United States Court of Appeals
FOR THE EIGHTH CIRCUIT
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Nos. 07-1490/1492
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Jack Gross, *
*
Appellant/Cross-Appellee, *
* Appeals from the United States
v. * District Court for the
* Southern District of Iowa.
FBL Financial Services, Inc., *
*
Defendant, *
*
FBL Financial Group, Inc., *
*
Appellee/Cross-Appellant, *
*
Iowa Farm Bureau Federation; Farm *
Bureau Mutual Insurance Company; *
William Oddy, *
*
Defendants. *
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Submitted: September 28, 2009
Filed: November 30, 2009
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Before MELLOY, COLLOTON, and BENTON, Circuit Judges.
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COLLOTON, Circuit Judge.
This case is before us on remand from the Supreme Court. See Gross v. FBL
Financial Servs., Inc., 129 S. Ct. 2343 (2009). We reverse the judgment of the district
court and remand for a new trial.
I.
Jack Gross sued his employer, FBL Financial Group, Inc. (“FBL”), alleging that
FBL violated the Age Discrimination in Employment Act (“ADEA”) and the Iowa
Civil Rights Act (“ICRA”) by demoting him because of his age in 2003. The case was
tried to a jury, and the district court gave one marshalling instruction that applied to
both causes of action. The jury returned a verdict in favor of Gross, and awarded him
damages of $20,704 in lost past salary and $26,241 in lost past stock options, for a
total of $46,945 in lost compensation. The jury awarded no damages for emotional
distress, and found that FBL’s conduct was not “willful.” After trial, the district court
denied FBL’s motion for judgment as a matter of law based on sufficiency of the
evidence, and denied FBL’s motion for new trial based on alleged evidentiary errors.
The court also denied Gross’s motion for attorney’s fees. Both parties appealed.
We reversed and remanded for a new trial based on an erroneous jury
instruction. Gross v. FBL Financial Servs., Inc., 526 F.3d 356 (8th Cir. 2008). A
final jury instruction directed that the jury’s verdict must be for Gross if two elements
were proved by a preponderance of the evidence: (1) that FBL demoted Gross to a
position of claims project coordinator, effective January 1, 2003, and (2) that Gross’s
age “was a motivating factor in [FBL’s] decision to demote [Gross].” Addressing the
possibility that the employer acted with mixed motives, the instruction further stated
as follows: “However, your verdict must be for [FBL] . . . if it has been proved by the
preponderance of the evidence that [FBL] would have demoted plaintiff regardless
of his age.” Final Instruction No. 11 (emphasis added). We interpreted this
instruction to mean that once Gross proved by a preponderance of the evidence that
age was a motivating factor in FBL’s employment decision, the burden of persuasion
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shifted to FBL to prove that it would have demoted Gross regardless of his age.
Gross, 526 F.3d at 360.
We held that the jury instruction impermissibly shifted the burden of persuasion
to FBL to prove that age was not the determining factor in its employment decision.
Under our circuit precedent prevailing at the time, see Erickson v. Farmland Indus.,
Inc., 271 F.3d 718, 724 (8th Cir. 2001), Justice O’Connor’s concurring opinion in
Price Waterhouse v. Hopkins, 490 U.S. 228 (1989), stated the controlling rule in an
age discrimination case. Under that rule, “to justify shifting the burden of persuasion
on the issue of causation to the defendant, a disparate treatment plaintiff must show
by direct evidence that an illegitimate criterion was a substantial factor in the
decision.” Id. at 276 (O’Connor, J., concurring in judgment) (emphasis added).
Because Gross conceded that he did not present “direct evidence” of discrimination,
we held that the burden of persuasion should have remained with the plaintiff
throughout, and the jury should have been charged to decide whether the plaintiff
proved that age was the determining factor in FBL’s employment action. 526 F.3d at
360. Our opinion implicitly treated Gross’s claim under the ICRA together with his
claim under the ADEA, given our circuit precedent that the two claims were
analytically identical. See King v. United States, 553 F.3d 1156, 1160 n.3 (8th Cir.
2009).
The Supreme Court granted Gross’s petition for a writ of certiorari, and held
that the burden of persuasion never shifts to the party defending an alleged mixed-
motive discrimination claim brought under the ADEA. Gross, 129 S. Ct. at 2348.
Our opinion had assumed that the burden of persuasion would shift if the plaintiff
presented “direct evidence” of age discrimination, so the Court vacated our opinion
and remanded the case for further consideration. The parties have filed supplemental
briefs addressing how the case should be resolved on remand.
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II.
