Febres v. Challenger Caribbean Corp.

         United States Court of Appeals
                    For the First Circuit


No. 98-1916

   CLEMENTE FEBRES, A/K/A CLEMENTE FEBRES-MORALES, ET AL.,

                   Plaintiffs, Appellants,

                              v.

              CHALLENGER CARIBBEAN CORPORATION,

                     Defendant, Appellee.


         APPEAL FROM THE UNITED STATES DISTRICT COURT

               FOR THE DISTRICT OF PUERTO RICO

        [Hon. Héctor M. Laffitte, U.S. District Judge]


                            Before

                     Selya, Circuit Judge,

                Coffin, Senior Circuit Judge,

                  and Boudin, Circuit Judge.


     Juan Rafael Gonzalez Muñoz, with whom José Luis Gonzalez
Castañer was on brief, for appellants.
     Graciela J. Belaval, with whom Martinez, Odell & Calabria
was on brief, for appellee.




                         June 8, 2000
          SELYA, Circuit Judge.           Ever since Justice O'Connor

highlighted the importance of direct evidence of discrimination,

see Price Waterhouse v. Hopkins, 490 U.S. 228, 276-77 (1989)

(O'Connor, J., concurring), courts have struggled to determine

whether particular pieces of evidence can be so classified.

Following the passage of the Civil Rights Act of 1991, Pub. L.

No. 102-166, § 102, 105 Stat. 1071, 1073 (codified at 42 U.S.C.

§ 1981a(c)(1)), this struggle took on an added dimension:              the

Act made jury trials widely available in discrimination cases,

thus sparking interest in how juries were to be instructed when

direct evidence of discrimination had been introduced.             We have

approached     these     subjects    cautiously,       eschewing    broad

generalizations.       See, e.g., Fernandes v. Costa Bros. Masonry,

199 F.3d 572, 581-83 (1st Cir. 1999).          This appeal requires us

to take an incremental step along the decisional path.

I.   BACKGROUND

          On   February     1,   1994,    Thomas   &   Betts   Corporation

(Thomas) acquired the assets of Challenger Caribbean Corporation

(CCC), a manufacturer of circuit breakers and switches.1            Thomas

decided to shut down CCC's production line at Canóvanas and

transfer the work to a Vega Baja facility operated by Thomas &

Betts Caribe, Inc. (Caribe).        One virtue of this consolidation


     1CCC is now known as Thomas & Betts Puerto Rico, Inc.

                                    -3-
was the opportunity to downsize.                Thomas placed a trio of

executives   —   Frank    Domenech      (the   manager   of       the   Vega   Baja

plant), Ojel Rodríguez (his Canóvanas counterpart), and Ramón

Becker   (Caribe's   human      resources      director)      —    in   charge   of

deciding which CCC employees were to be transferred and which

were to be shown the door.           The triumvirate met several times to

determine the employees' fate.

          On December 2, 1994, Domenech announced the closing of

the Canóvanas plant.       He also disclosed that slightly less than

half of CCC's administrative employees (17 out of 36) would be

transferred to Vega Baja.        The nine appellants — Michael Dalmau

(age 47), Clemente Febres (age 53), Rafael Hiraldo (age 46),

Carmen López (age 41), Jesús Ortiz (age 64), José Pomales (age

54), Emma Rovira (age 43), Gloria Soto (age 47), and Luis Zayas

(age 62) — were not part of that 17-member complement.

          Invoking       the   Age    Discrimination     in       Employment     Act

(ADEA), 29 U.S.C. §§ 621-634, the appellants sued.                  CCC defended

on the ground that its decisions were based on legitimate, age-

neutral criteria.    Following a lengthy trial, the jury returned

a verdict in CCC's favor.

