The Review · Case Index

California employment case index

Search every indexed California wrongful-termination and employment decision, or browse by subject area, statute, and decade — each summary source-verified against the published reporter.

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26 cases

Fisher v. San Pedro Peninsula Hospital

October 2, 1989
To state a hostile-environment sexual harassment claim, a plaintiff must allege conduct that was unwelcome, based on sex, and sufficiently severe or pervasive to alter the conditions of employment and create an abusive working environment; an employee may be “subjected to” a hostile environment by harassment she…

Raytheon Co. v. FEHC: AIDS Is a Protected Handicap and the Danger Defense Is the Employer’s Burden

August 7, 1989
Raytheon refused to reinstate an employee diagnosed with AIDS even though its own medical staff and public-health officials uniformly found the disease was not transmissible through ordinary workplace contact. The Fair Employment and Housing Commission found unlawful handicap discrimination, and the Court of Appeal affirmed. AIDS is a physical handicap protected by California's antidiscrimination law, and an employer invoking the threat-to-health-and-safety-of-others defense bears the burden of proving it by a preponderance of the evidence.

Wards Cove Packing Co. v. Atonio

June 5, 1989
In Wards Cove Packing Co. v. Atonio (1989) 490 U.S. 642, the Supreme Court held that a disparate-impact plaintiff must identify the specific employment practice causing a statistical disparity and bears the burden of persuasion on business justification, with the employer carrying only a burden of production and the challenged practice needing only to serve legitimate goals — not to be “essential.” The Civil Rights Act of 1991 later superseded the burden-of-persuasion holding, restoring Griggs v. Duke Power Co.

S.G. Borello & Sons v. Department of Industrial Relations: California’s Multifactor Control Test for Independent-Contractor Status

March 23, 1989
S.G. Borello & Sons, Inc. v. Department of Industrial Relations (1989) 48 Cal.3d 341 sets California’s multifactor control test for employee vs. independent-contractor status — the right to control the manner and means of the work, plus secondary factors, applied in light of the statute’s protective purpose. It still governs the Assembly Bill 5 exemptions after Dynamex.

Foley v. Interactive Data Corp.

December 29, 1988
The Tameny claim failed because Foley’s report about a coworker served the employer’s private interest, not a fundamental public policy. Foley nonetheless adequately pleaded an implied-in-fact contract to discharge only for good cause — based on longevity of service, promotions, raises, assurances, and the employer’s…

Mixon v. Fair Employment and Housing Commission: Discriminatory Animus Need Not Be the Sole Motivation

June 24, 1987
A FEHA complainant need not prove that discriminatory animus was the sole motivation for an adverse action — but must still prove it was a determining factor. Affirming the Commission's finding that a Black employee was discharged for commute-cost reasons rather than race, the Sixth District clarified the causation standard that underlies CACI Nos. 2500 and 2507, even as it upheld the employer's legitimate-reason defense on the facts.

Ibarbia v. Regents of the University of California: Proving Discriminatory Impact Without Proving Intent

May 15, 1987
A disparate-impact plaintiff is relieved of proving discriminatory intent, but is not relieved of proving the discriminatory impact. Affirming summary judgment for the University, the First District held that the plaintiff offered no statistical or other evidence that a facially neutral practice fell more harshly on a protected group — the indispensable element of a disparate-impact theory (CACI No. 2502).

California Federal Savings & Loan Assn. v. Guerra: Pregnancy-Leave Statute Upheld — the “Floor, Not a Ceiling”

January 13, 1987
When Lillian Garland returned from pregnancy disability leave to find her receptionist job filled, California’s guarantee of leave and reinstatement collided with her employer’s theory that Title VII forbade treating pregnancy “better” than other disabilities. The Supreme Court sided with California: the Pregnancy Discrimination Act is a floor beneath which pregnancy benefits may not drop, not a ceiling above which states may not rise — and employers can always comply with both laws by leveling benefits up. Guerra remains the constitutional foundation of the PDLL and of every California pregnancy protection built since.

Meritor Savings Bank v. Vinson

June 19, 1986
A claim of “hostile environment” sexual harassment is a form of sex discrimination actionable under Title VII; the harassment need not cause economic or tangible loss, but must be sufficiently severe or pervasive to alter the conditions of employment and create an abusive working environment, and must be unwelcome.

Western Air Lines, Inc. v. Criswell

June 17, 1985
In Western Air Lines, Inc. v. Criswell (1985) 472 U.S. 400, the Supreme Court adopted the two-part age-BFOQ test for the Age Discrimination in Employment Act: the age limit must be reasonably necessary to the essence of the employer's business, and the employer must show either reasonable cause to believe that all or substantially all older workers cannot perform the job safely or that it is impossible or highly impractical to assess older employees individually. The Court rejected a deferential “rational basis” standard.

Commodore Home Systems, Inc. v. Superior Court

August 30, 1982
Punitive damages are recoverable under the FEHA in a court action for intentional employment discrimination; the statute’s remedial scheme does not limit a plaintiff to the relief the administrative agency could award, so the full range of tort-type remedies, including punitive damages, is available.