We conclude that FBL is entitled to a new trial on Gross’s claim under the
ADEA. Gross has not disputed our conclusion that the jury was likely to interpret the
final instruction to shift the burden of persuasion to FBL if Gross proved by a
preponderance of the evidence that age was a motivating factor in FBL’s decision to
demote him. The Supreme Court has clarified that the burden of persuasion never
shifts to the defendant in an ADEA case. The final instruction in this case was
therefore erroneous. The jury should have been instructed, in substance, that Gross
retained the burden of persuasion on his ADEA claim to establish “by a
preponderance of the evidence (which may be direct or circumstantial) that age was
the ‘but-for’ cause of the challenged employer decision.” Gross, 129 S. Ct. at 2351.
Because the jury instruction shifted the burden of persuasion on a central issue in the
case, the error cannot be harmless. M.M. v. Special Sch. Dist. No. 1, 512 F.3d 455,
459 (8th Cir. 2008); West Platte R-II Sch. Dist. v. Wilson, 439 F.3d 782, 785 (8th Cir.
2006).
Gross contends on remand that even if a new trial is required on the ADEA
claim, the jury instruction was a correct statement of the law under the Iowa Civil
Rights Act, and that the jury’s verdict should stand with respect to the state law claim.
He relies on a recent decision of the Supreme Court of Iowa in DeBoom v. Raining
Rose, Inc., 772 N.W.2d 1 (Iowa 2009), for the proposition that the plaintiff in a
discrimination case under the ICRA need show only that a prohibited criterion was a
“motivating factor” in the defendant’s employment decision to establish a violation
of the ICRA. Gross argues that because the final jury instruction required him to
prove by a preponderance of the evidence that his age was a motivating factor in
FBL’s decision to demote him, the jury’s verdict was based on a proper instruction
under the ICRA.
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DeBoom involved an action under the ICRA alleging discrimination based on
sex and pregnancy. The trial court in DeBoom correctly charged the jury that the
plaintiff must prove that sex and pregnancy “was a determining factor” in the
employer’s decision to discharge the plaintiff. 772 N.W.2d at 13. The court then gave
an instruction that “[p]laintiff’s pregnancy was a ‘determining factor’ if that factor
played a part in the Defendant’s later actions towards Plaintiff. However, Plaintiff’s
pregnancy need not have been the only reason for Defendant’s action.” Id. at 13
(emphasis omitted). The Supreme Court of Iowa held that the trial court erred,
however, by submitting this additional instruction: “A determining factor need not
be the main reason behind the decision. It need only be the reason which tips the
scales decisively one way or the other.” Id. (emphasis omitted). The latter
instruction, said the court, was proper in tortious discharge cases under Iowa law, but
imposed on the plaintiff “a higher burden of proof than is required in discrimination
cases.” Id. The court concluded that the first definitional instruction – that plaintiff’s
pregnancy was a “determining factor” if it “played a part” in the employer’s action –
“best corresponds with the burden of proof required in discrimination cases.” Id. The
state supreme court explained that it was not error for the trial court to instruct that the
plaintiff must prove that pregnancy or sex was “a determining factor” in the
employment action, id. at 12, 14, but that “it would be easier to use the word
‘motivating’ instead of ‘determining’ in discrimination cases.” Id. at 13-14. DeBoom
did not discuss age discrimination, but Gross points out that the ICRA addresses age
discrimination in the same section with sex discrimination. See Iowa Code
§ 216.6(1)(a).
Gross reads DeBoom to mean that once a plaintiff establishes that age was a
motivating factor in an employer’s adverse action, the employer is liable for age
discrimination under the ICRA. In other words, as we understand his supplemental
brief, Gross suggests that even if the jury is convinced that the employer would have
taken the same adverse action in the absence of an impermissible motive, the plaintiff
nonetheless establishes a violation of the statute if the jury believes that age was “a
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motivating factor.” On that view, it does not matter whether the district court shifted
the burden of proof to FBL to establish that Gross would have been demoted
regardless of his age, because Gross need not exclude this possibility, and there is no
such defense to liability. We are not convinced that DeBoom transforms Iowa law in
this manner.
