IN THE UNITED STATES COURT OF APPEALS
FOR THE FIFTH CIRCUIT
_________________________________
No. 97-50736
_________________________________
JESUS G. MUÑOZ; MANUEL MUÑOZ, JR.,
Plaintiffs-Appellants,
v.
VERNE ORR; ET AL.,
Defendants,
F. WHITTEN PETERS, SECRETARY OF U.S. DEPARTMENT OF
THE AIR FORCE,
Defendant-Appellee.
---------------------------------
Appeals from the United States District Court
for the Western District of Texas
---------------------------------
January 5, 2000
Before JOLLY, BARKSDALE and BENAVIDES, Circuit Judges.
BENAVIDES, Circuit Judge:
This appeal represents the final phase of what has been
protracted and difficult litigation for both sides. Plaintiffs
allege that the civilian employee promotion system used at Kelly
Air Force Base has operated to discriminate against Hispanic
males. After a prolonged discovery and motions period, the
district court granted the defendant’s motion for summary
judgment and plaintiffs appealed. Upon initial submission, we
ordered a limited remand so that the district court could explain
its reasoning with respect to its summary judgment. The district
court prepared an order explaining its decision and the parties
filed supplemental briefs. We must now decide the issue of
whether the district court erred in granting summary judgment for
the defendant, given the limited evidence before it.
I. Factual and Procedural History
Plaintiffs Jesus G. Muñoz and Manuel Muñoz, Jr. are Hispanic
males, brothers, employed as part of the civilian workforce at
Kelly Air Force Base near San Antonio, Texas [Kelly]. They
brought this suit on behalf of themselves and all Hispanic male
civilian employees at Kelly under Federal Rule of Civil Procedure
23(b)(2). Plaintiffs allege that the promotion system used by
the Air Force for civilian employees has a disparate impact on
Hispanic males, i.e. that the system results in fewer Hispanic
males receiving promotions than would be expected based on the
proportion of the civilian workforce at Kelly that they comprise.
An explanation of plaintiffs’ claims first requires an
understanding of the general context in which hiring and
promotion takes place at Kelly. Civilian employment at Kelly is
organized on the “GS” (General Service) scale, a salary and
promotions grid in common use throughout civilian federal
employment. Each GS level, or grade, represents a salary range.
The GS level to which an employee is assigned depends upon such
factors as education level, skill level, time in service, and
degree of authority of the position he occupies. Over the course
of a career in federal civilian employment, an employee may
occupy several different GS levels or steps within a GS level.
--2--
Certain GS levels are not open to employees without particular
qualifications (e.g. a college degree or its equivalent). As a
general matter, each job opening is allocated to a particular GS
level or range of levels, thus setting the maximum salary that
position could accrue. A federal civilian job also has skills
requirements and responsibilities attached to it that in part
define its GS range.
At Kelly, civilian promotions are handled in part by a Merit
Promotion Plan that includes an automated system called the
“Personnel Placement and Referral System,” or PPRS. Under PPRS,
employees need not submit applications for promotions. Rather,
as a position becomes available, PPRS considers all eligible
employees within the defined area of consideration for the
position (e.g. Kelly Air Force Base or the entire Air Force).
PPRS recursively eliminates employees under increasingly specific
job requirements until the desired number of candidates is
reached. PPRS thus works like a funnel, at first considering all
nominally eligible employees for a promotion and then narrowing
the field based on successively more detailed requirements until
a short, ranked list is generated. Each stage of this narrowing
is known as a “progression level factor,” or PLF. Ties between
employees are broken by reference to appraisal scores, awards,
and service computation date, in order. The list is hand-checked
and then forwarded to the selecting official, who chooses one of
the employees for the promotion.
The automated program is not without subjective elements.
--3--
At the beginning of the promotion process, three-person teams
establish and rank the job skills relevant to the position. This
ranked list is called a “Promotion Evaluation Pattern,” or PEP.
The PLFs used by the automated program to narrow the field for a
given promotion are derived from these PEPs. Furthermore, within
the automated PPRS program, ties between eligible employees are
broken in part by appraisal scores and awards and service
computation dates. An employee’s appraisal scores and receipt of
any awards depend, to a large degree, on the discretion of his
supervisors. Lastly, after a finite list of names for a
promotion has been prepared by the PPRS, a selecting officer
chooses one employee from the group. Though the officer’s range
of choice is limited to the list derived from the PPRS, the
actual selection from within the group is left to the selecting
officer’s discretion. Thus, promotions at Kelly comprise both
subjective and objective components that are significantly
intertwined.
Plaintiffs filed this action in 1985, alleging sex and
national origin discrimination in violation of Title VII of the
Civil Rights Act of 1964, as amended, 42 U.S.C. § 2000 et seq.
