Gibson v. City of Cranston

USCA1 Opinion









UNITED STATES COURT OF APPEALS
FOR THE FIRST CIRCUIT

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No. 94-1375

DIANE GIBSON,

Plaintiff, Appellant,

v.

CITY OF CRANSTON, ET AL.,

Defendants, Appellees.

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APPEAL FROM THE UNITED STATES DISTRICT COURT

FOR THE DISTRICT OF RHODE ISLAND

[Hon. Ronald R. Lagueux, U.S. District Judge]
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Before

Selya, Circuit Judge,
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Aldrich, Senior Circuit Judge,
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and Boudin, Circuit Judge.
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Lauren E. Jones, with whom Jones Associates, Daniel V.
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McKinnon, and McKinnon & Harwood were on brief, for appellant.
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William F. Holt, Assistant City Solicitor, for appellees.
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October 3, 1994

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SELYA, Circuit Judge. This appeal arises out of Dr.
SELYA, Circuit Judge.
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Diane Gibson's short and stormy stay as superintendent of schools

in Cranston, Rhode Island. It stands as a vivid illustration

that some of life's most instructive lessons are learned in the

classroom of adversity. After educating ourselves about the

facts of the case, the applicable law, and the proceedings below,

we conclude that the district court correctly refused to give the

plaintiff's case a passing grade.

I. BACKGROUND
I. BACKGROUND

Because the trial court took this case from the jury

and terminated it by means of an instructed verdict, we summarize

the facts adduced below in the light most congenial to

appellant's claims.

In early 1989, while serving as Assistant

Superintendent of Schools in Waterloo, Iowa, plaintiff-appellant

Diane Gibson applied for a job as school superintendent in

Cranston. The school committee (the Committee) interviewed her

twice (once publicly and once privately) and eventually offered

her the post. On August 21, 1989, she met in Rhode Island with

members of the Committee concerning her employment contract (the

Contract). The parties signed it the next day.

The Contract contained 11 sections, counting the

preamble, spread over eight pages. It specified a term that ran

from October 1, 1989 to June 30, 1992. The Contract contained

various clauses related to professional growth, compensation,

contract renewal, salary adjustments, termination for cause, and


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resignation. It also provided for such miscellaneous items as

certification, annual medical examinations, and disability

protection. Article III described the superintendent's duties,

stating that she

shall be the chief administrator and agent of
the Cranston schools and have charge of the
administration of the schools under the
direction of the Committee. In this capacity
she shall implement, among other things, all
policies approved by the Committee, provide
for efficient administration of the system
and provide for the performance evaluation of
all administrators, teachers, and quality of
the education provided.

The same article stated that the parties' "respective rights and

responsibilities . . . shall be as specified in Chapter 2 of

Title 16 of the [Rhode Island General Laws]."

Article VI of the Contract has particular pertinence in

this litigation. By its terms, the article obligated the

Committee to assess in writing the Superintendent's overall

performance at least annually. The format and procedure for the

evaluation were to be decided upon by the parties no later than

60 days after the Contract's effective date. Once an evaluation

emerged, the Committee and the Superintendent were to meet for

discussion of it; specifically, the Contract indicated that a

meeting dedicated to this purpose would be held between February

15 and March 15 of each contract year. The evaluation was to be

used in determining "if the Superintendents's Contract is

renewed/not renewed." To this end, Article VI also contained a

non-exclusive list of factors to be considered in the evaluation

process and required that the end product describe in reasonable

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detail "specific instances of strengths and commendations as well

as specific instances of any unsatisfactory performance."

At the end of the first 60 days of her reign, Dr.

Gibson had not heard from the Committee regarding the evaluation

process. She brought the matter to the attention of Stephen

Dambruch, the Committee's chairman. Dambruch suggested that

appellant develop and disseminate a proposed evaluation form. On

December 4, 1989, appellant complied. On March 1, 1990, Dambruch

notified the Committee that an evaluation was due between

February 15 and March 15 of each year. Five of the nine

Committee members responded on the form appellant had prepared.

Two other members wrote letters commenting upon appellant's

performance. Two Committee members kept their own counsel. In

any event, the Committee never composed a unified performance

evaluation.