          The evidence at trial was a mixed bag, some favoring

the appellants and some favoring CCC.              Citing book and verse

would for the most part serve no useful purpose.                         The sole


                                       -4-
exception concerns Becker's testimony that, as the triumvirs

began mulling transfer decisions, Domenech advised him privately

that three criteria were used to determine which employees would

be moved to Vega Baja:          job performance, union identification,

and "in some cases, the age."          The critical questions raised by

this appeal concern the character of this bit of testimony and

the jury instructions related to it.               We shall return to those

questions shortly.       At this juncture, however, we pause to offer

a     quick   primer   on     the   effect    of    direct   evidence   in   a

discrimination case.

II.    THE LEGAL LANDSCAPE

              A   plaintiff    alleging     disparate   treatment   under    a

statute like the ADEA usually proceeds by means of the familiar

framework engendered in McDonnell Douglas Corp. v. Green, 411

U.S. 792, 802-05 (1973).            We have described the mechanics of

this approach (customarily called the "pretext" approach) in

considerable detail, see, e.g., Fernandes, 199 F.3d at 579-81;

Mesnick v. General Elec. Co., 950 F.2d 816, 823-24 (1st Cir.

1991), and need not elaborate upon it here.             What is significant

for present purposes is that, under pretext analysis, the burden

of persuasion remains with the plaintiff throughout the case.

See Fernandes, 199 F.3d at 581; Mesnick, 950 F.2d at 823.




                                      -5-
            In    some      situations,     however,    a   plaintiff     may   be

entitled     to     use    an    approach      that   relieves    her   of   this

unremitting burden of persuasion.                 The key that unlocks this

door is the existence of direct evidence that a proscribed

factor (such as age, gender, race, or national origin) played a

motivating part in the disputed employment decision.                    See Price

Waterhouse,       490     U.S.   at   276-77   (O'Connor,   J.,    concurring);

Fernandes, 199 F.3d at 580.             Such evidence, if accepted by the

factfinder, shifts the burden of persuasion to the employer, who

then must establish that he would have reached the same decision

regarding the plaintiff even if he had not taken the proscribed

factor into account.             See Price Waterhouse, 490 U.S. at 242;

Fernandes, 199 F.3d at 580.              Although the plaintiff's initial

burden under this "mixed-motive" approach is heavier than the de

minimis showing required to establish a prima facie case under

the pretext approach, see Raskin v. Wyatt Co., 125 F.3d 55, 60

(2d Cir. 1997), most plaintiffs perceive the Price Waterhouse

framework and its concomitant burden-shifting as conferring a

pronounced advantage.            In the average case, the employee thirsts

for access to it, while the employer regards it as anathema.

See Thomas v. Denny's, Inc., 111 F.3d 1506, 1512 (10th Cir.

1997).

III.     ANALYSIS


                                         -6-
                 We now return to the case at hand, focusing on the

appellants'            principal         assignment       of    error.2     We    split    our

analysis into two segments.                      First, we evaluate the appellants'

claim — strenuously challenged by CCC — that they introduced

direct      evidence          sufficient         to     warrant    a    mixed-motive      jury

instruction.            Because we resolve that question favorably to the

appellants, we then consider the appellants' follow-on claim

that       the        judge    failed       to     give    a     suitable     mixed-motive

instruction.



                 A.    The Character of the Evidence Presented.

                 The     appellants         assert       that     the    Becker   testimony

qualifies as direct evidence, and that the lower court therefore

was    obliged         to     give   a    mixed-motive          jury    instruction.       CCC

disputes this assertion.                    The question of whether particular

evidence warrants a mixed-motive instruction is a question of

law, subject to de novo review.                         See Medlock v. Ortho Biotech,

Inc., 164 F.3d 545, 552 (10th Cir.), cert. denied, 120 S. Ct. 48

(1999); see also United States v. Flores, 968 F.2d 1366, 1367-68

(1st Cir. 1992).




       2
      To the extent that the appellants advance other arguments,
those arguments are insubstantial and we reject them out of
hand.

