IN THE SUPERIOR COURT OF THE STATE OF DELAWARE
M. DENISE TOLLIVER, )
)
Plaintiff, )
)
v. ) C.A. No. K21C-06-040 NEP
)
QLARANT QUALITY SOLUTIONS, INC.,)
and RONALD G. FORSYTHE JR. and )
DEBORAH KELLER in their )
individual and official capacities, )
)
Defendants. )
Submitted: August 15, 2022
Decided: November 21, 2022
MEMORANDUM OPINION AND ORDER
Upon Plaintiff’s Motion for Default Judgment
DENIED
Upon Individual Defendants’ Motion to Dismiss for Lack of Personal
Jurisdiction
GRANTED
Upon Defendants’ Motion to Dismiss for Failure to State a Claim
GRANTED
M. Denise Tolliver, Camden, Delaware, Pro Se Plaintiff.
Tiffany R. Hubbard, Esquire (Pro Hac Vice), Pamela Moore, Esquire (Pro Hac
Vice), McCarter & English, LLP, Hartford, Connecticut, and Chelsea A. Botsch,
Esquire, McCarter & English, LLP, Wilmington, Delaware, Attorneys for
Defendants.
Primos, J.
Before this Court are two pending motions in an action brought by Denise
Tolliver (hereinafter “Plaintiff”), who is self-represented, against Qlarant Quality
Solutions, Inc., and Donald G. Forsythe and Deborah Keller (hereinafter
“Defendants”). Plaintiff moves for default judgment pursuant to Superior Court
Civil Rule 55(b)(2). Defendants move to dismiss the action 1) with respect to
Forsythe and Keller (hereinafter the “individual defendants”) pursuant to Rule
12(b)(2) for lack of personal jurisdiction; and 2) in its entirety pursuant to Rule
12(b)(6), asserting that Plaintiff fails to state a claim for which relief can be granted.
The 12(b)(6) motion argues that Plaintiff’s claims are barred by res judicata and
time-barred, and that Plaintiff has failed to exhaust her administrative remedies and
has failed to state a claim. For the reasons set forth below, Plaintiff’s motion for
default judgment is DENIED, and Defendants’ motions to dismiss for lack of
personal jurisdiction and failure to state a claim are GRANTED.
FACTUAL AND PROCEDURAL BACKGROUND
I. Plaintiff’s Employment and Termination
The facts in this section are as alleged in the Complaint, accepting all of
Plaintiff’s well-pleaded allegations as true in light of Defendants’ motion to dismiss.
On October 7, 2013, Plaintiff was hired by Qlarant Quality Solutions, Inc.
(hereinafter “Qlarant”), then operating under the name Delmarva Foundation for
Medical Care.1 Qlarant was a vendor for the State of Delaware, with operations in
both Delaware and Maryland, and was funded in part by a two-year grant at the time
of Plaintiff’s hiring.2 She was made aware of the two-year grant period and led to
believe that her employment contract would last for the entire two-year grant term.3
1
Compl. (D.I. 1) at 3, ¶ 10.
2
Id. at 2, ¶ 5
3
Id. at 6, ¶ 23.
2
On February 18, 2014, Plaintiff requested mental health accommodations “for
cause under well documented, persistent hostile and unsafe work conditions” at her
workplace in New Castle County.4 It is unclear what accommodations were sought
or whether they were granted. On March 25, 2014, she requested that she be
transferred from the New Castle office to a location in Kent County as a further
accommodation for her disability.5 Both accommodation requests were directed to
Deborah Keller, Qlarant’s Human Resources Vice President.6
On May 12, 2014, Plaintiff’s employment with Qlarant was terminated via a
letter sent by Keller.7 The letter included an offer of payment in exchange for
Plaintiff’s agreement not to file any discrimination claims under the Delaware
Discrimination in Employment Act (“DDEA”), the Delaware Persons with
Disabilities Employment Protections Act (“DPDEPA”), the Equal Pay Act, and the
Delaware Unemployment Compensation Act.8
Plaintiff also learned that, as of that very day, there was an open position in
the Kent County office for which she believed herself to be qualified.9 The next day,
she requested reinstatement of her employment at a salary commensurate to the
vacant “Kent County lead position.”10 On May 22, 2014, her request for
reinstatement was denied in an email explaining that “[i]n light of contract
reductions by our client, the State of Delaware, and our overall business conditions,
your request for reinstatement is denied at this time.”11
4
Id. at 4, ¶ 13.
5
Id. ¶ 14.
6
Id. at 3, ¶ 8, and 4, ¶¶ 13–14.
7
Id. ¶ 15.
8
Id. at 5, ¶ 19.
9
Id. at 4, ¶ 15.
10
Id. ¶ 15–16.
11
Id. at 4, ¶ 16, and 5, ¶ 18. Plaintiff asserts that it is “undisputed” that these stated reasons were
“pretext.” However, at this stage Defendants have yet to file an answer admitting or denying the
allegations, and there are insufficient supporting factual allegations for the Court to draw a
3
II. Administrative Process
On October 21, 2014, Plaintiff filed a Charge of Discrimination alleging
discrimination based on race, sex, age, and “equal pay.”12 The Charge of
Discrimination references the February 2014 request for disability accommodation
and the May 2014 termination of employment, but not the March 2014
accommodation request or the May 2014 request for reinstatement. On March 7,
2018, the Delaware Department of Labor issued a Final Determination and Right to
Sue Notice, dismissing the administrative action “without a specific finding” and
granting Plaintiff the right to sue, pursuant to 19 Del. C. § 712.13
III. Tolliver I
In November of 2017, Plaintiff filed a complaint in this Court against Qlarant
and Terri Daly (a human resources employee at Qlarant). That complaint included
four counts: 1) breach of the implied covenant of good faith and fair dealing; 2)
violation of 19 Del. C. § 1108(3); 3) defamation; and 4) disability discrimination and
retaliation.14 The defendants in that action removed it to the United States District
Court for the District of Delaware (hereinafter the “District Court”).15 The District
reasonable inference that the reasons given were pretextual. See In re Gen. Motors (Hughes)
S’holder Litig., 897 A.2d 162, 168 (Del. 2006) (“[A] trial court is required to accept only those
‘reasonable inferences that logically flow from the face of the complaint.’” (quoting Malpiede v.