First, such an interpretation of DeBoom would conflict with the analytical
framework for age discrimination cases that the Supreme Court of Iowa has declared
for cases in which there is an assertion that the employer was influenced by mixed
motives. In Landals v. George A. Rolfes Co., 454 N.W.2d 891 (Iowa 1990), the court
applied the same rule for determining liability that this court used prior to the Supreme
Court’s decision in Gross, namely, the approach of Justice O’Connor’s concurring
opinion in Price Waterhouse: “Where direct evidence is presented and the employer
suggests other factors influenced the decision, the employer has the burden of proving
by a preponderance of the evidence that it would have made the same decision even
if it had not considered the improper factor.” Id. at 893-94 (emphasis added) (citing
Price Waterhouse). The Iowa court reiterated this explanation in Vaughan v. Must,
Inc., 542 N.W.2d 533 (Iowa 1996), saying that “[u]nder the Price Waterhouse method
the plaintiff must present credible evidence of conduct or statements of supervisors
which may be seen as discrimination sufficient to support an inference that the
discriminatory attitude was a motivating factor.” Id. at 538. The court explained that
“[a]fter the direct evidence has been presented, the employer then bears the burden
of establishing by a preponderance of the evidence it would have made the same
decision even in the absence of the improper motive.” Id. at 538-39 (emphasis added).
DeBoom did not disavow these cases. To the contrary, it cited Vaughan as a
correct statement of the burden of proof in a discrimination case. DeBoom, 772
N.W.2d at 13. If DeBoom meant that a plaintiff can establish a violation of the ICRA
in a mixed-motive case simply by showing that age was a motivating factor for the
employer, then the statements in Vaughan and Landals about an employer’s burden
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to show that it would have made the same decision even without the improper motive
would be meaningless.
Second, Gross’s reading of DeBoom is an unlikely outcome in view of the text
and purpose of the ICRA. A comparison of Title VII of the federal Civil Rights Act
and the ICRA illustrates the point. The federal statute, as amended by the Civil Rights
Act of 1991, says that an unlawful employment practice is established when a plaintiff
“demonstrates that race, color, religion, sex, or national origin was a motivating factor
for any employment practice, even though other factors also motivated the practice,”
42 U.S.C. § 2000e-2(m) (emphasis added), and provides an affirmative defense that
restricts remedies, but not liability, if the employer “would have taken the same action
in the absence of the impermissible motivating factor.” Id. 2000e-5(g)(2)(B). By
contrast, the Iowa statute, like Title VII before 1991 and the ADEA, makes it illegal
to discriminate “because of” various factors, including the age of an employee. Iowa
Code § 216.6(1)(a). In DeBoom itself, the Supreme Court of Iowa repeated that the
purpose of the Iowa legislature in banning employment discrimination (there, based
on sex) was “to prohibit conduct which, had the victim been a member of the opposite
sex, would not have otherwise occurred.” 772 N.W.2d at 6 (emphasis added) (quoting
Sommers v. Iowa Civil Rights Comm’n, 337 N.W.2d 470, 474 (Iowa 1983)). If we
were to read DeBoom as grafting the standard of the federal Civil Rights Acts of 1991
onto the ICRA, despite the differences in text, then the Iowa statute would prohibit
conduct that would otherwise have occurred, in a situation where the employer would
have taken the same action even without the improper motive. We are reluctant to
attribute to the state supreme court an interpretation of the ICRA that would be at odds
with the court’s own statement in DeBoom of the legislative purpose behind the
statute.
Third, DeBoom was not a mixed-motive case, and the Supreme Court of Iowa
had no occasion to address the appropriate jury instructions in such a case. DeBoom
was a so-called “pretext case,” in which the employer presented a non-discriminatory
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reason for terminating the plaintiff, and the plaintiff urged that the employer’s
proffered reason was a pretext for discrimination. See DeBoom, 772 N.W.2d at 8-11.
As Justice White explained in Price Waterhouse, mixed-motive cases and pretext
cases are different. The issue in pretext cases “‘is whether either illegal or legal
motives, but not both, were the “true” motives behind the decision.’” 490 U.S. at 260
(White, J., concurring in judgment) (quoting NLRB v. Transp. Mgmt. Corp., 462 U.S.
393, 400 n.5 (1983)). In that all-or-nothing context, a plaintiff who shows that an
illegal motive was truly “a motivating factor” has demonstrated that the employer’s
explanation is a pretext for discrimination. See Smidt v. Porter, 695 N.W.2d 9, 15
(Iowa 2005) (“If the employer offers a legitimate nondiscriminatory reason, the
plaintiff must show the employer’s reason was pretextual and that unlawful
discrimination was the real reason for the termination.”) (emphasis added), cited in
DeBoom, 772 N.W.2d at 13. But in a mixed-motive case, “there is no one ‘true’
motive behind the decision,” as “the decision is a result of multiple factors, at least
one of which is legitimate.” Price Waterhouse, 490 U.S. at 260 (White, J., concurring
in judgment).