This lollygagging took place during a period of

considerable turmoil. In January 1990 the Committee voted to

restructure the public schools, only to reverse itself two months

later.1 Spurred in part by this dramatic about-face, appellant

requested that the Committee provide her with a written statement

of its goals. Although a meeting was held to discuss this

request, the Committee never complied with it.

In March 1990 appellant became aware that the school


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1To add to the muddle, hard on the heels of the vote to
restructure the school system a Committee member circulated a
poll requesting teachers' input. This impulsive action
ultimately led to the filing of an unfair labor practice charge.

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system had improperly paid health benefits on behalf of former

employees. She brought this matter to the Committee's attention.

Dambruch and his colleagues commissioned an ad hoc committee (the

AHC) to mull the problem. The AHC sought to exclude appellant

from its deliberations. To compound this contretemps, an

assistant city solicitor wrote to Dambruch on June 8, 1990

suggesting that the AHC might be illegally infringing on the

Superintendent's administrative prerogatives and might lack the

legal authority necessary to arrange for an audit of the school

system's records. Eventually, the Committee retained a certified

public accountant. Although the accountant completed a study of

the situation, the Committee never provided appellant either with

the accountant's report or with any feedback regarding the

accountant's recommendations.

Cranston held a municipal election in November of 1990.

The electoral results significantly affected the Committee's

composition. A member suggested that appellant's evaluation be

completed before the newly elected members took office. The

Committee scheduled a special meeting for this purpose, but

appellant resigned before the meeting could be held. In her

letter of resignation, dated December 28, 1990, appellant accused

the Committee of violating the Contract by not providing a proper

evaluation and statement of goals, and by infringing on the scope

of her autonomy as superintendent.

All was serene for well over a year. On June 10, 1992,

however, appellant, then a citizen and resident of North


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Carolina, sued for breach of contract in a Rhode Island state

court. She claimed that the City of Cranston, acting through the

Committee, disregarded duties owed under the contract, and she

sought damages including the balance of her salary and benefits

for the period from January 1, 1991 through June 30, 1992.2

Noting the existence of diversity jurisdiction, 28 U.S.C. 1332

(1988), Cranston removed the case to federal district court, see
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28 U.S.C. 1441 (1988).

In due course, Chief Judge Lagueux empaneled a jury and

trial commenced. At the close of the appellant's case, Cranston

moved for a judgment as a matter of law.3 The district judge

assumed arguendo that Cranston had not fulfilled its contractual
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commitments, but ruled that, even so, the evidence did not permit

a rational jury to find a breach of sufficient materiality as to

allow appellant to cease performance and recover damages for the

balance of the unexpired term. This appeal followed.4

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2Although Dr. Gibson originally sued a bevy of defendants,
only Cranston and its treasurer remain in the case. Because
Rhode Island law treats a suit against the treasurer of a
municipality, in his or her official capacity, as a suit against
the city, see R.I. Gen. Laws 45-15-5 (1991), these two
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defendants are in effect the same entity. We refer to them
collectively as "Cranston."

3In 1991, Fed. R. Civ. P. 50 was amended to change the
appellation "directed verdict" to "judgment as a matter of law."
This change in nomenclature does not affect the substance of the
applicable legal standard.

4Although we affirm the grant of judgment as a matter of
law, see infra, we caution that in most cases a trial court will
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be better advised to reserve decision on such a motion, passing
on the legal question only after submitting the case to the jury.
Mid-trial directed verdicts should be the exception, not the
rule. We concluded long ago that refraining from granting a

