ABBAMONT V. PISCATAWAY TOWNSHIP BOARD OF EDUCATION
Case Date: 12/22/1994
Docket No: SYLLABUS
|
(This syllabus is not part of the opinion of the Court. It has been prepared by the Office of the Clerk for
the convenience of the reader. It has been neither reviewed nor approved by the Supreme Court. Please
note that, in the interests of brevity, portions of any opinion may not have been summarized).
JOSEPH P. ABBAMONT, JR. V. PISCATAWAY TOWNSHIP BOARD OF EDUCATION (A-22-94)
Argued September 26, 1994 -- Decided December 22, 1994
HANDLER, J., writing for the Court.
Joseph Abbamont, Jr., a non-tenured public school industrial arts teacher, filed suit against the
Piscataway Township Board of Education (board) alleging that its conduct, through its supervisory
employees, violated the Conscientious Employee Protection Act (CEPA). Abbamont claimed that the board,
through its supervisory employees, retaliated against him by not rehiring him as a tenured teacher because he
complained about inadequate health and safety conditions in Quibbletown Middle School's metal shop.
Abbamont's complaint sought reinstatement and back pay, attorneys' fees, punitive damages and costs.
The trial court severed the punitive-damage claim from the jury trial, holding that a judge and not a
jury should determine the issue of punitive damages. On the remaining claims, the jury returned a verdict in
favor of Abbamont and awarded him compensatory damages of $60,000. Nonetheless, the trial court granted
the board's motion to dismiss the complaint on which it had earlier reserved decision, concluding that
Abbamont had not established vicarious liability of the board based on the actions of its supervisory
employees.
The Appellate Division, concluding that the board was vicariously liable for the improper actions of
its supervisory employees, reversed the decision of the trial court, reinstated the jury verdict, and remanded
the case for a jury trial on punitive damages. One judge dissented, reasoning that punitive damages could
not be awarded under CEPA.
The Supreme Court granted the board's petition for certification and Abbamont appealed as of right
based on the dissent in the Appellate Division.
HELD: In an action brought under the Conscientious Employee Protection Act, a local board of
education may be held vicariously liable for the retaliatory acts of its school officials. In addition,
punitive damages are available against public employers under CEPA pursuant to the heightened
standard of liability established in Lehmann v. Toys R Us. Moreover, punitive damages are to be
determined by a jury as the trier of fact.
1. CEPA defines retaliatory action as the discharge, suspension or demotion of an employee, or other
adverse employment action taken against an employee in the terms and conditions of employment. A school
district is considered an employer under CEPA. (pp. 7-11)
2. The standards governing employer liability determined in Lehmann are applicable to actions brought
under CEPA. Thus, to fulfill the remedial purposes of CEPA, employers should be strictly liable for
equitable relief in the nature of reinstatement, restoration of back pay, etc. In addition, agency principles
apply to determine vicarious liability of the employer in CEPA actions for compensatory damages based on
retaliatory conduct. Thus, the doctrine of respondeat superior governs employer liability for compensatory
damages under CEPA. Lastly, the higher standard of liability for punitive damages in LAD actions imposed
in Lehmann is also appropriate in CEPA actions. As such, the employer is liable for punitive damages only
in the event of actual participation by upper management or willful indifference. (pp. 11-17)
3. Abbamont established a cause of action under CEPA. The evidence supports the determination that
the supervisory employees of the board engaged in retaliatory action against Abbamont for his complaints
based on his reasonable belief that conditions at work were contrary to law and violated administrative rules
and regulations as well as public policy. The recommendation not to rehire Abbamont with tenure, which