None of the opinions in Gross or Price Waterhouse – majority, plurality,
concurring, or dissenting – concluded that an employer is liable for acting “because
of” age or sex, if the jury finds that the employer would have taken the same action
in the absence of the impermissible motive. See Gross, 129 S. Ct. at 2350-51; id. at
2354 (Stevens, J., dissenting); id. at 2359 (Breyer, J., dissenting); Price Waterhouse,
490 U.S. at 242 (plurality opinion); id. at 261 n.* (White, J., concurring in judgment);
id. at 279 (O’Connor, J., concurring in judgment); id. at 281-82 (Kennedy, J.,
dissenting). The debate within the Court in those cases concerned whether, and if so
when, the burden of persuasion should shift to an employer in a mixed-motive case.
As explained, the Supreme Court of Iowa has applied the rule of Justice O’Connor’s
concurrence in Price Waterhouse in mixed-motive cases under the ICRA, and called
for a shift in the burden of persuasion only upon a showing by direct evidence that age
was a motivating factor in the employer’s decision. Vaughan, 542 N.W.2d at 538-39;
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Landals, 454 N.W.2d at 893-94. It follows from the Iowa court’s adoption of this rule
from Price Waterhouse that there is no violation of the ICRA if the employer would
have taken the same action in the absence of an improper motive.
FBL suggests that the Supreme Court of Iowa will follow the reasoning of the
Supreme Court of the United States in Gross that “because of” age means that age was
a “but-for” cause of the employer’s action, and hold that the burden of persuasion
never shifts to the defendant under the ICRA. To decide this appeal, we need not
predict whether the state supreme court will apply the reasoning of Gross to the
comparable language in the Iowa statute. Under existing Iowa precedent, the burden
of persuasion does not shift to the defendant in a mixed-motive case unless the
plaintiff shows by direct evidence that age was a motivating factor in the employer’s
decision. Vaughan, 542 N.W.2d at 538-39; Landals, 454 N.W.2d at 893-94. Gross
concedes that he did not present direct evidence of age discrimination. (Appellant’s
App. 596). Thus, under either the prevailing Iowa precedents or the Gross analysis,
the district court’s jury instructions incorrectly shifted the burden of persuasion to the
defendant in this mixed-motive case. As we understand the Iowa case law, the
plaintiff should have been required to establish that age was a motivating or
determining factor in the employer’s decision, and that the adverse action would not
otherwise have occurred. See DeBoom, 772 N.W.2d at 6 (“[T]he legislature’s purpose
in banning employment discrimination based on sex was to prohibit conduct which,
had the victim been a member of the opposite sex, would not have otherwise
occurred.”) (internal quotation omitted); Vaughan, 542 N.W.2d at 538 (citing Geller
v. Markham, 635 F.2d 1027, 1035 (2d Cir. 1980) (“Where an employer acts out of
mixed motives in discharging or refusing to hire an employee, the plaintiff must show
that age was a causative or determinative factor, one that made a difference in
deciding whether the plaintiff should be employed.”)). We thus conclude that FBL
is entitled to a new trial on Gross’s claim under the ICRA.
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The parties disagree about the appropriate scope of a new trial. FBL argues that
the trial should be limited to the question of liability for age discrimination and
damages for lost wages, because Gross did not cross-appeal the jury’s findings that
FBL’s conduct was not willful and that Gross proved no emotional distress damages.
Gross counters that it would be unfair for FBL to obtain a new trial on the issues
decided in favor of Gross, but not to allow Gross a new trial on issues decided in favor
of FBL. We conclude that the new trial should be limited to the issues of liability and
damages for lost compensation.
Gross failed to cross-appeal those portions of the judgment in favor of FBL, and
the general rule is that a party must file a cross appeal if he seeks to enlarge his rights
beyond the district court’s judgment. United States v. Am. Ry. Exp. Co., 265 U.S. 425,
435 (1924). This rule has been applied to limit new trials on remand where the
appellee does not file a protective cross-appeal urging relitigation of issues previously
resolved in favor of the appellant. See JGR, Inc. v. Thomasville Furniture Indus., Inc.,
550 F.3d 529, 533 (6th Cir. 2008); Arnold v. Eastern Air Lines, Inc., 681 F.2d 186,
203 n.22 (4th Cir. 1982); Dupuy v. Dupuy, 551 F.2d 1005, 1026 n.34 (5th Cir. 1977).
Our court has said that the cross-appeal requirement is a non-jurisdictional rule of
practice that can be avoided in the discretion of the court, Kessler v. National
Enterprises, Inc., 203 F.3d 1058, 1059-60 (8th Cir. 2000), but we see no strong reason
to depart from the rule here.