                                                  -7-
          As we recently had occasion to observe, the courts of

appeals are in some disarray as to what constitutes direct

evidence sufficient to provoke a mixed-motive instruction.          See

Fernandes, 199 F.3d at 582 (collecting cases).     We need not draw

overly   fine   distinctions   today.   For   present   purposes,   it

suffices to say that evidence is "direct" (and thus justifies a

mixed-motive jury instruction) when it consists of statements by

a decisionmaker that directly reflect the alleged animus and

bear squarely on the contested employment decision.3      See, e.g.,

Taylor v. Virginia Union Univ., 193 F.3d 219, 232 (4th Cir.

1999) (en banc), cert. denied, 120 S. Ct. 1243 (2000); Lambert

v. Ackerly, 180 F.3d 997, 1008-09 (9th Cir.) (en banc), cert.

denied, 120 S. Ct. 936 (1999); Thomas v. NFL Players Ass'n, 131

F.3d 198, 204 (D.C. Cir. 1997).    Domenech's admission — that age

was one of three criteria used, at least in some cases, to

determine which employees would be retained and which would not

— is of this genre.     It therefore constitutes direct evidence

warranting a mixed-motive instruction.


    3We think it prudent to add a caveat. The phrase "direct
evidence," by any definition, refers to evidence which, if
believed by the factfinder, would warrant a burden shift. In a
case tried to a jury, the phrase does not require that the
plaintiff produce evidence that the court finds persuasive. In
other words, credibility determinations in respect to direct
evidence are for a properly instructed jury, not for the judge.
See Thomas, 111 F.3d at 1512; Ostrowski v. Atlantic Mut. Ins.
Cos., 968 F.2d 171, 184 (2d Cir. 1992).

                                 -8-
              Although CCC rails against this conclusion, its attacks

lack force.         Domenech's statement was made by a decisionmaker,

pertained      to    the   decisional      process,      bore    squarely      on   the

employment decisions at issue (or, at least, on some of them),

and     straightforwardly         conveyed      age     animus.        Given    these

attributes, the statement cannot be dismissed as mere background

noise or as a stray remark.              See Fernandes, 199 F.3d at 583.

              In a burst of optimistic surmise, CCC denies that

Domenech's invocation of age as a criterion directly reflects

age animus.         In its view, he may have been referring, say, to a

plan to give older employees special (favorable) treatment.                         We

reject     such      speculation.          Comments         which,    fairly    read,

demonstrate that a decisionmaker made, or intended to make,

employment decisions based on forbidden criteria constitute

direct evidence of discrimination.               See Sheehan v. Donlen Corp.,

173 F.3d 1039, 1044 (7th Cir. 1999) (observing that the term

"direct       evidence"       covers    more    than    virtual      admissions      of

illegality).         The mere fact that a fertile mind can conjure up

some innocent explanation for such a comment does not undermine

its standing as direct evidence.                 See id.        To hold otherwise

would    be    to    narrow     the     definition     of    direct    evidence     so

drastically         as   to    render     the   Price       Waterhouse    framework

inaccessible to all but the bluntest of admissions.                       We prefer


                                          -9-
a more measured approach.                     Cf. Fernandes, 199 F.3d at 583

(holding "that a statement that plausibly can be interpreted two

different ways — one discriminatory and the other benign — does

not    directly          reflect       illegal      animus     and,     thus,    does     not

constitute direct evidence") (emphasis supplied).

                 Gauged against this benchmark, CCC's challenge falls

short.           In context, there is nothing inscrutable about the

statement attributed to Domenech.4                     Its meaning is plain.           Thus,

we    give       no     credence      to    CCC's     strained    attempt       to   create

ambiguity where none exists.

                 Taking a somewhat different tack, CCC asseverates that

the evidence does not bear squarely on the contested employment

decisions because Domenech's remark, as reported, merely posited

that       age    was    used    as    a    criterion    "in     some    cases"      without

specifically mentioning the appellants.                        This argument assumes

that a statement cannot bear squarely on an employment decision

unless it specifically refers to that decision.                           Both case law,

see, e.g., Thomas, 131 F.3d at 204 (stating that "evidence may

'bear       directly'       on     a       decision     without       referring      to   it

specifically"),            and     common      sense     refute       that   assumption.