was accepted by the board, was within the scope of the authority of those supervisors. That action, under the
doctrine of respondeat superior, constitutes the basis for the board's vicarious liability to Abbamont for
compensatory damages under CEPA. (pp. 17-23)
4. A reading of the language of CEPA, a consideration of it's provisions in light of the Tort Claims
Act, a review of CEPA's legislative history, an understanding of the underlying policy concerns in awarding
punitive damages against public entities, and an examination of it's remedial purpose persuade the Court that
CEPA permits the award of punitive damages against public entities. In addition, punitive damages should
be determined by a jury as the trier of fact. In overruling Shaner v. Horizon Corp., the Legislature sought to
treat LAD and CEPA actions like common-law tort actions, in which juries determine damages, including
punitive damages. (pp. 23-34)
5. The trial court properly admitted into evidence the workers' compensation settlement between the
parties because the settlement was introduced not to establish the board's liability, but to prove that
Abbamont had a reasonable belief that the safety standards were being violated due to the injuries he had
suffered. In addition, the trial court properly exercised its discretion under Evid. Rule 4 (now N.J.R.E. 403)
in admitting that settlement because it was neither inflammatory nor unduly prejudicial. (pp. 34-36)
The judgment of the Appellate Division is AFFIRMED. (Please note that the Court is unanimous
on all issues except for the availability of punitive damages. On that issue, Part III of Justice Handler's
opinion, the Court is equally divided. That being so, that aspect of the judgment of the Appellate Division is
also affirmed.)
JUSTICE POLLOCK, concurring in part and dissenting in part, dissents from that part of the
majority opinion holding that Abbamont may maintain a claim for punitive damages against the board.
Justice Pollock is of the view that the Legislature did not intend that public entities should be subject to
payment of punitive damages under CEPA.
JUSTICES O'HERN and STEIN join in JUSTICE HANDLER's opinion in its entirety. JUSTICE
POLLOCK has filed a separate opinion, in which he joins all of JUSTICE HANDLER's opinion except for
Part III (Punitive Damages), from which he dissents. JUSTICES CLIFFORD and GARIBALDI join in
JUSTICE POLLOCK's opinion. CHIEF JUSTICE WILENTZ did not participate.
SUPREME COURT OF NEW JERSEY
JOSEPH P. ABBAMONT, JR.,
Plaintiff-Respondent,
v.
PISCATAWAY TOWNSHIP BOARD OF
Defendant-Appellant.
Argued September 26, 1994 -- Decided December 22, 1994
On certification to the Superior Court,
Appellate Division, whose opinion is reported
at
269 N.J. Super. 11 (1993).
David B. Rubin argued the cause for appellant
(Rubin, Rubin, Malgran, Kaplan & Kuhn,
attorneys).
Glen D. Savits argued the cause for
respondent (Wilentz, Goldman & Spitzer,
attorneys; Mr. Savits and Laura J. Bogaards,
on the briefs).
Jaynee LaVecchia, Assistant Attorney General,
argued the cause for amicus curiae Attorney
General of New Jersey (Deborah T. Poritz,
Attorney General, attorney; Jack M. Sabatino,
Assistant Attorney General, on the brief).
Richard M. Schall submitted a brief on behalf
of amicus curiae New Jersey Employee Lawyers
Association (Tomar, Simonoff, Adourian &
O'Brien, attorneys).
Kathleen A. Naprstek submitted a letter brief
on behalf of amicus curiae New Jersey
Education Association (Zazzali, Zazzali,
Fagella & Nowak, attorneys).
The opinion of the Court was delivered by
HANDLER, J.
In this case, a non-tenured public school industrial arts
teacher claimed that his employer, the local board of education,
through its supervisory employees, retaliated against him by not
rehiring him as a tenured teacher because he complained about
inadequate health and safety conditions in the school's metal
shop. The teacher filed a complaint against the board of
education alleging that its conduct violated the Conscientious
Employee Protection Act, N.J.S.A. 34:19-1 to -9 (CEPA). The
board contended that it was not vicariously liable for the
actions of its school officials.
