Court Opinion

ID: 4178111
Source: CourtListenerOpinion
Date Created: 2017-06-16 11:10:35.058109+00
Date Added: 2024-06-11T14:39:24.445004
License: Public Domain

STATE OF MICHIGAN

                            COURT OF APPEALS

MARY MA,                                                            UNPUBLISHED
                                                                    June 15, 2017
                Plaintiff-Appellant,

v                                                                   Nos. 330380 and 332462
                                                                    Berrien Circuit Court
LAWRENCE J. WEBER, MICHAEL H.                                       LC No. 14-000175-CD
CARLSON, RANDY F. EBRIGHT, GREGORY J.
HILL, MICKEY L. BELLVILLE, and KEITH A.
STEINMETZ,

                Defendants-Appellees.

Before: GADOLA, P.J., TALBOT, C.J., and GLEICHER, J.

PER CURIAM.

        Plaintiff, Mary Ma, was employed by American Electric Power, Inc. (AEP) for eleven
years prior to her termination in 2011. On June 17, 2011, AEP discharged Ma. After AEP ended
the employment relationship, Ma filed suit in federal district court. Specific factual findings
were made after a bench trial1 that, when applied in this matter, require that summary disposition
be granted in defendants’ favor. We conclude that these factual findings must be given
preclusive effect in this case. Thus, in Docket No. 330380, we affirm the trial court’s decision to
grant summary disposition in defendants’ favor.

        In Docket No. 332462, defendants appeal as of right from a subsequent order of the trial
court denying their motions for attorney fees and for the taxation of certain costs. Finding no
errors in the trial court’s decision, we likewise affirm this order.

                                            I. FACTS

        Ma was hired by AEP in 2000 as a mechanical engineer. She worked at the Donald E.
Cook Nuclear Plant (the Plant), which is operated by AEP. Eventually, she became a supervisor,
first of AEP’s operations group, and in 2009, of AEP’s nuclear safety analysis group. At the
time Ma’s employment with AEP ended, her direct supervisor was defendant Mickey Bellville,

1
    Ma v American Electric Power, Inc, 123 F Supp 3d 955 (2015).

                                                -1-
the Plant’s Nuclear Engineering Manager. Bellville reported to defendant Randy Ebright, the
director of the Plant’s Engineering organization. Ebright reported to defendant Mike Carlson,
the Plant’s Vice President. Carlson reported to the highest ranking officer of the Plant, Chief
Nuclear Officer Larry Weber, another defendant to this suit. Defendant Keith Steinmetz was the
Plant’s Nuclear Fuels supervisor. Defendant Gregory Hill was another engineer employed at the
Plant.

       During her tenure with AEP, Ma received many satisfactory performance reviews. In
2009, she received a “Key Contributor Award,” a highly selective award that only a few
employees receive each year. However, as the federal district court explained:

                  On the other hand, Ma also had a series of interpersonal conflicts with
          other employees at AEP, particularly those who worked in groups other than her
          own.      These interpersonal conflicts went beyond just an uncomfortable
          relationship between colleagues, and seriously compromised the ability of some
          individuals to work together. For instance, Ma and Supervisor Keith Steinmetz
          had interpersonal conflicts during Ma’s time at AEP. . . . Ma also did not get
          along with Engineer Greg Hill; their relationship was marked by several
          altercations indicating that the two had no personal affection for each other.
          Again, this animosity seriously undermined the ability of these individuals to
          work together . . . .

                   This created untenable circumstances that adversely affected the groups’
          ability to collaborate on error resolution, and in turn, the promise of safe working
          conditions at AEP. The interpersonal conflicts served to cultivate the impression
          among many of Ma’s colleagues that she was not a team player. For instance,
          Chief Nuclear Counsel and Regulatory Affairs Manager Jim Petro testified that
          when it came to Ma, “everything in her view was an us and a them.” . . . And
          [Human Resources] specialist Tiffany Rydwelski testified that she was concerned
          that “people wouldn’t go to [Ma] for concerns because [Ma] would deflect or take
          criticism of someone challenging her work.” . . .

                  . . . In fact, the Court observes that interpersonal issues concerning Ma
          dated all the way back to 2003, and that the frequency of Ma’s incidents
          concerning interpersonal conflicts increased in the time leading up to her
          termination. The interpersonal conflicts occurred often enough, over a sustained
          period of time and with a similar enough pattern for the Court to conclude that Ma
          is the common denominator of the troubled relationship, and the root source of the
          inability to forge constructive working relationships amidst interpersonal
          conflict.[2]

        The events that ultimately led to Ma’s discharge were described by the federal district
court as follows:

2
    Id. at 958-959.

                                                  -2-
        In March 2010, Engineer Hill and Supervisor Steinmetz had raised a
safety concern relating to Ma. They believed that Ma and her group may have
engaged in misconduct. In particular, they believed that Ma had intentionally
withheld information regarding an evaluation for a fuel reload project. Supervisor
Steinmetz reported his safety concern to one of AEP’s managers. The manager
did not take action. Director Ebright also investigated the matter, and determined
that there was no evidence to support the contention that Ma had improperly
withheld information.

        In May 2010, Ma raised a safety concern by filing a Condition Report. In
the Condition Report, Ma notified AEP’s high-level management that some of her
fellow engineers may have intentionally withheld information from the Nuclear
Regulatory Commission. Specifically, Ma indicated that these engineers were
allegedly aware of certain errors concerning a nuclear safety analysis but failed to
notify the Nuclear Regulatory Commission of those errors, which, if true, would
constitute a violation of Nuclear Regulatory Commission regulations. In the
report, Ma specifically listed the names of those who she believed were in the
wrong, including Engineer Hill.

       The accusations between the individuals continued, and the conflict
continued to escalate during the summer and fall of 2010. In July 2010,
Supervisor Steinmetz raised another safety concern through AEP’s Employee
Concerns Program, which raised the possibility that Ma was an unethical
employee. In October 2010, Ma raised another safety concern through AEP’s
Employee Concerns program, claiming that Supervisor Steinmetz had
inappropriately yelled at her as retaliation for her having written the May 2010
Condition Report. Tensions continued to rise, to a point where the employees
were loath to even speak to one another. In the backdrop, some leadership
changes took effect at AEP. In particular, in June 2010, Vice President Carlson
and Director Ebright had taken over AEP’s increasingly-fractured engineering
organization.

        On October 15, 2010, Vice President Carlson, Director Ebright, and HR
Specialist Tiffany Rydwelski met with Ma. During the meeting, Ma discussed
Engineer Hill’s and Supervisor Steinmetz’s inappropriate conduct and hostility
towards her. Ma expressed that she felt that AEP had not properly dealt with this
situation. From there, on October 22, 2010, Vice President Carlson met with
Engineer Hill. Engineer Hill discussed what he felt was Ma’s inappropriate and
hostile conduct. He expressed that he felt that AEP had not properly dealt with
this situation. According to Vice President Carlson, this series of meetings
confirmed to him that the work environment at the Cook Power Plant required
immediate improvement.