Plaintiffs filed this case as a class action under Federal Rule
of Civil Procedure 23(b)(2) on behalf of themselves and all other
Hispanic male civilian employees, contending that the promotion
system at Kelly had an adverse disparate impact on Hispanic
--4--
males.1 In February of 1989, the district court granted summary
judgment for defendant, finding that plaintiffs had failed to
exhaust their administrative remedies. This Court reversed that
initial summary judgment and remanded for further proceedings.
Muñoz v. Aldridge, 894 F.2d 1489 (5th Cir. 1990).
On remand, the case was referred to a magistrate judge who
held a class certification hearing and then recommended that the
case be certified as a class action. The class was defined as
“all Hispanic male employees, GS-09 to GS-14 at the SA-ALC, who
on or after 2/26/80 were eligible for promotion to positions at
grade GS-11 and above at SA-ALC which are covered by Merit
Promotion Certificates produced by the Central Civilian Personnel
Office at SA-ALC, up to and including the date of 09/26/91.”2
The class was certified in accordance with the magistrate’s
report.
During discovery, plaintiffs sought certain information
regarding the Air Force’s promotion procedures, including access
to the algorithm used in the automated PPRS process. After an in
camera review of the algorithm, the district court denied
plaintiffs’ request. No objections were filed to that denial.
1
Plaintiffs’ focus has shifted somewhat over time. In briefs on
this appeal, they contend that they have brought disparate impact
and disparate treatment, as well as both individual and class
claims.
2
The SA-ALC referred to in the class definition is the San Antonio
Air Logistics Command, the employer of the class members working at
Kelly Air Force Base. Merit Promotion Certificates are issued as
part of the Merit Promotion Plan, the promotion system which
plaintiffs challenge and of which the PPRS is a part.
--5--
Experts for both sides filed reports. Discovery was re-opened in
order to allow plaintiffs’ expert, Dr. Benz, to file two
additional reports on which he was afterwards deposed by the
defense. Plaintiffs also submitted affidavits from certain class
members explaining their personal experiences with the promotion
system at Kelly. Two plaintiffs, Manuel Muñoz, Jr. and Michael
Galvan, submitted additional affidavits containing partial
analyses of Kelly’s promotion data. After discovery was closed
for the second time, upon defendant’s motion, the district court
ordered summary judgment against plaintiffs.
Plaintiffs appealed the summary judgment to this court. We
ordered a limited remand so that the district court could explain
its reasoning. We now have before us the original appeal, the
district court’s order explaining its reasons for granting
summary judgment, and supplemental briefs filed by the parties in
response to the district court’s explanation.
II. Analysis
The primary issues raised in this case are whether the
district court properly excluded plaintiffs’ expert’s affidavits
as being unreliable, whether plaintiffs’ case should survive
summary judgment even without their expert’s statistical
evidence, and whether any individual claims brought by plaintiffs
survive the summary judgment order. Plaintiffs also argue that
various rulings during the discovery period improperly deprived
--6--
them of the opportunity to develop their case.
The litigation in the trial court has concentrated on
plaintiffs’ disparate impact class claims. As discussed below,
issues have been raised in this appeal regarding a disparate
treatment class claim and both disparate impact and disparate
treatment individual claims.
In the context of Title VII litigation, we recognize two
types of discrimination claims: disparate treatment and
disparate impact. Disparate treatment refers to deliberate
discrimination in the terms or conditions of employment, in this
case, promotion, on account of race, national origin, or gender.
The prima facie elements of a claim for disparate treatment are:
(1) that the plaintiff is a member of a protected class under the
statute; (2) that he applied and was qualified for a job or
promotion for which his employer was seeking applicants; (3)
that, despite his qualifications, he was rejected; (4) that
afterwards the position remained open and the employer continued
to look for candidates with plaintiff’s qualifications. See
McDonnell Douglas Corp. v. Green, 411 U.S. 792, 802 (1973).
Once that showing has been made, the burden of production
shifts to the employer to articulate a legitimate, non-
discriminatory reason for the employment action. See id. at 802-
03. The burden of persuasion, however, remains at all times with
the plaintiff. See Texas Dept. of Community Affairs v. Burdine,
405 U.S. 248, 253 (1981). In order to win his disparate
treatment claim, the plaintiff must then demonstrate that the
--7--
reason articulated by the employer was pretextual, see McDonnell
Douglas, 411 U.S. at 805, meaning a pretext for discrimination,
per se. See St. Mary’s Honor Ctr. v. Hicks, 509 U.S. 502, 510-12
(1993). The plaintiff still bears the burden of showing intent
on the employer’s part. See id.