In September 1985, plaintiff, Joseph P. Abbamont, Jr., was hired by defendant, Piscataway Township Board of Education (board), to teach industrial arts. Plaintiff was employed by
defendant in Quibbletown Middle School for the 1985-86, 1986-87,
and 1987-88 school years.
The ventilation system, however, was not repaired in September
1987. Plaintiff complained to Papariello and McGarigle again.
McGarigle along with a statement that plaintiff would no longer
use the plastics machines until the ventilation problems had been
addressed, and a suggestion that the plastics course be changed
to technical drawing. Edelchik informed plaintiff that an air
quality check would be completed to determine whether the shop
was safe, and that he should immediately shut down the plastics
machines to avoid exposing the students to anything that
plaintiff thought would be dangerous.
After plaintiff stopped teaching, an air-quality test was
performed. The report, which the board received on March 10,
1988, stated that the classroom was safe from all nuisance
particles. Plaintiff, however, was not informed of the favorable
air-quality report.
The primary issue is whether defendant, the local board of education, may be held vicariously liable as a public employer under CEPA for its decision, based on the recommendations of its principal and superintendent, not to rehire plaintiff with tenure because of complaints plaintiff had made concerning health and safety conditions in the school. The derivative issue is whether the evidence supports the determination that the conduct of the supervisory officials and the board constituted "retaliatory action" under CEPA.
Plaintiff claims that defendant's decision not to rehire him as a tenured teacher constituted "retaliatory action" under CEPA. He contends that he was fired for his "objections to and refusal to participate in an activity he reasonably believed to be incompatible with a clear mandate of public policy concerning the public, health, safety or welfare," and for "disclosing and/or threatening to disclose to defendant's supervisors a policy or practice of defendant that he reasonably believes was in violation of a law, rule or regulation promulgated pursuant to law." CEPA defines "retaliatory action" as "the discharge, suspension or demotion of an employee, or other adverse employment action taken against an employee in the terms and conditions of employment." N.J.S.A. 34:19-2e. Plaintiff
additionally asserts that as an "employer," the board of
education was liable under CEPA for that retaliatory action of
its officials, the superintendent and principal. Under CEPA,
"employer" is defined as Further, plaintiff claims that the superintendent and principal acted in supervisory capacities. The statute defines "supervisor" as any individual with an employer's organization who has the authority to direct and control the work performance of the affected employee, who has authority to take corrective action regarding the violation of the law, rule or regulation of which the employee complains, or who has been designated by the employer on the notice required under . . . this act. In charging the jury, the trial court declared that the board would not be vicariously liable for any illegal retaliatory acts attributed to its superintendent and principal unless the jury found that the board had known, or should have known, of those acts and had ratified or agreed to them. In later granting defendant's motion to dismiss plaintiff's complaint, the trial
court ruled that plaintiff had not established a prima facie case
of vicarious liability because McGarigle did not have the
authority to take corrective action due to his limited budget
powers and his inability to contract for outside services and
consequently was not a "supervisor" under N.J.S.A. 34:19-2d. The
trial court also ruled that under CEPA a public body may not be
vicariously liable for the wrongful or illegal acts of its
employees unless it specifically "consents" to those acts.
N.J.S.A. 34:19-2a. The court further determined that plaintiff
had failed to make his disclosure "to someone beyond . . . a
supervisor within the meaning of the statute" as required by
N.J.S.A. 34:19-3a. Under CEPA an employer can be "any person or group of persons acting directly or indirectly on behalf of or in the interest of an employer with the employer's consent." N.J.S.A. 34:19-2a. Further, such an employer can be a governmental entity, that is, one of the "branches of State Government, or the several counties and municipalities thereof, or any other political subdivision of the State, or a school district, or any special district." Ibid. The courts below differ over whether that provision of CEPA imports the traditional principles of respondeat superior for determining whether an employer may be deemed vicariously liable for the wrongful actions of its employees. Under the doctrine of respondeat superior, an employer is liable to a third party for the torts of one of its employees if that employee is acting within the scope of his or her employment. Di Cosala v. Kay, 91 N.J. 159, 168-69 (1982); Gilborges v. Wallace, 78 N.J. 342, 351 (1978). An employee is acting within the scope of employment if the action is "'of the kind [that the servant] is employed to perform; it occurs substantially within the authorized time and space limits; [and] it is actuated, at least in part, by a purpose to serve the master.'" Di Cosala, supra, 91 N.J. at 169 (citing Restatement (Second) of Agency § 228 (1957) (alteration in original)); see 1 J.D. Lee & Barry A. Lindahl, Modern Tort Law: Liability and
Litigation § 7.01, at 186 (rev. ed. 1993); W. Page Keeton et al.,
Prosser and Keeton on Torts § 70, at 505 (5th ed. 1984).
