District of Columbia
Court of Appeals
No. 14-CV-1275
SEP 29 2016
INDIRA POOLA,
Appellant,
v. CAB-3-12
HOWARD UNIVERSITY, et al.,
Appellees.
On Appeal from the Superior Court of the District of Columbia
Civil Division
BEFORE: THOMPSON and MCLEESE, Associate Judges; and KING, Senior Judge.
JUDGMENT
This case came to be heard on the transcript of record and the briefs filed,
and was argued by counsel. On consideration whereof, and as set forth in the opinion
filed this date, it is now hereby
ORDERED and ADJUDGED that the judgments on appeal are affirmed in
part, and reversed and remanded in part.
For the Court:
Dated: September 29, 2016.
Opinion by Associate Judge Phyllis D. Thompson
Notice: This opinion is subject to formal revision before publication in the
Atlantic and Maryland Reporters. Users are requested to notify the Clerk of the
Court of any formal errors so that corrections may be made before the bound
volumes go to press.
DISTRICT OF COLUMBIA COURT OF APPEALS
No. 14-CV-1275 9/29/16
INDIRA POOLA, APPELLANT,
V.
HOWARD UNIVERSITY, et al., APPELLEES.
Appeal from the Superior Court
of the District of Columbia
(CAB-3-12)
(Hon. Gregory E. Jackson, Motions Judge)
(Hon. Maurice A. Ross, Motions Judge)
(Argued February 9, 2016 Decided September 29, 2016)
David A. Branch for appellant.
Alan S. Block, with whom Elizabeth E. Pavlick, was on the brief, for
appellees.
Before THOMPSON and MCLEESE, Associate Judges, and KING, Senior
Judge.
THOMPSON, Associate Judge: Appellant Indira Poola, who for seventeen
years had been a Research Professor at the Howard University (“University”)
College of Medicine, brought a multi-count complaint (originally filed on January
3, 2012, and amended on August 13, 2012) against the University and three
2
members of the College of Medicine faculty (the “individual appellees”), after she
was denied re-appointment and prevented from entering her former laboratory (and
other University offices where she had worked) to retrieve research data,
laboratory samples, and other items of physical property. Judge Gregory Jackson
granted appellees‟ motion to dismiss the first count of the amended complaint,
which alleged that appellees blocked Dr. Poola‟s re-appointment on the basis of
her race, gender, and national origin, in violation of the District of Columbia
Human Rights Act (“DCHRA”).1 Judge Jackson also dismissed Dr. Poola‟s
tortious interference claim against the three individual appellees (the only
remaining claim against them), but allowed the tortious interference claim against
the University (as well as claims for breach of implied contract, conversion, and
negligence that were not the subject of the motion to dismiss) to proceed.
Thereafter, Judge Maurice Ross, to whom the case had been transferred,
granted the University‟s motion for a protective order, prohibiting Dr. Poola from
1
See D.C. Code § 2-1402.11 (a) (2001) (“It shall be an unlawful
discriminatory practice” for an employer “[t]o fail or refuse to hire, or to discharge,
any individual; or otherwise to discriminate against any individual, with respect to
his compensation, terms, conditions, or privileges of employment, including
promotion” . . . “wholly or partially for a discriminatory reason based upon the
actual or perceived: race, color, religion, national origin, sex, age, marital status,
personal appearance, sexual orientation, gender identity or expression, family
responsibilities, genetic information, disability, matriculation, or political
affiliation of any individual[.]”).
3
re-entering her former workspaces to identify and inspect the items of property she
claimed she was forced to leave behind. Judge Ross also granted the University‟s
motion for partial summary judgment, ruling that “all that [wa]s left of the case”
were Dr. Poola‟s claims that the University was liable for negligence and
conversion of items of her personal property. Restricted by Judge Ross‟s ruling to
going to trial only on her (narrowed) conversion and negligence counts, Dr. Poola
stipulated to dismissal of her personal-property-related claims in order to clear the
way for this appeal.
For the reasons that follow, we conclude that the court did not err in
dismissing Dr. Poola‟s DCHRA claims against individual appellees Dr. Edward
Cornwell and Dr. Wayne A. I. Frederick, but did err in dismissing her DCHRA
claims against the University and appellee Dr. Robert Taylor.2 We find no error in
2
Count II of Dr. Poola‟s Amended Complaint asserted, inter alia, that
appellees‟ actions that caused Dr. Poola to be unable to complete her grant-funded
research rendered her ineligible for future grants, thereby tortiously interfering
with her prospective economic advantage. We discern from the record no reason
why Dr. Poola‟s tortious interference claims should have been dismissed at either
the motion to dismiss or summary judgment stage. Cf. Emamian v. Rockefeller
Univ., No. 07 Civ. 3919 (DAB), 2008 WL 4443824, *2, 8 (S.D.N.Y. Sept. 25,
2008) (dismissing tortious interference claim that was based on allegations that
defendant university would not allow the plaintiff research professor to re-start her
research, but stating that “were [p]laintiff to allege and identify a specific, existing
business relationship that [d]efendant interfered with, as well as allege particular
acts of [d]efendants, she may be able to state a claim for tortious interference with
(continued…)
4
the court‟s grant of partial summary judgment to the University with respect to Dr.
Poola‟s claim for conversion insofar as it relates to “equipment” and “supplies”
purchased with Department of Defense (“DoD”) grant funds and with respect to
“equipment” purchased with Susan G. Komen Breast Cancer Foundation
(“Komen”) grant funds. We conclude, however, that the court erred in granting
summary judgment to the University on Dr. Poola‟s conversion claim insofar as it
relates to “supplies” purchased with Komen grant funds and with respect to other
property that Dr. Poola describes as her “work product,” because the University
did not establish as a matter of law that Dr. Poola has no ownership interest or
superior possessory interest in that property. We also conclude that summary
judgment was improperly entered in favor of the University on Dr. Poola‟s
(…continued)
prospective economic advantage”). However, given that Dr. Poola has not
assigned as error the dismissal of her tortious interference claims, we leave those
dismissals undisturbed as well.
Dr. Poola has not challenged the dismissal of her (Count III) claim for
breach of implied contract, so we also do not disturb that result. We acknowledge
Dr. Poola‟s assertion that she should be permitted to enter University facilities to
inspect property she left behind because the property is “relevant to her damages
related to her claims of tortious interference and breach of implied contract,” but
that bare assertion is not enough to preserve a challenge to the dismissal of her
tortious interference and breach of implied contract claims. “We have held
repeatedly that issues adverted to in a perfunctory manner, unaccompanied by
some effort at developed argumentation, are deemed waived.” Hensley v. District
of Columbia Dep’t of Emp’t Servs., 49 A.3d 1195, 1206 (D.C. 2012) (internal
quotation marks omitted).
5
negligence claim because the University did not establish as a matter of law that it
owed no duty to Dr. Poola to safeguard the items in dispute. We remand for
further proceedings consistent with this opinion.
I.
Dr. Poola, who identifies herself as a “South Asian female from India,”
asserted in her Amended Complaint that she is a “world-renowned cancer research
scientist” who has held faculty positions at a number of universities, including the
Johns Hopkins University Medical School and the George Washington University
Medical School. According to the Amended Complaint, she has published over
twenty scholarly articles, including in a medical journal that she asserts is “the
world‟s most prestigious journal for medicine,” has been a reviewer for “the
nation‟s leading cancer research journals,” and has been a frequent speaker at
cancer research symposia. She began working as a Research Assistant Professor at
the University in 1994, and during her tenure there, performed work under twenty
externally funded grants. She was a “without compensation” professor, meaning
that the University paid her salary out of funds from external research grant funds.
6
The Amended Complaint notes that the University is a “historically black
college and university,” the majority of whose faculty members, including at the
College of Medicine, are African American. The Amended Complaint alleges that
the University and its agents, including the individual appellees, who are African-
American males, “willfully cultivated a pattern and practice of discrimination
against non-African-Americans and females, by reason of race, national origin, and
gender.” According to the Amended Complaint, this discrimination “manifested”
itself in the form of non-African-Americans and female staff being subjected to
“discriminatory work assignments,” “subjective performance appraisals which
resulted in lower evaluations,” a “disproportionate number of lower performance
evaluations than African Americans and males,” “discriminatory discipline and
terminations,” “terminations at a higher rate than African Americans and males,”
harassment, “discriminatory compensation and research funding policies,” and
belittlement of professional accomplishments.
The Amended Complaint further alleges that in 2010, Dr. Poola “was
awarded prestigious grants” from Komen and from DoD. In August 2010, Dr.
Poola requested re-appointment to the faculty of the University‟s College of
Medicine Surgery Department to enable her to conduct research under the grants.
7
Shortly thereafter, Dr. Taylor3 and Dr. Cornwell “met and decided to deny Dr.