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II. STANDARD OF REVIEW
II. STANDARD OF REVIEW

When confronted with a motion for judgment as a matter

of law, whether at the end of a plaintiff's case or at the close

of all the evidence, a trial court must scrutinize the proof and

the inferences reasonably to be drawn therefrom in the light most

amiable to the nonmovant. See Rolon-Alvarado v. Municipality of
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San Juan, 1 F.3d 74, 76 (1st Cir. 1993); Wagenmann v. Adams, 829
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F.2d 196, 200 (1st Cir. 1987). In the process, the court may not

consider the credibility of witnesses, resolve conflicts in

testimony, or evaluate the weight of evidence. See Wagenmann,
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829 F.2d at 200. A judgment as a matter of law may be granted

only if the evidence, viewed from the perspective most favorable

to the nonmovant, is so one-sided that the movant is plainly

entitled to judgment, for reasonable minds could not differ as to

the outcome. See Rolon-Alvarado, 1 F.3d at 77.
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Because granting a judgment as a matter of law depends

upon the legal sufficiency of the evidence, appellate review is

plenary. See Jordan-Milton Mach., Inc. v. F/V Teresa Marie, II,
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978 F.2d 32, 34 (1st Cir. 1992). It is incumbent upon the court

of appeals to apply precisely the same criteria that constrain

the trial court. See Rolon-Alvarado, 1 F.3d at 77. Moreover,
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judgment as a matter of law until the jury has had a chance to
deal with the merits is frequently a "wise and time-saving
precaution." Talbot-Windsor Corp. v. Miller, 309 F.2d 68, 69
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(1st Cir. 1962). By following that course, the judge minimizes
the risk that the trial will have to be replayed yet retains the
power to pass on the sufficiency of the evidence in a timely
manner. Of course, everything depends upon the circumstances,
and in some cases granting the motion is both efficient and wise.

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the standard of review affords no place for any deference to the

district court's view anent state-law questions. See Salve
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Regina Coll. v. Russell, 499 U.S. 225, 238 (1991).
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III. ANALYSIS
III. ANALYSIS

The substantive law of Rhode Island governs in this

diversity case. Under Rhode Island law, a contracting party may

cease performance and seek damages if the other contracting party

commits a breach that is "material," see, e.g.,Philip Carey Mfg.
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Co. v. General Prods. Co., 151 A.2d 487, 493 (R.I. 1959), or that
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"goes to the essence of the contract," Aiello Constr., Inc. v.
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Nationwide Tractor Trailer Training & Placement Corp., 413 A.2d
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85, 87 (R.I. 1980). Some courts and commentators have cast the

standard in terms of a "total" breach as opposed to a "partial"

breach, with only the former justifying termination of a

contract. See, e.g., Lovink v. Guilford Mills, Inc., 878 F.2d
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584, 586-87 (2d Cir. 1989); Arthur L. Corbin, Corbin on Contracts
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946, at 809 (1951). Because we believe these terms constitute

various ways of saying the same thing, we will use them

interchangeably.5


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5The rigid material/non-material dichotomy may oversimplify
the universe of breaches. Although this case, in its present
posture, does not require us to make a finer distinction, we do
not deprecate the possibility that there may be an intermediate
level of breach, i.e., breaches which are not serious enough to
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warrant repudiation of the contract and a suit for damages by the
injured party, but which nonetheless might constitute a defense
to an action for damages brought by the party committing the
initial breach. Thus, our holding that the Committee's alleged
breaches were not material, see infra, does not necessarily
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betoken that Dr. Gibson would have been liable had the Committee
sued her for breach.

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Appellant invites us to rule that materiality is always

a question of fact, thereby eliminating the possibility of a

directed verdict where, as here, the issue is disputed. We

decline the invitation. While the state supreme court has

indicated that, in this context, materiality "is essentially a

factual question," and that its resolution ordinarily "requires

consideration of all the pertinent evidence and the conduct and

relationship of the parties," Dunne Leases Cars & Trucks, Inc. v.
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Kenworth Truck Co., 466 A.2d 1153, 1160 (R.I. 1983), the first
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part of this statement is a generalization, and, like most

generalizations, it admits of exceptions. Though questions of

materiality are usually to be determined by the trier of fact, in

this case the jury, the rule is not universal. As is true of

virtually any factual question, if the materiality question in a

given case admits of only one reasonable answer (because the

evidence on the point is either undisputed or sufficiently

lopsided), then the court must intervene and address what is

ordinarily a factual question as a question of law.

