Wright-Simmons v. City of Oklahoma City

                                                                             F I L E D
                                                                      United States Court of Appeals
                                                                              Tenth Circuit
                                        PUBLISH
                                                                              SEP 15 1998
                    UNITED STATES COURT OF APPEALS
                                                                         PATRICK FISHER
                                                                                  Clerk
                                 TENTH CIRCUIT



 SHARRON WRIGHT-SIMMONS,

               Plaintiff - Appellant,

          v.                                               No. 96-6203

 THE CITY OF OKLAHOMA CITY, a
 Municipal Corporation,

               Defendant - Appellee.


           APPEAL FROM THE UNITED STATES DISTRICT COURT
              FOR THE WESTERN DISTRICT OF OKLAHOMA
                       (D. Ct. No. CIV-95-681-A)


Jeffrey A. Lee (George Freedman, with him on the briefs), Lee & Freedman, P.C.,
Oklahoma, City, Oklahoma, appearing for Plaintiff-Appellant.

Wiley L. Williams, Assistant Municipal Counselor (William O. West, Municipal
Counselor, and Susan K. Noland, Assistant Municipal Counselor, with him on the
brief), Office of Municipal Counselor, Oklahoma City, Oklahoma, appearing for
Defendant-Appellee.


Before TACHA and BALDOCK, Circuit Judges, and GREENE, District Judge. *


TACHA, Circuit Judge.


      *
          The Honorable J. Thomas Greene, Senior United States District Judge for the
District of Utah, sitting by designation.
      Plaintiff, a black employee in the Metro Transit Department of the City of

Oklahoma City, appeals the district court’s grant of summary judgment in favor of

the City on her claims of racial discrimination and retaliation in violation of Title

VII. Plaintiff alleges that one of her supervisors, Terry Armentrout, created a

racially hostile work environment and that, after her complaints led to

Armentrout’s resignation, various coworkers retaliated against her. The district

court ruled against plaintiff on her discrimination claim, concluding that plaintiff

did not show that Armentrout made more than sporadic racial slurs and failed to

establish the existence of a hostile work environment. Moreover, the court

determined that even if Armentrout did create a racially hostile work

environment, the City was not liable for it. The court also ruled against plaintiff

on her retaliation claim, holding that even if individual coworkers retaliated

against plaintiff, the City was not liable for their actions.

      We take jurisdiction under 28 U.S.C. § 1291. Because this is an appeal

from a summary judgment decision, we recite and consider the facts in the light

most favorable to the plaintiff. See Hirase-Doi v. U.S. West Communications,

Inc., 61 F.3d 777, 781 (10th Cir. 1995). We affirm in part, reverse in part, and

remand.


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                                          I.

      Plaintiff began working in the Metro Transit Department in August 1990,

where, as the Clerical Coordinator, she supervised four or five customer service

clerks. From August 1990 until March 1993, plaintiff’s immediate supervisor was

Vicki Harty. In March 1993, Harty was moved aside and plaintiff thereafter

reported directly to Terry Armentrout, the Assistant Director of Metro Transit.

Armentrout, in turn, reported to Steve Klika, the Director of Metro Transit.

      The evidence, viewed in the light most favorable to plaintiff, shows that

Armentrout frequently made racial slurs and racially derogatory comments.

Armentrout also expressed the opinion that too many blacks worked in the

department, and he treated the black employees in the department different from

the white employees. In the summer of 1993, plaintiff complained to Klika about

Armentrout’s racist language and conduct. Klika informed plaintiff he would talk

to Armentrout about his language, but told plaintiff she should understand that

Armentrout grew up in southern Oklahoma and was not racially sensitive. Klika

subsequently told Armentrout to watch his language. Armentrout later took

plaintiff to task for complaining about his conduct to Klika, rather than directly to

him. On December 12, 1993, Klika resigned as Director of Metro Transit, and

Armentrout became the Acting Interim Director. Armentrout immediately

informed plaintiff she was being demoted, and either Armentrout or Harty told


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plaintiff that she no longer needed to attend supervisory staff meetings.

Armentrout also informed plaintiff that she would no longer report to him, but

would report to Harty once again.

