VILLANUEVA V. BOARD OF COUNTY COMMISSIONERS OF BERNALILLO
COUNTY
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CARLOS VILLANUEVA,
Plaintiff-Appellant,
v.
BOARD OF COUNTY COMMISSIONERS
OF THE COUNTY OF BERNALILLO and
RON TORRES, Individually,
Defendants-Appellees.
COURT OF APPEALS OF NEW MEXICO
APPEAL FROM THE DISTRICT COURT OF
BERNALILLO COUNTY, Kevin R. Sweazea, District Judge
Western Agriculture Resource and Business
Advocates LLP, A. Blair Dunn, Albuquerque, NM, for Appellant
Law Office of Jonlyn M. Martinez, LLC,
Jonlyn M. Martinez, Albuquerque, NM, for Appellees
STEPHEN G. FRENCH, Judge. WE CONCUR: LINDA
M. VANZI, Chief Judge, J. MILES HANISEEE, Judge
AUTHOR: STEPHEN G. FRENCH
{1} Carlos Villanueva
(Plaintiff) sued the Board of County Commissioners of the County of Bernalillo
(the County) and Ron Torres (Torres) (collectively, Defendants) under the New
Mexico Whistleblower Protection Act (WPA), NMSA 1978, §§
10-16C-1 to -6 (2010),
for taking adverse employment action against him while he worked for the
County. The jury found in favor of Defendants. On appeal, Plaintiff argues that
the district court abused its discretion by admitting testimony concerning
Plaintiff’s conduct in the course of his employment with his previous employer.
We address Plaintiff’s evidentiary claim and affirm.
{2} We lay out the
basic facts that form the basis of Plaintiff’s WPA claim and describe the
testimony that Plaintiff now appeals the admission of, but we reserve further
discussion of the facts pertinent to our conclusion for our analysis.
{3} Plaintiff was
employed by Walgreens as a store manager from 1989 to 2008. After being
discharged from his employment at Walgreens, Plaintiff sought and acquired a
new job as a special projects coordinator in the accounting and financial
department at the Bernalillo County Metropolitan Detention Center (MDC). There,
he examined MDC’s contracts and reviewed accounts receivable and payable. In
September 2009, Plaintiff authored a memorandum detailing his findings and
concluding that MDC was overpaying the invoices on some of its contracts.
Plaintiff showed the memorandum to several of his superiors, including Torres.
That same month, after Plaintiff spoke with Defendants about what he believed
his accounting review had revealed, he was denied access to his computer, which
he said provided him “full access to everything in the jail,” including
financial information, MDC’s contracts, and human resources information.
Plaintiff claims Torres told him, “As of today, you’re assigned to the mail
room,” and he contends that Torres did not provide a reason for the change in
Plaintiff’s employment position. Plaintiff said that his job classification and
pay grade remained unchanged, but that his title became “mail clerk.” Plaintiff
worked in the mail room for about six months after sharing with Torres the
memorandum that he drafted, and then Plaintiff was fired from MDC.
{4} After his demotion
to the mail room and eventual termination from MDC, Plaintiff sued Defendants
for retaliation under the WPA. Under the WPA, a public employer cannot take any
retaliatory action against a public employee because the employee communicated
to the employer information about the employer’s act or failure to act that the
employee believes in good faith is unlawful or improper. Section 10-16C-3(A).
During the ensuing trial, at which Plaintiff testified at length, both parties
addressed an allegation that Plaintiff had used a racial slur when working at
Walgreens. References to this event occurred: (1) during defense counsel’s
opening statement (Plaintiff “was terminated from Walgreens for making an
inappropriate racial slur regarding an African[]American inside his store.”);
(2) during direct examination of Plaintiff by Plaintiff’s counsel (“[T]he
accusation was that you had used the N word?”); (3) during cross-examination of
Plaintiff by defense counsel (“Yesterday you told the jury that the first time
you ever heard about using a racial slur was when your lawyer told you about
it. . . . But, in fact, Walgreens told you while you were
still employed that they’d received a report that you’d referred to a service
worker as an ‘F’ing lazy N word[.]’ ”); and (4) during direct examination of a
witness, the deputy county attorney at the time, by defense counsel (“If the
County had learned, in fact, [Plaintiff] had been terminated from Walgreens for
making inappropriate racial slurs about African[]Americans, would he have been
considered for employment at the County . . . ?”).