Poola‟s appointment.” In October 2010, Dr. Poola sought appointment to the
Biochemistry Department, whose Chair “initially agreed to support her request,”
but later withdrew his support after he met with Dr. Taylor, who “demanded that
Dr. Poola‟s appointment be denied.” The Amended Complaint further alleges that
in January 2011, Dr. Poola met with the Chair of the Physiology Division, a white
male, who thereafter requested that Dr. Taylor approve a partial salary for Dr.
Poola in that Division. In March 2011, Dr. Taylor denied the request.
The Amended Complaint alleges that Drs. Taylor and Cornwell took the
foregoing actions to block Dr. Poola‟s appointment with the intent of “derailing the
career of a non-African-American female and to prevent her professional
accomplishments from eclipsing their own and those of African American and
male faculty.” The Amended Complaint further alleges that Drs. Taylor and
Cornwell “exhibited discriminatory animus against Dr. Poola in the form of
disrespectful comments, belittling her accomplishments, attempting to steal her
intellectual property, interference with her research, and unwarranted critique of
her performance.”
3
The Amended Complaint does not allege, but the summary judgment
record indicates, that Dr. Taylor was Dean of the University‟s College of Medicine
from 2005 to 2011.
8
According to the Amended Complaint, in May 2011, after the Physiology
Division Chair requested that Dr. Poola be appointed to his Division without
compensation from the University, Dr. Poola was notified by the Surgery
Department Administrator that she should surrender “all equipment and intellectual
property” and be prepared to leave the University by the end of June 2011. On
June 30, 2011, the Surgery Department Administrator and a representative from
the Dean‟s office came to Dr. Poola‟s office while she was in the middle of an
experiment and demanded that she surrender her keys, identification badge, and
parking sticker, and that she leave the premises. Dr. Poola was thus required to
abandon her research and grants, “seventeen years of research and equipment and
other property purchased with personal and grant funding” with an “aggregate
value . . . exceed[ing] several million dollars.” The Amended Complaint also
alleges that Dr. Poola has “lost millions of dollars in future grants.”
The Amended Complaint further alleges that in July 2011, after Dr. Poola
sent letters to the Dean of the College of Medicine and other University officials
stating her desire to continue working on her grant projects and her concerns about
abandoning her research and losing future grants, Health Sciences Vice President
Dr. Eve Higginbotham approved a 90-day reappointment for Dr. Poola. However,
9
although Dr. Taylor signed the approval letter, he allegedly “refused to
acknowledge Dr. Higginbotham‟s authority and denied Dr. Poola access to the
facility,” doing so because he “resented the accomplishments of Dr. Poola as a
non-African-American female” and with the intent to derail her career.
Finally, the Amended Complaint alleges that the defendants‟ treatment of
Dr. Poola “mirrors the treatment to which [d]efendants have subjected other [M.D.
or doctorate-level] non-African-Americans and/or females” in order to derail their
careers. More specifically, it asserts that Dr. Higginbotham was removed from her
position with only two days‟ notice, “after the African American males in the
College of Medicine campaigned for her removal,” in part because of her support
of Dr. Poola; that a woman hired as an Assistant Vice President for Faculty
Development resigned after she was “subjected to pervasive harassment by African
American male faculty” including Dr. Taylor, who “belittled [her]
accomplishments and refused to recognize her authority”; that a woman hired as
Provost was “removed in under one year after African American male faculty
campaigned to have her removed”; that promptly upon his own hiring, Dr. Taylor
forced a woman who had been Director of the Cancer Center for over ten years to
accept a demotion; and that an “Asian Indian female” who was Chief of Oncology
was belittled and harassed by Dr. Frederick and was forced to resign because of the
10
“lack of promotional opportunities available to non-African Americans and
females.” According to the Amended Complaint, during Dr. Poola‟s tenure at the
University, appellees “never took the same or similar action against African
Americans or males.”
II. The DCHRA Claims
A. The Court’s Rulings on the Defendants’ Motions to Dismiss
In Count I of the Amended Complaint, Dr. Poola claims that appellees‟
conduct toward her violated the DCHRA. Ruling on appellees‟ motion to dismiss
Count I, the court recognized that Dr. Poola‟s DCHRA claims were subject to a
one-year statute of limitations.4 The court then determined that the only actionable
conduct by defendants/appellees was “discrete acts of discrimination” that
occurred after January 3, 2011, i.e., within a year before Dr. Poola filed her
original complaint. The court found that, regarding Dr. Frederick, Dr. Poola
alleged only that he participated in “willfully cultivat[ing] a pattern and practice of
discrimination against non-African-Americans and females, by reason of race,
national origin, and gender[,]”and thus “failed to plead any specific allegations[.]”
4
See D.C. Code § 2-1403.16 (a) (2001).
11
Our review of the Amended Complaint reveals that Dr. Poola also alleged that Dr.
Frederick “belittled and harassed” the female Chief of Oncology. Whether or not
that allegation or the allegation that Dr. Frederick “cultivated a pattern and practice
of discrimination” was, in the court‟s words, “far too general to raise the right to
relief above the level of speculation,” what is clear is that the Amended Complaint
does not identify the date(s) when Dr. Frederick allegedly so acted. Thus, Dr.
Poola “failed to plead any specific factual allegations against Dr. Frederick” that
occurred during the limitations period. Dr. Poola offers no specific rebuttal to, and
we see nothing in the Amended Complaint that provides a basis for rejecting,
appellees‟ argument that Dr. Poola‟s DCHRA claim against Dr. Frederick was
untimely, and we therefore do not disturb the dismissal of the claim.
With respect to Dr. Cornwell as well, the court found that Dr. Poola‟s
allegations either confirm that Dr. Cornwell‟s conduct occurred outside of the
limitations period (e.g., Dr. Cornwell‟s decision, sometime before October 2010, to
veto Dr. Poola‟s re-appointment to the Surgery Department) or fail to include the
dates when he allegedly committed the described actions. As to Dr. Cornwell, too,
we discern no basis for disturbing the court‟s dismissal of the DCHRA claim.
12
The court recognized that some of Dr. Poola‟s allegations about Dr. Taylor
relate to conduct that occurred within the DCHRA limitations period. These
include the allegation that in March 2011, Dr. Taylor denied the Physiology
Division Chief‟s request that Dr. Poola be appointed to that Division and the
allegation that in July 2011, Dr. Taylor denied Dr. Poola access to University
facilities, in both instances because of Dr. Taylor‟s “resent[ment of] the
accomplishments of Dr. Poola as a non-African-American female” and his
discriminatory intent to derail her career. The court also recognized that Dr. Poola
included in her Amended Complaint allegations about other (named) non-African
Americans and women who were subjected to similar discrimination. The court
ruled, however, that Dr. Poola‟s allegations were only “conclusory statements” that
failed “[t]o establish the required nexus between the adverse employment actions
and the alleged discriminatory motive.” The court reasoned that Dr. Poola was
required to “show, rather than merely state that the [d]efendant harbored
discriminatory intent in carrying out the adverse employment actions against the
[p]laintiff.” The court therefore dismissed the DCHRA claim against Dr. Taylor
for failing “to state a claim that raises the right to relief above the level of
speculation.” Finally, having dismissed the DCHRA claims against each of the
individual defendants (the “agents” of the University), the court also dismissed the
13
DCHRA claim against the University. Subsequently, on July 9, 2014, he denied
Dr. Poola‟s motion to reconsider the dismissals.
B. Applicable Law
This court reviews de novo a dismissal under Super. Ct. Civ. R. 12 (b)(6) for
failure to state a claim on which relief can be granted. See Comer v. Wells Fargo
Bank, N.A., 108 A.3d 364, 371 (D.C. 2015). In doing so, we construe the
complaint in the light most favorable to the plaintiff and take her factual
allegations as true. See Francis v. Rehman, 110 A.3d 615, 620 (D.C. 2015). We
have adopted the pleading standard articulated by the Supreme Court in Bell Atl.
Corp. v. Twombly, 550 U.S. 544 (2007), and Ashcroft v. Iqbal, 556 U.S. 662
(2009). See Equal Rights Ctr. v. Props. Int’l, 110 A.3d 599, 602-03 (D.C. 2015).
Under that standard, to survive a Super. Ct. Civ. R. 12 (b)(6) motion to dismiss, a
complaint must plead “enough facts to state a claim to relief that is plausible on its
face,” Twombly, 550 U.S. at 570, i.e., “factual content that allows the court to draw
the reasonable inference that defendant is liable for the misconduct alleged.”