      Plaintiff testified that once Harty became her direct supervisor again, she

seemed to constantly watch plaintiff. Several other employees substantiated this

allegation, and Hugh Kierig, a supervisor in the Planning Division of Metro

Transit, verified that Armentrout had given Harty instructions to watch and

monitor plaintiff. Harty stated that Armentrout once talked about putting a

monitoring device on plaintiff’s telephone. In January 1994, plaintiff contacted

Dianna Berry in the Personnel Department to discuss an unrelated matter. During

their conversation, plaintiff told Berry that she had been documenting incidents

that plaintiff believed to be discriminatory and that she knew people who could

verify her allegations. Berry asked plaintiff to give her the names of the people

and any documentation she had. On February 7, Harty and Kierig contacted Berry

to discuss plaintiff’s deteriorating work performance and what corrective actions

could be taken. When questioned by Berry, Harty and Kierig attributed plaintiff’s

deteriorating performance to her relationship with Armentrout and his

inappropriate comments to plaintiff. Harty and Kierig told Berry they had never

reported Armentrout’s conduct because they were afraid to get involved.

      Plaintiff eventually gave Berry the requested information on February 14.


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On February 23, Berry began an official investigation of plaintiff’s allegations.

As part of the investigation, Berry or other members of the Personnel Department

interviewed thirteen past or present Metro Transit employees. These interviews

generally confirmed plaintiff’s allegations concerning Armentrout’s racist

conduct. Thereafter, Berry and Lloyd Rinderer, the Personnel Director,

interviewed Armentrout to give him an opportunity to respond to the allegations.

On March 2, Berry prepared a two-page report of the investigation, to which she

attached all the interview notes. In her report, Berry concluded that “Mr.

Armentrout’s conduct would be considered inappropriate, regardless of the

circumstances,” and that “the criteria for determining racial harassment has been

met.” Appellant’s App. at 254. Berry submitted her report to Rinderer, who then

submitted it to Don Bown, the City Manager. Bown subsequently met with

Armentrout and, based on the information contained in the report, informed

Armentrout that he would be fired if he did not resign. On March 25, Armentrout

submitted his letter of resignation to Bown.

      Plaintiff took a leave of absence from April 11 until the beginning of July.

While on leave, she filed a grievance against Harty, which was investigated by

Randall Hume, the newly appointed Director of Metro Transit. Hume concluded

that the evidence did not support plaintiff’s allegations of either discrimination or

retaliation by Harty, but he did advise plaintiff that, based on his assessment of


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the operating needs of Metro Transit, there would be a change in the

organizational structure and plaintiff would have a different supervisor. When

plaintiff returned to work in July, Rick Cain, the new Assistant Director of Metro

Transit, became plaintiff’s immediate supervisor.

      Plaintiff contends that after she returned to work, various employees began

retaliating against her and the other customer service clerks because of plaintiff’s

complaints against Armentrout. Plaintiff asserts that the retaliation began when

one or more white employees reported plaintiff for illegally parking in a

handicapped space in the employee parking lot, for which plaintiff received a

ticket. Plaintiff also claims that various white employees made her work more

difficult by failing to provide her with information in a timely fashion and by

being rude to her. Plaintiff related her complaints to both Cain and Hume. At the

same time, various Metro Transit employees, who called themselves “The Group,”

complained to Hume and others about plaintiff’s poor performance, among other

things. Plaintiff believes that The Group intended to force her to resign through

continual harassment. Hume took several steps to resolve the internal disputes in

his office, which he viewed as arising largely from employee confusion over

internal policies and procedures. Despite Hume’s efforts, the situation had not

improved by the time plaintiff filed the present suit.

                                          II.


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      Before determining whether plaintiff’s evidence of a hostile work

environment and retaliation are sufficient to survive summary judgment, we must

first consider whether the two-page report prepared by Berry, and the interview

notes attached thereto, are admissible evidence. The City argues that the

interview notes attached to Berry’s report are inadmissible hearsay. Plaintiff

contends that neither the report nor the notes are hearsay because they are offered

against a party and constitute “a statement of which the party has manifested an

adoption or belief in its truth.” Fed. R. Evid. 801(d)(2)(B).

      “It is well settled in this circuit that we can consider only admissible

evidence in reviewing an order granting summary judgment.” Gross v. Burggraf

Constr. Co., 53 F.3d 1531, 1541 (10th Cir. 1995). While the party opposing

summary judgment “need not produce evidence in a form that would be

admissible at trial, . . . the content or substance of the evidence must be

admissible.” Thomas v. IBM, 48 F.3d 478, 485 (10th Cir. 1995) (citations and

internal quotation marks omitted). Hearsay testimony cannot be considered

because a third party’s description of a witness’ supposed testimony is “not

suitable grist for the summary judgment mill.” Id. (citations and internal

quotation marks omitted).