Disparate treatment claims can be brought as class actions
as well. Plaintiffs in a class action disparate treatment case
must show a “pattern or practice” of discrimination by the
employer, i.e. that “racial discrimination was the company’s
standard operating procedure–the regular rather than the unusual
practice.” Teamsters v. United States, 431 U.S. 324, 336 (1977).
Proving a pattern or practice is necessary to establishing a
prima facie case in a disparate treatment class action: “Proving
isolated or sporadic discriminatory acts by the employer is
insufficient to establish a prima facie case . . . .” Cooper v.
Federal Reserve Bank of Richmond, 467 U.S. 867, 875-76 (1984).
Disparate impact claims, recognized in Griggs v. Duke Power
Co., 401 U.S. 424 (1971), do not require proof of intent to
discriminate. Instead, they focus on facially neutral employment
practices that create such statistical disparities disadvantaging
members of a protected group that they are “functionally
equivalent to intentional discrimination.” Watson v. Fort Worth
Bank and Trust, 487 U.S. 977, 987 (1988). Plaintiffs must
identify specific practices as being responsible for any observed
disparities, see Johnson v. Uncle Ben’s, Inc., 965 F.2d 1363,
1367 (5th Cir. 1992), cert. denied, 511 U.S. 1068 (1994), and
--8--
must conduct a systemic analysis of those employment practices in
order to establish their case. See Black Fire Fighters Ass’n v.
City of Dallas, 905 F.2d 63, 63 (5th Cir. 1990). Disparate
impact claims may be brought by either individual plaintiffs or a
class. In either case, the evidence will focus on the degree of
statistical disparity between protected and non-protected workers
in regards to employment or promotion.
A. Standard of Review
We review a grant of summary judgment de novo. See Frazier
v. Garrison Indep. Sch. Dist., 980 F.2d 1514,1520 (5th Cir.
1993); E.E.O.C. v. Southern Publishing Co., 894 F.2d 785, 789
(5th Cir. 1990). Exclusion of expert testimony under Federal
Rules of Evidence Rule 702 is within the traditional discretion
of the trial court, however, see Daubert v. Merrell Dow Pharm.,
Inc., 509 U.S. 579, 592-93 (1993), and we review it only for an
abuse of discretion which amounts to manifest error. See Boyd v.
State Farm Ins. Cos., 158 F.3d 326, 331 (5th Cir. 1998) (“With
respect to expert testimony offered in the summary judgment
context, the trial court has broad discretion to rule on the
admissibility of the expert’s evidence and its ruling must be
sustained unless manifestly erroneous”). We also review orders
involving discovery under a deferential abuse of discretion
standard. See Geiserman v. MacDonald, 893 F.2d 787, 789 (5th
Cir. 1990); see also Hodges v. United States, 597 F.2d 1014, 1018
(5th Cir. 1979).
--9--
Because this case involves the exclusion of expert testimony
for the purposes of a summary judgment determination, the
applicable standards of review overlap somewhat. We will
therefore review the district court’s exclusion of plaintiffs’
expert’s evidence and all discovery-related rulings for abuse of
discretion, and then review de novo the grant of summary judgment
based on the evidence properly before the district court. See
General Elec. Co. v. Joiner, 522 U.S. 136, 118 S.Ct. 512, 517
(1997) (“The question of admissibility of expert testimony is not
. . . an issue of fact, and is reviewable under the abuse of
discretion standard”); Curtis v. M & S Petroleum, Inc., 174 F.3d
661, 667-68 (5th Cir. 1999) (“We must first review the trial
court’s evidentiary rulings under an abuse of discretion
standard. . . . Then, with the record defined, we must review de
novo the order granting summary judgment as a matter of law”).
B. Exclusion of plaintiffs’ expert evidence
Claims of disparate impact under Title VII must, of
necessity, rely heavily on statistical proof. See Watson v. Fort
Worth Bank and Trust, 487 U.S. 977, 987 (1988). Plaintiffs in
this case have relied almost exclusively on the statistical
analysis contained in the affidavits and testimony of their sole
expert, Dr. Benz. On limited remand, the district court
explained that it found Dr. Benz’ analysis to be unreliable and
--10--
so did not consider it in reaching the summary judgment ruling.3
The district court acted well within its discretion in
evaluating the reliability of Dr. Benz’ evidence at the summary
judgment stage: “In considering a Rule 56(c) motion opposed by
expert testimony, the trial court has broad discretion to rule on
the admissibility of the expert’s evidence . . . [and] may
inquire into the reliability and foundation of any expert’s
opinion . . . .” Washington v. Armstrong World Indus., Inc., 839
F.2d 1121, 1123 (5th Cir. 1988).
