATIONS, WHICH ARE DIRECTORY ONLY
[N/E Digest VII A 2, VII D 1, VII D 2 and IX I]
In Timmons v. Mattingly Testing Services, 95-
ERA-40 (ARB June 21, 1996), the Board severely criticized an ALJ
who had limited discovery and the length of the hearing to
attempt to comply with statutory and regulatory time limits. The
Board noted that the time limits were directory only, and found
that the ALJ improperly limited the parties' pre-hearing
preparation and the presentation of evidence at hearing.
Excerpts from the Board's discussion follow:
The statute and regulations do contain provisions concerning
the time within which the Department of Labor's
investigation and adjudication of ERA complaints should be
completed.... Such provisions have been construed as
directory, rather than mandatory or jurisdictional, however,
... and should not interfere with the full and fair
presentation of the case by the parties, in accordance with
the Administrative Procedure Act, 5 U.S.C. §§
554(c), (d), 556(d). Moreover, the full and fair
presentation of the case by the parties is crucial to
serving the ERA purpose of protecting employees from
retaliation for acting on their safety concerns.... The
importance of safety in the handling of radioactive
materials cannot be gainsaid; there is a crucial public
interest at stake when issues of non-compliance with safety
regulations arise....
* * *
The time constraints placed on the proceedings before the
ALJ directly interfered with the parties' opportunity for a
full and fair presentation of the case at hearing. In
conducting the hearing, the ALJ erred in repeatedly limiting
testimony and refusing to admit documentary evidence on
relevancy grounds.
VII A 2 DISCOVERY; RESPONDENT'S E-MAIL
In Freels v. Lockheed Martin Energy Systems,
Inc., 94-ERA-6 and 95-CAA-2 (ALJ Aug. 22, 1995), the
Complainant's discovery requests included searches of E-mail.
The parties presented experts differing considerably concerning
the amount of time necessary to program and run the searches.
The ALJ found in his decision recommending the grant of summary
decision against the Complainant that in view of the extensive
discovery already completed, the lack of specificity in the
Complainant's request for a search of the E-mail, and the time
required for such a search, the discovery request would be
denied. The Complainant had already deposed eight employees and
received about 8,000 pages of documents. The Complainant had not
identified any particular message, time frame, or individual in
requesting a search of 13 months of E-mail, comprising more than
10 million messages.
VII A 2 Scope of discovery
In Udovich v. Houston Lighting and Power Co.,
95-ERA-16 (ALJ Feb. 1, 1995)
(prehearing order), the ALJ held that where the complainant does
not waive the short statutory and
regulatory time frame for processing the complaint, it is
inherently inconsistent to permit extensive
discovery. The ALJ concluded that the statutory and regulatory
time frame is a rule of special
application that controls over the 29 C.F.R. Part 18 discovery
rules.
Nonparties are not subject to any of the authority of an ALJ to
compel production of items subject to a
discovery request.Holden v. Gulf States Utilities, 92-ERA-44
(Sec'y Apr. 14, 1995), slip
op. at 9 n.6, citing Malpass v. General Electric Co.,
85-ERA-38 and 39 (Sec'y Mar. 1, 1994), slip
op. at 21.
[Nuclear and Environmental Digest VII A 3] DISCOVERY; FAILURE TO PRODUCE CORPORATE REPRESENTATIVE FOR DEPOSITION
In Hobby v. Georgia Power Co., 1:01-CV-01407 (N.D.Ga. May 23, 2006) (case below ARB No. 98-166, ALJ No. 1990-ERA-30), the Plaintiff was seeking enforcement of a DOL order on his ERA whistleblower complaint, which included as one of the remedies the restoration of stock options. Pursuant to FRCP 30(b)(6), the Plaintiff noticed the deposition of corporate representatives of the Defendant who possessed full knowledge of the reasons for the Defendant's conclusion that full stock options could not be fully restored; but neither such corporate representatives nor the Defendant's counsel appeared for the deposition. The Plaintiff filed a motion for sanctions. Although the Defendant asserted that it had been a misunderstanding, the court found that the Defendant had acknowledged in a letter written after the aborted deposition that it was refusing to produce certain information and witnesses. The court also noted that the Defendant had not filed a motion for a protective order prior to the deposition. Accordingly, the court directed the Defendant to produce a corporate representative responsive to the notice of deposition, and warned that failure to produce such a witness would result in a prohibition on the Defendant "from asserting any issues of fact not supported by sworn evidence (as opposed to counsel's conclusions)." Slip op. at 4.
[Nuclear and Environmental Whistleblower Digest VII A 3]
FAILURE TO COOPERATE IN DISCOVERY; SANCTION OF IRREBUTABLE PRESUMPTION
In Dann v. Bechtel SAIC Co., LLC, 2005-SDW-4, 5 and 6 (ALJ June 1, 2005), the ALJ found that a newly joined Respondent had not been acting in good faith and had made an intentional effort to deny to the Complainants highly relevant information to which they were entitled under the discovery rules (the originally named Respondent had responded in good faith). The ALJ also concluded that the newly joined Respondent may have been intentionally raising frivolous arguments for the purpose of financially and psychologically wearing down the Complainants and the sole practitioner who represented them. Accordingly, the ALJ imposed sanctions on the newly joined Respondent for its failure to comply with an earlier Order requiring it to provide full responses to the Complainants' discovery requests. The ALJ found that "Because many of the discovery requests to which Bechtel Nevada's has refused to fully respond pertain to Bechtel Nevada's motives in barring the Complainants from employment at the Nevada Test Site, it has been determined that the appropriate sanction is to irrebuttably determine for purposes of this proceeding that Bechtel Nevada's actions to bar the Complainants from employment at the Nevada Test Site were motivated at least in part by an intention to retaliate against the Complainants' protected activities...."
The Respondent filed with the ARB an appeal of this Order and a request that the ALJ be disqualified. The ARB issued an Order to Show Cause why the appeal should not be dismissed as interlocutory, and the Respondent subsequently withdrew the appeal.
[Nuclear & Environmental Digest VII A 3]
DEFAULT JUDGMENT; FAILURE TO PROVIDE HIGHLY PROBATIVE EVIDENCE
DURING DISCOVERY
In Beliveau v. Naval Underseas Warfare Center, 1997-SDW-1 and 4
(ALJ June 29, 2000), it became apparent, post-hearing, that Respondent had failed to provide
highly probative evidence during discovery in regard to Complainant's allegation of an improper
relationship between Respondent and Complainant's former counsel. The ALJ found that
reopening the record was not a viable option, and in view of the egregious nature of Respondent's
failure to respond fully to Complainant's discovery requests, ruled that the appropriate remedy
was a ruling adverse to the non-complying party as provided for at 29 C.F.R. §
18.6(d)(2)(ii). Thus, the ALJ held that Respondent interfered with the attorney-client
relationship between Complainant and his former counsel that Respondent paid the former
counsel to aid it in connection with the whistleblower case before the ALJ. Similar discovery
failures resulted in the ALJ finding that Respondent interfered with Complainant's filing of a
workers' compensation claim.
This case arose in under a complex set of circumstances. Essentially, Complainant's case
was grounded in an allegation that Respondent's actions during implementation of a settlement of
an earlier whistleblower case constituted a new whistleblower action. The ALJ found either no
adverse action or no animus for most of Complainant's allegations -- but granted a default
judgment on the attorney interference and worker's compensation interference claims because of
the serious discovery failures. One term of the settlement agreement provided for Respondent's
payment of Complainant's attorney's fees for services provided in relation to implementation of
the settlement agreement. The information turned over post-hearing indicated that, without
Complainant's knowledge, Respondent had paid Complainant's former attorney $281,115.50 in
the year following the execution the settlement agreement.
[Nuclear and Environmental Whistleblower Digest VII A 3]
DISCOVERY; SANCTIONS
In Beliveau Naval Undersea
Warfare, 1997-SDW-6 (ALJ Apr. 19, 2000), the ALJ had issued an earlier order
in which he found that Respondent had failed to comply with a discovery order; the ALJ denied
Complainant's motion for default, but as an alternative, invited a petition for costs, including
attorneys' fees, caused by Respondent's failure to comply with the discovery order. Complainant
then did file a petition for attorneys' fees. Respondent challenged the ALJ's authority to impose
monetary sanctions. The ALJ concluded that he did have such authority, writing:
Assuming that §18.6(d)(2) preempts the application
of Federal Rule 37(b)(2) to this proceeding, I nonetheless hold that awarding
attorneys' fees and costs is a permissible sanction under that section of our Rules.
Although §18.6(d)(2) does not specifically list an award of fees and costs as
a sanction for the failure to comply with a discovery order, the sanctions listed in
subparagraphs (i) to (v) of that subsection are not intended to be the exclusive
sanctions available for a party's failure to comply with an administrative law
judge's order. For §18.6(d)(2) states that "the administrative law
judge ... may take such action in regard thereto [a party's failure to comply with an
order] as is just, including but not limited to [subparagraphs (i) -
(v)]." (Emphasis added) Therefore, the administrative law judge's authority
in applying sanctions for a party's failure to comply with a discovery order is
limited only by what is just, not to the specific sanctions listed in subsections (i) to
(v) of §18.6(d)(2). It would be difficult to argue that an award of $1330.00
in attorney's fees is not just under the facts of this case, and respondent did not
attempt to do so.
The ALJ distinguished two decisions of the Secretary -- Krisik v. Latex Construction
Co., 1995-STA-23 (Sec'y Oct. 30, 1995) and Billings v. Tennessee Valley Authority,
1989-ERA-16 et al (Sec'y July 29, 1992) -- because both of those cases involved pro
se complainants -- a circumstance which presents issues not present when the defaulting party
is represented by counsel, and because in those cases, the default led to the ultimate sanction of
dismissal of the claim -- a circumstance that would have rendered a further sanction of an award
of costs merely punitive. The ALJ also noted that the second case involved abandonment not
failure to comply with a discovery order.
[N/E Digest VII A 3]
DISCOVERY; PARTIES SHOULD MAKE GOOD FAITH ATTEMPT TO RESOLVE
DISPUTES BEFORE ASKING FOR ALJ'S INTERVENTION
In Tracanna v. Arctic Slope Inspection Service, 97-WPC-1 (ARB
Nov.
6, 1997), the ARB noted that the Federal Rules of Civil Procedure require
parties to seek
resolution of discovery disputes prior to filing a motion to compel discovery.
See Fed. R.
Civ. P. 37(a)(2)(A). DOL's rules of practice and procedure do not contain a
similar requirement.
See 29 C.F.R. § 18.21. Nonetheless, the ARB stated that
"[a]s a practical
matter, we encourage parties to make a good faith attempt to resolve discovery
disputes without
the intervention of an ALJ." Slip op. at 5 n.6.
[N/E Digest VII A 3]
ALJ'S DISCOVERY ORDERS ARE NOT ENFORCEABLE IN FEDERAL DISTRICT
COURT
In Rex v. Ebasco Services,
Inc., 87-ERA-6 and 40 (ARB Jan. 7, 1997),
the Board interpreted the Secretary's decision in Malpass and Lewis v.
General Electric
Co., 85-ERA-38 and 39, slip op at 21-22 (Sec'y Mar. 1, 1994), as having
held that only
orders for relief under 42 U.S.C. § 5851(b)(2) are enforceable in federal
District Courts
under 42 U.S.C. § 5851(d), but an ALJ's orders relating to discovery are
not.
The Board stated that "the only hearings required by the ERA to be made
on the
record are those upon which an order for relief to the complainant may be
based. Any collateral
orders are not required by statute to be made on the record after notice and
opportunity for
hearing." Slip op. at 3.
VII A 3 DISCOVERY; SANCTIONS FOR FAILURE TO DISCLOSE; ALJ'S
RESPONSIBILITY TO ADMIT EVIDENCE TO AVOID REMAND
In Fugate v.
Tennessee Valley Authority, 93-ERA-9 (Sec'y
Sept. 6, 1995) (complaint dismissed on other grounds), the
ALJ refused to allow the Complainant to introduce evidence
of an alleged discriminatory act because the Complainant
failed to mention it during discovery. The Secretary held
that the ALJ should have admitted this evidence because
the Respondent's motion for sanctions for failure
to answer an interrogatory relating to this issue
indicated that it must have had actual knowledge of the
instance prior to the hearing;
the Complainant had consistently maintained that
there were other unnamed instances of discrimination;
the record did not reflect that the Respondent had
ever moved to compel discovery and that it had waited
19 months after the complaint was filed to commence
discovery.
The Secretary also noted that, as a matter of judicial
efficiency, evidence such as was prohibited in this case
should be admitted to help avoid the necessity of a remand.
VII A 3 Sanctions for alleged discovery violations;
ALJ's discretion; privileged
materials
In Crosby v. United States Dept. of Labor, No.
93-70834 (9th Cir. Apr. 20, 1995)
(unpublished) (case below 85-TSC-2), the Complainant contended on
appeal that certain adverse
inferences should have been drawn by the ALJ against the
Respondent because of the lateness of
certain discovery and because it asserted a privilege as to some
discovery which was sought. The
court stated that the issue of sanctions was within the ALJ's
discretion, and that it found no abuse of
that discretion. See 29 C.F.R. § 18.6(d)(2)(i). In
addition, the court noted that it was not
proper to draw adverse inferences from the failure to produce
documents protected by the attorney-
client and work product privileges. See Wigmore on
Evidence § 291 (rev. 1979).
VII A 3 Location of deposition and payment of expenses;
recalcitrant party
In Rex v. Ebasco Constructors, Inc., 87-ERA-40 (ALJ
Mar. 3, 1989) (prehearing order), Complainant objected to the
taking of his deposition in Houston unless Respondent paid all
expenses and a witness fee. The ALJ ordered Complainant to
appear for deposition because Respondent had previously made
three good faith attempts to depose Complainant in his current
home state of Washington. Complainant was to pay his own costs
(the ALJ finding that Complainant was not a witness within the
meaning of 29 C.F.R. § 18.24, but a party), but would be
allowed to seek reimbursement for those costs if he ultimately
prevailed in the litigation.
[Editor's Note: The Secretary found that he "has no
authority to order Respondent to pay Complainant's travel
expenses where there has been no finding of a violation with a
concomitant order to pay compensatory damages." Rex v.
Ebasco Constructors, Inc., 87-ERA-6 and 40 (Sec'y Mar. 4,
1994).]
VII A 3 Refusal of witness to appear
In Crosby v. Hughes Aircraft Co., 85-TSC-2 (Sec'y
Aug. 1, 1993), Complainant moved to disqualify Respondent's
counsel, for default judgment, and for sanctions against
Respondent, based on allegations that Respondent's counsel
engaged in questionable tactics such as interference with
witnesses and perjury.
The Secretary approved the ALJ's handling of Respondent's refusal
to comply with various discovery requests and orders, including
in several instances the fashioning of adverse inferences that he
would make if Respondent did not comply.
In regard to particular matters:
Complainant was interviewed by Respondent's
security officers regarding whether Complainant
provided confidential documents to the press with
in-house counsel's knowledge that Complainant had
spoken to an attorney. This was not grounds for
default judgment since the questioning was about a
legitimate concern, did not involve environmental
matters, and Complainant did not state that he had
retained counsel, but only that he had spoken to
counsel.
Complainant was not entitled to a directed verdict
based on an allegation that Respondent's outside
counsel committed perjury or suborned perjury by
Respondent's witnesses. It was true that a
statement by Respondent's counsel in his opening
statement was contradicted by testimony two months
later, but that statement was not evidence and was
not under oath. There was no showing that the
witness contradicted earlier sworn testimony or
that the witness gave testimony that he knew to be
false.
Complainant was not entitled to default judgment or a
new trial because the ALJ did not call four of
Complainant's witnesses who were high level executives
employed by Respondent. The ALJ had initially ordered
that Respondent make at least two of the executive
available at the hearing, but Respondent did not
comply, and Complainant's enforcement action in United
States District Court was unsuccessful. The ALJ did
not abuse his discretion in declining to impose a
sanction because, as he cogently explained, their
testimony was not material.
Complainant alleged that Respondent's counsel
interfered with a witness for Complainant, a CNN
reporter. The Secretary agreed with the ALJ that CNN
was responsible for any pressure brought to bear on the
reporter not to cooperate with or testify for
Complainant. He also found that since Respondent
stipulated that Complainant could use an offer of proof
concerning the reporter's testimony as evidence, and
since a subsequent affidavit of the reporter was
received into evidence by the Secretary, even if there
was some interference by Respondent's counsel, the
evidence that would have been provided by the reporter
was before the Secretary.
VII A 3 Sanctions for failure to attend a
deposition
In Billings v. Tennessee Valley Authority, 89-ERA-
16 and 25, and 90-ERA-2, 8 and 18 (Sec'y July 29, 1992), the
complainant failed to appear for his deposition, and the
respondent requested an order assessing costs against the
complainant. The Secretary assumed, without deciding, that the
Department of Labor has inherent authority to impose costs, but
looked to the regulations to determine if the Department has
chosen to assert such authority.
Section 18.1(a) states that the Federal Rules of Civil Procedure
"shall be applied in any situation not provided for or
controlled by these rules, . . ." ALJs are authorized to
"[w]here applicable, take any appropriate action authorized
by the [Federal] Rules. . . ." 29 C.F.R. §
18.29(a)(8). The regulations specifically provide, however, for
an ALJ to impose sanctions where a party fails to appear for a
deposition, and the assessing of costs is not listed as an
available sanction. 29 C.F.R. § 18.6(d)(2)(i-v).
Cf. Fed. R. Civ. P. 37(d) (allows similar sanctions and
also provides for assessing of costs). Because section 18.6
provides for remedying a party's failure to appear for a
deposition, the Secretary concluded that the Federal Rules did
not apply in that situation. Further, she stated that the
Department had not elected to assert any inherent authority it
may have to impose costs.
In Management Information Technologies, Inc. v . Alyseka
Pipeline Service Co., No. 92-1730 (D.C. D.C. Nov. 2,
1993), the court discussed the importance of protecting the
identities of confidential informants in whistleblowing cases.
The court balanced the interests of the third party informants
against the needs of the defendants to defend themselves and
concluded that the identities of the informants were not
sufficiently relevant to the issues in the case to subject the
informants to possible retaliation. The court noted that defense
counsel's failure to made assurances that protections necessary
to assure that whistleblowers would not be targeted for reprisal.
[Editor's note: This is not a DOL case, but is based on
circumstances related to several DOL whistleblower cases that
settled before this Office. It is of interest here mainly
because it articulates the interest of informants in
confidentiality.]
[Nuclear & Environmental Whistleblower Digest VII A 4]
PRIVILEGE LOG; DISCRETION OF ALJ TO ORDER
In Kaufman v. U.S. Environmental Protection Agency, 2002 CAA 22 (ALJ Oct. 31, 2003), the ALJ ruled that although the OALJ Rules of Practice and Procedure do not mention the production of a privilege log (see 29 C.F.R. Part 18, e.g., § 18.14(c) and 18.46), an ALJ has the authority to order such a discovery device. In the instant case, however, the ALJ found no justification for ordering such a log as Complainant had affirmatively stated that he did not seek privileged documents.
[Nuclear and Environmental Whistleblower Digest VII A 4]
PRIVILEGED DOCUMENTS; WAIVER OF PRIVILEGE
In Beliveau, Jr. v. Naval Undersea Warfare
Center, 1997-SDW-6 (ALJ May 31, 2000), the ALJ affirmed an earlier finding
that Respondent waived any applicable privileges to memorandum by turning that document over
to the FBI during the course of an investigation. In this respect, the ALJ relied on United
States v. Massachusetts Institute of Technology, 129 F.3d 681 (1st Cir. 1997). The ALJ had
before him Respondent's motion for reconsideration, in which it contended that the applicable
law is In re Grand Jury Subpoena Duces Tecum, 112 F.3d 910 (8th Cir.), cert.
denied, 521 U.S. 1105 (1997), and In re Lindsey, 158 F.3d 1263 (D.C. Cir. 1998),
for the proposition that it did not waive its attorney-client privilege in turning over the document
to the FBI because that privilege "does not apply to evidence relating to possible criminal
conduct during the course of a grand jury or other criminal investigation."
The ALJ was not convinced by Respondent's motion, finding that the cited decisions were
strictly limited to grand jury proceedings, and the Respondent's memorandum did not qualify for
attorney-client privilege in any case.
As an alternative finding, the ALJ also ruled that respondent's inadvertent disclosure of the
memorandum to complainant in discovery waived any applicable privileges, under the standards
of both Alldread v. City of Grenada, 988 F.2d 1425, 1433 (5th Cir. 1993) and
Transamerica Computer Co. v. International Business Machines Corp., 573 F.2d 646
(9th Cir. 1978).
[Nuclear & Environmental Digest VII A 4]
DISCOVERY; OMBUDSMAN'S PRIVILEGE
In Sayre v. Alyeska Pipeline Co., 1997-TSC-6 (ALJ Sept. 2, 1998), the
ALJ granted in part and denied in part Complainant's motion to compel the production of certain
documents. In regard to Complainant's request for documents pertaining to investigations
conducted by Respondent's Employee Concerns Program (ECP) in regard to Complainant's
concerns, the ALJ found that neither the self-critical analysis nor the Ombudsman's privilege
applied to Complainant's own concerns as raised with the ECP because the confidentiality
element had been destroyed by Complainant's consent to release of the documents. The ALJ
found, however, that Respondent should review and redact information that identifies such
witnesses to whom confidentiality was promised or by whom it was requested.
Complainant also sought an order to compel disclosure of the case file numbers, a detailed
summary of findings, and the name of the ECP investigator who investigate retaliatory treatment
towards individuals assigned to certain contracts. The ALJ denied this request because it was
overbroad, not limited in time or scope, and the information sought fits within the Ombudsman
privilege. See Kientzy v. McDonnell Douglas Corp., 133 F.R.D. 570 (E.D. Mo.
1991)(communication must be one made in belief that it will not be disclosed; confidentiality
must be essential to maintenance of relationship between the parties; relationship should be one
that society considers noteworthy of being fostered; injury to relationship incurred by disclosure
must be greater than benefit gained in correct disposal of litigation). The ALJ found that the
potential injury that would be inflicted by release of the information to Complainant would far
outweigh the benefit. The ALJ was influenced by the fact that Complainant sought ECP
investigations conducted in regard to concerns raised by other employees.
VII A 4 Informer's privilege
In Mackowiak v. University Nuclear Systems, Inc.,
82-ERA-8 (ALJ July 25, 1986), settled while under review
(Sec'y Apr. 18, 1989), the Director of the Field Office of
Investigations (Region 5) of the NRC testified in regard to
allegations of deliberate wrongdoing by management personnel of
Respondent that he had received from other employees of
Respondent on or around the time that Complainant was terminated.
On cross-examination, he declined to state the names of the
informing employees. Respondent moved to strike based on hearsay
upon hearsay and based on inability to make effective cross-
examination.
The ALJ noted that hearsay is admissible in administrative
proceedings, quoting Calhoun v. Bailar, 626 F.2d 145 (9th
Cir. 1980):
Not only is there no administrative rule of automatic
exclusion of hearsay evidence, but the only limit to the
admissibility of hearsay evidence is that it bear
satisfactory indicia of reliability . . . [T]he test of
admissibility [requires] that the hearsay be probative and
its use fundamentally fair. [citations omitted]
Id. at 148. See also 20 C.F.R. § 18.44(b).
The ALJ also outlined the law regarding informer's privilege,
noting that the leading case is Roviaro v. United States,
353 U.S. 53, 77 S. Ct. 623, and that although Roviaro was
a criminal case, its principles have been applied to civil cases
in general, and in the administrative context, to claims arising
under the Fair Labor Standards Act, 29 U.S.C. § 201 et seq.
See, e.g., Donovan v. Forbes, 614 F. Supp. 124.
Combining the hearsay and informer's privilege principles, the
ALJ concluded that whether the investigator's testimony should be
stricken depended on (1) its reliability, (2) whether its use
will unduly prejudice the defendant, and (3) whether the NRC's
need to protect its sources outweighs the defendant's need for
their disclosure. He also considered whether the underlying
purpose of section 5851 of the ERA would be served by admission
of the testimony.
The ALJ considered in regard to reliability the indicia stated in
Calhoun v. Bailor:
the bias of the declarant
whether the statements are signed and sworn as opposed
to anonymous, oral, or unsworn
whether or not the declarant is available to testify,
and if not, whether no evidence is available,
the credibility of the witness testifying to the
hearsay, and
whether or not the hearsay is corroborated by other
evidence.
Calhoun, 626 F.2d at 149.
Weighing these factors, the ALJ found the investigator to be a
very credible witness and that most of what he testified to was
corroborated. He found that Respondent was prejudiced by the
testimony, but that it would be alleviated by according little
weight to that part of the investigator's testimony that was not
corroborated by other evidence. He found that NRC's role in
protecting safety of nuclear power plants was of such magnitude
that its need to protect its sources outweighed Respondent's need
for their disclosure. Finally, the ALJ found that the underlying
purpose of the employee protection provision of the ERA would not
be served if an employee who gave evidence of prohibited
discrimination on behalf of a fellow employee could incur similar
discrimination as a consequence.
The ALJ, therefore, admitted the testimony, but gave little
weight to uncorroborated allegations, and no weight to
unsupported expressions of opinion concerning the motives
Respondent's management personnel.
VII A 4 Informant's privilege
In United States Dept. of Labor v. Jacksonville Shipyards,
Inc., 89-OFC-1 (Sec'y July 19, 1990), the Secretary
quoted from a leading case on the applicable principles for
balancing the competing interests when the Department invokes
informant's privilege to protect the identities of confidential
informants:
The law is clearly established that the privilege
asserted here is a qualified one, not absolute, limited by
the underlying purpose of the privilege as balanced against
the fundamental requirements of fairness and disclosure in
the litigation process. . . . [T]he interests to be
balanced . . . are the public's interest in efficient
enforcement of the Act, the informer's right to be protected
against possible retaliation, and the defendant's need to
prepare for trial.
Jacksonville Shipyards, 89-OFC-1, slip op. at 4-5, quoting
Hodgson v. Charles Martin Inspectors of Petroleum, Inc.,
459 F.2d 303, 305 (5th Cir. 1972).
The Secretary indicated that witnesses who were not volunteer
whistleblowers, but who were chosen for interview by the
government may be especially entitled to protection against
possible retaliation.
In Newport v. Calpine Corp., 2007-ERA-7 (ALJ Feb. 12, 2008), the ALJ denied the parties' motion for entry of stipulated protective order where it not only covered discovery disclosures, but also materials submitted into the administrative record, such as materials submitted with a dispositive motion, trial evidence, and portions of the trial transcript, and where the proposed order failed to make the showings requisite to permit the sealing of materials in an ALJ hearing or to provide for the submission of redacted documents for the public file.
The ALJ stated the general rule as follows: "[M]aterial a party receives in discovery, and discovery deposition transcripts may be treated as confidential until they become proof offered into the adjudicatory record. Thereafter common law traditions of access to adjudicatory proceedings and the First Amendment complicate matters, as do the Administrative Procedure Act and FOIA."
The ALJ then reviewed the provisions of the APA, FOIA, the First Amendment, the common law relating to public access to court records, and the OALJ rules of practice, and found that litigants are not entitled to a sealing of information merely because the litigation opponent does not challenge a motion for such. Rather, there is a public right of access to materials filed, and the proceedings in, an administrative adjudication.
The ALJ described the procedure parties must follow when seeking to file a document under seal. They must, for example, "specify the type of confidential data the document includes, and for briefs or memoranda (as opposed to evidence), why it was necessary and relevant to include confidential information in the argument at all. A redacted copy must be filed in the public record. If a sealed filing is permitted, both the redacted and unredacted documents shall be retained as part of the adjudicatory record. Each page of the public copy shall be redacted to the least extent necessary to protect the type of confidentiality involved." The ALJ granted the parties the opportunity to amend their proposed order.
VII A 5 Discovery; scope;
objections; protective
orders
From: Mulligan v. Vermont Yankee Nuclear Power
Corp., 92-ERA-20 (ALJ Apr. 17, 1992) (prehearing
order).
[T]he mere fact that interrogatories are lengthy or that
the defendant will be put to some trouble and expense in
preparing requested answers is not alone sufficient to warrant a
protective order relieving defendant from the burden of
answering. Klausen v Sidney Printing & Publishing
Company, 271 F. Supp. 783 (D.C. Kan. 1967). Moreover, good
cause is not established solely by showing that discovery may
involve inconvenience and expense. Isaac v. Shell Oil
Company, 83 F.R.D. 428 (D.C. Mich. 1979). Plaintiffs in
equal employment cases should be permitted a very broad scope of
discovery. Morrison v. City and County of Denver, 80
F.R.D. 289 (D.C. Colo. 1978). Interrogatories seeking answers
that would tend to establish a pattern of discriminatory
employment practices were proper subject of discovery in
employment discrimination suit, notwithstanding that complainant
brought suit only on behalf of himself Johnson v. W.H.
Stewart Co., 75 F.R.D. 54I (D.C. Okla. 1976). Defendant
company, in civil rights action challenging hiring and promotion
policies, could be required to disclose whether different scores
on tests required for promotion were required for promotion to
different levels, and if so, what scores were required for each
line of progression. King v. Georgia Power Co., 50 F.R.D.
134 (D.C. Ga. 1970).
However, assertions that requested discovery would be both
burdensome and oppressive are proper grounds for objecting to the
scope of discovery. Alexander v. Rizzo, 50 F.R.D. 374
(D.C. Pa. 1970). Discovery is not allowed where the evidence
sought would be wholly irrelevant and incompetent. O'Brien v.
Equitable Life Assur. Soc., 14 F.R.D. 141 (D.C. Mo. 1953).
The scope of relevancy in discovery proceedings is broader than
at trial. Independent Productions Corp. v. Loew's, lnc.,
30 F.R.D. 377, 381 (D.C. N.Y. 1962). Moreover, it is important
to note that relevancy to the subject matter of the litigation is
what must be shown and there is no requirement that the
information sought be admissible at trial. Determinations on
admissibility are made at trial. Natta v. Zletz, 405 F.2d
99, 101 (7th Cir. 1968); Covey Oil Co. v. Continental Oil
Co., 340 F.2d 993, 998 (1Oth Cir. 1965), cert. denied,
380 U.S. 964, 85 S.Ct. 1110 (1966); Coca-Cola Bottling Co. v.
Coca-Cola Co., 107 F.R.D. 288, 293 (D.C. Delaware 1985). In
order to guard against the possible use of genuinely confidential
documents by a third party, a party ordered to produce such
documents should move for a protective order. Duplan Corp. v.
Deering Milliken, Inc , 397 F. Supp. 1146 (D.C. S.C. 1975).
Disclosure of confidential information should be made available
to counsel and technical experts assisting in that particular
litigation. Melori Shoe Corp. v. Pierce & Stevens,
Inc., 14 F.R.D. 346 (D.C. Mass. 1953). Counsel may agree on
proper conditions and precautions in connection with discovery
of confidential information and if they cannot do so, the court
will prescribe such conditions in a protective order. V.D.
Anderson Co. v. Helena Cotton Oil Co., 117 F. Supp. 932, 948-
949 (D.C. Ark. 1953).