Comer, 108 A.3d at 371 (internal quotation marks omitted); see also Twombly, 550
U.S. at 556 (explaining that the plausibility pleading standard “simply calls for
enough fact to raise a reasonable expectation that discovery will reveal evidence
14
of” the defendants‟ misconduct). A complaint does not “suffice if it tenders naked
assertion[s] devoid of further factual enhancement.” Iqbal, 556 U.S. at 678
(internal quotation marks omitted). Although this standard “does not require
detailed factual allegations,” it does “demand[] more than an unadorned, the-
defendant-unlawfully-harmed-me accusation”; factual allegations must be enough
to raise a right to relief above the speculative level. Id. at 678 (internal quotation
marks omitted). But at the pleading stage, the plaintiff‟s burden “is not onerous.”
Equal Rights Ctr., 110 A.3d at 603. If a complaint‟s factual allegations are
sufficient, “the case must not be dismissed even if the court doubts that the plaintiff
will ultimately prevail.” Doe v. Bernabei & Wachtel, PLLC, 116 A.3d 1262, 1266
(D.C. 2015) (internal quotation marks omitted).
C. Analysis
Dr. Poola argues that the court erred in ruling that her Amended Complaint
was insufficient to state a claim. In particular, she argues that the court erred in
ruling that she was required to allege more to establish the required “nexus”
between the defendants‟ allegedly discriminatory motives and the denial of her
reappointment and her exclusion from her laboratory and offices. She argues that
the court‟s reasoning, i.e., that she must “show, rather than merely state, that the
15
[d]efendant[s] harbored discriminatory intent in carrying out the adverse
employment actions[,]” effectively and improperly required her to establish a
prima facie case when she had not yet had the benefit of discovery. On the basis
of the analysis set out below, we agree, and therefore conclude that court erred in
dismissing the DCHRA claims against Dr. Taylor and the University.5
Our analysis requires us to decide how the Twombly/Iqbal pleading standard
is applied to a complaint alleging employment discrimination in violation of the
DCHRA. We begin by giving careful attention to the Supreme Court‟s rationale in
Twombly, a case in which the plaintiff alleged a conspiracy to restrain trade in
violation of the Sherman Act, see 550 U.S. at 548-49, and in Iqbal, a case
presenting Fifth Amendment equal protection and First Amendment claims, see
556 U.S. at 669.
The Supreme Court explained in Twombly that “when allegations of parallel
conduct are set out in order to make a [claim under § 1 of the Sherman Act], they
must be placed in a context that raises a suggestion of a preceding agreement, not
5
The case on which the court relied, McManus v. MCI Commc’ns Corp.,
748 A.2d 949 (D.C. 2000), discussed the showing of a “nexus” that was required
for the plaintiff alleging employment discrimination to avoid summary judgment,
not the allegations that are necessary to withstand a motion to dismiss. See id. at
954.
16
merely parallel conduct that could just as well be independent action.” 550 U.S. at
557. Thus, the Court said, “stating such a claim requires a complaint with enough
factual matter (taken as true) to suggest that an agreement was made[,]” i.e.,
“enough fact to raise a reasonable expectation that discovery will reveal evidence
of illegal agreement.” Id. at 556. At the same time, the Court explained, “[a]sking
for plausible grounds to infer an agreement does not impose a probability
requirement at the pleading stage[.]” Id.
Turning specifically to the commercial context of the dispute before it, the
Twombly Court agreed with the parties that “complex and historically
unprecedented changes in pricing structure made at the very same time by multiple
competitors, and made for no other discernible reason, would support a plausible
inference of conspiracy.” Id. at 556 n.4 (internal quotation marks omitted). By
contrast, the Court explained, even if a complaint alleges parallel conduct,
“without [some] further circumstance pointing toward a meeting of the minds, an
account of a defendant‟s commercial efforts stays in neutral territory.” Id. at 557.
Stated differently, “[a]n allegation of parallel conduct . . . gets the complaint close
to stating a claim, but without some further factual enhancement[,] it stops short of
the line between possibility and plausibility of “entitle[ment] to relief.” Id.
(internal quotation marks omitted). The Court acknowledged that “[i]n a
17
traditionally unregulated industry with low barriers to entry, sparse competition
among large firms dominating separate geographical segments of the market could
very well signify illegal agreement,” but observed as to the case before it — one in
which “a natural explanation for the noncompetition alleged is that the former
Government-sanctioned [telephone carrier] monopolists were sitting tight,
expecting their neighbors to do the same thing” — “here we have an obvious
alternative explanation.” Id. at 556-57; see also Iqbal, 556 U.S. at 680 (observing
that while “[a]cknowledging that parallel conduct was consistent with an unlawful
agreement, the [Twombly] Court nevertheless concluded that it did not plausibly
suggest an illicit accord because it was not only compatible with, but indeed was
more likely explained by, lawful, unchoreographed free-market behavior”).
The respondent in Iqbal, a citizen of Pakistan and a Muslim, alleged that in
the wake of the events of September 11, 2001, the defendants, having arrested and
detained respondent and many other Arab Muslim men, subjected them to harsh
conditions of confinement “as a matter of policy, solely on account of [their]
religion, race, and/or national origin and for no legitimate penological interest.”
Id. at 669 (internal quotation marks omitted). The Iqbal Court concluded that
“[t]hese bare assertions, much like the pleading of conspiracy in Twombly, amount
to nothing more than a formulaic recitation of the elements of a constitutional
18
discrimination claim, namely, that petitioners adopted a policy because of, not
merely in spite of, its adverse effects upon an identifiable group, [and as] such, the
allegations are conclusory and not entitled to be assumed true.” Id. at 681
(citations and internal quotation marks omitted).
Although the Iqbal Court recognized that the respondent‟s allegations were
“consistent with petitioners‟ purposefully designating detainees [as] „of high
interest‟ because of their race, religion, or national origin[,]” and acknowledged
that the allegations were not necessarily “unrealistic or nonsensical,” it concluded
that “given more likely explanations, [the allegations] do not plausibly establish
this purpose.” Id. In describing the “more likely explanations,” the Court
recounted that the September 11 attacks were perpetrated by Arab Muslim
hijackers who were members of al Qaeda, which was composed in large part of
Arab Muslim disciples of Osama bin Laden. Id. at 682. The Court reasoned that
“[i]t should come as no surprise that a legitimate policy directing law enforcement
to arrest and detain individuals because of their suspected link to the attacks would
produce a disparate, incidental impact on Arab Muslims, even though the purpose
of the policy was to target neither Arabs nor Muslims.” Id. The Court reasoned
that “[a]s between th[e] obvious alternative explanation” for the respondent‟s
detention, “the purposeful, invidious discrimination respondent asks us to infer,
19
discrimination is not a plausible conclusion.” Id. at 682 (internal quotation marks
omitted). The Court concluded that the respondent‟s complaint did not “contain
facts plausibly showing that petitioners purposefully adopted a policy of
classifying post-September-11 detainees as „of high interest‟ because of their race,
religion, or national origin.” Id. at 682. Instead, “[a]ll [the complaint] plausibly
suggests is that the Nation‟s top law enforcement officers, in the aftermath of a
devastating terrorist attack, sought to keep suspected terrorists in the most secure
conditions available until the suspects could be cleared of terrorist activity.” Id. at
683; see also id. at 686 (“[T]he Federal Rules do not require courts to credit a
complaint‟s conclusory statements without reference to its factual context.”).
Analyzing Dr. Poola‟s Amended Complaint in light of the reasoning in
Twombly and Iqbal, we conclude that it contains sufficient factual allegations to
“nudge[] [her] claims across the line from conceivable to plausible[.]” Twombly,
550 U.S. at 570. Her allegations went far beyond “an unadorned, the-defendant-
unlawfully-harmed-me accusation[,]” Comer, 108 A.3d at 371 (internal quotation
marks omitted), and the Amended Complaint gives the defendants notice of what
her case is about. She alleged that she is a South Asian woman; that (just before
the limitations period), at Dr. Taylor‟s instance, she was denied re-appointment to
the Department of Surgery and denied appointment to the Biochemistry
20
Department as a research professor; and that (during the limitations period) Dr.
Taylor also initially blocked her appointment to the Physiology Division and, after
eventually signing off on a temporary appointment, denied her access to laboratory
and offices at the University to continue her research, all out of discriminatory
animus (an intent to “derail[] the career of a non-African-American female and to
prevent her professional accomplishments from eclipsing [his] own and those of
African American and male faculty”). Dr. Poola further alleged that a culture of
discrimination against non-African Americans and women at the University was
behind not only her complained-of treatment, but also the harassment, demotion, or
removal of other named, similarly situated women employees of the University.
She alleged that appellees “never took the same or similar action against African
Americans or males.”
