JOHN VARGO,
Plaintiff-Appellant,
NATIONAL EXCHANGE CARRIERS
ASSOCIATION, INC., AND
LABORATORY CORPORATION OF
AMERICA,
Defendants-Respondents,
and
ACCOUNTANTS ON CALL, INC.,
Defendant.
_____________________________________________________________
Argued March 9, 2005 - Decided April 12, 2005
Before Judges Newman, Axelrad and Holston, Jr.
On appeal from Superior Court of New Jersey, Law Division, Morris County, Docket
No. L-3812-01.
Christopher P. Kelly argued the cause for appellant (Reppert Kelly, attorneys; Mr. Kelly,
on the brief).
Richard S. Zackin argued the cause for respondent National Exchange Carriers Association (Gibbons,
Del Deo, Dolan, Griffinger & Vecchione, attorneys; Mr. Zackin, on the brief).
Demetrios C. Batsides argued the cause for respondent Laboratory Corporation of America (Gibbons,
Del Deo, Dolan, Griffinger & Vecchione, attorneys; Mr. Batsides and Mara E. Zazzalli-Hogan,
on the brief).
The opinion of the court was delivered by
HOLSTON, JR., J.A.D.
Plaintiff, John Vargo, appeals the January 28, 2004 order memorializing Judge Dumont's written
opinion granting summary judgment in favor of defendants, National Exchange Carriers Association, Inc.
(NECA) and Laboratory Corporation of America (LabCorp), dismissing plaintiff's nine-count amended complaint.
Plaintiff alleges: (1) invasion of his right to privacy, in violation of the
common law and the state constitution (against NECA); (2) negligence (against NECA); (3)
wrongful refusal to hire in violation of public policy (against NECA); (4) wrongful
discharge in violation of public policy (against NECA and Accountants on Call, Inc.
(AOC)); (5) discriminatory refusal to hire based upon disability or perceived disability, in
violation of the New Jersey Law Against Discrimination (NJLAD) N.J.S.A. 10:5-1 to -49
(against NECA); (6) discriminatory discharge based upon disability or perceived disability, in violation
of the NJLAD (against NECA and AOC); (7) retaliatory discharge in response to
plaintiff's expressed intent to sue NECA for violating his civil rights, in violation
of the NJLAD (against NECA and AOC); (8) tortious interference with prospective economic
advantage (against NECA); and (9) negligence (against LabCorp).
NECA is a not-for-profit corporation that assists telephone companies in fulfilling the responsibilities
and obligations imposed upon them by the Federal Communications Commission (FCC) by providing
operational services to implement "universal service support programs" such as the "School and
Libraries Program" and the "Rural Healthcare Program." These programs allow schools, libraries and
rural healthcare providers to receive discounts on advanced telecommunications and information services.
For approximately eighteen months, between January 2000 and June 2001, plaintiff worked at
NECA through AOC, a temporary agency through which he was compensated as a
Program Integrity Assurer in the company's Schools and Libraries Division, reviewing applications from
school and libraries to determine their eligibility for monetary grants.
In May 2001, plaintiff's direct supervisor at NECA, John Carey, advised plaintiff of
an opening for a permanent position in NECA's Rural Healthcare Division. Plaintiff knew
that it was NECA's policy to require all applicants for permanent positions to
submit to a drug test and that passing the drug test was a
condition of employment. Plaintiff informed Carey that he was taking certain legally-prescribed medications
for degenerative disc disease that might show up on a drug test. Carey
advised plaintiff to be "forthright" and inform everybody "upfront" about the medications he
was taking.
On May 21, 2001, plaintiff was offered the position by Cathy Post, an
associate manager of staffing in NECA's human resources department, contingent upon his passing
a drug test scheduled for three o'clock that afternoon at Morristown Memorial Hospital.
Plaintiff did not object to taking the drug test. NECA's drug testing policy
was printed on the employment application plaintiff had completed and signed under the
heading "Terms and Conditions of Employment."
NECA has had a drug-free workplace policy since the early 1990s, which originally
applied only to applicants for permanent employment and not temporary employees. However, as
the number of temporary employees increased over the years, NECA reconsidered that practice
and presently requires all temporary and permanent employees to undergo a pre-employment drug
test.