If the basis for an expert’s opinion is clearly unreliable,
the district court may disregard that opinion in deciding whether
a party has created a genuine issue of material fact. See Berry
v. Armstrong Rubber Co., 989 F.2d 822, 824 (5th Cir. 1993), cert.
denied sub nom, Cooper v. Armstrong Rubber Co., 510 U.S. 1117
(1994); see also Daubert v. Merrell Dow Pharmaceuticals, Inc.,
3
Defendant contends that plaintiffs waived their objections to the
exclusion of their expert’s report when, after remand, they did not
specifically renew their objections in their first supplemental
brief. (Plaintiffs did renew their objections in their
supplemental reply brief after remand). While a party usually
cannot raise an issue for the first time in a reply brief, see
U.S. v. Green, 46 F.3d 461, 465 n.3 (5th Cir. 1995), plaintiffs are
not barred from pressing their objections regarding the exclusion
of their expert’s testimony here.
In their first brief on this appeal, plaintiffs presented a
full argument in favor of the admission of Dr. Benz’ testimony. We
retained jurisdiction of the case during the limited remand, and
specifically allowed the parties to brief any “aspect of [the
district court’s] reasons not already addressed in their earlier
briefs to this court.” Since we retained jurisdiction and the
original briefs carried over to this phase of the appeal, and
because our order did not require the parties to re-brief issues
already covered in their first submissions, we find that plaintiffs
did not waive their objections to the exclusion of their expert’s
testimony and therefore consider their arguments here.
--11--
509 U.S. 579, 596 (1993) (if “the trial court concludes that the
scintilla of [expert] evidence presented supporting a position is
insufficient to allow a reasonable juror to conclude that the
position more likely than not is true, the court remains free to
. . . grant summary judgment”). Both the determination of
reliability itself and the factors taken into account are left to
the discretion of the district court consistent with its
gatekeeping function under Fed. R. Evid. 702. See Kumho Tire
Co., Ltd. v. Carmichael, 526 U.S. 137, 119 S.Ct. 1167, 1176
(1999).
In its order following remand, the district court explains
at length its reasons for rejecting Dr. Benz’ reports and
testimony for purposes of its summary judgment determination.
After a careful review both of the order and the record, we
cannot conclude that the district court abused its discretion in
excluding plaintiffs’ expert reports and testimony.
The facts showing the insufficiency of Dr. Benz’ evidence
range from particular miscalculations to his general approach to
the analysis. For example, in one table Dr. Benz relied on in
reaching his conclusions, columns representing Hispanic males and
all other employees should add up to 100%, but in seven out of
twenty cases they do not. Some of those errors could be
attributable to rounding, but no satisfactory explanation was
given for totals as low as 25%, 16.67%, and 8.33%. Any reliance
on that table was necessarily misplaced.
--12--
On a broader level, Dr. Benz’ analysis fails to meet the
standards for admissibility of scientific evidence in that the
district court found that his methods were not in accord with
those of experts in his field. See Kumho Tire Co., 119 S.Ct. at
1176 (“The objective of [the gatekeeper requirement] . . . is to
make certain that an expert . . . employs in the courtroom the
same level of intellectual rigor that characterizes the practice
of an expert in the relevant field”). Dr. Benz began his
analysis with the assumption that Kelly’s promotion system
discriminated against Hispanic males, an indicator that he lacked
the necessary objectivity to make his analyses credible. See
Viterbo v. Dow Chemical Co., 826 F.2d 420, 423 n.2 (5th Cir.
1987). Dr. Benz also stated that discrimination was the “cause”
of the disparities he had observed, a statement which he later
recanted as “overzealous” since statistics can show only
correlation and not causation. See, e.g., Tagatz v. Marquette
Univ., 861 F.2d 1040, 1044 (7th Cir. 1988).
In his depositions, he admitted to failing to consider other
variables such as education and experience as explanations for
any observed discrepancy between promotion rates and to not
performing a multiple regression analysis. See, e.g., Tagatz v.
Marquette Univ., 861 F.2d 1040, 1045 (7th Cir. 1988) (holding
that failure to control for other explanatory variables makes an
expert’s table “essentially worthless”). Finally, Dr. Benz
relied on the plaintiffs’ compilations of data, which gives rise
to a “common-sense skepticism” regarding the expert’s evaluation,
--13--
see Christophersen v. Allied-Signal Corp., 939 F.2d 1106, 1111
(5th Cir. 1991) (en banc), cert. denied, 503 U.S. 912 (1992),
overruled on other grounds by Daubert v. Merrell Dow Pharm.,
Inc., 509 U.S. 579, 587 n.5 (1993), and did not seek to verify
the information presented to him. See Sheats v. Bowen, 318
F.Supp. 640, 644 (D. Del. 1970).