       On November 2, 2010, Ma met with HR Specialist Rydwelski, Vice
President Carlson, Supervisor Yu Shen, Manager Mickey Bellville, Engineer Hill,
and Supervisor Steinmetz. According to Vice President Carlson, he attended the
meeting with the goal of making his expectation known to everyone that all sides

                                        -3-
of the interpersonal conflict needed to exhibit professionalism going forward. He
stressed the need for each side to effectively communicate with each other and to
treat each other with respect, and to put past feelings of resentment or anger
behind them for the sake of the group. HR Specialist Rydwelski also testified that
she raised her concerns about the interpersonal issues with Engineer Hill,
Supervisor Steinmetz, and Ma, and stressed the need for everyone to engage in
professional behavior.

         Later that same day, Ma sent an email to her Manager, Yu Shen, with
several others copied, including HR Specialist Rydwelski, in which Ma
commented that she heard Engineer Hill was “smearing her reputation.” HR
Specialist Rydwelski testified that after reading the email, she believed Ma was
continuing “to go down the behavioral path of, you know, us/them, win/lose, Greg
Hill. It’s not the cohesive collective teamwork we would like to see in an email.”
. . . Vice President Carlson felt that the tenor of Ma’s email violated his direction.
As a result, the following day, Vice President Carlson again met with Ma, and
further warned her that continued noncompliance with his expectations would
lead to discipline.

        Despite the meetings, AEP senior management continued to feel that Ma
was failing to act as a team player and therefore violating Vice President
Carlson’s directions. During December 2010, Ma was involved in additional
interpersonal conflicts with other AEP employees, namely, ones concerning
whether it was appropriate for AEP employees to call Ma over the weekend; these
conflicts involved more emails sent by Ma that AEP’s management found
objectionable. In January 2011, Ma received a letter indicating that AEP’s
management believed that her workplace communications were unprofessional.
The issue raised in the letter culminated in a meeting later that month.

        On January 28, 2011, Director Ebright and HR Specialist Rydwelski again
met with Ma to address the ongoing interpersonal problems between her and
others, including Engineer Hill. HR Specialist Rydwelski testified that during the
meeting, Ma described a hypothetical situation in which “Greg Hill kills my
baby.” HR Specialist Rydwelski testified that because Ma made that strange
comment, she referred Ma to the AEP’s Employee Assistance Program, which
was designed to assist employees who had professional or interpersonal
shortcomings and enable them to correct their behavior. As part of the Employee
Assistance Program, Ma attended counseling sessions focused on developing her
interpersonal skills.

        In February 2011, the Employee Assistance Program required that Ma
take a period of leave from AEP. Following this period of leave, Ma returned to
work at AEP. On February 10, 2011, Director Ebright and HR Specialist
Rydwelski again met with Ma. During this meeting, they again stressed the need
for Ma to comply with the expectations set at earlier meetings. HR Specialist
Rydwelski testified that for a period after Ma returned, she did not hear any
negative reports about Ma’s behavior. . . . However, HR Specialist Rydwelski

                                         -4-
also testified that when she did discuss Ma’s performance with others at a later
time, her conclusion was that Ma had not corrected her behavior in the time
following her experience in the Employee Assistance Program and her period of
leave. . . .

        Around this time, there were some personnel changes at AEP. Manager
Shen, the engineer to whom Ma reported, left AEP to take a job in the Middle
East. This meant that Ma began reporting to Manager Bellville. Manager
Bellville now reported to Director Ebright. And Manager Ebright now reported to
Vice President Carlson.

        Also around this time, AEP tasked a group of engineers with finding a
solution to certain “LOTIC2” errors concerning what the engineers termed a
“LOCA” safety analysis. Ma, as well as her husband, was a member of this
group. The engineers selected for the group were to identify the problem and
offer various resolution proposals to solve the errors. This complicated nuclear-
science issue involved many engineers over a period of several months. At first
Ma led the group, but at some point, Manager Bellville, due to what he believed
were flaws in Ma’s leadership style, transferred the leadership of the group to
Engineer John Zwolinski.

        The process of fleshing out the issues concerning the “LOTIC2” errors
culminated in the Spring and early Summer of 2011. By her account, Ma offered
three resolution proposals. Senior management began to coalesce around one
resolution proposal, which several engineers referred to as the “relay failure”
proposal. The “relay failure” proposal was not one that Ma had suggested. Ma
had reservations about the “relay failure” proposal because she believed that it
was unsafe and would violate Nuclear Regulatory Commission requirements, and
she raised some variant of those concerns with the other members of the team.
Despite Ma’s reservations, on June 3, 2011, Vice President Carlson announced
that AEP would implement the “relay failure” proposal.

       The parties disagree on how best to categorize Ma’s behavior as a member
of that group, her reluctance to embrace the “relay failure” proposal, and her
eventual refusal to participate in the solution. Ma described her conduct as
repeatedly raising her concern that the “relay failure” proposal was illegal or
unsafe. In contrast, many others—including Plant Manager Shane Lies, Vice
President Carlson, and the eventual leader of the group, Engineer Zwolinski—
described Ma’s conduct as being disagreeable and contrarian, and denied that Ma
ever raised concerns of illegality. To be sure, Chief Nuclear Counsel and
Regulatory Affairs Manager James Petro testified that if an AEP employee
genuinely believed that a proposed solution was potentially illegal, AEP would
accord the employee the right to not work on it. But AEP management, namely
Vice President Carlson, viewed Ma’s actions as rooted not in safety concerns, but
insubordination. On June 13, 2011, several AEP employees—including Plant
Manager Lies, Vice President Carlson, Director Ebright, and Chief Nuclear

                                       -5-
         Counsel Petro—met to discuss, and ultimately agreed with, Vice President
         Carlson’s recommendation that Ma be fired from AEP.

                  On June 17, 2011, AEP terminated Ma’s employment. Chief Nuclear
         Counsel Petro testified that Ma was terminated for a combination of
         insubordination and unresolved personal relationship issues within the workplace,
         which in his view “culminated in the refusal to work.” . . . Director Ebright
         testified that the altercation “led me to the conclusion that the things we had been
         coaching, counseling, demonstrating, you know, fostering with Mary, the
         information that we had provided and the written warning where we met with her
         when she returned from the time away from the facility, . . . she had not followed
         through on her commitment to rehabilitate her behavior, and that basically it was
         destructive to our facility and consequential to our nuclear safety culture.” . . . HR
         Specialist Rydwelski testified that “there was a recommendation of separation
         from the company because of her lack of working on a work product, which was a
         sign of continued behavior deficiency . . . . In my view there were behaviors that
         were exhibited by [Ma] that were not recoverable. She didn’t internalize
         them.” . . .