{5} Ultimately, the
jury returned a verdict in favor of Defendants, by use of a special verdict form,
finding that Plaintiff failed to prove that at the time he produced his
memorandum he believed in good faith that Defendants engaged in misconduct. On
appeal, Plaintiff argues that the district court abused its discretion under
Rule
11-403 NMRA by allowing testimony about the racist remark purportedly made
by Plaintiff at the job he held prior to his employment with Defendants.
{6} Nearly all evidence
is relevant, so long as it has a tendency to make a fact that is of consequence
to the determination of the action more or less probable than it would be
without the evidence. Rule
11-401 NMRA. Relevant evidence, however, may be
excluded under Rule 11-403 if its probative value is substantially outweighed
by a danger of unfair prejudice or misleading the jury.
Id. Evidence is
unfairly prejudicial “if it is best characterized as sensational or shocking,
provoking anger, inflaming passions, or arousing overwhelmingly sympathetic
reactions, or provoking hostility or revulsion or punitive impulses, or
appealing entirely to emotion against reason.”
State
v. Stanley, 2001-NMSC-037, ¶ 17, 131
N.M. 368, 37 P.3d 85 (internal quotation marks and citation omitted). To
be excluded under Rule 11-403, the evidence must not only be prejudicial, it
must be unfairly so, which means that it has a “tendency to suggest decision on
an improper basis, commonly, though not necessarily, an emotional one.”
Stanley,
2001-NMSC-037, ¶ 17 (internal quotation marks and citation omitted).
{7} We review the
district court’s decision to admit or exclude testimony for an abuse of
discretion.
See Behrmann v. Phototron Corp.,
1990-NMSC-073, ¶ 17,
110
N.M. 323,
795 P.2d 1015 (explaining that the district court has “a great deal
of discretion in admitting or excluding evidence, and we will reverse the
[district] court only when it is clear that the court has abused its
discretion”).
“An abuse of discretion occurs when the ruling is clearly
against the logic and effect of the facts and circumstances of the case.”
Coates
v. Wal-Mart Stores, Inc.,
1999-NMSC-013, ¶ 36,
127 N.M. 47,
976 P.2d 999
(internal quotation marks and citation omitted). In balancing the probative
value and the unfair prejudice of the evidence, an abuse of discretion occurs
where the district court’s decision “is contrary to logic and reason.”
Davila
v. Bodelson,
1985-NMCA-072, ¶ 12,
103 N.M. 243,
704 P.2d 1119. “When there
exist reasons both supporting and detracting from a [district] court decision,
there is no abuse of discretion.”
Sandoval v. Baker Hughes Oilfield Operations,
Inc.,
2009-NMCA-095, ¶ 14,
146 N.M. 853,
215 P.3d 791 (internal quotation
marks and citation omitted).
{8} Plaintiff argues
that the probative value of a racist comment made at his prior place of
employment, if it exists, is marginal. He maintains that its introduction into
evidence neither tends to prove nor disprove any element of a WPA violation,
which occurs when an
employer retaliates against an employee for
communicating information about the
employer’s unlawful act; thus,
according to Plaintiff, violations of the WPA are entirely unrelated to an
employee’s
conduct in his
prior employment. For the same reason, Plaintiff further
argues that the alleged statement is not probative of Defendants’ affirmative
defense under the WPA, which allows the employer to prove that the adverse
employment action was taken because of the employee’s misconduct, poor job
performance, or for some other legitimate business reason. According to
Plaintiff, a statement made while Plaintiff worked for Walgreens bears no
capacity to prove or disprove that his employment with MDC was terminated
because of his misconduct or poor job performance at MDC.
{9} For the legal
reasons that follow, we need not address the probative value of the challenged
testimony admitted at trial but conclude that the district court did not abuse
its discretion.