On the morning of May 21, 2001 after he received the offer of
employment, plaintiff met with Carey and discussed the drug test, including the fact
that he had eaten a poppy seed bagel for breakfast that morning. Carey
advised plaintiff to disclose that fact to the screener because poppy seed bagels
could show up on plaintiff's drug screen.
Before he left for the drug test, plaintiff met with Post to obtain
the drug testing paperwork and provided her with a note from one of
his physicians, disclosing that he was taking prescription medication that might show up
on his drug screen. Post advised plaintiff that NECA did not need to
know about his prescriptions unless the drug test came back positive, but she
advised him to provide such information to the person administering the test.
When plaintiff arrived at Morristown Memorial Hospital, he proceeded to the emergency room
where he met with the male nurse who was to take his urine
specimen. Plaintiff advised the nurse of his prescription medications and also volunteered that
he had eaten a poppy seed bagel for breakfast that morning. The nurse
handed plaintiff a sealed bag containing a sample cup. He then left plaintiff
alone to provide the urine sample in a private bathroom.
The sample was sent to LabCorp, an independent clinical laboratory, for analysis. NECA
contracted with LabCorp to perform its drug screens and relied upon LabCorp to
provide it with accurate test results.
LabCorp tested plaintiff's urine sample for drugs of abuse, including amphetamines, cannabinoids, cocaine,
and opiates (codeine and morphine). Testing consisted of an initial immunoassay screen followed
by a confirmatory screen using gas chromatography/mass spectrometry, which is considered the "gold
standard" in the laboratory testing industry.
When analyzing samples for NECA, LabCorp has used a cutoff level of 300
nanograms per milliliter (ng/ml) for detecting opiates, meaning that any reading greater than
300 ng/ml was considered "positive" for opiates. The 300 ng/ml cutoff was standard
in the industry when NECA entered into its contract with LabCorp and was
the only cutoff used for opiate detection.
In 1998, the United States Department of Transportation (DOT) raised its cutoff for
opiate detection from 300 ng/ml to 2000 ng/ml in order to reduce the
possibility of positive results caused by innocent activity, such as the ingestion of
food products containing poppy seeds. However, notwithstanding the DOT's change in its cutoff
level, the majority of LabCorp's tests including those performed for NECA in 2001
continued to use a 300 ng/ml cutoff level for opiates since private industry
clients were not required to follow the DOT guidelines.
Plaintiff's expert, Dr. Richard Saferstein, offered his personal opinion that LabCorp should have
advised its clients that use of the 300 ng/ml cutoff could cause a
positive reading as a result of innocent ingestion of certain food products and
that use of a 2000 ng/ml cutoff was more appropriate than a 300
ng/ml cutoff. However, Saferstein was not aware of any standard of professional laboratory
practice that required laboratories to inform their clients of the complications associated with
using a 300 ng/ml cutoff nor was there a deviation from the standard
of professional laboratory practice in using a 300 ng/ml cutoff.
The tests results indicated that plaintiff had tested positive for morphine at a
level of 822 ng/ml. Saferstein did not dispute the accuracy of the test
results nor did he contend that the testing was done improperly. Saferstein admitted
that the test results could have been caused by plaintiff's use of heroin
or morphine, but he opined that the results could also have been caused
by the ingestion of a food product containing trace quantities of morphine.
Saferstein stated that a test, also not mandated as a standard of laboratory
practice, could have been run for thebaine, a substance present in poppy seeds,
which might have indicated whether plaintiff's positive test result was the product of
poppy seed ingestion as opposed to drug use.
Post advised plaintiff that he had failed the drug test but, per company
policy, could not reveal what plaintiff tested positive for because applicants could research
possible innocent causes of positive results and then present false information to the
company as an explanation for their positive test results. Therefore, NECA preferred to
ask applicants to state what they thought might have caused the positive result.
Consistent with that procedure, in e-mails dated May 24 and 25, 2001, after
he had been informed of his positive test result, plaintiff advised Post that
he was taking Percocet as prescribed by his doctor and that his doctor
was available for consultation.