In most cases the key issue is not whether the information
will be disclosed but under what conditions. The need for the
information is held paramount but reasonable protective measures
may be imposed to minimize the effect on the party making the
disclosure. Guerra v Board of Trustees of California States
Universities and Colleges, 567 F.2d 352 (9th Cir. 1977).
Under a protective order, names of customers are proper subject
for discovery. Chesa Intern. Ltd. v. Fashion Associates,
425 F. Supp. 234 (D.C. N.Y. 1977).
Most noteworthy are the comments of Judge John W. Oliver in
Apco Oil Corp v. Certified Transp., Inc., 46 F.R.D. 428,
431 (D.C. Mo. 1969):
Experience has further established that counsel of the
competence of counsel engaged in this case rarely find it
necessary to resort to motions for protective orders because
both sides recognize that the question presented is not
whether documentary data is going to be ordered produced,
but when, how, and in what form, such production will be
ordered.
In Mulligan, the ALJ determined that in view of the
almost twelve-year period of time encompassed by Complainant's
Interrogatories was unduly broad, burdensome and oppressive and
that the pertinent area of inquiry herein shall commence on the
date the Complainant alleged that he was making internal safety
complaints.
In addition, the ALJ concluded that the personal privacy of the
employees of Respondent who are encompassed by certain
interrogatories should be respected, but was not yet prepared to
give a blanket exemption of confidentiality to all information
about Respondent's employees who were and/or are similarly-
situated with the Complainant as there are various ways by which
the employees' names, for example, might be disclosed, while
protecting information such as test scores, employment action;,
etc;. The ALJ required the parties to further discuss how to
best safeguard the personal privacy rights of Respondent's other
employees, and to bring up the issue again if something could not
be worked out.
[Nuclear and Environmental Whistleblower Digest VII A 5]
DISCOVERY; APPLICATION OF FRCP 33 TO QUESTION OF WHETHER NUMBER OF INTERROGATORIES IS EXCESSIVE; DISCRETION OF ALJ
In Dann v. Bechtel SAIC Co., LLC, 2005-SDW-4, 5 and 6 (ALJ May 25, 2005), the Respondent requested a protective order on discovery, in part, on the ground that the Complainants had submitted an excessive number of interrogatories. The ALJ observed that "although Rule 33 of the Federal Rules of Civil Procedure normally limits parties in civil litigation to 25 interrogatories, Rule 33 also permits judges to authorize larger numbers of interrogatories in appropriate cases, as commonly occurs in whistleblower proceedings before the Office of Administrative Law Judges." The ALJ found that the such an exception was appropriate in the instant case based on the Complainants' representations that the interrogatories were in lieu of depositions and because many of the interrogatories required only simple, short answers.
[Nuclear and Environmental Whistleblower Digest VII A 5]
DISCOVERY; PROTECTIVE ORDER FROM UNDULY BURDENSOME INTERROGATORIES
In Dann v. Bechtel SAIC Co., LLC, 2005-SDW-4, 5 and 6 (ALJ May 25, 2005), the ALJ granted, in part, the Respondent's request for a protective order limiting discovery. A number of the Complainants' interrogatories appeared to require the Respondent to obtain information from third parties and possible third-party witnesses. The ALJ ruled that the Respondent would only be required to supply information now within its possession and would not be required to speculate concerning another Respondent's intentions or obtain any responsive information from the other Respondent, and that the Respondent would not be required to interview witnesses to obtain information not already known to it in response to interrogatories. The ALJ found that a large number of the Complainants' interrogatories asked the Respondent to provide or identify "each and every" fact, document, and witness having knowledge concerning a particular topic. The ALJ ruled that the Respondent could interpret such requests as calling only for each material fact, document containing material information, and witness with knowledge of material information (material facts and information to mean those that could have probative value in the proceeding). A couple interrogatories appeared to seek the same information; thus the Respondent was permitted to respond to only one of the two. Several interrogatories asked the Respondent to provide information demonstrating the non-existence of alleged facts; the Respondent was permitted not to respond to these interrogatories. Finally, the ALJ found that several interrogatories were not in fact seeking relevant information, but were instead merely argumentative and rhetorical; the Respondent was permitted not to respond to those interrogatories.
[Nuclear and Environmental Whistleblower Digest VII A 5]
SUBPOENA AUTHORITY OF ALJ; PROTECTIVE ORDER TO PROTECT PRIVACY AND CONFIDENTIAL MATTERS TO EXTENT POSSIBLE
In Williams v. Indiana Michigan Power Co., 2004-ERA-24 (ALJ Nov. 9, 2004), the Respondent had served a subpoena on a non-party company seeking information about the Complainant's work for that company. The non-party company moved to quash the subpoena on the theory that ALJs do not have the authority to issue a subpoena to a non-party. The ALJ rejected this contention based on the ARB decision in Childers v. Carolina Power & Light Co., ARB No. 98-077, ALJ No. 1997-ERA-32 (ARB Dec. 29, 2000), which found that ALJs have subpoena power in ERA cases and which made no distinction between parties and non-parties. The ALJ found that Childers was controlling. He noted the decision of the District Court for the District of Columbia in Bobreski v. U.S. Environmental Protection Agency, 284 F.Supp.3d 67 (D.D.C. 2003) (which held that ALJs do not have supboena power in such cases), but found that it was not controlling as the instant case arises and would be heard in Michigan. The ALJ analyzed the type of information requested - which was specific to the Complainant and did not include any business information or trade secrets -- noted that under the non-party employer's guidelines the Complainant could sign a release, that the non-party employer's primary concern appeared to be (understandably) to protect the privacy rights of employees, that the Complainant and Respondent in the instant case had agreed to a protective order, and that the non-party employer had moved for a protective order if the motion to quash was denied. In view of all of this, the ALJ denied the motion to quash the subpoena and found that the protective order satisfied the needs of the non-party employer.
[Nuclear and Environmental Whistleblower Digest VII A 5]
EVIDENCE; PROTECTION OF CONFIDENTIAL OR PRIVILEGED INFORMATION
In Wallace v.CH2M Hill Group, Inc., 2004-SWD-3, the ALJ addressed the problem of protecting purportedly confidential information disclosed in the course of an administrative adjudication. In Wallace v.CH2M Hill Group, Inc., 2004-SWD-3 (ALJ Nov. 3, 2004), the ALJ denied a motion for a protective order filed by the Respondent where there were no declarations or affidavits offered in support of the motion and the Respondent's treatment of the issues involved was too superficial. The Respondent's motion would have covered both materials made available in discovery but never filed with the ALJ, and pleadings and evidence that would become subject to FOIA as records of the Secretary of Labor. The ALJ noted that there is a presumptive right of access to adjudicative filings, including before Article I tribunals. The ALJ granted the Respondent time to submit additional evidence and argument regarding the ALJ's authority and the procedures to be followed. The ALJ later issued a protective order governing the production and use of confidential information during the pendency of the action and thereafter. Wallace v.CH2M Hill Group, Inc., 2004-SWD-3 (ALJ Dec. 6, 2004) ("Protective Order"). In a separate order, the ALJ voiced doubt that pleadings, motions and materials filed in the record as evidence may be shielded from public disclosure, and therefore declined to make any a priori rulings that pleadings may be sealed; rather the ALJ directed the parties to first negotiate the issue and, if unsuccessful, file a motion to seal pleadings, motions or evidence in the same manner as in a U.S. District Court. The ALJ noted that there is a distinction between confidentiality concerns and the invocation of privileges, and directed that if a privilege is claimed, privilege logs should be prepared. Wallace v.CH2M Hill Group, Inc., 2004-SWD-3 (ALJ Dec. 6, 2004) ("Order on Respondent's Application for Protective Order").
[Nuclear & Environmental Whistleblower Digest VII A 5]
DISCOVERY; DEPOSITION OF HIGH RANKING GOVERNMENT OFFICALS
In Kaufman v. U.S. Environmental Protection Agency, 2002-CAA-22 (ALJ Oct. 17, 2002), the ALJ granted Respondent's motion for a protective order on the ground that the named deponents were high ranking government officials. The ALJ found that when named deponents are high ranking government officials a heightened showing is required "that the individually named deponents actually have personal information regarding discoverable matters and a deposition is the only way such information can be obtained." Slip op at 2 (citations omitted) (emphasis as in original). The ALJ found that Complainant had not shown that the officials actually had personal knowledge of the subject matter of the complaint, and that "[i]f Complainant wishes to question these individuals, the submission of interrogatories ... is the appropriate manner in which to initially proceed to determine whether these individuals have any knowledge relevant to the alleged whistleblower retaliation set form the Complaints." Id.
See alsoKaufman v. U.S. Environmental Protection Agency, 2002 CAA 22 (ALJ Jan. 31, 2003) (granting protective order for two high ranking officials based on Complainant's failure to establish that the named deponents had personal relevant information); Kaufman v. U.S. Environmental Protection Agency, 2002 CAA 22 (ALJ Apr. 2, 2003) (vacating the protective order in regard to one of the named deponents where Complainant presented proof that she possessed personal knowledge relevant to the allegations stated in the complaint; ruling that where the official no longer holds a high ranking position, the heightened scrutiny of deposition requests was not present because that protection is based on high ranking officials' greater duties and time constraints); Kaufman v. U.S. Environmental Protection Agency, 2002 CAA 22 (ALJ Aug. 5, 2003) (denying motion to compel discovery regarding the aforementioned official on the ground that the individual was no longer in Respondent's employ and therefore it longer has any control over that individual); Kaufman v. U.S. Environmental Protection Agency, 2002-CAA-22 (ALJ Aug. 8, 2003) (affirming earlier protective order as to other high ranking official).
[Nuclear & Environmental Whistleblower Digest VII A 5] DISCOVERY; STATES SECRETS PRIVILEGE
In Jackson v. Northrop Grumman Corp., 2002-CAA-15 (ALJ June 24, 2002), Complainant sought discovery, inter alia, on production at Respondent's facility, and waste that production generated. Respondent sought a protective order on the ground that the parties had not entered into a confidentiality agreement. Respondent's facility was engaged in the production of munitions.
The ALJ noted authority to the effect that materials containing information concerning national defense or military secrets is protected by the states secret privilege, but also noted that the discovery sought was relevant to Complainant's "good faith" belief that Respondent was violating environmental laws. The ALJ concluded that the information was not critical to the Complainant's case, and granted the protective order in part "so that information regarding the materials used in production and the method of production must be kept confidential between the parties."
[Nuclear & Environmental Whistleblower Digest VII A 5] RECUSAL; ALLEGATION OF PARTICIPATION IN CONSPIRACY, ANIMUS,
PERSONAL AND PROFESSIONAL RELATIONSHIP TO COMPLAINANT
In Greene v. U.S. Environmental Protection
Agency, 2002 SWD 1 (ALJ June 20, 2002),the presiding ALJ had disqualified
Complainant's counsel based on a finding of misconduct. After being instructed by the Chief
ALJ on the regulatory process for filing an appeal of an order of disqualification, see In the Matter of Slavin, 2002 SWD 1 (ALJ June 24,
2002), counsel filed an appeal with the Chief ALJ in which he requested that the Chief ALJ
recuse himself from consideration of the appeal. The Chief ALJ found that the motion for
recusal was improperly pleaded, as it did not include an affidavit setting forth the alleged
grounds for disqualification as required by 29 C.F.R. § 18.31(b). See In the Matter of Slavin, 2002 SWD 1 (ALJ July 2,
2002). Counsel, however, was given leave to renew the motion in proper form. The Chief ALJ
denied a motion for stay of the Complainant's case on the merits because 29 C.F.R. §
18.36(b) prohibits a delay or suspension of the case in chief during the appeal of a
disqualification order.
Counsel thereafter renewed the motion to recuse, and purportedly filed it also on behalf of
Complainant (Complainant, however, evidently did not authorize counsel's brief accompanying
the motion). The motion was based, inter alia, on allegations that the Chief ALJ was
part of a conspiracy that counsel had theorized had been formed to select a presiding judge who
was pre disposed to rule against Complainant, that the Chief ALJ held animus against counsel
based on prior interactions (including the Chief ALJ's referral of counsel's conduct in other cases
to the Board of Professional Responsibility in the state in which counsel held his law license),
and in a supporting affidavit filed by the former Chief ALJ of the DOL that the current Chief
ALJ should be disqualified because of his personal and professional relationship with the former
Chief ALJ and his wife who was the Complainant in the underlying matter. SeeIn the Matter of Slavin, 2002 SWD 1 (ALJ July
26, 2002). The Chief ALJ found that the conspiracy theory was not grounded in any fact and
therefore did not merit consideration as a ground for recusal. He found that his past criticism
of counsel was based on counsel's conduct in proceedings before OALJ, and that "[f]acts
learned by a judge in his or her judicial capacity . . . cannot form the basis for
disqualification." Id. (Citations omitted).
The Chief ALJ, however, did find that his personal and professional relationship with
Complainant was a disqualifying factor, and that in fact, both Associate Chief ALJs also had a
similar disqualifying relationship, thereby rendering it impossible to follow the regulatory
procedure for consideration of an appeal by the Chief ALJ of an ALJ's disqualification of counsel.
Id. Based on the precedent of Holub v. H. Nash Babcock & King, Inc.,
1993 ERA 25 (Sec'y Feb. 6, 1995), the Chief ALJ recommended to the Secretary of Labor that
the ARB be substituted as the entity for appeal in view of the unusual circumstances.
Alternatively, the Chief ALJ noted that the Secretary could invoke the "rule of
necessity" to instruct the Chief ALJ to entertain the appeal. Id. The Secretary
adopted the Chief ALJ's recommendation to refer the matter to the ARB, In the Matter of Slavin, 2002 SWD 1 (Sec'y Aug. 19, 2002).
[Nuclear and Environmental Whistleblower Digest VII A 5]
SEALING OF RECORD; TAX RECORDS
In Doyle v. Hydro Nuclear
Services, ARB Nos. 99-041, 99-042, and 00-012, ALJ No. 1989-ERA-22 (ARB
May 17, 2000), a decision focusing the calculation of damages, the ARB, although not indicating
whether it was appropriate to do so, noted that the ALJ had placed Complainant's tax records in a
sealed portion of the record.
[Nuclear & Environmental Digest VII A 5]
PROTECTIVE ORDER; LIMITS ON USE OF VIDEOTAPED DEPOSITION; INTERESTS
OF JUSTICE STANDARD
In Johnson v. Oak Ridge Operations
Office, ARB No. 97-057, ALJ Nos. 1995-CAA-20, 21 and 22 (ARB Sept. 30,
1999), a retired manager requested that the ARB issue a protective order continuing the protection
afforded by an ALJ order limiting the use of the retired manger's 1995 videotape deposition. The ARB
noted that ALJ's protective order expired by its terms upon the ARB's assumption of jurisdiction, and
that it was predicated on an agreement between counsel for the retired manager and Complainants, so
that the videotaping could proceed although proper notice had not been given.
The ARB declined to issue a new protective order, finding that the retired manager had not
shown that "issuance of such an order is required by justice under 29 C.F.R. §18.15(a),
particularly since he does not oppose dissemination of the transcribed version of the identical deposition
and is not subject to further burden or embarrassment because the videotape deposition has already
been taken."
[Nuclear & Environmental Digest VII A 5]
PROTECTIVE ORDER; DEPONENT PHYSICALLY ILL
In Graf v. Wackenhut Services LLC, 1998-ERA-37 (ALJ Mar. 16,
1999), the ALJ issued a protective order pursuant to 29 C.F.R. § 18.15(a) to excuse an
employee of Respondent from being deposed, where Respondent produced a letter from the
deponent's physician opining that based on the employee's current medical conditions, it is not
in his best medical interest to be deposed.
[Nuclear and Environmental Digest VII A 5]
PROTECTIVE ORDER; RELATIONSHIP TO FOIA
In Rimar v. U.S. Environmental Protection Agency, 1998-SDW-2 (ALJ
Feb. 16, 1998), Complainant sought reconsideration of a protective order that imposed
restrictions on Complainant's use of certain material supplied in response to discovery requests,
and required Complainant's return of some materials at the conclusion of the litigation.
Complainant's motion was based on a number of grounds.
The ALJ found that Complainant had misinterpreted the impact of the protective order: it
only required that Complainant maintain, from the date of the protective order, the
confidentiality of documents he obtained in response to certain discovery demands: it did not
prohibit disclosures that might have occurred before the order was issued or require Complainant
to maintain the confidentiality of identical documents that have been or may be received through
other means, such as litigation under the Privacy Act or FOIA
Complainant argued that he had a "clear-cut" Privacy Act and FOIA
entitlement to the materials within the scope of the protective order. The ALJ's order contains a
discussion of the difference between information gathered in response to discovery and
information obtained through the Privacy Act and FOIA. The ALJ observed that Complainant
was granted access through discovery to certain categories of information because it was deemed
relevant to the issues in litigation, even though it appeared that at least some of that information
would not be available under either FOIA or the Privacy Act (despite Complainant's assertions to
the contrary). Once the litigation ended, the need for the information vanished. The ALJ noted
that Privacy Act and FOIA disputes were beyond the jurisdiction of an ALJ to decide. Finally,
the ALJ rejected Complainant's argument that public policy required reconsideration of the
protective order. The ALJ agreed that "in circumstances where materials obtained during
the discovery process demonstrate persecution of whistleblowers or other illegal conduct, public
policy' would probably preclude continuation of a protective order prohibiting disclosure of such
materials." However, his careful review of the materials lead to the conclusion that such
circumstances did not exist in the instant case.
[Nuclear and Environmental Digest VII A 5]
PROTECTIVE ORDER; DISCIPLINARY RECORDS OF OTHER EMPLOYEES;
COMPLAINANT'S PRACTICE OF POSTING DEPOSITIONS ON THE INTERNET
In Graf v. Wackenhut Services LLC, 1998-ERA-37 (ALJ Feb. 1, 1999),
Complainant sought an order compelling Respondent to answer a request for production of
documents regarding disciplinary actions taken against any employees for violation of
information release regulations. Complainant agreed in the motion to enter into a protective
order to assure the privacy interests of the subject employees. Respondent opposed the motion
based on its employees general right and expectation of privacy in their employment matters,
including disciplinary actions.
The ALJ found that the documents sought were relevant to the subject matter of the
litigation, outweighed the employees' right to privacy, and were therefore discoverable (the
ALJ's order includes a concise discussion of scope of discovery in discrimination cases).
Nonetheless, the ALJ held that a protective measure was appropriate because the information
sought was sensitive and the kind that the employees would expect to be held in confidence.
Therefore the ALJ ordered the parties to enter into a confidentiality agreement, and directed that
the disclosure be limited to Complainant's counsel and experts retained in the case, to the extent
necessary for trial preparation, and that the files were to be kept confidential. The ALJ directed
that
"Complainant is to be prohibited from using these files for any purpose other than this
action and copies of any files produced are to be maintained in counsel's custody."
Respondent also sought a protective order requiring that Complainant keep confidential
the names and other identifying information of Respondent's employees that Complainant seeks
to depose. Respondent sought such an order based on the assertion that Complainant had
"plastered this case on the Internet, including loading the complete deposition testimony of
different Wackenhut employees." Respondent further asserted that the sensitive nature of
the information contained in the depositions, such as disciplinary actions taken against named
employees, should be kept confidential.
The ALJ noted that the Secretary of Labor has held that litigants have a general First
Amendment freedom to disseminate freely information gained through discovery, absent a valid
court order. The ALJ also noted, however, that the OALJ rules of practice provide an
opportunity for a party ordered to produce confidential documents to move for a protective order.
See 29 C.F.R. § 18.15. Under the circumstances, the ALJ found that a protective
order should be issued to shield employees of Respondent who have been subject to disciplinary
actions from further embarrassment.
In a subsequent order, the ALJ prescribed the conditions and precautions for the protective
order because the parties were unable to agree on the terms of such an order. Graf v.
Wackenhut Services LLC, 1998-ERA-37 (ALJ Feb. 18, 1999). Among other
conditions, the ALJ ordered that confidential documents be reviewed, received, and held
confidential by counsel for Complainant and used only for purposes of the instant litigation.
Complainant's counsel was to maintain a list of all persons to whom a disclosure was made and
copies of confidentiality agreements signed by them (e.g., Complainant, co-counsel,
support staff, party experts).
[Nuclear & Environmental Digest VII A 5]
PROTECTIVE ORDER
In Rimar v. Environmental Protection Agency,1998-SDW-2 (ALJ Oct.
14, 1998), the ALJ granted Respondent's motion for a protective order, setting conditions on
certain materials responsive to certain interrogatories and document production requests made by
Complainant. The ALJ ordered that the information and/or documents must be kept confidential;
may be used on in connection with the instant hearing; limited in access to Complainant's
counsel, Complainant himself, and Complainant's expert witnesses (all of whom are responsible
for ensuring no further release); not discussed to any person outside of the current proceedings; if
introduced at the hearing, shall be placed under seal by the ALJ; returned to Respondent at the
conclusion of this litigation (including all extracts and information compiled therefrom). The
ALJ ordered that the protective order shall remain in full force and effect until modified,
superseded or terminated by order of the ALJ.
[N/E Digest VII A 5]
DISCOVERY; SCOPE; PROTECTIVE ORDER
In Paine v. Saybolt, Inc.,
97-CAA-4 (ALJ Mar. 21, 1997)(prehearing order), the ALJ concluded based on a review
various
legal authority, including the ARB decisions in Timmons v. Mattingly
Testing Services,
95-ERA-40 (ARB June 21, 1996) and Seater v. Southern California Edison
Co.,
95-ERA-13 (ARB Sept. 27, 1996), and the DOL regulations at 29 C.F.R. §
18.14(a) and
29
C.F.R. § 24.5(e)(1), that an ALJ should apply a broad scope of relevance,
and that
"[i]t logically follows that the scope of discovery is even
broader." Slip op. at 2
(citation omitted).
In Paine, the ALJ granted a protective order in regard to three
items that
the ALJ found to be irrelevant to the burdens and possible defenses in a Clean
Air Act
whistleblower case. The ALJ declined to issue a protective order for
documents Respondent
asserted were protected on the grounds of attorney-client privilege and/or the
work product
doctrine where Respondent failed to assert these privileges on a document
specific basis but only
asserted a blanket privilege.
The ALJ noted that Respondent was not relieved of discovery responsibilities
merely
because Complainant potentially could obtain the documents through FOIA,
citing Young v.
Philadelphia Elec. Co., 87-ERA-36 (ALJ Sept. 15, 1987)(citing Pleasant
Hill Bank v.
U.S., 58 F.R.D. 97 (1973) ("Material which is exempt under FOIA is
not necessarily
privileged for the purposes of discovery.")
VII A 5 Motion for protective order
In Scott v. Alyeska Pipeline Service Co., 92-TSC-2
(ALJ Jan. 4, 1992) (prehearing order, clerical errors corrected
by order dated Feb. 19, 1992), the ALJ denied Respondent's motion
for a protective order "requiring the complainant not to
disclose or make available to any person for purposes unconnected
with this litigation any documents or other information produced
by respondent in response to complainant's discovery in this
case." (quote is of ALJ's characterization of the motion).
The ALJ noted that Respondent had failed to carry its burden of
showing how the discovery "is in any way inappropriate,
impermissible, or likely to cause annoyance, embarrassment,
oppression or undue burden or expense." See Fed. R.
Civ. P. 26(c) and 29 C.F.R. § 18.15.
The ALJ noted that Respondent's primary reason for seeking the
protective order, to ensure that discovery is limited to informa-
tion necessary to disposition of the matter at the ALJ
proceeding, had not been shown to be unattainable by the usual
limitations on discovery: ". . . that it is limited to
material designed to lead to discovery of admissible evidence,
and that privileged documents, trade secrets and confidential
commercial information are not generally discoverable."
VII A 5 Standard for invocation of self-critical
analysis privilege; Limit of
protective order when information obtained
outside discovery
In Holden v. Gulf States Utilities, 92-ERA-44
(Sec'y Apr. 14, 1995), the Respondent
contracted with its former head of security to perform an
independent investigation of several of the
Complainant's quality concerns. The contractor died after he
submitted his reports. The Respondent
resisted the Complainant's discovery requests for the reports,
citing the privilege afforded to self critical
analysis. The ALJ ordered the Respondent to produce the reports,
but also issued a protective order
requiring that the Complainant and his counsel not disclose any
information in the reports except for
purposes of the hearing. The Complainant asked the ALJ to
reconsider the protective order because it
would preclude him from providing information to the NRC; the
Respondent moved to modify the
protective order to permit the Complainant to share the
information contained in the reports with the
NRC - but not the reports themselves. The ALJ subsequently
issued a recommended decision without
ruling on the motion to modify; on the same day, the Complainant
obtained copies of the reports from
the contractor's widow. The Respondent filed motions appealing
the ALJ's order compelling the
production of the reports, and a motion to modify the protective
order. The Complainant filed a
response requesting withdrawal of the protective order, agreeing
to redact the names of witnesses, and
moving to admit the reports into the record.
[Editor's note: An issue relating to the ALJ's
continuing jurisdiction over a protective
order is casenoted separately in this section]
Standard for invocation of self critical analysis
privilege
The Secretary affirmed the ALJ's order to compel, noting that the
self-critical analysis privilege applies
only when "'the public interest in maintaining
confidentiality outweighs the requesting party's need
for the information.'" Slip op. at 7, quoting Respondent's
appeal from ALJ's order compelling
production at 10. The Secretary found that "the
overwhelming public interest in protecting
whistleblowers who act to promote nuclear power safety outweighs
[the Respondent's] interest in
keeping the ... reports confidential." Slip op. at 7-8. The
Secretary also noted that the
Respondent's stake in the confidentiality of the reports had
diminished during the course of the appeal,
the Respondent having offered to produce the reports to an
investigator charged with determining
compliance with the ERA and having made an additional
investigation and submitted the report to the
NRC.
Limit of protective order when information obtained outside
discovery
When litigants have obtained information through discovery, they
are free to disseminate the information
in the absence of a valid court order. Protective orders, to
comport with the First Amendment, may not
restrict information obtained outside of discovery. In the case
sub judice, the Complainant
obtained the reports voluntarily from the contractor's widow
rather than through discovery. Thus, the
Secretary lifted the protective order.
The Secretary also stated that "[t]o protect individual's
privacy, [the Respondent] shall redact the
names and identifying information of employees from the reports
prior to disseminating them."
[Editor's note: It is unclear why permitting the
Respondent to redact names and other
identifying information prior to dissemination of the reports
assists in protecting the privacy of the
individuals involved when the Complainant already has obtained
the reports from another source, and
the Secretary just ruled that there was no authority to issue a
protective order in regard to information
obtained outside discovery. The Secretary's decision perhaps
implies that Complainant had voluntarily
agreed to redact names and identities before he disseminated the
reports.]
The Secretary noted that the reports filed with him by the
Complainant are subject to FOIA, but decided
to treat the Respondent's request for a protective order as a
designation of the reports as confidential
commercial information pursuant to 29 C.F.R. § 70.26. The
Secretary also received the reports
into the record for purposes of determining whether there are
genuine material issues of fact that would
preclude summary judgment, but left it to the ALJ to determine on
remand whether the reports would be
admitted into evidence.
VII A 5 ALJ's continuing jurisdiction over protective
order
Upon transmission of a recommended decision, an ALJ loses
jurisdiction to modify the recommended
decision itself. See, e.g., Dutile v. Tighe Trucking,
Inc., 93-STA-31 (Sec'y Mar. 16, 1995), slip
op. at 3. Nonetheless, the ALJ retains jurisdiction in an ERA
case to modify a protective order even
after transmittal of his or her recommended decision to the
Secretary because the modification would
not alter the terms of the ALJ's recommended decision pending the
Secretary's review. The ALJ's
"jurisdiction over a protective order continues even after
the Secretary has issued a final decision,
for so long as the protective order is in effect."
Holden v. Gulf States Utilities, 92-
ERA-44 (Sec'y Apr. 14, 1995), slip op. at 6-7.
In Holden, the Secretary ruled on the Respondent's
motion to modify the ALJ's
protective order rather than to remand this issue to the ALJ,
nothing that 5 U.S.C. § 557(b)
provides that upon "review of the initial decisions, the
agency has all the powers which it would
have in making the initial decision. . . ." Slip op. at 7.
The Secretary also indicated that the ALJ or the Secretary has
wide latitude to modify or lift a protective
order. Slip op. at 8 n.5.
In Reid v. Methodist Medical Center of Oak Ridge,
93-CAA-4 (Sec'y Apr. 3, 1995), a
primary issue was whether the Complainant was an employee within
the meaning of various
environmental whistleblower provisions (CAA, TSCA, CERCLA, SDWA,
SWDA, and FWPCA).
The ALJ did not commit reversible error in declining to order
discovery that Complainant asserted
related to jurisdictional issues prior to issuing his recommended
order ruling on the jurisdictional
underpinning of the case where the facts necessary to make a
determination on the issue were either
contained in a contract or were within the personal knowledge of
the Complainant (who failed to use
affidavits to support his position on the issue of jurisdiction).
Although the Secretary recognized that under certain
circumstances it is necessary and proper to allow
a party to engage in discovery of facts related to jurisdictional
issues prior to ruling on jurisdiction, he
noted that the Complainant's counsel's interrogatories were
largely relevant to other issues, not relevant
to the case at all, and related to information already within the
Complainant's control. The Secretary
also noted that Complainant made no attempt to justify the
asserted need for answers to the
interrogatories with reference to the specific information he
sought to gain.
[Nuclear and Environmental Digest VII A 6] DISCOVERY; DEPOSITION OF COMPENSATION COMMITTEE WHICH WAS TECHNICALLY A SEPARATE ENTITY FROM THE DEFENDANT
In Hobby v. Georgia Power Co., 1:01-CV-01407 (N.D.Ga. May 23, 2006) (case below ARB No. 98-166, ALJ No. 1990-ERA-30), the Plaintiff was seeking enforcement of a DOL order on his ERA whistleblower complaint, which included as one of the remedies the restoration of stock options. The Defendant objected to notice of deposition of three members of its compensation committee on the grounds that those members had no relevant knowledge of the issues and were not individuals under the control of the defendant, and could only be compelled to attend pursuant to a subpoena. The court acknowledged that the compensation committee was technically a separate entity from the Defendant, but that it had been described as having a role in making option grants to employees, which was an integral part of the dispute, and as a practical matter, part of the Defendant's defense. Thus, the court ordered the Defendant to produce the witnesses.
[Nuclear and Environmental Whistleblower Digest VII A 6]
DISCOVERY; INFORMATION ABOUT CRIMINAL RECORD
In Dann v. Bechtel SAIC Co., LLC, 2005-SDW-4, 5 and 6 (ALJ May 13, 2005), the Respondent sought discovery about misdemeanor convictions or prior criminal charges or arrests of the Complainants, and filed a motion seeking enforcement of the discovery request by the ALJ. The ALJ found that the Complainants correctly pointed out that under the rules of evidence it is not ordinarily permissible to use felony convictions for impeachment purposes unless the convictions occurred within the past 10 years. The ALJ ruled, however, that
[T]his does not mean that a respondent is barred from obtaining information in discovery about misdemeanor convictions or prior criminal charges or arrests. Misdemeanor convictions concerning false statements or acts of dishonesty are admissible if they occurred within the last 10 years and even information about prior arrests or criminal charges might reasonably be expected to lead to the discovery of admissible evidence. Accordingly, the Complainants will be required to provide Bechtel SAIC the requested information about misdemeanors that involved false statements or acts of dishonesty and information about any prior arrests or criminal charges. However, the Complainants need provide information about such incidents only if they occurred within the last 10 years.
