50 Mass. App. Ct. 480

Mary Kellie Beaupre vs. Cliff Smith & Associates & another.1

No. 98-P-100.

Middlesex.

May 5, 2000.

November 16, 2000.

Present: Kass, Laurence, & Duefly, JJ.

*481Raymond J. Reed for Cliff Smith & Associates.

Paul M. Stein for Clifford F. Smith.

Laura R. Studen (John G. DiPiano with her) for the plaintiff.

Laurence, J.

The defendants, Cliff Smith & Associates (CSA)2 and Clifford F. Smith (CSA’s president and controlling shareholder), appeal from verdicts and damage awards by a Superior Court jury in favor of a former employee, the plaintiff, Mary Kellie Beaupre. The plaintiff had commenced suit in April, 1993, on a complaint alleging that her discharge from CSA in September, 1992, was motivated by unlawful sex discrimination in violation of G. L. c. 151B, § 4,3 in the form of sexual harassment of both the “quid pro quo” and “hostile work environment” varieties (see G. L. c. 151B, § 1[18]; Ramsdell v. Western Mass. Bus Lines, Inc., 415 Mass. 673, 677 [1993]; Meritor Sav. Bank v. Vinson, 477 U.S. 57, 65-66 [1986]).4 The defendants as*482sign several errors on appeal: the judge’s supposed limitation of their peremptory jury challenges; the judge’s allowance at trial of previously undisclosed expert opinion testimony by the plaintiff’s treating psychiatrist; the judge’s denial of their motions for directed verdict and judgment notwithstanding the verdict (challenging the sufficiency of the plaintiff’s sexual harassment case); the verdict of individual liability against Smith; and the excessiveness of the damage awards generally, and the award of punitive damages against Smith individually in particular. We affirm.

1. Peremptory challenges. The defendants assert that they were erroneously deprived of four peremptory challenges during jury empanelment.5 The record, however, does not support their contention. Indeed, they did not properly preserve the is*483sue for appeal. The record reflects no statement or action by the judge regarding the number of challenges each party was allowed, nor the judge’s rejection of any attempted exercise of additional challenges by the defendants, nor any defense objection to any aspect of the jury selection process. For all we know from the record, had either of the defendants v/ished to challenge additional jurors peremptorily, the judge would have allowed it. Their appellate claim that any further challenges by them would have been futile is entirely speculative. That they essayed no such additional challenges more likely shows that they in fact had none. The record reveals that both CSA and Smith informed the judge that they were content with the jury. Nothing on the record suggests any error or abuse with respect to the “trial judge[‘s] . . . large degree of discretion in the jury selection process.” Commonwealth v. Benjamin, 430 Mass. 673, 675 (2000).6

Moreover, “the denial of the correct number of peremptory challenges [does not] constitute^ by itself ground for reversal . . . .” Andras v. Marcyoniak, 13 Mass. App. Ct. 1043, 1043 (1982). Neither CSA nor Smith has shown, as they must even if an error in this regard occurred, that “the ruling affected the jury’s verdict in some material way.” Id. at 1044. The lack of the requisite prejudice is seen in the failure of CSA and Smith to demonstrate that either defendant “was required to accept one or more jurors whom he wished to challenge . . . .” Ibid., quoting from Tamburello v. Welch, 392 S.W.2d 114, 116 (Tex. 1965).

2. Expert testimony. The defendants point out that the plaintiff’s treating psychiatrist, Dr. Compaine, was not *484designated an expert during discovery or at any other time prior to trial. In the parties’ joint pretrial memorandum, the plaintiff affirmatively represented that she had no expert witnesses. On the seventh day of trial, however, the judge allowed the plaintiff to question Dr. Compaine both as an expert and as her treating physician, over the defendants’ objection that the plaintiff had not previously identified him as an expert. Dr. Compaine went on to testify not only to his diagnosis and treatment of the emotional and physical problems that the plaintiff had presented in the wake of her leaving CSA, but also to the general characteristics displayed by persons in abusive relationships, including lack of free will. He opined, based on what the plaintiff had told him and the symptoms she manifested, that she appeared to lack free will in the context of an abusive relationship. This, the defendants contend on appeal, constituted prejudicial surprise.7

We are not unsympathetic to the defendants’ indignation at the plaintiff’s cavalier violation of the procedural rules with respect to her expert.8 The defendants’ appeal nonetheless falters in not coming to grips with either the applicable standards of *485review or their failure to discharge the basic obligation of litigants seeking appellate relief to make and preserve proper objections at trial.