Of particular importance, the Amended Complaint alleges in addition that
Dr. Poola is a world-renowned researcher, that she has taught at prestigious
institutions, published in prestigious medical journals, and spoken at numerous
medical conferences, and that she repeatedly brought to the University grant funds
from which her salary was paid (thus, it appears, not burdening the University‟s
budget and, it may reasonably be assumed, helping to defray University overhead
21
costs).6 Dr. Poola alleged that she was expelled from the University when her
work under her active grants was continuing (a fact that one can imagine may have
cast the University in a bad light with the funding entities), and yet nothing on the
face of the Amended Complaint provides a non-discrimination, alternative
explanation for Dr. Poola‟s expulsion.7 Thus, at the motion to dismiss stage, this
was not a case in which, “[a]s between [an] „obvious alternative explanation‟ for
[Dr. Poola‟s expulsion] and the purposeful, invidious discrimination [Dr. Poola]
6
See 32 C.F.R. § 32.22 (b)(2) (Westlaw, current through September 7,
2016) (DoD regulations governing grants to institutions of higher education,
providing for payment of “the proportionate share of any allowable indirect costs”
incurred by the institution). Dr. Poola also alleged that the grant funding she
brought to the University enabled Dr. Taylor to “siphon[] off” funds “for his own
purposes.”
7
We recognize that the summary judgment record contains a document
(filed on October 11, 2013) that refers variously to allegations that Dr. Poola “had
a track record of being a disruptive” or a “difficult” person and was not a “good
[University] citizen.” (In fairness, we note that the document also states that its
author, apparently a Department Chair, had other “difficult persons in [his]
Department” and was willing to “put up with” them “as long as they brought in
money.”) However, these allegations were not before the court when (on October
16, 2012) it ruled on the motion to dismiss (and, of course, they may or may not
have been factors in the decision not to re-appoint Dr. Poola and to deny her access
to her former laboratory and office).
The record did contain the foregoing document at the time (July 2014) the
court denied Dr. Poola‟s motion to reconsider the dismissal of her DCHRA claims,
but even if at that point he had been permitted to consider the allegations about Dr.
Poola being “disruptive” or “difficult,” the question was not whether Dr. Poola was
“likely to prevail, but whether [her] well-pleaded factual allegations plausibly
g[a]ve rise to an inference of unlawful discrimination[.]” Vega v. Hempstead
Union Free Sch. Dist., 801 F.3d 72, 87 (2d Cir. 2015).
22
asks us to infer, discrimination is not a plausible conclusion,” Iqbal, 556 U.S. at
682 (quoting Twombly, 550 U.S. at 567); see also AFSCME Local 2401 v. District
of Columbia, 796 F. Supp. 2d 136, 141 (D.D.C. 2011) (denying the District‟s
motion to dismiss a complaint alleging racial and age discrimination because “the
[c]ourt cannot identify an obvious alternative explanation for the alleged conduct
that would render an inference of discrimination implausible” (internal quotation
marks omitted)). Dr. Poola plausibly alleges that appellees behaved toward her as
she claims “because of, not merely in spite of,” the adverse effects for her career.
Iqbal, 556 U.S. at 677 (internal quotation marks omitted).
Although some of Dr. Poola‟s allegations about the alleged culture of
discrimination were vague as to date or time period, or plainly occurred outside the
limitations period, her allegations nevertheless provide context and “factual
enhancement,” Twombly, 550 U.S. at 557, to her timely allegations.8 Her
8
It is well-established (and the court expressly recognized) that conduct
outside the limitations period may be considered as context for evaluating the
plausibility of non-time-barred claims. See National R.R. Passenger Corp. v.
Morgan, 536 U.S. 101, 105 (2002) (“We also hold that consideration of the entire
scope of a hostile work environment claim, including behavior alleged outside the
statutory time period, is permissible for the purposes of assessing liability, so long
as an act contributing to that hostile environment takes place within the statutory
time period.”); see also Sepúlveda-Villarini v. Department of Educ. of Puerto Rico,
628 F.3d 25, 29 (1st Cir. 2010) (“The make-or-break [pleading] standard . . . is that
the combined allegations, taken as true, must state a plausible, not a merely
(continued…)
23
allegations may or may not actually be true, but taken as true, they provide a
reason to believe — they support a plausible inference — that she was expelled
from the University because of her gender, race, and national origin. We thus are
satisfied that Dr. Poola pled “enough fact[s] to raise a reasonable expectation that
discovery will reveal evidence of” discriminatory motives for the adverse
employment actions against her. Id. at 556; see also Sheppard v. David Evans &
Assoc., 694 F.3d 1045, 1050 (9th Cir. 2012) (holding that the plaintiff alleged an
“entirely plausible scenario” of employment discrimination where her complaint
alleged that she “was over forty and received consistently good performance
reviews, but was nevertheless terminated from employment while younger workers
in the same position kept their jobs” (internal quotation marks omitted)).9
(…continued)
conceivable, case for relief.”) (emphasis added); Braden v. Wal-Mart Stores, Inc.,
588 F.3d 585, 594 (8th Cir. 2009) (“[T]he complaint should be read as a whole, not
parsed piece by piece to determine whether each allegation, in isolation, is
plausible.”).
9
See also McCauley v. City of Chicago, 671 F.3d 611, 616-17 (7th Cir.
2011) (“The required level of factual specificity rises with the complexity of the
claim.”); Ndzerre v. Washington Metro. Area Transit Auth., No. 15-1229, 2016
WL 1225599, *5 (D.D.C. Mar. 22, 2016) (“[O]ur Circuit Court has long
recognized the ease with which a plaintiff alleging employment discrimination can
survive a motion to dismiss under Rule 12(b)(6).”); cf. Hamid v. John Jay Col. of
Crim. Justice, No. 99-Civ-8669 WK, 2000 WL 666344, *4 (S.D.N.Y. May 19,
2000) (pre-Twombly/Iqbal decision denying motion to dismiss employment
discrimination count for failure to state a claim where “[r]eading the complaint
expansively, . . . plaintiff accuses defendants of holding to a „traditional‟ academic
(continued…)
24
We also are satisfied that Dr. Poola sufficiently pled a nexus between the
adverse employment actions and the alleged discriminatory motives. In that
regard, the decision by the Seventh Circuit in Swanson v. Citibank, N.A., 614 F.3d
400 (7th Cir. 2010), is instructive. The Seventh Circuit squarely rejected the
notion that Twombly and Iqbal require a connect-all-the-dots approach at the
pleadings stage. See 614 F.3d at 404-05. The case pertained to alleged
discrimination in violation of the Fair Housing Act, not to employment
discrimination, but the court explained its reasoning by using an analogy positing
an employment-discrimination complaint:
A plaintiff who believes that she has been passed over for
a promotion because of her sex will be able to plead that
she was employed by Company X, that a promotion was
offered, that she applied and was qualified for it, and that
the job went to someone else. That is an entirely
(…continued)
alignment infected with racism,” that allegedly led the college to remove him as
the principal investigator on a research grant; stating that “[t]rial courts should be
cautious about granting summary judgment to an employer [at the very early stage
of a lawsuit] where . . . the employer‟s intent is at issue . . . [and] before plaintiff
has had the chance to probe [through discovery] the College‟s . . . system for
making employment decisions that is not amenable to scrutiny and is perhaps
infused, at least in part, by illegitimate considerations”); see generally William H.
J. Hubbard, A Fresh Look at Plausibility Pleading, 83 U. CHI. L. REV. 693, 722
(Spring 2016) (observing that with respect to claims such as the “elaborate antitrust
claims . . . brought in Twombly,” “[p]recisely because the plaintiff‟s theory of the
case is fairly complex, plausibility requires a [higher] degree of factual detail” than
is necessary to draft a plausible complaint in an employment discrimination case).
25
plausible scenario, whether or not it describes what
“really” went on in this plaintiff‟s case. A more complex
case involving financial derivatives, or tax fraud that the
parties tried hard to conceal, or antitrust violations, will
require more detail, both to give the opposing party
notice of what the case is all about and to show how, in
the plaintiff‟s mind at least, the dots should be connected.
Id.; see also George v. Roush & Yates Racing Engines, LLC, No. 5:11CV00025-
RLV, 2012 WL 3542633, *4 (W.D.N.C. Aug. 16, 2012) (“It is true, as Defendant
suggests, that Plaintiff ultimately bears the burden of showing a connection
between the employment action and the alleged [derogatory] remarks,” i.e.,
plaintiff “must produce evidence that clearly indicates . . . a nexus between [a
discriminatory attitude at the workplace] and the employment action[,]” but “it is
inappropriate to apply [that] summary judgment standard at the pleading stage.”
(internal quotation marks omitted)); Vega, 801 F.3d at 86 (“Because discrimination
claims implicate an employer‟s usually unstated intent and state of mind, rarely is
there direct, smoking gun, evidence of discrimination[;] [i]nstead, plaintiffs usually
must rely on „bits and pieces‟ of information to support an inference of
discrimination, i.e., a „mosaic‟ of intentional discrimination.” (internal quotation
marks and citations omitted)).10
10
We agree with one commentator that to adopt a more exacting
interpretation (such as appellees urge), i.e., to hold that “factual allegations of
discriminatory intent must be fully fleshed out and explicitly connected with . . .