[Nuclear & Environmental Whistleblower Digest VII A 6]
DISCOVERY; INFORMATON ABOUT AGENCY'S RECORDS MANAGEMENT AND ELECTRONIC RECORD KEEPING
In Kaufman v. U.S. Environmental Protection Agency, 2002 CAA 22 (ALJ Aug. 5, 2003), Complainant sought to depose witnesses concerning EPA's "response to document production requests as they relate to electronic records made by Complainant in the course of pursuing his whistleblower complaint." Slip op. at 1, quoting Complainant's Deposition Notice and Respondent's Motion. Respondent objected, arguing that Complainant was not seeking information relevant to his whistleblowing retaliation claims but EPA's procedures for complying with Federal records management requirements and its electronic record keeping capabilities. The ALJ denied the objection, holding that the information sought "could reasonably lead to the discovery of evidence that would be admissible at the hearing."
[Nuclear and Environmental Whistleblower Digest VII A 6]
DISCOVERY; AUDIOVISUAL DEPOSITIONS
In Rosen v. Fluor Hanford, Inc., 2005-ERA-15 and 2005-TSC-1 (ALJ July 26, 2005), the ALJ held that the Complainant's counsel could record depositions by audiovisual media following the procedures set out in FRCP 30(b)(2) and (4), and the Local Rules of the applicable federal district court. The ALJ ordered that the recorded media shall be retained in the custody of the attorney for the party recording the deposition, and that the recordings shall be held in confidence.
[Nuclear & Environmental Digest VII A 6] DISCOVERY; DOL DOES NOT HAVE JURISDICTION TO ORDER OTHER AGENCIES TO COMPLY WITH FOIA REQUESTS
In Williams v. Lockheed Martin Energy Systems, Inc., ARB No. 98-059, ALJ No. 1995-CAA-10 (ARB Jan. 31, 2001), the ALJ denied Complainant's motion to order the Department of Energy to comply with his FOIA request. The ARB held that this was a correct ruling by the ALJ as "the Department of Labor does not have jurisdiction to rule on DOE FOIA matters."
[Nuclear and Environmental Digest VII.A.6.] DISCOVERY; PROTECTION OF PERSONNEL RECORDS
In Khandelwal v. Southern California
Edison, ARB No. 98-159, ALJ Nos. 1997-ERA-6 (ARB Nov. 30, 2000), the ARB
commented that "[w]hen an employer's personnel records are sought in discovery, the
confidentiality of information that otherwise qualifies as discoverable may be protected through
restrictions on the use of that information. See Lyoch v. Anheuser-Busch Cos., 164
F.R.D. 62, 68-69 (E.D. Mo. 1995). Such restrictions may be embodied in a mutual agreement
between the parties or a protective order issued under Section 18.15. See
Lyoch, 164 F.R.D. at 68-69; 29 C.F.R. §18.15."
ADMISSIONS; FAILURE TO HONOR REQUEST FOR DATA NOT AN ADMISSION
WHERE OPPOSING PARTY DID NOT REQUEST ADMISSION OR SEEK ORDER TO
COMPEL
[N/E Digest VII A 6]
In Seater v. Southern California Edison
Co., 95-ERA-13 (ARB Sept.
27, 1996), Complainant contended that Respondent's refusal to provide data on
the number of
employees who had engaged in whistleblowing activity that were still employed
by Respondent
constituted an admission. The Board held, however, that since Complainant did
not pursue this
data by means of a request for admission nor seek an order to compel
discovery, there was no
admission.
DISCOVERY; MOTION TO COMPEL, SUFFICIENT SPECIFICITY
[N/E Digest VII A 6]
In Stephenson v. National Aeronautics & Space
Administration, 94-TSC-5 (Sec'y Dec. 13,
1995)(order), the Secretary indicated that the it was
reasonable for the ALJ to require additional specificity in
a motion to compel discovery.
VII a 6 Complainant nonsuited; dilatory in
retaining counsel
In Billings v. Tennessee Valley Authority, 86-ERA-
38 (Sec'y June 28, 1990), the Complainant was found to be
dilatory in retaining counsel where he had filed his complaint in
June 1986, some two months prior to the scheduled hearing, he did
not attempt to retain counsel until he heard about the hearing,
and the record contained no appearance of counsel for the
Complainant until after the ALJ had ruled against him in October
1986. The ALJ considered a motion for reconsideration and issued
a second Decision and Order denying the motion for
reconsideration. Accordingly, the Complainant had ample
opportunity to afford himself of counsel before the ALJ and the
Secretary of Labor.
The Secretary noted the Complainant's lack of diligence in
support of her finding that he was not prejudiced by a lack of
formal notice of the hearing date, non-appearance at the hearing,
and the lack of legal representation. The Secretary also noted
that the ALJ had not used the abbreviated hearing as a basis for
the decision on the motion for summary judgment.
[Editor's note: The Secretary held in Tankersly v. Triple
Crown Services, Inc., 92-STA-8 (Sec'y Feb. 18, 1993), that an
ALJ has no jurisdiction to consider a motion for reconsideration
after issuance of the recommended decision and order. In the
instant case, however, she used the ALJ consideration of the
motion for reconsideration to support a finding of lack of
prejudice.]
VII A 6 Enforcement of ALJ discovery orders by federal
courts
In In re Willy, 831 F.2d 545 (5th Cir. 1987), the
Complainant sought review under the All Writs Act in the Court of
Appeals to resolve the question of whether certain materials were
protected from an ALJ's order compelling discovery where the
Respondent claimed that the documents were subject to the
attorney-client privilege. The Complainant sought relief in the
Court of Appeals because he had determined that no statute
conferred jurisdiction on a district court to enforce the
administrative discovery order of an ALJ of the sort presented in
this case. The Court of Appeals assumed, but did not decide,
that 29 C.F.R. § 18.29(b) was not applicable.
The court held that
Orders denying or directing discovery are interlocutory
and so not appealable except as part of the final decision
disposing of the case on the merits. [The Complainant's]
asserted need for the documents that are the subject of the
discovery dispute does not constitute irreparable injury of
the kind required to interrupt an administrative proceeding.
[The Respondent] is not a petitioner, and, while it urges us
to grant [the Complainant's] petition as a matter of justice
and efficiency in litigation, it has neither asserted nor
shown that it faces a drastic sanction such as a judgment of
default. It therefore has not shown that its claim of
privilege requires immediate, interlocutory review.
Willy, 831 F.2d at 549 (footnotes omitted).
[Editor's note: The ALJ had declined to find the Respondent in
default, but had directed the Complainant to seek enforcement of
the discovery order in district court. Before the discovery
matter proceeded much further, the ALJ issued a recommended order
of dismissal based on Brown & Root. The Secretary
later respectfully declined to follow Brown & Root and
remanded the case.
On remand, the parties apparently agreed to a sealing of the
record (not including the recommended decision or the Secretary's
decision, as a compromise. I don't have a copy of the Order
regarding In Camera Procedures issued by the ALJ.]
[Nuclear & Environmental Digest VII B 1] SUBPOENAS; AUTHORITY TO ISSUE; EXERCISE OF DISCRETION TO ISSUE
In Childers v. Carolina Power & Light. Co., ARB No. 98-077, ALJ No. 1997-ERA-32 (ARB Dec. 29, 2000), the ARB ruled that ALJs have inherent power to issue subpoenas when a statute requires a formal trial-like proceeding. In so ruling, it was necessary for the ARB to revisit the decision of the Secretary of Labor in Malpass v. General Electric Co., 1985-ERA-38 & 39 (Sec'y Mar. 1, 1994), which stated in dictum that ALJs lack subpoena power under the whistleblower provision of the ERA, 42 U.S.C. §5851, because §5851 does not delegate subpoena power by express terms. The ARB carefully reviewed statutory and decisional authority and made the following rulings:
1. Stare decisis does not prevent withdrawal of the Malpass dictum.
2. Administrative subpoenas are essential tools widely used by agencies responsible for assuring compliance with health and safety legislation
3. Although the Malpass dictum and other commentators have assumed that administrative subpoena power is delegable only by express statutory terms, closer review of the "express authorization" rule reveals that it is not relevant to the question of whether agencies are authorized to issue administrative subpoenas
4. Statutory mandates for agencies to provide formal trial-type hearings e.g., the ERA whistleblower provision necessarily encompass subpoena authority (citing authority to effect that it would be incongruous to grant an agency authority to adjudicate and make findings of fact, without also providing the authority to assure the soundness of the fact finding).
5. An agency given the power to adjudicate is entitled to use subpoenas simply by virtue of the agency's discretion to choose procedural mechanisms. The ARB cited the examples of warrants a far more intrusive procedural mechanism than subpoenas as not being subject to an express authorization requirement; thus, if an agency can issue a warrant when helpful, it must follow that subpoenas are a procedural device available to an agency when helpful.
The ARB noted that the ERA does provide express subpoena authority to the NRC in the conduct of its hearings, which can include whistleblower proceedings, but concluded that this could not be construed as evidence of purposeful exclusion of that authority to DOL given the 24-year interval between enactment of the two provisions, and the extensiveness and complexity of the ERA, to which the section 5851 provision plays only a supporting role.
6. Although Malpass suggested that the fact that the ALJ would not be able to punish noncompliance with subpoenas by contempt sanctions bears on the question of subpoena power ab initio, on closer review no connection exists between the question whether an agency has subpoena power and the fact that agencies lack power to impose civil or criminal contempt sanctions for noncompliance with agency subpoenas. Even agencies that have express subpoena authority lack power to impose contempt sanctions.
7. An unpublished Fourth Circuit decision relying on Malpass contains a ruling that an ALJ lacked subpoena authority under the whistleblower provision of the FWPCA, Immanuel v. United States Dep't Labor, 139 F.3d 889 (unpublished table decision) (4th Cir. 1998), 1998 WL 129932. The Immanuel court reasoned that administrative subpoenas must be authorized by express terms in the enabling legislation because §§555(d) and 556(c)(2) of the APA state that agencies may issue subpoenas in adjudications when "authorized by law." 5 U.S.C.A. §555(d) (agency subpoenas "authorized by law shall be issued to a party on request"); 5 U.S.C.A. §556(c)(2) (providing that, subject to published rules of the agency and within its powers, employees presiding at administrative hearings may issue subpoenas "authorized by law"). Thus, the court apparently assumed that the term "authorized by law" means "authorized by express statutory terms." The ARB, however, held that "Authorized by law" is clearly not the same as "authorized by explicit statutory text."
Although the ARB concluded that the ALJ erred in ruling that he did not have subpoena power, under the circumstances in Childers, a remand was unnecessary because nothing in the administrative record indicated that the witnesses whom Complainant intended to subpoena could have materially aided him in establishing that Respondent's decision to fire him was influenced by protected activity.
One member of the Board issued a separate opinion, concurring in part and dissenting in part. The member concurred with the ruling that the ERA implicitly empowers the ALJ with subpoena authority to compel the attendance of witnesses at hearing, but believed that, under Mathews v. Eldridge, 424 U.S. 319 (1976), a determination must be made as to whether due process compels issuance of the requested subpoenas in a particular case before an ALJ. The majority expressly disavowed the separate opinion to the extent that it diverged from the majority opinion.
[Nuclear and Environmental Whistleblower Digest VII B 1]
SUBPOENAS; REQUEST FOR SUBPOENAS WHILE CASE PENDING BEFORE THE ARB
In Reid v. Constellation Energy Group, Inc., ARB No. 04-107, ALJ No. 2004-ERA-8 (ARB Oct. 13, 2004), Halpern v. XL Capital, Ltd., ARB No. 04-120, ALJ No. 2004-SOX-54 (ARB Oct. 13, 2004) and Cummings v. USA Truck, Inc., ARB No. 04-043, ALJ No. 2003-STA-47 (ARB Sept. 15, 2004), the ARB denied the requests of pro se complainants to obtain subpoenas from the ARB. The Board observed in each case that the Board acts in an appellate capacity and its decision is based only on evidence considered by the ALJ in the initial hearing.
[N/E Digest VII B 1]
SUBPOENA POWER; DOL NOT AUTHORIZED TO ISSUE SUBPOENAS UNDER
FWPCA
In Immanuel v. Wyoming Concrete Industries, Inc., 95-WPC-3 (ARB
May
28, 1997), the Board rejected Complainant's request for a remand instructing
the ALJ to issue
subpoenas for relevant witnesses and evidence. The Board stated that
"the WPCA does not
authorize the issuance of subpoenas in whistleblower proceedings.
[Complainant's] constitutional
argument for this request cannot be considered because it is not within the
Board's jurisdiction.
Secretary's Order 2-96, § 4 (delegation of authority and assignment of
responsibility), 61
Fed. Reg. 19978-79. See n.1."
See also Malpass v. General Electric Co., 85-ERA-38 and 38 (Sec'y Mar.
1, 1994).
[Nuclear & Environmental Digest VII B 1]
SUBPOENAS; MATTER INVOLVING CLAIM AGAINST THE UNITED STATES
In Beliveau v. Naval Undersea Warfare Center, 1997-SDW-6,
Respondent filed a motion requesting the Secretary of Labor to apply for the issuance of
subpoenas pursuant to 5 U.S.C. § 304. According to Respondent's motion, section 304
"...grants authority to federal departments, upon the request of the department head, to
petition a judge or clerk of court of a United States District Court to issuance subpoenas in
matters that are pending before the agency, if the matter involves a claim against the United
States." The motion notes case law to the effect that issuance and enforcement of a section
304 subpoena is proper where the inquiry is within the authority of the department, the demand is
not too indefinite, and the information requesting is reasonably relevant. The motion was still
pending at the time of the writing of this case note.
[Nuclear & Environmental Digest VII B 1]
SUBPOENAS; ATTEMPT BY RESPONDENT TO OBTAIN FROM EPA
In Schooley v. Chugach North Technical Services, 1998-TSC-5,
Respondent requested that the presiding DOL administrative law judge issue two subpoenas for third
party witnesses. Respondent noted in its request that it was concurrently seeking to have the
Administrator of the Environmental Protection Agency issue subpoenas under the authority of 15
U.S.C. § 2610(c), arguing that this section of the TSCA provides express authority for EPA to
issue subpoenas to carry out the whistleblower section, and that nothing in the TSCA precludes the
EPA Administrator from doing so, even though the witnesses would appear in a hearing before the
DOL.
The ALJ declined to issue the subpoenas, and the scheduled hearing was conducted before EPA
responded to Respondent's subpoena request. The two third party witnesses did not appear to testify
at the hearing.
[N/E Digest VII B 1]
COMPELLING ATTENDANCE OF WITNESSES; SUBPOENA POWER
In Immanuel v.
USDOL, No. 97-1987 (4th Cir. 1998)(per curiam) (unpublished) (case below ARB No. 96-022, ALJ
No.
95-WPC-3), the Fourth Circuit held that the ALJ abused his discretion when he denied
Complainant's request to compel the attendance of witnesses within the control of Respondent
(Complainant's former employer).
The court agreed that the ALJ did not have the authority to issue subpoenas to compel the
appearance of witnesses under the FWPCA, 33 U.S.C. § 1367(a). See 33
U.S.C.
§ 1369(a) (authorization of subpoenas under FWPCA excludes whistleblower provision);
see also 5 U.S.C. § 555(d); 5 U.S.C. § 556(c)(2). Nonetheless, the
court
found that 29 C.F.R. § 18.29(a) provides clear authority for an ALJ to compel the
appearance of all witnesses within the control of Respondent.
[N/E Digest VII B 1]
SUBPOENA POWER; DOL DOES NOT HAVE SUBPOENA POWER UNDER THE
SWDA OR THE FWPCA
In Oliver v. Hydro-Vac Services,
Inc., 91-SWD-1 (ARB Jan. 6, 1998),
both Complainant and Respondent filed exceptions to the ALJ's refusal to issue
third party
subpoenas. The ARB denied the exceptions, stating that "[i]t is well
established that an
agency has no authority to issue subpoenas absent explicit statutory
authority." Slip op. at
2 (citations omitted).
The ARB noted that an ALJ has authority to compel testimony and production of
documents from witnesses in control of the parties under 29 C.F.R. §
18.29(a)(3), and by
making appropriate adverse findings for failure of a party to comply.
See Fed. R. Civ.
Pro. 37(b)(2)(A), (B) and (C).
The ARB found that the ALJ acted within his discretion in admitting certain
documents
objected to by Respondent and according them appropriate weight in light of
the lack of an
opportunity for cross-examination. 29 C.F.R. § 24.5(e).
[N/E Digest VII B 1]
SUBPOENA; ALJ'S AUTHORITY TO ISSUE
In Nason v. Maine Yankee Atomic Power Co., 97-ERA-37 (ALJ Nov.
12,
1997), the ALJ indicated that he would issue subpoenas in an ERA at the
request of either party.
The ALJ stated his opinion that the Secretary of Labor's dicta in
Malpass v. General
Electric Co., 85-ERA-38 and 39 (Sec'y Mar. 1, 1994), about subpoena
power failed
"to take into consideration the inherent authority of an administrative
law judge to issue
subpoenas as is permitted by the Office of Administrative Law Judges' Rules of
Practice."
The ALJ stated that "...I deem it necessary for the recipient of the
subpoena to determine
whether or not he or she will abide by the subpoena."
VII B 1 ALJ's authority to issue
subpoenas
In Hill v. Tennessee Valley Authority, 87-ERA-23
(ALJ Apr. 17, 1990), the ALJ concluded that he had the authority
to issue subpoenas in an ERA whistleblower case. He concluded
that "so that the Secretary may afford a constitutionally
adequate hearing, Section 210 of the ERA must be construed as
implicitly granting subpoena power. It follows from this
conclusion and §556(c) of the APA that an administrative law
judge of the Department of Labor also has subpoena power."
[Editor's note: Judge De Gregorio goes through an interesting
discussion to reach this conclusion. The order is worth reading
for anyone faced with this issue.]
SUBPOENAS; RECEIPT OF HEARSAY DOCUMENT WHERE
ATTENDANCE OF WITNESS COULD NOT BE COMPELLED BECAUSE
OF LACK OF SUBPOENA POWER
[N/E Digest VII B 1 and VII D 2]
In Macktal v. Brown & Root, Inc., 86-ERA-23 (ALJ
Nov. 25, 1996), the ALJ received a hearsay document submitted by
Complainant to establish certain matters where Complainant could not compel
the attendance of the declarant by subpoena. The ALJ, however, cautioned
Complainant that the hearsay document, without corroborating evidence,
lacked evidentiary value.
VII B 1 DOL does not have subpoena power in ERA
cases
In Malpass v. General Electric Co., 85-ERA-38 and
39 (Sec'y Mar. 1, 1994), in discussing the power of the
Department of Labor to impose costs and fees against a
complainant in an ERA whistleblower proceeding, the Secretary
stated:
It seems clear . . . that the Secretary (or an ALJ) has
no power under the ERA to issue subpoenas or to punish for
contempt for failure to comply with a subpoena. Under the
APA, an [ALJ] presiding at a hearing only has authority to
"issue subpoenas authorized by law", section 7(b),
5 U.S.C. § 556(c)(2), and there is no such
authorization in the ERA.
* * *
Furthermore, I do not believe the Secretary can assume
powers not delegated to him by Congress simply by
incorporating provisions, such as the Federal Rules of Civil
Procedure, in departmental regulations. If he could, any
agency could adopt rules, for example, giving itself
subpoena power, which as noted above, it can only exercise
when explicitly delegated. I think the incorporation of the
Federal Rules in 29 C.F.R. § 18.29 is for purposes of
procedure and case management to fill in any gaps where no
specific provision of the Rules of Practice is
applicable.
Slip op. at 21, 22.
[Editor's note: Although the Secretary's discussion of DOL
subpoena power in Malpass may be characterized as
dicta, it is explicit. Prior to Malpass, a few
ALJs found that the DOL does have the power to issue subpoenas in
whistleblower proceedings despite the absence of explicit
statutory authority.
See, for example Coupar v. Federal Prison
Industries/Unicor, 92-TSC-6 and 8 (ALJ May 8, 1992)
(prehearing order) (citing 29 C.F.R. § 24.5(e)(1));
Hill v. Tennessee Valley Authority, 87-ERA-23 (ALJ
Apr. 17, 1990) (due process); Young v. Philadelphia
Electric Co., 87-ERA-36 (ALJ Sept. 15, 1987) (prehearing
order) (ERA's legislative history indicates that its
proceedings were meant to operate in same fashion as the
National Labor Management Act and the Federal Coal Mine
Safety and Health Act; due process).
The Federal Water Pollution Control Act, 33 U.S.C. § 1369(a)(1)
authorizes issuance of
subpoenas to carry out the purpose of section 1367(e). Section 1367(a)-(d)
constitutes the
"whistleblower" provision of the Federal Water Pollution Control Act, but
section 1367(e) is tied
to the Administrator's issuance of effluent limitations orders or any other
order under the chapter.
Thus, I doubt that section 1369(a)(1) authorizes subpoenas in DOL
whistleblower proceedings
except, possibly, in very limited circumstances Arguably, if the complaint
was based on
discrimination resulting from a Secretary's order in a FWPCA whistleblower
proceeding (e.g., a
blacklisting complaint), a subpoena might be authorized by section
1369.]
SUBPOENA POWER OF NRC [N/E Digest VII B 1]
When investigating whether a respondent's past treatment of
whistleblowers posed a threat to public health and safety, the
court in United States of America v. Construction Products
Research, Inc., 1996 U.S. App. LEXIS 202 (2d Cir. 1996)
(related to 93-ERA-25), held that the NRC has subpoena power
pursuant to 42 U.S.C. § 2201(c). The court rejected the
respondent's argument that subpoena power for such an
investigation was not within the NRC's statutory authority
because, under the respondent's theory, Congress delegated to DOL
the task of investigating all potential nuclear safety risks
resulting from adverse employment practices.
VII B 1 Authority of ALJ to issue subpoenas
In Young v. Philadelphia Electric Co., 87-ERA-36
(ALJ Sept. 15, 1987) (memorandum and order ruling on Department
of Labor's motion to quash subpoenas), the ALJ ruled that the
Office of Administrative Law Judges has the authority to issue
subpoenas in ERA whistleblower proceedings. In making that
determination, the ALJ examined the legislative history of the
ERA and concluded that the ERA whistleblower provision was meant
to operate in the same fashion as similar provisions of the
National Labor Management Act and the Federal Coal Mine Safety
and Health Act, which both provide Secretarial authority to issue
subpoenas. He also cited due process necessity for subpoena
power, and 29 C.F.R. Part 18's reference to the Federal Rules of
Civil Procedure for any situation not provided for or controlled
by Part 18. See 29 C.F.R. § 18.1; Fed. R. Civ. P.
45.
VII B 1 DOL does not have subpoena power in ERA
cases
In Bixby v. State of New Mexico, 94-TSC-1 (ALJ Apr.
14, 1994), the ALJ cited Malpass v. General Electric Co.,
85-ERA-38 and 39 (Sec'y Mar. 1, 1994), in denying both parties'
request for subpoenas. The ALJ stated that "[a]lthough the
Secretary's holding regarding subpoena power in ERA cases is
dicta, such an unequivocal enunciation of the law cannot be
ignored."
VII B 1 Authority to issue subpoenas
In Coupar v. Federal Prison Industries/Unicor, 92-
TSC-6 and 8 (ALJ May 8, 1992) (order granting request for
subpoenas), the ALJ held that 29 C.F.R. § 24.5(e)(1)
authorizes the issuance of subpoenas and does not exceed the
investigatory authority granted by the various environmental and
nuclear acts.
7 b 1
VII B 1 No subpoena power in TSC, CAA and SWDA
cases
In Bixby v. State of New Mexico, Office of the Commissioner
of Public Lands, 94-TSC-1 (ALJ Apr. 14, 1994)(prehearing
order), the ALJ found that the Secretary's unequivocal dicta in
Malpass v. General Electric Co., 85-ERA-38 and 39 (Sec'y
Mar. 1, 1994), clearly enunciated that the ERA does not authorize
the Department of Labor to issue subpoenas. The ALJ found that
the reasoning of Malpass was equally applicable to cases
arising under the TSC, CAA and SWDA.
VII B 1 ALJ's authority to issue subpoenas
In O'Sullivan v. Northeast Nuclear Energy Co., 88-
ERA-37 and 38 (ALJ Aug. 18, 1989), the ALJ concluded that
subpoena power has not been authorized by Congress for a
proceeding under section 5851, and as a result, an ALJ does not
have the power to issue a subpoena, that protracted prehearing
discovery is not contemplated by the ERA whistleblower
provisions, and that the ALJ hearing with review by the Secretary
provides due process.
[Editor's note: The case was settled before the Secretary.
O'Sullivan v. Northeast Nuclear Energy Co., 88-ERA-37, 38,
89-ERA-34, 90-ERA-4, 33, 34, 91-ERA-51, 92-ERA-3 (Sec'y June 17,
1992).]
VII B 1 Applicability of Part 18 to proceedings before
Wage and Hour Division
In Douglas v. Tennessee Valley Authority, xx-xxx-xx
(ALJ Feb. 3, 1994), the Chief ALJ
granted Respondent's motion to quash a subpoena that had been
issued bearing the seal of the Office
of Administrative Law Judges. The complaint was still under
investigation by the Wage and Hour
Division, and the Chief ALJ concluded that regulation under which
subpoenas are issued by OALJ may
only be applied in proceedings before OALJ. 29 C.F.R.
§§ 18.1 and 18.24.
[Editor's Note: The Secretary has indicated in
dicta that the Department of Labor does
not have subpoena power in ERA proceedings. See Malpass v.
General Electric Co., 85-ERA-
38 and 39 (Sec'y Mar. 1, 1994).]
In Marthin v. Tad Technical Services Corp., 94-WPC-
1, 2 and 3 (Sec'y June 8, 1994), the ALJ found that certain
provisions of a settlement agreement attempted to prohibit
Complainant from contacting government agencies or officials, and
from participating in any proceedings against Respondents. The
Secretary agreed, finding that under one provision Complainant
could be prohibited, among other things, from providing
information to, or assisting or cooperating with, the Department
of Labor in investigations of complaints against Respondents, or
involving Respondents, under the WPC or any other environmental
whistleblower protection statute.
Since the parties specifically agreed that none of the terms of
their agreement could be "changed, waived or added to"
except by writing signed by all parties, the cases were remanded.
VII B 1 Adverse inference based on failure of
witness
to comply with unenforceable
subpoena
In Crosby v. United States Dept. of Labor, No.
93-70834 (9th Cir. Apr. 20, 1995)
(unpublished) (case below 85-TSC-2), the court found no
reversible error for the ALJ's not drawing an
adverse inference based on the Complainant's inability to examine
certain witnesses after the district
court refused to enforce a subpoena for them. The ALJ determined
that their testimony would have
been immaterial, and the Complainant did have an opportunity to
examine the officials who actually fired
him.
In Young v. Philadelphia Electric Co., 87-ERA-36
(ALJ Sept. 15, 1987) (memorandum and order ruling on Department
of Labor's motion to quash subpoenas), the ALJ ruled that the
Office of the Solicitor's reliance on the Department of Labor's
"housekeeping" regulations found at 29 C.F.R.
§§ 2.20-2.25 -- which require Department officials who
are served with a subpoena to notify the Office of the Solicitor
and to comply with that Office's instructions in regard to
whether to disclose the requested information -- was misplaced
since the purpose of those regulations did not support the
Solicitor's motion to quash subpoenas issued in the case. The
ALJ concluded that the regulations were premised on the theory
that as a matter of internal management the head of an agency is
authorized to reserve the authority to release records (i.e., it
protects the lower level official from being held in contempt).
They do not authorize the withholding of information from the
public or limiting the availability of records to the public.
Any justification for excluding government records must rest
solely on the assertion that such material is privileged -- an
assertion not made in the instant case.
VII B 2 "Housekeeping" regulation as ground
to quash subpoena
In Emory v. United States Environmental Protection
Agency, 93-SDW-4 (ALJ Dec. 3, 1993) (prehearing order),
the United States Department of Justice (DOJ) moved to quash
Complainant's subpoena duces tecum to a former Deputy Assistant
Attorney General and former Acting Assistant Attorney General,
Environmental and Natural Resources Division, DOJ. Complainant's
complaint is based on alleged retaliation for documenting
mishandling of criminal cases involving the enforcement of
environmental laws by DOJ. DOJ maintained that Complainant had
failed to request and obtain DOJ authorization for the deponent's
testimony and production of documents pursuant to its regulations
at 28 C.F.R. §§ 16.21-16.29. No privilege was
asserted.
The ALJ noted that the regulations at issue are so-called
"housekeeping" regulations issued pursuant to 5 U.S.C.
§ 301, which provides
The head of an Executive Department or military
department may prescribe regulations for the government of
his department, the conduct of its employees, the
distribution and performance of its business, and the
custody, use and preservation of its records, papers and
property. This section does not authorize withholding
information from the public or limiting the availability of
records to the public.
The ALJ noted the purposes of such regulations and found that
they did not justify denial of the disclosure sought in the
instant proceeding. In regard to the specifics of the
regulations, the ALJ found that the United States was a party,
and therefore a regulation requiring prior DOJ approval for
disclosure by a current or former DOJ employees when the United
States is not party, was not applicable. See 28 C.F.R. §
16.22. The second section proffered by DOJ as requiring prior
approval referred only to "attorney[s]" whereas the
first section referred to "employee[s] or former
employee[s]". See 29 C.F.R. §§ 16.22(a) and
16.23(a). The ALJ found that DOJ knew how to do it when it
wanted a regulation to apply to former employees, and since the
deponent was a former employee, the second section did not apply.
In Young v. Philadelphia Electric Co., 87-ERA-36
(ALJ Oct. 26, 1987) (order ruling on the Department of Labor's
request for interlocutory appeal to the Secretary of Labor), the
ALJ denied the Office of the Solicitor's request for an
interlocutory appeal to the Secretary in regard to his earlier
ruling denying the Solicitor's motion to quash subpoenas. The
ALJ found that the Solicitor had failed to show irreparable
injury if an interlocutory appeal was not granted, and that the
Department had an adequate remedy insofar as OALJ subpoenas are
not self executing, and may only be enforced by the Federal
District Court. See 29 C.F.R. § 18.24.
An administrative subpoena is valid if "[t]he inquiry . . .
[is] within the authority of the agency, the demand . . . [is]
not too indefinite, and the information . . . [is] reasonably
relevant to the inquiry." United States v. Allis
Chalmers Corp., 498 F. Supp. at 1027, 1029 (E.D. Wis. 1964)
(citing United States v. Morton Salt Co., 338 U.S. 632, 70
S. Ct. 357, 94 L.Ed. 401 (1950)).
Coupar v. Federal Prison Industries/Unicor, 92-TSC-6 and
8 (ALJ May 8, 1992) (order granting request for subpoenas).