                 After Ma’s employment was terminated, she raised her concern about the
         “relay failure” proposal directly with the Nuclear Regulatory Commission. In
         response to Ma’s correspondence, the Nuclear Regulatory Commission conducted
         an investigation. Ultimately, the Nuclear Regulatory Commission did not find
         sufficient evidence to support Ma’s claim that the “relay failure” proposal
         violated federal standards.[3]

        In January 2013, Ma filed suit in federal district court, naming AEP, Ebright, and Carlson
as defendants. Against AEP, Ma alleged that she was discharged as retaliation for her reports of
safety concerns, a violation of 42 USC 5851(a).4 Ma raised a claim of tortious interference with
business relations, a claim brought under Michigan law,5 against Ebright and Carlson. On June
17, 2013, AEP, Carlson, and Ebright filed a motion arguing that the court lacked jurisdiction
over the statutory claim, an argument ultimately rejected by the court. The motion also asked
that the district court refuse to exercise supplemental jurisdiction6 over the tortious interference

3
  Id. at 959-962. In the letter written to Ma explaining the basis for her discharge, Ebright wrote,
“Your continuing behavioral deficiencies and your failure to correct your performance is
unacceptable. Based on your failure to improve and sustain your performance at an acceptable
level, your employment is terminated effective today.”
4
  Under this statute, “[n]o employer may discharge any employee or otherwise discriminate
against any employee with respect to his compensation, terms, conditions, or privileges of
employment because the employee . . . notified his employer of an alleged violation of this
chapter or the Atomic Energy Act of 1954 (42 USC 2011 et seq.)[.]” 42 USC 5851(a)(1)(A).
5
    See, e.g., Dalley v Dykema Gossett, 287 Mich App 296; 788 NW2d 679 (2010).
6
    See 28 USC 1367.

                                                  -6-
claim. This particular argument was raised in response to the district court’s request that the
parties brief the issue.

        The district court agreed that it should not exercise supplemental jurisdiction over the
tortious interference claim, explaining:

         In the first place, the state-law claim introduces new party defendants, namely
         Defendants Carlson and Ebright. Neither of these defendants is a proper
         defendant on the sole federal claim, and their addition to the case for a purely
         state-law claim (on which the corporate defendant is not a proper party defendant)
         needlessly complicates the case. Second, the theory of state-law liability asserted
         is, at best, underdeveloped in Michigan law. Tortious interference claims are not
         novel in their own right, but their potential application to supervisors in a
         statutory employment discrimination case against the common employer of the
         plaintiff and the defendant supervisors raises a series of novel issues under
         Michigan common law. . . . Michigan courts—not federal courts—should lead the
         way in developing the parameters of any common law theory of liability against
         supervisors in the context of statutory employment law claims against an
         employer because common law developments have the potential to impinge on
         the prerogatives of the Michigan legislature in creating the parameters of the
         statutory claim. Finally, the federal statute at issue here does not create any claim
         against supervisors. . . . Rather, Congress created a claim solely against the
         corporate employer. Proceeding with a state common law tort against the
         supervisors risks eroding Congress’ decision not to impose ERA liability on
         supervisors.      Accordingly, the Court declines to exercise supplemental
         jurisdiction over Count III of Ma’s complaint.

        On June 17, 2014, Ma filed suit in Berrien Circuit Court against Weber, Carlson, Ebright,
Hill, Bellville, and Steinmetz. Ma’s complaint alleged that in 2004, she raised safety concerns
regarding analyses performed by other workers, specifically Hill and Steinmetz. She alleged that
these two men resented her for raising these concerns and retaliated against her by making false
statements about her to others. The complaint explained that no disciplinary action was taken
against Ma at that time because others at the company rewarded her for her actions and would
not permit any disciplinary action against her. However, Ma’s complaint alleged that in 2010,
Weber, Carlson, and Ebright began “abetting and engaging in retaliation” against her as well.
Ma alleged that her employment was eventually terminated “because she voiced her concerns
about safety issues to the company and refused to sign off on reports to government regulatory
agencies that she believed were false and intended to conceal serious unsafe, and thereby
contrary to the interests of the Cook Plant, conditions at the plant.” The complaint raised a
single count of tortious interference with business relations against all six defendants.

       In Ma’s federal suit, a bench trial was held in November 2014.7 The federal district court
issued detailed findings of fact and conclusions of law on August 18, 2015.8 The district court

7
    Ma, 123 F Supp 3d at 956.

                                                 -7-
concluded that Ma was discharged not as retaliation for her reports of safety violations, but
“because of the interpersonal challenges that were plainly evident during the entirety of Ma’s
tenure at AEP.”9 The court explained that Ma “was unable or unwilling to work collaboratively
as part of a team; she wanted to be an island of righteousness in her own world. . . . Ma did not
effectively talk, collaborate, and otherwise work with many of her co-workers at the Cook Power
Plant, and . . . it was this shortcoming that caused AEP to terminate her employment.”10 The
court found Ma’s theory of the case, that “there was some sort of conspiracy at AEP, and that her
detractors long-intended to see her fired from the company[,]” was not supported by the
evidence.11

        After this ruling, defendants moved for summary disposition in Berrien Circuit Court.
Among several arguments, defendants contended that there was no evidence that their actions
were taken solely to further their own personal interests, with no benefit to AEP. The trial court
declined to consider the federal district court’s findings. However, the trial court granted the
motion, concluding that Ma failed to present any evidence that would allow a jury to conclude
that defendants were acting solely for their own benefit and without any benefit to AEP.

        After the trial court granted the motion, defendants argued that Ma’s complaint was
frivolous and sought attorney fees pursuant to MCR 2.114 and MCL 600.2591. Defendants also
sought certain deposition expenses as taxable costs. The trial court denied both requests.

                                       II. DOCKET NO. 330380

        In Docket No. 330380, Ma challenges the trial court’s order granting summary
disposition in defendants’ favor pursuant to MCR 2.116(C)(10). Albeit for reasons different than
those explained by the trial court, we agree that defendants are entitled to summary disposition.

                                    A. STANDARD OF REVIEW

        This Court reviews de novo a trial court’s decision on a motion for summary
disposition.12 As our Supreme Court has explained:

                  A motion under MCR 2.116(C)(10) tests the factual sufficiency of the
           complaint. In evaluating a motion for summary disposition brought under this
           subsection, a trial court considers affidavits, pleadings, depositions, admissions,
           and other evidence submitted by the parties, MCR 2.116(G)(5), in the light most
           favorable to the party opposing the motion. Where the proffered evidence fails to

8
    Id. at 955-967.
9
    Id. at 964.
10
     Id.
11
     Id. at 965.
12
     Maiden v Rozwood, 461 Mich 109, 118; 597 NW2d 817 (1999).