See Griffin v. Guadalupe Med. Ctr., Inc.,
1997-NMCA-012,
¶ 14,
123 N.M. 60,
933 P.2d 859 (“The determination of relevancy, as well as
materiality, rests largely within the discretion of the [district] court.”).
Specifically, Plaintiff has failed to show that he was unfairly prejudiced by
introduction of evidence regarding the racially inflammatory statement he was
accused of making during his prior employment with Walgreens.
{10} It is well settled
that we will not reverse a district court’s decision to admit testimony where
the complaining litigant fails to show that he was unfairly prejudiced by its
introduction. “The purpose of Rule 11-403 is not to guard against any prejudice
whatsoever, but only against the danger of unfair prejudice[.]”
Williams v.
BNSF Ry. Co.,
2015-NMCA-109, ¶ 26,
359 P.3d 158 (emphasis, internal
quotations marks, and citation omitted). Plaintiff bears the burden of proving
unfair prejudice.
See Cumming v. Nielson’s, Inc.,
1988-NMCA-095, ¶ 28,
108 N.M. 198,
769 P.2d 732;
see also Hourigan v. Cassidy,
2001-NMCA-085,
¶ 21,
131 N.M. 141,
33 P.3d 891 (“[T]he complaining party on appeal must show
the erroneous admission and exclusion of evidence was prejudicial in order to
obtain a reversal.” (internal quotation marks and citation omitted)). This
burden includes having to show a “high probability that the improper evidence
may have influenced the fact[-]finder[.]”
Santa Fe Custom Shutters &
Doors, Inc. v. Home Depot U.S.A., Inc.,
2005-NMCA-051, ¶ 32,
137 N.M. 524,
113 P.3d 347 (internal quotation marks and citation omitted).
{11} Plaintiff merely
asserts that discussion of the statement was prejudicial but does not explain
how.
See Williams, 2015-NMCA-109, ¶ 13 (emphasizing that the
defendant did not explain how the evidence was prejudicial and how any
prejudice would have outweighed its probative value, and affirming the district
court’s decision to admit the testimony under Rule 11-403). Evidence is
unfairly prejudicial if there was an undue tendency to suggest decision on an
improper basis, or to encourage the jury to find against Plaintiff from
improper reasoning.
See Stanley,
2001-NMSC-037, ¶ 17. While Plaintiff
has asserted prejudice, he has not shown that the jury based its decision on
improper reasoning. Here, we know that the jury found in favor of Defendants
because they did not believe Plaintiff proved the good-faith element of his WPA
claim.
See § 10-16C-3(A) (requiring that the employee believe in good
faith that the employer’s conduct was unlawful or improper). That is because
the special verdict form, agreed upon unanimously by the jury, states:
“Plaintiff [did not] prove by the greater weight of the evidence that he
believed in good faith that . . . Defendants’ conduct constituted an unlawful
or improper act[.]” Thus, the jury reached its conclusion on grounds unrelated
to Plaintiff’s employment with Walgreens altogether, specifically returning a
verdict focused on Plaintiff’s conduct in the course of his employment with the
County and the circumstances under which he prepared the memorandum.
See
Kilgore v. Fuji Heavy Indus. Ltd.,
2009-NMCA-078, ¶ 64,
146 N.M. 698,
213
P.3d 1127 (emphasizing that the complaining party has the burden of showing “a
high probability that the improper evidence may have influenced the
fact[-]finder” (internal quotation marks and citation omitted));
Progressive
Cas. Ins. Co. v. Vigil, ___-NMSC-___, ¶ 24, ___ P.3d ___ (No.
S-1-SC-35130, Feb. 12, 2018) (relying upon the instructions provided to the
jury in evaluating the potential prejudicial effect of evidence that the
district court excluded as the basis for concluding that the plaintiff failed
to demonstrate that the exclusion of the evidence affected the outcome of the
trial, which was necessary to obtain reversal).
{12} Plaintiff also has
not developed an argument explaining how the record supports a conclusion that
the jury based its decision on something other than the legal propositions
relevant to the case.