Townson, 780 A.2d 1075, 1083 (Del. 2001))).
12
Defs.’ Opening Br. in Support of their Mot. to Dismiss. the Compl. (D.I. 26) [hereinafter “Defs.’
Opening Br.”] Ex. E (Charge of Discrimination). The Charge of Discrimination was originally
filed with the Maryland Commission of Civil Rights due to a technical error, but this error was
later corrected, and the Charge of Discrimination was correctly filed with the Delaware
Department of Labor. See Tolliver v. Delmarva Found. for Med. Care, 2018 WL 3735889, at *5
(D. Del. Aug. 3, 2018).
13
Id.
14
Defs.’ Opening Br. Ex. C.
15
Tolliver, 2018 WL 3735889, at *1. The Court takes judicial notice of the contents of the
pleadings, exhibits, and court decisions from this action pursuant to Delaware Rule of Evidence
201(b)(2) (authorizing judicial notice of facts that “can be accurately and readily determined from
sources whose accuracy cannot reasonably be questioned.”).
4
Court dismissed the first three counts as time-barred.16 The disability and retaliation
claims were dismissed with leave to amend.17 Plaintiff filed an amended complaint,
which the District Court dismissed for failing to state a claim for disability
discrimination and retaliation, but with leave to amend once more to state, inter alia,
the disability at issue and the accommodations sought.18
The Second Amended Complaint brought two counts, failure to accommodate
Plaintiff’s disability and retaliation for protected activities (i.e., retaliating against
Plaintiff for requesting accommodations), under both the Americans with
Disabilities Act (“ADA”) and the DDEA.19 However, the District Court liberally
construed the Second Amended Complaint as raising claims under the DPDEPA.20
The District Court dismissed with prejudice the discrimination claim predicated on
Plaintiff’s February 2014 accommodation request but dismissed “without prejudice
the March and May 2014 accommodation claim seeking a transfer as those claims
have not been administratively exhausted.”21 As to the retaliation claims, the District
Court dismissed with prejudice the retaliation claims stemming from the February
2014 and May 2014 alleged accommodation requests, and dismissed “the remaining
retaliation claim . . . without prejudice for failure to exhaust administrative
remedies.”22
That round of litigation (collectively “Tolliver I”), ended with the District
Court’s denial of Plaintiff’s motion to vacate judgment and reopen the case on
16
Tolliver, 2018 WL 3735889, at *5.
17
Id. at *6–7.
18
Tolliver v. Delmarva Found. for Med. Care, 2019 WL 4169881, at *4 (D. Del. Sept. 3, 2019).
19
Tolliver v. Delmarva Found. for Med. Care, 2020 WL 4335521, at *1 (D. Del. July 28, 2020).
20
Id. at *3.
21
Id. at *6.
22
Id. at *8.
5
January 19, 2021.23 To recap, Tolliver I resulted in the dismissal with prejudice of
the following claims relevant to this proceeding:
(1) Breach of the implied covenant of good faith and fair dealing;
(2) Violation of 19 Del. C. § 1108(3);
(3) Discrimination claims stemming from Plaintiff’s February 2014
accommodation request; and
(4) Retaliation claims stemming from accommodation requests in February
2014 and May 2014.
The claims dismissed without prejudice, for failure to exhaust administrative
remedies, are:
(1) Discrimination claims resulting from the March and May 2014
accommodation requests; and
(2) Retaliation claims arising from Plaintiff’s March 2014 telephone
conference discussing worker’s compensation and ADA accommodations.
IV. Tolliver II
Just over six months after the end of Tolliver I, Plaintiff initiated this action
(“Tolliver II”) by filing a complaint in this Court on June 28, 2021.24 In a complaint
bearing remarkable resemblance to the original complaint in Tolliver I, Plaintiff
brings three counts against Defendants: 1) breach of the implied covenant of good
faith and fair dealing; 2) violation of 19 Del. C. § 1108(3); and 3) “Equal Pay, DDEA
and DPDEPA Disability and Retaliation.”25 Tolliver II differed from Tolliver I by
bringing claims against individual defendants Forsythe and Keller, though not
against Daly.
23
Tolliver v. Delmarva Found. for Med. Care, 2021 WL 184403 (D. Del. Jan. 19, 2021).
24
Compl. (D.I. 1).
25
Id.
6
Certified mail receipts show that Forsythe, Keller, and Qlarant’s Board Chair
were served the complaint on July 2, 2021, and that Qlarant’s registered agent was
served on July 8, 2021.26 On July 21, 2021, counsel for Defendants entered an
appearance and filed a notice of removal to federal court.27 However, the District
Court construed the “Equal Pay” claim as a state law claim under the Delaware Wage
Payment and Collection Act rather than the federal Equal Pay Act and, thus finding
no basis for federal subject matter jurisdiction, remanded the case back to this Court
on March 21, 2022.28 The District Court dismissed as moot all other pending
motions in that court, 29 which included Plaintiff’s motion for default judgment and
Defendants’ motion to dismiss.30
Two days later, Defendants sent a letter to the Court indicating Defendants’
intention to renew the motion to dismiss filed in the District Court. 31 Attached to
the letter was a proposed briefing schedule.32 Plaintiff opposed the proposed
schedule, requesting more time to prepare her response and to attempt to obtain
counsel.33 At an office conference held on April 12, 2022, counsel for Defendants
represented that the purpose of the proposed briefing schedule was “to have
something in place for everyone to be on the same page, especially with [the case]
being remanded and it being [a] sort of gray area [] when the filings would begin.”34
26
Aff. of M. Denise Tolliver (D.I. 3).