Taken cumulatively, the problems with Dr. Benz’ expert
evidence indicate that his expert testimony could be unreliable.
Consistent with the role of the district court as “gatekeeper”
for scientific evidence, see General Elec. Co. v. Joiner, 522
U.S. 136, 118 S.Ct. 512, 517 (1997), it was not an abuse of
discretion on the part of the district court to exclude Dr. Benz’
testimony and reports from the summary judgment evidence.4
C. Sufficiency of plaintiffs’ other evidence
Having determined that it was not an abuse of discretion for
the district court to disregard Dr. Benz’ expert reports and
deposition testimony, we must now determine whether plaintiffs
had other sufficient evidence before the court to survive
defendant’s summary judgment motion.
A party is entitled to summary judgment if, when the
evidence is viewed in the light most favorable to the nonmovant,
4
We note that plaintiffs were not denied the opportunity to
improve their expert evidence. Dr. Benz filed a total of four
reports and was deposed three times. Plaintiffs had sufficient
time in which to substantiate their statistical claims, including
a reopening of discovery in order to allow Dr. Benz to submit
additional reports.
--14--
there are no genuine issues of material fact in dispute. See
Frazier v. Garrison Indep. Sch. Dist., 980 F.2d 1514 (5th Cir.
1993); Fed.R.Civ.P. 56(c). To withstand a motion for summary
judgment, the nonmoving party must come forward with evidence to
support each essential element of its claims on which it will
bear the burden of proof at trial. See Celotex Corp. v. Catrett,
477 U.S. 317 (1986); National Ass’n of Gov’t Employees v. City
Pub. Serv. Bd. of San Antonio, 40 F.3d 698, 712 (5th Cir. 1994).
A dispute about a material fact (i.e. one which might affect the
outcome of the trial) is “genuine” only “if the evidence is such
that a reasonable jury could return a verdict for the nonmoving
party.” Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 248
(1986).
With Dr. Benz’ evidence excluded, plaintiffs have little
else to rely on in attempting to overcome summary judgment on
either disparate impact or disparate treatment claims. The
primary evidence they cite to consists of indicators of disparate
impact gleaned from the defense experts’ reports and two
declarations filed by individual plaintiffs Manuel Muñoz, Jr. and
Michael Galvan. In its order following remand, the district
court rejected these latter declarations as untimely filed and
endorsed defendant’s objections to them.
Plaintiffs rely on reports by defense experts Dr. Wayne
Cascio and William Ruch. Plaintiffs point out that according to
Dr. Cascio’s data, Hispanic males suffered a disparate impact
arising from defendant’s use of appraisal scores to break ties
--15--
between employees in the PPRS system that was statistically
significant for the year 1987. According to plaintiffs, Dr.
Cascio’s analysis also shows that Hispanic males received fewer
awards than would be expected at statistically significant levels
for GS-11 in 1991 and GS-13 in 1987. However, such results do
not create a genuine issue of material fact regarding disparate
impact or disparate treatment either on their own or taken in
combination with all other evidence before the district court.
The data points which could suggest disparate impact are isolated
in the record and do not support the plaintiffs’ allegations of
systemic discrimination. See Johnson v. Uncle Ben’s, Inc., 965
F.2d 1363, 1367 (5th Cir. 1992) (holding that prima facie case of
disparate impact requires a “systemic analysis of the [disparate]
effects of all promotional criteria for each rank”).
Plaintiffs also rely on two declarations filed by class
members. The magistrate struck Manuel Muñoz, Jr.’s affidavit
filed in October of 1995 in support of plaintiffs’ second motion
for partial summary judgment. The affidavit was struck on three
grounds. First, it was untimely, seeking to introduce new
statistical evidence after discovery had already been reopened
and closed once to allow plaintiffs to submit additional expert
evidence. Second, it used a methodology (the “adverse impact
barometer”) which the magistrate and plaintiffs’ own expert found
to be unreliable. Third, since he is not an expert in
statistics, Mr. Muñoz was unqualified to advance the statistical
--16--
evidence contained in the affidavit.
We review a district court’s striking of an affidavit for
failure to comply with its scheduling order under a deferential
abuse of discretion standard. See Geiserman v. MacDonald, 893
F.2d 787, 790 (5th Cir. 1990)(“a trial court’s decision to
exclude evidence as a means of enforcing a pretrial order ‘must
not be disturbed’ absent a clear abuse of discretion”) [citation
omitted]. It was not an abuse of discretion to strike an
affidavit seeking to introduce new statistical evidence after an
extension for the filing of such reports had already passed.
Because the Muñoz affidavit was properly struck, it was not
before the district court and we do not consider it now as part
of plaintiffs’ summary judgment evidence. See Barrett v.
