Barnes v. Benham Group, Inc.

22 F. Supp. 2d 1013, 8 Am. Disabilities Cas. (BNA) 1289, 1998 U.S. Dist. LEXIS 16244, 1998 WL 717976
CourtDistrict Court, D. Minnesota
DecidedOctober 13, 1998
DocketCivil 97-1841 (DSD/JMM)
StatusPublished
Cited by8 cases

This text of 22 F. Supp. 2d 1013 (Barnes v. Benham Group, Inc.) is published on Counsel Stack Legal Research, covering District Court, D. Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Barnes v. Benham Group, Inc., 22 F. Supp. 2d 1013, 8 Am. Disabilities Cas. (BNA) 1289, 1998 U.S. Dist. LEXIS 16244, 1998 WL 717976 (mnd 1998).

Opinion

ORDER

DOTY, District Judge.

This matter is before the court on the motion of plaintiff Michael Barnes to strike the affidavit of Kathleen Jackson and the motion of defendant The Benham Group, Inc., for summary judgment and for sanctions. Based on a review of the file, record, and proceedings herein, the court denies plaintiffs motion to strike, grants defendant’s motion for summary judgment, and denies defendant’s motion for sanctions.

BACKGROUND

Plaintiff Michael Barnes is a Minnesota resident with a Ph.D. in mechanical engineering. Defendant The Benham Group, Inc., is an architectural and engineering design firm headquartered in Oklahoma City, Oklahoma that provides project management and engineering services. Defendant maintains an office in St. Paul, Minnesota, where plaintiff *1017 began working as a mechanical engineer on July 31,1996.

When defendant opened its St. Paul office in February 1996, group health benefits were made available to all of defendant’s St. Paul employees through an insurance plan offered by Prudential Insurance Company. Although Prudential had stopped servicing Minnesota employers at the time defendant opened its St. Paul office, that company agreed to provide defendant’s St. Paul employees with “out of area” insurance benefits. However, because the “out of area” benefits made available to defendant’s St. Paul employees were not competitive with group health benefits offered by other employers in the St. Paul area, defendant decided to explore other options for group health insurance providers.

In order to secure a new group health insurance plan, in the Fall of 1996 a local insurance broker provided defendant with insurance application/enrollment forms from three bidding group health insurance providers: Blue Cross/Blué Shield, Medica, and HealthPartners. All 34 potentially covered employees in defendant’s St. Paul office were asked to complete application enrollment forms provided by these insurance companies to allow for an assessment of the risks accompanying defendant’s employees and calculation of the appropriate premium. Employees electing not to complete these forms were ineligible to participate in the group insurance plan and were asked to sign a waiver indicating that they had been offered an opportunity to apply for coverage and had declined.

Employees were asked to place their completed forms in a common collection envelope. Once collected, these forms were submitted to the insurance broker. Shortly thereafter, the three bidding providers began contacting defendant’s employees to obtain missing or incomplete information provided on the application/enrollment forms. Plaintiff was one of the individuals from whom the insurance providers sought additional information. After being asked by defendant on several occasions to provide the information necessary to complete the bidding process, plaintiff provided a sealed envelope presumably containing the requested information. Plaintiff also suggested that the insurers review his medical records to obtain the necessary information, and he gave his authorization for disclosure.

HealthPartners was ultimately selected to provide group health benefits to employees of defendant’s St. Paul office. The sealed envelope plaintiff had submitted contained general answers to several of HealthPart-ners’ questions. Because these answers were devoid of the details, dates, and effects of several medical conditions, implied that other conditions not listed may exist, and were otherwise nonresponsive, the insurance broker again called defendant and sought assistance in obtaining the information necessary to evaluate the risk associated with insuring defendant’s employees. At a meeting with his supervisors, plaintiff was told he could either call the insurer from a telephone in the next room and provide the requested information or sign a waiver indicating that he had been offered an opportunity to apply for coverage but had declined. Plaintiff refused to either provide the requested information or sign the waiver. Because of plaintiffs refusal, defendant terminated his employment on January 28, 1997, citing “insubordination” as the reason for the termination.

Plaintiff and Sandra Vieau, another employee of defendant, 1 subsequently filed suit on July 21, 1997, in Ramsey County District Court, alleging numerous violations of the Americans with Disabilities Act (ADA), Minnesota Human Rights Act (MHRA), and common law. Defendant removed this matter to Federal District Court, and now brings this motion for summary judgment and for sanctions. Although the original complaint contained eleven counts, only three remain before the court: (1) Count II, alleging retaliation in violation of the ADA and MHRA; (2) Count III, alleging unlawful interference, coercion, and intimidation in violation of the ADA; and (3) the portion of Count IV alleging medical inquiry discrimination' in viola *1018 tion of the ADA. 2 Plaintiff brings a separate motion to strike the affidavit of Kathleen Jackson. After oral argument, these matters are properly before the court for decision.

DISCUSSION

a. Plaintiffs Motion to Strike the Affidavit of Kathleen Jackson

Plaintiff moves to strike the affidavit of Kathleen Jackson, submitted by defendant in conjunction with its summary judgment reply memorandum. Ms. Jackson’s four paragraph affidavit states, in essence, that HealthPartners was asked'to provide a bid for group health insurance for the employees of defendant’s St. Paul Office, and in order to properly assess the risks associated with that group of potential insured, HealthPartners provided defendant with application/enrollment forms to be completed by each employee desiring to participate in the group coverage. Plaintiff objects that defendant did not disclose Ms. Jackson as a person with knowledge or as a witness in this matter, and contends that pursuant to Fed.R.Civ.P. 16 and 26 Ms. Jackson’s affidavit should not be considered by the court.

As indicated by the court at the hearing on this matter, plaintiffs motion will be denied. Plaintiff asserted in his response to defendant’s motion for summary judgment that defendant’s claim that the inquiries at issue here were made in connection with the underwriting of health insurance lacked evidentiary support. Defendant submitted Ms. Jackson’s affidavit to rebut this assertion. Rules 16 and 26(a)(1)(A), cited by plaintiff as the basis for his motion to strike, are inapplicable in this situation and do not support plaintiffs motion. Defendant did not intend to call Ms. Jackson as a trial witness, and her affidavit was provided only after plaintiff contested, for the first time in his memorandum in opposition to defendant’s motion for summary judgment, that the inquiries made of him were not for the purpose of underwriting group health insurance benefits. For these reasons, plaintiffs motion is without merit.

b. Defendant’s Motion for Summary Judgment

Aso before the court is the motion of defendant for summary judgment on the remaining counts of the Second Amended Complaint. The standard to be utilized by the court in deciding a summary judgment motion is well-settled.

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Cite This Page — Counsel Stack

Bluebook (online)
22 F. Supp. 2d 1013, 8 Am. Disabilities Cas. (BNA) 1289, 1998 U.S. Dist. LEXIS 16244, 1998 WL 717976, Counsel Stack Legal Research, https://law.counselstack.com/opinion/barnes-v-benham-group-inc-mnd-1998.