27
Entry of Appearance (D.I. 4); Notice of Filing of Notice of Removal (D.I. 5).
28
Certified Mem. Op. and a Certified Order from District Ct. Remanding the Case Back to
Superior Ct. (D.I. 6) [hereinafter “Remand Order”] at 4–6.
29
Id. at 6.
30
Id. at 1.
31
Letter (D.I. 7) at 1.
32
Proposed Order on Briefing Schedule and Page Limitation for Defs.’ Mot. to Dismiss Pl.’s
Compl. (D.I. 8).
33
Pl.’s Mot. to Strike and/or Request to Amend Proposed Scheduling Order (D.I. 10).
34
Tr. of Zoom Conference (D.I. 24) at 4:23–5:3.
7
The Court set a briefing schedule on Plaintiff’s motion for default judgment
and Defendants’ motion to dismiss.35 Plaintiff filed her motion for default judgment
on April 14, 2022.36 Defendants filed their response on May 31, 2022,37 and Plaintiff
replied on June 6, 2022.38 Defendants filed their motion to dismiss and opening brief
on April 26, 2022, asserting both lack of personal jurisdiction over the individual
defendants pursuant to Superior Court Civil Rule 12(b)(2) and failure to state a claim
under Rule 12(b)(6).39 Plaintiff filed a response on May 2, 2022,40 and Defendants
replied on July 21, 2022.41 Both matters were submitted to chambers for review on
August 15, 2022.
DISCUSSION
I. Motion for Default Judgment
Superior Court Rule 55(b) provides that when a defendant “has failed to
appear, plead or otherwise defend as provided by these Rules, and that fact is made
to appear, judgment by default may be entered . . .”42 Where, as here, the party has
entered an appearance, default judgment may only be granted on application to the
Court.43 A trial court exercises discretion when ruling on a motion for default
judgment and generally grants it only on “those occasions where there has been a
willful or conscious disregard of the rules of the court.”44
35
Order (D.I. 19).
36
J. by Default Mot. (D.I. 20) [hereinafter “Default Mot.”].
37
Defs.’ Resp. to Pl.’s Mot. for Default J. (D.I. 32).
38
Pl. Resp. to Defs.’ Default J. Resp. (D.I. 33).
39
Defs.’ Mot. to Dismiss (D.I. 25); Defs.’ Opening Br. (D.I. 26).
40
Pl.’s Resp. and Quash Mot. to Defs.’ Dismiss Mot. (D.I. 27) [hereinafter “Pl.’s Resp.”].
41
Defs.’ Reply in Support of Defs.’ Mot. to Dismiss (D.I. 36).
42
Super. Ct. Civ. R. 55(b).
43
Super. Ct. Civ. R. 55(b)(2).
44
Long v. Jennings, 2021 WL 2134854, at *1 (Del. Super. May 25, 2021) (quoting Pinkett ex rel.
Britt v. Nationwide Mut. Ins. Co., 832 A.2d 747, 748–49 (Del. Super. 2003)).
8
Plaintiff argues that default judgment is appropriate here because Defendants
removed the action to federal court before filing an answer or motion in response to
her complaint.45 The Delaware Superior Court Rules of Civil Procedure do not
expressly provide for removal of actions to federal court. Plaintiff is thus correct in
a narrow sense that Defendants did not file “an answer or appropriate motion” within
the 20 days provided for in Superior Court Civil Rule 12.46 However, removal of an
action to federal court deprives the state court of jurisdiction over that action.47 Since
no action can be taken in the state court while it is without jurisdiction, removal
necessarily pauses the time in which the defendant must respond to the complaint in
a state court.48 Thus, at least one day remained to answer after the case was
remanded on March 21, 2022 (nineteen days having elapsed between service of
process on the individual defendants on July 2, 2021, and removal of the case on
July 21, 2021). 49 However, instead of filing their motion to dismiss in this court
45
Default Mot. at 2–3.
46
See Pinkett, 832 A.2d at 750 (“The defendant’s failure to file an answer or appropriate motion
within the required time is a failure to defend which exposes it to default judgment under Rule
55.”).
47
See 28 U.S.C. § 1446(d) (“Promptly after the filing of such notice of removal of a civil action
the defendant or defendants shall give written notice thereof to all adverse parties and shall file a
copy of the notice with the clerk of such State court, which shall effect the removal and the State
court shall proceed no further unless and until the case is remanded.”) (emphasis supplied);
Limehouse v. Hulsey, 744 S.E.2d 566, 573 (S.C. 2013) (“Removal proceedings impact the
jurisdiction of the state court in that removal of a state case to federal court divests the state court
of jurisdiction.”); Lewis v. C.J. Langenfelder & Son, Jr., Inc., 587 S.E.2d 697, 700 (Va. 2003)
(“After compliance with the removal statute, the jurisdiction of the state court is suspended until
there has been a remand.”) (cleaned up).
48
See e.g. Ferrell v. Young, 746 S.E.2d 167, 170 (Ga. Ct. App. 2013) (“When the case was
removed, only a portion of the 30–day period for filing an answer in the Superior Court had
expired. Until the Superior Court resumed jurisdiction pursuant to the remand from the District
Court, no responsive pleadings could be filed in the Superior Court, and the running of the 30–day
period for filing an answer in the Superior Court was suspended.”).
49
Plaintiff states, incorrectly, that Defendants were required to respond within 20 days of the filing
of her Complaint on June 28, 2021. See Default Mot. at 3, ¶ 14. However, the time to file a
responsive pleading is within 20 days of service of process, which in this case, means within 20
days of the date on the return receipts showing proof of mailing. See Super. Ct. Civ. R. 12(a) (“A
defendant shall serve an answer within 20 days after service of process, complaint and affidavit, if
9
within that time, Defendants sent a letter to the Court with a proposed briefing
schedule on March 23, 2022.