The extensive discretion of trial judges with respect to both the process of discovery and the admission of evidence, particularly expert testimony,9 and the great deference appellate courts accord the rulings of trial judges in these areas are too well established to require citation. The defendants have not demonstrated that the judge’s decision to allow Dr. Compaine to testify as an expert in mid-trial constituted an abuse of that broad discretion; or that, even if the judge erred in his exercise of discretion in these matters, prejudicial error ensued. See Commonwealth v. Francis, 390 Mass. 89, 99 & n.6 (1983); Commonwealth v. Medeiros, 395 Mass. 336, 351 (1985); Solimene v. B. Grauel & Co., KG, 399 Mass. 790, 799 (1987).10

The defendants have cited to, and we know of, no case in which a trial judge’s discretionary admission (or exclusion) of belatedly offered and previously unidentified expert testimony has been reversed by our appellate courts, notwithstanding any violation of discovery obligations or pretrial orders. Moreover, it is clear that they knew well prior to trial that Dr. Compaine would be the plaintiff’s key witness. They had subpoenaed all his treatment notes and they had deposed him, thereby having had the opportunity to obtain the substance of his testimony.11 We conclude that “[ajbsent here [was] the sort of unfair surprise *486which [the discovery rules] spekQ to prevent.” Resendes v. Boston Edison Co., 38 Mass. App. Ct. 344, 351 (1995).

Further subversive of their claim of unfair surprise or prejudice are the facts that the defendants (a) did not request a continuance, thereby indicating that there was nothing further to investigate regarding Dr. Compaine, that they were prepared to cross-examine him, and that their own expert was ready to counter opinions favorable to the plaintiff’s case, see Giannaros v. M.S. Walker, Inc., 16 Mass. App. Ct. 902, 902 (1983); Resendes v. Boston Edison Co., 38 Mass. App. Ct. at 350-351 (failure of defendant to seek continuance when plaintiff’s late-identified expert allowed to testify cuts against claim of abuse of discretion and prejudice); cf. Commonwealth v. Gordon, 422 Mass. 816, 836 (1996), quoting from Commonwealth v. McGann, 20 Mass. App. Ct. 59, 66 (1985) (when “surprise” evidence surfaces at trial in violation of discovery obligations, “the preferred course of action is ... a provision of additional time . . . .”); (b) did not seek a voir dire on or challenge Dr. Compaine’s qualifications to provide expert testimony (and have likewise not challenged the judge’s implicit discretionary finding that Dr. Compaine was so qualified, a finding amply supported by his resume and experience, see Commonwealth v. Boyd, 367 Mass. 169, 182 [1975], and cases cited); (c) did not state any specific objection to the content of the opinions Dr. Compaine expressed or to his testifying as both the treating physician and an expert (indeed, defense counsel conceded that a treating physician may render an expert opinion so long as he *487is qualified to do so and there is a proper foundation for the opinion); and (d) did at no time articulate any objection to Dr. Compaine’s testimony beyond the lack of prior notification.12

Assuming, arguendo, that Dr. Compaine should not have been allowed to testify as an expert, the defendants have not demonstrated any consequent prejudice. Their ability to cross-examine him thoroughly was not discernibly hindered. In particular, they effectively used his treatment notes and admissions to emphasize for the jury that he had no personal knowledge of the events at CSA that the plaintiff reported to him and that he based his opinions on the information supplied by the plaintiff. They responded to every significant aspect of Compaine’s testimony through their own expert, Dr. Gutheil, who had personally interviewed both the plaintiff and Smith. Gutheil not only contradicted Compaine’s opinion that the plaintiff presented the clinical picture of someone in an abusive relationship who had lost her free will, but further opined (well beyond the testimony of Compaine, see note 12, supra) that the facts of the case were “most consistent with a broken-up office romance . . . rather than a gender-based sexual harassment scenario” (an opinion not challenged by the plaintiff). There was also no undue emphasis by plaintiff’s counsel in closing argument on Dr. Compaine’s testimony. The judge’s charge on the subject of expert testimony was additionally counteractive of any residue of prejudice.13

