Glenn Munsey v. Federal Mine Safety & Health Review Commission, Smitty Baker Coal Co., Inc., Intervenors

595 F.2d 735, 193 U.S. App. D.C. 350, 1978 U.S. App. LEXIS 7407
CourtCourt of Appeals for the D.C. Circuit
DecidedNovember 29, 1978
Docket77-1619
StatusPublished
Cited by9 cases

This text of 595 F.2d 735 (Glenn Munsey v. Federal Mine Safety & Health Review Commission, Smitty Baker Coal Co., Inc., Intervenors) is published on Counsel Stack Legal Research, covering Court of Appeals for the D.C. Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Glenn Munsey v. Federal Mine Safety & Health Review Commission, Smitty Baker Coal Co., Inc., Intervenors, 595 F.2d 735, 193 U.S. App. D.C. 350, 1978 U.S. App. LEXIS 7407 (D.C. Cir. 1978).

Opinion

Opinion for the court filed by TAMM, Circuit Judge.

TAMM, Circuit Judge:

In this case we are called upon to review for the second time a decision of the United States Department of the Interior Board of Mine Operations Appeals (the Board) holding that Glenn Munsey was not discriminated against in violation of section 110(b) of the Federal Coal Mine Health and Safety Act of 1969 (the Act, 30 U.S.C. § 820(b) (1976). 1 Although we do not accept all of *737 the grounds of the Board’s decision, we affirm its ultimate conclusions that Munsey voluntarily resigned his job as a coal miner on April 15, 1971, and that he was not illegally denied rehire later that day. We reverse the Board’s conclusion that Munsey was not discriminated against when his coal company refused to rehire him on April 29, 1971. Finally, we remand this case 2 for consideration of successorship, liability, and related issues.

I

A. The Events of April 15 and April 29, 1971

On April 15, 1971, Glenn Munsey, Ernest Scott, and his son Arnold Scott, all members of the United Mine Workers of America, were working as part of a crew operating a continuous mining machine in the No. 1 mine of the Smitty Baker Coal Company, Inc. 3 As they were working, a five-ton rock *738 fell from the mine roof, struck the continuous miner, and grazed Munsey’s arm. Work halted immediately. After the rock was removed, the roof was examined and pronounced safe by Fred Coeburn, a mine foreman, Earl Stapleton, a member of the United Mine Worker’s local safety committee, and Clement Kempton, another foreman.

Almost immediately after work resumed, the operator of the continuous miner observed “dribbling,” that is dust falling from the roof of the mineshaft. Fearful that the “dribbling” indicated that the roof was unsafe, he halted work. Again, Fred Coeburn inspected the roof and pronounced it safe. When Coeburn ordered Munsey and the Scotts to resume work, they refused; and Munsey said he believed the roof was unsafe. After other men offered to replace Munsey and the Scotts on the continuous miner crew, Clement Kempton offered to allow the men the opportunity to work in another area of the mine. The men refused these alternative duties, and Coeburn told them to leave the mine.

At the surface, Munsey and the Scotts met with Frank Cochran, the mine superintendent. Cochran said that the roof was safe, but told the men they could resume work in another part of the mine. The three declined Cochran’s offer and asked if they could leave work and return the next day. Cochran said that would be unfair to other miners. The men then left the mine area.

Soon after, Munsey informed Edward Gilbert, the union’s local safety coordinator, of the incident. That afternoon, Gilbert and the three men met with Ralph Baker, manager of the coal company. Baker repeated Cochran’s statement that it would be unfair to allow the men to return to the mine the next day. Gilbert said that Baker was violating section 110(b) of the Act, but Baker denied that he was unlawfully discriminating against Munsey and the Scotts.

Still later, Gilbert reported the events of the day to the Bureau of Mines, and relayed two safety complaints from Munsey: (a) that the roof was unsafe, and (b) that ventilation was inadequate in the mine. The next day a federal coal mine inspector visited the mine and found that the roof was safe, but that the mine was inadequately ventilated. He issued an order pursuant to section 104(c)(1) of the Act, 4 which shut down the mine for three days.

On April 29, Gilbert, the three men, Baker, the Mine Safety Committee, and the Labor Commissioner of the Harlan County Coal Operators’ Association met. The coal *739 company refused Gilbert’s offer to waive any rights to back pay if the company would rehire the men.

B. The Munsey I Litigation

Prior to the April 29 meeting, the three men sought review of the coal company’s action from the Department of the Interior. In an application for review of discharge, the men alleged that the company had violated section 110(b) by firing them for making safety complaints. Joint Appendix (J.A.) I at 12-13. An administrative law judge ruled in favor of Munsey and the Scotts, finding that (1) the company knew, or had reason to know, of the safety complaints made on April 15 and earlier complaints made to Gilbert, (2) the company discharged the men when foreman Coeburn ordered them to leave the mine and again when superintendent Cochran refused to reinstate them, and (3) the company’s actions violated section 110(b)(1). See Munsey v. Morton (Munsey I), 165 U.S.App.D.C. 379, 382-83, 507 F.2d 1202, 1205-06 (1974).

On appeal, the Interior Department’s Board of Mine Operations Appeals reversed the administrative law judge’s decision. The Board outlined three components of a successful section 110 allegation: (1) the miner must have reported an alleged violation to the Secretary of Interior or his authorized representative, (2) the miner must have been discharged after filing the report, and (3) the filing of the report must have caused the discharge. On the facts before it, the Board concluded that the men had been fired because they refused to return to work, and that Munsey’s report to Gilbert was immaterial because it followed the discharge. Id. 165 U.S.App.D.C. at 383-84, 507 F.2d at 1206-07.

In Munsey I this court reviewed the Board’s decision, and focused on two issues: (1) whether Munsey’s report of a safety violation to his foreman and superintendent could be considered notification to the Secretary of the Interior within the meaning of section 110(b)(1), and (2) whether refusals to rehire could constitute illegal discrimination under that section.

This court concluded that the first issue had to be reconsidered in light of a decision that had been handed down after the Board’s decision. In Phillips v. Interior Board of Mine Operations Appeals, 163 U.S. App.D.C. 104, 500 F.2d 772 (1974), this court held that a miner who had made a safety complaint to his foreman in accordance with the mine’s procedures for reporting safety complaints had notified the Secretary within the meaning of section 110(b)(1)(A) and had instituted a proceeding within the meaning of section 110(b)(1)(B). The court found that the mine procedures “bridge[d] the gap” between the coal miner and federal authorities and, therefore, Phillips’s report of a violation to his foreman, the closest representative of any authority on hand, was a report within the meaning of section 110(b). Id. 163 U.S.App.D.C. at 111 — 13, 500 F.2d at 779-81. In remanding the case, the Munsey I

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595 F.2d 735, 193 U.S. App. D.C. 350, 1978 U.S. App. LEXIS 7407, Counsel Stack Legal Research, https://law.counselstack.com/opinion/glenn-munsey-v-federal-mine-safety-health-review-commission-smitty-cadc-1978.