Assuming arguendo that default judgment is available on these facts, the
Court perceives no willful or conscious disregard for the rules of the Court.50 To the
contrary, Defendants quickly took steps to resolve any “gray area” as to the filing
timeline after the remand to this Court.51 Moreover, Defendants entered an
appearance in this Court within 20 days of service of process, filed a timely notice
of removal to federal court followed by a motion to dismiss in that court, and, within
two days of remand, submitted a proposed briefing schedule to present that motion
to this Court. The Court then set a briefing schedule with which Defendants
complied. In the Court’s discretion, Plaintiff’s motion for default judgment is
DENIED.
II. Motion to Dismiss for Lack of Personal Jurisdiction
Defendants assert that this Court lacks personal jurisdiction over the
individual defendants, both residents of Maryland at the time this action was filed,
and moves to dismiss with respect to them pursuant to Superior Court Civil Rule
12(b)(2). A court must address a defendant’s Rule 12(b)(2) motion to dismiss for
lack of personal jurisdiction before addressing the merits of a Rule 12(b)(6) motion
to dismiss.52
any, upon that defendant . . .”); 10 Del. C. § 3104(g) (“If service is made [by mail to an out of state
resident], the time in which defendant shall serve an answer shall be computed from the date of
the mailing which is the subject of the return receipt or other official proof of delivery or the
notation of refusal of delivery.”).
50
See Long, 2021 WL 2134854, at *2 (denying default judgment where the defendant had
submitted an untimely response and motion to dismiss but “nothing indicate[d] to the Court that
the [defendant] has willfully or consciously disregard the rules of the Court”).
51
Tr. of Zoom Conference at 4:23–5:3.
52
See Branson v. Exide Elecs. Corp., 625 A.2d 267, 268–69 (Del. 1993) (“[T]he Court of Chancery
should have decided the personal jurisdictional challenge regarding the individual defendants,
raised by Exide’s motion to dismiss, prior to addressing the substantive aspect of that motion with
respect to all defendants.”); Hartsel v. Vanguard Grp., Inc., 2011 WL 2421003, at *6 (Del. Ch.
10
On a motion to dismiss for lack of personal jurisdiction, the burden is on the
plaintiff to make a prima facie showing that the exercise of personal jurisdiction over
the nonresident defendants is authorized by Delaware’s long-arm statute, 10 Del. C.
§ 3104, and is consistent with due process.53 “The Court must accept the plaintiff’s
allegations as true and draw all reasonable inferences in favor of the plaintiff.”54 The
Court “may consider extra-pleading material, such as affidavits and briefs of the
parties, to supplement the Complaint and aid in establishing jurisdiction.”55 While
a pro se plaintiff’s pleadings may be construed liberally, a pro se plaintiff still bears
the burden of alleging specific facts sufficient to establish personal jurisdiction with
respect to each defendant.56
10 Del. C. § 3104(c) identifies six scenarios in which Delaware Courts may
exercise personal jurisdiction over a nonresident defendant. Those are that the
nonresident:
(1) Transacts any business or performs any character of work or service
in the State;
(2) Contracts to supply services or things in this State;
(3) Causes tortious injury in the State by an act or omission in this State;
(4) Causes tortious injury in the State or outside of the State by an act
or omission outside the State if the person regularly does or solicits
June 15, 2011) (“Before considering the merits of Defendants’ motion to dismiss under Rule
12(b)(6), the Court first must address the Individual Defendants’ motions to dismiss for lack of
personal jurisdiction under Rule 12(b)(2).”), aff’d, 38 A.3d 1254 (Del. 2012) (TABLE).
53
Oliver v. Galerman, 2022 WL 287907, at *1 (Del. Super. Jan. 31, 2022).
54
Id. (citing Boone v. Oy Partek Ab, 724 A.2d 1150, 1155 (Del. Super. 1997)).
55
Munoz v. Vazquez-Cifuentez, 2019 WL 669935, at *2 (Del. Super. Feb. 18, 2019).
56
See Oliver, 2022 WL 287907, at *2 (“The same rules . . . still apply to a pro se Plaintiff; this
Court will accommodate them only to the extent that the substantive rights of the opposing party
are not affected.”); Thomas v. Nationstar Mortgage, LLC, 2015 WL 5766775, at *2 (Del. Ch. Sept.
18, 2015) (“[T]his leniency does not extend to the constitutional requirements of personal
jurisdiction.”), adopted, 2015 WL 5786135 (Del. Ch. 2015); Draper v. Med. Ctr. of Delaware,
767 A.2d 796, 799 (Del. 2001) (“There is no different set of rules for pro se plaintiffs, and the trial
court should not sacrifice the orderly and efficient administration of justice to accommodate an
unrepresented plaintiff.”).
11
business, engages in any other persistent course of conduct in the State
or derives substantial revenue from services, or things used or
consumed in the State;
(5) Has an interest in, uses or possesses real property in the State; or
(6) Contracts to insure or act as surety for, or on, any person, property,
risk, contract, obligation or agreement located, executed or to be
performed within the State at the time the contract is made, unless the
parties otherwise provide in writing.
Plaintiff has made no argument as to which of the above subsections she
believes applies to the individual defendants. The only specific mention of Ronald
Forsythe in the complaint is that he is the Chief Executive Officer at Qlarant and is
therefore “responsible for all aspects of personnel supervision and for regulatory
contract compliance” under Delaware law.57 The complaint is more specific with
respect to Deborah Keller. It first identifies her as the Human Resources Vice
President at Qlarant and identifies her as Qlarant’s “employment decision-maker.”58
Plaintiff asserts that she “requested disability accommodations” from Keller,
specifically that she should be allowed to relocate her workplace to Qlarant’s office
in Kent County.59 Plaintiff also alleges that her “employment was terminated in a
letter by Keller while a Kent County lead position became vacant on [the] same
day.”60 Beyond the allegations in the Complaint, the only additional evidence
offered by Plaintiff to support the exercise of personal jurisdiction by this Court is a
citation to a Professional Services Agreement Clause that has no readily apparent
bearing on the issue of personal jurisdiction.61
Defendants argue that these allegations cannot establish personal jurisdiction
over the individual defendants because they refer exclusively to actions taken in their
57
Compl. at 3 ¶ 8.