In sum, we discern neither abuse of discretion nor improper *488prejudice to the defendants by virtue of the judge’s allowance of the plaintiffs expert testimony. See Eagan v. Marr Scaffolding Co., 14 Mass. App. Ct. 1036, 1036 (1982) (“[i]t was within the discretion of the trial judge to permit substitute expert witnesses to testify on the plaintiffs behalf even though supplementation of [discovery] . . . did not occur until shortly before and during trial, where [the] defendant long had notice of the substance of the testimony expected, where [the] defendant had an opportunity to — and did — depose each witness . . . , and where no bad faith was shown on the part of the plaintiff’). Cf. Resendes v. Boston Edison Co., 38 Mass. App. Ct. at 350-351, and cases cited.

3. Denial of directed verdict motion. Under the standard of review applicable to the denial of the defendants’ motion for a directed verdict on the G. L. c. 15 IB claim, the defendants’ contention that the evidence did not establish actionable sexual harassment fails.14

The plaintiffs testimony (see note 4, supra), if believed by the jury, would be more than sufficient to meet her burden of establishing both sets of circumstances constituting what are commonly known as “quid pro quo” and “hostile work environment” sexual harassment (see G. L. c. 151B, § l[18][a], [b]), namely that (a) Smith’s sexual advances and other sexual conduct directed at the plaintiff were unwelcome, cf. Gnerre v. Massachusetts Commn. Against Discrimination, 402 Mass. 502, 507 (1988); and (b) the advances either conditioned some aspect of employment or were sufficiently pervasive that they “ha[d] the purpose or effect of unreasonably interfering with an individual’s work performance by creating an intimidating, hostile, humiliating or sexually offensive work environment.” *489G. L. c. 15IB, § 1(18)(6). See Ramsdell v. Western Mass. Bus Lines, Inc., 415 Mass. 673, 678-679 (1993).

The defendants, who did not request that the special questions submitted to the jury provide that the jury specify the theory of sexual harassment supporting any verdict, may not now be heard to argue, as they do, that it is impossible to tell on which theory the jury based their verdict. See Mass.R.Civ.P. 49(a), 365 Mass. 813 (1974); Hawco v. Massachusetts Bay Transp. Authy., 398 Mass. 1006, 1006 (1986); Rolanti v. Boston Edison Corp., 33 Mass. App. Ct. 516, 530 (1992). There being adequate evidence to support a verdict on both theories, the judge did not err in sending the case to the jury and in not overturning the jury’s verdicts.

Also unavailing is the defendants’ suggestion that the judge erred in not instructing the jury (as they requested) that a special presumption favoring accused harassers applies to sexual harassment cases involving coworkers who once shared a consensual sexual relationship. Such a presumption finds no support in the law of this Commonwealth. We are not obligated to follow the Federal courts’ interpretations of related, but distinguishable, portions of Title VII which suggest such a presumption — see, e.g., College-Town, Div. of Interco, Inc. v. Massachusetts Commn. Against Discrimination, 400 Mass. 156, 163-164 (1987); Melnychenko v. 84 Lumber Co., 424 Mass. 285, 289 (1997); Bain v. Springfield, 424 Mass. 758, 765 n.4 (1997); Mullenix v. Forsyth Dental Infirmary for Children, 965 F. Supp. 120, 153 (D. Mass. 1996) — and none of the cases cited by the defendants involved the relevant provisions of chapter 151B.15

Finally, the defendants contend that the plaintiff’s January 29, *4901993, complaint with the MCAD was filed over six months after the ugly July 27, 1992, incident between the plaintiff and Smith (see G. L. c. 151B, § 5, creating a six-month statute of limitations), and that the judge consequently erred in not instructing the jury to ignore that outside-the-statute incident, which they assert was unduly “played up” in the plaintiff’s closing argument. The evidence (of Smith’s constant sexual harassment of the plaintiff during August and into October, 1992, and his offers during that same time period of restoration of employment perquisites and of reemployment explicitly conditioned upon resumption of a sexual relationship, see note 4, supra) eliminated any statute of limitations problem by providing sufficient independent bases for the jury’s verdicts.

