Full opinion text
OPINION AND ORDER LAGUEUX, Chief Judge. Plaintiff Mary Liu (“Liu”) was a graduate student at defendant Providence College (the “College”) when, she alleges, she was sexually harassed over the course of one year by defendant Giacomo Striuli (“Striuli”), who at the time was a professor at the College. In her Amended Complaint alleging federal and state causes of action against both Striuli and the College, Liu seeks a monetary award and equitable relief. Striuli’s Motion for Summary Judgment on all of plaintiffs claims, or, alternatively, Partial Summary Judgment on some of the claims is now before this Court for consideration. Also before the Court is the College’s Motion for Summary Judgment as to all counts asserted against it. For the reasons set forth below, Striuli’s motion is granted in part and denied in part. The College’s motion is granted in its entirety. BACKGROUND The complex nature of the causes of action asserted by Liu necessitates a careful review of the facts of the tangled associations between these parties. Many facts are in dispute regarding the nature of the relationship between Liu and Striuli and the actions of relevant characters in this controversy. Because the task before this Court is to determine whether summary judgment is appropriate, the Court must view the facts on the record and all reasonable inferences therefrom in the light most favorable to the non-moving party. See Continental Cas. Co. v. Canadian Universal Ins. Co., 924 F.2d 370, 373 (1st Cir.1991). Liu is entitled to the benefit of this rule at this stage of the proceeding and the following recitation of facts has been constructed with those ground rules in mind. Liu, a native of Taiwan, entered the graduate program in history at Providence College in the fall of 1992. She had been a student in the M.B.A. program at Johnson & Wales University in Providence, Rhode Island since 1990 when she first came to the United States. Liu was able to study in the United States because she had applied for and received an F-l student visa from the federal government that allowed her to reside in this country while pursuing her education. Liu began working on her Ph.D. in history in the fall of 1993 and was formally accepted into the Ph.D. program by the College in the fall of 1994. While at the College, Liu worked as a graduate assistant in the College’s Dominican Archives from September 1992 until May 1996. The series of events which resulted in her first encounter with Striuli was precipitated by a trip she took in December 1993 with her brother, who was also studying in this country, to Austria where her mother resided. Before leaving, Liu asked Fr. Thomas McGo-nigle (“Fr.McGonigle”), the Vice President for Academic Affairs at the College, whether her immigration documents were in order for her trip abroad. After signing Liu’s Form I-20, Fr. McGonigle told Liu that she could now leave the country. Liu discovered, however, that there were problems with her visa status when she attempted to return to the United States in early January 1994. In Vienna, United States immigration officials informed her that her F-l visa had expired. After several days in Austria, the American Embassy issued her a B-2 tourist visa that allowed her to return to the United States. Liu was unaware at the time that the visa she had been granted was different from the F-l visa that she had previously held. In September of 1994, Dr. Donna McCaf-frey (“Dr.McCaffrey”) of the History Department learned that there was a problem with Liu’s visa. The B-2 tourist visa issued by the American Embassy in January was valid for only six months and had expired that summer. Dr. McCaffrey referred Liu to Assistant Registrar Ann Loomis (“Loom-is”) because Loomis was a “Designated School Official” (“DSO”) for the Immigration and Naturalization Service (“INS”) at the College. At a meeting on September 30, 1994, Loomis explained to Liu that she would need to submit a new Form 1-20 to the INS to resolve the problem with her immigration status. Loomis also told Liu that as a graduate student, she would have to speak with Striuli, who was the DSO who handled the immigration affairs of graduate students. Striuli, a tenured professor in the Department of Modern Languages who was hired by the College nine years earlier, was also the College’s International Student Advisor (“ISA”) at that time, a post which required him to act as a liaison between foreign students and the College community. Liu, however, had never met Striuli prior to October 3,1994. At that meeting with Liu, Loomis telephoned Striuli and informed him that she would be referring a graduate student with a visa problem to him. On October 3, 1994, Liu met Striuli for the first time. They met for several hours in Striuli’s office on campus to discuss Liu’s immigration status. The facts of the relationship, beginning