58
Id. ¶ 9.
59
Id. at 4, ¶ 14.
60
Id. ¶ 15.
61
See Pl.’s Resp. at 5, ¶ 23 and Ex. P0007 (Professional Services Agreement 4.9. Contractor).
12
respective capacities as employees of Qlarant. This judicially created principle,
referred to as the fiduciary shield doctrine, was first recognized by this Court in
Plummer & Co. Realtors v. Crisafi.62 In its broadest form, the fiduciary shield
doctrine would completely “insulate employees and officers of a corporation from
being sued in the courts of a jurisdiction where their sole contacts have been on
behalf of their corporation.”63 The rationale underpinning the doctrine is that it is
“unfair to force an individual to defend a suit brought against him personally in a
forum with which his only relevant contacts are acts performed not for his own
benefit but for the benefit of his employer.”64
However, the soundness of a broad fiduciary shield doctrine has been
questioned under Delaware law. In Mobil Oil Corp. v. Advanced Environmental
Recycling Technologies, Inc., a federal court applying Delaware law opined that “the
Supreme Court of Delaware would not recognize the fiduciary shield as an absolute
bar to personal jurisdiction over a corporate employee.”65 The court reasoned that
the out-of-state authorities relied on in Plummer had been called into question in
their own jurisdictions and that they resulted in a construction that “would run
counter to the expansive interpretation that Delaware courts have consistently
62
533 A.2d 1242, 1246 (Del. Super. 1987).
63
Id.; see also Kelly v. McKesson HBOC, Inc., 2002 WL 88939, at *17 n.70 (Del. Super. Jan. 17,
2002) (“This [fiduciary shield] doctrine is judicially created, and immunizes acts performed by an
individual in the individual’s capacity as a corporate employee from serving as the foundation for
the exercise of personal jurisdiction over that individual.”); Mktg. Products Mgmt., LLC v.
HealthandBeautyDirect.com, Inc., 2004 WL 249581, at *3 (Del. Super. Jan. 28, 2004) (“The
fiduciary shield doctrine prohibits acts performed by an individual, in his capacity as a corporate
officer or employee, from serving as the basis for personal jurisdiction over that individual.”).
64
Plummer, 533 A.2d at 1246 (quoting Marine Midland Bank, N.A. v. Miller, 664 F.2d 899, 902
(2d Cir. 1981)).
65
833 F. Supp. 437, 443 (D. Del. 1993).
13
applied to Delaware’s long-arm statute.”66 This split of authority continues,67 and
the Delaware Supreme Court has yet to clarify the viability or scope of the fiduciary
shield doctrine. However, this Court need not decide here the exact scope of the
fiduciary shield doctrine in order to resolve this motion. Even if Delaware law does
not recognize an absolute jurisdictional bar for employee-defendants, personal
jurisdiction over an individual employee must still be based on specific actions taken
by that individual, either in an individual or fiduciary capacity, that would place that
individual within the reach of Delaware’s long-arm statute.68
Turning back to the statute, the only categories that might be relevant to the
facts alleged are Section 3104(c)(1), i.e., transacting business or performing work in
Delaware, or (c)(3), i.e., causing tortious injury by an act or omission in Delaware.
In order to establish personal jurisdiction under either (c)(1) or (c)(3), a plaintiff is
required to allege conduct, whether an act or an omission, by the nonresident that
occurred in the state of Delaware.69 Simply holding a position in a company that
operates in Delaware is insufficient to establish jurisdiction under these provisions.70
66
Id. at 441–43.
67
See EBP Lifestyle Brands Holdings, Inc. v. Boulbain, 2017 WL 3328363, at *5 and n.23 (Del.
Ch. Aug. 4, 2017) (“[C]onflicting authority provides reason to question whether vel non the
fiduciary shield doctrine is recognized in Delaware law.”).
68
See Reach & Associates, P.C. v. Dencer, 269 F. Supp. 2d 497, 504 (D. Del. 2003) (following
Mobil Oil but clarifying that “in order for any act to be relevant in a personal jurisdiction analysis
under Subsections (c)(1) or (c)(3) [of Delaware’s long-arm statute], the individual’s acts, even as
a fiduciary, must occur in Delaware.”); EBP Lifestyle Brands, 2017 WL 3328363, at *5 (declining
to reach the question of “whether the fiduciary shield doctrine is (or ever was) Delaware law”
because the alleged transactions were insufficient to establish specific jurisdiction under the long-
arm statute).
69
TriStrata Technology, Inc. v. Neoteric Cosmetics, Inc., 961 F.Supp. 686, 690 (D. Del. 1997)
(“While examining an individual’s conduct, including his actions in his fiduciary capacity, this
Court must still be mindful of the requirement of subsection (c)(1) and (c)(3). Thus, the employee’s
acts as a fiduciary must still occur in Delaware.”).
70
See id. (“[A]bsent actual conduct in Delaware, Dr. Murad’s position as president, stockholder
and researcher for Murad Research would be insufficient to establish jurisdiction.”); Kelly, 2002
WL 88939, at *17 (“Absent actual conduct in Delaware, Hawkins’ positions at McKesson, or
McKesson HBOC, are insufficient to establish jurisdiction. Because Hawkins did not have any
14
Thus, the paragraphs in the complaint explaining Keller and Forsythe’s positions
and authority within Qlarant cannot serve as a basis for the exercise of personal
jurisdiction over them as individuals. Since this is the only allegation regarding
Forsythe, the inquiry ends there with respect to him.
While the allegations regarding Keller are more specific, they are not specific
enough to establish personal jurisdiction. The complaint states that Plaintiff
requested disability accommodations from Keller but says nothing about the mode
of communication by which that request was made or where any conversations took
place.71 The complaint also states that Keller, presumably in her capacity as Human
Resources Vice President, sent a letter terminating Plaintiff’s employment. Without
some indication that Keller committed any act or omission within the state of
Delaware, rather than in Qlarant offices located in her home state of Maryland,
Plaintiff has failed to establish a prima facie case that Keller worked in Delaware
during the relevant time period or that she caused tortious injury by an act or
omission in this state.72 Thus, Plaintiff’s allegations are insufficient to support the
exercise of personal jurisdiction in this case.
