Miller v. Cigna Corporation

CourtCourt of Appeals for the Third Circuit
DecidedJune 24, 1994
Docket93-1773
StatusUnknown

This text of Miller v. Cigna Corporation (Miller v. Cigna Corporation) is published on Counsel Stack Legal Research, covering Court of Appeals for the Third Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Miller v. Cigna Corporation, (3d Cir. 1994).

Opinion

Opinions of the United 1994 Decisions States Court of Appeals for the Third Circuit

6-24-1994

Miller v. Cigna Corporation Precedential or Non-Precedential:

Docket 93-1773

Follow this and additional works at: http://digitalcommons.law.villanova.edu/thirdcircuit_1994

Recommended Citation "Miller v. Cigna Corporation" (1994). 1994 Decisions. Paper 61. http://digitalcommons.law.villanova.edu/thirdcircuit_1994/61

This decision is brought to you for free and open access by the Opinions of the United States Court of Appeals for the Third Circuit at Villanova University School of Law Digital Repository. It has been accepted for inclusion in 1994 Decisions by an authorized administrator of Villanova University School of Law Digital Repository. For more information, please contact Benjamin.Carlson@law.villanova.edu. UNITED STATES COURT OF APPEALS FOR THE THIRD CIRCUIT

N0. 93-1773

WILLIAM J. MILLER, Appellant

v.

CIGNA CORPORATION; THE INSURANCE COMPANY OF NORTH AMERICA

On Appeal From the United States District Court For the Eastern District of Pennsylvania (D.C. Civil Action No. 92-05751)

Argued March 28, 1994

BEFORE: STAPLETON, HUTCHINSON and ROTH, Circuit Judges

(Opinion Filed June 28, l994 )

Stephanie A. Middleton (Argued) Gregory B. Tobin One Liberty Place, 52nd Floor 1650 Market Street P.O. Box 7716 Philadelphia, PA 19101

Attorneys for Appellees CIGNA Corporation and Insurance Company of North America

1 Alice W. Ballard (Argued) Lynn Malmgren Samuel & Ballard 225 South 15th Street Suite 1700 Philadelphia, PA 19102

Attorneys for Appellant

OPINION OF THE COURT

STAPLETON, Circuit Judge:

Defendant Insurance Company of North America ["INA"]

terminated plaintiff William J. Miller from his job after fifteen

years of employment.1 Miller alleges that he was discriminated

against on the basis of his age in violation of the Age

Discrimination in Employment Act ["ADEA"], 29 U.S.C. §§ 621-34

(1988).

At trial, the district judge instructed the jury that

it could return a verdict for Miller only if he proved that age

was "the sole cause" of INA's decision. After the jury returned

a verdict in INA's favor, Miller appealed, asserting that the

district court improperly charged the jury regarding his burden

of proof. We hold that in ADEA cases that do not qualify for a

burden shifting charge under Price Waterhouse v. Hopkins, 490

U.S. 228 (1989), district courts should instruct the jury that

1 At oral argument, the parties stipulated that INA was the plaintiff's employer at all times relevant to this appeal. At trial, however, both INA and CIGNA Corp. were defendants.

2 the plaintiff's burden is to prove that age played a role in the

employer's decisionmaking process and that it had a determinative

effect on the outcome of that process. Since it is not necessary

for the plaintiff to prove that age was the sole cause of the

employer's decision, we conclude that Miller is entitled to a new

trial.

I.

Miller was hired in 1975 as an assistant to INA's Chief

Financial Officer. In that position, he directed INA's

reinsurance operations at the Newark Reinsurance Company, created

a financial processing service center, and directed the

production of summary financial documents. After serving as Vice

President and Director of INA's Special Risk Facility, Miller was

promoted to Senior Vice President, Field Operations. He created

a new organization, managed a $200 million budget, and supervised

over 8,000 employees. At this point in his career, Miller was

compensated at pay grade sixty-one and his superior consistently

evaluated his performance as exceeding expectations.

After his promotion to Senior Vice President, Miller

was asked to join a special team of other executives called

IMPACT. IMPACT's mission was to identify major strategic issues

and market strategies for INA's Property and Casualty Division.

Caleb Fowler, Chief Financial Officer of the Property and

Casualty Division, and Richard Hoag, Chief of Human Resources,

told Miller they would find him a permanent position at the

3 conclusion of the project. When IMPACT concluded in late 1984,

Miller was assigned to a special project on reinsurance

collection.

Upon completing the special project on reinsurance

collection, Miller was appointed to the position of Senior Vice

President of the Underwriting Division. In this position, Miller

managed four departments, handled complaints from agents and

regulatory agencies, prepared state filings and annual budgets,

and managed a $70 million annual budget.

In late 1988, Miller's supervisor, Jack Morrison,

advised Miller that he should search for another job, both inside

and outside the company, because his position might be

eliminated. In March of 1989, Miller's position was eliminated.

Miller's superior, Nord Bjorke, sent him to Richard Hoag to

receive a special assignment reducing real estate costs in the

Property and Casualty Division.

One year later, Hoag informed Miller that, despite his

success in reducing real estate costs, his position as "real

estate czar" was being terminated. Hoag advised Miller that he

could assist Robert O'Neil, head of Real Estate in the Corporate

Staff, with special projects. In November of 1990, Miller was

informed that this position was being eliminated and that he

would be terminated at the end of December. At the time he was

terminated, Miller was fifty-eight years old and had been

downgraded to pay grade fifty-nine. At no time during 1990 was

Miller informed about five vacancies at the company for which he

might have applied.

4 The first vacancy was for the position of Vice

President, Filing and Regulation. Defendant announced that

Darrell DeMoss, age forty-two, had been selected. Miller had not

known of the position and contends that he was qualified for it

because, as Senior Vice President, Finance and Administration, he

supervised the Filing and Regulation function. Defendant asserts

that Miller was not considered because the position required

legal analysis and Richard Franklin, the hiring manager for this

position, decided to hire an attorney. Miller notes, however,

that his name was not included on the list of nonlawyer

candidates who were considered but disqualified, and that the

previous Vice President, Filing and Regulation, was not a lawyer.

The second vacancy was in the position of General

Manager of CIGNA Reinsurance Company, United Kingdom. Among the

desired qualifications were "[w]ork experience with either United

Kingdom accounting practices or reinsurance accounting practices

and principles . . . ." App. at 712. Miller asserts that this

position involved the same responsibilities he had when he

supervised the Newark Reinsurance Company. James Godorecci, who

was in charge of hiring for the position, acknowledged that he

wrote the job qualifications with Michael Durkin, age thirty-

five, in mind and that he never considered Miller for the

position. INA contends that Miller lacked the desired academic

credentials, work experience and knowledge of United Kingdom

accounting practices.

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