Resolving that issue, the Court structured a three-level standard
for determining the liability of employers:
We conclude that the analysis and principles of Lehmann are
appropriate to our consideration of the essential elements of a
cause of action under CEPA and hold that the standards governing
employer liability as determined and explained in that decision
are fully applicable to actions brought under CEPA.
all New Jersey workers who are concerned about working in a safe
environment with honest employers." Linda Lamendola, Safeguards
Enacted for "Whistleblowers", The Star Ledger, Sept. 8, 1986, at
1. When signing the whistleblower law, Governor Kean explained
CEPA's purpose:
It is just as unfortunate that illegal
activities have not been brought to light
because of the deep-seated fear on the part
of an employee that his or her livelihood
will be taken away without recourse.
In CEPA actions, as in LAD actions, "the employer is the
party with the power and responsibility to hire, promote,
reinstate, provide back pay, and take other remedial action."
Id. at 617. Consequently, we conclude that to fulfill the
remedial purposes of CEPA, employers should be strictly liable
for equitable relief in the nature of reinstatement, restoration
of back pay and the like.
[
53 Am. Jur. 2d Master & Servant §
438 (1970).]
See Lehmann, supra, 132 N.J. at 619; W. Prosser, et al., Cases
and Materials on Torts 685 (7th ed. 1982) ("Respondeat superior
is not limited to negligent torts. An employer may be held
liable for the intentional torts of his servant when they are
reasonably connected with the employment and so within its
'scope.'"). Therefore, CEPA, even though it covers intentional
conduct, does not preclude the application of traditional agency
principles.
In so doing, defendant analogizes CEPA actions to federal actions
under U.S.C.A. § 1983, the prevailing interpretation of which
rejects the traditional principles of respondeat superior in such
actions against government agencies. Monell v. New York City
Dep't of Social Servs.,
436 U.S. 658,
98 S. Ct. 2018,
56 L. Ed.2d 611 (1978).
responsible for damages to persons or property caused by private
persons"). Thus, because "official policy" is not a determinant
of whether employer conduct is actionable under CEPA, we infer no
legislative intent based on an analogy to section 1983 that the
"specific consent" of an employer constitutes an element of the
statutory standard. As found by the Appellate Division, the
requirement of "consent" by the employer as an element in
assessing its responsibility for the actions of its employees
must be understood as simply reflecting "normal principal and
agent as well as respondeat superior principles." Id. at 26.
The Appellate Division found that the evidence amply supports the jury determination that the actions of the board's superintendent and principal constituted retaliatory conduct in violation of CEPA. McGarigle and Edelchik were high-level employees who were responsible for conditions in the shop, for evaluating plaintiff's job performance, and for making tenure
recommendations. As this Court noted in Lehmann, an employer
whose supervisory employee is acting within the scope of
employment will be liable for that supervisor's improper conduct.
132 N.J. at 619. Accordingly, we sustain the Appellate Division
determination that the actions of McGarigle and Edelchik,
specifically their recommendation that plaintiff not be rehired
with tenure, were within the scope of their employment. 269 N.J.