                                                   -8-
           establish a genuine issue regarding any material fact, the moving party is entitled
           to judgment as a matter of law.[13]

As is explained below, the lynchpin to our analysis is our application of the doctrine of collateral
estoppel. We review de novo “issues concerning the application of the doctrine of collateral
estoppel.”14

                                            B. ANALYSIS

       We begin by examining the theory of liability pleaded in Ma’s complaint. As this Court
has explained:

                   The elements of tortious interference with a business relationship are the
           existence of a valid business relationship or expectancy, knowledge of the
           relationship or expectancy on the part of the defendant, an intentional interference
           by the defendant inducing or causing a breach or termination of the relationship or
           expectancy, and resultant damage to the plaintiff.[15]

         It is also well established that “[t]o maintain a cause of action for tortious interference,
the plaintiff must establish that the defendant was a ‘third party’ to the contract rather than an
agent of one of the parties acting within the scope of its authority as an agent.”16 In this matter,
all of the defendants are employed by AEP, a party to the business relationship at issue. Thus, it
is incumbent on Ma to demonstrate that these individuals were not acting within the scope of
their authority as employees. In this regard, it is “settled law that corporate agents are not liable
for tortious interference with the corporation’s contracts unless they acted solely for their own
benefit with no benefit to the corporation.”17

        Ma’s theory of the case is that defendants collaborated to effectuate her dismissal through
false accusations of improper behavior in the workplace. Ma contends that the source of
animosity and conflict at AEP was the fault of others. At its core, Ma’s theory represents her
interpretation of the ongoing interpersonal conflicts that existed during her tenure with AEP. But
as the federal district court found, “Ma’s personal interpretation is heartfelt, but wrong.”18 The
federal court found that Ma indeed lacked the interpersonal skills necessary to function
effectively in the workplace.19 The court explained that “Ma’s approach created an untenable

13
     Id. at 120.
14
     Barrow v Pritchard, 235 Mich App 478, 480; 597 NW2d 853 (1999).
15
     Dalley, 287 Mich App at 323 (quotation omitted).
16
     Lawsuit Fin, LLC v Curry, 261 Mich App 579, 593; 683 NW2d 233 (2004).
17
     Reed v Mich Metro Girl Scout Council, 201 Mich App 10, 13; 506 NW2d 231 (1993).
18
     Ma, 123 F Supp 3d at 964.
19
     Id.

                                                   -9-
situation for AEP’s senior management, as the different groups of engineers could not work
together to develop solutions to safety problems. . . . AEP’s Senior Management had not only the
right, but also the responsibility, to put this conflict to an end.”20

        When applied to Ma’s tortious interference claim, these factual findings require
dismissal. As explained, to prevail in this matter, Ma must be able to demonstrate that
defendants were acting solely for their own benefit and with no benefit to the employer when
they purportedly interfered with her employment relationship.21 Ma attempts to do so by
contending that her discharge was the result of false accusations levied against her regarding her
interpersonal skills, motivated by a personal desire on the part of defendants to see her
discharged. And if Ma were correct, perhaps one could conclude that defendants were acting
solely for their own benefit in making these accusations. If it were true that Ma conducted
herself properly in the workplace and that accusations to the contrary were false, the inference
could be drawn that by making these accusations, defendants were acting for their own personal
reasons, not to benefit AEP.22 But as the federal district court found, Ma did, in fact, lack
interpersonal skills.23 The court explicitly found that Ma’s theory—that there was a long-
standing conspiracy of sorts aimed at effectuating her discharge—was “not supported by the
evidence.”24 These findings preclude a conclusion that defendants were acting solely for their
own benefit.

       The district court’s findings also foreclose liability for a second reason. Ma bears the
burden of establishing that defendants’ allegedly tortious conduct caused the termination of her
employment relationship.25 To establish causation, Ma would be required to demonstrate that

20
     Id. at 965.
21
     Reed, 201 Mich App at 13.
22
   In the trial court, Ma contended that she did not “have to prove exactly what [d]efendants’
personal interest was.” She then hypothesized various reasons why each defendant may have
been motivated to interfere with her employment relationship. Defendants contend that this is an
admission that Ma cannot establish that they acted solely in furtherance of their personal
interests. We do not necessarily take the same view. Clearly, Ma must demonstrate that
defendants were acting “solely for their own benefit with no benefit to the corporation.” Id. But
acting solely for one’s own benefit and acting with no benefit to the corporation are two sides to
the same coin. Had Ma been able to demonstrate that defendants were acting without any benefit
to the corporation, a rational fact-finder could have also concluded that they were acting for
solely personal reasons, even if those precise reasons were not known. We are of the opinion
that Ma is, in that sense, correct in stating that it is not necessary to prove the precise personal
interest of each defendant.
23
     Ma, 123 F Supp 3d at 964.
24
     Id. at 965.
25
     Dalley, 287 Mich App at 323.

                                               -10-
defendants’ conduct was a proximate cause of her damages.26 Proximate cause requires proof of
two elements: “(1) cause in fact, and (2) legal cause.”27 “The cause in fact element generally
requires showing that ‘but for’ the defendant’s actions, the plaintiff’s injury would not have
occurred.”28 The federal district court’s factual findings conclusively demonstrate that the harm
suffered by Ma—the termination of her employment relationship with AEP—was not caused by
a purported conspiracy or collaborative effort by defendants to push her out of the company.
Rather, AEP terminated her employment because of her inability to effectively communicate and
work with others. These findings preclude Ma from establishing that but for any purportedly
tortious conduct by defendants, she would have remained employed with AEP.

       The remaining question, then, is whether the federal district court’s factual findings must
be given preclusive effect in this matter. As this Court has explained:

                   Collateral estoppel precludes relitigation of an issue in a subsequent,
           different cause of action between the same parties when the prior proceeding
           culminated in a valid final judgment and the issue was actually and necessarily
           determined in that prior proceeding. Collateral estoppel is a flexible rule intended
           to relieve parties of multiple litigation, conserve judicial resources, and encourage
           reliance on adjudication.