(continued…)
26
Dr. Taylor makes an additional argument as to why the court was correct to
dismiss Dr. Poola‟s DCHRA claim against him: that he was not an employer
within the meaning of the DCHRA and therefore cannot be found liable under the
statute. We disagree. The DCHRA definition of an “employer” (both currently
and at the times relevant to this dispute) includes “any person who, for
compensation, employs an individual . . . [and] any person acting in the interest of
such employer, directly or indirectly . . . .” D.C. Code § 2-1401.02 (10) (2012
Repl.). An individual may be classified as an employer for purposes of the
DCHRA if, for example, he is a manager who “acted in the interest of [the]
employer,” who either “perpetrated” or “witnessed and failed to stop” alleged
discriminatory acts, “or to whom [the employee] complained without success
about, the [alleged] discriminatory acts.” Smith v. Café Asia, 598 F. Supp. 2d 45,
48-49 (D.D.C. 2009).11 Dr. Poola‟s Amended Complaint did not specifically
(…continued)
the „adverse employment consequences‟” at the motion to dismiss stage, would be
“an onerous burden to place on a plaintiff in the first step of litigation and is
unwarranted in light of the high value of adjudicating intent-based violations of”
the right to be free from invidious discrimination. Tanvir Vahora, Working
Through a Muddled Standard: Pleading Discrimination Cases After Iqbal, 44
COLUM. J. L. & SOC. PROBS. 235, 261 (2010).
11
See also Mitchell v. Amtrak, 407 F. Supp. 2d 213, 241 (D.D.C. 2005)
(observing that allowing a DCHRA claim against individual management and
(continued…)
27
identify Dr. Taylor‟s position (as noted above, the summary judgment record
indicates that he was Dean of the University‟s College of Medicine from 2005
through 2011, including at the times Dr. Poola was denied re-appointment and
denied access to her laboratory and office), but it did describe his role in deciding
to deny Dr. Poola‟s re-appointment to the Surgery Department (“demand[ing] that
Dr. Poola‟s appointment [to the Biochemistry Department] be denied”) and in
March 2011, denying the request by the Chair of the Physiology Division for a
position for Dr. Poola in that Division. The Amended Complaint also alleged that
Dr. Poola sent letters to “the Dean of the College of Medicine” and other
University officials stating her concerns about abandoning her active grants and
her desire to remain at the University, and that, although Dr. Taylor signed a letter
approving a 90-day reappointment of Dr. Poola, “he denied [her] access to the
facility.” The Amended Complaint thus alleges that Dr. Taylor acted on behalf of
the University with respect to her appointment (or denial thereof), that he
perpetrated or directed alleged discriminatory acts, and that he was an official to
whom Dr. Poola complained without success. For these reasons, the issue of
whether Dr. Taylor actually fit the DCHRA definition of “employer” could not be
(…continued)
supervisory employees involved in committing the allegedly discriminatory
conduct is consistent with the status of the DCHRA as a remedial statute that
“„must be generously construed‟”).
28
resolved against Dr. Poola at the pleadings stage, see Café Asia, F. Supp. 2d at 49,
and therefore the argument appellees raised about his status did not warrant
dismissal of Dr. Poola‟s DCHRA claim against him.
For the foregoing reasons, we agree with Dr. Poola that the court erred in
dismissing her DCHRA claims against Dr. Taylor and the University before Dr.
Poola had an opportunity to conduct discovery in an effort to prove her claims
about adverse employment actions motivated by an unlawfully discriminatory
animus.
III. The Conversion and Negligence Claims
Dr. Poola next argues that the court erred in entering partial summary
judgment for the University on her claims of conversion (Amended Complaint
Count IV) and negligence (Count V). Specifically, she argues that the court erred
in concluding that she “had no property interest in physical property deriving from
her grant funds” and in concluding that her “research was „work for hire,‟” such
that she was “precluded from asserting a property interest in the work.”
29
A. Background
The following background is pertinent to Dr. Poola‟s argument. Dr. Poola
attached to her Supplemental Opposition to the University‟s Motion for Partial
Summary Judgment a list of property that she claims she was forced to abandon
when she was denied access to her former laboratory and offices at the University.
Dr. Poola listed the property under three category headings: (i) “Personal
property”; (ii) “Property purchased with grants funded for Dr. Poola‟s research
ideas and proposals that were awarded to Dr. Poola as the Principal Investigator”
or “Property purchased with grants funds to Dr. Poola as the Principal Investigator
for research ideas and proposals prepared by Dr. Poola”; and (iii) “Work Products”
(a category in which Dr. Poola included, for example, “biomedical samples,” “gene
clones,” genes and cells “in expression vector stored as freezes,” DNA and RNA
from “breast cancer cell lines,” non-cancerous breast tissues and breast cancer
tissues, antibody preparations, research data books, and unpublished research data).
In a very abbreviated October 15, 2013, written order, Judge Ross granted the
University‟s motion for partial summary judgment with respect to “any items
derived from grant funds.” In an April 14, 2014, ruling from the bench, Judge
Ross declared that “all that [wa]s left of the case” were Dr. Poola‟s claims that the
University converted and negligently handled items of Dr. Poola‟s personal
30
property. He then issued an April 22, 2014, pre-trial order describing the matter
for trial as “an action by Dr. Poola for any personal property she left at Howard
University at the conclusion of her employment.” Thereafter, on October 7, 2014,
Dr. Poola dismissed “with prejudice” her “claims set for trial” before Judge Ross,
i.e., her claims pertaining to her personal property.
B. Standard of Review
This court reviews a trial court‟s grant of a motion for summary judgment de
novo. See Steele v. Salb, 93 A.3d 1277, 1281 (D.C. 2014). Summary judgment is
proper where the record shows that there is no genuine issue of material fact in
dispute and that the moving party is entitled to judgment as a matter of law. See
Hubb v. State Farm Mut. Auto. Ins. Co., 85 A.3d 836, 839 (D.C. 2014); Super. Ct.
Civ. R. 56 (c). In reviewing a grant of summary judgment, we view the record in
the light most favorable to the non-moving party.12 See Jaiyeola v. District of
Columbia, 40 A.3d 356, 361 n.9 (D.C. 2012).
12
Here, in reviewing the record in the light most favorable to the non-
moving party, we accept Dr. Poola‟s categorization of the items she claims she was
forced to leave behind.
31
C. Analysis of the Conversion Claim
1. Equipment and Supplies Purchased with Grant Funds
In seeking summary judgment with respect to Dr. Poola‟s claims based on
“items derived from grant funds,” the University cited (and its cites again in its
brief to this court) Komen documents that identify the University as the “Grantee
Institution” and Dr. Poola as the “Principal Investigator,” and which state that title
to “equipment purchased during the term of a Komen-funded project,” while
“intended for the use of the [Principal Investigator],” “shall be vested in the
Grantee Institution[.]”13 The Komen documents further provide that “[u]pon
completion of the project, all equipment purchased during the term of the Komen-
funded project shall remain at the Grantee Institution” (although, with prior written
approval from Komen, “in the event of [a Grantee Institution-] approved transfer of
a Grant to another institution [upon the Principal Investigator‟s Change of
13
Dr. Poola averred that, to the best of her knowledge, the Komen
documents, though not all from the time period of the grant under which she was
working when she was expelled from the University, are “materially identical” to
Komen documents that governed the grant (documents relating to which she
asserts were among the possessions to which she was denied access).
32
Institution Request], the equipment necessary for the continuation and success of
the project may be transferred to the new institution”).
Addressing Dr. Poola‟s conversion claim as it pertains to equipment derived
from DoD grant funds, the University cited Office of Management and Budget
Circular A-110 (“Circular A-110”), which applies generally to all federal agency
grants to non-profit organizations (such as the University). 14 Circular A-110
defines a recipient as “an organization receiving financial assistance directly from
Federal awarding agencies to carry out a project or program” (italics added). It
then states that “[t]itle to equipment acquired by a recipient with Federal funds
shall vest in the recipient”15 and likewise that “[t]itle to supplies and other
expendable property shall vest in the recipient upon acquisition.” “Supplies” is
defined to include “all personal property excluding equipment, intangible property,
14
OFFICE MGMT. & BUDGET, OMB CIRCULAR NO. A-110, UNIFORM
OF
ADMINISTRATIVE REQUIREMENTS FOR GRANTS AND AGREEMENTS WITH
INSTITUTIONS OF HIGHER EDUCATION, HOSPITALS, AND OTHER NON-PROFIT
ORGANIZATIONS (1999). The University‟s “Sponsored Program Equipment
Management Policy,” which is included in the record, incorporates Circular A-110
by reference.
