Platone v. United States Department of Labor

548 F.3d 322, 28 I.E.R. Cas. (BNA) 778, 2009 CCH OSHD 32,980, 2008 U.S. App. LEXIS 24378, 91 Empl. Prac. Dec. (CCH) 43,396, 2008 WL 5077822
CourtCourt of Appeals for the Fourth Circuit
DecidedDecember 3, 2008
Docket07-1635
StatusPublished
Cited by23 cases

This text of 548 F.3d 322 (Platone v. United States Department of Labor) is published on Counsel Stack Legal Research, covering Court of Appeals for the Fourth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Platone v. United States Department of Labor, 548 F.3d 322, 28 I.E.R. Cas. (BNA) 778, 2009 CCH OSHD 32,980, 2008 U.S. App. LEXIS 24378, 91 Empl. Prac. Dec. (CCH) 43,396, 2008 WL 5077822 (4th Cir. 2008).

Opinion

OPINION

GREGORY, Circuit Judge:

This case challenges a ruling of the Department of Labor’s Administrative Review Board (“ARB”) denying Stacy Pla-tone whistleblower protection under the Sarbanes-Oxley Act, 18 U.S.C. § 1514A (2006). For the reasons stated herein, the ARB’s decision is affirmed.

I.

Stacy Platone, Appellant, worked for the Airline Pilots Association (“ALPA”) as a pilot communications specialist. In the summer of 2002, Atlantic Coast Airlines (“ACA”), a wholly owned subsidiary of Atlantic Coast Airline Holdings, Inc., solicited applications for the position of manager of labor relations. Upon the recommendation of Captain John Swigart, a pilot at ACA and chair of ALPA’s local Master Executive Council, ACA hired Platone to fill the position. Swigart and Platone were in a relationship at the time; however, it is disputed whether Jeffrey Rodgers, ACA’s Senior Director of *324 Labor Relations and Planning — and Pla-tone’s immediate supervisor — knew of the relationship at the time of hiring.

After she started working at ACA, Pla-tone began to notice discrepancies regarding the airline’s flight-loss process- — the procedure by which the union reimbursed the airline when its pilots had to miss flights in order to attend union meetings. Tiffany de Ris, ACA’s Manager of Crew Resources, informed Platone that ALPA had not been billed for several months of flight loss.

Platone obtained the flight-loss records in February 2003 and discovered that pilots were also intentionally scheduling flights for days on which they were originally not scheduled to fly and for times at which they knew they would be required to attend union meetings. In essence, the pilots were getting paid for days on which they were originally not even supposed to fly and, in fact, did not fly. ALPA’s policy was not to pay for missed time on originally scheduled days off. When Platone alerted Rodgers to the issue, he told her that ACA would not pay the pilots for the days off if ALPA would not reimburse ACA. Platone had also informed Captain Chris Thomas, an ACA pilot and Swigart’s successor at ALPA, of the discrepancy, and Thomas contacted Rodgers and assured him that the union would reimburse ACA for the flight loss.

Platone was not satisfied with the union’s response, and on March 6, 2003, she sent Rodgers a draft letter, addressed to Thomas, demanding that ALPA uphold its flight-loss obligations. The letter also informed Thomas that if ALPA wanted ACA to continue to pay pilots who attended ALPA business on days for which they were not originally scheduled to fly, but which were subsequently voluntarily scheduled, he would need to inform ACA in writing to do so and indicate that ALPA would reimburse ACA. The following day, Rodgers e-mailed Platone to inform her that he did not intend to send the letter that she drafted.

Platone met with Michelle Bauman, ACA’s Director of Employment Services, on March 12, 2003. Bauman testified that Platone mentioned the flight-loss problem during the meeting, and handwritten notes from Bauman’s assistant verified that there was a discussion of the issue, though there was no indication that Platone made allegations of fraud. The following day, Platone met with senior airline officials, who suspended her with pay due to an unspecified conflict of interest. On March 19, 2003, Platone was officially fired, ostensibly because of her relationship with Captain Swigart.

Platone filed a Sarbanes-Oxley whistle-blower action with the Occupational Safety and Health Administration (“OSHA”) on April 3, 2003, setting forth the above facts, and for the first time, making an allegation of fraud. OSHA denied Platone’s complaint, finding that she failed to establish that she had engaged in protected activity. On August 14, 2003, Platone requested a hearing before the Office of Administrative Law Judges.

The administrative law judge (“ALJ”) found that Platone’s suspicions of fraud set forth in her OSHA complaint were reasonable, and that by alerting Rodgers and Bauman to the discrepancies, she had engaged in protected activity under the Sar-banes-Oxley Act. The ALJ concluded that a fraudulent scheme to compensate pilots in the hopes of gaining union contract concessions would necessarily involve the use of the mail and wires, and would therefore fall under the protection of the Sarbanes-Oxley Act. The ALJ imputed knowledge of Platone’s complaints to the managers at ACA responsible for employment decisions, whether or not they were directly *325 involved in the dealings. The ALJ further concluded that Platone’s complaints were a contributing factor to her dismissal.

Given that Platone’s job involved direct dealings with ALPA, the ALJ found that ACA had a legitimate, nonpretextual reason for firing Platone. Nevertheless, the ALJ concluded that it was impossible to separate the legitimate and improper reasons for firing Platone, and therefore that ACA failed to meet its burden to show by clear and convincing evidence that it would have fired Platone even if she had not come forward with her complaints.

ACA filed an appeal with the Administrative Review Board of the Department of Labor (“ARB”), which reversed the ALJ’s findings. First, the ARB held that allegations of mail or wire fraud under Sar-banes-Oxley must involve conduct that is at least “adverse to investors’ interests.” Platone v. FLYi, Inc., ARB Case No. 04-154, 2006 DOLSOX LEXIS 105 at *29 (ARB Sept. 29, 2006). Second, the ARB held that Platone’s allegations must relate definitively and specifically to the categories of fraud or securities violations listed in 18 U.S.C. § 1514A(a)(l) (2006). Id. at *38.

The ARB concluded that Platone’s emails to Rodgers and meeting with Bau-man did not communicate information specifically enough to indicate possible fraud against shareholders. Indeed, the ARB concluded that “the real victim of any alleged impropriety was ALPA” since Pla-tone and Rodgers had been reassured that ALPA would reimburse ACA for the flight pay loss. Id. at *42-43. Having reached this conclusion, the ARB held that Platone failed to provide ACA with specific information relating to protected activity under § 1514A(a)(l), and it therefore declined to address the remaining issues raised on appeal. Id. at *45-46.

II.

The whistleblower provision of the Sar-banes-Oxley Act is codified at 18 U.S.C. § 1514A(a) (2006). 1 The Act incorporates the rules and procedures set forth in 49 U.S.C. § 42121(b) (2000). Because the allegations at issue occurred in Virginia, ju *326 risdiction is conferred on this Court by 49 U.S.C. § 42121(b)(4). 2

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548 F.3d 322, 28 I.E.R. Cas. (BNA) 778, 2009 CCH OSHD 32,980, 2008 U.S. App. LEXIS 24378, 91 Empl. Prac. Dec. (CCH) 43,396, 2008 WL 5077822, Counsel Stack Legal Research, https://law.counselstack.com/opinion/platone-v-united-states-department-of-labor-ca4-2008.