                   Generally, application of collateral estoppel requires (1) that a question of
           fact essential to the judgment was actually litigated and determined by a valid and
           final judgment, (2) that the same parties had a full and fair opportunity to litigate
           the issue, and (3) mutuality of estoppel.[29]

        This Court has explained that before collateral estoppel may be applied, “the ultimate
issue to be concluded must be the same as that involved in the first action.”30 “The issues must
be identical, and not merely similar.”31 Ultimately, the dispositive issue in the federal case was
whether Ma’s discharge was the result of retaliation due to her reports of suspected safety
concerns, “or because of her continued pattern of interpersonal and professional shortfalls[.]”32

26
  Alar v Mercy Mem Hosp, 208 Mich App 518, 530; 529 NW2d 318 (1995) (explaining that
with regard to “all purportedly tortious conduct,” an actionable claim requires proof of proximate
causation).
27
     Id.
28
  Skinner v Square D Co, 445 Mich 153, 163; 516 NW2d 475 (1994), overruled in part on other
grounds by Smith v Globe Life Ins Co, 460 Mich 446, 455 n 2; 597 NW2d 28 (1999).
29
 Rental Props Owners Ass’n of Kent Co v Kent Co Treasurer, 308 Mich App 498, 529; 866
NW2d 817 (2014) (citations omitted).
30
     Id.
31
     Id.
32
     Ma, 123 F Supp 3d at 964.

                                                   -11-
In this matter, the very same question is at issue. Ma’s theory is that she was discharged not due
to a lack of interpersonal skills, but because defendants sought to retaliate against her due to her
reports of safety concerns. Distilling the matter further, the relevant factual findings are that the
accusations against Ma were true, and that her termination indeed resulted from her lack of
interpersonal skills, not a nefarious collaborative effort against her. These are precisely the same
findings that foreclose Ma’s theory of liability in the instant matter.

        It is clear that the issue was litigated and determined by the federal district court. “To be
actually litigated, a question must be put into issue by the pleadings, submitted to the trier of fact,
and determined by the trier.”33 Clearly, the cause of Ma’s discharge was put into issue by her
federal complaint. Because of the nature of the statutory claim raised by Ma, the trial court was
required to address whether she would have been discharged absent any engagement in protected
activities, such as her reports of safety concerns.34 This, in turn, required the federal district
court to determine the reason for her discharge.35 After considering the evidence and arguments
presented by the parties, the court found that Ma was terminated “because of the interpersonal
challenges that were plainly evident during the entirety of Ma’s tenure at AEP.”36 The reason for
Ma’s discharge was a question put into issue by the pleadings, submitted to the trier of fact, and
determined by that trier. Thus, the issue of the reason for Ma’s discharge was actually litigated
in the federal district court. It is equally clear that the trial court’s determination was essential to
the judgment. Simply put, the federal court could not have resolved the matter without
determining the reasons for Ma’s discharge. That was the core issue to be determined in that
matter.37

33
     Rental Props, 308 Mich App at 529.
34
     Ma, 123 F Supp 3d at 962.
35
     Id. at 964.
36
     Id.
37
   Ma contends that the district court’s finding regarding the true reason for her discharge was
not, in fact, necessary to that court’s decision. Ma argues that AEP needed only demonstrate that
her discharge was not caused by her protected activities; she claims that it was not also necessary
to prove the actual cause of her discharge. This is an incorrect statement of the law, a fact of
which Ma seems aware. As the Sixth Circuit Court of Appeals explained in its decision
affirming the federal district court’s ruling in Ma’s federal case:
                  Ma challenges the district court’s conclusion that AEP met its burden,
           maintaining that because only a subset of the senior management team testified, it
           was impossible for the court to discern AEP’s true reason for terminating her.
           Although she aptly notes that an employer must present evidence of its actual
           rather than hypothetical motivations, see Passaic Valley Sewerage Comm’rs v.
           U.S. Dep’t of Labor, 992 F.2d 474, 482 (3d Cir. 1993), Ma points to no authority
           necessitating that all decisionmakers testify. Instead, the statute requires AEP
           provide “clear and convincing” evidence of its motivations. See 42 U.S.C. §

                                                 -12-
        Ma also had a full and fair opportunity to litigate the issue in the federal district court. As
explained, the question of the reason for her discharge was put into issue due to the nature of the
claim asserted by Ma. She was afforded a lengthy bench trial, where she was free to present
testimony and evidence regarding the issue. Under these circumstances, Ma was clearly given a
full and fair opportunity to litigate the cause of her termination.

        The trial court declined to consider the federal district court’s decision, reasoning that the
defendants in that action were not the same defendants named in Ma’s circuit court case. The
trial court’s reasoning was incorrect. Defendants assert collateral estoppel defensively, and our
Supreme Court has held that mutuality of estoppel is not required when the doctrine is asserted
defensively.38 This means that where a plaintiff has had the full and fair opportunity to litigate
an issue, if that issue is decided against that plaintiff, he or she may not relitigate the very same
issue, whether against the same or different defendants.39 Thus, it is irrelevant that the federal
matter did not involve the same defendants as Ma’s circuit court case.

        That said, we agree that the doctrine could not have been properly asserted at the
summary disposition phase. This is because it was not until after Ma filed the present appeal that
she exhausted all avenues of appellate review of the federal district court’s decision. Until all
appellate review was exhausted, the federal district court’s decision was not final, and thus,
could not be given preclusive effect.40 But at this point, the federal district court’s decision has
been affirmed by the Sixth Circuit Court of Appeals,41 and the United States Supreme Court has
denied Ma’s petition seeking a writ of certiorari.42 Thus, the decision is now final. There are no
barriers to the application of collateral estoppel in this case.

        Ma contends that “the determination of whether collateral estoppel should be applied is
whether doing so would result in substantial justice.” She then argues that, for various reasons,
substantial justice would not be served by the application of collateral estoppel. Ma derives such
a rule from our Supreme Court’s decision in Monat v State Farm.43 The principal holding of
Monat is that where collateral estoppel is asserted defensively, mutuality of estoppel is not

         5851(b)(3)(B). [Ma v American Elec Power, Inc, 647 Fed App’x 641, 644 (CA 6,
         2016) (emphasis supplied).]
38
     Monat v State Farm Ins Co, 469 Mich 679, 695; 677 NW2d 843 (2004).
39
  Id. at 692 (“A party is entitled to his day in court on a particular issue, and is not entitled to his
day in court against a particular adversary”).
40
  Leahy v Orion Twp, 269 Mich App 527, 530; 711 NW2d 438 (2006) (“A decision is final
when all appeals have been exhausted or when the time available for an appeal has passed”).
41
     Ma, 647 Fed App’x 641.
42
     Ma v American Electric Power, Inc, ___ US ___; 137 S Ct 242; 196 L Ed 2d 135 (2016).
43
     Monat, 469 Mich 679.