with the events of the initial meeting between Striuli and Liu on October 3, are sharply disputed. For the purposes of this motion, however, the Court will relate the remainder of the facts as they have been alleged by Liu in her deposition evidence, mindful that Striuli objects to the accuracy of most of what Liu poses as fact. At this October 3 meeting, Striuli prepared, signed, and handed over to Liu a Form 1-20. Liu also signed the form at the meeting. According to Liu, Striuli informed her that her immigration problems made her “technically illegal,” that she could be deported, and that he was the only official at the College who could help her maneuver through the “tricky” procedures of the INS. When Liu began to cry, Striuli sat next to her and stroked her thigh. Later in the meeting, Striuli told her that he would have to write a “moral character letter” on her behalf to the INS. In order to do so, Striuli said, he would have to get to know her better. Striuli then asked Liu several times if she would go out with him. Liu declined each request. In the days following that first meeting, Striuli repeatedly asked Liu to go out with him. He had obtained her class and work schedules and contacted her at home and at work. Striuli explained to her that in order to write the moral character letter necessary for the visa application, they needed to spend time together. Liu finally relented and the two met at a bar sometime between October 3 and October 13. At the bar, Striuli kissed Liu and stroked her thigh. Liu does not allege that she specifically objected in any way to these actions. Sometime prior to October 13, 1994, Liu met with Professor Richard Deasey (“Deas-ey”), a member of the faculty in the History Department, and Striuli regarding the delay in her visa application. Deasey testified at his deposition that Liu was tense at the meeting and felt great anxiety about her immigration dilemma. Liu claims that throughout early October, Striuli repeatedly told her that she could be deported because of her illegal status. Dr. McCaffrey recalls Liu telling her during this time period that she was sure that she would be deported. At the meeting, Deasey asked Striuli why Liu had not yet received a new visa. Striuli laid the blame on the failure of the INS to provide him with the proper forms for the application process. Deasey later explained that he found Striuli’s answers evasive and that he had the impression that Striuli was not fulfilling his duties as DSO adequately. On October 13, 1994, Liu alleges that Stri-uli raped her for the first time. That evening, Striuli telephoned Liu at home and informed her that he would visit her after his class. After Liu told him that she would be busy that evening, Striuli insisted that he see her that evening. Striuli arrived at Liu’s apartment later that night. Liu had turned off the lights in her apartment in an attempt to trick Striuli into believing that she was not at home. Undeterred, Striuli rapped on her door and demanded entrance. When Liu opened the door, Striuli shoved her to the floor, tore off her outer and under garments and raped Liu, all the while repeating: “you want this.” After the rape, Liu discovered that she had vaginal bleeding. Striuli, mentioning his friendship with Fr. McGonigle, Vice President of Academic Affairs, threatened to have her expelled from the College if she reported the rape. Striuli also claimed to have the power as ISA to deport her. Liu reports that soon thereafter she “blacked out.” Liu alleges that she was raped by Striuli again sometime between October 13 and October 20, 1994 and yet a third time on October 20, the day she went to a gynecologist and began to use birth control pills. Liu contends that she never willingly engaged in any intimate acts with Striuli over the course of their relationship. In November 1994, Liu’s immigration problem was resolved. Deasey received a form from his son, an INS official, in early November which he believed was the proper application form for Liu’s new visa. Some time prior to November 14, Liu met with Striuli and signed a letter to the INS drafted by him. Liu met with an INS official on November 14 and was told then that her visa had been reinstated. Liu alleges that Striuli’s abuse continued even after her immigration problem was settled. Between November 14, 1994 and July 4, 1995, Liu alleges that Striuli forced her to have sex with him “at least one hundred times.” She alleges that Striuli abused her verbally, by implying that he could kill her, and physically, by pulling her hair, twisting her arms, and kicking her legs open in order to have sex. Liu continued to attend classes and to report to work in the Archives during this period, but she maintains that her academic work and grades suffered as a result of Striuli’s harassment. Liu maintains that at least two College