There is no per se prohibition on a partial new trial. Whether to limit a new trial
to certain issues depends on whether injustice would result from the limitation. See
Gasoline Prods. Co. v. Champlin Refining Co., 283 U.S. 494, 500 (1931). For
example, if the original verdict likely represented a compromise that has been
disturbed by the grant of a new trial, or if claims and counterclaims are inextricably
intertwined, then it could be unfair to order a new trial on only a portion of the case.
See Graham v. Davis, 880 F.2d 1414, 1419 (D.C. Cir. 1989); Lucas v. Am. Mfg. Co.,
630 F.2d 291, 294 (5th Cir. 1980). On the other hand, when issues in the trial are
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sufficiently distinct and separate to infer independent decisions by the jury, the verdict
on issues that are not challenged on appeal may be treated as the law of the case in a
new trial. E.g., JGR, Inc., 550 F.3d at 533; Infocomp, Inc. v. Electra Products, Inc.,
109 F.3d 902, 907 (3d Cir. 1997); Arnold, 681 F.2d at 203 n.22.
Here, Gross did not file a protective cross-appeal to urge that a new trial on
liability and damages for lost compensation would necessitate a new trial on
emotional distress damages and willfulness. His supplemental brief suggests
incorrectly that FBL actually appealed portions of the judgment in its favor. Gross
argues generally that a partial new trial would be “unfair,” but presents no convincing
reason to believe that the jury’s decision on liability and lost compensation was
interwoven with its decision on emotional distress and willfulness. Our review of the
record leads us to think that compromise is an unlikely explanation for the verdict.
It seems more likely, on this evidence, that the jury reached independent decisions on
the several issues presented, and simply found that Gross failed to prove willfulness
or damages from emotional distress. Under the circumstances of this case, we are not
persuaded to depart from the normal rule that an appellee must file a cross-appeal
when he seeks to enlarge his rights under the judgment, and we see no injustice in
limiting a new trial to issues that were directly affected by the erroneous jury
instruction.
III.
We briefly address other instructional and evidentiary issues raised by FBL,
because they may recur in a new trial. See Andrews v. Neer, 253 F.3d 1052, 1062 (8th
Cir. 2001).
FBL requested that the district court give a final instruction to the jury that
included this sentence: “Defendant is entitled to make its own subjective personnel
decisions, absent intentional age discrimination, even if the factor motivating the
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decision is typically correlated with age, such as pension status, salary or seniority.”
The court’s final instruction included only the first half of this sentence, omitting the
italicized clause.
We do not think the district court’s instruction on this point was an abuse of
discretion. “The form and language of jury instructions are committed to the sound
discretion of the district court so long as the jury is correctly instructed on the
substantive issues in the case.” White v. Honeywell, Inc., 141 F.3d 1270, 1278 (8th
Cir. 1998) (internal quotation omitted). The court’s formulation allowed FBL to argue
that it demoted Gross for any reason “absent intentional age discrimination.” The
court was not required to list examples of such reasons in a jury instruction.
FBL next appeals the district court’s decision to exclude testimony from FBL’s
vice president of claims, Andy Lifland, about complaints that he heard from Gross’s
coworkers about Gross’s performance in the workplace. In a post-trial order, the court
agreed with FBL that our precedent allows testimony about such complaints when the
employer shows that it took action on the basis of the information. See Crimm v. Mo.
Pac. R.R. Co., 750 F.2d 703, 709 (8th Cir. 1984). The court defended its ruling,
however, on the ground that the record at trial, including FBL’s offer of proof, was
insufficient to establish that Lifland received and relied on the complaints. As such,
the dispute now seems focused on whether FBL laid a sufficient foundation for the
presentation of Lifland’s testimony, not on the legal question whether Lifland’s
proposed testimony would be inadmissible hearsay if there were adequate foundation
for it. FBL will have a new opportunity to lay an adequate foundation in a new trial,
and we do not think it would be productive to offer an opinion at this time concerning
the sufficiency of the previous offer of proof.
FBL also contends that the district court should have granted judgment as a
matter of law in its favor. Because we remand the case for a new trial, we need not
consider whether there was sufficient evidence for a hypothetical jury, properly
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instructed, to return a verdict in favor of Gross. See Dennis v. Dillard Dept. Stores,
Inc., 207 F.3d 523, 526 (8th Cir. 2000); Hauser v. Krupp Steel Producers, Inc., 761
F.2d 204, 206 n.1 (5th Cir. 1985). We also need not consider Gross’s cross appeal
concerning attorney’s fees.
For the foregoing reasons, we reverse and remand for a new trial on the issues
of liability for age discrimination under the ADEA and the ICRA and damages for lost
compensation. The district court also may consider issues relating to attorney’s fees.
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