Cannon v. Equitable Life Assurance Society of United States

106 Misc. 2d 1060, 433 N.Y.S.2d 378, 1980 N.Y. Misc. LEXIS 2812
CourtNew York Supreme Court
DecidedNovember 5, 1980
StatusPublished
Cited by6 cases

This text of 106 Misc. 2d 1060 (Cannon v. Equitable Life Assurance Society of United States) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cannon v. Equitable Life Assurance Society of United States, 106 Misc. 2d 1060, 433 N.Y.S.2d 378, 1980 N.Y. Misc. LEXIS 2812 (N.Y. Super. Ct. 1980).

Opinion

[1061]*1061OPINION OF THE COURT

Seymour Lakritz, J.

In this age discrimination action plaintiffs move for a class action determination pursuant to CPLR 902. Defendant, Equitable Life Assurance Society of the United States (hereinafter “Equitable”), opposes the motion for class status and alternatively moves for a stay of the determination pending further discovery.

I. FACTS

Plaintiffs and the class they seek to represent are terminated and demoted employees of defendant. They bring this action to recover compensatory and punitive damages and for declaratory and injunctive relief. The gravamen of the complaint is that Equitable engaged in a pattern of discriminatory employment policies and practices in contravention of section 296 of the New York State Human Rights Law (Executive Law) which proscribes age discrimination in employment; including terminations or demotions due to, in whole or in part, an employee’s age.

In or about August, 1978, defendant began a massive reduction in staff personnel allegedly to reduce costs and improve profitability. Approximately 700 employees were terminated or demoted, of which some 70% were over 40 years of age. On September 7,1979, suit was commenced by six former employees of Equitable in the Federal District Court, Southern District of New York (Burns v Equitable Life Assur. Soc. of U. S., 79 Civ 4726), alleging a policy of age discrimination in violation of Title 29 (§ 623, subd [a]) of the United States Code. To date, 127 persons have filed consents to join the Burns litigation. The within action was commenced on September 10, 1979 alleging a similar pattern of age discrimination in violation of State law.

On November 19,1979 plaintiffs herein filed a motion for class status determination pursuant to CPLR 902. Defendant cross-moved for a stay pending further discovery, which was granted. Thereafter, defendant conducted examinations before trial of the three named plaintiffs in this action and the six lead plaintiffs in the Federal court action. In addition, hearings on three separate occasions have been [1062]*1062held before this court. Defendant contends that plaintiffs have failed to carry their burden of satisfying all the class action criteria under CPLR 901 and 902.

II. PRECERTIFICATION DISCLOSURE

Initially, a determination must be made as to the extent to which disclosure, relating to the facts required to maintain a class action and to the underlying merits of the action, should be allowed prior to the maintenance of a suit as a class action. Under CPLR 901 and 902 and the Federal class action statute, on which the State statute was based in relevant part, discovery has generally been limited to determining those elements necessary to class status itself (Vallone v Delpark Equities, 95 Misc 2d 161; Matter of Knapp v Michaux, 55 AD2d 1025; Spatz v Wide World Travel Serv., 70 AD2d 835). Discovery, relevant to the merits of the claim, has not been permitted at this stage of the proceeding, so long as a cause of action is stated which is neither spurious nor sham (Seligman v Guardian Life Ins. Co. of Amer., 59 AD2d 859; Compact Electra Corp. v Paul, 93 Misc 2d 807; Cusick v N. V. Nederlandsche Combinatie Voor Chemische Industrie, 317 F Supp 1022; Yaffe v Powers, 454 F2d 1362; Simon v Cunard Line, 75 AD2d 283). This is so because the language of the rule and the cases all articulate the desirability of determining maintainability of the class action at what has been called “the earliest pragmatically wise moment” (Berman v Narragansett Racing Assn., 48 FRD 333,336; Harriss v Pan Amer. World Airways, 74FRD 24). While, certainly, the court may order a postponement of the class determination pending discovery (Pearlman v Gennaro, 17 FR Serv 2d 666), the thrust of the rule is on a prompt determination. CPLR 902 provides that “[w]ithin sixty days after the time to serve a responsive pleading has expired for all persons named as defendants in an action brought as a class action, the plaintiff shall move for an order to determine whether it is to be so maintained.”

As aids in determining whether this action should proceed as a class action, we have the benefit of the pleadings, the parties’ affidavits, several memoranda of law, a transcription of the depositions taken of the three named plain[1063]*1063tiffs in this suit and the lead plaintiffs in the Federal action, and three preliminary hearings held before this court. While we are aware that the record bearing on class issues cannot be assumed to be complete at this stage in the proceedings (Harriss v Pan Amer. World Airways, supra), this copious record certainly contains sufficient information upon which this court can make a class action determination. Considering the extensive passing of time since this action was commenced, for us to direct or permit further discovery at this time would probably not be productive and would delay the orderly and expeditious disposition of this case.

Accordingly, defendant’s motion to postpone the determination of class status is denied.

III. CERTIFICATION OF THE CLASS

A. GENERAL CONSIDERATIONS

The court is now faced with plaintiffs’ request to maintain this action as a class action. Plaintiffs do not dispute that they have the burden of establishing that each of the class action prerequisites of CPLR 901 and 902 are satisfied not by mere repetition of the rule but with specific facts sufficient to meet the rule’s requirements (Petrosino Seafood Corp. v Consolidated Edison Co. of N. Y., 97 Misc 2d 110; Guadagno v Diamond Tours & Travel, 89 Misc 2d 697; Hauck v Xerox Corp., 78 FRD 375). In making this determination, the court is aware that for purposes of the within motion the substantive allegations of the complaint must be deemed to be true (United States v Trucking Employers, 75 FRD 682).

We are also mindful of the underlying considerations of public policy to guide us in our determination. First, class certification is essentially a matter of procedure intended to facilitate the fair and expeditious adjudication of these rights and obligations of the parties and it is not determinative of those rights and obligations (Huff v N. D. Cass Co. of Ala., 485 F2d 710; Harriss v Pan Amer. World Airways, 74 FRD 24, supra; Yaffe v Powers, 454 F2d 1362, supra). Second, “the rule must be liberally construed with a view to [1064]*1064enhancing the use of class actions as a means of vindicating rights of absent members who are unable, for one reason or another, personally to prosecute” (Berland v Mack, 48 FED 121,125; Vallone v Delpark Equities, 95 Misc 2d 161, supra). If there is error made, it should be in favor of and not against the maintenance of the class action (Hohmann v Packard Instrument Co., 399 F2d 711; Eisen v Carlisle & Jacquelin, 391 F2d 555; Esplin v Hirschi, 402 F2d 94).

Accordingly, at this stage of the proceeding, considering the broad language of CPLR article 9, the discretion vested in this court and by underlying considerations of public policy, the court is satisfied that the prerequisites for a class action as specified in CPLR 901 and 902 are more than adequately satisfied (Matter of Froehlich v Toia,

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Bluebook (online)
106 Misc. 2d 1060, 433 N.Y.S.2d 378, 1980 N.Y. Misc. LEXIS 2812, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cannon-v-equitable-life-assurance-society-of-united-states-nysupct-1980.