Accordingly, the motion to dismiss for lack of personal jurisdiction is
GRANTED based on the long-arm statute, without reaching the due process
contacts in Delaware, this Court will not establish personal jurisdiction on the mere fact that he
was employed by a Delaware corporation.”) (internal citation omitted).
71
It seems a reasonable inference that it was the same March 25, 2014, telephone conference call
alleged in Tolliver I, though in that action the only participant in the call mentioned in the
complaint was Terri Daly. Defs.’ Opening Br. Ex. E at 5.
72
Plaintiff has not requested leave to amend her complaint or the opportunity to conduct
jurisdictional discovery. In any event, the Court finds that either would be futile because the claims
against the individual defendants would fail to survive a motion to dismiss for substantially the
same reasons set forth in Part III of this opinion.
15
analysis. The Court will thus consider the motion to dismiss for failure to state a
claim with respect to Qlarant only.73
III. Motion to Dismiss for Failure to State a Claim
Defendants argue that the Complaint fails to state a claim upon which relief
can be granted and move to dismiss pursuant to Superior Court Rule 12(b)(6). When
the Court considers a Rule 12(b)(6) motion, “(i) all well-pleaded factual allegations
are accepted as true; (ii) even vague allegations are well-pleaded if they give the
opposing party notice of the claim; (iii) the [c]ourt must draw all reasonable
inferences in favor of the non-moving party; and [(iv)] dismissal is inappropriate
unless the plaintiff would not be entitled to recover under any reasonably
conceivable set of circumstances susceptible of proof.”74 The Court looks to all
allegations in the complaint and documents referenced therein, and may also “take
judicial notice of ‘matters that are not subject to reasonable dispute.’”75
A. Res judicata
Defendant argues that most of Plaintiff’s claims in this action are barred under
the doctrine of res judicata because of the District Court’s disposition of the same
or similar claims in Tolliver I. “Res judicata exists to provide a definite end to
litigation, prevent vexatious litigation, and promote judicial economy.”76 The
doctrine of res judicata has five elements under Delaware law. The party invoking
73
See Branson, 625 A.2d at 269 (“A court without personal jurisdiction has no power to dismiss
a complaint for failure to state a claim.”).
74
Hammer v. Howard, 2021 WL 4935019, at *2 (Del. Super. Oct. 22, 2021) (quoting Savor, Inc.
v. FMR Corp., 812 A.2d 894, 896–97 (Del. 2002)).
75
Id. (quoting In re Gen. Motors (Hughes) S’holder Litig., 897 A.2d 162, 169 (Del. 2006)). In
support of its res judicata argument, Defendants include documents from the docket in Tolliver I
as exhibits to their Opening Brief. Plaintiff asks this Court to “quash” the motion to dismiss and
its attached exhibits as “null and void” because they call on this Court to consider facts outside of
the complaint. Pl.’s Resp. at 1. However, as previously explained, the Court may take judicial
notice of these court filings, and Plaintiff’s objection to their consideration is thus without merit.
76
LaPoint v. AmerisourceBergen Corp., 970 A.2d 185, 191 (Del. 2009) (internal citations
omitted).
16
it must demonstrate that “(1) the court making the prior adjudication had jurisdiction,
(2) the parties in the present action are either the same parties or in privity with the
parties from the prior adjudication, (3) the cause of action must be the same in both
cases or the issues decided in the prior action must be the same as those raised in the
present case, (4) the issues in the prior action must be decided adversely to the
plaintiff’s contentions in the instant case, and (5) the prior adjudication must be
final.”77
The second and fourth elements are straightforward and not meaningfully
disputed in this case. As to the second element, Denise Tolliver is the plaintiff in
both actions, and the parties do not dispute that Delmarva Foundation for Medical
Care and Qlarant, defendants in the respective actions, are the same company.78
Thus, the parties are the same in both actions. 79 As to the fourth element, there is
no question that all issues in Tolliver I were decided adversely to Plaintiff’s
contentions, since they were all dismissed by the District Court over the course of
the litigation.
Plaintiff appears to contest the first element, implying that the remand for lack
of subject matter jurisdiction in Tolliver II proves that the District Court also lacked
jurisdiction in Tolliver I. This argument is without merit. Unlike Tolliver II, the
Second Amended Complaint in Tolliver I raised a federal cause of action under the
77
Bailey v. City of Wilmington, 766 A.2d 477, 481 (Del. 2001).
78
See Compl. at 2–3, ¶ 6 (“Employer renaming occurred in 2018. Qlarant wrote, ‘Welcome to
Qlarant, bringing together the powerful resources of Delmarva Foundation, Health Integrity,
Quality Health Strategies, and Quality Health Foundation into one single brand.’”); Def.’s Opening
Br. at 7 (“This decision [in Tolliver I] was rendered in a prior suit with the same parties—Plaintiff
and Qlarant—or their privies.”).
79
This Court has previously held under similar facts that “corporate officers” who “made key
decisions in the company, directly involving Plaintiff’s conditions of employment” were in privity
with the employer for res judicata purposes. Hammer, 2021 WL 4935019, at *3–4. Thus, even if
personal jurisdiction existed over defendants Keller and Forsythe, the res judicata analysis in this
section would apply with equal force to them.
17
Americans with Disabilities Act.80 Tolliver II was remanded only after the District
Court construed the complaint in this action as raising claims under Delaware law
only, rather than under Delaware law and the federal Equal Pay Act.81
The third element of res judicata is satisfied if the cause of action or the issues
decided are the same in both cases. Delaware courts follow the “transactional
approach” to res judicata.82 This approach requires a “pragmatic consideration” that
takes into account “whether the facts are related in time, space, origin, or motivation,
whether they form a convenient trial unit, and whether their treatment as a unit
conforms to the parties’ expectations or business understanding or usage.”83 Here,
Counts I and II of the Complaint state the same cause of action and arise from the
same transaction as Counts I and II of the initial complaint in Tolliver I. The
purported causes of action are identical, and the factual allegations are very similar.