      We review a district court’s evidentiary rulings for abuse of discretion. See

United States v. Davis, 40 F.3d 1069, 1076 (10th Cir. 1994). In this case, the


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district court’s opinion does not address the admissibility of the report or the

attached interview notes for the purpose of the summary judgment inquiry. As we

explain below, that evidence is not hearsay. Thus, even if the district court ruled

on the summary judgment motion without considering the report and attached

notes, that decision to exclude the evidence would itself constitute an abuse of

discretion requiring reversal and consideration of the report and interview notes.

      Under Rule 801(d)(2)(B), evidence is not hearsay if it “is offered against a

party and is . . . a statement of which the party has manifested an adoption or

belief in its truth.” The First Circuit recently applied 801(d)(2)(B) to a report

similar to the one at issue here. In Pilgrim v. Trustees of Tufts College, 118 F.3d

864 (1st Cir. 1997), the plaintiff, an employee of the college, filed a grievance

against his supervisor, alleging discrimination on the basis of race and national

origin. A grievance committee investigated the allegations, prepared a report

favorable to the plaintiff, and submitted the report to the president of the college.

The president implemented each of the report’s recommendations, including the

removal of the plaintiff’s supervisor from all supervisory duties. See id. at 870.

      The Pilgrim court explained that when determining whether a party has

manifested a belief in the truth of a document, the test is “whether the

surrounding circumstances tie the possessor and the document together in some

meaningful way.” Id. (citations and internal quotation marks omitted). A


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document is sufficiently “tied” to the possessor “to the extent the adoptive party

accepted and acted upon the evidence.” Id. In Pilgrim, the college president

demoted the employee who allegedly had harassed the plaintiff. The court found

that:

        removing [the employee] from all supervisory duties was a
        serious enough action that we cannot but think that [the
        president] would not have carried this out unless he accepted
        the Report’s conclusions as the truth. As such, his acceptance
        of the contents of the Report and his implementation of its
        recommendations, without disclaimer, served as an adoption of
        the Report for the purposes of Rule 801(d)(2)(B).

Id. We adopt the First Circuit’s approach to adoptive admissions.

        In this case, Donald Bown, the City Manager, would not have sought

Terry Armentrout’s resignation had he not believed Berry’s report. When he

asked Armentrout for his resignation, Bown told Armentrout: “‘This is what I

have got, this is the information that I have, it seems to be substantiated, so

either you--you resign this afternoon or you will be terminated tomorrow

morning.’” Appellant’s App. at 393. When Armentrout asked who was saying

the damaging things about him, Bown gave him the names of several people,

including Carol Gardener, Paula Gordon, and Vicki Harty. Thus, it seems

apparent that Bown relied not only on Berry’s two-page report, but on the

attached notes of witness interviews. While it is true that Bown need not have

believed every statement in the report to reach the conclusion that Armentrout


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should resign, that fact goes to the weight of the evidence rather than its

admissibility. Because Donald Bown accepted the documents and acted upon

them, we hold that neither the two-page report nor the attached notes are

hearsay, and are therefore admissible.

      We turn, then, to the merits of plaintiff’s hostile work environment

claim. Hostile environment harassment occurs where a supervisor or co-

worker’s conduct unreasonably interferes with an individual’s work

performance or creates an intimidating, hostile, or offensive work environment.

See Meritor Sav. Bank, FSB v. Vinson, 477 U.S. 57, 65 (1986). To establish

her claim, plaintiff must show both that the conduct to which she was subject

was “severe or pervasive enough to create . . . an environment that a reasonable

person would find hostile or abusive,” and that she “subjectively perceive[d]

the environment to be abusive.” Harris v. Forklift Sys., Inc., 510 U.S. 17, 21

(1993).

      Whether a work environment is hostile must be evaluated based on all

the circumstances, which may include “the frequency of the discriminatory

conduct; its severity; whether it is physically threatening or humiliating, or a

mere offensive utterance; and whether it unreasonably interferes with an

employee’s work performance.” Id. at 23. The record here shows that

Armentrout’s racist conduct was frequent. Armentrout was first the Assistant


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Director and then Acting Director of the entire department. White employees

as well as black employees described the Metro Transit as being an

environment charged with racial tension. Moreover, at least two members of

management in the department thought that Armentrout’s improper conduct was

having a deleterious effect on plaintiff’s work performance. Cf. id. at 25

(Ginsburg, J., concurring) (“[T]he adjudicator’s inquiry should center,

dominantly, on whether the discriminatory conduct has unreasonably interfered

with plaintiff’s work performance.”). Viewing the evidence in the light most

favorable to the plaintiff, we conclude that a reasonable jury could find that

Armentrout’s conduct created a racially hostile work environment in Metro

Transit. The question remains, however, whether the City can be held liable for

that environment.