After the retest of plaintiff's urine sample came back positive, at NECA's request,
Lucy Smith, NECA's manager of staffing, spoke with plaintiff as to whether he
could provide any information as to why he had failed the test, including
whether he was taking any medications that he believed might have caused the
positive result. Smith told plaintiff that, if he provided NECA with a list
of the prescribed medications he had been taking at the time of the
drug screen, she could provide that information to the lab to determine if
any of the medications could have caused his positive result. Plaintiff told Smith
that he could provide a list of his medications.
Plaintiff mentioned to Smith that he had eaten a poppy seed bagel on
the morning of his drug test. Smith admitted that plaintiff had made this
statement to her, but she believed plaintiff was joking and not serious.
On June 4, 2001, plaintiff met with Post and Louise Kiernan, NECA's manager
for staff development and training, and provided them with documentation from his pharmacy
identifying the medications he had taken in the two weeks prior to his
drug test. They were Prilosec, Hydrocodone, Acetaminophen, Percocet, and Roxicet. Plaintiff also showed
Post and Kiernan his prescription bottles for Zoloft and Lotrel. Kiernan made a
photocopy of the pharmacy's documentation but failed to document the Zoloft and Lotrel,
believing incorrectly that it was referenced on the pharmacy's printout.
Shortly after this meeting, Kiernan spoke with Michael Bachman of LabCorp and provided
him with the list of plaintiff's prescriptions. Bachman informed Kiernan that none of
plaintiff's medications would have caused him to test positive for morphine.
On June 5, 2001, plaintiff e-mailed Kiernan and asked whether she had recorded
the medications from the prescription bottles he brought to the June 4 meeting.
Kiernan admitted she had not done so but stated that plaintiff was welcome
to bring the bottles back to NECA so that Kiernan could record the
medications and dates and then contact LabCorp with the updated information.
On June 5, 2001, Post telephoned plaintiff and informed him that LabCorp officials
did not believe that his prescription medications would have caused his positive test
results and that as a result of the failed drug test, NECA was
withdrawing its offer of employment. Post explained that plaintiff had the option of
having his urine sample retested a third time, at his own cost. Plaintiff
again asked Post for what he had tested positive. However, pursuant to NECA's
policy, Post did not disclose that information.
Later that day, plaintiff provided Post with a letter from his then-attorney, John
Celentano. Celentano requested that NECA provide additional information about plaintiff's positive drug screen,
including information about the drug for which plaintiff had tested positive, so that
plaintiff could have an independent analysis performed to determine whether the positive reading
was caused by plaintiff's prescribed medications. Celentano also requested that plaintiff be permitted
to retake the drug test. Post gave the attorney's letter to Cascille Reiner,
NECA's executive director of human resources. During this face-to-face meeting, Post told plaintiff
that NECA had decided to pay for the retest of plaintiff's urine sample
since the test results would remain confidential.
On June 5, 2001, according to plaintiff, there was some discussion of his
future at NECA, at which time Post informed him that he could continue
in his current temporary position at NECA through AOC. Post denied making such
a statement. On June 6 or 7, 2001, plaintiff e-mailed Kiernan and advised
her that he had his medicine bottles with him at NECA and that
he had documentation from his doctor and hospital regarding injections he had received
between January and April 2001.
Kiernan arranged to meet with plaintiff that afternoon to clarify whether plaintiff had
ingested any food or drug that might have caused his positive test results.
However, before the meeting started, Post and Kiernan were advised by Reiner, who
had been advised by NECA's legal department, to decline to accept any supplemental
information regarding plaintiff's prescription medications and to advise plaintiff that his sample was
being tested for a third time, and to reiterate that, if the retest
came back positive, NECA's decision to withdraw its employment offer would be final.
At the meeting, Post and Kiernan advised plaintiff in accordance with Reiner's instructions.
According to plaintiff, Kiernan informed him that his urine sample had revealed the
presence of "psychotropic medication," which plaintiff understood to mean the Zoloft he was
taking. Plaintiff contends he asked Kiernan to clarify whether it was NECA's policy
not to hire someone who failed a drug test because they were taking
legally-prescribed psychotropic medication, and Kiernan responded in the affirmative. Kiernan denies making the
statement. Plaintiff believed NECA did not want to employ him because of all
the legally-prescribed medications he was taking, including psychotropic medications, which formed the basis
for his disability/perceived disability discrimination claims under the NJLAD.