In both actions, Plaintiff asserted in Count I that Qlarant violated the implied
covenant of good faith and fair dealing by terminating her employment before the
two-year term of grant funding was complete.84 Likewise, Plaintiff asserted in Count
II of both actions that Qlarant violated 19 Del. C. § 1108(3) by failing “to provide
notice to Plaintiff that she would be deprived of unemployment compensation.”85
Count III of the Complaint, styled “Equal Pay, DDEA and DPDEPA Disability and
Retaliation,” implicates several different causes of action, but the underlying factual
allegations appear to be that Defendants discriminated against Plaintiff on the basis
of her disability by failing to make reasonable accommodations and retaliated
against her for requesting those accommodations. Insofar as Count III is raising
80
Tolliver, 2020 WL 4335521, at *1.
81
Remand Order (D.I. 6) at 5–6.
82
LaPoint, 970 A.2d at 193.
83
Id. (quoting Restatement (Second) of Judgments § 24(2) (1982)).
84
Compl. at 5–6 ¶¶ 22–25; Defs.’ Opening Br. Ex. C at 6 ¶¶ 21–23.
85
Compl. at 6 ¶ 28; Defs.’ Opening Br. Ex. C at 6 ¶ 26.
18
disability discrimination and retaliation claims under the DPDEPA and/or the
DDEA, these claims address the same issues as the Second Amended Complaint in
Tolliver I. Thus, with the sole exception of Plaintiff’s equal pay claim (which will
be addressed on other grounds),86 Plaintiff’s claims in this case all arise from the
same transaction as Tolliver I for res judicata purposes.
The final issue in the res judicata analysis is whether the prior adjudication
was final. In Delaware, a dismissal with prejudice is generally final for res judicata
purposes, but a dismissal without prejudice is not.87 Since Counts I and II were
dismissed with prejudice as time-barred in Tolliver I, the nearly identical Counts I
and II in this action are barred by res judicata. Accordingly, the Court will dismiss
Counts I and II of the Complaint with prejudice.
Count III is more complicated. As explained previously, the District Court
dismissed some of Plaintiff’s discrimination and retaliation claims with prejudice,
and others without prejudice. With respect to those claims dismissed with prejudice,
Plaintiff is barred from relitigating them in this Court. Thus, Plaintiff’s claims of
disability discrimination with respect to her February 2014 accommodation request
and her retaliation claims based on protected activity that occurred in February 2014
and May 2014 will be dismissed with prejudice based on res judicata.
86
Based on the conclusion that Plaintiff’s equal pay claim is time-barred, see Part III.C infra, the
Court need not address the question of whether bringing it in this subsequent action constitutes
impermissible claim-splitting. See Wilson v. Brown, 36 A.3d 351, 2012 WL 195393, at *4 (Del.
2012) (TABLE) (“Even if a substantive theory of recovery asserted in a subsequent lawsuit is
different from that presented in prior litigation, when the second action is based on the same
transaction as the first, the claim has been split and must be dismissed.” (quoting Kossol v. Ashton
Condo. Ass’n, Inc., 637 A.2d 827, 1994 WL 10861, at *2 (Del. 1994) (TABLE))).
87
See Braddock v. Zimmerman, 906 A.2d 776, 784 (Del. 2006) (“[T]he phrase ‘without prejudice’
will mean only that the otherwise final judgment does not operate as a res judicata bar to preclude
a subsequent lawsuit on the same cause of action.”); Kaufman v. Nisky, 2011 WL 7062500, at *1
(Del. Super. Dec. 20, 2011) (“In Delaware, a dismissal with prejudice is considered an adjudication
on the merits. When an action has been dismissed on its merits, the res judicata doctrine forecloses
a losing party from reasserting for a second time the same cause of action against the same party.”
(citing Savage v. Himes, 2010 WL 2006573, at *3 (Del. Super. May 18, 2010))).
19
As Defendants concede, application of res judicata to those claims dismissed
without prejudice would be inappropriate.88 The Court thus turns to the issue of
administrative exhaustion of those claims.
B. Failure to Exhaust Administrative Remedies
Under Delaware law, there is a strong presumption that administrative
remedies provided for by statute should be exhausted before an action is brought in
court.89 Plaintiff’s discrimination and retaliation claims arise under the DDEA, 19
Del. C. §§ 710–720, and the DPDEPA, 19 Del. C. §§ 720–728. The administrative
exhaustion requirement for both acts is set out in 19 Del. C. § 714, which provides
that a “charging party may file a civil action in Superior Court, after exhausting the
administrative remedies provided herein and receipt of a Delaware Right to Sue
Notice acknowledging same.”90 19 Del. C. § 712(c)(1) requires that “[a]ny person
claiming to be aggrieved by a violation of this chapter shall first file a charge of
discrimination within 300 days of the alleged unlawful employment practice or its
discovery, setting forth a concise statement of facts, in writing, verified and signed
by the charging party.”
Plaintiff obtained the requisite right to sue notice from the Delaware
Department of Labor on March 7, 2018.91 However, the District Court in Tolliver I
“carefully reviewed her EEOC intake questionnaire as well as her charge of
discrimination” and concluded that neither “refer to the alleged March and May 2014
88
Defs.’ Opening Br. at 6 n.1.
89
See Levinson v. Delaware Comp. Rating Bureau, Inc., 616 A.2d 1182, 1192 (Del. 1992) (“Given
the strong presumption in favor of such exhaustion and in the absence of any compelling argument
to the contrary, DCRB should have been required, as a matter of law, to exhaust its administrative
remedy.”).