       4
     Becker, when queried about his response to Domenech's
articulation of age as an employment criterion, testified that
he "defended the older people" and pointed out to Domenech that
"us older guys sometimes work better than the younger people."

                                              -10-
Indeed, a contrary rule would mean that the greater never could

be construed to include the lesser.

            This case illustrates the wisdom of not requiring a

specific reference.      Becker testified that he asked Domenech

about the criteria that were to be used to determine who would

be   transferred   to   Vega    Baja   and   who   would   be   cut     loose.

Domenech listed "age" among the pertinent criteria, signifying

that this protected characteristic would be used as a criterion

in some of those transfer decisions.         The appellants were within

the relatively small pool of employees who were being considered

for transfer and were older than several of those who retained

their     positions.    Under   the    circumstances,      it   would   blink

reality to pretend that this evidence did not bear squarely on

the appellants' situations.

            CCC's remaining assaults on the status of this evidence

all relate, in one way or another, to Becker's credibility (or

lack thereof).5    These animadversions confuse the predicate for

obtaining a mixed-motive jury instruction — the existence of

direct evidence — with the predicate for shifting the burden of



      5
      For example, CCC notes that Domenech denied making the
"age" remark and suggests that his testimony was more credible
than Becker's (especially since Becker never mentioned the
matter until after he himself had been fired). CCC also notes
that Becker was hardly a neutral party; at the time of trial, he
was suing Caribe for wrongful discharge and age discrimination.

                                   -11-
persuasion under a mixed-motive analysis — proof establishing

that age played a motivating part in the challenged employment

decision.     See Kirsch v. Fleet Street, Ltd., 148 F.3d 149, 162

(2d Cir. 1997); Thomas, 111 F.3d at 1512; Ostrowski, 968 F.2d at

182, 184.     Whether or not Becker's testimony was credible — a

matter on which we take no view — his recounting of Domenech's

admission nonetheless constituted direct evidence.

                     B.   The Jury Instructions.

            Because the appellants introduced direct evidence of

age discrimination, the district court was obliged, upon the

appellants'    seasonable    request,   to   give    the   jury   a   Price

Waterhouse    instruction.     The   lingering      question,     then,   is

whether the court satisfied that obligation.               The appellants

contend that the court gave them short shrift.             We think not.

            We briefly rehearse the controlling legal principles.

A party has a right to an instruction on her theory of the case,

provided that her theory is both valid in law and supported by

evidence in the record.      See United States v. DeStefano, 59 F.3d

1, 2 (1st Cir. 1995); Rogers v. ACF Indus., Inc., 774 F.2d 814,

818 (7th Cir. 1985).      But that right does not imply a corollary

right to insist that the trial judge use particular verbiage.

See United States v. McGill, 953 F.2d 10, 12 (1st Cir. 1992).

"Jury instructions are intended to furnish a set of directions


                                 -12-
composing, in the aggregate, the proper legal standards to be

applied by lay jurors in determining the issues that they must

resolve   in   a   particular   case.   Provided   that   the   charge

satisfies this need, the court's choice of language is largely

a matter of discretion."        DeStefano, 59 F.3d at 2 (citation

omitted).

            In this instance, the lower court deemed Becker's

testimony to be direct evidence and attempted to instruct the

jurors as to the effect of such evidence. 6          The appellants


    6The court stated in material part:

    In order for the plaintiffs to prove discrimination .
    . . through direct evidence, each plaintiff must prove
    by a preponderance of the evidence . . . the following
    three elements: One, that he or she was 40 years or
    older; and [two], he or she was qualified but was not
    transferred to or offered a position at the Vega Baja
    plant; and three, his or her age was a determinative
    factor in defendant's decision not to offer the
    plaintiffs a position in Vega Baja.

            . . . .

         If you find by a preponderance of the evidence
    that the plaintiffs have established [these three
    elements], then the plaintiffs are entitled to recover
    . . . .