The task of delineating which particular breaches may

justify an injured party ceasing performance and bringing an

action for damages is demanding, but the case law affords some

insights. In Aiello, for example, the plaintiff, a contractor,
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sued a property owner for nonpayment of installments due under a

construction contract. The Rhode Island Supreme Court upheld a

finding that the defendant's failure to pay installments as they

came due went to the essence of the contract and, therefore,


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excused further performance by the plaintiff. See Aiello, 413
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A.2d at 87. In Dunne, the court upheld a finding that a dealer
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committed a material breach of its franchise agreement with a

truck manufacturer by failing to honor its promise to separate

its leasing activities from its dealership operation. See Dunne,
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466 A.2d at 1159. In its opinion, the court emphasized the

presence of evidence that the leasing activities adversely

impacted the truck dealership in the areas of parking,

cleanliness, parts sales, and service. See id. at 1158. On this
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basis, the court concluded that the dealer's breach might be

deemed material even though the dealer regularly achieved its

sales quota under the franchise agreement.6 See id. at 1159.
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Despite the insights that can be gleaned from these

cases, the Rhode Island courts thus far have not precisely

defined what constitutes a material breach. Nonetheless, we

believe that the proper analysis is informed by certain

commentaries and decisions from outside Rhode Island. See
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Michelin Tires (Canada), Ltd. v. First Nat'l Bank, 666 F.2d 673,
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682 (1st Cir. 1981) ("In the absence of a definitive ruling by

the highest state court, a federal court may consider analogous

decisions, considered dicta, scholarly works, and any other


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6Although Dunne involved allegations that the defendant's
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decision to terminate the franchise agreement had been reached
without "due cause" as then required by R.I. Gen. Laws 31-5.1-
4(C)(3) (1979 reenactment), the Rhode Island Supreme Court
interpreted "due cause" as turning on the materiality of certain
breaches committed by the franchisee. See Dunne, 466 A.2d at
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1157. Thus, Dunne is useful authority in connection with the
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question sub judice.
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reliable data tending convincingly to show how the highest court

in the state would decide the issue at hand, taking into account

the broad policies and trends so evinced.") (citation and

internal quotation marks omitted). The Restatement is an

especially helpful source of guidance because Rhode Island courts

frequently turn to the Restatement to fill gaps in state law.

See, e.g., Bibby's Refrig., Heating & Air Cond. Inc. v.
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Salisbury, 603 A.2d 726, 729 (1992); Durapin, Inc. v. American
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Prods., Inc. , 559 A.2d 1051, 1059 (1989). The Restatement lists
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five factors that may be considered in determining whether a

breach is material.7 Other commentators have espoused slightly

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7These factors are:

(a) the extent to which the injured party
will be deprived of the benefit which he
reasonably expected;
(b) the extent to which the injured party can
be adequately compensated for the part of
that benefit of which he will be deprived;
(c) the extent to which the party failing to
perform or offer to perform will suffer
forfeiture;
(d) the likelihood that the party failing to
perform or to offer to perform will cure his
failure, taking account of all the
circumstances including any reasonable
assurances;
(e) the extent to which the behavior of the
party failing to perform or to offer to
perform comports with standards of good faith
and fair dealing.

Restatement (Second) of Contracts 241 (1979).








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different sets of relevant factors for use in determining

materiality, such as the extent to which the contract has been

performed at the time of the breach, the willfulness vel non of
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the breach, and the degree of seriousness attributable to the

breach, expressed in quantitative terms. See 2 E. Allan
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Farnsworth, Farnsworth On Contracts 8.16, at 442 (1990); J.
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Calamari & J. Perillo, Contracts 408-09 (2d ed. 1977). We
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believe that when the occasion arises, the Rhode Island Supreme

Court will adopt some variant of these tests to determine the

materiality of a breach of contract.8 In our view, the test

will concentrate on factors such as those listed in the

Restatement, with special emphasis, in the employment context, on

the extent to which the alleged breach interferes with the duties

and benefits flowing from the contract in its entirety. We need

not dice matters too finely, however, for appellant's proof can

meet neither the Restatement standard nor any reasonable variant

of it. We explain briefly.

While a material breach of an employment contract need

not completely frustrate the entire purpose of the contract, it

must be so important that it makes continued performance by the

plaintiff virtually pointless, see Lovink, 878 F.2d at 587.
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Thus, if Cranston refused to pay appellant, or, conversely, if


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8Appellant suggests that "a breach is material if it denies
a party a bargained-for exchange." We find this formulation
unacceptable, for it does not reflect how significant a contract
provision must be before its breach will be deemed material.