[Nuclear & Environmental Digest VII B 4]
SUBPOENA DUCES TECUM SERVED ON PARTY
In Graf v. Wackenhut Services LLC, 1998-ERA-37 (ALJ Mar. 9,
1999), Respondent served a subpoena duces tecum on Complainant. Complainant
objected, arguing that a subpoena duces tecum is an inappropriate method for obtaining a
document from a party. The ALJ found that a party had the option of proceeding under either 29
C.F.R. § 18.24 (subpoenas) or § 18.19 (production of documents) in compelling the
production of documents by an opposing party, but that the regulations must be construed in
pari material. The ALJ concluded that the specific terms of section 18.19 should govern the
general terms of section 18.24 in determining the proper scope of a subpoena duces
tecum and the period of time in which a party has to respond to such.
In Seda v. Wheat Ridge Sanitation District, 91-WPC-
1, 2 and 3 (ALJ June 26, 1991) (prehearing order), the ALJ
granted Employer's motion to partially quash subpoenas of Board
members when the subpoenas sought "all other documents in
your possession concerning . . . District operations."
Employer had contended that literal compliance with the subpoenas
would be logistically difficult and disrupt the operations of the
District. In addition, the documents did not appear to be
relevant.
[Nuclear and Environmental Whistleblower Digest VII B 5]
SUBPOENA AUTHORITY OF ALJ; PROTECTIVE ORDER TO PROTECT PRIVACY AND CONFIDENTIAL MATTERS TO EXTENT POSSIBLE
In Williams v. Indiana Michigan Power Co., 2004-ERA-24 (ALJ Nov. 9, 2004), the Respondent had served a subpoena on a non-party company seeking information about the Complainant's work for that company. The non-party company moved to quash the subpoena on the theory that ALJs do not have the authority to issue a subpoena to a non-party. The ALJ rejected this contention based on the ARB decision in Childers v. Carolina Power & Light Co., ARB No. 98-077, ALJ No. 1997-ERA-32 (ARB Dec. 29, 2000), which found that ALJs have subpoena power in ERA cases and which made no distinction between parties and non-parties. The ALJ found that Childers was controlling. He noted the decision of the District Court for the District of Columbia in Bobreski v. U.S. Environmental Protection Agency, 284 F.Supp.3d 67 (D.D.C. 2003) (which held that ALJs do not have supboena power in such cases), but found that it was not controlling as the instant case arises and would be heard in Michigan. The ALJ analyzed the type of information requested - which was specific to the Complainant and did not include any business information or trade secrets -- noted that under the non-party employer's guidelines the Complainant could sign a release, that the non-party employer's primary concern appeared to be (understandably) to protect the privacy rights of employees, that the Complainant and Respondent in the instant case had agreed to a protective order, and that the non-party employer had moved for a protective order if the motion to quash was denied. In view of all of this, the ALJ denied the motion to quash the subpoena and found that the protective order satisfied the needs of the non-party employer.
[Nuclear & Environmental Whistleblower Digest VII B 5]
SUBPOENA; AUTHORITY OF ALJ TO ISSUE; TOUHY REGULATIONS
The District of Columbia U.S. District Court held in Bobreski v. U.S. Environmental Protection Agency, 284 F.Supp.2d 67 (D.D.C. 2003), that DOL ALJs do not have the authority to issue subpoenas in CAA, SDWA, SWDA, CERCLA, WPCA, and TSCA whistleblower cases. The court also held that EPA's denial of the Complainant's request for an investigator's testimony under EPA's Touhy regulations was not arbitrary and capricious.
[Nuclear & Environmental Whistleblower Digest VII B 5]
SUBPOENA; MOTION TO COMPEL DEPOSITION OF FORMER EMPLOYEE
In Kaufman v. U.S. Environmental Protection Agency, 2002 CAA 22 (ALJ Aug. 5, 2003), Complainant served a subpoena on a former EPA official. Although Complainant alleged that the former official was still retained as a paid consultant, Respondent presented a declaration under penalty of perjury that such was not the case, whereas Complainant's allegation was based on unsubstantiated second hand information. Thus, the ALJ found that there was no employment relationship between Respondent and the former official such that Respondent had no control over the former official. Accordingly, the ALJ denied Complainant's motion to compel discovery.
[Nuclear and Environmental Digest VII B 5]
QUASHING OF SUBPOENAS; STRIKING OF WITNESS WHO REFUSES TO BE
DEPOSED
In Graf v. Wackenhut Services LLC, 1998-ERA-37 (ALJ Jan. 28,
1999)(order granting motion to quash subpoena), a person listed on Complainant's list of
intended witnesses moved to quash a subpoena served on him by Respondent. That person was
not a party to the action nor an employee of Respondent. The ALJ granted the motion to quash,
citing 29 C.F.R. § 18.24 and Malpass v. General Elec. Co., 1994 WL 897244 at
*9, 85-ERA-38/39 (Sec'y Mar. 1, 1994). The ALJ suggested that the movant consider voluntary
participation in a deposition.
In a simultaneous order, the ALJ granted Respondent's motion to strike the same witness
from Complainant's witness list, finding that it would unfairly prejudice Respondent if
Complainant was allowed to call that witness at the hearing without first allowing Respondent to
depose the witness. Graf v. Wackenhut Services LLC, 1998-ERA-37 (ALJ
Jan. 28, 1999) (order granting motion to strike witness). In a subsequent order, however, the
ALJ rescinded this order based on Complainant's offer of proof that established to the ALJ's
satisfaction that at least some of this witness' testimony would be an integral part of
Complainant's case and should be allowed at the hearing. Graf v. Wackenhut Services
LLC, 1998-ERA-37 (ALJ Feb. 18, 1999).
In Hooker v. Westinghouse Savannah River, Co., ARB No. 03-036, ALJ No. 2001-ERA-16 (ARB Aug. 26, 2004), the ARB reversed the ALJ based on Fourth Circuit law to the effect that before entering summary judgment against a pro se litigant, the district court must advise the litigant "of his right to file counter-affidavits or other responsive material and [alert the litigant] to the fact that his failure to so respond might result in the entry of summary judgment against him." Slip op. at 9, quoting Roseboro v. Garrison, 528 F.2d 309, 310 (4th Cir. 1975). Notably, the Complainant here did file a response to the motion and asked for additional time to further answer the motion. The ALJ granted the request and subsequently advised the Complainant twice of the need to respond further and twice extended the time for the Complainant to do so. The Complainant did not respond further and the ALJ granted summary judgment because the Complainant "did not produce sufficient evidence that [Respondent] constructively discharged or blacklisted him." Slip op. at 8. The ARB reversed, reasoning that the Complainant "was pro se and the ALJ did not notify him pursuant to Roseboro."
[Nuclear and Environmental Whistleblower Digest VII C 1]
SUMMARY DECISION; MERE SPECULATION INADEQUATE TO DEFEND AGAINST MOTION SUPPORTED BY AFFIDAVITS THAT SHOW A FAILURE OF PROOF ON ESSENTIAL ELEMENT OF CASE; REFUSAL TO HIRE, LACK OF KNOWLEDGE BY HIRING OFFICIALS OF PROTECTED ACTIVITY
In Hasan v. Enercon Services, Inc., ARB No. 04-045, ALJ No. 2003-ERA-31 (ARB May 18, 2005), the ARB affirmed the ALJ's dismissal on summary judgment where the Complainant had failed to set forth specific facts on an issue upon which he would bear the ultimate burden of proof at trial in response to a motion for summary judgment supported by affidavits from managers swearing that they had no knowledge of the Complainant's previous whistleblower activities when they made the decision not to hire him. In other words, the Respondent was entitled to summary decision where it established a complete failure of the Complainant's proof concerning an essential element of the case. The Complainant's only response to the motion had been speculation that the Respondent had not hired him because "some background check" must have disclosed his earlier whistleblower activities or that the affiants must have committed perjury.
[Nuclear and Environmental Whistleblower Digest VII C 1]
SUMMARY JUDGMENT MOTION; NON-MOVING PARTY MAY NOT RELY MERELY ON CONCLUSORY STATEMENTS
In Rockefeller v. U.S. Dept. of Energy, Carlsbad Area Office, ARB No. 03-048, ALJ No. 2002-CAA-5 (ARB Aug. 31, 2004), the ARB wrote that once a party which has moved for summary decision "has demonstrated an absence of evidence supporting the non-moving party's position, the burden shifts to the non-moving party to establish the existence of an issue of act that could affect the outcome of the litigation. The non-moving party may not rest upon mere allegations, speculation, or denials of his pleadings, but must set forth specific facts on each issue upon which he would bear the ultimate burden of proof." Slip op. at 3-4 (citations omitted). Thus, in Rockefeller, the ARB granted summary judgment against the Complainant's blacklisting claim where his response to the Respondent's summary judgment motion, though verified under oath, contained little more than conclusory statements that the Respondent had blacklisted him.
[Nuclear and Environmental Whistleblower Digest VII C 1]
SUMMARY JUDGMENT; REVERSIBLE ERROR TO RULE ON MOTION PRIOR TO RECEIPT OF RESPONSE BY NON-MOVING PARTY OR EXPIRATION OF 15-DAY RESPONSE PERIOD
In Rockefeller v. U.S. Dept. of Energy, Carlsbad Area Office, ARB No. 03-048, ALJ No. 2002-CAA-5 (ARB Aug. 31, 2004), the Respondent had moved for summary decision. The ALJ granted the motion 10 days after it was filed and before receiving a response from the Complainant. The applicable regulations provide 15 days for a response to a motion. The ARB found that the ALJ's ruling was in error, and that the Complainant did not waive his opportunity to respond because he filed a request for reconsideration in which he specifically objected to the premature ruling where the ALJ denied the request for reconsideration.
VII C 1 Extent of discovery required
to be permitted before ruling on a motion for summary
decision
In
Holden v. Gulf States Utilities, 92-ERA-44
(Sec'y Apr. 14, 1995), the Secretary
reversed an ALJ's decision on motion for summary judgment, where
although diligent discovery efforts
had been made, the Complainant was not able to obtain a copy of a
report to counter the Respondent
affidavits in support of its motion for summary decision until
the same day the ALJ granted summary
judgment, and even then, outside of discovery.
[Editor's note: In Holden, at the
time the ALJ issued his recommended
decision, the Complainant had not submitted any evidence to
counter the Respondent's motions. The
Respondent, however, had resisted complying with the ALJ's order
to produce the reports that
Complainant obtained outside discovery on the same day as the
ALJ's recommended decision. The
Respondent, in fact, never supplied the reports prior to issuance
of the ALJ's decision. The reports
contained statements, that if found to be true, provided direct
evidence that Respondent was blacklisting
the Complainant.]
[Nuclear & Environmental Whistleblower Digest VII C 1] SUMMARY DECISION; BALD CONCLUSORY ASSUMPTION IS INSUFFICIENT TO OPPOSE MOTION
In Honardoost v. PECO Energy Co., ARB No. 01-030, ALJ No. 2000-ERA-36 (ARB Mar. 25, 2003), the ARB affirmed the grant of summary decision to Respondent where Complainant failed to proffer any disputed material facts that, if proven, would establish that his employment was terminated because he engaged in protected activity. Merely alleging that he engaged in a protected activity and that he was terminated does not establish a causal connection. The ARB stated that a "bald conclusory assumption, without any allegation of supporting material facts, is simply insufficient to carry [a complainant's] burden of opposing a motion for summary judgment." (citation omitted). Of note in the ARB's view was the fact that there was a four year gap between the protected activity and the adverse employment action. The ARB made a similar finding in regard to a reduction in Complainant's annuity benefit, which Respondent had explained as caused by an accounting error.
[Nuclear & Environmental Whistleblower Digest VII C 1]
SUMMARY JUDGMENT; FAILURE OF COMPLAINANT TO COUNTER
RESPONDENT'S AFFIDAVITS AS TO ESSENTIAL ELEMENT OF PROOF ON
CAUSATION
In Parker v. Tennessee Valley Authority,
ARB No. 99 123, ALJ No. 1999 ERA 13 (ARB June 27, 2002), the ARB affirmed the ALJ's grant
of Respondent TVA's motion for summary judgment where Respondent presented affidavits
establishing that Complainant was laid off by his employer (a contractor for a TVA outage)
pursuant to an "Order of Value," which was a system used by the employer for
determining the order of layoff. Respondent's affidavits also established that the "Order
of Value" was established prior to Complainant's alleged protected activity. In response
to Respondent's motion for summary judgment, Complainant failed to adduce evidence showing
that Respondent played any role in the creation of the Order of Value or the decision to lay him
off. The Board wrote:
As a consequence, we find that the material facts as to the creation of the Order
of Value are not in dispute, and determine that Parker has failed to set forth
proof as to essential elements of his case, to wit, (1) that TVA took an adverse
action against him, and (2) that his protected activity motivated the adverse
action. 'A complete failure of proof concerning an essential element of the
non moving party's case necessarily renders all other facts immaterial. The
moving party is "entitled to a judgment as a matter of law' because the
nonmoving party has failed to make a sufficient showing on an essential element
of her case with respect to which she has the burden of proof.' Celotex
Corp., 477 U.S. at 323.
[Nuclear and Environmental Whistleblower Digest VII C 1]
MOTION TO DISMISS ACCOMPANIED BY EVIDENCE OUTSIDE PLEADING TREATED AS MOTION FOR SUMMARY DECISION
Where a movant submits evidence outside the pleadings to support a motion to dismiss, the motion must be viewed as a motion for summary decision under 29 C.F.R. § 18.40. Erickson v. U.S. Environmental Protection Agency, ARB No. 99-095, ALJ No. 1999-CAA-2 (ARB July 31, 2001).
[Nuclear & Environmental Digest VII C 1] SUMMARY DECISION; COMPLAINANT'S OWN AFFIDAVIT BASED ON NAKED SPECULATION INSUFFICIENT TO OVERCOME RESPONDENT'S MOTION FOR SUMMARY DECISION SUPPORTED BY AFFIDAVIT
In Hasan v. Burns & Roe Enterprises, Inc., ARB No. 00-080, ALJ No. 2000-ERA-6 (ARB Jan. 30, 2001), Complainant responded to Respondent's motion for summary decision -- which was supported by the affidavit of the hiring official averring that he did not know about Complainant's whistleblowing activity prior to making the decision not to hire - with his own affidavit, which contained his speculation as to the reasons he was not hired. Complainant argued that at the summary judgment stage, the ALJ was required to accept the statements in his affidavit as true. The ARB found that to defeat a motion for summary judgment the non-moving party must do so through some means other than mere speculation or conjecture.
[Nuclear & Environmental Digest VII C 1]
DISCOVERY; APPROPRIATE LIMITATIONS AT SUMMARY DECISION STAGE
In Williams v. Lockheed Martin
Corp., ARB Nos. 99-054 and 99-064, ALJ Nos. 1998-ERA-40 and 42 (ARB Sept.
29, 2000), the ARB held that the ALJ appropriately limited discovery to the specific event that
prompted Complainants' complaints -- the allegation that Respondent had tape-recorded a
meeting in violation of whistleblower laws. The ARB found that the complaints did not justify a
"wide-ranging discovery fishing expedition."
[Nuclear and Environmental Digest VII.C.1.] RESPONSIVE PERIOD FOR MOTIONS; 15 DAYS WHEN PLEADING IS SERVED
BY MAIL
In Rockefeller v. Carlsbad Area Office, U.S.
Dept. of Energy, ARB Nos. 99-002, 99-063, 99-067, 99-068, ALJ Nos. 1998-
CAA-10 and 11, 1999-CAA-1, 4 and 6 (ARB Oct. 31, 2000), the ALJ issued an order to show
cause why the complaint should not be dismissed, directing Complainant to respond by
November 20, 1998, and permitting all parties until November 27, 1998 to file briefs in support
of their positions. Complainant filed a response to the order to show cause; both Respondents
filed motions to dismiss as their response to the order permitting them to file briefs. The ALJ
issued a recommended decision of dismissal on December 4, 1998, prior to receipt of
Complainant's response to the motions to dismiss. Although the ALJ discussed the propriety of
dismissal with reference to his show cause order, in the order he also granted the motions to
dismiss. On appeal to the ARB, Complainant objected to the ALJ's failure to wait for
Complainant's response to the motions to dismiss prior to issuing his recommended decision.
The ARB noted that the OALJ Rules of Practice and Procedure at 29 C.F.R. § 18.6(b) and
§ 18.4(c)(3) would require an ALJ to wait 15 days before ruling on a motion served by
mail. Nonetheless, the ARB found that, under the circumstances where Complainant's response
to the order to show cause addressed precisely the same issues raised in the motions to dismiss,
the ALJ did not commit reversible error.
[Nuclear & Environmental Digest VII C 1]
SUMMARY JUDGMENT; FAILURE TO COME FORWARD WITH FACT IN
RESPONSE TO A SUPPORTED MOTION FOR SUMMARY DECISION
In Williams v. Lockheed Martin
Corp., ARB Nos. 99-054 and 99-064, ALJ Nos. 1998-ERA-40 and 42 (ARB Sept.
29, 2000), the ARB agreed with the ALJ's determination in ruling on a motion for summary
decision that there were no material facts in dispute where Complainants failed to come forward
with any facts in response to Respondent's well supported motion for summary decision. In
Williams, Complainants alleged that Respondent violated the whistleblower
laws when it left a tape-recorder running during an impromptu private session between
physicians who had been studying employee health concerns and Respondent's employees,
following a general public gathering. Respondent supported its motion for summary decision
with evidence that the recording was not surreptitious, and that the tape recording was only an
attempt by the company to accommodate an employee who had fallen ill. Moreover, Respondent
took no adverse action against either Complainant. On this basis, the ALJ found, and the ARB
agreed, that Respondents were entitled to summary decision as a matter of law.
[Nuclear & Environmental Digest VII C 1]
SUMMARY JUDGMENT; DISCOVERY
In Hasan v. Commonwealth Edison Co., 2000-ERA-1 (ALJ Jan. 10,
2000), the ALJ granted summary judgment against Complainant where Complainant's pleadings
failed to state a claim warranting a formal hearing on his claim of failure to hire/rehire. The ALJ
noted that summary judgment is not appropriate when a moving party denies access to
information by means of discovery to a party opposing the motion. In the instant case, however,
the ALJ reviewed Complainant's discovery requests and found that they did not seek the specific
information required to establish a prima facie case of failure to hire/rehire or
blacklisting. The ALJ held that "[i]n the absence of a viable claim, discovery requests are
merely a fishing expedition in a search for information which should not be available to
Complainant. See generally Naartex Consulting Corporation v. Watt, 722 F.2d 779, 788
(D.C. Cir. 1983); Lehigh Valley Industries, Inc. v. Birenbaum, 527 F.2d 87, 93-95 (2d
Cir. 1975)(no abuse of discretion in the denial of discovery in face of bland assertions of
violations); McLaughlin v. McPhail, 707 F.2d 800, 807 (4th Cir. 1983)(finding no prima
facie showing . . . the district court properly exercised its discretion in denying discovery)."
[Nuclear & Environmental Digest VII C 1]
SUMMARY DECISION; ALJ MAY CONVERT A MOTION TO DISMISS INTO A
MOTION FOR SUMMARY DECISION
In Hall v. USDOL, No. 98-9547
(10th Cir. Oct. 13, 1999) (unpublished) (case below 1997-SDW- 9), Complainant argued that the
ALJ erred by, without notice, converting Respondent's motion to dismiss into a motion for summary
decision. The Tenth Circuit, found no administrative rule or regulation specifically authorizing the ALJ's
action, but found that 29 C.F.R. § 18.41 is similar to FRCP 56. The court, approving the ALJ's
conversion of the motion, wrote:
Federal Rule of Civil Procedure 12(b) provides that if a party makes a motion to dismiss
for failure to state a claim upon which relief can be granted, and if "matters outside the
pleading are presented to and not excluded by the court, the motion shall be treated as one for
summary judgment and disposed of as provided in Rule 56." We therefore find it useful
to reason from Rules 12(b) and 56 and interpretive federal case law by analogy.
[Nuclear & Environmental Digest VII C 1]
SUMMARY JUDGMENT; ALJ'S RENDERING OF DECISION WITHOUT NOTICE
THEREBY CUTTING OFF DISCOVERY
In Hall v. USDOL, No. 98-9547
(10th Cir. Oct. 13, 1999) (unpublished) (case below 1997-SDW- 9), Complainant argued that the
ALJ erred by, without notice, converting Respondent's motion to dismiss into a motion for summary
decision. Although seven months had passed since the ALJ had instructed the parties to commence
discovery, Complainant asserted that he did not conduct discovery because he did not know he would
be facing a motion for summary judgment. The court, however, noting that Complainant attached
affidavits and other materials to his response to the motion to dismiss, held that "[a] party who
submits material beyond the pleadings in opposition to a motion to dismiss cannot complain of undue
surprise if the district court treats the motion as a summary judgment motion." (citation omitted).
[Nuclear & Environmental Digest VII C 1]
DISCOVERY; ALJ DOES NOT ABUSE HIS OR HER DISCRETION IN LIMITING
DISCOVERY PRIOR TO RULING ON JURISDICTIONAL UNDERPINNINGS OF CASE
In Johnson v. Oak Ridge Operations
Office, ARB No. 97-057, ALJ Nos. 1995-CAA-20, 21 and 22 (ARB Sept. 30,
1999), the presiding ALJ did not permit Complainants to engage in discovery of Case Review and
Analysis sheets [hereafter "reports"] that they had prepared in the course of their work,
prior to the ALJ's ruling on Respondent's challenges to the jurisdictional underpinnings of the case.
Complainants alleged that they needed the discovery because of the great number of reports prepared
by them during the course of their work. The ARB held that the ALJ's limit on discovery was neither
arbitrary nor an abuse of discretion because discovery of the reports would merely have provided
further details regarding Complainant's alleged protected activity criticisms of Respondents'
implementation and enforcement of federal personnel security clearance requirements and procedures.
The ARB found that additional discovery would not have changed the nature of the Complainants'
protected activities claim, or whether such activities were protected under the environmental
whistleblower laws.
[Nuclear & Environmental Digest VII C 1]
MOTION FOR SUMMARY DECISION; IF SUPPORTED BY EVIDENCE, PARTY
OPPOSING MOTION MUST SUBMIT EVIDENCE TO CONTROVERT
In Williams v. Lockheed Martin
Corp., 1998-ERA-40 and 42 (ALJ Mar. 22, 1999), the ALJ found that once a
defendant submits exhibits, affidavits, depositions, and a memorandum of law to support a
motion for summary judgment, and the plaintiff fails to submit evidence in any form to
controvert the motion (i.e., evidence of specific facts demonstrating the existence of a
genuine issue for trial), the defendant's evidence must be taken as true. The ALJ noted the
existence of discovery disputes, but observed that he had conducted a discovery conference in
which he had narrowed discovery to relevant issues, and concluded that Respondent's discovery
responses had been adequate. Therefore, summary decision was not prohibited by 29 C.F.R.
§ 18.40(d).
[Nuclear and Environmental Digest VII C 1]
SUMMARY JUDGMENT; COMPLAINT RAISED SUFFICIENT INFORMATION TO
WARRANT FURTHER INQUIRY
In Moore v. U.S. Dept. of Energy, 1998-CAA-16 (ALJ Dec. 24, 1998),
the ALJ declined to grant summary judgment against Complainant based on Respondent's
contention that Complainant had failed to allege a prima facie case, where, although
Complainant's complaint was lacking in specific details, it stated enough to merit inquiry.
[Nuclear & Environmental Digest VII C 1]
EMPLOYER; PARENT CORPORATION NOT DISMISSED PURSUANT TO MOTION
FOR SUMMARY DECISION WHERE GENUINE ISSUE OF MATERIAL FACT
In Ricketts v. Northeast Utilities
Corp., 1998-ERA-30 (ALJ Oct. 29,
1998), the parent corporation of Respondent atomic power plant moved in a motion for summary
decision for dismissal as a party on the ground that a parent corporation is not responsible for a
subsidiary's violation of law, absent special circumstances. The ALJ denied the motion, finding
that Complainant had alleged sufficient facts of discrimination by the parent corporation, and
also a requisite connection to the management and operation of the plants where Complainant
worked, in its response to the motion to survive the motion for summary judgment -- in other
words, Complainant raised a genuine issue of material fact on this issue.
[N/E Digest VII C 1]
SUMMARY DECISION; COMPLAINANT CANNOT STAND ONLY ON A SENSE
THAT RESPONDENT WAS UNFAIR
In Pantanizopoulos v. Tennessee Valley Authority, 96-ERA-15 (ARB
Oct. 20, 1997), Complainant did not receive an anticipated monetary performance
award because his performance evaluation was lowered by his immediate supervisor's supervisor.
The ALJ granted Respondent's motion for summary decision because Complainant had not
provided any evidence in response to the motion showing that he had engaged in protected
activity under the ERA, or that Respondent had violated the ERA in denying Complainant a
performance award. The ALJ wrote that "[Complainant] relies only on his sense that the
actions of Respondent are unfair in some way. Such a showing is not the affirmative evidence
necessary to defeat a motion for summary judgment." The ARB adopted the ALJ's
findings and dismissed the complaint.
[N/E Digest VII C 1]
SUMMARY DECISION; ADEQUATE OPPORTUNITY FOR DISCOVERY;
APPROPRIATENESS WHEN ELUSIVE CONCEPTS SUCH AS MOTIVE OR INTENT ARE
INVOLVED; SUFFICIENCY OF FILING OF VERIFIED COMPLAINT TO ESTABLISH
GENUINE ISSUES OF FACT
In Kesterson v. Y-12 Nuclear Weapons
Plant, 95-CAA-12 (ARB Apr. 8, 1997), summary decision was
appropriate in
regard to factual allegations that did not establish protected activity.
Complainant excepted to
summary judgment on the ground that full discovery was allegedly denied,
citing Flor v.
Department of Energy, 93-TSC-1 (Sec'y Dec. 9, 1994). The Board
distinguished
Flor because in that case the complainant had filed timely
interrogatories and requests
for production of documents that the respondent had failed to answer, and
there was a pending
motion to compel when summary decision was granted. In the instant case,
Complainant filed
his first discovery requests ten months after the ALJ had closed discovery.
Complainant also contended that he had established a genuine issue of material
fact on the
crucial issue of motivation. The Board's discussion follows:
Complainant relies on outdated authority as support for his
opposition to
summary decision. See Armstrong v. City of Dallas, 997 F.2d 62, 66
(5th Cir.
1993) ("The once frequently repeated characterization of summary
judgment as a
disfavored procedural shortcut no longer appertains.") More current
case law makes
it clear that "[g]enuine issues of material fact are not the stuff
of an opposing party's
dreams. On issues where the nonmovant bears the ultimate burden of proof,
he must
present definite, competent evidence to rebut the motion."
Mesnick v. General
Electric Co., 950 F.2d 816, 822 (1st Cir. 1991), cert. denied,
Mesnick v. General
Elec. Co., 504 U.S. 985 (1992), citing Anderson v. Liberty Lobby,
Inc., 477
U.S. 242, 256-57 (1986). The court in Mesnick v. GE, an age
discrimination and
retaliation case also involving difficult issues of motive, went on to
hold that
"summary judgment can be appropriately entered even where elusive
concepts such
as motive or intent are involved." Id. The court granted
summary judgment
on both the age discrimination and retaliation claims. Even though the
plaintiff had
submitted "a plethora" of evidence on his professional
competence and some
evidence of age-motivated discrimination, the court found that "the
summary
judgment record contained no evidence from which a rational jury could
infer, without
the most tenuous insinuations, that [defendant's] legitimate,
nondiscriminatory reason for
cashiering [plaintiff] was actually a pretext for age discrimination
[and] the district court
did not err in defenestrating the plaintiff's claim." Id. at
826 (emphasis in
original). The court also affirmed summary judgment on the retaliation
claim because
"[plaintiff] tendered nothing, direct or circumstantial, suggesting
a retaliatory
animus." Id. at 828.
95-CAA-12 @ 6 (footnote omitted). Finally, the Board rejected Complainant's
argument
that the filing of a verified complaint is itself sufficient to establish
genuine issues of fact for a
hearing.
SUMMARY DECISION; FAILURE TO RESPOND UNTIL BEFORE SECRETARY OR
BOARD; SUPPORT FOR ALLEGATIONS
[N/E Digest VII C 1]
In Saporito v. Florida Power & Light
Co., 94-ERA-35 (ARB July 19, 1996), Complainant alleged that a law
firm that
represents the named employer retaliated against Complainant by contacting an
attorney for
another
employer regarding Complainant. Respondent moved for summary decision
asserting that the
conversation concerning Complainant could not have adversely affected
Complainant's
employment
at a facility of the other employer because the conversation took place after
the other employer
had
taken adverse action against Complainant and even after Complainant had
filed an initial
complaint against the other employer. The ALJ recommended granting the motion
for summary
decision.
Complainant did not respond to the issue of timing while the case was before
the ALJ, but
waited until his rebuttal brief before the Secretary. The Board held that
Complainant's belated
response did not remedy the fact that he made no attempt to counter
Respondent's assertion
before
the ALJ.
The Board also noted that Complainant may have been arguing that summary
decision was
not appropriate because the law firm did not support its assertions about
timing with affidavits.
The
Board noted that this argument was unpersuasive in view of Celotex Corp.
v. Catrett,
477
U.S. 317, 324 (1986) (where moving nonmoving party will bear burden of proof
at trial on
dispositive issue, moving party may rely solely on pleadings, depositions,
answers to
interrogatories,
and admissions on file; nonmoving then must go beyond the pleadings and by his
or her own
affidavits, or by the depositions, answers to interrogatories, and admissions
on file, designate
specific facts showing genuine issue for trial).
VII C 1 Opportunity of non-moving party to make full
discovery
A motion for summary judgment may be continued or denied if the
non-moving party has not had an opportunity to make full
discovery. Gillilan v. Tennessee Valley Authority,
91-ERA-31 and 34 (Sec'y Aug. 28, 1995).
VII C 1 Standard for granting summary decision
The standard for granting summary decision is set forth at 20
C.F.R. § 18.40(d) (1994). This section, which is derived
from Fed. R. Civ. P. 56, permits an ALJ to recommend summary
decision for either party where "there is no genuine issue
as to any material fact and . . . a party is entitled to summary
decision." 29 C.F.R. § 18.40(d). The non-moving party
must present affirmative evidence in order to defeat a properly
supported motion for summary decision. It is enough that the
evidence consist of the party's own affidavit, or sworn
deposition testimony and declaration in opposition to the motion
for summary decision. The determination of whether a genuine
issue of material fact exists must be made in the light most
favorable to the non-moving party. Gillilan v. Tennessee
Valley Authority, 91-ERA-31 and 34 (Sec'y Aug. 28,
1995).
VII C 1 Rule 12(g) as bar to subsequent 12(b)
motion
In Stephenson v. National Aeronautics & Space
Administration, 94-TSC-5 (Sec'y Aug. 21, 1995), the ALJ
recommended dismissal of the Complainant's complaint under the
employee protection provision of the Clean Air Act based on the
Respondent's motion for dismissal under Fed. R. Civ. P. 12(b)(1).
The Respondent's motion was based on an argument that the
Complainant was not an "employee" of the Respondent
within the meaning of the CAA whistleblower provision. The ALJ
found that the case of Reid v. Methodist Medical Center of Oak
Ridge, 93-ERA-4 (Sec'y Apr. 3, 1995), appeal docketed,
No. 95-3648 (6th Cir. June 1, 1995), was dispositive. The
Secretary noted that the Complainant had failed to counter the
Respondent's factually based motion for summary disposition with
affidavits of her own, which virtually ensured a favorable
decision for the Respondent on the merits of the motion.