                                                 -13-
required.44 In explaining its rationale for adopting this rule (and responding to the dissent), the
Court stated:

                  Further, the dissent, at least in part, apparently bases its position on the
          notion that fairness, in the context of defensive collateral estoppel, is determined
          only on the basis of symmetry. . . . However, as explained in Bruszewski v United
          States, 181 F2d 419 (CA3, 1950), the achievement of “substantial justice,” rather
          than symmetry, is the proper measure of fairness in the context of defensive
          collateral estoppel:

                           This second effort to prove negligence is comprehended by
                   the generally accepted precept that a party who has had one fair
                   and full opportunity to prove a claim and has failed in that effort,
                   should not be permitted to go to trial on the merits of that claim a
                   second time. Both orderliness and reasonable time saving judicial
                   administration require that this be so unless some overriding
                   consideration of fairness to a litigant dictates a different result in
                   the circumstances of a particular case.

                           The countervailing consideration urged here is lack of
                   mutuality of estoppel. In the present suit [the plaintiff] would not
                   have been permitted to take advantage of an earlier affirmative
                   finding of negligence, had such finding been made in [his first suit
                   against a different defendant]. For that reason he urges that he
                   should not be bound by a contrary finding in that case. But a
                   finding of negligence in [the plaintiff’s first suit] would not have
                   been binding against the [defendant in a second suit] because [that
                   defendant] had no opportunity to contest the issue there. The
                   finding of no negligence on the other hand was made after full
                   opportunity to [the plaintiff] on his own election to prove the very
                   matter which he now urges a second time. Thus, no unfairness
                   results here from estoppel which is not mutual. In reality the
                   argument of [the plaintiff] is merely that the application of res
                   judicata in this case makes the law asymmetrical. But the
                   achievement of substantial justice rather than symmetry is the
                   measure of the fairness of the rules of res judicata. [Id. at 421.][45]

        Simply put, our Supreme Court did not adopt an overriding rule that to apply collateral
estoppel, “substantial justice” must also be established. Rather, the Court explained that when
evaluating whether it is fair to permit the defensive use of collateral estoppel without mutuality,
the primary concern is substantial justice, not symmetry. Our Supreme Court found that where a

44
     Id. at 695.
45
     Monat, 469 Mich at 693-694 (alterations in original).

                                                    -14-
plaintiff has had the full and fair opportunity to litigate an issue once, the application of collateral
estoppel against that plaintiff in a suit involving a different defendant best achieves “substantial
justice,” and thus, is fair.46 Ma was afforded such an opportunity, and is not entitled to a second
bite at the proverbial apple in this suit.

        Even if “substantial justice” were a controlling standard, we would not find Ma’s
arguments availing. Ma essentially contends that defendants caused her suit to be split between
two courts. She thus assigns the responsibility for any duplicative judicial efforts to defendants
alone. Ma’s argument focuses on the fact that in the federal case, Ebright and Carlson argued
against the exercise of supplemental jurisdiction. She contends that these individuals
vociferously argued for the dismissal of the tort claim on the basis that it bore no relationship to
the federal statutory claim. She also discusses at length the fact that defendants in this matter did
not seek to join the case with the federal suit under FR Civ P 20, which allows for the permissive
joinder of claims.

        We are not persuaded. It is clear that with respect to the exercise of supplemental
jurisdiction, the district court requested briefing on the issue from the parties. Thus, it is not
entirely fair to view this as a situation where Ebright and Carlson forcefully sought to have the
claim against them dismissed by the federal district court. Nor did these individuals contend that
the two counts were entirely unrelated as a factual matter; rather, they explicitly acknowledged
that the claims arose from the same set of operative facts.47 And in any event, it is clear that the
basis for the district court’s decision not to assume supplemental jurisdiction over the tortious
interference claim had little, if anything, to do with the relatedness of the facts underlying the
two claims. This is not surprising, given that Ma’s federal complaint relied on the exact same
factual allegations to support each count. Finally, we can hardly fault defendants for failing to
seek joinder under FR Civ P 20 when the district court had already expressed an unwillingness to
assume supplemental jurisdiction over the very same claim.48

       In sum, the federal district court’s findings regarding the cause of Ma’s discharge must be
given preclusive effect. Those findings necessitate a conclusion that defendants were not acting
solely for their own benefit, and also establish that Ma’s termination was not caused by
defendants’ actions. Accordingly, summary disposition must be entered in defendants’ favor.

46
     Id.
47
  The defendants in the federal matter did contend that the statutory claim and state law claim
served different purposes, and thus, had “no community” with one another, a phrase frequently
quoted by Ma in her supplemental brief on appeal. A fair reading of the brief filed in federal
court makes it clear that those defendants were referring to the legal elements of the two claims,
not the factual allegations that Ma relied on to support each claim.
48
  See Sunpoint Securities, Inc v Porta, 192 FRD 716, 719 (MD Fl, 2000) (explaining that FR
Civ P 20 is “procedural only and does not affect jurisdictional requirements.”).

                                                 -15-
                                      III. DOCKET NO. 332462

       In Docket No. 332462, defendants appeal as of right from the trial court’s order denying
their motion for attorney fees pursuant to MCR 2.114 and for the taxation of certain costs
pursuant to MCR 2.625(F). Finding no errors warranting relief, we affirm the trial court’s order.

                                        A. ATTORNEY FEES

        Defendants contend that the trial court abused its discretion when it refused to award
attorney fees pursuant to MCR 2.114 and MCL 600.2591. We disagree. A trial court’s ruling on
a motion for costs and attorney fees is reviewed for an abuse of discretion.49 “An abuse of
discretion occurs when the decision results in an outcome falling outside the range of principled
outcomes.”50 To the extent the trial court’s decision involves factual findings, those findings are
reviewed for clear error.51 “Clear error signifies a decision that strikes [the reviewing court] as
more than just maybe or probably wrong.”52 A factual finding is clearly erroneous if, despite the
existence of evidence supporting the finding, the reviewing court, after reviewing the entire
record, is left with a definite and firm conviction that a mistake has been made.53

        In their motion, defendants argued that attorney fees were warranted under MCR 2.114.
This court rule provides that the signature of an attorney or party constitutes a certification by the
signer that:

           (1) he or she has read the document;

           (2) to the best of his or her knowledge, information, and belief formed after
           reasonable inquiry, the document is well grounded in fact and is warranted by
           existing law or a good-faith argument for the extension, modification, or reversal
           of existing law; and

           (3) the document is not interposed for any improper purpose, such as to harass or
           to cause unnecessary delay or needless increase in the cost of litigation.[54]

Pursuant to MCR 2.114(E), if a document is signed in violation of these requirements, the trial
court “shall impose upon the person who signed it, a represented party, or both, an appropriate
sanction, which may include an order to pay the other party or parties the amount of the

49
     Keinz v Keinz, 290 Mich App 137, 141; 799 NW2d 576 (2010).
50
     Id.
51
     Id.
52
     In re Williams, 286 Mich App 253, 271; 779 NW2d 286 (2009).
53
     Id.
54
     MCR 2.114(D).