Plaintiff became upset at the meeting and, as he left, he remarked: "I
don't know if you know who Norman Siegel is . . . but
you may be getting to know him very well soon."
See footnote 1
Post and Kiernan
did not know who Norman Siegel was, but they understood plaintiff's remark to
mean that plaintiff intended to sue NECA. On June 7, 2001, Kiernan and
Post learned from LabCorp that the retest of plaintiff's sample had yielded a
positive result for morphine. Kiernan, with Post present, telephoned LabCorp and spoke with
Dr. William Wingert, the toxicologist who had been processing plaintiff's tests, to confirm
that none of plaintiff's medications would have caused the positive result. Kiernan also
asked Wingert whether eating a poppy seed bagel could have caused the positive
result. Wingert responded that this was a possibility, but he stated that the
positive result could also have resulted from codeine or heroin use and that
there was no way to definitively determine the source.
Later that evening, after consulting with NECA's legal department, Reiner instructed Kiernan and
Post to terminate Vargo's temporary employment with NECA by contacting AOC, and Post
did as she was instructed. On June 7, 2001, AOC advised plaintiff that
his temporary assignment with NECA was being terminated based upon his positive drug
test result. Thereafter, on June 8, 2001, Regina McNeill, an attorney employed by
NECA, responded to the letter from Celentano, stating that NECA was "under no
legal obligation to furnish Mr. Vargo with information regarding his previous test nor
to provide him the opportunity to be retested."
Plaintiff presents the following arguments for our consideration:
POINT I
THE LOWER COURT FAILED TO DRAW LEGITIMATE INFERENCES IN FAVOR OF PLAINTIFF WHICH
WERE SUFFICIENT TO CREATE A GENUINE ISSUE OF MATERIAL FACT AS TO PLAINTIFF'S
DISPARATE TREATMENT CLAIMS UNDER THE LAW AGAINST DISCRIMINATION.
A. SUMMARY JUDGMENT STANDARD.
B. THERE IS MORE THAN SUFFICIENT EVIDENCE IN THE RECORD FOR A RATIONAL JURY
TO CONCLUDE THAT NECA'S TRUE MOTIVATION FOR WITHDRAWING PLAINTIFF'S OFFER OF EMPLOYMENT AND
TERMINATING HIM FROM HIS CURRENT POSITION WAS BECAUSE IT PERCEIVED HIM TO BE
DEPENDENT UPON PRESCRIPTION DRUGS OR SUFFERING FROM A DISABLING CONDITION.
C. NECA'S ADVERSE EMPLOYMENT ACTIONS AGAINST PLAINTIFF BASED ON AN ERRONEOUS BELIEF THAT HE
WAS A USER OF ILLEGAL DRUGS CONSTITUTES A VIOLATION OF THE LAW AGAINST
DISCRIMINATION.
POINT II
THE EVIDENCE OF RECORD WAS MORE THAN SUFFICIENT TO WITHSTAND NECA'S MOTION FOR
SUMMARY JUDGMENT ON HIS CLAIM OF UNLAWFUL RETALIATION UNDER THE LAD.
POINT III
NECA'S DRUG TESTING POLICY AND PRACTICE IS A VIOLATION OF A CLEAR MANDATE
OF PUBLIC POLICY AND ITS ADVERSE EMPLOYMENT ACTIONS AGAINST PLAINTIFF BASED ON THE
RESULTS OF HIS DRUG TEST WERE WRONGFUL.
A. THE NEW JERSEY SUPREME COURT HAS EXPRESSLY HELD THAT EXISTING CONSTITUTIONAL AND COMMON
LAW PRIVACY PROTECTIONS MAY FORM THE BASIS FOR A CLEAR MANDATE OF PUBLIC
POLICY SUPPORTING A WRONGFUL DISCHARGE CLAIM IN THE CONTEXT OF EMPLOYMENT DRUG TESTING.
B. VARGO'S INDIVIDUAL PRIVACY INTERESTS CLEARLY OUTWEIGH THE COMPETING INTEREST IN PUBLIC SAFETY INASMUCH
AS HIS POSITION AT NECA WAS NOT OF A SAFETY-SENSITIVE NATURE.