Super. at 27-28.
the board had never overturned his recommendation not to rehire a
teacher.
March 17. Nevertheless, McGarigle did complete a summary
evaluation of plaintiff on March 24, 1988.
Further, in an altercation with Papariello at the end of January
1988 about the shop's air quality, Papariello told plaintiff,
"this is your tenure year and I'm going to tell you something,
you'll never see it." Ibid. According to the record, Assistant
Superintendent of Schools and Board Secretary Guy Vander Vliet
also told plaintiff: "I'll be truthful with you. I think that
maybe you should go your way and Piscataway will go the other
way." Ibid. The next morning, following that conversation with
Vander Vliet, McGarigle, who, according to plaintiff, was
"extremely mad," stated, "I don't care what you do, you ain't
coming back. There's no tenure. You're not going to get it. I
warned you three years ago and I'm going to tell you I'll make
good on my promise, you're not going to get tenure." Id. at 18-19.
a. Discloses, or threatens to disclose to a
supervisor or to a public body an activity, policy or
practice of the employer . . . that the employee
reasonably believes is in violation of a law, or a rule
or regulation promulgated pursuant to law;
* * *
c. Objects to, or refuses to participate in any
activity, policy or practice which the employee
reasonably believes:
(1) is in violation of a law, or a rule
or regulation promulgated pursuant to law;
(2) is fraudulent or criminal; or
(3) is incompatible with a clear
mandate of public policy concerning the
public health, safety or welfare or
protection of the environment. Plaintiff established the existence of health and safety administrative rules and regulations and a clear mandate of public policy applicable to conditions of the metal shop, as required under N.J.S.A. 34:19-3c(3). In December 1985, Papariello distributed a booklet entitled "New Jersey Industrial
Arts Education Safety Guide." The guide included Title 6 of the
1977 New Jersey Administrative Code ("Vocational Education Safety
Standard"), the 1982 amendment to Title 6, and the "National
Standard School Shop Safety Inspection Check List." The guide
also included an administrative regulation that specifically
requires "dependable ventilation" that provides "a minimum amount
of outdoor air supply and exhaust on movement" for different
types of industrial arts, including metal work. N.J.A.C. 6:22-5.2. It was accompanied by a cover memorandum written by
Papariello that explained the guide, instructed the industrial
arts teachers to read the materials, and informed them that the
board was adopting the safety guide as "our official safety
guide." 269 N.J. Super. at 16. The regulations thus directly
and specifically addressed matters of health and safety and fully
reflected a mandate of public policy relating to general concerns
of health, safety and environmental protection.
testified that operating the machines in plaintiff's shop without
individual ventilation hoods was unsafe, given the emissions of
fumes and gases created by the melting of plastics and welding of
metals as well as the dust created by the grinding of metals.
We conclude, as did the Appellate Division, that plaintiff established a cause of action under CEPA. The evidence supports the determination that the supervisory employees of defendant, board of education, its principal and superintendent, engaged in retaliatory action against plaintiff for his complaints based on his reasonable and objective belief that conditions at work were contrary to law and violated administrative rules and regulations and were incompatible with a clear mandate of public policy. The recommendation not to rehire plaintiff with tenure, which was accepted by the board, was within the scope of the authority of those supervisors. That action, under well-established agency principles of respondeat superior, constitutes the basis for the board's vicarious liability to plaintiff for compensatory damages under CEPA.