         If, however, the plaintiffs fail to prove any of
    these elements by a preponderance of the evidence, you
    must decide that the plaintiffs have not proven age
    discrimination.

         Also, if you decide that the plaintiffs have
    failed to prove that age was a determinative factor in
    the defendant's decision, and would have suffered the

                                 -13-
criticize the adequacy of this instruction.     We agree that it

was not a textbook model and do not recommend its emulation in

other cases.     Yet the appellants, in their contemporaneous

objection, identified no specific flaw in the district court's

language.    We quote the colloquy that ensued, out of the jury's

earshot, when counsel interposed his objection to the mixed-

motive instruction:

  Appellants'
  Counsel:        The plaintiffs specifically request from the
                  Court to give a charge to the jury under Price
                  Waterhouse.

  Court:          But what is the specific charge that you want
                  to give the jury?

 Appellants'
 Counsel:         [T]he specific charge that we are requesting is
                  the following:      "If you find that the
                  plaintiffs have presented sufficient direct
                  evidence to establish that age was a motivating
                  factor in the decision to deny to them the
                  opportunity to transfer to work at the Vega
                  Baja plant, then the burden of persuasion
                  shifts to the employer, who must prove that it



    same consequences regardless of their ages, then you
    must find that the plaintiffs have not proven age
    discrimination.

            . . . .

         In other words, if plaintiffs have offered
    evidence from which you conclude that defendant
    discriminated against them because of their ages,
    plaintiffs are entitled to recover, unless the
    defendant proves that it would have taken the same
    action regardless of plaintiff's ages. . . .

                               -14-
                would have made the same decision even if age
                had not been taken into account."

                . . . .

 Court:         Let me rule on that first. The objection is
                denied.   I charged the jury as follows:    "In
                other   words,  if   plaintiffs  have   offered
                evidence from which you can conclude that
                defendant discriminated against them because of
                their ages, plaintiffs are entitled to recover,
                unless the defendant proves that it would have
                taken the same action regardless of plaintiffs'
                ages."    That's covered in my instruction.
                That's denied. Next one.


 Appellants'
 Counsel:       To that we want to add that the case law is
                specific that there is a shifting in the burden
                of proof —

 Court:         Okay, you made your objection.    You save it.
                You save it for appeal.

 Appellants'
 Counsel:       Yes, your Honor, but in order for the record to
                be clear, that we are requesting that the jury
                be charged that the burden of proof has shifted
                once   the  plaintiff   has  presented   direct
                evidence    of   discrimination,    and    very
                respectfully submit that the testimony in this
                case is sufficient to qualify it as direct
                evidence.

 Court:         Very well.    I charged the   jury   that it is
                direct evidence. I said so.

These comments voiced displeasure, but they did not delineate

particular language in the charge that the appellants deemed

confusing, internally inconsistent, or otherwise inconcinnous.

Under the circumstances, the appellants cannot now be heard to


                             -15-
complain about an overall lack of clarity or the potential for

confusion.     See Faigin v.   Kelly, 184 F.3d 67, 87 (1st Cir.

1999); United States v. Lara, 181 F.3d 183, 196 (1st Cir. 1999);

see also Fed. R. Civ. P. 51 (requiring parties objecting to

instructions to "stat[e] distinctly the matter objected to and

the grounds of that objection").

          This is not the end of the matter, for the appellants

have a more promising argument.        They did, in the course of

their objection, request a further instruction.           They arguably

were entitled to that instruction as long as it constituted a

correct statement of the law, integral to an important issue in

the case, that had not been substantially covered in the charge

as rendered.    See Faigin, 184 F.3d at 87; McGill, 953 F.2d at

13.