POINT IV
THERE IS MORE THAN SUFFICIENT EVIDENCE IN THE RECORD TO SHOW THAT NECA'S
DRUG TESTING POLICY AND PRACTICE VIOLATED PLAINTIFF'S COMMON LAW RIGHT TO PRIVACY.
POINT V
THE ACTIONS OF NECA AND LABCORP IN FAILING TO PROPERLY ADMINISTER AND INTERPRET
PLAINTIFF'S DRUG SCREEN CONSTITUTES NEGLIGENCE.
Judge Dumont granted defendant's summary judgment in an extensive written opinion. The judge
addressed the counts alleging that NECA's mandatory pre-employment drug testing policy invaded plaintiff's
privacy and public policy in violation of the common law and the New
Jersey Constitution. The court noted that the Supreme Court in Hennessey v. Coastal
Eagle Point Oil Co.,
129 N.J. 81, 98 (1992), specifically found no constitutional
right to privacy that governs the conduct of private employers. The court also
quoted favorably from Jevic v. Coca Cola Bottling Co. of N.Y., Inc., No.
CIV.A.89-4431, 1
990 WL 109851, at *9 (D.N.J. June 6, 1990), where the U.S.
District Court determined that, absent statutory regulations circumscribing drug testing as an invidious
intrusion into one's affairs, there was no constitutional proscription to a private employer's
drug testing policy. The judge in that case determined that whether there is
a common law violation requires a court to balance the employer's interest with
the prospective employee's reasonable expectation of privacy. Id. at *1.
Here, the judge, in finding no invasion of plaintiff's expectation of privacy, determined
that a waiver on the part of the prospective employee to undergo a
test negates an invasion of privacy claim. The court pointed out the following
facts evidencing that plaintiff had no reasonable expectation of privacy. NECA had a
long-standing drug-free workplace policy and pre-employment drug screening policy for all applicants for
permanent positions. Plaintiff knew of the policy when he signed the "Terms and
Conditions of Employment." Plaintiff voluntarily informed Post of the medications he was taking
and voluntarily submitted to the non-intrusive drug test in a private bathroom at
the hospital. Plaintiff volunteered personal medical information from the outset of the drug
screening process and, after the positive results were known, plaintiff presented his medication
list to the NECA employees involved in the hiring and testing process.
As to plaintiff's counts alleging that NECA's decision to refuse to hire him
and to terminate him from his temporary position violates "a clear mandate of
public policy," the court determined that, pursuant to Pierce v. Ortho Pharm. Corp.,
84 N.J. 58, 72 (1980), plaintiff had failed to identify a specific expression
of public policy that precluded NECA the right to discharge him with or
without cause. Sources of public policy include the constitution, statutes, administrative rules, regulations
and judicial decisions. A "clear mandate" exists when the public policy is "one
that on balance is beneficial to the public." Hennessey, supra, 129 N.J. at
100. The judge reasoned that, although Hennessey involved an employee who was in
a safety-sensitive position whereas plaintiff was applying for a non-safety-sensitive administrative position, Hennessey
did not proscribe mandatory pre-employment drug testing of all applicants. The Court in
Hennessey recognized that "The Legislature has defined the limits of other forms of
[drug] testing. . . . and can more fully define the contours of
the competing rights of employers and employees" but, thus far, has not done
so. Id. at 107 (citation omitted).
See footnote 2
The court addressed plaintiff's count alleging negligence as requiring the breach of a
duty owed. The court found the allegation that the drug screening policy was
administered in a discriminatory and unreasonable manner lacked merit because all applicants for
permanent employment with NECA were required to submit and pass a drug test
as a condition of being offered a permanent position.
As to the claim of negligence in failing to ensure safeguards in the
accuracy of the findings, the judge noted that NECA contracted with LabCorp to
have the laboratory independently perform all testing and that pursuant to Majestic Realty
Assocs., Inc. v. Toti Contracting Co.,
30 N.J. 425, 430-31 (1959), plaintiff had
failed to demonstrate one of the three circumstances, where as a principal, NECA
could be held vicariously liable for LabCorp's negligence in analyzing his urine sample.