The judge also acted within his discretion in allowing the admission of evidence of related conduct falling outside of the six-month period on a “continuing violation” theory, which he implicitly did in denying the defendants’ directed verdict motion that was in part premised on the irrelevance of the July 27, 1992, flare-up. See, e.g., Lynn Teachers Union, Local 1037 v. Massachusetts Commn. Against Discrimination, 406 Mass. 515, 520-523 (1990); In re C.F. Smith & Assocs., Inc., 235 B.R. 153, 164 (Bankr. D. Mass. 1999).

4. Smith’s individual liability. The defendants argue that no Massachusetts appellate decision has recognized personal liability of individual employees under G. L. c. 15IB; that the “trend of authority” in other states and under analogous Federal law is to construe sexual harassment statutes so as “to limit liability to an ‘employer’ ”; that in any event Smith himself could only be held personally liable in this case for “aiding and abetting” CSA under G. L. c. 151B, § 4(5), but he was never charged individually or as an aider or abettor in the MCAD charge or the Superior Court complaint; and that such liability would be legally impossible since the only sexually harassing conduct alleged was his own, i.e., “there was no one else whom he could have aided and abetted.” These arguments all fail, for several reasons.

First, G. L. c. 15 IB does not limit the categories of persons *491who may be individually liable. To the contrary, the plain language of the statute provides on its face for individual personal liability in several sections,16 unlike the cognate provisions of other jurisdictions (including Federal), which are more or less ambiguous on the issue. See Estate of Cowart v. Nicklos Drilling Co., 505 U.S. 469, 475 (1992) (“[W]hen a statute speaks with clarity to an issue[,] judicial inquiry into the statute’s meaning, in all but the most extraordinary circumstance, is finished”).17 The MCAD, whose interpretations of G. L. c. 151B we are to accord deference, College-Town, Div. of Interco, Inc. v. Massachusetts Commn. Against Discrimination, 400 Mass. at 166, has long recognized and imposed individual liability under the statute, including in situations similar to this one.18

*492Highly pertinent in this regard are the mandate of G. L. c. 151B, § 9, that the provisions of the chapter must be construed liberally for the accomplishment of its purposes — one of which was to discourage and penalize discriminatory conduct, including sexual harassment, by individuals — and the explicitly declared policy of the Commonwealth that all persons have the. right to be free from sexual harassment. G. L. c. 214, § 1C. Given these authorities, we have no hesitation in stating that our law clearly rejects the defendants’ contention that Smith cannot be held individually liable under c. 15 IB for his active sexual harassment of the plaintiff.19

Contrary to the defendants’ assertion, Smith was from the outset named as an individual defendant and alleged to have had personal responsibility for the plaintiff’s claimed sexual harassment and consequent injuries, in both the MCAD charge and the Superior Court complaint. He had ample notice of the specific allegations made against him personally by the plaintiff. See Brunson v. Wall, 405 Mass. 446, 451 (1989); Lattimore v. Polaroid Corp., 99 F.3d 456, 464 (1st Cir. 1996); Chatman v. Gentle Dental Center of Waltham, 973 F. Supp. 228, 235 (D. Mass. 1997) (together emphasizing the importance under c. 15 IB of sufficient notice being provided in the MCAD filing of the charges being made and of the parties deemed responsible, so as to allow both the opportunity to attempt early conciliation and a fair opportunity to litigate the issues raised).