Nonetheless, the Secretary held that because the Respondent had
previously moved for dismissal under Rule 12(b)(6) without
including the Rule 12(b)(1) jurisdictional defense that the
Complainant was not an employee within the meaning of the CAA,
Rule 12(g) barred the Respondent advancing another 12(b) motion.
The Secretary noted that the Respondent could argue for dismissal
on this ground after a hearing on the complaint, but that it
could not do so under Rule 12. Thus, the Secretary remanded the
case for a hearing.
[Editor's note: The Secretary did not address whether the motion
could have been treated as a motion for summary decision pursuant
to 29 C.F.R. § 18.29 rather than a motion to dismiss
pursuant to Fed. R. Civ. P. 12(b).]
a
7 c 1
VII C 1 Lack of supporting evidence by non-moving party - no
automatic grant of motion where motion itself was unsupported or
where motion lacks merit as a matter of law
Where a party opposing summary decision does not support its
response with any evidence, the moving party is not entitled to
summary decision for that reason where its motion is itself
unsupported by supporting affidavits. See 29 C.F.R.
§ 18.40(c). In addition, the moving party is not entitled
to summary decision based solely on the fact that the non-moving
party did not support its response with evidence where the motion
is not meritorious as a matter of law. SeeRichter
v. Baldwin Associates, 84-ERA-9 to 10 (Sec'y Mar. 12,
1986) (order of remand), slip op. at 5 n.1.
VII C 1 DISMISSAL; CONVERSION OF RULE 12(b)(1) MOTION INTO
MOTION FOR SUMMARY DECISION; MOVANT'S BURDEN TO ESTABLISH
"ABSENCE" OF EVIDENCE TO SUPPORT NONMOVANT'S CASE
In Stephenson v. National
Aeronautics & Space Administration, 94-TSC-5
(Sec'y Aug. 21, 1995), the Secretary held that even though
the Complainant had failed to counter Respondent's Fed. R.
Civ. P. 12(b)(1)
motion to dismiss based on Complainant's not being an
employee within the meaning of the TSCA, that defense could
not be raised prior to hearing because the Respondent had
previously raised a 12(b)(6) motion to dismiss. See
Fed. R. Civ. P. 12(g).
The Secretary reconsidered that ruling in Stephenson v. National
Aeronautics & Space Administration, 94-TSC-5
(Sec'y Sept. 28, 1995) (Order of Remand). The Secretary
concluded that the Respondent's Rule 12(b)(1) motion must be
converted into a Rule 12(b)(6)/Rule 56 motion because the
issue of coverage as an employee is intertwined with the
merits of the case. The Secretary further concluded that
where, as here, the movant presents matters outside the
pleadings, Rule 12 requires that the filing be treated as a
motion for summary judgment under Rule 56, or more precisely
under a DOL proceedings, under 29 C.F.R. § 18.40.
The Secretary then found that the movant's burden under
the summary judgment standard is to demonstrate
"'"an absence of evidence to support the nonmoving
party's case"'". Slip op. at 5, quoting EEOC
v. New Cherokee Corp., 829 F. Supp. 73, 77 (S.D.N.Y.
1993), which in turn was quoting Celotex Corp. v.
Caltrett, 477 U.S. 317, 325 (1986).
VII C 1 SUMMARY DECISION; GOVERNING LAW
A motion for summary decision in an ERA whistleblower case
is governed by 29 C.F.R. § 18.40 and 18.41. A party
opposing a motion for summary decision "must set forth
specific facts showing that there is a genuine issue of fact for
the hearing." 18 C.F.R. § 18.40(c). Under the
analogous Fed. R. Civ. P. 56(e), the non-moving party "may
not rest upon mere allegations or denials of his pleading, but
must set forth specific facts showing that there is a genuine
issue for trial . . . . Instead, the [party opposing summary
judgment] must present affirmative evidence in order to defeat a
properly supported motion for summary judgment."
Anderson v. Liberty Lobby, 477 U.S. 242, 256-257 (1986).
The non-moving party's evidence, if accepted as true, must
support a rational inference that the substantive evidentiary
burden of proof could be met. "[W]here the non-moving party
presents admissible direct evidence, such as through affidavits,
answers to interrogatories, or depositions, the judge must accept
the truth of the evidence set forth; no credibility or
plausibility determination is permissible." Dewey v.
Western Minerals, Inc., No. 90-35252, 1991 U.S. App.
LEXIS 1399 (9th Cir. Jan. 29, 1991), citing T.W. Elec.
Serv. v. Pacific Elec. Contractor, 809 F.2d 626, 631 (9th
Cir. 1987). On the other hand, if the non-movant "fails to
make a showing sufficient to establish the existence of an
element essential to that party's case, and on which that party
will bear the burden of proof at trial," there is no genuine
issue of material fact and the movant is entitled to summary
judgment. Celotex Corp. v. Catrett, 477 U.S. 317, 322-323
(1986).
VII C 1 SUMMARY DECISION; OPPORTUNITY FOR RELEVANT
DISCOVERY
In Stephenson v.
National Aeronautics & Space Administration,
94-TSC-5 (Sec'y Sept. 28, 1995) (Order of Remand), the
Secretary noted that in cases of summary disposition all
parties must be given reasonable opportunity to present all
material pertinent to such a motion. Pleadings,
depositions, answers to interrogatories and admissions are
considered in conjunction with the affidavits. The
Secretary noted that whenever the moving party denies access
to information by means of discovery to a party opposing the
motion, the ALJ may deny the motion. 29 C.F.R. §
18.40(d).
VII C 1 Memorandum of law standing alone is
insufficient to withstand a motion
for summary judgment
In Norman v. Niagara Mohawk Power Corp., 85-ERA-13
(Sec'y June 1, 1995), the
Secretary adopted the ALJ's recommendation that the case be
dismissed on summary judgment based
on lack of timeliness. In Norman, the Respondent
sought summary judgment and
submitted an affidavit of counsel alleging that the complaint was
not timely filed, with a supporting
letter from the Wage and Hour Division finding that there was no
evidence of a timely complaint. In
response, the Complainant filed a memorandum of law, but no
affidavit or documentary evidence.
Under the Rules of Practice, "[w]hen a motion for summary
judgment is made and supported as
provided in this section, a party opposing the motion may not
rest upon the mere allegations or
denial of such pleadings." 24 C.F.R. § 18.40(c)
(emphasis added by Secretary).
VII C 1 Response briefs cannot raise new argument
In Du Jardin v. Morrison Knudsen Corp., 93-TSC-3
(ALJ Nov. 29, 1993) (order denying respondent's motion for
summary decision), the ALJ refused to consider new arguments
raised by Respondent in a reply brief to Complainant's response
to Respondent motion for summary decision. The ALJ stated that
Respondent
raised this issue originally in its motion for summary
decision but did not provide legal argument until its Reply,
and because reply briefs are for the purpose of rebuttal and
not raising new legal arguments, I will not consider the
arguments provided in [Respondent's] Reply.
VII C 1 If genuine issue of material fact is
present, motion for summary decision must be
denied
It is error to base a granting of a motion for summary judgment
on a finding of fact. If a genuine issue of material fact is
present, the motion should be denied and the matter decided after
discovery and hearing. See Nunn v. Duke Power Co.,
84-ERA-7 (Sec'y July 30, 1987) (remand) (ALJ found that a
decision to terminate Complainant had been made on a certain
date, but there was dispute over when a discharge decision was
final under the employer's procedures).
VII C 1 Obligation of opposing party to present
affirmative evidence
In considering a motion for summary judgment under 29 C.F.R.
§ 18.40, the Secretary relied upon authority discussing the
"analogous Fed. R. Civ. P. 56(e)." A party opposing
summary judgment under Rule 56(e) "may not rest upon mere
allegations or denials of his pleading, but must set forth
specific facts showing that there is a genuine issue for trial. .
. . Instead, the [party opposing summary judgment] must present
affirmative evidence in order to defeat a properly supported
motion for summary judgment." Anderson v. Liberty
Lobby, 477 U.S. 242, 256-57 (1986). See also Carteret
Sav. Bank, P.A. v. Compton, Luther & Sons, Inc., 899 F.2d
340, 344 (4th Cir. 1990). Thus, where the respondents presented
materials in a motion for summary judgment establishing that the
complainant was aware of the decision not to rehire him more than
30 days prior to the filing of the complaint, and the complainant
did not submit any materials to substantiate the allegation that
his application was rejected "a few weeks" prior to
filing of the complaint and that he later received a letter
outlining why he was not rehired, there was no genuine issue of
material fact, and the respondents were entitled to summary
judgment as a matter of law because the complaint was not timely
filed. Gore v. CDI Corporation, 91-ERA-14 (Sec'y
July 8, 1992).
VII C 1 Allegations & denials do not defeat motion
for summary judgment
Pursuant to the DOL regulations and the developed case law, the
non-moving party cannot defeat a supported motion for summary
judgment by resting on allegations or denials. 29 C.F.R. §
18.40(c); Foster v. Arcata Associates, Inc., 772 F.2d
1453, 1459 (9th Cir. 1985), cert. denied, 475 U.S. 1048
(1986). Moreover, the non-moving party cannot defeat a motion
for summary judgment if the evidence presented, if accepted as
true, does not support a rational inference that the substantive
evidentiary burden of proof could be met. Anderson v. Liberty
Lobby, Inc., 477 U.S. 242, 247-252 (1986); Helmstetter v.
Pacific Gas & Electric Co., 86-SWD-2 (Sec'y June 15,
1989), slip op. at 9.
Brandt v. Ebasco Services, Inc., 88-ERA-31 (Sec'y
July 9, 1990).
VII C 1 Summary judgment
In Howard v. Tennessee Valley Auth., 90-ERA-24
(Sec'y July 3, 1991), the Secretary applied the regulations at 29
C.F.R. §§ 18.40, 18.41, in considering whether to grant
summary judgment in an ERA whistleblower case. If the movant's
filing comports with the underlying documentation requirement of
section 18.40, the response in opposition to the motion
"must set forth specific facts showing that there is a
genuine issue of fact for the hearing." 29 C.F.R. §
18.40(c). The granting of summary judgment is appropriate where
the parties have been afforded the opportunity for discovery and
the non-moving party is unable to demonstrate that he will be
able to produce sufficient evidence at trial to withstand a
motion for directed verdict. Street v. J.C. Bradford &
Co., 886 F.2d 1472, 1476-1481 (6th Cir. 1989).
VII C 1 Standard for motion for summary
decision
From: Trieber v. Tennessee Valley Authority, 87-
ERA-25 (Sec'y Sept. 9, 1993):
A motion for summary judgment in an ERA whistleblower case is
governed by 29 C.F.R. §§ 18.40 and 18.41. See,
e.g., Howard v. Tennessee Valley Authority, 90-ERA-24 (Sec'y
July 3, 1991). A party opposing a motion for summary judgment
"must set forth specific facts showing that there is a
genuine issue of fact for the hearing." 29 C.F.R. §
18.40(c).
Under the analogous Fed. R. Civ. P. 56(e), the non-moving party
"may not rest upon mere allegations or denials of his
pleading, but must set forth specific facts showing that there is
a genuine issue for trial. . . . Instead, the [party opposing
summary judgment] must present affirmative evidence in order to
defeat a properly supported motion for summary judgment."
Anderson v. Liberty Lobby, 477 U.S. 242, 256-257 (1986).
See also Celotex Corp. v. Catrett, 477 U.S. 317 (1986)
and Carteret Sav. Bank, P.A. v. Compton, Luther & Sons,
Inc., 899 F.2d 340, 344 (4th Cir. 1990). The non-moving
party's evidence, if accepted as true, must support a rational
inference that the substantive evidentiary burden of proof could
be met. Bryant v. Ebasco Services, Inc., 88-ERA-31 (Sec'y
July 9, 1990), citing Liberty Lobby, 477 U.S. at 247-252.
If the non-movant "fails to make a showing sufficient to
establish the existence of an element essential to that party's
case, and on which that party will bear the burden of proof at
trial," there is no genuine issue of material fact and the
movant is entitled to summary judgment. Celotex, 477 U.S.
at 322-323.
In Trieber, Complainant asserted that he was
blacklisted from subsequent employment in retaliation for filing
an earlier ERA whistleblower complaint. Respondent supported a
motion for summary decision with affidavits showing that the
relevant personnel of Complainant's former employer had no
communication with subsequent employers or potential employers,
and consequently the former could not have blacklisted
Complainant, and affidavits from the subsequent employer showed
that non of them had any knowledge of Complainant's activities
while employed by the former employer, and did not discharge him
because of any such activities. According to the Secretary, the
ALJ was exemplary in providing sufficient time for Complainant to
engage in discovery of evidence with which to oppose the summary
judgment motions.
Complainant presented inferential evidence that the subsequent
employer learned of his whistleblower activities because it fired
him the same day that DOL informed the former employer of
Complainant's earlier ERA complaint. The record, however,
contained a telecopy of a message establishing that the decision
to discharge Complainant had been made before DOL telephoned the
prior employer. Thus, it was not possible that DOL's notice
prompted some communication that led to the subsequent employer
discharging Complainant. Although the only explanation for the
firing was that Respondent had received "input" about
Complainant, Complainant's speculation that the "input"
was that he was a troublemaker, the Secretary found this pure
conjecture, there being no evidence indicating that anyone at the
former employer had any communication with anyone at the
subsequent employer concerning Complainant. Further, there was
evidence equally probable for the meaning of "input"
that the person who made the decision to fire had consulted with
two other managers who opined that Complainant was just not
suited for the job (writing training manuals).
The fact that two other potential employers had shown disinterest
after initially expressing interest in Complainant's
qualifications could not defeat the motion for summary decision
where, despite extensive opportunity for discovery, Complainant
provided no affidavits or other evidence indicating communication
between the former employer and the potential employers.
In sum, the Secretary agreed with the ALJ's conclusion that
Complainant had submitted neither direct, circumstantial, nor
inferential evidence of blacklisting or unlawful discharge, and
had not met his burden of presenting affirmative evidence to
defeat the properly supported motions for summary judgment.
VII C 1 Authority of ALJ to entertain motions for
summary judgment
While the regulations at 29 C.F.R. Part 24 do not specifically
provide for summary decision or dismissal on the issue of
timeliness, the ALJ is authorized to entertain and rule on
appropriately filed motions pursuant to the regulations at 29
C.F.R. Part 18. 29 C.F.R. §§ 18.1, 18.40, 1841.
See, e.g., Howard v. Tennessee Valley Authority, 90-ERA-24
(Sec'y July 3, 1991), slip op. at 4. Eisner v. U.S.
Environmental Protection Agency, 90-SDW-2 (Sec'y Dec. 8,
1992), slip op. at n.3 (rejected the complainant's contention
that the ALJ exceeded his authority by dismissing the case).
VII C 1 Standards and burdens for granting summary
judgment
For a discussion of the standards and burdens for the granting of
summary judgment, see Trieber v. Tennessee Valley
Authority, 87-ERA-25 (ALJ Nov. 1, 1989).
VII C 1 Complainant's opposition must set forth
specific facts
The regulations at 29 C.F.R. §§ 18.40, 18.41 provide
that a summary judgment is appropriate if the pleadings,
affidavits, material obtained by discovery or otherwise, or
matters officially noticed show that there is no genuine issue as
to any material fact. As Respondent's motion with supporting
affidavits was filed in accordance with the provisions of section
18.40, the complainant's response in opposition to the motion
"must set forth specific facts showing that there is a
genuine issue of fact for the hearing. 29 C.F.R. §
18.40(c).
Smith v. Tennessee Valley Authority, 90-ERA-12
(Sec'y Apr. 30, 1992).
VII C 1 Response must set forth specific facts showing
genuine issue of fact for hearing
29 C.F.R. § 18.40(c) states in part:
When a motion for summary decision is made and
supported as provided in this section, a party opposing
the motion may not rest upon the mere allegations or
denials of such pleadings. Such response must set
forth specific facts showing that there is a genuine
issue of fact for the hearing.
(emphasis added). Thus, where the Complainant had not presented
pertinent factual information of a discriminatory act or acts
during the limitations period for filing an ERA whistleblower
complaint, the ALJ was correct in dismissing the Complainant's
action on the basis of summary judgment. Billings v.
Tennessee Valley Authority, 86-ERA-38 (Sec'y June 28,
1990).
VII C 1 No genuine issue of material fact
Where there is no genuine issue as to any material fact, a party
moving for summary judgment in a whistleblower case is entitled
to prevail as a matter of law.
Eisner v. U.S. Environmental Protection
Agency, 90-SDW-2 (Sec'y Dec. 8, 1992), slip op. at 5.
VII C 1 Opportunity for discovery; nonmoving party
unable to withstand motion for directed
verdict
In Howard v. Tennessee Valley Authority, 90-ERA-24
(Sec'y July 3, 1991), aff'd sub nom., Howard v. United States
Department of Labor, 959 F.2d 234 (6th Cir. 1992), the
Secretary cited Street v. J.C. Bradford & Co., 886
F.2d 1472, 1476-1481 (6th Cir. 1989), for the proposition that
the granting of summary judgment is appropriate where the parties
have been afforded the opportunity for discovery and the non-
moving party is unable to demonstrate that he will be able to
produce sufficient evidence at trial to withstand a motion for
directed verdict. Id. at 1478. In the instant case, the
complainant was represented by counsel in the preparation of his
complaint and throughout the proceedings before the ALJ, and was
afforded an opportunity to conduct discovery. Nevertheless, he
failed to amend or seek to amend his complaint, or to produce
evidence that the respondent used a document prepared by its
General Counsel and subsequently referred to in a local newspaper
report against him.
VII C 1 Motion for summary decision
Marthin v. TAD Technical Services
Corp.,
94-WPC-1, 94-WPC-2, 94-WPC-3
(ALJ Feb. 11, 1994)
Defendant Dial's "suggestion of non-party status"
is essentially a motion for summary judgment, which may be
granted only if there is no genuine issue of material fact and
the movant is entitled to a judgment as a matter of law. In
determining whether there exists any issue of material fact, the
facts are to be construed in favor of the opposing party. The
ALJ found an issue of material fact as to what the filing date of
Complainant's complaint was and whether the complaint was put on
hold until after the 30 day statutory limitation. There was also
a factual issue with respect to whether the defendant's notice of
this proceeding was sufficient under 29 C.F.R. §24.4(a).
Thus, the motion for summary judgment was denied.
VII C 1 Motions to dismiss for lack of subject matter
jurisdiction
The rules of practice and procedure applicable to administrative
hearings under the environmental
whistleblower provisions at 29 C.F.R. part 18 do not contain a
provision regarding motions to dismiss.
Nonetheless, section 18.1(a) requires that the Federal Rules of
Civil Procedure by applied in situations
not provided for by Part 18. The Federal Rules provide for
motions to dismiss, including the ground of
lack of subject matter jurisdiction. Fed. R. Civ. P. 12(b)(1).
Rule 12(b)(1) motions include (1)
"facial" attacks on the adjudicator's jurisdiction
based solely on the allegations contained in
the complaint, and (2) "factual" attacks in which facts
outside the complaint are relied upon.
The adjudicator is free to weigh evidence on the issue of subject
matter jurisdiction on a Rule 12(b)(1)
motion to satisfy itself that it has the power to hear the case.
The burden of establishing jurisdiction is on the plaintiff.
Where the party seeking dismissal on grounds
of lack of subject matter jurisdiction makes a factual attack and
presents the trier of fact with affidavits
or documents, the burden placed on the party defending
jurisdiction is not onerous, and the trier of fact
must consider facts in the light most favorable to the plaintiff.
In Reid v. Methodist Medical Center of Oak Ridge,
93-CAA-4 (Sec'y Apr. 3, 1995), the
Respondents made a Rule 12(b)(1) motion supported by affidavits
and documents based on its
contention that the Complainant was not an employee within the
meaning of the environmental
whistleblower provisions (CAA, TSCA, CERCLA, SDWA, SWDA, and
FWPCA). The Complainant failed
to support his allegations of jurisdiction with affidavits or
documentary evidence, and the Secretary
concluded that the evidence properly before the ALJ failed to
make a prima facie case that the
Complainant was an "employee".
VII C 1 Summary procedures to be used
sparingly
In Richter v. Baldwin Associates, 84-ERA-9 to 10
(Sec'y Mar. 12, 1986) (order of remand), the Secretary
noted:
The Supreme Court has cautioned that "summary
procedures should be used sparingly . . . where motive and
intent play lead roles. . . ." Poller v. Columbia
Broadcasting System, Inc., 368 U.S. 464, 473 (1962).
* * *
This rule is particularly applicable to proceedings
arising under whistleblower statutes like section 5851. The
presence or absence of a retaliatory motive most often must
be proved by circumstantial evidence and the inferences
drawn therefrom. Proof that an employer was motivated by a
reason violative of the statute lies largely in the hands of
the employer and its personnel. In such cases, too, summary
decision should be used sparingly.
VII C 1 Standard for Part 18 summary decision is the
same as Fed. R. Civ. P. 56(e)
The standard for granting summary decision under 29 C.F.R. §
18.40 is the same as that for
summary judgment under the analogous Fed. R. Civ. P. 56(e): the
moving party must show that there is
no material issue of fact and that he or she is entitled to
prevail as a matter of law.
VII C 1 Unsupported assertions of counsel cannot
supply jurisdictional facts
Unsupported assertions of counsel cannot supply jurisdictional
facts necessary to withstand a motion to
dismiss for lack of subject matter jurisdiction. Reid v.
Methodist Medical Center of Oak
Ridge, 93-CAA-4 (Sec'y Apr. 3, 1995) (noting that if
such
information had been supported by
the Complainant's affidavit, it might have been relevant to the
jurisdictional issue).
VII C 1 Order required specifying facts that appear
without substantial controversy
In Du Jardin v. Morrison Knudsen Corp., 93-TSC-3
(ALJ Nov. 29, 1993) (order denying respondent's motion for
summary decision), Respondent filed a motion for summary
decision, and Complainant asserted that there were several issues
of material fact in dispute requiring an evidentiary hearing.
After reviewing the record, the ALJ resolved one issue, found a
second issue not to be material, and found a third issue to be
material and in dispute. He then cited Federal Rule of Civil
Procedure 56(d), stating that it
requires that when a case is not fully adjudicated on
motion for summary judgment the court shall make an order
specifying the facts that appear without substantial
controversy and directing further proceedings, and upon
trial the facts so specified shall be deemed established,
and the trial shall be conducted accordingly.
Thus, the ALJ ordered that the facts set forth in this order are
deemed established and that the hearing shall be conducted
accordingly.
VII C 1 Summary judgment on requisite element of prima
facie case
Where the complainant failed to show that a genuine issue of
material fact existed with respect to a requisite element of his
prima facie case of retaliatory discharge, the Secretary approved
the ALJ's granting of summary judgment. In Merriweather v.
Tennessee Valley Authority, 91-ERA-55 (Sec'y Feb. 4,
1994), Complainant asserted that his discharge for the stated
reason that he sexually harassed a female TVA employee was
fabricated and that the reason for his discharge was protected
safety complaints to the NRC. Complainant, however, admitted
that he could not produce any evidence to support a finding that
the TVA managers responsible for the discharge decision knew
anything about his alleged protected activity.
The Secretary cited the following cases as precedent on granting
summary decision:
Street v. J.C. Bradford & Co., 886 F.2d 1472,
1476-1481 (6th Cir. 1989); Smith v. Tennessee Valley
Authority, 90-ERA-12 (Sec'y Apr. 30, 1992); Howard v.
Tennessee Valley Authority, 90-ERA-24 (Sec'y July 3,
1991), aff'd sub nom. Howard v. U.S. Dept. of Labor,
959 F.2d 234 (6th Cir. 1992) [table case; full decision
reported at 1992 U.S. App. LEXIS 6570].
VII C 1 Error to decide disputed facts
In deciding a motion for summary decision, it is error for the
ALJ to attempt to decide disputed facts rather than determining
whether the parties disputed facts.
The purpose of the hearing on the motion for [summary]
judgment is not to resolve factual issues. It is to
determine whether there is any genuine issue of material
fact in dispute, and if not, to render judgment in
accordance with the law as applied to the established facts,
otherwise to deny the motion for summary judgment and allow
the action to proceed to a trial of disputed facts.
6 J. Moore, W. Taggart & J. Wicker, Moore's Federal Practice
§ 56.11 (2d ed. 1981).
It is error for the ALJ to weigh the evidence of the complainants
against that of the respondent.
Richter v. Baldwin Associates, 84-ERA-9 to
10 (Sec'y Mar. 12, 1986) (order of remand).
VII C 1 Nonmoving party's burden
In order to defeat a respondent's motion for summary decision,
the complainant must set forth specific facts showing that there
is a genuine issue of material fact for the hearing concerning
equitable tolling. 29 C.F.R. § 18.40(c). [case citations
omitted]. Tracy v. Consolidated Edison Co. of New York,
Inc., 89-CAA-1 (Sec'y July 8, 1992).
VII C 1 Summary decision
Where the record raised no genuine issue of material fact so as
to warrant a hearing in regard to whether the complainant made a
timely request for a hearing following the preliminary
determination of her complaint against her, a summary dismissal
is proper. See 29 C.F.R. §§ 18.40, 18.41.
Miriello v. Carolina Power and Light Co., 87-ERA-17
(Sec'y Jan. 23, 1992) (decision and order to show cause; final
decision and order Mar. 20, 1992).
VII C 1 Summary judgment on requisite element of
prima facie case
Where the complainant failed to show that a genuine issue of
material fact existed with respect to a requisite element of his
prima facie case of retaliatory discharge, the Secretary approved
the ALJ's granting of summary judgment. In Merriweather v.
Tennessee Valley Authority, 91-ERA-55 (Sec'y Feb. 4,
1994), Complainant asserted that his discharge for the stated
reason that he sexually harassed a female TVA employee was
fabricated and that the reason for his discharge was protected
safety complaints to the NRC. Complainant, however, admitted
that he could not produce any evidence to support a finding that
the TVA managers responsible for the discharge decision knew
anything about his alleged protected activity.
The Secretary cited the following cases as precedent on granting
summary decision:
Street v. J.C. Bradford & Co., 886 F.2d 1472,
1476-1481 (6th Cir. 1989); Smith v. Tennessee Valley
Authority, 90-ERA-12 (Sec'y Apr. 30, 1992); Howard v.
Tennessee Valley Authority, 90-ERA-24 (Sec'y July 3,
1991), aff'd sub nom. Howard v. U.S. Dept. of Labor,
959 F.2d 234 (6th Cir. 1992) [table case; full decision
reported at 1992 U.S. App. LEXIS 6570].
VII C 1 Inappropriateness of summary decision where a
party refuses to answer relevant
discovery requests
In
Flor v. United States Department of Energy,
93-TSC-1 (Sec'y Dec. 9, 1994), the ALJ
recommended dismissal of the complaint for failure to state a
claim upon which relief can be granted.
The Secretary concluded that because the Respondent relied on the
affidavit of one of the
Complainant's supervisors in its motion to dismiss, the ALJ's
ruling would be treated solely as a
recommendation to grant summary decision pursuant to 29 C.F.R.
§ 18.40, 18.41 (1994); see
alsoEisner v. United States Environmental Protection
Agency, 90-SWD-2 (Sec'y Dec. 8,
1992), slip op. at 4-5.
The ALJ concluded that there was no allegation by the Complainant
sufficient to establish that she had
engaged in protected activity. See Flor v. United States Dept.
of Energy, 93-TSC-1 (ALJ Mar. 26,
1993), slip op. at 8-14. The Secretary, however, found that the
complaint raised a number of genuine
issues of material fact concerning whether the Complainant
engaged in activities protected under the
STAA and the environmental acts.
In his recommended order, the ALJ had relied in great part on the
Complainant's failure to refute or
discredit an affidavit of her immediate supervisor stating, in
essence that was unaware of any protected
activity by Complainant. The ALJ also found that compelling
discovery was unwarranted because the
Complainant should have personal knowledge of whether she engaged
in protected activity. ALJ slip
op. at 12-14.
The Secretary noted that a party opposing summary judgment under
the analogous Fed. R. Civ. P.
56(e) "may not rest upon mere allegations or denials of his
pleading, but must set forth specific
facts showing that there is a genuine issue for trial. . . .
Instead, the [party opposing summary
judgment] must present affirmative evidence in order to defeat a
properly supported motion for summary
judgment." Anderson v. Liberty Lobby, Inc., 477 U.S.
242, 256-257 (1986). Because the
Respondent supported its motion with the affidavit, it was
incumbent upon the Complainant to set forth
specific facts demonstrating the existence of a genuine issue for
trial.
Nonetheless, the Secretary also noted that the Department's rules
of practice provide that an ALJ may
deny a motion for summary decision "whenever the moving
party denies access to information by
means of discovery to a party opposing the motion." 29
C.F.R. § 18.40(d). The Secretary
noted that the Complainant submitted interrogatories and an
associated request for production of
documents regarding the identity of managers and supervisors to
whom she voiced concerns about the
safety of the planned use of a toxic chemical and the
substitution of a different chemical in the
performance of the project about which she voiced concerns. The
Secretary concluded that answers to
these interrogatories could possibly establish protected activity
and management's knowledge of the
protected activity. The Respondent had not answered the
interrogatories and the Complainant had
moved to compel responses. Thus, the Secretary concluded that
the absence of answers to Flor's
discovery requests may well have prevented her from obtaining
evidence to counter the Respondent's
affidavit.
Based on the existence of genuine issues of material fact,
coupled with the Respondent's failure to
answer discovery requests seeking information relevant to
statements in the Respondent's affidavit, the
Secretary concluded that summary judgment could not be granted to
the Respondent.
VII C 1 Summary decision, generally
Varnadore v. Oak Ridge National Laboratory,
94-CAA-2, 94-CAA-3 (ALJ Apr. 6, 1994)
"Summary judgment may be rendered only when the court
finds that the papers submitted in support of and in opposition
to the motion reveal that there is no genuine issue of material
fact and that the moving party is entitled to judgment as a
matter of law." Slip op. at 3, quoting Jack H.
Friendenthal, et. al., Civil Procedure § 9.3, at 439
(1985)(cite omitted). An issue is material if the facts alleged
are such as to constitute a legal defense or are of such nature
as to affect the result of the action. A fact is material and
precludes grant of summary judgment if proof of that fact would
have the effect of establishing or refuting one of the essential
elements of a cause of action or defense asserted by the parties
and would necessarily affect application of appropriate
principles of law to the rights and obligations of the parties.
On summary judgment the inferences to be drawn from the
underlying facts must be viewed in the light most favorable to
the party opposing the motion. Matsushita Elec. Indus. Co.,
Ltd. v. Zenith Radio Corp., 475 U.S. 574, 587, 106 S. Ct.
1348, 1356, (1986). However, when the moving party has carried
its burden under Fed. R. Civ. P. 56(c), its opponent must do more
than simply show that there is some metaphysical doubt as to the
material facts. Matsushita Elec., 475 U.S. at 574, 106 S.
Ct. at 1348. Thus, under the summary judgment rule, the non-
moving party "may not rest upon mere allegations or denials
of his pleading, but must set forth specific facts showing that
there is a genuine issue for trial." J. Marshall
Trieber, 87-ERA-25 (Sec'y Sept. 9,
1993),(quoting Anderson v. Liberty Lobby, 477 U.S.