Atlantic Richfield Co., 95 F.3d 375, 382 (5th Cir. 1996).
The other affidavit in issue was filed by Michael Galvan,
also a member of the plaintiff class. The affidavit was filed
well after the deadline for statistical reports, after even the
Muñoz affidavit. In his affidavit, Mr. Galvan states that
certain job series had a higher concentration of Hispanic
employees and that certain other job series had a higher
concentration of non-Hispanic employees. He further states that
there were fewer promotion opportunities above the GS-13 level in
the job series with the higher concentration of Hispanic
employees. Two charts containing bar graphs depicting promotion
by grade for various job series are attached.
Regardless of whether Mr. Galvan could be determined
--17--
competent to offer statistical evidence and whether the lateness
of the affidavit would bar its consideration, the affidavit has
deficiencies on its face that render it inadequate as summary
judgment evidence for the plaintiffs. First, Mr. Galvan’s bar
charts reflect the number of Hispanic employees who received
certain promotions, not the number of Hispanic males in
accordance with the class definition in this case. See Lopez v.
Laborers Int’l Union Local 18, 987 F.2d 1210, 1213-15 (5th Cir.
1993) (describing the importance of using the correct comparison
pool in evaluating statistical significance of apparent disparate
impact). Second, Mr. Galvan does not state whether the series
depicted in his bar graphs represent the entire universe of
promotions during the relevant period, making statistical
comparisons impossible. Third, allegations regarding
concentration of Hispanic employees in certain job series relate
more to hiring and initial placement than to promotion decisions,
the subject of this lawsuit.
Mr. Galvan does not purport to show, nor is there evidence
elsewhere, that any concentration of Hispanic employees in
particular job series was due to discrimination rather than
differences in which jobs Hispanic employees applied for or other
race- and gender-neutral explanations for any perceived
differences. See Watson v. Fort Worth Bank and Trust, 487 U.S.
977, 992 (1988) (“It is completely unrealistic to assume that
unlawful discrimination is the sole cause of people failing to
gravitate to jobs and employers in accord with the laws of
--18--
chance”). Finally, Mr. Galvan does not (and indeed could not, if
he is not an expert) draw any statistical inferences from the
data he presents. The court is unable to perform the necessary
analyses for the plaintiffs, particularly without adequate
information regarding the universe of promotions included in the
affidavit, the selection criteria used in compiling the data, or
other such vital information. Upon reviewing the affidavit and
other filings in the case, we find that Mr. Galvan’s affidavit is
not sufficient to raise a genuine issue of material fact
regarding plaintiffs’ claims.
Taken as a whole, plaintiffs’ evidence properly before the
district court does not raise a genuine issue of material fact as
to either disparate impact or disparate treatment class-wide
claims.
D. Failure to identify alleged discriminatory practices with
particularity
Defendant alleges that plaintiffs have failed to identify
the particular employment practices they challenge and that
instead, this case represents an attack on civilian employment
generally at Kelly. Plaintiffs counter that their attack is
adequately focused.
It is a matter of settled law that a disparate impact class
action is not the proper mechanism with which to attack the
--19--
cumulative effects of an employer’s practices. See Pouncy v.
Prudential Ins. Co. of America, 668 F.2d 795, 800 (5th Cir.
1982); see also Anderson v. Douglas & Lomason Co., Inc., 26 F.3d
1277, 1284 (5th Cir. 1994), cert. denied, 513 U.S. 1149 (1995).
Plaintiffs must provide evidence “isolating and identifying the
specific employment practices that are allegedly responsible for
any observed statistical disparities.” Wards Cove Packing Co.,
Inc. v. Atonio, 490 U.S. 642, 109 S.Ct. 2115, 2124 (1989). In
the present case, plaintiffs have focused their challenge on a
number of different aspects of the promotion system at Kelly over
the course of this litigation.5
While defendant objects with justification to the shifting
focus of plaintiffs’ claims, part of the difficulty in this case
arises from the nature of civilian promotions at Kelly.
Plaintiffs cannot bring a suit challenging an entire employment
system; yet where a promotion system uses tightly integrated and
overlapping criteria, it may be difficult as a practical matter
for plaintiffs to isolate the particular step responsible for
observed discrimination.
In this case, it may be that the overlap between the secret
algorithm used by PPRS with individual subjective decisions such
5
The complaint broadly alleges discriminatory impact arising from
the promotion system as a whole as well as a number of its
component parts. Mr. Galvan’s affidavit focuses on concentration
of Hispanics in dead-end job series. On this appeal, plaintiffs
contend that they have satisfied the particularity requirement
because they concentrate their attack on defendant’s alleged use of
experience/skill codes to exclude Hispanic males from promotions.