The judge’s special question form expressly requested verdicts by the jury as to Smith’s personal liability for sexual harassment of the plaintiff (without specifying the legal bases or theory therefor) as well as the liability of CSA. The form also required the jury to determine whether punitive damages should be awarded against Smith personally as well as against CSA. The defendants did not register timely objections to either the *493form of the special questions or the accompanying instructions before the jury retired for deliberation and have accordingly waived the right to challenge those matters. See discussion of Mass.R.Civ.P. 49(a), supra at 489.20

Even if we view the legal source for Smith’s liability to be limited to the strictures of G. L. c. 151B, § 4(5),21 we have no difficulty in concluding that a sufficient basis existed in the *494evidence for the jury verdict. The defendants’ argument rests on the erroneous implied premise that the existence of the corporate employer, CSA, can be ignored; that CSA, therefore, cannot be deemed an independent actor for purposes of aiding and abetting; and that Smith, the only actor charged with sexually harassing behavior, cannot rationally be held liable for aiding and abetting himself. This contention is unsupported by any relevant authority or any effort to establish that CSA is the mere alter ego of Smith so that its corporate separateness can be disregarded. It is also legally and conceptually incorrect.

CSA is a viable legal person22 separate and distinct from its shareholders, officers and employees, possessing virtually all of the legal attributes of a natural person. See My Bread Baking Co. v. Cumberland Farms, Inc., 353 Mass. 614, 618-619 (1968). Most pertinently, it has the capacity to make employment contracts and to sue and be sued, see G. L. c. 156B, § 9(b), (h), and to be held both civilly and criminally responsible (including as an aider and abettor) for actionable wrongs committed by its responsible officers. See Commonwealth v. Beneficial Fin. Co., 360 Mass. 188, 249-250, 253-255, 270-271, 276-281 (1971), cert. denied, 407 U.S. 914 (1972); Kyte v. Philip Morris Inc., 408 Mass. 162, 166-169 (1990); Model Penal Code and Commentaries § 2.07(l)(a), (1)(c), (4)(c) and comments (1980). CSA and Smith are, in the eyes of the law and the circumstances of this case, two distinct actors.

There is no legal or logical reason why Smith cannot be *495found liable for aiding and abetting CSA — which, after all, was the plaintiff’s actual employer, not Smith — in both his separate acts of sexual harassment against her (which CSA is deemed vicariously to have authorized Smith to do) and in causing CSA to sanction first her demotion, then her constructive discharge, and finally the revocation of her promised benefits.23 Such a result is entirely consistent with traditional principles of accessorial liability reflected in the authorities cited in the immediately preceding paragraph and is recognized in the MCAD decisions cited in note 18, supra. Compare Model Penal Code and Commentaries § 2.06(2)(c), (3)(a) and comments 5-6; § 2.07(6)(a) and comment 7 (1980) (which makes a person “legally accountable for any conduct he performs or causes to be performed in the name of the corporation ... or in its behalf to the same extent as if it were performed in his own name or behalf” and “makes certain that the corporate agent will not escape liability because all or part of his conduct is performed through or in the name of the corporation”).24

The defendants’ focus on the aiding and abetting provision of § 4(5) is, moreover, unduly narrow. When instructing the jury that they were to confine their liability deliberations to whether Smith’s alleged conduct amounted to sexual harassment as defined in c. 151B, § 1(18), and, if so, whether that conduct fell within § 4(5), the judge did not confine their consideration of Smith’s personal liability to whether his conduct constituted aiding and abetting. On the plaintiff’s evidence and the language of § 4(5), the jury could rationally have found that Smith had both “coerce[d] the doing of . . . acts forbidden under this chapter” — i.e., had coerced the plaintiff into abandoning her right to be free from sexual harassment and into submitting to *496his sexual demands as a condition of preserving her employment and her career — and “compelled] ... the doing of” such acts — i.e., caused them to occur, by personally creating a hostile work environment and making quid pro quo offers while pressuring the plaintiff to resume a sexual relationship and by using his authority over the corporation to eliminate her employment perquisites, to force her resignation, and to terminate her promised severance benefits.