242, 256-57 (1986))
Although a pro se complainant cannot be held to the same standard
for pleadings as if he or she were represented by legal counsel,
a complainant must allege a set of facts which, if proven, could
support his/her claim of entitlement to relief.
Grizzard v. Tennessee Valley Auth., 90-ERA-52
(Sec'y Sept. 26, 1991).
[Nuclear and Environmental Whistleblower Digest VII C 2]
PRO SE LITIGANT; LESS LATITUDE FOR PROCEDURAL FAILURES WHERE THE LITIGANT IS EXPERIENCED AT WHISTLEBLOWER LITIGATION
In Hasan v. Enercon Services, Inc., ARB No. 04-045, ALJ No. 2003-ERA-31 (ARB May 18, 2005), the ARB affirmed summary judgment against the Complainant where he failed to set forth specific facts on an issue upon which he would bear the ultimate burden of proof at trial in response to a motion for summary judgment supported by affidavits from managers swearing that they had no knowledge of the Complainant's previous whistleblower activities when they made the decision not to hire him. In a footnote, the ARB noted that although the Complainant was pro se, he was experienced in litigating whistleblower cases and had repeatedly been instructed as to the elements of a whistleblower case by OALJ, the ARB and the federal courts. Implicit in this footnote is the notion that a Complainant is not afforded as much latitude for procedural failures where, despite pro se status, he is well experienced with DOL whistleblower adjudications.
To the same effect Hasan v. Southern Co., ARB No. 04-040, ALJ No. 2003-ERA-32 (ARB Mar. 29, 2005).
[Nuclear and Environmental Whistleblower Digest VII C 2]
SUMMARY DECISION; REQUIREMENT THAT COURT PROVIDE NOTICE TO PRO SE LITIGANT OF NEED TO FILE RESPONSIVE MATERIALS AND CONSEQUENCES OF DEFAULT
In Saporito v. Central Locating Service, Ltd., 2004-CAA-13 (ALJ Oct. 6, 2004), the ALJ granted summary decision in favor of the Respondent. In a footnote, the ALJ observed:
The Eleventh Circuit, under whose jurisdiction this case falls, has held that: "a motion for summary judgment should be granted against a litigant without counsel only if the court gives clear notice of the need to file affidavits or other responsive materials and of the consequences of default." United States v. One Colt Python,.357 Cal. Revolver, 845 F.2d 287, 289 (11th Cir. 1992). This court has fulfilled this requirement through its Pre-Hearing Order # 14 (September 3, 2004), in which this Court informed the pro se Complainant of his right to file counter-affidavits or other responsive material. Also, this Court continued proceedings in this case until further notice, thus allowing the pro se Complainant sufficient opportunity to respond to Respondents' Motion.
Slip op. at n.2.
VII C 2 Summary judgment
Pro se pleading cannot be dismissed unless it is beyond doubt
that the plaintiff can prove no set of facts in support of his
claim which would entitle him to relief. Therefore, where a
Complainant sufficiently alleges facts, which if proven true,
could constitute an act of discrimination in violation of the
ERA, the case will not be dismissed based on the inadequacy of
the complaint. Jain v. Sacramento Mun. Util.
Dist., 89-ERA-39 (Sec'y Nov. 21, 1991).
VII C 2 Must allege set of facts which, if proven,
could support relief
Although a pro se complainant cannot be held to the same standard
for pleadings as if he were represented by legal counsel, the
complainant must allege a set of facts which, if proven, could
support his claim of entitlement to relief.
Doyle v. Bartlett Nuclear Services, 89-ERA-19
(Sec'y May 22, 1990); Riden v. Tennessee Valley
Authority, 89-ERA-49 (Sec'y July 18, 1990).
Dismissal for failure to state a claim is disfavored,
particularly in cases which present a novel or extreme theory of
liability, since it is important that new legal theories be
explored. Electrical Constr. & Maintenance Co., Inc. v.
Maeda Pac. Corp., 764 F.2d 619, 623 (9th Cir. 1985). Thus,
where the complainant presented a novel type of adverse action in
his TSC/SWD whistleblower complaint involving failure to provide
information and services (the respondent had refused to tell the
complainant the identity of spilled substances and failed to
extend to him the same safety and health advice and services
offered other employees involved in the spill clean up), and
there was no impediment to recovery on the face of the complaint,
the complainant was entitled to a hearing to adduce proof tending
to show the existence of the discriminatory denial of a term or
privilege of employment.
Helmstetter v. Pacific Gas & Electric Co., 91-
TSC-1 (Sec'y Jan. 13, 1993) (case arising in the Ninth Circuit)
(Secretary declined to adopt the ALJ's recommendation of a
12(b)(6) dismissal, and remanded for an evidentiary hearing and
recommended decision on the merits).
[Nuclear & Environmental Whistleblower Digest VII C 3]
USE OF FRCP 12(b)(6) STANDARD IN DETERMINING WHETHER COMPLAINANT HAD MADE A SHOWING OF A PRIMA FACIE CASE
In Hasan v. Stone & Webster Engineers & Constructors, Inc., ARB No. 03 058, ALJ No. 2000 ERA 10 (ARB June 27, 2003), the ARB adopted the ALJ's recommendation to dismiss for failure to state a claim upon which relief may be granted under FRCP 12(b)(6), finding that the ALJ's decision fairly related the facts and the proper legal framework. In the ALJ's decision, the standards set out in the FRCP 12(b)(6) were used in considering whether dismissal was appropriate. The ALJ noted that "failure to allege a prima facie case is grounds for immediate dismissal. See Lovermi v. Bell South Mobility, Inc., 962 F. Supp. 136, 139 (S.D. Fla. 1997); Briggs v. Sterner, 529 F. Supp. 1155, 1164 (S.D. Iowa 1981)." Hasan v. Stone & Webster Engineers & Constructors, Inc., 2000 ERA 10 (ALJ Feb. 6, 2003). Complainant's allegation was that Respondent failed to rehire him because of protected activity. The ALJ applied the prima facie case analysis for a refusal to hire case, and found:
Complainant's allegation of reporting safety concerns to the NRC satisfied the protected activity element of a prima facie case
Complainant's stating in his application letter that he was a whistleblower was sufficient to raise an inference that Respondent knew about his protected activity.
Complainant applied for the job in response to an Internet advertisement and was not hired, thus meeting those elements of a refusal to hire case, but failed to allege that the position remained open and Respondent continued to seek applications from persons of Complainant's qualifications. Thus, Complainant failed to establish this element of a prima facie case.
Complainant failed make a prima facie showing to raise a reasonable inference that the protected activity was the likely reason for the adverse action.
[Nuclear & Environmental Whistleblower Digest VII C 3]
DISMISSAL FOR FAILURE TO STATE A CLAIM UPON WHICH RELIEF MAY BE GRANTED; GATEKEEPING FUNCTION OF PRIMA FACIE CASE IN ERA CASES
In Hasan v. Stone & Webster Engineers & Constructors, Inc., ARB No. 03 058, ALJ No. 2000 ERA 10 (ARB June 27, 2003), Complainant contended that the ALJ erred in granting Respondent's FRCP 12(b)(6) Motion to Dismiss because his ERA complaint does not have to allege specific facts establishing a prima facie case of discrimination under Swierkiewicz v. Sorema, 534 U.S. 506 (2002). The ARB wrote:
Like the ALJ, we reject this argument. The Swierkiewicz holding is confined to the application of FRCP 8(a)(2) to Title VII (42 U.S.C.A. § 2000e et seq.) and Age Discrimination In Employment Act (29 U.S.C.A. § 621 et seq.) cases. Furthermore, we agree with Stone and Webster that Congress expressly made the prima facie standard a pleading requirement for ERA complainants. See Brief of Respondent at 9; 42 U.S.C.A. § 5851(b)(3)(A) ("The Secretary shall dismiss a complaint . . . unless the complainant has made a prima facie showing . . . ."). See also Trimmer v. U.S. Department of Labor, 174 F. 3d 1098, 1101(10th Cir. 1999) (explaining that Congress was concerned about stemming frivolous complaints and consequently amended § 5851 to include a gatekeeping function whereby the Secretary cannot investigate an ERA complaint unless the complainant has made a prima facie showing).
Slip op. at n.4.
[Nuclear & Environmental Whistleblower Digest VII C 3] MOTION FOR DISMISSAL FOR FAILURE TO STATE A CAUSE OF ACTION; MERE SPECULATION THAT NAMED RESPONDENT MAY HAVE A DISCRIMINATORY MOTIVE IS INSUFFICIENT TO WITHSTAND
In Gass v. U.S. Dept. of Energy, 2002 CAA 2 (ALJ Nov. 20, 2002), Complainant alleged that she had been retaliated against by Lockheed Martin Energy Systems (LMES) for protected activity, and had pursued a remedy through the Department of Energy's Office of the Inspector General. She filed a whistleblower complaint with DOL. During the adjudication of this complaint, she filed a FOIA request with DOE seeking documents related to DOE IG's inquiry on her complaint. DOE informed Complainant that the requested information had been destroyed, and Complainant filed the instant whistleblower complaint alleging that the destruction of the documents was a violation of the environmental whistleblower laws. Complainant named LMES among others as a Respondent. In consideration of a FRCP 12(b)(b) failure to state a claim motion, Complainant merely asserted that LMES' "knowledge of and involvement in DOE IG's evidence destruction is a question of fact for trial." The ALJ observed that LMES was presently engaged in other litigation with Complainant and might possibly have benefitted from the destruction of the evidence, but concluded that in the absence of a specific allegation that LMES actually did anything concerning evidence in DOE's possession, a whistleblower complaint against LMES could not be supported.
[Nuclear & Environmental Whistleblower Digest VII C 3] FAILURE TO STATE A CLAIM; RELATIONSHIP BETWEEN ERA GATEKEEPING FUNCTION AND FEDERAL RULE 8(a)
In Hasan v. Stone & Webster Engineers & Constructors, Inc., 2000 ERA 10 (ALJ Feb. 6, 2003), Complainant argued that despite the failure to allege a prima facie case of discrimination, his complaint should not be dismissed for failure to state a claim upon which relief can be granted, based on the United States Supreme Court decision in Swierkiewicz v. Soreman, 534 US 506, 122 S Ct 992, 152 L Ed 2d 1 (2002). The ALJ, however, found that Swierkiewicz was inapposite because
The decision in Swierkiewicz states the pleading requirement in employment discrimination cases brought under the Federal Rules of Civil Procedure, such as those involving Title VII and the ADEA. Unlike the Petitioner in Swierkiewicz, the instant case involves a claim brought under the Energy Reorganization Act's whistleblower provision. In 1992, Congress amended the ERA to include a gatekeeping function, "which prohibits the Secretary from investigating a complaint unless the complainant establishes a prima facie case that his protected behavior was a contributing factor in the unfavorable personnel action alleged in the complaint." Hasan v. U.S. Dep't. of Labor, 298 F.3d 914, 917 (10th Cir. 2002)(citing 42 U.S.C. § 5851(b)(3)(A)), cert. denied, ____ U.S. ____ (2003). Here, the Complainant has failed to meet his burden. Moreover, the Complainant has a history of applying for jobs, then seeking broad discovery when he receives no response. However, at no point does Mr. Hasan mention that the Seventh, Tenth and Eleventh Circuits recently affirmed dismissals of several of his ERA complaints that were substantially the same as the complaint at issue here.
Slip op. at 7 (footnotes omitted).
[Nuclear & Environmental Digest VII C 3] MOTION FOR SUMMARY JUDGMENT; "FACTUAL" 12(b)(1) MOTION
In Williams v. Lockheed Martin Energy Systems, Inc., ARB No. 98-059, ALJ No. 1995-CAA-10 (ARB Jan. 31, 2001), the ARB affirmed the ALJ's dismissal under Fed. R. Civ. P. 12(b)(1) where Respondent Department of Energy presented affidavits and a contract in support of its motion to dismiss on theory that it did not have an employer-employee relationship with Complainant, and Complainant failed to support his position with documents or affidavits. The Board made it clear that this was not a ruling that DOE is not a covered employer, but only that Complainant failed to support its claim that DOE was a "joint employer" when presented with the affidavit/document based on a 12 (b)(1) motion.
[Nuclear & Environmental Digest VII C 3]
LAW OF THE CASE; DISTINCTION BETWEEN STATING A CLAIM UNDER THE
CAA, AND FINDING OF PROTECTED ACTIVITY UNDER THE CAA
In Stephenson v. National Aeronautics & Space Administration, 94-TSC-5 (Sec'y
July 3, 1995), the Secretary of Labor in considering whether the ALJ had properly dismissed the
complaint for failure to state a claim under the Clean Air Act wrote:
[T]he complaint concerned astronauts being exposed, within the space capsule,
to ethylene oxide and freon. On first impression the complaint appears concerned
with occupational, rather than public, safety and health. Ethylene oxide and freon,
however, are precisely the types of substances reasonably perceived as subject to
CAA regulation, which is sufficient in these circumstances to bring the complaint
within the purview of that Act. Minard v. Nerco Delamar Co., Case No.
92-SWD-1, Sec. Rem. Ord., Jan. 25, 1995, slip op. at 4-7. I find that Complainant
has stated a claim under the CAA.
After several years of further development of the case involving a number of appeals and a
reassignment of the case because of the transfer of the original presiding ALJ to another agency,
the newly assigned ALJ issued a recommended decision in which he concluded that this ruling by
the Secretary could not be re-litigated under the doctrine of collateral estoppel and that the
Secretary had decided that Complainant has stated a claim under the Clean Air Act and that
ruling had become the law of the case. Stephenson v. National Aeronautics & Space Administration, 94-TSC-5 (ALJ Nov. 13, 1997) (in a footnote the ALJ questioned whether
Congress intended CAA to regulate negligible amounts of ethylene oxide released into an
environment).
In Stephenson v. NASA, ARB No. 98-025, ALJ No. 1994-TSC-5 (ARB July 18, 2000), the ARB issued a final decision in the matter. The ARB characterized the ALJ's ruling as perplexing, first finding that the doctrine of collateral estoppel did not apply because
this issue had not been fully and fairly litigated at the time that the Secretary issued the above-
quoted ruling, which the ARB held was simply a ruling that the complaint was sufficient to
survive a motion to dismiss for failure to state a claim. The ARB held that the doctrine of law of
the case did not apply for similar reasons that neither the Secretary nor the Board had
previously held in the case that Complainant had engaged in protected activity. The ARB went
on to hold based on the record that there was not even a remote possibility of the escape of any
significant amount of ethylene oxide or freon into the ambient air, and therefore Complainant's
concerns about those substances were not grounded in conditions constituting reasonably
perceived violations of the CAA, and therefore not protected activity.
[Nuclear & Environmental Digest VII C 3]
PRIMA FACIE CASE; FAILURE TO PLEAD VIABLE CLAIM
In Hasan v. Commonwealth Edison Co., 2000-ERA-1 (ALJ Jan. 10,
2000), the ALJ granted summary judgment against Complainant where Complainant's pleadings
failed to state a claim warranting a formal hearing. Although the ALJ recognized that pro
se litigants are held to less stringent standards in regard to their pleadings, he also found that
they nonetheless must meet minimal pleading requirements. See 29 C.F.R. §
24.3(c) (requiring a complaint to "include a full statement of the acts and omissions, with
pertinent dates, which are believed to constitute the violation").
The ALJ permitted Complainant to file a complaint setting out in detail the nature of the
alleged violations and relief sought, but Complainant's filing essentially only alleged that he had
applied for a job a number of times with Respondent. Moreover, the complaint did not identify
any specific job opening for which he sought employment -- a requisite element of a claim for
discriminatory refusal of failure to rehire case. See Samodurov v. Niagara Mohawk Power
Corp., 1989-ERA-20 (Sec'y Nov. 16, 1993).
The ALJ denied Complainant's motion to amend his complaint to cover the period from
the filing of his complaint to the scheduled date of the hearing where Complaint did not allege
any specific facts or violations by Respondents which constitute a viable claim.
The ALJ noted Complainant's argument that Respondents engage in systematic exclusion
of Complainant from consideration for employment, which by its very nature is a continuing
violation. The ALJ held that "[e]ven continuing violations must be alleged in detail and
cannot be based on mere conjecture or speculation." Because there was "no direct,
circumstantial or inferential evidence to corroborate Complainant's continuing violation
theory" the ALJ granted Respondents' motions to dismiss.
[Nuclear & Environmental Digest VII C 3]
FAILURE TO ESTABLISH PRIMA FACIE CASE; COMPLAINANT WALKED OUT OF
HEARING
In Agosto v. Consolidated Edison Co. of
New York, 1997-ERA-54 (ALJ July 28, 1998), Complainant, who had become
frustrated in questioning witnesses because of an evidentiary ruling by the ALJ that factual issues
decided in a prior related hearing would not be relitigated in the instant proceeding, walked out
of the hearing with the obvious intent of not returning. The ALJ ruled that Complainant had
rested, and Respondent moved for a recommended order of dismissal based on failure of
Complainant to establish a prima facie case. The ALJ granted the motion, and
memorialized his ruling in a subsequent written decision.
FAILURE TO STATE A CLAIM; BROAD CONSTRUCTION OF PROTECTED
ACTIVITY; INSPECTOR GENERAL EMPLOYEE'S DISPUTE WITH SUPERVISORS;
EXISTENCE OF OTHER POTENTIAL REMEDIES DOES NOT DEFEAT CAA
CLAIM
[N/E Digest VII C 3, XII D 13 and XX B 4]
In Tyndall v. U.S. Environmental Protection
Agency, 93-CAA-6 and 95-CAA-5 (ARB June 14, 1996), the
Complainant was assigned to investigate an EPA employee regarding
alleged improprieties in the awarding and administration of a
computer modeling contract to study the effects of acid rain.
The Complainant alleged in his CAA complaint that his supervisors
gave him directions that constituted interference in the
investigation, and that the EPA Inspector General had disregarded
the Complainant's recusal from the investigation and forced him
to lead the investigation. The ALJ concluded that the CAA
whistleblower complaint did not state allegations related to the
environmental safety or violations of the CAA, and recommended
dismissal of the complaint. The Board observed that this was
analogous to a dismissal under Fed. R. Civ. P. 12(b)(6) for
failure to state a claim upon which relief may be granted.
The Board, citing Jenkins v. U.S. Environmental Protection
Agency, 92-CAA-6 (Sec'y May 18, 1994), noted that the CAA's
employee protection provision is construed broadly, and that the
Complainant's allegations of protected activity met that broad
construction and may constitute protected activity. For
instance, the Complainant could establish that the alleged
interference with the investigation would lead the EPA to rely on
acid rain studies that understate the harmful effects of acid
rain, leading to less than appropriate regulation. The Board
also found that the Complainant stated the other elements of a
prima facie case, and therefore remanded for a hearing.
The Board noted that the Complainant also complained that
interference by his EPA managers may have violated the civil
service laws or the Inspector General Act. The Board stated that
"[t]he allegation of a violation of other statutes does not
defeat the claim under the employee protection provision [of the
CAA]." Slip op. at 9.
VII C 3 Adequacy of unsworn statement of a fellow
employee in response to a
Rule 12(b)(6) motion
In Studer v. Flowers Baking Company of Tennessee,
Inc., 93-CAA-11 (Sec'y June
19, 1995), the Complainant asserted that the Respondent chose a
less-senior employee to attend a
training session. The ALJ found an adequate allegation of
protected activity, but concluded that the
Complainant had not alleged that he had been treated in a
discriminatory fashion -- that is, that he had
been treated any differently than other employees. The ALJ
issued an order to show cause, and
finding the response inadequate to allege any discriminatory
activity, recommended summary dismissal
of the complaint. Studer v. Flowers Baking Company of
Tennessee, Inc., 93-CAA-11 (ALJ
Sept. 16, 1993).
The Secretary found the ALJ's recommendation to be analogous to a
dismissal for failure to state a
claim upon which relief may be granted under Fed. R. Civ. P.
12(b)(6). The Secretary noted that in
considering a dismissal for failure to state a claim, all
reasonable inferences are made in favor of the
non-moving party especially when the complaint was filed pro
se, and that dismissal should be
denied "unless it appears beyond doubt that the plaintiff
can prove no set of facts in support of
his claim which would entitle him to relief." Slip op. at
2, quoting Gillespie v. Civiletti, 629
F.2d 637, 640 (9th Cir. 1980).
The Secretary found that the Complainant sufficiently alleged
protected activity, and that the
nonselection for training was a sufficient allegation of
protected activity. In response to the ALJ's order
to show cause, Complainant had attached an unsworn statement of a
fellow employee, declaring that
he believed that another employee was sent to the training
instead of the Complainant in retaliation
over the protected activity. The Secretary found that, assuming
the truth of allegations, the
Complainant had alleged facts that, if proven, would constitute a
violation of the CAA's employee
protection provision.
VII C 3 Complainant need only state elements of prima
facie case to withstand motion to
dismiss
A complaint need only allege the elements of a prima facie case
in order to withstand a motion to dismiss based on failure to
state a cause of action. Whether the burden of proof on each
element can be satisfied depends on the evaluation of evidence
presented at the hearing. See Bassett v. Niagara
Mohawk Power Co., 86-ERA-2 (Sec'y July 9, 1986).
VII C 3 Application of Fed. R. Civ. P. 12(b)(6)
Dismissal under Fed. R. Civ. P. 12(b)(6) is reserved for those
cases in which the allegations of the complaint itself
demonstrate that the plaintiff does not have a valid claim.
Sinaloa Lake Owners Ass'n v. City of Simi Valley, 864 F.2d
1475, 1478 (9th Cir. 1989); see Doyle v. Bartlett Nuclear
Services, 89-ERA-18 (Sec'y May 22, 1990), slip op. at 5,
aff'd, 949 F.2d 1161 (11th Cir. 1991) (dismissal proper
where complainant does not allege any act of discrimination by
the named respondent). Thus, where the face of the complainant's
complaint reveals no impediment to recovery, a 12(b)(6) motion
should be denied.
Helmstetter v. Pacific Gas & Electric Co., 91-
TSC-1 (Sec'y Jan. 13, 1993) (case arising in the Ninth
Circuit).
VII C 3 Applicability and application of Fed. R. Civ. P.
12(b)(6) to whistleblower proceedings
Neither the rules governing hearings in whistleblower cases, 29
C.F.R. Part 24, nor the rules governing hearings before ALJs, 29
C.F.R. Part 18, provide for dismissal of a complaint for failure
to state a claim upon which relief may be granted. Therefore,
the analogous Federal Rule of Civil Procedure governs a motion to
dismiss based on failure to state a cause of action under a
federal employee protection provision. See 29 C.F.R.
§ 18.1(a).
In considering dismissal under Fed. R. Civ. P. 12(b)(6) for
failure to state a claim upon which relief may be granted, all
reasonable inferences are made in favor of the non-moving party
especially when, as here, the complaint was filed pro se.
Estelle v. Gamble, 429 U.S. 519, 520 (1972); Gillespie
v. Civiletti, 629 F.2d 637, 640 (9th Cir. 1980). Therefore,
in ruling on such a motion in whistleblower cases, a pro se
complainant is not held to the same standard for pleadings as if
he were represented by legal counsel. Doyle v. Barlett
Nuclear Services, 89-ERA-18 (Sec'y May 22, 1990), slip op. at
5 n.3, aff'd, 949 F.2d 1161 (11th Cir. 1991). A motion to
dismiss should be denied "unless it appears beyond doubt
that the plaintiff can prove no set of facts in support of his
claim which would entitle him to relief." Gillespie,
629 F.2d at 640. A whistleblower complainant need allege only a
set of facts which, if proven, could support his claim of
entitlement to relief. Doyle, slip op. at 5 n.3.
Helmstetter v. Pacific Gas & Electric Co., 91-
TSC-1 (Sec'y Jan. 13, 1993) (case arising in the Ninth
Circuit).
VII.C.3. Additional terms must be submitted
In Bixby v. State of New Mexico, Office of the Commissioner
of Public Lands, 94-TSC-1 (Sec'y Aug. 16, 1994) (order to
submit settlement agreement), the Secretary concluded that an
additional agreement containing further terms of settlement may
exist. He ruled that the case could not be dismissed on the
basis of a settlement unless all the terms of the settlement have
been reviewed and the Secretary has found them to be fair,
adequate, and reasonable. Accordingly, he ordered the parties to
submit a copy of the additional terms of settlement for review.
If there are no additional settlement terms, the parties may
submit a declaration to that effect pursuant to 28 U.S.C. §
1746 (1988).
Upon submission of the agreement, the Secretary reviewed the
agreement, and dismissed the complaint with prejudice.
Bixby v. State of New Mexico, Office of the Commissioner of
Public Lands, 94-TSC-1 (Sec'y Sept. 22, 1994).
Section 24.5(c) contemplates that a hearing site within 75 miles
of Complainant's residence will not always be appropriate. Since
the regulation pertains to convenience, not jurisdiction, and is
akin to the concept of venue, any "right" conferred by
the regulation may be waived. Accordingly, where the alleged
discrimination occurred many miles from Complainant's residence,
the ALJ did not err in suggesting a hearing location in the
vicinity of the place where the discrimination occurred on the
basis of convenience to Complainant's witnesses. See 29
C.F.R. § 24.1(b); see also 29 C.F.R. § 18.27(c).
Ridings v. Commonwealth Edison, 88-ERA-27 (Sec'y
Sept. 20, 1991) (order of dismissal).
[Nuclear & Environmental Whistleblower Digest VII D 1]
DATE OF HEARING; ACCOMMODATION OF RESPONDENTS' COUNSEL'S SCHEDULE
In Turpin v. Lockheed Martin Corp., ARB No. 02 101, ALJ No. 2001 ERA 37 (ARB Jan. 29, 2004), Complainant argued that the ALJ erred by deferring the scheduling of the hearing to accommodate Respondent's counsel's schedule, thereby denying Complainant a speedy trial. The ALJ had, in a November 2001 telephonic conference, scheduled the hearing for March 2002 because of Respondents' counsel's schedule. The ARB found that Complainant had failed to establish that this constituted error by the ALJ.
[Nuclear & Environmental Digest VII D 1]
HEARING LCOATION; REQUIREMENT OF SECTION 24.6(c) THAT HEARING,
WHERE POSSIBLE, BE HELD WITHIN 75 MILES OF COMPLAINANT'S RESIDENCE
DOES NOT APPLY TO A PRE-HEARING CONFERENCE
In Williams v. Lockheed Martin
Corp., ARB Nos. 99-054 and 99-064, ALJ Nos. 1998-ERA-40 and 42 (ARB Sept.
29, 2000), the ARB ruled that 29 C.F.R. § 24.6(c), which mandates that the hearing, where
possible, be held within 75 miles of the complainant's residence, does not apply to a pre-hearing
conference requested by Complainant's counsel.
[Nuclear & Environmental Digest VII D 1]
LOCATION OF HEARING
In Allen v. Williams Power Co., 1998-ERA-36 (ALJ Aug. 17, 1998),
the ALJ concluded that the hearing should be conducted within 75 miles of Complainant's
residence in Michigan. When Complainant originally indicated that he wanted the hearing in
Michigan, Respondent filed a response maintaining, inter alia, that it knew of no
potential witnesses from the Michigan area, and that all of its potential witnesses would be in the
Vermont-New Hampshire-Massachusetts area. Allen v. Williams Power Co.,
1998-ERA-36 (ALJ Aug. 3, 1998). The ALJ noted in an earlier order that the regulation at 29
C.F.R. § 24.6(c) provides that the hearing shall, where possible, be held at a place within
75 miles of the complainant's residence, and that the regulation at 29 C.F.R. § 18.27(c)
provides that due regard shall be given to the convenience of the parties and the witnesses. The
ALJ also noted that Secretary of Labor decisions indicate that the purpose of the regulations is to
accommodate a complainant and facilitate the proceeding while recognizing that a hearing near
the complainant's residence will not always be appropriate. Id. Thus, the ALJ directed
that the parties identify by name and address the witnesses they intended to call. Id.
Upon obtaining the responses, the ALJ noted that the witnesses were scattered (Vermont,
Pennsylvania, North Carolina, Mississippi, New York, Illinois and one undisclosed location) and
would have to travel no matter where the hearing was conducted. In the absence of specific
factors favoring New England as a hearing location, the ALJ found that accommodation of
Complainant was appropriate.
EXPEDITED HEARINGS; ALJ ERRS IN LIMITING DISCOVERY OR LENGTH
OF HEARING IN ORDER TO COMPLY WITH STATUTORY OR REGULATORY TIME
LIMITATIONS, WHICH ARE DIRECTORY ONLY
[N/E Digest VII A 2, VII D 1, VII D 2 and IX I]
In Timmons v. Mattingly Testing Services, 95-
ERA-40 (ARB June 21, 1996), the Board severely criticized an ALJ
who had limited discovery and the length of the hearing to
attempt to comply with statutory and regulatory time limits. The
Board noted that the time limits were directory only, and found
that the ALJ improperly limited the parties' pre-hearing
preparation and the presentation of evidence at hearing.
Excerpts from the Board's discussion follow:
The statute and regulations do contain provisions concerning
the time within which the Department of Labor's
investigation and adjudication of ERA complaints should be
completed.... Such provisions have been construed as
directory, rather than mandatory or jurisdictional, however,
... and should not interfere with the full and fair
presentation of the case by the parties, in accordance with
the Administrative Procedure Act, 5 U.S.C. §§
554(c), (d), 556(d). Moreover, the full and fair
presentation of the case by the parties is crucial to
serving the ERA purpose of protecting employees from
retaliation for acting on their safety concerns.... The
importance of safety in the handling of radioactive
materials cannot be gainsaid; there is a crucial public
interest at stake when issues of non-compliance with safety
regulations arise....
* * *
The time constraints placed on the proceedings before the
ALJ directly interfered with the parties' opportunity for a
full and fair presentation of the case at hearing. In
conducting the hearing, the ALJ erred in repeatedly limiting
testimony and refusing to admit documentary evidence on
relevancy grounds.
VII D 1 Change of hearing location
In Wilkinson v. Texas Utilities, 92-ERA-16 (ALJ
July 24, 1992) (Order Denying Motion to Change the Location of
Trial), the administrative law judge refused to grant the
complainant's motion to change the location of the hearing from
Texas to Washington, D.C., where the complainant, the witnesses,
and counsel for the respondent all reside in Texas, and where
there was no objective proof to support the complainant's lay
representatives assertions that his life would be jeopardized if
he were to return to Texas. The ALJ noted that this was not the
first time the lay representative had alleged his fear without
proof.
In Johnson v. Old Dominion Security, 86-CAA-3, 4
and 5 (Sec'y May 29, 1991), the ALJ did not abuse his discretion
by receiving exhibits offered by both parties despite prehearing
order compliance by neither.