15
Circular A-110 defines “equipment” as “tangible nonexpendable personal
property including exempt property charged directly to the award having a useful
life of more than one year and an acquisition cost of $5000 or more per unit.” See
also 32 C.F.R. § 32.2 (Westlaw, through Sept. 1, 2016) (DoD regulation defining
“Equipment”).
33
and debt instruments” and certain “inventions of a contractor[.]” Circular A-110
states, however, that “[i]f any statute specifically prescribes policies or specific
requirements that differ from the standards provided herein, the provisions of the
statute shall govern.” Further, DoD regulations governing research grants provide
that the DoD regulations shall control to the extent that they are inconsistent with
Circular A-110. See 32 C.F.R. § 32.3 (Westlaw, through Sept. 1, 2016). Both
Circular A-110 and DoD regulations allow the agency to make “deviations” from
standard practice. See 32 C.F.R. § 32.4 (Westlaw, through Sept. 1, 2016).
The court‟s comments from the bench during an October 1, 2013, hearing on
the University‟s motion summary judgment reveal why the court entered partial
summary judgment in favor of the University on Dr. Poola‟s conversion claim as it
pertains to equipment and supplies purchased with grant funds. At the hearing, the
court cited the Komen documents and Circular A-110 and reasoned that under both
grant programs, the University, as a Komen “Grantee Institution” and as a DoD
grant “recipient,” is the owner of any property purchased with Komen or DoD
funds.16 To avoid summary judgment on her claims with respect to the equipment
16
The University asserts that the court‟s ruling was compelled by this
court‟s decision in Trustees of the Univ. of the Dist. of Columbia v. Vossoughi, 963
A.2d 1162 (D.C. 2009), but we believe that Vossoughi cannot be read so broadly.
We noted in Vossoughi that under (unspecified) federal regulations and National
(continued…)
34
that she acknowledged was purchased with grant funds, Dr. Poola was obligated to
come forward with documents or other evidence to prove, as to any equipment to
which the University allegedly denied her access and that was purchased with
Komen or DoD grant funds (or other grant funds), that she owned (or, arguably, at
least had a superior possessory interest in) the equipment.17 She “was not entitled
(…continued)
Science Foundation (“NSF”) policy, the grants under which Dr. Vossoughi, a
professor and researcher at the University of the District of Columbia (“UDC”),
did research were “awarded to a recipient institution” and “title to grant-funded
property vests in the institutional grantee.” Id. at 1167. We reasoned that because
Dr. Vossoughi “admittedly utilized grant funds (or, conceivably, other university
funds) to acquire the articles he purchased from commercial sources while he was
at UDC[,]” “UDC would have been entitled to partial judgment as a matter of law
[on Dr. Vossoughi‟s claim of conversion of that property and other related claims]
with respect to those . . . purchased articles . . . had it specified them in its Rule 50
motion.” Id. at 1180. That premise does not, however, necessarily apply with
respect to items purchased with Komen and DoD grant funds (as opposed to the
unspecified government agency funds or NSF funds involved in Vossoughi).
17
The elements of the tort of conversion are “[1] an unlawful exercise, [2]
of ownership, dominion, and control, [3] over the personalty of another, [4] in
denial or repudiation of his right to such property.” Blanken v. Harris, Upham &
Co., 359 A.2d 281, 283 (1976) (numerals added). Thus, to prevail on a claim of
conversion with respect to items of property, a plaintiff must have a legal interest
in the property. See Samm v. Martin, 940 A.2d 138, 141 (D.C. 2007). Some
courts have held that a defendant commits the tort of conversion if he takes
“wrongful control or dominion over another‟s personal property in denial of or
inconsistent with that person‟s possessory right to the property.” Kendall/Hunt
Pub. Co. v. Rowe, 424 N.W.2d 235, 247 (Iowa 1988).
Dr. Poola argues that she applied for and was awarded the Komen and DoD
grants, had contractual relationships with the granting agencies, was required to
sign amendments to and financial reports about the grants, and had a right to use
(continued…)
35
to wait until trial to develop” or present the necessary evidence that the equipment
purchased with grant funds belonged to her. See Aziken v. District of Columbia, 70
A.3d 213, 223 (D.C. 2013) (internal quotation marks omitted). She did not meet
her burden; as the University argues, she identified no statute, regulation, guideline
or other authority to support her claim of an ownership interest in equipment
purchased with Komen or DoD grant funds. She also has not shown that DOD
made “deviations” from standard practice, 32 C.F.R. § 32.4. She refers in her brief
to “mutually explicit understandings” between the University and herself regarding
her entitlement to the grants, but has not identified or documented any purported
mutual understanding regarding grant-funded equipment. We therefore cannot
conclude that the court erred in ruling that Dr. Poola did not have an actionable
(…continued)
the grant-funded items to perform her research, but none of that is equivalent to a
property interest in the equipment purchased with grant funds.
That said, Dr. Poola‟s claim that she had an ownership interest in at least
some of the equipment left in her laboratory and offices at the University is not
patently frivolous. According to the Amended Complaint, she had grants from
four funding entities in addition to Komen and DoD during her tenure at the
University, including other research foundations — entities whose policies with
respect to equipment purchased with grant funds are not disclosed in the record.
However, in opposing the University‟s motion for partial summary judgment, Dr.
Poola did not specifically assert that she was forced to leave behind equipment
purchased with funds from such other foundation grants.
36
interest in any equipment purchased with Komen or DoD grant funds.18 We reach
the same conclusion regarding “supplies and other expendable property” purchased
with DoD grant funds given that Circular A-110 declares that title to the same
“shall vest in the recipient upon acquisition.”19
18
Cf. Pemrick v. Stracher, No. 92-CV-959, 2007 WL 1876504, *12, 13
(E.D.N.Y. June 28, 2007) (stating, in case in which former State University of New
York (SUNY) research professor alleged conversion of laboratory equipment, that
under applicable federal regulations, “it is clear that title to the equipment
purchased with grant funds lies with the [SUNY] Research Foundation” and that
“[a]lthough plaintiff argues that she is the owner of the equipment because it was
purchased with funds from a [NIH] grant for which she was the Principal
Investigator, she offers no legal authority to support her claim of title”); Abbs v.
Sullivan, 756 F. Supp. 1172, 1182 (W.D. Wis. 1990) (holding that “[a]s to the
current grants, [plaintiff university professor] is not the grantee and can claim no
property rights in the funding for these [Public Health Service] grants”; rather,
“[p]ursuant to [federal regulations], the [university] Board of Regents is the
grantee of the awards”), vacated on jurisdictional grounds, 963 F.2d 918, 928 (7th
Cir. 1992).
As noted above, Komen policy documents contained in the record indicate
that if the Principal Investigator transfers to another institution, equipment
necessary for the project may be transferred to the new institution. This provision
suggests that the University does not have an outright or irrevocable ownership
interest in equipment purchased with Komen funds. It does not, however, establish
that Dr. Poola, who has not shown that she transferred to a new institution, has a
superior ownership or possessory claim adequate to support her claim of
conversion.
19
See ThermoGen, Inc. v. Chou, No. 98-C-1230, 1998 WL 246395, *2-3
(N.D. Ill. Apr. 30, 1998) (citing HHS regulations that incorporate the provisions of
Circular A-110 with respect to title to equipment and supplies and holding that,
“[b]y virtue of these regulations and subject to express conditions, ThermoGen [the
institutional applicant under a NIH grant] is the sole title holder to all equipment
and supplies purchased with the federal grant funds” and that “[t]he terms and
(continued…)
37
The Komen documents do not address title to supplies purchased with
Komen grant funds, but do distinguish “equipment” from “supplies,” and thus
indicate that not all items purchased with Komen grant funds constitute
“equipment” (title to which “vest[s] in the Grantee Institution”). Further, Komen
documents contained in the record that pertain specifically to grants for which Dr.
Poola was the Principal Investigator indicate that Dr. Poola‟s budgeted
expenditures for “supplies” for the years to which the documents relate far
exceeded her budgeted expenditures for “equipment” (which are shown as zero on
the documents included in Dr. Poola‟s Appendix), suggesting that the lion‟s share
of items purchased with Komen grant funds were non-equipment items. As
discussed above, the court relied on the Komen and OMB Circular A-110 policies
when he broadly removed from the case Dr. Poola‟s claims with respect to “any
items derived from grant funds.” It appears, however, that the Komen equipment
policy was not an adequate basis for rejecting Dr. Poola‟s conversion claim insofar
as it pertains to non-equipment items purchased with Komen grant funds. Also,
while Dr. Taylor submitted an affidavit in support of the University‟s Motion for
Partial Summary Judgment in which he averred that, in his 30 years of experience
(…continued)
conditions . . . nowhere suggest that Chou, in her role as principal investigator,
takes title to equipment or supplies purchased with federal funds”).