          We   conclude,   however,    that   in   this   instance   the

district court's failure to accommodate the appellants' request

for a supplementary instruction did not constitute reversible

error.   It is hornbook law that a trial court does not commit

error when it instructs generally about a legal principle and

then declines a party's request for a further instruction that

is misleading, legally incorrect, or incomplete.          See Lara, 181

F.3d at 196; DeStefano, 59 F.3d at 4; United States v. David,




                                -16-
940 F.2d 722, 738 (1st Cir. 1991).7              This is such a case.       The

court had attempted to give a Price Waterhouse instruction.                 See

supra note 6.      In objecting to it, the appellants had asserted

that more was needed.         To fill this perceived void, they urged

the court to instruct that the burden of persuasion shifted as

long as the appellants presented "sufficient direct evidence to

establish that age was a motivating factor."             This was wrong as

a   matter   of   law. 8     In   a   mixed-motive   case,   the   burden    of

persuasion    does     not    shift     merely    because    the   plaintiff



      7
     Wilson v. Maritime Overseas Corp., 150 F.3d 1 (1st Cir.
1998), is not to the contrary.    There, we stated that if the
request for a particular instruction "directs the court's
attention to a point upon which an instruction to the jury would
be helpful, the court's error in failing to charge may not be
excused by technical defects in the request." Id. at 10. But
that rule does not apply to substantial defects and, in all
events, we made the statement in a situation where the district
court had completely failed to instruct the jury on an area of
law central to the case. See id. at 8. In the matter at hand,
the instructions given did address the mixed-motive approach,
and thus were subject to no such deficiency.
      8
     To be sure, the phrase "sufficient direct evidence to
establish" may be susceptible to the interpretation that the
burden would shift if the appellants presented direct evidence
that established to the jury's satisfaction that age actually
was a motivating factor in the challenged employment decisions.
That would have been a correct statement of the law. But the
phrase's more natural reading, especially in light of the
colloquy that followed, is a legally erroneous one, to the
effect that the burden would shift if the appellants adduced
direct evidence sufficient to permit a finding that age was a
motivating factor.     In all events, a jury instruction's
proponent has a duty to clarify ambiguities, see, e.g., David,
940 F.2d at 738, and the appellants did not do so here.

                                       -17-
introduces sufficient direct evidence to permit a finding that

a discriminatory motive was at work; the burden shifts only if

the   direct    evidence     in   fact      persuades    the    jury   that     a

discriminatory motive was at work.            Put another way, the burden

of persuasion does not shift unless and until the jury accepts

the "direct evidence" adduced by the plaintiff and draws the

inference that the employer used an impermissible criterion in

reaching the disputed employment decision.              See Kirsch, 148 F.3d

at 162; Ostrowski, 968 F.2d at 184.             The appellants' proposed

instruction blurred this distinction.

          The     colloquy    that    followed     the     objection     shows

convincingly that the appellants were conflating the standard

governing the giving of a mixed-motive instruction with the

standard governing the ensuing burden shift.              For example, their

counsel stated:      "We are requesting that the jury be charged

that the burden of proof has shifted once the plaintiff has

presented direct evidence of discrimination."                  He then opined

that "the defendant has to carry a burden once there is a

presentation of sufficient direct evidence to sustain a Price

Waterhouse     charge."      Since   the     appellants    garbled     the    two

propositions, they cannot fault the district court either for

failing to separate wheat from chaff or for refusing to give the

requested instruction.        See David, 940 F.2d at 738.


                                     -18-
IV.     CONCLUSION

               We need go no further.9         The short of it is that the

district       court    correctly    apprehended      the   character   of   the

evidence       presented    and   charged    the   jury     accordingly.     The

court's mixed-motive instruction was not letter perfect, but it

sufficed to place the issue before the jury.                 In the absence of

either a particularized objection to the instruction actually

given     or    an     appropriate   request    for    a    more   enlightening

instruction, the jury verdict must stand.



Affirmed.




      9
     The court below did not require the appellants to make an
election before submitting the case to the jury, and instead
appears to have instructed on both the pretext approach and the
mixed-motive approach. The appellants do not assign error to
the submission of these alternate theories to the jury, and we
express no opinion on the practice.

                                      -19-