[Nuclear and Environmental Whistleblower Digest VII D 2]
DEPOSITION TESTIMONY OF COMPLAINANT MOVED INTO EVIDENCE AT CONCLUSION OF RESPONDENT'S CASE; ALJ MAY REQUIRE DESIGNATION OF RELEVANT PORTIONS
In Bertacchi v. City of Columbus, 2003-WPC-11 (ALJ Aug. 26, 2005), the Respondent moved for admission of the Complainant's deposition testimony at the close of its case. The Complainant raised a number of objections, essentially based on fairness. The Respondent contended, essentially, that the deposition transcription was testimony that can be tacked onto that taken during the hearing. The ALJ found neither position convincing. He found that much of the deposition contained evidence that was immaterial, irrelevant, or unduly repetitious, and that it was the parties' obligation to designate those portions that they deemed necessary. Zimmerman v. Safeway Stores, Inc., 410 F.2d 1041 (D.C. Cir. 1969) (stating that in cases concerning the admissibility of deposition transcripts of adverse parties, even courts that are bound by the federal rules of evidence "retain[] the discretion to exclude repetitious matter and to require counsel to identify" the parts deemed relevant). The ALJ, therefore, concluded that only those portions designated by the parties would be admitted into the record.
[Nuclear & Environmental Whistleblower Digest VII D 2] HARMLESS ERROR; FAILURE TO ADMIT EVIDENCE THAT DOES NOT AFFECT OUTCOME
Failing to admit documents that do not affect the outcome of the case is harmless error, if error at all. Williams v. Mason & Hanger Corp., ARB No. 98 030, ALJ No. 1997 ERA 14 (Nov. 13, 2002).
[Nuclear & Environmental Digest VII D 2]
ADMISSION OF EVIDENCE; IRRELEVANT DOCUMENTS
In Johnson v. Oak Ridge Operations
Office, ARB No. 97-057, ALJ Nos. 1995-CAA-20, 21 and 22 (ARB Sept. 30,
1999), Complainants' requested to supplement the record before the ARB, which was considering on
review the issue of whether Complainants' had stated a claim under various whistleblower provisions.
The documents submitted included a variety of materials such as a GAO report on nuclear employee
safety concerns; DOE memos and reports; a letter from the Secretary of Energy to the Chairman of a
House oversight committee; various newspaper articles involving reported harassment of nuclear
couriers; a law review article questioning ALJ independence; and a law review on human
experimentation at the Hanford nuclear site. The ARB found these documents to be irrelevant and
declined to reopen the record for their admission. Complainants also submitted an autopsy report on
the presiding ALJ, who died several months after issuing the recommended decision, ostensibly to
demonstrate that the ALJ was in some way unbalanced and therefore her rulings tainted. The ARB,
finding nothing in the record to suggest impropriety by the ALJ, excluded the autopsy report and
Complainants' counsel's submission letter from the record, observing that the ALJ's ruling stand or fall
on their merits, and that counsel should have known that the autopsy report was completely irrelevant.
[Nuclear & Environmental Digest VII D 2]
TESTIMONY BY TELEPHONE
In Allen v. Williams Power Co., 1998-ERA-36 (ALJ Aug. 17, 1998),
the ALJ denied Respondent's request to introduce the testimony of witnesses via telephone to
avoid the cost of transporting witnesses scattered throughout different states. The ALJ noted the
general rule that deposition testimony in whistleblower hearing is disfavored, and the exceptions,
such as non-controversial background material or a critically ill witness. The ALJ concluded that
Respondent's broad based request for telephonic testimony of all witnesses failed to establish an
extraordinary need for such a process.
[Nuclear & Environmental Digest VII D 2]
TESTIMONY BY AFFIDAVIT
In Smyth v. Johnson Controls World, Inc.,1998-ERA-23 (ALJ July 24,
1998), Complainant indicated in his pre-hearing report that he would not be calling any witnesses
because all are presently employed by Respondent, and Complainant did not want to jeopardize
their employment and livelihood or subject them to the treatment he allegedly had received.
Complainant attached to his report several documents evidently for the purpose of using them as
affidavits in lieu of live testimony. The ALJ expressed concern about whether Complainant
should be allowed to submit affidavits as evidence, noting the general rule that deposition
testimony in whistleblower hearing is disfavored, and the exceptions, such as non-controversial
background material or a critically ill witness. The ALJ also noted the Secretary's ruling in
English v. General Elec. Co.,1985-ERA-2
(Sec'y Feb. 13, 1992), excluding an affidavit written and offered into evidence by Complainant,
because it deprived Respondent of the right of cross examination. The ALJ concluded that the
ARB would apply the same logic to the instant case. Moreover, the ALJ noted that witnesses
would also be protected by the ERA whistleblower provision.
[N/E Digest VII D 2]
EVIDENCE; DOCUMENTS TAKEN BY COMPLAINANT WHILE REPORTING THE
EPA
In Takvorian v. Saybolt,
Inc., 96-CAA-11 (ALJ Mar. 3, 1997), Respondent objected to receipt of a series of
Complainant's
exhibits, many of which consisted of documents marked as internal corporate
documents of
Respondent, on the theory that Complainant was an agent of the EPA at the time
that those
documents were either photocopied or taken by Complainant, and therefore they
were
"warrantless seizures" in violation of the Fourth Amendment. The
ALJ found that
Complainant was not an agent of the EPA because he was merely communicating
with the EPA
during this period, and because EPA did not appear to have authorized the
taking of those
documents. Further, even assuming arguendo that Complainant was an EPA agent,
the ALJ
found that he would receive the documents into evidence because a DOL
environmental
whistleblower suit is not brought by the government but a private individual.
SUBPOENAS; RECEIPT OF HEARSAY DOCUMENT WHERE
ATTENDANCE OF WITNESS COULD NOT BE COMPELLED BECAUSE
OF LACK OF SUBPOENA POWER
[N/E Digest VII B 1 and VII D 2]
In Macktal v. Brown & Root, Inc., 86-ERA-23 (ALJ
Nov. 25, 1996), the ALJ received a hearsay document submitted by
Complainant to establish certain matters where Complainant could not compel
the attendance of the declarant by subpoena. The ALJ, however, cautioned
Complainant that the hearsay document, without corroborating evidence,
lacked evidentiary value.
DISCOVERY; DOCUMENTS NOT TIMELY EXCHANGED; ADMISSION
PERMISSIBLE WHERE ALJ MADE ERRONEOUS PRE-HEARING RULINGS
REGARDING RELEVANCY
[N/E Digest VII D 2]
In Seater v. Southern California Edison
Co., 95-ERA-13 (ARB Sept. 27, 1996), the ALJ had rejected several
exhibits
proffered by Complainant based on their
untimely exchange with Respondent. The Board, however, held that in view of
the ALJ's
erroneous rulings concerning relevancy in a prehearing teleconference,
Complainant's failure to
make the timely exchange did not constitute a bar to their admission. The
Board noted that
Respondent's personnel had generated these documents and that Respondent had
provided them
to Complainant during discovery, thereby undermining any contention of
surprise.
EVIDENCE; RELEVANCY OF TECHNICAL MERIT OF COMPLAINANT'S SAFETY
CONCERN; LIMITATIONS ON ADMISSION OF RELEVANT AND PROBATIVE
EVIDENCE
[N/E Digest VII D 2; X G; XI E 7]
In Seater v. Southern California Edison
Co., 95-ERA-13 (ARB Sept.
27, 1996), Complainant argued that the ALJ committed error in the exclusion of
evidence, on
relevancy grounds, proffered regarding the technical merit of Complainant's
safety concerns.
The
Board agreed with Complainant that such evidence was relevant in regard to
Respondent's
motive -- the more credence given to Complainant's theory within Respondent's
facility and
elsewhere in the nuclear industry, the more likely it is that Respondent's
management believed
Complainant's theory would cause tension and would have wanted to cause
Complainant's
prompt departure. The Board ruled that with regard to the merits of
Complainant's view of the
technical issues, "it is adequate, for purposes of providing evidence
relevant to the issue of
retaliatory intent, to establish that others having expertise in this
technological area found
[Complainant's] view to have merit. The question of who is actually correct
regarding the
competing views about [the technological issue] is not germane to the
retaliatory intent issue.
The ALJ may therefore find it appropriate to exclude from consideration
'unduly repetitious'
evidence concerning the technical merits of [Complainant's] view on [the
technological issue] in
conducting the proceeding on remand, pursuant to 29 C.F.R. § 24.5(e)(1)
and Section 7(c)
of the Administrative Procedure Act, 5 U.S.C. § 556(d)." Slip op.
at 6 (citations
omitted).
The ALJ had expressed concern about unduly burdening the record. In a
footnote, the
Board held that 29 C.F.R. § 24.5(e)(1) is controlling over the OALJ Rules
of Practice and
Procedure rule of evidence at 29 C.F.R. § 18.403 in regard to the
exclusion of relevant
evidence. Section 18.403 would permit exclusion of relevant evidence in
certain circumstances
including "undue delay, waste of time, or needless presentation of
cumulative
evidence." Section 24.5(e)(1), however, does not allow for exclusion of
probative
evidence unless it is "unduly repetitious". The Board noted that
this section "is
consistent with the nature of the evidence presented in a circumstantial
evidence case of
retaliatory intent, some of which may appear to be of little probative value
until the evidence is
considered as a whole...", and "is also in accord with Section 7(c)
of the APA, 5
U.S.C. § 556(d)." Slip op. at 6 n.8.
EVIDENCE; ALJ MAY LIMIT PRESENTATION OF ADDITIONAL EVIDENCE
WHERE PROFFERER CANNOT IDENTIFY WHAT SALIENT POINTS WOULD BE
ADDED
[N/E Digest VII D 2]
In Seater v. Southern California Edison
Co., 95-ERA-13 (ARB Sept.
27, 1996), Complainant elicited testimony and submitted documentary evidence
that tended to
show that Respondent may have been interested in garnering favor with NRC
officials. There
was not necessarily a connection, however, between that interest and
Complainant's safety
concerns or the adverse action being taken against Complainant. Thus, where
Complainant was
not able to identify what salient points could be established by the
presentation of further
evidence on this issue, the ALJ did not err in limiting further presentation
of evidence on this
allegation.
The Board noted that Complainant had filed a motion to supplement the record
on this
collusion allegation with a magazine article concerning the relationship of
the NRC to the
nuclear industry. The Board denied the motion between the article did not
provide evidence that
would link any interest by Respondent's management in garnering favor in
regard to the safety
issue raised by Complainant.
EXCLUSION OF WITNESS; HARMLESS ERROR
[N/E Digest VII D 2]
In Robinson v. Martin Marietta Services,
Inc., 94-TSC-7 (ARB Sept. 23, 1996), it was, at most, harmless
error for the ALJ
to exclude the testimony of Complainant's pastoral counselor who would have
testified about
Complainant's symptoms of depression and anxiety, because this testimony was
only relevant to
compensatory damages -- an issue only relevant if Complainant prevailed.
Complainant had not
prevailed on the merits. It was also harmless error for the ALJ to have
excluded the testimony of
a retired special agent of the Office of Inspector General of a Federal agency
where the federal
Respondents in the case had been properly dismissed for a reason unrelated to
the agent's
proposed testimony.
OFFICIAL NOTICE
[N/E Digest VII D 2]
In Timmons v. Mattingly Testing Services, 95-
ERA-40 (ARB June 21, 1996), the Board held that the contents of
the American Welding Society Bridge Welding Code may be subject
to the taking of official notice under 29 C.F.R. § 18.201.
Slip op. at 9 n.6.
EXPEDITED HEARINGS; ALJ ERRS IN LIMITING DISCOVERY OR LENGTH
OF HEARING IN ORDER TO COMPLY WITH STATUTORY OR REGULATORY TIME
LIMITATIONS, WHICH ARE DIRECTORY ONLY
[N/E Digest VII A 2, VII D 1, VII D 2 and IX I]
In Timmons v. Mattingly Testing Services, 95-
ERA-40 (ARB June 21, 1996), the Board severely criticized an ALJ
who had limited discovery and the length of the hearing to
attempt to comply with statutory and regulatory time limits. The
Board noted that the time limits were directory only, and found
that the ALJ improperly limited the parties' pre-hearing
preparation and the presentation of evidence at hearing.
Excerpts from the Board's discussion follow:
The statute and regulations do contain provisions concerning
the time within which the Department of Labor's
investigation and adjudication of ERA complaints should be
completed.... Such provisions have been construed as
directory, rather than mandatory or jurisdictional, however,
... and should not interfere with the full and fair
presentation of the case by the parties, in accordance with
the Administrative Procedure Act, 5 U.S.C. §§
554(c), (d), 556(d). Moreover, the full and fair
presentation of the case by the parties is crucial to
serving the ERA purpose of protecting employees from
retaliation for acting on their safety concerns.... The
importance of safety in the handling of radioactive
materials cannot be gainsaid; there is a crucial public
interest at stake when issues of non-compliance with safety
regulations arise....
* * *
The time constraints placed on the proceedings before the
ALJ directly interfered with the parties' opportunity for a
full and fair presentation of the case at hearing. In
conducting the hearing, the ALJ erred in repeatedly limiting
testimony and refusing to admit documentary evidence on
relevancy grounds.
MOTION IN LIMINE; PROPOSED EXPERT ON "VICTIM
BLAMING" WHO LACKED RELEVANT EXPERTISE AND WHOSE PROPOSED
TESTIMONY WOULD BE MERE ARGUMENT ABOUT INFERENCES TO BE
DRAWN
[N/E Digest VII D 2]
In Sipes v. Arctic
Slope Inspection Service, 95-TSC-15 (ALJ May 31,
1996), the Complainant proposed to present an expert witness on
"victim blaming" -- the phenomenon where a wrongdoer
cannot directly face the wrongdoing and therefore expresses his
or her guilt or discomfort about the wrongdoing by finding the
victim to be the one at fault. The ALJ granted the Respondents'
motion in limine to exclude this testimony pursuant to 29
C.F.R § 18.702.
The ALJ found that some of the evidence proposed appeared to
be mere argument about inferences to be drawn from the facts at
issue, and that the complainant had not demonstrated that the ALJ
needed specialized assistance in this regard. In addition, the
ALJ found that the proposed expert, despite her personal and
family's unfortunate experiences with discrimination and
retaliation, did not have the type of general expertise in the
social sciences or psychiatry that would qualify her to testify
authoritatively about "victim blaming." The ALJ
concluded that although the proposed expert's testimony might
have some relevance and was arguably admissible under 29 C.F.R
§ 18.402, it would be excluded as a waste of time under 29
C.F.R § 18.403.
EVIDENCE; LESSENED SIGNIFICANCE OF TECHNICAL RULES ON
ADMISSIBILITY IN NON-JURY PROCEEDINGS [N/E Digest VII D 2]
In Zinn v. University of Missouri, 93-ERA-34
and 36 (Sec'y Jan. 18, 1996), the Secretary noted that the
general rule is that an ALJ should admit evidence for whatever
probative value it might have, see Fugate v. Tennessee Valley
Authority, 93-ERA-9, slip op. at 3-4 (Sec'y Sept. 6, 1995).
EVIDENCE; SCANDALOUS OR IMPERTINENT MATERIAL STRICKEN FROM
RECORD [N/E Digest VII D 2 and IX B 1]
In Diaz-Robainas v. Florida Power & Light
Co., 92-ERA-10 (Sec'y Jan. 10, 1996), the Respondent
moved to strike a letter written by the Complainant to the
Secretary in which the Complainant asserted that the Respondent
falsified the record. The Respondent complained that this
assertion was scandalous or impertinent. The Secretary struck
the portion of the letter in which the challenged assertion was
made.
COMPENSATORY DAMAGES; EMOTIONAL IMPACT; EXPERT TESTIMONY;
PROCEEDINGS ON REMAND [N/E Digest VII D 2]
In Mosbaugh v. Georgia Power Co., 91-ERA-1 and
11 (Sec'y Nov. 20, 1995), the Secretary noted that the ERA
whistleblower provision authorizes compensatory damages for a
complainant's pain and suffering. The Secretary stated that
"[t]he very fact of being discharged in violation of the ERA
may have a serious emotional impact on a complainant. . . .
Although a complainant may support his claim of pain and
suffering with the testimony of medical and psychiatric experts,
it is not required." Slip op. at 18 (citations omitted).
In Mosbaugh, the Complainant had testified
about his anguish over losing his job and remaining unemployed
for a lengthy time. In addition, the Complainant had attempted
to offer the testimony of an expert witness, but the ALJ accepted
a written offer of proof in lieu of permitting the testimony.
The ALJ did not make a recommendation on damages, however,
because he had recommended a finding that the Respondent did not
violate the ERA.
The Secretary, finding that there had been a violation of the
ERA, remanded to the ALJ for a recommendation on compensatory
damages, directing him to permit the examination and cross-
examination the expert concerning stress, emotional distress, and
related subjects.
VII D 2 DISCOVERY; SANCTIONS FOR FAILURE TO DISCLOSE; ALJ'S
RESPONSIBILITY TO ADMIT EVIDENCE TO AVOID REMAND
In Fugate v.
Tennessee Valley Authority, 93-ERA-9 (Sec'y
Sept. 6, 1995) (complaint dismissed on other grounds), the
ALJ refused to allow the Complainant to introduce evidence
of an alleged discriminatory act because the Complainant
failed to mention it during discovery. The Secretary held
that the ALJ should have admitted this evidence because
the Respondent's motion for sanctions for failure
to answer an interrogatory relating to this issue
indicated that it must have had actual knowledge of the
instance prior to the hearing;
the Complainant had consistently maintained that
there were other unnamed instances of discrimination;
the record did not reflect that the Respondent had
ever moved to compel discovery and that it had waited
19 months after the complaint was filed to commence
discovery.
The Secretary also noted that, as a matter of judicial
efficiency, evidence such as was prohibited in this case
should be admitted to help avoid the necessity of a remand.
VII D 2 Testimony through deposition disfavored
In Carter v. Electrical District No. 2 of Pinal
County, 92-TSC-11 (Sec'y July 26, 1995), the hearing
could not be completed in one day. The ALJ suggested that the
final two witnesses for the Respondent testify via deposition,
and this was done without objection, outside the presence of the
ALJ. The Secretary, in a footnote, observed that "[o]ne of
the purposes of conducting a hearing before an ALJ is so that the
ALJ can hear all of the testimony and assess the credibility of
the witnesses. Having the two main witnesses for the Respondent
testify only through deposition defeats this purpose and should
therefore be discouraged in all but extraordinary
situations."
VII D 2 Limitation on number of witnesses; use of offer
of proof as substitute
In Crosby v. Hughes Aircraft Co., 85-TSC-2 (Sec'y
Aug. 1, 1993), the hearing lasted 16 days, included the admission
of numerous documents, and resulted in a transcript of over 3,000
pages. In view of the length of the hearing, the ALJ did not
permit Respondent to call many of its witnesses, but permitted
Respondent to make offers of proof concerning these witnesses.
The Secretary noted this procedure and did not indicate any
disfavor.
VII D 2 Authority of ALJ to take evidence by
deposition
Where on remand from the Deputy Secretary to permit the
complainant to complete presentation of her case before the ALJ
(the complainant having been cut off by a time restriction
imposed by the ALJ at the original hearing) the ALJ ordered the
parties to present testimony by deposition rather than in a
hearing, this procedure did not violate due process. Assuming
arguendo that the complainant had a constitutionally protected
interest and that the due process clause applied to the ALJ
hearing, the Secretary noted that due process is flexible, and
applied Matthews v. Eldridge, 424 U.S. 319 (1976) to
determine how much process was due in this instance. The
Matthews test contains three parts:
the private interest affected by the
official action;
the risk of an erroneous deprivation of such
an interest through the procedures used, and
the probable value of any substitute
procedures;
the government's interest, including the function
involved and fiscal and administrative burdens
additional procedures would involve.
424 U.S. at 335.
The Secretary found that taking evidence by deposition where the
complainant would have had the opportunity to present witnesses
(and complete her own testimony), and to cross-examine opposing
witnesses under oath, would not have denied her due process. The
Secretary stated that while the complainant's interest is
significant, the risk of an erroneous deprivation of that
interest was small under these circumstances, and that the cost
to the Office of Administrative Law Judges to arrange a hearing
to complete one aspect of a case that had, in all other respects,
been fully tried, would have been substantial.
Since the complainant failed to avail herself of the opportunity
to present her testimony by deposition before the ALJ, the
Secretary refused to admit or consider an affidavit regarding
that testimony. English v. General Electric Co.,
85-ERA-2 (Sec'y Feb. 13, 1992) (also citing Richardson v.
Perales, 402 U.S. 389, 402 ((1971), for the proposition that
written reports of doctors can constitute substantial
evidence).
VII D 2 Objection going to weight of testimony
rather than admissibility
Where an ALJ allows testimony, he or she may properly determine
what weight to give it. Thus, where the respondent objected that
the ALJ improperly discredited the testimony of several witnesses
as hearsay because they gave the testimony to show their state of
mind, not the truth of the matter asserted, the Secretary
dismissed the objection as going to the definition of hearsay
under the Rules of Practice and Procedure for Administrative
Hearings Before the Office of Administrative Law Judges, 29
C.F.R. § 18.801(c). Adams v. Coastal Production
Operators, Inc., 89-ERA-3 (Sec'y Aug. 5, 1992).
[Editor's note: Apparently, the Secretary was holding that the
objection went to admissibility rather than the propriety of the
ground for discrediting the witnesses. Since the testimony was
admitted, the fact that it was or was not hearsay was
irrelevant.]
[Editor's note: Adams v. Coastal Production Operators,
Inc., 89-ERA-3, did not arise under the Energy
Reorganization Act, although the OALJ gave it an "ERA"
docket number. It was actually a Federal Water Pollution Control
Act case.]
VII D 2 ALJ's authority to impose rules on format of
evidence submitted
In Trimmer v. Los Alamos National Laboratory, 93-
CAA-9 (ALJ Sept. 21, 1993) (prehearing order), Complainant
submitted to the ALJ an exhibit list which specified a total of
63 "potential" exhibits, including one exhibit
designated as "Bates stamped documents 1 through 1310
previously provided by Complainant."
The ALJ found that the list of potential exhibits did not comply
with the prehearing order to exchange proposed exhibits paginated
"the purpose of which is to prevent Respondent from having
to guess what documentary evidence Complainant may submit and
therefore prepare to respond to every possible document,
regardless of its relevance." The ALJ noted that it
appeared that because Complainant did not select out specific
documents "this tribunal will become a dumping ground for
Complainant to deposit any and all documents he chooses and rely
upon the trier of fact to sort out for the best interest of
Complainant." The ALJ therefore held, that when Complainant
submitted his proposed exhibits to Respondent, he must separately
identify and paginate those exhibits, and highlight the relevant
portion of any document exceeding two pages in length. The ALJ
directed that no two or more unrelated documents shall be
combined into one proposed exhibit, and that Respondent also
conform its proposed exhibits to these rules.
VII D 2 Permitting testimony of witness not listed on
prehearing witness list
Where Complainant initially moved to strike the entire testimony
of Respondent's expert witness on the ground that Respondent had
not listed him as a witness prior to the hearing, and when
allowed to renew his motion at the completion of the expert's
testimony, Complainant withdrew his motion to strike, the
Secretary rejected Complainant's contention that consideration of
this testimony deprived him of a fair trial. Pillow v.
Bechtel Construction, Inc., 87-ERA-35 (Sec'y July 19,
1993).
VII D 2 Use of deposition in lieu of hearing
testimony
In Mansour v. Oncology Services Corp., 94-ERA-41
(ALJ Nov. 23, 1994)(order
continuing hearing and confirming rulings), the ALJ ruled that
parties would not be permitted to present
testimony by deposition in lieu of testimony at the hearing,
absent an exigent need (such as physical
inability of witness to attend the hearing), the parties'
agreement, or the ALJ's ruling that the testimony
is truly noncontroversial and credibility is not an issue.
VII D 2 Distinction between receiving reports into
the administrative record and
admission into evidence
In
Holden v. Gulf States Utilities, 92-ERA-44
(Sec'y Apr. 14, 1995), the Secretary
received several reports into the record for purposes of
determining whether there were genuine
material issues of fact that would preclude summary judgment, but
left it to the ALJ to determine on
remand whether the reports would be admitted into evidence.
VII D 2 ALJ authority to question witness
An administrative law judge may, sua sponte, question a witness
in regard to a document prepared in the employer in response to
investigative proceedings before the Wage and Hour Administrator.
See 29 C.F.R. §§ 18.401, 18.402. The ALJ's sua
sponte inquiry into the relevance of the letter did not unfairly
place the ALJ in the role of the employer's advocate where
Complainant explicitly contested his request to the parties that
he be allowed to question the witness, the ALJ's questioning
revealed simply his intent to under the evidence and to complete
the record on that issue, and throughout the hearing the ALJ had
shown sensitivity and concern regarding Complainant's pro se
status. Shusterman v. Ebasco Servs. Inc., 87-ERA-
27 (Sec'y Jan. 6, 1992).
In Richter v. Baldwin Associates, 84-ERA-9 to 12
(ALJ July 15, 1986), the ALJ initially recommended to the
Secretary that Respondent's motion for summary judgment based on
the contention that Complainants had not engaged in protected
activity should be granted. The Secretary of Labor did not
accept that recommendation and remanded for a hearing on the
merits. On remand, Complainant filed a motion for substitution
of the ALJ averring that the presently assigned ALJ was not
capable of the unbiased and de novo consideration of the
evidence.
The ALJ noted that the Part 18 rules of practice provide only for
the disqualification of an ALJ, not substitution (see 29
C.F.R. § 18.31(b)) and that Complainants' motion did not
comply with that provision because it was not accompanied by a
supporting affidavit.
In addition, the ALJ noted that governing case law did not
support a motion for recusal. The fact that an ALJ made earlier
rulings, which were reversed, does not disqualify him from
presiding over a hearing on remand. NLRB v. Donnelly Garment
Co., 330 U.S. 219 (1947). This policy of remanding a case to
the original judge is adopted from the judiciary, where appellate
courts regularly remand cases to trial judges for hearings.
Normandy Beach Improvement Association v. Commissioner, Dept.
of Environmental Protection, 472 A.2d 156, 160 (1983).
A basic assumption of our judicial system is that judges approach
each new case with impartiality. Disqualification for actual
bias or prejudice is a serious matter, and should be required
only when bias or prejudice is established by compelling
evidence. United States v. Balestrieri, 779 F.2d 1191,
1202 (7th Cir. 1985).
The ALJ noted that disqualification of judges is generally
governed by 28 U.S.C. § 455. Subsection (a) of that statute
is directed at preventing any appearance of impartiality. More
relevant to the instant motion was subsection (b)(1); but the ALJ
found that (b)(1) is limited to those situations where the
judge's personal knowledge was obtained from an extrajudicial
source. [citations omitted]
Absent a contention of personal bias or personal knowledge, with
the objection concerning only knowledge the ALJ gained in a
judicial capacity, the ALJ found that there was no basis for him
to disqualify himself.
[Nuclear & Environmental Whistleblower Digest VII D 4] CREDIBILITY DETERMINATION AS GROUND FOR SHOWING OF BIAS BY ALJ
In Jenkins v. United States Environmental Protection Agency, ARB No. 98 146, ALJ No. 1988 SWD 2 (ARB Feb. 28, 2003), the ALJ made a detailed and critical finding about the Complainant's credibility. On review before the ARB, Complainant argued that the ALJ's findings exhibited bias and that his credibility findings should therefore be rejected. The ARB, however, found that the ALJ's credibility determinations were fully supported by the record. The ARB also cited Liteky v. United States, 510 U.S. 540 (1994), which holds that a judge may necessarily and properly acquire a negative opinion of a party, which may be necessary to the completion of a judge's task, as in a bench trial.
[Nuclear and Environmental Whistleblower Digest VII D 4]
RECUSAL; BIAS MUST BE SHOWN TO STEM FROM EXTRA-JUDICIAL SOURCE; ATTORNEY CANNOT CREATE GROUNDS FOR RECUSAL
In Edward A. Slavin, Jr., ARB No. 04-088, ALJ No. 2004-MIS-2 (ARB Apr. 29, 2005), the Associate Chief ALJ had suspended an attorney from practice before OALJ under 29 C.F.R. § 18.34(g)(3). On appeal, the attorney and his client argued that the Associate Chief ALJ had been biased and had improperly failed to recuse himself "sua sponte" as they had requested.
The Board found that the attorney and his client had failed either to argue circumstances demonstrating that the judge was improperly biased against the attorney or to submit an affidavit to support recusal due to such bias as required by 29 C.F.R. § 18.31(b). Moreover, the Board stated that to overcome the presumption that ALJs act impartially, "Mr. Slavin would have to allege that Judge Burke harbored bias stemming from an extra-judicial source, rather than what he learned regarding Mr. Slavin from the evidence and proceedings in this case." (citations omitted). The Board rejected the petitioners' argument that the judge instituted the proceeding to retaliate against the attorney's criticism of DOL officials and the judge, finding that "an attorney should not benefit from the disqualification of a judge based on a controversy that the attorney has created." (citations omitted). The Board also rejected the petitioners' argument that the judge created the controversy; the Board finding that the attorney's professional misconduct had been well-documented by DOL ALJs, the ARB, and state and federal courts before the judge in a Notice of Judicial Inquiry, that the judge had administrative responsibility over whistleblower adjudications at OALJ and had learned of the attorney's misconduct in this capacity, and therefore he had "acted on his managerial and judicial responsibility to initiate a Section 18.34(g)(3) inquiry."
[Nuclear & Environmental Whistleblower Digest VII D 4] RECUSAL; REQUEST TO CHIEF ALJ TO REMOVE PRESIDING JUDGE
In Hasan v. Stone and Webster Engineers and Constructors, Inc., 2000 ERA 10 (ALJ Jan. 14, 2003), the Chief ALJ denied Complainant's motion requesting that the Chief ALJ order recusal of the presiding ALJ and assign the case to another ALJ. The Chief Judge found that he had no authority to hear motions for recusal of another ALJ initially or as a matter of appeal, citing Johnson v. Oak Ridge Operations Office, 1995 CAA 20, 21 and 22 (ALJ Feb. 12, 1997).
[Nuclear & Environmental Whistleblower Digest VII D 4]
RECUSAL; REQUIREMENT OF AFFIDAVIT IN SUPPORT
In Hasan v. Wolf Creek Nuclear Operating
Corp., 2002 ERA 29 (ALJ July 8, 2002), the ALJ detailed legal authority to the
effect that when an ALJ is faced with an allegation of bias or prejudice that is not accompanied
by a legally sufficient affidavit, the ALJ is not obligated to recuse himself from the case. The
ALJ went on to consider the merits of Complainant's motion to recuse as Complainant was
proceeding pro se.
See alsoIn the Matter of Slavin,
2002 SWD 1 (ALJ July 2, 2002) (declining to entertain motion to recuse filed without
affidavit); In the Matter of Slavin,
2002 SWD 1 (ALJ July 26, 2002) (containing discussion of why affidavit is required).
[Nuclear & Environmental Digest VII D 4]
RECUSAL; RESPONSIBILITY OF ALJ TO ASK QUESTIONS ABOUT POTENTIAL
CONFLICT OF INTEREST ON PART OF COMPLAINANTS' ATTORNEY
In Duncan v. Sacramento Metropolitan Air Quality Management
District,1997-CAA-12 (ALJ Oct. 16, 1998)(order denying motion), one of three
Complainants filed a motion for mistrial and judicial recusal because at the hearing the ALJ had
brought to the attention of the parties three faxes one of the other Complainants had faxed to the
ALJ asserting that the attorney who was then representing all three Complainants had neglected
the movant's interests in favor of the other two Complainants. This Complainant's faxes also
represented that the Complainant (who brought the present motion for mistrial and recusal) had
told her that he felt he could get away with lying when testifying.