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appellant completely withheld her services for no valid reason,

the ensuing breach would reach the essence of the Contract.

But that is not what transpired here. We think it is

readily apparent that, under the stringent standard that obtains,

the Committee's alleged breaches of the Contract are, as a matter

of law, not material. The superintendent's job encompasses a

complex and varied set of responsibilities. Under a provision of

the Rhode Island General Laws, which is incorporated into the

Contract by explicit reference, the post includes a vast array of

administrative, supervisory, managerial, and policymaking

functions. See R. I. Gen. Laws 16-2-11 (1988), reprinted in
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the appendix. This elaborate compendium of responsibilities,

complemented by the multifarious provisions of the Contract

itself, put appellant's grievances into proper perspective. And

so viewed, we are unable to see how a reasonable jury could find

that the Committee's conduct involved matters of sufficient

significance to constitute a material breach.

Appellant's flagship claim pirouettes around the

Committee's failure to provide her with a unified evaluation.

Given the admitted feedback that appellant received from a

majority of the individual Committee members, we cannot discern

how the failure to reduce the feedback to a unified evaluation or

the other shortcomings in the evaluation process could be deemed

a material breach. Without the evaluation, appellant was still

able to carry out virtually all of her responsibilities. She

still received the overwhelming majority of the benefits to which


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the Contract entitled her. Her mere testimony that without the

evaluation provision she would not have signed the employment

agreement cannot make this otherwise unremarkable provision into

one that "goes to the essence of the contract." Salo Landscape &
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Constr. Co. v. Liberty Elec. Co., 376 A.2d 1379, 1382(R.I. 1977).
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The determination of materiality, like other aspects of contract

interpretation, must be based largely on a standard of objective

reasonableness rather than purely subjective belief. Cf. John F.
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Davis Co. v. Shepard Co., 47 A.2d 635, 637 (R.I. 1946) (noting
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that the "true question" in determining the intention of the

parties is "not what intention existed in the minds of the

parties, but what intention is expressed by the language used")

(internal quotation marks omitted); Pahlavi v. Palandjian, 809
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F.2d 938, 945 (1st Cir. 1987) (commenting that "contracting

parties are bound by objective manifestations and expressions,

not subjective expectations"). In other words, a party cannot

transmogrify a provision that, from an objective standpoint, has

only marginal significance into one of central salience by the

simple expedient of saying in retrospect that she believed it to

be very important.

Here, notwithstanding plaintiff's post hoc
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rationalization, the Committee's failure to provide a unified

evaluation seems much more a matter of form than of substance.

It did not in any way shrink plaintiff's major duties or deprive

her of the principal benefits of her contractual bargain.

Nothing about the failure betokens bad faith or an unfair course


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of conduct. And the sockdolager is that, at the time Dr. Gibson

resigned, there was a high likelihood that the Committee would

soon cure its breach by providing an evaluation; a special

meeting for this purpose was scheduled to occur less than one

week after she precipitously resigned.

Appellant's fallback position is that the Committee

never furnished her with a written statement of goals. But

appellant had ample contact with the Committee and its members to

get a sense of the school system's objectives. Thus, as with the

first alleged breach, this failure did not interfere

significantly with either her duties or her benefits under the

Contract. Consequently, it could not be deemed a material

breach.

Finally, appellant alleges that the Committee infringed

upon her administrative responsibilities. She offers two

incidents to illustrate her contention: a Committee member's

action in sending a questionnaire directly to the faculty, see
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supra note 1, and the AHC's attempt to exclude her from its
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deliberations. Given the minor nature of these supposed

infractions and their subsequent resolution, no reasonable jury

could find that they constitute a material breach.

IV. CONCLUSION
IV. CONCLUSION

We need go no further. Considering all the evidence in

the light most hospitable to plaintiff, no reasonable jury could

find that the Committee's alleged breaches of the Contract gutted

it. Consequently, the court below did not err in granting


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judgment as a matter of law.







Affirmed.
Affirmed.
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