--20--
as awards during service and selection among a list of candidates
would make it difficult to separate out the statistical impact of
each portion of the promotion decision. However, plaintiffs have
not provided an adequate statistical study of civilian promotions
at Kelly from which a court could draw such conclusions. Because
we find that plaintiffs have failed to adduce sufficient evidence
to create a genuine issue of material fact as to disparate impact
or treatment, we need not rule on whether they failed to plead
with sufficient specificity the particular aspects of the
promotion system they contend are responsible for the
discrimination they allege.
E. Discovery limitations and their impact on plaintiffs’
ability to develop their case
Plaintiffs object to a number of discovery limitations
imposed by the magistrate judge and district court over the
course of this litigation. As a preliminary matter, we note
plaintiffs’ obligation to object contemporaneously to adverse
discovery orders. Without such objections, we can only review
for plain error. See Douglass v. United Svcs. Automobile Ass’n,
79 F.3d 1415 (5th Cir. 1996) (en banc). District courts have
considerable discretion in managing discovery. See Geiserman v.
MacDonald, 893 F.2d 787, 789 (5th Cir. 1990); see also
Fed.R.Civ.P. 16(b). That broad discretion is particularly
--21--
important in complex litigation such as this where fairness to
all litigants as well as judicial economy require that the length
and burdensomeness of discovery and motions be limited. However,
that discretion is not unlimited, of course, and a reviewing
court may reverse.
The primary discovery ruling plaintiffs object to is the
district court’s decision to deny access to the Air Force
algorithm used in the PPRS process. The district court ordered
the algorithm sealed following an in camera review of the
computer program in which it determined that the algorithm did
not contain any evidence of discrimination on the part of the Air
Force. Plaintiffs did not object at the time the algorithm was
sealed, and it was eventually returned to the Air Force. Due to
the lack of contemporaneous objection, we can only review for
plain error. Under that standard, we find that the district
court was within its discretion in refusing access to the
algorithm.
It is unlikely that denial of access to the algorithm unduly
prejudiced plaintiffs’ claims. Defendant had already supplied
detailed information on the overall promotion system and the
inputs used by the PPRS automated system. Plaintiffs also
already knew what factors were used to break ties between
employees and what weight was assigned to each. Denial of access
to the algorithm arguably could make it more difficult to
identify with specificity the aspects of Kelly’s promotion system
responsible for any observed disparate impact. However,
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plaintiffs’ claim does not fail on those grounds and therefore a
remand to the district court solely because of its denial of
access to the algorithm would be inappropriate.
Plaintiffs also object to several other discovery orders by
the magistrate and district court. As noted above, we must allow
for the district court’s discretion in discovery matters,
especially in complex litigation. After a thorough and careful
review of the record and plaintiffs’ objections, we do not find
reversible error in any of the district court’s discovery orders.
F. Survival of individual claims
Plaintiffs contend that even if this court upholds the
summary judgment as against the class action, the individual
plaintiffs’ claims should survive and should be remanded for
trial. The defense counters that this action was brought solely
as a class action and that no individual claims were ever pled.
On the face of the complaint, no individual claims seem to be
alleged, and the bulk of litigation below seems to have been
premised on the existence of only a class claim.
However, this case has appeared in this court once before
and on that hearing the panel decision makes note of individual
claims in addition to the class claim on the face of the
complaint. See Muñoz v. Aldridge, 894 F.2d 1489, 1491-95 (5th
Cir. 1990) (remanding for further consideration class and
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individual claims). Without full briefing from the parties on
this issue, our careful review of the record has not revealed
whether the individual claims referred to in the previous opinion
from this court were officially dropped from the litigation.6 In
order to give due consideration to plaintiffs’ claims given this
uncertainty, we examine the summary judgment assuming that some
form of individual claims have been brought. We find, however,
that any individual claims would also fail to survive summary
judgment.
In spite of the inclusion of several individual affidavits
in support of plaintiffs’ second motion for partial summary
judgment (advanced as evidence of class discrimination according
to the plaintiffs’ characterization), the only possible
individual claims would be those appearing in the complaint, i.e.
those of Jesus and Manuel Muñoz, Jr. See, e.g., Coon v.
Georgia-Pac. Corp., 829 F.2d 1563 (11th Cir. 1987) (limiting
claims pursuant to Fed.R.Civ.P. 8(a) to those stated in the
complaint). It is well established that a class representative
cannot have interests adverse to the class, see Fed.R.Civ.P.
23(a)(4), nor can individual liability be adjudged before class
liability is determined. See Bernard v. Gulf Oil Corp., 841 F.2d
547, 569 (5th Cir. 1988).