      In order to determine whether an employer is liable for a hostile work

environment created by a supervisor, we look to general agency principles. See

Meritor, 477 U.S. at 72. The Restatement (Second) of Agency § 219 is our

guide in this area. See id. Section 219 states that:

     (1) A master is subject to liability for the torts of his servants
     committed while acting in the scope of their employment.
     (2) A master is not subject to liability for the torts of his
     servants acting outside the scope of their employment, unless:
           (a) the master intended the conduct or the consequences,
           or
           (b) the master was negligent or reckless, or
           (c) the conduct violated a non-delegable duty of the

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                master, or
                (d) the servant purported to act or to speak on behalf of
                the principal and there was reliance upon apparent
                authority, or he was aided in accomplishing the tort by
                the existence of the agency relation.

From these provisions, we have identified three bases for holding an employer

liable: (1) if the conduct violating Title VII occurred within the transgressor’s

scope of employment; (2) if the employer knew, or should have known about,

the violation and failed to respond in a reasonable manner; or (3) if the

transgressor acted with apparent authority or was aided in violating the statute

by virtue of their agency relationship with the employer. See Bolden v. PRC,

Inc., 43 F.3d 545, 551 n.1 (10th Cir. 1994); Sauers v. Salt Lake County, 1 F.3d

1122, 1125 n.3 (10th Cir. 1993).

           In recent cases, the Supreme Court has clarified the meaning of § 219(1)

and (2)(d) of the Restatement (Second) of Agency, which relate to our first and

third basis of employer liability. 1 Our cases previously found § 219(1), the

scope-of-employment provision, largely inapplicable to harassment cases,

except in the fanciful case that the employer had made such illegal harassment


       1
        Although those Supreme Court cases were not decided at the time of the district
court’s decision in this case, they apply with full force. See Harper v. Virginia Dept. of
Taxation, 509 U.S. 86, 97 (1993) (“When this Court applies a rule of federal law to the
parties before it, that rule is the controlling interpretation of federal law and must be
given full retroactive effect in all cases still open on direct review and as to all events,
regardless of whether such events predate or postdate our announcement of the rule.”).


                                            - 12 -
part of the employee’s job description. See Hicks v. Gates Rubber Co., 833

F.2d 1406, 1418 (10th Cir. 1987). The district court apparently relied on this

line of cases in finding that “Armentrout could not have been acting within the

scope of his employment . . . when he committed the harassment.” Wright-

Simmons v. City of Oklahoma City, No. CIV-95-681-A, slip op. at 6 (W.D.

Okla. filed May 7, 1996).

      In its recent decisions, the Supreme Court confirmed that harassment by

a supervisor is generally not conduct within the scope of employment. See

Burlington Indus. v. Ellerth, 118 S. Ct. 2257, 2267 (1998). It did declare,

however, that conduct creating a hostile work environment is within the scope

of employment for purposes of Title VII employer liability if it was motivated

by an intent to serve the employer. See Faragher v. City of Boca Raton, 118 S.

Ct. 2275, 2286 (1998); Burlington Indus., 118 S. Ct. at 2266. “There are

instances . . . where a supervisor engages in unlawful discrimination with the

purpose, mistaken or otherwise, to serve the employer.” Id. at 2266. For

instance, a supervisor who discriminates based on race in job assignments “in

order to placate the prejudice pervasive in the labor force” would be acting

within the scope of employment. See Faragher, 118 S. Ct. at 2288. On remand,

the district court must apply the intent-to-serve-the-employer standard.

      Although Burlington and Faragher involved sexual harassment, the


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principles established in those cases apply with equal force to this case of racial

harassment for a number of reasons. First, we take the counsel of Faragher

itself, which expressed a preference for harmonizing the standards applied in

cases of racial discrimination and sexual discrimination. See Faragher, 118 S.

Ct. at 2271 n.1. Faragher and Burlington also do not involve situations unique

to sexual harassment cases, e.g., quid pro quo harassment. Furthermore, our

cases have always reflected a belief that the employer-liability standards are

equivalent for race- and sex-based discrimination. See Bolden v. PRC, Inc., 43

F.3d 545, 551 n.1 (10th Cir. 1994) (citing sex-discrimination case for employer

liability standards in a race-discrimination case). Finally, Burlington and

Faragher interpreted the same statutory language at issue here: Is an institution

an “employer” for purposes of Title VII?