The judge also addressed plaintiff's allegation that NECA wrongfully refused to hire him
as a permanent employee in the Rural Healthcare Division and wrongfully discharged him
from his temporary position in the Schools and Library Division in violation of
the NJLAD because NECA's decisions were based on its perception that he was
suffering from a disability. The judge assumed, for purposes of his analysis, that
the factors enumerated in McDonnell Douglas Corp. v. Green,
411 U.S. 792, 802,
93 S. Ct. 1817, 1824,
36 L. Ed.2d 668 (1973), made out
a required prima facie case. The court determined, however, that in light of
NECA's drug-free workplace policy and plaintiff's inability to pass his drug test after
three lab tests of his urine sample, NECA had met its burden of
articulating a legitimate non-discriminatory reason for its decision.
The judge addressed plaintiff's claim that NECA's articulated reason is pretextual and a
"cover-up" for the fact that NECA does not wish to hire someone with
a dependency on six different prescription drugs, especially since some of the drugs,
including Zoloft, were for the treatment of a psychiatric condition. The judge determined
that the record was devoid of any evidence that NECA applied its drug-free
workplace policy in a selective manner or that it would have ignored plaintiff's
three positive test results if it had not learned about plaintiff's prescription medications.
Additionally, Kiernan gave plaintiff the benefit of the doubt by asking Dr. Wingert
from LabCorp if the positive morphine result could have been from the ingestion
of a poppy seed bagel. The judge determined that upon confirming that plaintiff
may or may not have been an illegal drug user, NECA was entitled
to make the business decision not to hire plaintiff for permanent employment and
to fire him from his temporary employment.
The judge addressed plaintiff's allegation that NECA unlawfully terminated him from his temporary
position "in retaliation for his expressed intention to assert his oral rights" in
violation of the NJLAD. Plaintiff claims that after hearing Kiernan's alleged statement that
it was NECA's policy not to hire anyone who was taking a legally-prescribed
psychotropic drug. He stated, "I don't know if you know who Norman Siegel
is . . . but you may be getting to know him very
well soon." Prior to making that statement, plaintiff claims he was led to
believe that his current position was secure regardless of whether or not he
passed the drug screen. It was only one day after plaintiff mentioned Siegel's
name that NECA terminated him from his temporary job. The judge determined that
even if Post understood plaintiff's mention of Siegel's name to mean that he
intended to sue NECA, there was a failure of proof that NECA's policy
of terminating someone who tests positive for morphine constitutes unlawful discrimination in violation
of the NJLAD. The judge stated that, even assuming plaintiff had made out
a prima facie case and NECA articulated a non-discriminatory reason for firing in
accordance with its drug-free workplace policy, plaintiff's claim fails because he failed to
produce any evidence that NECA's articulated reason for his firing was pretextual. Plaintiff
is unable to demonstrate that if he had not mentioned Norman Siegel's name
that NECA would have overlooked his positive drug results and kept him on
as a temporary employee.
The judge also found that plaintiff has not pled a viable cause of
action for tortious interference with prospective economic advantage because the claim was directed
solely against NECA. The judge determined that, as a matter of law, such
a claim must be directed against defendants who are not parties to the
economic relationship. Printing Mart - Morristown v. Sharp Elecs. Corp.,
116 N.J. 739,
751-52 (1989).
Plaintiff also alleges counts of negligence against both LabCorp and NECA. The allegation
against LabCorp is that it had a duty to advise NECA of the
pitfalls of using the 300 ng/ml standard and that when using that standard,
plaintiff's 822 ng/ml reading was equally possible to be from ingesting poppy seeds.
Plaintiff also claims that LabCorp had an obligation to advise NECA that the
DOT had increased its cutoff level for opiates from 300 ng/ml to 2000
ng/ml even though NECA was a private employer. The court determined that plaintiff
was unable to prove his cause of action against LabCorp on general negligence
principles alone but needed expert testimony because the allegations against LabCorp was "so
esoteric that jurors of common judgment and experience cannot form a valid judgment
at to whether the conduct of the party was reasonable." Butler v. Acme
Markets, Inc.,
89 N.J. 270, 283 (1982). The court concluded that Dr. Saferstein's
testimony did not opine that the 300 ng/ml cutoff NECA used for detecting
opiates constituted a breach of accepted standards of laboratory practice and that Saferstein's
statements to that effect constituted only a personal opinion that LabCorp should have
advised NECA of the possibility of plaintiff's reading as being a false positive.