6
The class was certified in this case after the first appeal. The
“individual claims” referred to in that opinion – i.e. those of the
named plaintiffs – could therefore be seen as collapsing into the
newly defined class claims to the degree that they were based on
the same allegations.
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The preliminary question regarding any individual claims is
whether we have jurisdiction at all, since summary judgment only
as to the class claim would not dispose of the entire case and
therefore would not be an appealable final order. Such is not
the case, however. In his last motion for summary judgment,
defendant requested dismissal of plaintiffs’ complaint as a
whole, thus putting any individual plaintiffs on notice that
summary judgment could be pending against them. The district
court’s order dismissed “all plaintiffs’ claims” with prejudice,
disposing of any individual claims along with the class claim.
The summary judgment is thus a final and appealable order and its
propriety is legitimately before us.
Any individual claims based on disparate impact would fail
both because they would be duplicative of class claims in the
same action and also because the same statistical proof deemed
inadequate for the class would likewise fail to forestall summary
judgment on individual claims. See Matsushita Elec. Indus. Co.,
Ltd. v. Epstein, 516 U.S. 367, 379 (1996) (defeat of class claim
is binding on class members’ individual claims based on same
allegations and facts).
As noted earlier, a prima facie case of individual disparate
treatment in promotion must show: that the plaintiff is a member
of a protected class, that he was qualified for and applied for a
promotion, and that the position remained open and the employer
continued to look for candidates with similar qualifications.
See McDonnell Douglas Corp. v. Green, 411 U.S. 792, 802 (1973).
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The burden of persuasion remains with the plaintiff, see Texas
Dept. of Community Affairs v. Burdine, 405 U.S. 248, 253 (1981),
and a reviewing court may look to all the evidence submitted to
determine whether defendant met its burden of producing a
legitimate reason for the employment action. See In re Royale
Airlines, Inc., 98 F.3d 852, 856 (5th Cir. 1996) (judgment may be
affirmed on any grounds in the record).
The named plaintiffs arguably made out a prima facie case on
their individual claims, since the complaint and later-filed
affidavits allege the required elements for disparate treatment:
that the named plaintiffs are members of a protected class and
that they were denied promotions. However, all of the promotion
denials challenged by the class, including those of the named
plaintiffs, arose from the Merit Promotion Plan at Kelly. The
promotion plan itself, including the PPRS algorithm which the
district court determined was not probative of any claims of
discrimination, is the “reason” for the denial of promotions in
issue. Plaintiffs would have to show, therefore, either that
there is a genuine issue as to whether the promotion plan
indicates intentional discrimination or that the promotions
denied them were somehow capable of being isolated from the
promotion system and that purposeful discrimination was behind
those employment actions.
Nothing in the record adequately alleges or shows purpose on
the part of defendant. A complete failure of proof as to one
element requires summary judgment against the entirety of the
--26--
claim. See Celotex Corp. v. Catrett, 477 U.S. 317 (1986).
Because plaintiffs have not shown any evidence going to purpose,
any individual claims based on disparate treatment fail to
withstand summary judgment.
We note that the failure of proof on the class claim does
not bar all individual class members from bringing their own
suits, provided that they do not base their claims solely on
issues already adjudicated in this action and that they can show
individualized proof of discrimination. See Cooper v. Federal
Reserve Bank of Richmond, 467 U.S. 867, 880 (1984).7
III. Conclusion
This has been protracted and difficult litigation for both
sides. We fully appreciate the importance of this case, both in
terms of the resources dedicated to it and its impact on the
plaintiff class-members’ lives. After fourteen years in the
7
Plaintiffs suggest that if we find for defendant on the summary
judgment issue, we should remand the case for decertification of
the class on the grounds that the named plaintiffs have failed to
adequately represent the class. First, individual claims based on
particularized evidence of discrimination may still be possible for
some class members. Second, we cannot say that the named
plaintiffs have failed to adequately represent the interests of the
class over fourteen years of federal litigation. Decertification
is not appropriate merely because the statistical evidence proved
inadequate to raise a genuine issue of material fact. The named
plaintiffs have zealously sought to vindicate what they see as
wrongs to the class and have not failed in their duty of
representation.
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federal courts, the case comes before us now on a narrow range of
issues for which the scope of our review is narrowly
circumscribed. The discovery rulings and the exclusion of
plaintiffs’ key expert evidence were not an abuse of discretion
by the district court. Without statistical proof, dismissal of
the class claims was appropriate. Any individual claims have not
produced sufficient proof of disparate impact or of purpose
necessary to a disparate treatment claim to survive summary
judgment.
The summary judgment against all plaintiffs’ claims is
hereby AFFIRMED.
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