      The second basis for liability, not addressed in either Burlington or

Faragher, is employer negligence. The employer may be held liable if it knew,

or should have known, about the hostile work environment and failed to

respond in an appropriate manner. The evidence shows that, before she lodged

a formal complaint with the Personnel Department, plaintiff complained about

Armentrout’s conduct to two Metro Transit supervisors (Harty and Kierig) who

did nothing. Plaintiff also complained to the head of the department (Klika),

who had an informal talk with Armentrout, but did not report the matter to the


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Personnel Department. Moreover, even absent plaintiff’s complaints to

supervisors in the department, the evidence suggests that the hostile work

environment may have been so pervasive that the City should have known

about it before plaintiff lodged her formal complaint with the Personnel

Department in February 1994. Even though the Personnel Department

subsequently investigated plaintiff’s allegations carefully, and the City

Manager fired the harasser based on the Personnel Department’s investigation,

a reasonable jury could find that the City’s response was neither timely nor

reasonable because it knew or should have known of the hostile work

environment before February 1994. Thus, the evidence, viewed in the light

most favorable to the plaintiff, could support a finding that the City is liable on

the second basis of employer liability. We reverse this portion of the district

court’s opinion.

      The third avenue of employer liability, based on the Restatement

(Second) of Agency § 219(2)(d), was explored fully in Burlington and

Faragher. For reasons contained in those opinions, the Court explained that

applying § 219(2)(d) to the Title VII context meant that:

     An employer is subject to vicarious liability to a victimized
     employee for an actionable hostile environment created by a
     supervisor with immediate (or successively higher) authority
     over the employee. When no tangible employment action is
     taken, a defending employer may raise an affirmative defense
     to liability or damages, subject to proof by a preponderance of

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       evidence. The defense comprises two necessary elements: (a)
       that the employer exercised reasonable care to prevent and
       correct promptly any sexually harassing behavior, and (b) that
       the plaintiff employee unreasonably failed to take advantage of
       any preventive or corrective opportunities provided by the
       employer or to avoid harm otherwise.

Faragher, 118 S. Ct. at 2292-93 (citations omitted); accord Burlington, 118 S.

Ct. at 2270. 2 If tangible employment action is taken against the plaintiff, the

affirmative defense is not available. See Burlington, 118 S. Ct. at 2269

(“Whatever the exact contours of the aided in the agency relation standard, its

requirements will always be met when a supervisor takes a tangible

employment action against a subordinate.”).

           The district court did not examine the third basis for employer liability.

On remand, it must apply the language above in order to determine whether

Metro Transit can be held liable under this third basis. The operative questions

will be whether Armentrout had sufficient control over the plaintiff to be

considered her supervisor, whether Armentrout took tangible employment

action against her, and whether the plaintiff could have avoided the harm.


       2
        The plaintiff, relying on a misinterpretation of our opinion in Sauers v. Salt Lake
County, 1 F.3d 1122 (10th Cir. 1993), argues that the City is liable for Armentrout’s
conduct because he was a supervisor who had significant control over the terms and
conditions of the plaintiff’s job. The discussion of supervisory capacity in Sauers relates
solely to the question of when a plaintiff’s timely assertion of claims against her
supervisor can operate as a timely assertion of claims against her employer. See id. at
1125. Although the plaintiff’s interpretation of Sauers shares some likeness with the
recent Court decisions, Sauers itself is inapposite to this case.

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       We turn, finally, to the plaintiff’s claim of retaliation. A central portion

of plaintiff’s retaliation claim is an extension of other hostile environment

claims. Although plaintiff’s allegations of a hostile work environment

concerned only Armentrout’s conduct, plaintiff contends that his departure did

not alleviate the hostile environment. She argues that the City did not take

sufficient steps to eliminate racial hostility and assimilate her back into the

workplace after her leave of absence. Whether the City responded

appropriately to the information it had concerning the extent and causes of the

hostile work environment is a matter better addressed in connection with

plaintiff’s hostile work environment claim.

       To the extent that plaintiff alleges a true retaliation claim, i.e., that the

City retaliated against her for engaging in protected activity, we agree with the

district court that, even when viewed in the light most favorable to plaintiff, the

evidence does not support a retaliation claim. Therefore, the district court

properly granted summary judgment in favor of the City on plaintiff’s claim of

retaliation.

       The judgment of the United States District Court for the Western District

of Oklahoma is AFFIRMED in part, REVERSED in part, and the case is

REMANDED for further proceedings consistent with this opinion.




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