Sterling Transit Co. v. FEP Commission: The Physical-Handicap Danger and BFOQ Defenses

July 21, 1981
A trucking company refused permanent employment to a driver whose preemployment physical revealed a congenital low-back condition, applying an absolute rule against hiring anyone with back deficiencies. The Fair Employment Practice Commission found unlawful handicap discrimination, and the Court of Appeal affirmed. An employer cannot exclude handicapped workers by class unless all or substantially all of the class cannot perform safely, the individualized safety defense cannot rest on conjecture of future harm, and there is no financial-impact exception.

Texas Dept. of Community Affairs v. Burdine

March 4, 1981
Texas Department of Community Affairs v. BurdineAt step two of the McDonnell Douglas framework, the employer bears only a burden of production — to articulate a legitimate, nondiscriminatory reason. The ultimate burden of persuasion remains at all times with the plaintiff.Texas Department of Community Affairs v. Burdine (1981) 450 U.S. 248Parallel citations: 101 S.Ct. 1089; […]

Pugh v. See’s Candies, Inc.

February 27, 1981
Yes. The longevity of Pugh’s service, together with the employer’s commendations and assurances and its acknowledged practices, supported an implied-in-fact promise that he would not be discharged except for good cause; the nonsuit was therefore error and the judgment was reversed (id. at p. 330).

Trans World Airlines v. Hardison: De Minimis Cost and Seniority Under Title VII

June 16, 1977
Larry Hardison was fired when his Saturday Sabbath collided with a low-seniority shift at TWA's around-the-clock maintenance base. Reversing the Eighth Circuit, the Supreme Court held that Title VII does not require an employer to override a bona fide seniority system to accommodate an employee's religion, and that requiring an employer to bear more than a de minimis cost is an undue hardship. Justices Marshall and Brennan dissented. The de minimis standard was later clarified and raised by Groff v. DeJoy (2023).

International Brotherhood of Teamsters v. United States

May 31, 1977
In Teamsters v. United States (1977) 431 U.S. 324, the Supreme Court drew the foundational line between disparate-treatment and disparate-impact discrimination, explained the Government's pattern-or-practice burden to prove that discrimination was a company's “standard operating procedure,” shielded bona fide seniority systems under section 703(h), and recognized the “futile gesture” doctrine excusing non-applicants deterred from applying by a known discriminatory policy.

McDonald v. Santa Fe Trail Transportation Co.: Title VII and Section 1981 Protect Every Race

June 25, 1976
In McDonald v. Santa Fe Trail Transportation Co. (1976) 427 U.S. 273, two white employees were discharged for participating in the theft of antifreeze from a shipment in their employer's care, while a Black employee charged with the same misconduct was retained. The Supreme Court held — unanimously as to Title VII, and seven-to-two as to 42 U.S.C. § 1981 — that both statutes protect against racial discrimination directed at any race, including white persons. An employer “may justifiably refuse to rehire one who was engaged in unlawful, disruptive acts against it, but only if this criterion is applied alike to members of all races.” The judgment dismissing the complaint was reversed and the case remanded.

Geduldig v. Aiello: The Equal-Protection Origin Point (Pregnancy Classification Not Sex-Based)

June 17, 1974
Four women who paid into California’s employee-funded disability insurance program were denied benefits because their disabilities arose from pregnancy. Six Justices upheld the exclusion: the program’s risk selection was rational social-welfare line-drawing, and — in footnote 20, the most consequential footnote in pregnancy-discrimination law — the classification was not sex-based at all, because it divided “pregnant women and nonpregnant persons.” Congress answered with the Pregnancy Discrimination Act; California answered with the FEHA’s definition of sex, the PDLL, and Badih v. Myers; even the SDI statute now expressly covers pregnancy. Yet the constitutional holding stands, reaffirmed in Dobbs — a live obstacle for equal-protection claims, and a museum piece everywhere else.

McDonnell Douglas Corp. v. Green

May 14, 1973
Title VII disparate-treatment claims proceed under a three-step framework: (1) the plaintiff must establish a prima facie case of discrimination; (2) the burden of production then shifts to the employer to articulate a legitimate, nondiscriminatory reason for its action; and (3) the plaintiff must then have the…

Griggs v. Duke Power Co.

March 8, 1971
Title VII prohibits employment practices that operate to exclude protected groups and are not demonstrably related to job performance, regardless of the employer’s intent (disparate-impact liability). If a neutral practice has a disparate impact on a protected class, the employer must show the practice is job-related…

Weeks v. Southern Bell Telephone & Telegraph Co.

March 4, 1969
In Weeks v. Southern Bell Tel. & Tel. Co. (5th Cir. 1969) 408 F.2d 228, the Fifth Circuit announced the foundational Title VII sex-BFOQ standard: an employer invoking sex as a bona fide occupational qualification must prove a factual basis for believing that all or substantially all women would be unable to perform safely and efficiently the duties of the job. The court rejected stereotype-based “romantic paternalism” and a state weight-lifting limit as justifications and placed the burden on the employer.