The judge additionally determined that there was no testimony of the breach of
duty owed by failing to advise NECA of the DOT's policy of raising
its cutoff levels. There was also no expert testimony of a breach of
the standard of care by LabCorp's failure to conduct an additional test to
look for the presence of thebaine.
As to allegations of negligence against NECA, the court found plaintiff's allegation that
NECA failed to follow generally accepted guidelines when it used the 300 ng/ml
cutoff for opiates to be unsupported by Dr. Saferstein's testimony. The judge determined
that NECA's business decision to resolve the disputed possibility that the positive test
results for morphine might as likely be the result of drug ingestion as
from the ingestion of poppy seeds against plaintiff does not constitute negligence. The
judge also found that the allegation that NECA negligently failed to record the
prescription medications he was taking and the food he was ingesting prior to
the drug test lacked merit.
Research has revealed only three reported cases, all outside New Jersey, involving allegations
that positive laboratory urine testing for morphine was the result of poppy seed
ingestion. In Caputo v. Compuchem Labs., Inc., No. CIV.A.92-6123, 1
994 WL 100084, at
*1 (E.D. Pa.), aff'd,
37 F.3d 1485 (3d Cir. 1994), cert. denied,
513 U.S. 1082,
115 S. Ct. 733,
130 L. Ed.2d 636 (1995), the
plaintiff was denied employment with Air Products and Chemicals, Inc., based upon his
failure of a pre-employment drug screen. His urine sample had tested positive for
morphine. Ibid. The case involved the plaintiff's claims of negligence and defamation, asserted
against the laboratory that performed the testing. Ibid.
In Caputo, there was no dispute that the report by the laboratory was
accurate in the sense that the test did show evidence of morphine. Ibid.
However, the plaintiff contended that the indication of morphine was so weak that
the laboratory should have reported the test result as negative, absent an additional
and more sophisticated test. Ibid. The basis for the plaintiff's contention was that
common foods, such as poppy seed rolls, ingested prior to a drug test,
can cause some level of morphine to appear in the sample and that
the level of morphine caused by poppy seed ingestion can exceed the amount
which the laboratory reported as a positive result of the plaintiff's drug test.
Ibid.
The court dismissed the claims on the laboratory's motion for summary judgment, holding
that no liability should be imposed on the laboratory for accurately reporting a
positive drug test result. Id. at *3. In this regard, the court found
no duty on the part of the laboratory to inform the employer (Air
Products) that the low positive number generated by the plaintiff's test could have
been attributable to causes other than illicit drug use. Id. at *3-4.
In SmithKline Beecham Corp. v. Doe,
903 S.W.2d 347 (Tex. 1995), the court
addressed the responsibility laboratories owe when testing samples provided by individuals who are
being drug tested by their employers. The plaintiff had undergone a pre-employment drug
screen that revealed the presence of opiates in her urine. Id. at 348.
As a result, her job offer was withdrawn. Ibid. The plaintiff's claim was
not that the test was performed improperly or that the result was incorrect,
but that the result was due to her having eaten poppy seeds and
not to any use of drugs. Ibid. She alleged that the testing laboratory
should have informed her and her prospective employer that eating poppy seeds could
cause a positive test result, that they should have inquired as to whether
she had eaten poppy seeds, and that they should have returned her urine
sample to her. Ibid. The court rejected the claim, holding that independent drug
testing laboratories, hired by an employer to test prospective employees for drugs, do
not have a duty to tell the persons being tested that the ingestion
of certain substances will cause a positive test result. Id. at 348, 350-56.
Finally, Devine v. Roche Biomedical Labs.,
659 A.2d 868 (Me. 1995), involved claims
against the laboratory that tested a urine sample provided pursuant to a pre-employment
drug testing program. The plaintiff's urine sample had tested positive for opiates, and,
as a result, the employer revoked its offer of employment. Id. at 869.