' 5. Damages. The defendants challenge the jury’s damage awards of lost front pay ($50,000) and lost back pay ($112,500)25 as speculative and attack the award of punitive damages against Smith individually as excessive. We have reviewed those contentions in light of the trial evidence and the instructions and conclude that they lack merit.26 We therefore address them only briefly.

a. Back pay. The plaintiff testified that she was earning $45,000 annually at CSA in 1992, the year of her termination. In the four years that elapsed between then and the trial, the plaintiff, at the same salary, would have earned $180,000. According to the plaintiff’s testimony, she actually earned approximately $138,000 in that time period. The difference between these amounts would allow for a back pay award of $42,000, only about a third of the jury’s actual award. The plaintiff also testified, however, that her CSA salary had *497increased by $5,000 every year between 1989 and 1992, during which period she received constant advancement and displayed excellent work performance. Thus, the jury could reasonably factor in such an increase without resorting to speculation. Accounting for raises, the plaintiff could on her evidence have earned between $230,000 and $240,000 between September of 1992 and November of 1996. The difference between that sum and what the plaintiff actually earned during the same time period would support a back pay award of between $92,000 and $102,000. The jury’s award of $112,500 was not grossly disproportionate to that amount and is significantly less than what the plaintiff requested ($132,000, which illustrates that the jury did their own calculations and did not blindly adopt the plaintiff’s numbers). The award also appears to have accounted for mitigation, as the judge instructed.

b. Front pay. Chapter 151B “authorizes an award of damages for loss of future earnings and benefits which have been proved with reasonable certainty as attributable to the employer’s misconduct subject to the employee’s duty to mitigate.” Conway v. Electro Switch Corp., 402 Mass. at 390. The plaintiff testified that, at the time of trial, she was employed at a salary of $30,000. Had she remained at CSA, she would (on her evidence) have been earning anywhere from $45,000 to $65,000 annually. The jury’s front pay award of $50,000 constituted about two times the difference between her then-current salary and her putative likely salary at CSA. The jury’s award, in light of the judge’s instructions, appears to have reflected the jury’s view that it would have taken the plaintiff about two years to earn what she would have been earning at CSA at either her present job or some other job. That view seems rational, given the fact that, in the four years after her termination, the plaintiff was still earning substantially less than she had when she left CSA. The front pay award was therefore neither speculative or excessive. Contrast Handrahan v. Red Roof Inns, Inc., 43 Mass. App. Ct. 13, 24 (1997) (front pay award based on thirty-year future wage period deemed speculative and excessive).

c. Punitive damages. The $87,500 punitive damages award against Smith individually was not excessive on this record. See Bain v. Springfield, 424 Mass. 758, 769 (1997) (punitive damages “award of $100,000, even in the absence of any compensatory harm, would [not] necessarily exceed the norms of rationality”). Contrast McMillan v. Massachusetts Soc. for the *498Prevention of Cruelty to Animals, 140 F.3d 288, 306-307 (1st Cir. 1998), cert. denied, 525 U.S. 1104 (1999) (punitive damages award of $135,662.50 deemed excessive because evidence failed to show that the defendant’s conduct toward the plaintiff, while intentional, was so egregious and outrageous as to warrant condemnation and deterrence).27 As required by the authorities, see Bain v. Springfield, 424 Mass. at 767; Dartt v. Browning-Ferris Indus., Inc. (Mass.), 427 Mass. 1, 17-17a (1998); Abramian v. President & Fellows of Harvard College, 432 Mass. 107, 119 (2000); McMillan v. Massachusetts Soc. for the Prevention of Cruelty to Animals, 140 F.3d at 306-307, the evidence of Smith’s behavior toward the plaintiff could easily be viewed by a rational jury as not merely intentional and offensive, but an outrageous affront to an individual’s personal dignity that was both recklessly indifferent to the plaintiff’s rights and egregiously beyond the pale of what our society tolerates in the work place.28 Having been properly instructed on the issue, the jury proceeded to assess punitive damages against Smith (though, notably, not against CSA); and in light of the evidence, “we do not substitute our judgment for that of the jury . . . .” Dartt v. Browning-Ferris Indus., Inc. (Mass.), 427 Mass. at 17a.

Conclusion. For the reasons stated above, we affirm the verdicts and judgments in all respects.29

So ordered.

Beaupre v. Cliff Smith & Associates
50 Mass. App. Ct. 480

Case Details

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Beaupre v. Cliff Smith & Associates
Decision Date
Nov 16, 2000
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50 Mass. App. Ct. 480

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Massachusetts

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