In regard to pointing out the potential conflict of interest, the ALJ denied the motion,
noting that ALJ has an affirmative duty to inquire into an attorney's potential conflict of interests,
and to either ensure that there is "informed consent" to such conflicts, if they are
found, or, in the absence of such informed consent, disqualify the attorney. See Smiley v.
Director, OWCP, 984 F.2d 278, 281-83 (9th Cir. 1993).
In regard to asking questions to the Complainant accused of being able to lie, the ALJ
denied the motion noting that ALJs have clear authority to question witnesses, including parties,
that he had not asked for any privileged information, and that no attempt was made by
Complainant to assert any privilege during the course of the hearing or before the record was
closed.
In Johnson v. Old Dominion Security, 86-CAA-3, 4
and 5 (Sec'y May 29, 1991), the ALJ did not abuse his discretion
by denying the Respondent's motion for a continuance filed on the
morning of the hearing because of newly retained counsel by the
Respondent where the Respondent was represented by two counsel
and the Respondent was given adequate notice of the hearing and
the claims being brought against it.
[Nuclear and Environmental Digest VII.D.5.] CONTINUANCES; DISCRETION OF ALJ
The determination whether to grant a continuance is a question committed
to the sound discretion of the ALJ and will not be disturbed absent a clear
showing of abuse. In reaching a decision to grant or deny a continuance, the ALJ
may properly consider the length of the delay requested, the potential adverse
effects of that delay, the possible prejudice to the moving party if denied the
delay, and the importance of the testimony that may be adduced if the delay is
granted. The ALJ should also take into consideration that complaints
filed under the ERA are subject to an expedited process. However, even
an expedited process must be applied in a manner that is fundamentally fair and
thus provides the parties an adequate opportunity for presentation of the case.
Sli p op. at 3 (citations omitted).
In Khandelwal, the ALJ had denied a motion for a continuance of the hearing
date on remand, rejecting Complainants stated reasons: time to find an attorney, receipt of a jury
summons. The ARB found it was unreasonable for the ALJ to have found that Complainant had
adequate time to find counsel. First, Complainant only had 30 days notice of the first hearing.
Second, the ALJ should not have expected Complainant to be ready to "hit the ground
running" following the remand from the ARB. The ARB found that the ALJ's rejection of
the jury duty excuse was arbitrary and prejudicial because the ALJ had not explained why that excuse
was not a warranted basis for seeking a continuance. The ARB also faulted the ALJ's discovery
order, which set a 30 day period for completion of discovery, but which did not explain how the
discovery period was to be allocated between requests and responses, or set a deadline for filing of
motions to compel, protective orders, or other discovery conflicts. The Board noted that if the Part
18 rules were to be applied, Complainant's discovery request would have to have been filed with
Respondent on the same day that the ALJ issued his prehearing order, to comply with the Part 18
time frames.
CONTINUANCE; GROUNDS FOR
[N/E Digest VII D 5]
The Board in Robinson v. Martin Marietta
Services, Inc., 94-TSC-7 (ARB Sept. 23, 1996), held that
continuances are to be
granted only in cases of "prior judicial commitments or undue hardship,
or a showing of
other good cause." 29 C.F.R. § 18.28(a). The ALJ was found not to
have abused his
discretion in denying a continuance to Complainant, who had a new position as
a part-time
college professor and did not want to jeopardize his career with the intensity
of whistleblower
hearing during a work week. Complainant requested that the hearing be held
during the
college's spring break. The ALJ was not available that week, and Complainant
did not state that
it was impossible for him to attend the hearing or alter his part time work
schedule.
VII D 5 CONTINUANCE; ALJ'S DISCRETION TO DENY CONTINUANCE FOR
FURTHER DISCOVERY OR TO RETAIN AN ATTORNEY
In Saporito v. Florida
Power & Light Co.,
93-ERA-23 (Sec'y Sept. 7, 1995), the ALJ was found not to have
abused his discretion in denying the Complainant's request for a
continuance to engage in further discovery. The Complainant had
six months to engage in discovery and fully availed himself of
that opportunity; Complainant's assertion that he lacked funds to
engage in further discovery was rejected because there was no
indication that his economic condition would change to permit him
to engage in further discovery; Complainant's assertion that the
NRC was investigating his allegations and that investigation
might provide him with evidence of blacklisting was rejected
because there was no documentary evidence that such an
investigation was being conducted.
The Secretary also found no abuse of discretion by the ALJ
in denying a request for a continuance to retain an attorney
where the record supported the ALJ's finding that the Complainant
had not made a sufficient effort to retain counsel, there was no
assurance that he would succeed in retaining counsel, and
considering the Complainant's pro se status, he had adequately
represented himself in the case.
VII D 5 Standard for grant of a continuance
Malpass v. General Electric Co.,
85-ERA-38,39
(Sec'y Mar. 1, 1994)
After the Wage & Hour Division of the Department of
Labor's Employment Standards Administration found no violation
pursuant to the complaint, the complainant filed a request for a
hearing. During pre-trial procedures, the complainant, at the
advice of counsel, refused to comply with various ALJ pre-hearing
and discovery orders, failed to respond to Respondent's discovery
requests, and failed to appear for the scheduled hearing. The
complainant's counsel asserted that he could not proceed with any
of the requests or orders until he had received a complete copy
of the Wage and Hour Division's final investigation report, even
after his FOIA request for the report was denied. Subsequently,
the ALJ recommended dismissing the complaint for failure to
cooperate.
The Secretary affirmed the ALJ's recommended decision and
reviewed the ALJ's authority to control the course of the
hearing, and to sanction the parties for failure to comply with
the ALJ's orders. The Secretary held that the ALJ was soundly
within his discretion in denying a request for a continuance upon
counsel's assertion of prior commitments. The ALJ may grant a
continuance and the nature of the prior commitment demonstrates
"good cause," and the decision may not be overturned
unless there is a clear showing of abuse of discretion (where the
exercise of discretion has been demonstrated to clearly prejudice
the appealing party. In Professionals Air Traffic Controllers
Organization v. Federal Labor Relation Authority (FLRA), 685
F.2d 547 (D.C. Cir. 1982), the D.C. Circuit Court enumerated
several factors to be considered by an ALJ in exercising this
discretion:
(1) "the length of the delay requested," (2)
"the potential adverse effects of that delay," (3)
"the possible prejudice to the moving party if denied the
delay," and (4) "the importance of the testimony that
may be adduced if the delay is granted." Id.at 588.
The Secretary also held that the dismissal of the complaint
was justified on policy grounds based on the "dilatory and
contumacious" conduct of the Complainant's counsel, but
denied the Respondent's motion for the award of attorney's fees
and costs.
[Editor's note: The Secretary discusses in dicta his doubts
about the Secretary's authority directly to order sanction beyond
an order controlling the hearing and proceedings before the
Secretary. For example, the opinion mentions the lack of power
for the Secretary to issue subpoenas or to punish for contempt
and failure to comply with a subpoena. See slip. op. pp.
20-21.]
In Ellison v. Washington Demilitarization
Co., ARB No. 05-098, ALJ No. 2005-CAA-9 (ARB Sept. 25, 2007), the
Respondent served a motion for summary decision by mail. The ALJ erred when he
failed to afford the Complainant the additional five days for mailing a
response provided for by 29 C.F.R. § 18.4(c)(3), prior to ruling on the motion
for summary decision. The ALJ had evidently believed that he had ordered the
parties to file responsive documents by fax, and therefore the additional
mailing days provided for by section 18.4(c)(3) were inapplicable. However,
the text of the ALJ’s order had only permitted the filing of pleadings and other
documents by fax, and had not directed it.
VII D 6 Authority of ALJ to limit
argument
In Pillow v. Bechtel Construction, Inc., 87-ERA-35
(Sec'y July 19, 1993), the ALJ permitted the filing of proposed
findings of fact and conclusions of law 30 days after receipt of
the hearing transcript. Complainant contended that the ALJ
denied him a fair hearing by issuing the Recommended Decision and
Order without either permitting closing arguments or considering
Complainant's posthearing brief.
The Secretary noted that closing arguments and post hearing
submissions are discretionary, and that any possible unfairness
had been cured because the Secretary had accepted and considered
Complainant's brief.
[Nuclear and Environmental Whistleblower Digest VII D 6]
WITNESS SEQUESTRATION; CALLING COURTROOM OBSERVER AS A REBUTTAL WITNESS WHERE IT WAS CREDIBLY ASSERTED THAT THERE HAD BEEN NO INTENT PRIOR TO THE HEARING TO CALL THE OBSERVER AS A WITNESS
In Bertacchi v. City of Columbus, 2003-WPC-11 (ALJ Aug. 26, 2005), a representative of the Sierra Club had attended the hearing as an observer at the suggestion of the Complainant. Following the testimony of one of the Respondent's witnesses the Complainant called the Sierra Club representative as a rebuttal witness. A sequestration order had been in effect. The ALJ, however, declined to exclude the testimony from the record, finding credible the Complainant's assertion that he manifested no intent to call the representative as witness when he suggested that she should attend the hearing. The ALJ also found that the representative's testimony did not show intent to ambush Respondent and was based primarily on the testimony given by the Respondent's witness. The ALJ found persuasive the fact that Respondent had an opportunity to cross-examine the witness and that it concluded that her testimony did not, in fact, impeach its witness.
[Nuclear and Environmental Whistleblower Digest VII D 6]
WHISTLEBLOWER LITIGANTS DO NOT HAVE A RIGHT TO FILE A POST-HEARING BRIEF WITH THE PRESIDING ALJ
In Ilgenfritz v. U.S. Coast Guard Academy, ARB No. 99-066, ALJ No. 1999-WPC-3 (ARB Aug. 28, 2001), Complainant asserted that the ALJ erred because the ALJ did not give the parties an opportunity to file post-hearing briefs. Complainant's argument was based on the theory that the APA requires that parties be afforded an opportunity to file proposed findings and conclusions with the ALJ. The ARB found that the APA requires that parties to administrative proceedings must be given an opportunity to argue their positions, but provides agencies with flexibility to determine when this will occur during the proceeding. See 5 U.S.C.A. §557(c). The ARB ruled that parties may be given an opportunity to file proposed findings and conclusions before a recommended decision is issued, but that alternatively, after a recommended decision is issued by a subordinate decision maker, the agency can provide the parties with an opportunity to file exceptions to the recommended decision.
The ARB held that DOL has clearly taken this second course by creating the Board and allowing parties to petition the Board to review any recommended decision issued by an ALJ under the whistleblower protection provisions of the environmental acts. The ARB also noted that "To the extent that Ilgenfritz expected to file a post-hearing brief with the ALJ, or asserts that he was entitled to file a post-hearing brief 'as a matter of right,' his expectation was unwarranted. The Department's procedural regulations governing whistleblower complaints state, in pertinent part, 'Post-hearing briefs will not be permitted except at the request of the administrative law judge.' 29 C.F.R. §24.6 (e)(3)." Slip op. at 5 n.4.
[Nuclear and Environmental Whistleblower Digest VII D 6]
MOTION FOR MORE DEFINITE STATEMENT; CRYSTALLIZATION OF ISSUES
In Forest v. Williams Power
Corp., 2000-ERA-16 and 17 (ALJ Apr. 7, 2000), the ALJ had earlier granted
Respondent's motion for a more definite statement. Complainant renewed an objection to the
granting of Respondent's motion on the ground that Complainant's letter complaints were
sufficient to satisfy the pleading requirements for ERA cases. The ALJ agreed that the letters
were sufficient for that purpose, but declined to reverse her order granting the motion for more
definite statement, holding that she "believe[s] that all parties will benefit from a precise
statement as to pertinent allegations, and it will make my consideration of the issues
simpler."
[Nuclear and Environmental Whistleblower Digest VII D 6]
PROCEDURE; ALJ SHOULD NOT STRIKE EVIDENCE AND ARGUMENT FROM
RECORD
The ARB ruled in Doyle v. Hydro Nuclear
Services, ARB Nos. 99-041, 99-042, and 00-012, ALJ No. 1989-ERA-22 (ARB
May 17, 2000), that the ALJ erred in striking portions of a motion for summary judgment and
attached exhibit filed by Complainant upon the ALJ concluding that the arguments made in those
portions of the motion were outside the scope of an ARB remand mandate. The ARB ruled that
"[a]pproving this action would establish a procedure that, if abused, could shield erroneous
ALJ rulings from review. See Sidney-Vinstein v. A.H. Robins Co., 697 F.2d 880, 885
(9th Cir. 1983) (reversing district court's grant of motion to strike a motion). Accordingly, we
reverse the ALJ's grant of the motion to strike and accept into the record the complete motion for
summary judgment." Doyle, 1989-ERA-22 (ARB May 17, 2000) @ n.8.
[Nuclear & Environmental Digest VII D 6]
REQUEST BY TELEVISION STATION TO VIDEOTAPE HEARING
In Ass't Sec'y & Haefling v. United Parcel
Service, 1998-STA-6 (ALJ
Apr. 23, 1999), the ALJ received an inquiry from a television station whether it would be
permitted to videotape at least a portion of the hearing. The hearing was scheduled for a U.S.
Tax Court courtroom located in a Federal Building and Courthouse. Complainant took no
position on the matter, while the Prosecuting Party and Respondent both objected. The ALJ
considered the provisions of 29 C.F.R. Part 2, Subpart B, and concluded that the regulation did
not proscribe the introduction of audiovisual coverage in an STAA case absent a specific witness
objection. Nonetheless, based on the local rules of the United States District Court, which
clearly prohibit the use of audiovisual equipment in any courtroom located within the Federal
Building and the environs of the Courthouse, and the U.S. Tax Court's stipulations for the use of
Tax Court courtrooms, which also prohibits photographing or broadcasting of any proceedings,
the ALJ concluded that he had no discretion to authorize the videotaping of all or any portion of
the proceeding.
[N/E Digest VII D 6]
CONFIDENTIAL INFORMATION IN BRIEF
In Thompson v. Houston Lighting &
Power Co., 96-ERA-34 and 38 (ALJ Jan. 8, 1998), the ALJ permitted the
parties to
submit briefs for the record that were redacted in regard to confidential
medical information.
[N/E Digest VII D 6]
FOIA; RELATIONSHIP TO ALJ'S ORDER SEALING RECORD
In Macktal v. Brown & Root,
Inc.,
86-ERA-23 (ARB Jan. 6, 1998),
Complainant alleged bias because the ALJ refused to sign an order sealing
certain documents
that shed adverse information about Complainant. The ARB observed that the
documents, in
fact, were never received into evidence and were not included in the court
reporter's looseleaf
binder of respondent's exhibits (the documents, however, were placed in a
folder marked
"Rejected Exhibits"). The ARB also observed that even if the
documents had been
included in the record and had been placed under "seal" by the ALJ,
whether they
would be available to the public would be determined by the FOIA and
applicable FOIA
regulations. See 29 C.F.R. Part 70.
[N/E Digest VII D 6]
PRO SE COMPLAINANT; ALJ'S QUESTIONING OF
In Eiff v. Entergy Operations,
Inc., 96-ERA-42 (ARB Oct. 3, 1997), the ARB noted that it
appreciated the ALJ's
questioning of Complainant, who had appeared pro se.
WITNESSES; SENSITIVITY TO STATE OF HEALTH IN REGARD TO TESTIFYING
[N/E Digest VII D 6]
In Seater v. Southern California Edison
Co., 95-ERA-13 (ARB Sept.
27, 1996), the Board held that the ALJ's ruling that a proposed witness for
Complainant would be
allowed only if the witness' deposition was taken in person, either for
discovery or in lieu of
hearing testimony, failed to accommodate the witness' critical state of
health. Complainant's
assertion at the hearing that the witness' condition would be adversely
affected by unrestricted,
in-person questioning was substantiated by a physician's statement.
See 29 C.F.R.
§18.611 (ALJ should control mode and order of questioning of witnesses);
29 C.F.R.
§ 18.15 (authority of ALJ to restrict conditions of discovery).
In this regard, the Board found misplaced Complainant's reliance on the
Americans with
Disabilities Act. The Board also noted that Section 501 of the Rehabilitation
Act provides for
access for handicapped individuals to Federal agency proceedings. Neither of
these statutes,
however, controls the issue at hand--how to strike a balance between the due
process rights of the
parties to the case.
WITNESSES; TAKING OF TESTIMONY BY TELEPHONE
[N/E Digest VII D 6]
Although neither the procedural regulations governing DOL whistleblower
proceedings,
29 C.F.R. Part 24, nor the general OALJ rules of practice, 29 C.F.R. Part 18,
provide for the
taking of testimony by telephone, such practice is permissible in certain
circumstances.
Seater v. Southern California Edison
Co., 95-ERA-13 (ARB Sept. 27, 1996).
In Seater, telephonic testimony was appropriate where the
proposed witness'
state of health precluded unrestricted, in-person questioning.
The Board stated that "[a]lthough telephonic testimony does not provide
the
opportunity for observation of the witness that is provided by in-person
testimony, it does
provide more opportunity for observation of the witness than does a deposition
submitted in lieu
of such testimony." Slip op. at 14 (citation omitted). The Board found
that since the
proposed witness was an employee of Respondent -- the party which will
cross-examine that
witness--"the requirement of an in-person appearance at hearing is
unnecessary to impress
upon the witness the seriousness of the matter in which he is giving
testimony." Slip op. at
15 (citation omitted).
In a footnote, the Board noted that "[t]elephonic testimony should be
taken with
specified safeguards to reliability in place, e.g., a notary/court
reporter present with the
witness to administer the oath or affirmation pursuant to Section 18.603, the
recording of the
witness testimony on videotape, in addition to transcription of the testimony
by the court reporter
at the hearing site...." Slip op. at 15 n.24 (citations omitted).
DISCOVERY; EXCHANGE OF DOCUMENTS RELATING TO PRIOR
INCONSISTENT STATEMENTS BY WITNESS
[N/E Digest VII D 6]
A respondent may not properly withhold evidentiary exhibits solely because
such exhibits
would be used on cross-examination. A narrow exception exists, however, for
evidence of
inconsistent statements by witnesses, when introduced solely for the purpose
of impeaching
witness testimony. Pursuant to 29 C.F.R. § 18.613, evidence of such
statements may be
withheld, subject to disclosure to opposing counsel at the time the witness is
questioned
regarding those statements.
STANDARDS OF CONDUCT AT HEARING
[N/E Digest VII D 6]
It is not required that a hearing be conducted in a rigid or
overly formal manner. Nonetheless, an ALJ should not hesitate to
apprise the witnesses of basic standards of conduct during
examination by counsel. It is not the role of the witness to
object on relevancy grounds to a question or line of questioning.
See 29 C.F.R. §§ 18.36, 18.37, 18.611. Where,
however, a party is appearing without legal counsel, it is
appropriate for the party, when being examined as a witness to
raise such objections. Timmons v. Mattingly Testing
Services, 95-ERA-40, slip op. at 15 n.11 (ARB June 21,
1996).
TRIAL MANAGEMENT; BIFURCATED HEARING ON LIABILITY AND
DAMAGES
[N/E Digest VII D 6]
In Masek v. The Cadle Co., 95-WPC-1 (ALJ Mar.
11, 1996), the ALJ had ordered that the hearing would be
bifurcated as to the issues of liability and damages. In his
March 11, 1996 recommended decision, the ALJ concluded that the
Complainant was entitled to relief, and ordered that the parties
consult regarding a time and place for a hearing on damages to be
held within 120 days. The ALJ also directed the parties to
discuss whether a settlement of damages was possible, and whether
the testimony or other evidence on damages could be taken by
deposition and/or affidavit.
VII D 6 Agency head as witness; sanctions for
nonappearance
In Douglas v. Tennessee Valley Authority, 94-CAA-9
(ALJ June 30, 1995), the Chairman of the TVA refused to appear as
witness despite the ALJ's order, and Complainant moved for
sanctions. Respondent argued that because the Chairman had
previously appeared at a deposition, had nothing to add the
hearing, and was not required to appear -- as an agency head --
"unless a clear showing is made that such a proceeding is
essential to prevent prejudice or injustice." Slip op. at
29, quoting Respondent's Brief, citing Wirtz v Local 30,
International Union of Operating Engrs, 34 F.R.D. 13, 14,
(S.D.N.Y. 1963). The ALJ rejected the Respondent's arguments,
noting that it was the trier of fact and not the Respondent that
determines whether a particular party's presence is necessary to
the resolution of a particular matter, and noting that his order
included a finding that the Chairman's testimony was relevant and
necessary. Thus, the ALJ imposed the sanctions drawing adverse
inferences against the Respondent -- specifically, a finding that
one of Complainant's witnesses was credible, and a preclusion of
the Respondent from litigating the credibility of the witness.
The ALJ noted that even without the sanctions in the case, he
would have found Complainant's witness to be credible.
VII D 6 Expansion of scope of hearing
InMitchell v. EG & G (Idaho), 87-ERA-22 (Sec'y
July 22, 1993), the ALJ scheduled a hearing "strictly
limited to the single issue of timeliness."
(emphasis in original) After the hearing the ALJ issued a
Recommended Decision & Order in which he held, inter alia,
that one Respondent, TVA, was entitled to dismissal as a matter
of law because Complainant "voluntarily amplified the range
and exceeded the scope for the Hearing was designed and [was]
bound by . . . his evidence firmly establish[ing] that [TVA] was
not his employer" thereby precluding ERA coverage. The
Secretary held that an examination of the record did not support
the ALJ's conclusion that Complainant waived the limited scope of
the hearing, but rather indicated that evidence regarding
employment by TVA was offered solely as background for an
understanding of the timeliness issue. He also noted, but did
not decide, that the ERA does not "ineluctably" require
an employer-employee relationship.
VII E Miscellaneous; transcription of conference call
In United States Dept. of Labor v. Jacksonville Shipyards,
Inc., 89-OFC-1 (Sec'y July 19, 1990), the Plaintiff
excepted to the ALJ's refusal to transcribe telephone conference
calls among the ALJ and counsel for the parties. The Secretary
noted that nothing in the OFCCP regulations or the Part 18 rules
of practice and procedure requires or prohibits such
transcription. The Secretary denied the exception and noted that
she was reluctant to intrude on the details of ALJ case
management. She noted, however, that "it is appropriate for
ALJs to consider transcribing telephone conferences involving
arguments on motions made by counsel or rulings by the ALJs.
[Nuclear & Environmental Whistleblower Digest VII E] FOIA; CRITICAL INFRASTRUCTURE INFORMATION
The Homeland Security Act of 2002, Public Law 107 296, 116 Stat. 2135, § 214(a), includes a provision that describes how the new Department of Homeland Security is to treat critical infrastructure information it obtains through voluntary submission. For example, one provision operates as a new "Exemption 3 statute" under the Freedom of Information Act, 5 U.S.C. § 552(b)(3).
According to the Department of Justice, Office of Information and Privacy (OIP), this new law operates similarly to Exemption 4 in the submission of business and financial information. OIP states that "'[t]he term 'covered Federal agency' means the Department of Homeland Security.' Pub. L. No. 107 296, 116 Stat. 2135, § 212(2)Y." (emphasis added) For more details, see www.usdoj.gov/oip/foiapost/2003foiapost4.htm
The new FOIA exemption does not apply to OALJ as the Department of Labor is not part of the Department of Homeland Security; however, it may be relevant if information is submitted into the record from a Homeland Security agency.
[Nuclear and Environmental Whistleblower Digest VII E]
NEW ARGUMENT RAISED IN REPLY BRIEF; ALJ MUST PROVIDE OPPOSING PARTY OPPORTUNITY TO RESPOND
In Erickson v. U.S. Environmental Protection Agency, ARB No. 99-095, ALJ No. 1999-CAA-2 (ARB July 31, 2001), the ARB held that "[a]t a minimum, ... when a new argument is raised in a reply brief, the other party must be given an adequate opportunity to respond in some manner (e.g., by ordering an additional round of briefing)." Slip op. at 7 (citation omitted).
[Nuclear & Environmental Digest VII E]
SEALING OF RECORD IN REGARD TO MEDICAL RECORDS
In Marcus v. U.S. Environmental
Protection Agency, 1996-CAA-3 and 7 (ALJ Dec. 15, 1998), the ALJ granted
Complainant's request that testimony from the medical experts and any medical records
submitted as exhibits be placed in a restricted access portion of the case file pursuant to 29
C.F.R. § 18.56 and Brown v. Holmes &
Narver, Inc., 1990-ERA-26 (Sec'y May
11, 1994). The ALJ placed the relevant exhibits and transcripts in sealed envelopes. She also
discussed the restricted access information in a sealed, unpublished addendum to the
recommended decision.
McCutchen v. United States Dep't of Health and Human
Servs., 30 F.3d 183 (D.C. Cir. 1994)
Appellee McCutchen had requested a list of investigations of
scientific misconduct from Appellant Department of Health and
Human Services' Office of Scientific Integrity pursuant to the
Freedom of Information Act. The Department complied with the
request except in cases where the OSI had found no misconduct.
In those cases, the Department deleted the names of all the
complainants and the respondents, claiming that such information
was exempt from disclosure under 5 U.S.C. §
552(b)(6),(7)(C), & (7)(D) (Exemptions 6, 7(C), and 7(D)).
Exemption 6 applies to files containing information such as
personnel or medical data where an individual's personal privacy
is at stake. Exemption 7(C) excludes "records or
information compiled for law enforcement purposes, but only to
the extent that the production of such law enforcement records or
information . . . could reasonably be expected to constitute an
unwarranted invasion of personal privacy." 5 U.S.C. §
552(b)(7)(C). Exemption 7(D) protects the identities of
confidential sources. The district court upheld the
nondisclosure of the complainants' names but ordered the
Department to disclose the names of the respondents. In
balancing the privacy interests of the individuals who were the
targets of the investigations with the public interest in
ensuring that the investigations conducted by the OSI were
complete, the district court found that the "'growing
concern' that OSI was mishandling [the] investigations" was
substantial enough to outweigh the respondents'' privacy
interests. 30 F.3d at ___.
The Court of Appeals for the District of Columbia reversed
in part, finding that the "mere desire to review how an
agency is doing its job, coupled with allegations that it is not,
does not create a public interest sufficient to override the
privacy interests protected by Exemption 7(C)." 30 F.3d at
___, citing Davis v. Dep't of Justice, 968 F.2d 1276 (D.C.
Cir. 1992). Additionally, since Congress had statutorily created
an obligation for universities and other institutions receiving
research grants to investigate and report the HHS any allegations
of substantial scientific fraud, the court deferred to Congress'
judgment that this procedure would be effective.
In Washington Post Co. v. Dep't of Justice, 274 863
F.2d 96 (D.C. Cir. 1988), the court had held that an individual,
even though acting in a professional role, retains a privacy
interest of "personal honor," and that "the
protection accorded reputation [under Exemption 7(C)] would
generally shield material when disclosure would show that an
individual was the target of a law enforcement
investigation." Id. at 100-01. The court found that
the "personal honor" of the respondents'' were at stake
in this case where the respondents would be subject to the stigma
that is associated with being the target of law enforcement
investigations. Hence, the court held that the respondents,
after being exonerated, had a substantial privacy interest, which
was protected by Exemption 7(C), in having their names withheld
from disclosure. It was further noted that where a disclosure
would constitute an invasion of privacy under Exemption 7(C),
such a disclosure would also be protected under Exemption 6,
which requires that the invasion of privacy be "clearly
unwarranted."
The court affirmed the district court's holding that the
complainants' names were rightfully withheld. The complainants
have an interest in remaining anonymous to avoid retaliation,
which is also protected under Exemption 7(C). Since Exemption
7(C) could be used to suppress the names of the complainants, the
court did not address whether the names would also be protected
under Exemption 7(D).
[Nuclear and Environmental Whistleblower Digest VII E]
NAMING OF RESPONDENTS; OFFICE OF THE INSPECTOR GENERAL IS A PART OF THE AGENCY RATHER THAN A SEPARATE ENTITY
In Erickson v. U.S. Environmental Protection Agency, ARB No. 03-002, ALJ No. 1999-CAA-2 (ARB May 31, 2006), the Complainant named the EPA and the EPA Office of the Inspector General each as respondents in their own right. The ARB noted that the EPA IG is an employee of, acts on behalf of, and operates for the benefit of the EPA; thus, when referencing the Respondent in the decision, the ARB would merely refer to the EPA unless necessary to identify specific units within EPA.
[Nuclear and Environmental Whistleblower Digest VII E]
TRIAL OF ISSUE BY IMPLIED CONSENT
In Sasse v. USDOL, No. 04-3245 (6th Cir. May 31, 2005) (case below ARB No. 02-077, ALJ No. 1998-CAA-7), the Sixth Circuit held that the Complainant's suspension, allegedly in retaliation for contacts the Complainant made with a congressman, was not cognizable where the matter arose after the filing of the DOL environmental whistleblower complaint and where the elements of trial by implied consent were not present. The Complainant was an Assistant U.S. Attorney (AUSA). The court looked to FRCP 15(b) for guidance in interpreting the DOL rule on trial by implied consent at 29 C.F.R. § 18.5(e). The mere fact that the Respondent's attorneys asked questions about the contact with the Congressman did not serve to establish that the Respondent had fair notice of a new, unpleaded issue entering the case where the questions were clearly designed to elicit testimony relevant to the Complainant's credbility. The court expressed no opinion on whether an AUSA engages in protected activity by speaking with a Congressman about certain aspects of his job, but limited its holding to a finding that such was neither pled in the complaint nor tried by the implied consent of the parties.
[Nuclear and Environmental Whistleblower Digest VII E]
COVERAGE; DISTINCTION BETWEEN "JURISDICTION" AND COVERAGE
In Devers v. Kaiser-Hill Co., ARB No. 03-113, ALJ No. 2001-SWD-3 (ARB Mar. 31, 2005), the ALJ found that the Complainants had not engaged in protected activity and therefore dismissed their complaints for lack of jurisdiction. The ARB clarified that the dismissal was for lack of coverage, not lack of jurisdiction. The Board wrote:
The ALJ's dismissal of the Complainants' claims for lack of jurisdiction requires some clarification. The complaint filed with OSHA under the ERA, TSCA, SWDA, and CERCLA conferred jurisdiction upon the ALJ to determine whether the Complainants were entitled to relief under one or more of those statutes. See Bell v. Hood, 327 U.S. 678, 682 (1946) (whether the complaint states a cause of action on which relief could be granted is a question of law, which must be decided after, and not before, the court has assumed jurisdiction over the controversy; if the allegations in the complaint do not state a ground for relief, then dismissal of the case would be on the merits, not for want of jurisdiction); Culligan v. American Heavy Lifting Shipping Co., ARB No. 03-46, ALJ Nos. 00-CAA-20, 02-CAA-09, 11, slip op. at 7-11 (ARB June 30, 2004) (ARB has jurisdiction to decide that the complainants' case must be dismissed under the TSCA, SWDA, and CERCLA). Where, as here, the case is fully litigated on the merits, and the ALJ finds and concludes that what the Complainants assert is their protected activity is not in fact protected under the statutes at issue, we consider the question to be one of coverage under those statutes and not of jurisdiction. See Gain v. Las Vegas Metro. Police Dep't, ARB No. 03-108, ALJ No. 02-SWD-4, slip op. at 4 n.5 (ARB June 30, 2004). ...