The plaintiff informed the employer that the results may have been caused by
his daily consumption of poppy seed muffins. Ibid. However, the laboratory informed the
employer that the results were too high to suggest such a source. Ibid.
Therefore, the employer did not change its decision with respect to the plaintiff's
employment. Ibid. The court dismissed the plaintiff's claim against the laboratory, holding that
the plaintiff was not a third party beneficiary of the contract between the
employer and the laboratory. Id. at 870-71.
We have thoroughly reviewed the record in light of the issues presented on
appeal. We affirm the January 28, 2004 order granting summary judgment substantially for
the reason expressed by Judge Dumont in his well-written and well-reasoned opinion of
January 28, 2004. We add only the following with respect to the NJLAD
claims: We note that the Americans With Disabilities Act (ADA) protects individuals who
are "erroneously regarded" as engaging in the use of illegal drugs. 42 U.S.C.A.
§ 12114(b)(3); 29 C.F.R. § 1630.3(b)(3). Plaintiff in this case contends he was "erroneously regarded"
as engaging in the use of illegal drugs.
The NJLAD contains no language comparable to that of the ADA. However, even
were we to incorporate such protection under the NJLAD, we are satisfied that,
under the circumstances presented in this case, where an employer was presented with
a positive drug test result for a prospective employee, there was nothing improper
or unlawful in the employer's perceiving the prospective employee as a user of
illegal drugs.
The United States Supreme Court has also addressed the application of facially neutral,
non-discriminatory employment policies in Raytheon Co. v. Hernandez,
540 U.S. 44,
124 S.
Ct. 513,
157 L. Ed.2d 357 (2003). There, the plaintiff had been
fired by Raytheon for violating workplace conduct rules (failing a drug test). After
his discharge, the plaintiff got sober and reapplied for work. Id. at 47,
124 S. Ct. at 516. However, the company denied him reemployment based upon
its policy against rehiring employees who had been fired for violating workplace conduct
rules (no-rehire policy). Ibid.
The plaintiff sued under the ADA contending that he had been discriminated against
based upon his disability (past drug addiction). Id. at 48, 124 S. Ct.
at 516. The District Court dismissed the claim on summary judgment. Id. at
49, 124 S. Ct. at 517. However, the Ninth Circuit reversed, holding that
the no-rehire policy, although non-discriminatory on its face, was unlawful as applied because
it had the potential to discriminate against employees who were lawfully forced to
resign for illegal drug use but have since been rehabilitated. Id. at 50,
124 S. Ct. at 518.
The U.S. Supreme Court reversed, holding that the Ninth Circuit had erred by
applying a disparate impact theory in the context of a disparate treatment case.
Id. at 53-54, 124 S. Ct. at 520. In doing so, the Court
stated, in pertinent part:
[T]he Court of Appeals ignored the fact that petitioner's no-rehire policy is a
quintessential legitimate, nondiscriminatory reason for refusing to rehire an employee who was terminated
for violating workplace conduct rules. If petitioner did indeed apply a neutral, generally
applicable no-rehire policy in rejecting respondent's application, petitioner's decision not to rehire respondent
can, in no way, be said to have been motivated by respondent's disability.
[Id. at 54-55, 124 S. Ct. at 520 (emphasis added).]
Affirmed.
Footnote: 1
Norman Siegel was the head of the American Civil Liberties Union in New
York.
Footnote: 2
Justice Pollock, in his concurring opinion in Hennessey, made the following observation:
Evaluation of the issue of random drug testing inevitably compels balancing the interests
of the employee and the employer. From an employer's perspective, an employee's use
of illegal drugs presents multiple problems. For example, the use of illegal drugs
can affect an employee's performance, see Craig Zwerling, et al., The Efficacy of
Preemployment Drug Screening for Marijuana and Cocaine in Predicting Employment Outcome,
264 JAMA 2639 (1990) (positive pre-employment drug tests for marijuana or cocaine associated with adverse
employment outcomes), endanger co-workers, and increase health-care costs.
[Hennessey, supra, 129 N.J. at 113-14 (Pollock, J. concurring).] The employer's policy here
coincides with sound public policy.