                                                  -16-
reasonable expenses incurred because of the filing of the document, including reasonable
attorney fees.”

       Statutory authority also provides a basis for awarding attorney fees and other costs.
Pursuant to MCL 600.2591:

          (1) Upon motion of any party, if a court finds that a civil action or defense to a
          civil action was frivolous, the court that conducts the civil action shall award to
          the prevailing party the costs and fees incurred by that party in connection with
          the civil action by assessing the costs and fees against the nonprevailing party and
          their attorney.

          (2) The amount of costs and fees awarded under this section shall include all
          reasonable costs actually incurred by the prevailing party and any costs allowed
          by law or by court rule, including court costs and reasonable attorney fees.

          (3) As used in this section:

          (a) “Frivolous” means that at least 1 of the following conditions is met:

          (i) The party’s primary purpose in initiating the action or asserting the defense
          was to harass, embarrass, or injure the prevailing party.

          (ii) The party had no reasonable basis to believe that the facts underlying that
          party’s legal position were in fact true.

          (iii) The party’s legal position was devoid of arguable legal merit.

          (b) “Prevailing party” means a party who wins on the entire record.

        Defendants’ arguments are all derived from the filing of Ma’s complaint. Defendants
argue (1) that the complaint was not well-grounded in fact and law because Ma lacked any
reasonable basis for claiming that defendants were third parties to the business relationship; (2)
that the complaint was not well-grounded in fact or law because her allegations that defendants
acted tortuously were false and unsupported, and (3) that Ma filed her complaint for an improper
purpose. We address each argument in turn.

                                     1. “THIRD PARTY” ISSUE

        This Court extensively addressed MCL 600.2591 in Louya v William Beaumont Hosp.55
In Louya, this Court explained that to determine if a suit is frivolous under MCL 600.2591, “it is
necessary to determine whether there was a reasonable basis to believe that the facts supporting
the claim were true at the time the lawsuit was filed . . . .”56 This Court stated, “There is a

55
     Louya v William Beaumont Hosp, 190 Mich App 151; 475 NW2d 434 (1991).
56
     Id. at 162.

                                                  -17-
significant difference between bringing a lawsuit with no basis in law or fact at the outset and
failing to present sufficient evidence to justify relief at trial.”57 This Court went on to explain:

                  Furthermore, the mere fact that the attorney may doubt the possibility of
           success on the merits of a case, even at the outset of litigation, does not
           necessarily and logically lead to a conclusion that the claim is “frivolous” as
           defined by MCL 600.2591(3)(a)(ii); MSA 27A.2591(3)(a)(ii). Rule 3.1 of the
           Michigan Rules of Professional Conduct prohibits an attorney from instituting or
           defending a frivolous action. However, the comment to the rule also provides:

                  The filing of an action or defense or similar action taken for a
                  client is not frivolous merely because the facts have not first been
                  fully substantiated or because the lawyer expects to develop vital
                  evidence only by discovery. Such action is not frivolous even
                  though the lawyer believes that the client’s position ultimately will
                  not prevail. [Emphasis added.]

                  In our view, the statute at issue and the rules of professional conduct
           should be read in harmony, if possible, to avoid the anomalous result of holding a
           lawyer personally liable for an opponent’s costs and attorney fees after ethically
           representing a client’s interest.

                                                 * * *

                   We will not construe MCL 600.2591; MSA 27A.2591 in a manner that has
           a chilling effect on advocacy or prevents the filing of all but the most clear-cut
           cases. Nor will we construe the statute in a manner that prevents a party from
           bringing a difficult case or asserting a novel defense, or penalizes a party whose
           claim initially appears viable but later becomes unpersuasive. Moreover, an
           attorney or party should not be dissuaded from disposing of an initially sound
           case which becomes less meritorious as it develops because they fear the penalty
           of attorney fees and costs under this statute.

                   In this case, the court’s failure to focus its inquiry on what [counsel]
           reasonably believed at the time he commenced the case is of critical importance.
           The statutory scheme is designed to sanction attorneys and litigants who file
           lawsuits or defenses without reasonable inquiry into the factual basis of a claim or
           defense, not to discipline those whose cases are complex or face an “uphill fight.”
           The ultimate outcome of the case does not necessarily determine the issue of
           frivolousness.[58]

57
     Id.
58
     Id. at 162-164.

                                                  -18-
        While Louya specifically addressed MCL 600.2591, we find its analysis equally
applicable to defendants’ arguments under MCR 2.114, because in this case, the document
purportedly signed in violation of MCR 2.114 is Ma’s complaint. Whether considered under the
statute or the court rule, the ultimate issue is the same: was the complaint frivolous when it was
filed because it was not well-grounded in fact or law?

        Like the trial court, we conclude it was not. Defendants argue that Ma had no basis,
either factually or legally, to believe that they were acting solely for their own benefit and
without any benefit to AEP. What is clear in this matter is that Ma has a different view of her
relationships with her former coworkers. Both in this case and in her federal suit, Ma believed
that her conduct was appropriate, and it was the conduct of others that caused the interpersonal
conflicts at AEP. Given this belief, her allegations that defendants lied about her conduct were
not baseless. Rather, she appears to have had an honest belief that others were collaborating to
effectuate her discharge from AEP due to her reports of safety concerns. As the federal district
court explained, “Ma’s personal interpretation is heartfelt, but wrong.”59 This, however, does not
render her complaint frivolous. That Ma was unable to prove her interpretation to be correct
does not mean that the complaint was frivolous from the beginning.60

        The remaining question is whether Ma’s complaint was devoid of any arguable legal
merit. Again, we agree with the trial court, and conclude it was not. Had Ma been able to prove
that the accusations against her were false, and that indeed, others were collaborating against her
to effectuate her discharge, a rational fact finder may well have concluded that defendants were
acting solely for their own benefit, not for the benefit of AEP. Again, that Ma was unable to
prove her case does not render the complaint frivolous.61

                                     2. TORTUOUS ACTS

        Defendants next contend that Ma had no reasonable basis to believe that they acted “both
intentionally and either improperly or without justification[,]” a showing which is necessary to
prevail on a claim of intentional interference with business relations.62 Defendants essentially
argue that Ma had no reasonable factual basis to claim that they lied about her conduct. As
explained, Ma did not believe her conduct was inappropriate. Thus, when faced with accusations
that she was acting inappropriately, Ma made an entirely logical inference that those making the
accusations were lying. Again, Ma’s interpretation of the facts was eventually found to be

59
     Ma, 123 F Supp 3d at 964.
60
   See Kitchen v Kitchen, 465 Mich 654, 662; 641 NW2d 245 (2002) (explaining that a complaint
is not frivolous merely because it ultimately did not succeed).
61
     Id.
62
     Dalley, 287 Mich App at 323.