90
19 Del. C. § 714(a); 19 Del. C. § 727(a) (“Enforcement of this subchapter [the DPDEPA] shall
be in accordance with the procedures for enforcement of rights secured by subchapter II of this
chapter [the DDEA].”).
91
Motion to Dismiss Ex. E (Final Determination and Right to Sue Notice).
20
accommodation requests seeking a transfer to a different workplace.”92 That court
further concluded that neither document referred to the March 2014 phone call for
which Plaintiff asserted a retaliation claim.93 As a result, the court sua sponte
dismissed without prejudice these claims for failure to exhaust administrative
remedies.94
In response to Defendants’ assertion that she has again failed to exhaust her
administrative remedies, Plaintiff directs this Court to the right to sue notice issued
in March 2018. However, this is the same right to sue notice that the District Court
had before it in Tolliver I. It does not appear that Plaintiff has taken any further steps
to exhaust her administrative remedies with regard to those claims since the District
Court’s dismissal without prejudice. Moreover, the administrative process to obtain
a right to sue notice must be initiated “within 300 days of the alleged unlawful
employment practice or its discovery.”95 Thus, it is too late for Plaintiff to complete
administrative exhaustion of any claims not raised in her original Charge of
Discrimination. Plaintiff’s opportunity to exhaust these remedies is thus long
passed, and another dismissal without prejudice would be fruitless. Accordingly,
the Court dismisses Plaintiff’s remaining discrimination and retaliation claims under
the DDEA and DPDEPA with prejudice.
C. Delaware Wage Payment and Collection Act Claim
The only new claim in this action not previously addressed by the District
Court is Plaintiff’s Count III equal pay claim under the Delaware Wage Payment
and Collection Act (“DWPCA”), 19 Del. C. § 1101–1115. While it is difficult to
tell on the face of the Complaint, in a filing with the District Court, Plaintiff
92
Tolliver, 2020 WL 4335521, at *6. For exhaustion of Plaintiff’s state law claims, it is the Charge
of Discrimination relied on by the Delaware Department of Labor that is relevant.
93
Id. at *8 n.11.
94
Id. at *8.
95
19 Del. C. § 712(c)(1).
21
specifically identified 19 Del. C. § 1107A as the basis for this claim, which prohibits
differential rates of pay based on gender.96 Defendants assert that a claim under the
DWPCA is subject to the one-year statute of limitations in 10 Del. C. § 8111, which
provides that “[n]o action for recovery upon a claim for wages, salary, or overtime
for work, labor or personal services performed, or for damages . . . shall be brought
after the expiration of 1 year from the accruing of the cause of action on which such
action is based.” The Third Circuit has implicitly agreed (albeit in a footnote to a
per curiam opinion) that one year is the appropriate statute of limitations for claims
under the DWPCA.97
Plaintiff’s response contains no argument as to the applicable statute of
limitations.98 However, the Delaware Supreme Court has previously held that 10
Del. C. § 8110 applies only to actions for compensation for work actually performed,
and that actions for damages, backpay, and wrongful termination are governed by
the residual three-year limitations period in 10 Del. C. § 8106.99
Either way, the Court agrees with Defendants that any claim under 19 Del. C.
§ 1107A is time-barred. Whether a one-year or three-year limitations period applies
96
Remand Order at 4–5.
97
See Phifer v. Sevenson Envtl. Servs., Inc., 619 Fed. Appx. 153, 157 n.6 (3d Cir. 2015) (per
curiam) (“Although the District Court did not explicitly review Phifer’s remaining WPCA claim
against Sevenson, having reviewed the record, we agree that Phifer could not prevail on that claim.
The statute of limitations for bringing such a claim is one year.” (citing 10 Del. C. § 8111)).
98
In her Complaint, Plaintiff asserts that the “above facts”—that she disputed federal court
jurisdiction over her claims and that removal of her original complaint in Tolliver I resulted in
dismissal without prejudice—should trigger tolling of the statute of limitations based upon
“inherently unknowable injuries, fraudulent concealment, or equitable tolling.” Compl. at 2, ¶ 3
(quoting In re Dean Witter P’ship Litig., 1998 WL 442456, at *5 (Del. Ch. July 17, 1998), aff’d,
725 A.2d 441 (Del. 1999) (TABLE)). However, Plaintiff fails to explain how the case’s removal
history renders “the facts underlying a claim [] so hidden that a reasonable plaintiff could not
timely discover them.” Dean Witter, 1998 WL 442456, at *5.
99
Goldman v. Braunstein’s, Inc., 240 A.2d 577, 578 (Del. 1968); cf. Trader v. Fiat Distributors,
Inc., 476 F. Supp. 1194, 1208 (D. Del. 1979) (relying on Goldman and applying the three-year
limitations period to an action brought under 42 U.S.C. § 1981 for back pay based on employment
discrimination.).
22
is not dispositive, since Plaintiff’s employment at Qlarant ended over seven years
before this action was filed. Plaintiff’s equal pay claim under the DWPCA is
therefore dismissed with prejudice.
CONCLUSION
For the foregoing reasons, Petitioner’s motion for default judgment is
DENIED. Defendants’ motion to dismiss for lack of personal jurisdiction over
Forsythe and Keller is GRANTED, and Defendants’ motion to dismiss for failure
to state a claim upon which relief can be granted against Qlarant is GRANTED.
Accordingly, Plaintiff’s claims against the individual defendants are dismissed
without prejudice and the claims against Qlarant are dismissed with prejudice.100
IT IS SO ORDERED.
NEP:tls
oc: Prothonotary
cc: M. Denise Tolliver, Pro Se, Via U.S. Mail & Email
Counsel of Record, Via File & ServeXpress
100
See Branson, 625 A.2d at 269 (“A dismissal for lack of jurisdiction or improper venue does not
preclude a subsequent action in an appropriate forum, whereas a dismissal for failure to state a
claim upon which relief can be granted is with prejudice.” (quoting Arrowsmith v. United Press
International, 320 F.2d 219, 221 (2d Cir. 1963))).
23