The majority of the Appellate Division determined that punitive damages were available under CEPA because in amending both CEPA and LAD, the Legislature provided not only for jury trials but also for remedies available in common-law tort
actions. The majority further concluded, "Allowing plaintiff the
remedies available in common law tort actions, the remedy of
punitive damages herein should be decided by a jury, as it is in
common law tort actions." 269 N.J. Super. at 29. We agree. In
light of the dissents in the Appellate Division and in this
Court, we explain more fully why punitive damages may be imposed
against a public employer under CEPA and why punitive damages
under CEPA is an issue to be resolved by a jury as fact-finder.
tort actions shall be available to prevailing
plaintiffs. These remedies are in addition
to any legal or equitable relief provided by
this act or any other statute. The court may
also order:
* * * *
f. Punitive damages . . . CEPA thus provides that punitive damages are available "[u]pon a violation of any of the provisions of this act." N.J.S.A. 34:19-5f; see also Knowlton v. Greenwood Indep. Sch. Dist., 957 F.2d 1172, 1182 (5th Cir. 1992) (rejecting school district's argument that punitive damages are unavailable against public entity under Texas whistleblower law because plain language of statute allowed for "exemplary damages" and provided for claims against "local governmental body," which included public school districts). Further, no specific CEPA provision exists that precludes the awarding of punitive damages against public employers. That omission must be deemed purposeful. On that point, TCA is instructive. That Act reestablished sovereign immunity against tort claims "except where there is a statutory declaration of liability." Burke v. Deiner, 97 N.J. 465, 472 (1984). TCA expressly provides that "[n]o punitive or exemplary damages shall be awarded against a public entity." N.J.S.A. 59:9-2c. TCA thus exemplifies the Legislature's ability to exclude the availability of punitive damages against public entities when it so chooses. See also N.J.S.A. 59:13-3 (providing "no recovery against the State for punitive . . . damages arising out of contract" allowed under Contractual Liability Act). As duly noted by the Appellate Division majority, "If the Legislature intended to exempt public entities from punitive damages under CEPA [as it did under TCA] . . . it would have done so. . . " 269 N.J. Super. at 30; see Young v. City of Des Moines, 262 N.W.2d 612, 622 (Iowa 1978) (noting that if legislature had intended to exempt municipal corporations from liability for punitive damages in wrongful death actions, it could have easily done so; therefore, despite state Tort Claims Act, which "specifically precluded" punitive damages, legislature's "failure to include a like immunity for municipal corporations [in false arrest statute] can scarcely be attributed to inadvertence or oversight") (The Iowa Code was later amended to exempt municipalities from liability for punitive damages in wrongful death actions. Iowa Code Ann. § 613A.4(5)); Jackson v. Housing Auth., 341 S.E.2d 523, 525-26 (N.C. 1986) (ruling punitive damages recoverable against city in wrongful-death action because legislature had created statutory exception to common-law prohibition against awarding punitive damages against city by specifically providing for punitive damages and by not limiting definition of "person" against whom such damages could be awarded to exclude municipal corporations); Texas Dep't of Human Servs. v. Green, 855 S.W.2d 136, 143 (Tex. Ct. App. 1993) (holding that Whistleblower Act "waives the State's governmental immunity from suit from liability of state and local government entities"); Lee & Lindahl, supra, § 21.31, at 791 ("In a small number of
jurisdictions it has either been held that a governmental entity
will be liable for the punitive damages resulting from the
wrongful conduct of its agents, or there is limited authority
from which it could be argued that the governmental entity would
be liable given compelling . . . circumstances.").
256, 257-58 (S.D. Ohio 1993) (noting that legislature
"specifically considered and rejected a draft of the
Whistleblower Act which would have included . . . punitive
damages").
and eradicate vindictive action by employers and to further
important interests of both employees and the public.
damages against public entities.
269 N.J. Super. 34-35
(Petrella, P.J.A.D., concurring and dissenting). The presumption
against an implied repealer is grounded in the basic statutory
construction rule "that every effort should be made to harmonize
the law relating to the same subject matter." State v. Green,
62 N.J. 547, 554 (1973) (emphasis added); see State v. States,
44 N.J. 285, 292 (1965); Loboda v. Clark Township,
40 N.J. 424, 434-35 (1963). However, TCA and CEPA involve different subject
matter.
disavows any remedial purpose to vindicate societal interests or
to rectify public or governmental misconduct or to protect any
individual constitutional or civil right. It thus expressly
prohibits exemplary or punitive damages under the Act. N.J.S.A.