                                               -19-
untrue. But it took a federal trial to reach that conclusion.63 Once again, that Ma was ultimately
unable to prove her case does not demonstrate that her complaint was frivolous when filed.64

                                    3. IMPROPER PURPOSE

        Finally, defendants contend that Ma brought her suit for an improper purpose under MCL
600.2591(3)(a)(i), which defines as frivolous any suit initiated for the primary purpose of
harassing, embarrassing, or injuring the prevailing party. Defendants contend that this suit was
“simply an extension of the contempt [Ma] had for coworkers who disagreed with her.” The trial
court disagreed, and we can discern no error in that conclusion. Clearly, Ma’s relationships with
coworkers were strained and difficult. But as explained before, it appears that Ma believed that
she was not the source of the problem. Ma was proven incorrect in this regard. But while Ma
did not prevail, we will not assume, as do defendants, that this litigation was no more than an
extension of her apparent problems working with others. Rather, like the federal district court,
we believe Ma’s interpretation of the circumstances, although ultimately incorrect, was
“heartfelt,”65 and that the instant suit was undertaken in a good-faith effort to vindicate her
beliefs. Because defendants have failed to demonstrate that the complaint was frivolous, the trial
court correctly refused to award sanctions.

                                   B. TAXATION OF COSTS

        Defendants contend that the trial court erred when it rejected their request to tax costs of
$8,188.70, which represented the costs defendants incurred to procure deposition transcripts in
this matter, as well as incidental costs incurred with regard to Ma’s deposition. We disagree.
“This Court reviews for an abuse of discretion a trial court’s ruling on a motion for costs
pursuant to MCR 2.625.”66 Whether a particular expense may be taxed as a cost is a question of
law, reviewed de novo on appeal.67

        Under Michigan’s court rules, “[c]osts will be allowed to the prevailing party in an
action, unless prohibited by statute or by these rules or unless the court directs otherwise, for

63
  We note that the district court denied a motion for summary judgment brought pursuant to FR
Civ P 56, the federal rule of civil procedure that parallels MCR 2.116(C)(10). In denying the
motion, the court explained that from the evidence presented, one of two inferences could be
made: (1) Ma was terminated due to “[s]ome combination of insubordination and inability to get
along with other people,” or (2) that she was discharged as retaliation for reporting various safety
concerns. In other words, even the federal district court that eventually ruled against Ma found
that there was at least some potential merit to her factual allegations.
64
     Kitchen, 465 Mich at 662.
65
     Ma, 123 F Supp 3d at 964.
66
   Van Elslander v Thomas Sebold & Assoc, Inc, 297 Mich App 204, 211; 823 NW2d 843
(2012).
67
     Id.

                                               -20-
reasons stated in writing and filed in the action.”68 But “[t]he power to tax costs is purely
statutory, and the prevailing party cannot recover such expenses absent statutory authority.”69
Thus, the presumption in civil cases is that costs will be allowed as a matter of course.70 But not
all expenses may be taxed.71 This is because the term “costs” must be understood through
statutory provisions that define what items are taxable as costs.72

           One particular statute, MCL 600.2549, permits the taxation of deposition fees:

                   Reasonable and actual fees paid for depositions of witnesses filed in any
           clerk’s office and for the certified copies of documents or papers recorded or filed
           in any public office shall be allowed in the taxation of costs only if, at the trial or
           when damages were assessed, the depositions were read in evidence, except for
           impeachment purposes, or the documents or papers were necessarily used.

        A plain reading of the statute reveals that it concerns two distinct items: depositions and
“documents or papers.” With regard to the taxation of fees associated with these items, the
statute explains that costs may be taxed “only if, at the trial or when damages were assessed, the
depositions were read into evidence, except for impeachment purposes, or the documents or
papers were necessarily used.”73

        In Portelli v I R Const Prods Co, Inc, this Court addressed whether certain costs for
depositions were taxable under MCL 600.2529 where the matter was decided at the summary
disposition phase, rather than at trial:

                   Costs for depositions are expressly taxable pursuant to MCL 600.2549;
           MSA 27A.2549. The plain language of the statute states that such costs are
           recoverable where the deposition is “read in evidence” at trial or where it is
           “necessarily used.” MCL 600.2549; MSA 27A.2549. Here, excerpts of the
           deposition transcripts of Irving Rozian, James Williams, Michael Pruess, and
           plaintiff were necessarily used in the context of I.R. Construction’s motion for
           summary disposition.[74]

       Thus, the Portelli Court seemed to hold that when deposition transcripts are relied upon
to support a summary disposition motion, those transcripts are “necessarily used,” and thus, costs

68
     MCR 2.625(A)(1). See also Van Elslander, 297 Mich App at 216.
69
     Van Elslander, 297 Mich App at 216 (citation omitted).
70
     Id.
71
     Id.
72
     Id.
73
     MCL 600.2549 (emphasis supplied).
74
     Portelli v I R Const Prods Co, Inc, 218 Mich App 591, 605; 554 NW2d 591 (1996).

                                                    -21-
associated with those depositions are taxable, assuming other requirements of the statute are
satisfied. However, in Portelli, this Court ultimately determined that the deposition costs at issue
were not taxable, for the reason that the deposition transcripts were never filed in any clerk’s
office.75 Accordingly, this Court’s holding that transcripts used to support a summary
disposition motion satisfy the “necessarily used” component of the statute is obiter dictum and
need not be followed.76

        Like the trial court, we believe that Portelli misread the statute at issue. As explained,
MCL 600.2549 differentiates between depositions and “documents or papers.” The “necessarily
used” language of the statute clearly applies only to the latter category, “documents and
papers.”77 With regard to depositions, the statute provides that the taxation of costs is permitted
“only if, at trial or when damages were assessed, the depositions were read in evidence, except
for impeachment purposes . . . .”78 Here, the depositions were never read into evidence.
Accordingly, the only statutory authority relied on by defendants for the taxation of these costs
does not permit the costs to be taxed. The trial court properly rejected defendants’ request.

          Affirmed.

                                                             /s/ Michael F. Gadola
                                                             /s/ Michael J. Talbot
                                                             /s/ Elizabeth L. Gleicher

75
     Id. at 606-607.
76
  See Griswold Props, LLC v Lexington Ins Co, 276 Mich App 551, 558; 741 NW2d 549 (2007)
(explaining that statements in opinions concerning principles of law not essential to the judgment
are obiter dictum and do not establish binding precedent).
77
     MCL 600.2549.
78
     MCL 600.2549.

                                               -22-