See City of Santa Fe v. Komis,
1992-NMSC-051,
¶ 19,
114 N.M. 659,
845 P.2d 753 (concluding that admitted evidence did
not prejudice the jury “[a]fter reviewing the record” and the evidence
presented in support of a claim and that was used to counter contentions of the
opposing party). In fact, much of Plaintiff’s testimony at trial focused on the
details of his preparation of the memorandum concerning County contracts, and
whether he prepared the memorandum in good faith. In particular, Plaintiff was
asked about the results of an audit conducted by a professional auditing
company hired by Defendants to review the memorandum. The auditing company
received copies of the contracts analyzed by Plaintiff, along with other
information relevant to the analysis of the payment of those contracts,
performed recalculations of Plaintiff’s work, and estimated the dollar amount
of errors. One of Plaintiff’s findings estimated that MDC overpaid one contract
by $2.9 million. In contrast, the auditing company reviewed all invoices,
accounting system details, and disbursements made on the contract, and compared
each payment based on these documents. After recalculating Plaintiff’s work,
the company concluded:
We did not identify any problems
with County payments. A majority of the $2.9 million concern was due to the
former employee’s work, including an incomplete listing of invoices. The
listing provided by the former employee had 21 invoices; however, there were an
additional 21 invoices needed to reconcile his variance. We were able to tie out
all payments without any discrepancies . . . includ[ing]
amounts invoiced, amounts entered in the SAP system and amounts actually paid.
The auditing company found only one error with the
contract—an underpayment of $5,833.34 that was already being corrected by the
County. Otherwise, the auditing company “found no variances between what was
paid and what was entered in the system, and no overpayments.” The testimony
throughout the trial also revealed that it took the auditing company 194 hours
to complete an independent review of the contracts that were the subject of
Plaintiff’s memorandum, but Plaintiff completed his audit of the contracts in
less than a week.
{13} Additionally,
Plaintiff testified at length about when he was moved to the mail room, whether
he improperly delivered mail to his cousin, who was an inmate at MDC, whether
he impermissibly corresponded with other inmates through the exchange of mail,
and whether he engaged in other forms of misconduct in the mail room, e.g.,
leaving items unattended on his desk, including soft drinks, prescription
medications, and scissors. Given that the trial lasted several days and focused
largely on a variety of other factual circumstances that demonstrate
Plaintiff’s lack of good faith in preparing the memorandum and, more generally,
his misconduct and poor performance while employed by Defendants, we cannot
conclude that Plaintiff was unfairly prejudiced by the admission of the
testimony concerning the statement.
See Estate of Lajeuenesse ex rel.
Boswell v. Bd. of Regents of Univ. of N.M.,
2013-NMCA-004, ¶ 26,
292 P.3d
485 (reiterating that the district court has broad discretion in admitting
evidence under Rule 11-403 and noting that the district court is in the best
position to evaluate the prejudice that the defendant asserts);
Norwest Bank
N.M., N.A. v. Chrysler Corp.,
1999-NMCA-070, ¶ 39,
127 N.M. 397,
981 P.2d
1215 (“Our courts have repeatedly recognized that the [district] court is in
the best position to evaluate the effect of trial proceedings on the jury.”).
{14} Finally, we note
that Plaintiff relies mostly on criminal cases, namely
State v. McDonald,
1998-NMSC-034,
126 N.M. 44,
966 P.2d 752, in arguing that admission of the
testimony about the statement was unfairly prejudicial. We are hesitant to
import concepts concerning probative value and unfair prejudice from these
cases into the civil arena, or to draw comparisons to criminal cases in which
evidence of racial animus was admitted or excluded. The criminal cases cited by
Plaintiff involve Rule 11-403 claims about the admission or exclusion of
evidence related to race and racial hatred, but they involve specific
circumstances not apt for analogizing here.
See, e.g.,
McDonald,
1998-NMSC-034, ¶¶ 13-14 (holding that the district court did not abuse its
discretion by allowing the defendant’s anti-Hispanic comments about the victim
to be put before the jury on the issue of motive).
{15} We conclude that the
district court did not abuse its discretion in admitting the testimony at issue
and therefore affirm the verdict in favor of Defendants.
LINDA M. VANZI, Chief Judge