59:9-2c." Fuchilla, supra, 109 N.J. at 344 (Handler, J.,
concurring). Hence, the Court noted that LAD's different purpose
"suggests that the Legislature did not intend that the [Tort
Claims] Act apply to discrimination claims." 109 N.J. at 335;
see also McGrath v. New Jersey Dist. Water Supply,
224 N.J.
Super. 563, 570 (Law Div. 1986) (noting that "the Tort Claims Act
does not apply to several causes of action, such as inverse
condemnation and violation of civil rights").
151, 156 (Law Div. 1985) (ruling that remedial statutes will be
construed to give words the most extensive meaning to which they
are susceptible). Like LAD, CEPA promotes a strong public policy
of the State: "We view this legislation as a reaffirmation of
this State's repugnance to an employer's retaliation against an
employee who has done nothing more than assert statutory rights
and protections and a recognition by the Legislature of a
preexisting common-law tort cause of action for such retaliatory
discharge." Lepore v. National Tool & Mfg. Co.,
115 N.J. 226,
228 (quoting Lepore,
224 N.J. Super. 463, 470 (1988)), cert.
denied,
493 U.S. 954,
110 S. Ct. 366,
107 L. Ed.2d 353 (1989).
"In New Jersey, we are deeply committed to the principle that an
employer's right to discharge an employee carries a correlative
duty to protect his freedom to decline to perform an act that
would constitute a violation of a clear mandate of public
policy." D'Agostino v. Johnson & Johnson, Inc.,
225 N.J. Super. 250, 265 (App. Div. 1988), aff'd o.b.,
115 N.J. 491 (1989); see
Parker v. M & T Chems., Inc.,
236 N.J. Super. 451, 457 (App. Div.
1989); Potter v. Village Bank,
225 N.J. Super. 547 (App. Div.),
certif. denied,
113 N.J. 352 (1988).
from the jury. However, as noted, the 1990 amendments to CEPA
and LAD created the right to a jury trial and common-law tort
remedies. See discussion, supra at __ (slip op. at 26-27). In
overruling Shaner, supra, 116 N.J. at 457, which held that "an
action under the Law Against Discrimination does not entail the
right to a trial by jury," the Legislature sought to treat LAD
and CEPA actions like common-law tort actions. In common-law
tort actions, juries determine damages, including punitive
damages. See Leimgruber v. Claridge Assoc., Ltd.,
73 N.J. 450,
456 (1977) (noting that the decision to award punitive damages
"rests within the sound discretion of the trier of fact");
Cabakov v. Thatcher,
37 N.J. Super. 249, 259 (App. Div. 1955)
("It is elementary that the amount of punitive damages assessed
against a defendant in a proper case is a matter resting in the
sound discretion of the jury.");
22 Am. Jur. 2d § 739 (1988)
(noting that recovery of punitive damages generally rests with
jury, or court when it acts as a trier of fact). Accordingly,
N.J.S.A. 34:19-5 provides that a jury "try the validity of any
claim under this act specified in the suit."
Due to the universal recognition of the broad
discretion by a jury to determine whether to
give or withhold punitive damages and, when
awarded, to determine the amount to be
awarded, only one area of judicial control of
the exercise of jury discretion has been
recognized. That area of control is over
excessive punitive damage awards.
[Lee & Lindahl, supra, § 21.40, at
813.]
In sum, we conclude that punitive damages are available
against public employees under CEPA pursuant to Lehmann's
heightened standard of liability and those damages are to be
determined by the jury as fact-finder.
The Appellate Division unanimously found that the trial court properly had admitted evidence of a workers' compensation settlement between the parties because the settlement was introduced not to establish defendant's liability, but to prove that plaintiff had a reasonable belief that safety standards were being violated due to the injuries |