38
working as a Principal Investigator on grants at the University, it was University
policy that “any items purchased with grant funds were the property of Howard
University” rather than the property of the Principal Investigator, Dr. Poola
disputes that bare statement. Thus, there exists a factual dispute about title to the
supplies purchased with Komen funds, and we cannot say that the University was
entitled to judgment as a matter of law on Dr. Poola‟s conversion claim insofar as
it is based on any such non-equipment items.
2. “Work Product”
We also cannot uphold the partial summary judgment ruling with respect to
the property that Dr. Poola identified as her “work product” (a category that
appears to include items to which she sometimes refers to as her “intellectual
property derived from grant funds”). Dr. Poola asserts that the court improperly
“concluded that [her] research was „work for hire‟” and that she was “therefore
precluded from asserting a property interest in the work.”
39
It actually is not clear on what basis the court excluded Dr. Poola‟s claims
based on her claimed “work product.”20 The court‟s ruling came during the
October 1, 2013 hearing, when the judge stated without explanation that “[w]ork
product, . . . anything the professor does is the work product of the institution.” He
repeated that unexplained ruling during an April 22, 2014, pre-trial conference;
referring to what Dr. Poola‟s counsel called “things that [Dr. Poola] . . . worked on
during the grant,” the judge said “[a]ll that stuff belongs to Howard University.”
Dr. Poola asserts that it is implicit in the judge‟s ruling that he was
persuaded by the University‟s argument, in its motion for summary judgment, that
the items that Dr. Poola designated “work product” fell within the scope of the
federal copyright-law doctrine known as the “work made for hire” doctrine.21
20
We observe that the record does not support an assumption that all of Dr.
Poola‟s activity in her laboratory was paid for with grant funds. Possibly to the
contrary, the Komen documents in the record indicate that Dr. Poola as Principal
Investigator was to “provide a 10% minimal level of effort” to work under the
grant. The record does not indicate what level of effort was required under the
DoD grant.
21
See 17 U.S.C. § 201 (b) (Westlaw through Pub. L. No. 114-219) (“Works
Made for Hire. In the case of a work made for hire, the employer or other person
for whom the work was prepared is considered the author for purposes of this title,
and, unless the parties have expressly agreed otherwise in a written instrument
signed by them, owns all of the rights comprised in the copyright.”). Citations in
the text to sections of the copyright statute are likewise to the Westlaw version,
current through Pub. L. No. 114-219.
40
However, copyright principles apply only where there is an “original work[] of
authorship.” 17 U.S.C. § 102. The “work product” items Dr. Poola describes
include items such as “slides immunostained with various types of antibodies.”
Such “„useful articles‟ [as distinguished from any design elements they may have]
are not eligible for copyright protection,” Chosun Int’l v. Chrisha Creations, Ltd.,
413 F.3d 324, 328 (2d Cir. 2005), and thus it is not clear why the judge would have
relied on copyright law to dispose entirely of Dr. Poola‟s claims based on her work
product.
Dr. Poola‟s list of “work product” also includes items such as “research data
books” and “unpublished research data.” Data compilations may be a “subject
matter of copyright,” 17 U.S.C. § 103 (a), but only if they entail an organization of
data reflecting the author‟s creative choices about what data to include or exclude
and how to arrange them; there is no copyright protection for facts (including
scientific facts), information, discoveries, raw data, or wholly factual information
not accompanied by any original written expression. See Feist Publ’ns v. Rural
Tel. Serv. Co., 499 U.S. 340, 344-60 (1991). It is not clear from the record, and the
court (if indeed it meant to apply a copyright-law doctrine) did not attempt to sort
out, whether Dr. Poola‟s research data books and unpublished research data
constitute compilations that are subject to copyright law — and thus are possibly
41
subject to the “work made for hire doctrine” — or instead constitute mere raw data,
that are not. And, in any event, “[o]wnership of a copyright . . . is distinct from
ownership of any material object in which the work is embodied.” 17 U.S.C. §
202. As we read Dr. Poola‟s conversion claim, it is based, at least in part, on loss
of the tangible, material objects — e.g., data books — in which her data are
embodied; i.e., her claim does not appear to be about who may publish or control
publication of the data. Thus, it is not apparent how the copyright work-for-hire
doctrine would apply to resolve her claim.
In addition, even if copyright-law doctrines are apposite in this case, the
application of copyright law can, as the parties‟ briefs recognize, involve
complicated questions about, and fact-intensive inquiries into, whether work
product was generated at the “instance and expense of” the employer, Self-
Realization Fellowship Church v. Ananda Church of Self-Realization, 206 F.3d
1322, 1326 (9th Cir. 2000) (stating that for work to be “work made for hire,” “the
motivating factor in producing the work [must have been] the employer who
induced the creation” (internal quotation marks omitted)); and complicated
questions about, and fact-intensive inquiries into, the nature and scope of the work
relationship and the employer‟s right to control the manner in which the work is
done. See, e.g., Law Enforcement Training & Research Assoc. v. San Francisco,
42
Nos. 90-15482 & 90-15638, 1991 WL 172416, *1-2 (9th Cir. Sept. 4, 1991)
(holding “[t]hat [a work] derived from the employment relationship is not
sufficient to render the text a „work for hire,‟” and “[t]here is no presumption that a
work was created within the scope of an employment relationship”). If the court
concluded that Dr. Poola‟s claimed “work product” belongs to the University, and
not to her, on the basis of the copyright “work made for hire” doctrine, it erred in
doing so without addressing these complexities and resolving the issues they
present.
In the memorandum of points and authorities in support of its motion for
partial summary judgment, the University cited the “Howard University
Intellectual Property Policy” as another basis for judgment in its favor, asserting
that under the policy purportedly set forth in that document, Dr. Poola “had no
ownership of any research she may have conducted on [the University‟s]
premises.” However, we see in the record no such policy document (and, in its
brief to this court, the University has not re-asserted an argument about a “Howard
University Intellectual Property Policy”).22 Dr. Poola asserted in her declaration
22
A University document in the record states that “[a]ll equipment at
Howard University is managed in accordance with the Materials Management
Department‟s Property and Equipment Management Policy,” but that document
(continued…)
43
that the University “recognized that [her] research was [her] intellectual
property[,]” thus creating an issue of fact that precluded summary judgment on the
basis of the University‟s putative policy. Moreover, it is far from plain that
everything Dr. Poola identifies as her “work product” (which, again, includes items
such as biomedical samples, gene clones, genes and cells in expression vector
stored as freezes, DNA and RNA from breast cancer cell lines, non-cancerous
breast tissues and breast cancer tissues, and antibody preparations) constitutes
“intellectual property.”23
It appears that the University may have a right to retain any of Dr. Poola‟s
research data that were generated under the DoD grant if the data resulted in
published research findings “that were used by the Federal Government in
developing an agency action that has the force and effect of law[.]” Circular A-
(…continued)
also is not in the record, so we do not know what it says about management of
“Property.”
23
Cf. Nadal-Ginard v. Children’s Hosp. Corp., No. 94-3782 E, 1995 WL
1146118, *9 (Mass. Super. Ct. Dec. 1, 1999) (granting summary judgment for the
defendant on plaintiff‟s conversion and negligence claims insofar as they applied
to intellectual property, but denying summary judgment on those counts insofar as
they were based on plaintiff‟s allegations that the defendant destroyed “physical
property in the form of biological specimens [that were “being kept in a locked
freezer”], the record-keeping system relevant to these specimens, and computer
disks containing scholarly papers”).
44
110, § __.36 (d)(1). Circular A-110 provides that, as the grant recipient, the
University “shall provide” such research data to the federal government if
necessary for the government to respond to a Freedom of Information Act request.
Circular A-110, § __.36 (d)(2)(i). However, under the Circular, “research data”
does not include physical objects such as “laboratory samples.” Id. The court did
not resolve whether and how these provisions apply to the “work product” Dr.
Poola claims she was forced to leave behind.
In short, the summary judgment record does not negate as a matter of law
Dr. Poola‟s claim to ownership of the various items she refers to as her “work
product.” In that regard, the summary judgment record in this case is similar to the
trial record in Vossoughi, 963 A.2d 1162. Dr. Vossoughi sued UDC for
conversion, negligence and trespass to chattels after UDC first directed him to
vacate his laboratory because the space was needed for other university programs,
and then, without his knowledge, cleaned out the laboratory, destroying property
that included scientific instruments and other equipment, voluminous teaching
materials developed by Dr. Vossoughi, his unpublished research data, and other
items. Id. at 1167-72. As discussed supra in note 16, this court‟s opinion
acknowledged that according to applicable federal regulations and the evidence
presented at trial about the grants that funded Dr. Vossoughi‟s research at UDC,
45
“title to grant-funded property vest[ed] in the institutional grantee.” Id. at 1167.
Importantly, however, we observed that “the evidence at trial did not establish that
all the property acquired by Dr. Vossoughi at UDC,” such as “research data he
collected or generated” there, “was derived from grant funds.” Id. at 1180. We
thus recognized the possibility that data collected or generated by a professor in the
course of his grant-funded work at a university are not necessarily — i.e., are not
as a matter of law — data “derived” from grant funds.
Consistent with our reasoning in Vossoughi, we conclude that the University
did not establish that it was entitled to judgment as a matter of law on Dr. Poola‟s
claims regarding her “work product,” given that all the summary judgment record
showed with respect to those items of property is that Dr. Poola collected or
generated them while she was employed by the University. For that reason, and all
the foregoing reasons, we conclude that the court erred in granting judgment to the
University on Dr. Poola‟s conversion claim insofar as it related to the property she
identified as her “work product.” A remand and further proceedings are required
for the trial court adequately to address Dr. Poola‟s conversion claim.
46
D. Analysis of the Negligence Claim
We reach a similar conclusion as to Dr. Poola‟s negligence claim. “[A]
claim alleging the tort of negligence must show: (1) that the defendant owed a
duty to the plaintiff, (2) breach of that duty, and (3) injury to the plaintiff that was
proximately caused by the breach.” Hedgepeth v. Whitman Walker Clinic, 22 A.3d
789, 793 (D.C. 2011). To prevail on her negligence claim, Dr. Poola must prove
that the University owed her a duty to safeguard the property she allegedly was
forced to leave behind. According to a Komen document in the record, as
Principal Investigator, Dr. Poola shared with the University “complete
responsibility for all aspects of the research, investigation, funding and
administration of or in connection with the grant award.” At least arguably, this
included responsibility to assure that materials used in research under the grant
were safeguarded, stored at proper temperatures, protected from tampering, etc.,
duties Dr. Poola could not fulfill while she (allegedly) was denied access to her
laboratory. The court did not specifically consider whether the summary judgment
record supported a judgment as a matter of law that the University had no duty to
Dr. Poola with respect to property in her former laboratory or offices at the
University even if she did not own the property (such as a duty not to interfere
unreasonably with her carrying out of her responsibilities to the grant funders), or
47
that the University fulfilled any such duty. Accordingly, we also cannot uphold the
court‟s ruling summarily dismissing the negligence claim.24
IV. The Protective Order
Dr. Poola raises as her final issue on appeal whether the court “properly
granted [the] University‟s protective order prohibiting [her] from inspecting
physical and intellectual property derived from grant funds located at [the]
University simply because [he] concluded that she did not have a property interest
in the property, despite the property‟s relevance to her damages and claims of
tortious interference and breach of contract.” In an April 24, 2013, written order,
the court granted the University‟s motion for a protective order on several grounds:
because Dr. Poola proposed a “particularly disruptive „fishing expedition‟” to
“inspect and identify „her property‟” (the quotations surrounding “her property”
appearing to reflect the court‟s skepticism about Dr. Poola‟s claim to ownership);
24
Further, we cannot agree that summary judgment was warranted on the
ground, asserted by the University in its motion for protective order and in the
parties‟ Joint Pre-Trial Statement, that Dr. Poola “abandoned her alleged property”
by failing to respond to a request by the University in December 2011 that she
itemize the property she left behind. Dr. Poola denied having received any such
request. The court did not rule on the abandonment claim, which raises factual
issues (e.g., about “intent to abandon,” Kearns v. McNeill Bros. Moving & Storage
Co., 509 A.2d 1132, 1136 (D.C. 1986)) that cannot be resolved in this appeal.
48
because Dr. Poola “fails to identify what she seeks”; because Dr. Poola did not
explain why other methods of discovery, “such as asking the Defendant to produce
photographs of the yet to be identified items [would not suffice]”; and because two
years had passed since Dr. Poola‟s termination, she did not challenge the
University‟s assertion that the premises were occupied and operational, and there
was “little reason to believe that [the items of property] would be in the same
condition today as they were when Plaintiff left or that they would contain the
same property.” Dr. Poola filed a motion asking the court to reconsider its ruling
and explained to the court during a hearing on that motion that, as part of her
Super. Ct. Civ. R. 26 (a) discovery in the case, Dr. Poola needed to have an expert
inspect the condition of the property in order to assess the value of the items of
which she had been deprived.
“[A] trial court discovery order . . . will be disturbed only for an abuse of
discretion.” Kay v. Pick, 711 A.2d 1251, 1256 (D.C. 1998). We have observed
that “[i]t is a rare circumstance where we find an abuse of discretion in the context
of discovery disputes because we are appropriately reluctant to substitute our
judgment for that of the trial court.” Featherson v. Education Diagnostic Inst.,
Inc., 933 A.2d 335, 338 (D.C. 2007). “Nevertheless, this court has found that a
trial court abuses its discretion where the trial court‟s ruling on a discovery matter
49
is based on erroneous legal reasoning or mistake of fact.” Id. We conclude that
such was the case here.
The court cited a number of factors as its initial basis for granting the
protective order, and, in denying the motion to reconsider on October 15, 2013,
explained that his ruling was based on the “entire record, including the comments
of the Court in open Court on the record at two hearings to consider this issue.”
The court‟s colloquy with counsel during the October 13, 2013, hearing reveals a
portion of his rationale. The court understood that Dr. Poola sought the inspection
in order to “go through [the University‟s] premises to determine what‟s [her]
property” and commented that, in alleging conversion, she should “know[] what
[her] property is.”25 The court scoffed at counsel‟s explanation that Dr. Poola
needed to have an expert “see the condition of the property [including “work
product”] and [determine] whether it‟s deteriorated some or whether it‟s even
usable[,]” in order to “assess the value of [the] property [of which] she‟s been
deprived” (telling Dr. Poola‟s counsel that his argument was “just filibuster”).
25
The court‟s comment was not entirely unwarranted because, in her
written opposition to the University‟s protective order motion, Dr. Poola did say
that the purpose of the inspection she sought was both to “determine the ownership
of the property” and “to reasonably calculate Plaintiffs‟ losses and damages.”
50
The court was correct in implicitly recognizing in its written order granting
the protective order that it was required, in exercising discretion, to balance Dr.
Poola‟s need for the requested inspection against the burden to the University. See
Super. Ct. Civ. R. 26 (c); see also Belcher v. Bassett Furniture Indus., 588 F.2d
904, 908 (4th Cir. 1978). But it appears that the court failed to recognize that in a
case such as this where the condition of the property held by the defendant is in
issue (Dr. Poola alleged, inter alia, that the University “failed . . . to safeguard” the
property she left behind when she was locked out of her laboratory and offices, and
she sought damages representing the value of the lost or deteriorated items), an
inspection of the property may be warranted. Given that apparent
misapprehension, as well as the court‟s too-hasty declaration that all of Dr. Poola‟s
claimed “work product” belongs to the University,26 we are persuaded that the
court did not appropriately exercise its discretion when it granted the protective
order. That is especially true in light of the fact that the University filed a July 12,
2013, praecipe and affidavit acknowledging that it had in its possession in
specified laboratory rooms (and also listing) many of the items that Dr. Poola
included on the list of property she attached to her responses to the University‟s
26
We note that during the hearing on the University‟s motion for partial
summary judgment, Dr. Poola‟s counsel expressed concern that the court was
attempting to “rush through this motion” rather than giving the parties “enough
time to thoroughly hash out these issues.”
51
interrogatories (and that she included again on the categorized list of items she
filed on October 11, 2013). In addition, we are skeptical about whether the court
had an adequate basis for assuming that it would have sufficed to have the
University produce photographs of the items (some of which may be microscopic)
or that at least some of the property (e.g., “work product” items that Dr. Poola
allegedly stored in a “-80C freezer”) would not be in the “same condition today as
they were when Plaintiff left[.]” For these reasons, we vacate the order granting
the protective order and instruct the trial court to reconsider the motion for
protective order in light of this opinion and the circumstances as they exist upon
the remand that we order.
V.
For the foregoing reasons, we uphold the trial court‟s rulings granting the
motion to dismiss Dr. Poola‟s DCHRA claims against Dr. Frederick and Dr.
Cornwell, but reverse the judgment dismissing her DCHRA claims against Dr.
Taylor and the University. We uphold the partial summary judgment ruling insofar
as it pertains to Dr. Poola‟s claim that the University converted equipment
purchased with Komen or DoD grant funds, or supplies and other expendable
property purchased with DoD grant funds. We reverse the grant of partial
52
summary judgment in favor of the University on Dr. Poola‟s conversion claim
insofar as the claim relates to non-equipment items purchased with Komen funds
or to items that Dr. Poola has designated as her “work product.” We reverse the
grant of summary judgment as to Dr. Poola‟s negligence claim. We remand the
matter of the protective order for further proceedings consistent with this opinion.
So ordered.