officials were aware that she was engaged in some type of intimate relationship with Striu-li between October 1994 and August 1995. In the fall of 1994, Herbert D’Arcy (“D’Arcy”), the College’s Director of Financial Aid, learned that Liu and Striuli were regularly seeing each other socially. D’Arcy was Striuli’s friend and even allowed Striuli to live with him for several months in the fall of 1994. Exactly what D’Arcy knew about the relationship between Liu and Striuli is unclear from the record. D’Arcy knew that Liu was a student at the College. But Liu maintains that D’Arcy was a participant in Striuli’s harassment of her. She contends that Striuli and D’Arcy often in her presence engaged in lewd banter regarding female students and Striuli’s sexual exploits, knowing that the comments were offensive to her. According to Liu, D’Arcy told Striuli, also in Liu’s presence, that Striuli had no reason to fear that College officials would look askance at his relationship with Liu because Striuli was tenured. In stark contrast to Liu’s version of events, D’Arcy testified at his deposition that he observed Liu and Striuli on several occasions playing the part of an affectionate couple. He described a tennis outing in November 1994 that he, Liu, and Striuli attended. D’Arcy testified that the couple held hands, kissed, and seemed to have affection for one another. D’Arcy testified at his deposition that this type of conduct was typical for the couple based on his observations of them in social settings. There is also some evidence that Professor Paul O’Malley (“O’Malley”), Director of the Graduate History Program, knew of the relationship. It is unclear from the evidence before the Court on this motion exactly what O’Malley knew and when he discovered it. The evidence does, however, support a finding that O’Malley told a College sexual harassment officer who investigated Liu’s claims in September 1995 that he thought the relationship was “turbulent.” Shortly before Striuli left Rhode Island on a trip to Italy in early July 1995, Liu made plans to move into a new apartment with a roommate. Although she received the keys to this new apartment in early July, she had not yet completely moved when Striuli returned on August 13. When Liu told Striuli that she planned to move and wanted to stop seeing him, Striuli threatened to have her deported or expelled from the College. Stri-uli continued to call Liu until she agreed to meet him once more on August 20, 1995. The two arranged to meet at a bookstore in Providence. Liu arrived first and when Striuli appeared, he immediately rushed her away from the store. Liu alleges that he forced her to drive back to her apartment. When they arrived at Liu’s apartment, Striuli shoved her inside, forced her to the floor, and climbed on top of her. But then the telephone rang and Liu rose to answer it. When Liu refused to tell Striuli who was calling, he threw a glass at her, which shattered at her feet. Liu testified that she feared that Striu-li might cut her with the broken glass. After Liu hung up the phone, Striuli insisted that they go to his apartment. At Striuli’s apartment, Liu alleges that he raped her again. Liu maintains that she continued to insist that their relationship end. Striuli, however, continued to confront her over the telephone and at her workplace, always insisting that she had no choice in the matter. One of those confrontations occurred on August 30, 1995 when at about midnight Striuli came to Liu’s apartment and, banging and kicking against her door, demanded that she let him in. Liu told him to leave and threatened to call the police, but Striuli was undeterred until the police arrived. The police suggested to Liu that she obtain a restraining order against Striuli from the Rhode Island District Court. The next day, Liu filed for a temporary restraining order against Striuli. In her Complaint for Protection from Abuse filed on August 31, 1995 in the Sixth Division of the District Court of the State of Rhode Island, Liu alleged that Striuli coerced her into a relationship by using his status as a College official and by threatening to sabotage her immigration dealings with the INS. She explained that Striuli physically hurt her by twisting her arms and pinning them down against her chest. In the Complaint Liu alleged that Striuli physically hurt her and coerced her into having an “intimate sexual relationship.” A Temporary Order for Protection from Abuse was granted by the District Court on August 31, 1995 enjoining Striuli from “assaulting, molesting, or otherwise interfering” with Liu. Before the court could hold an adversary hearing on the merits of issuing a permanent order, the parties agreed to a consent order. The order was entered by the District Court on October 16, 1995 and essentially extended the terms of the temporary order for the duration .of Liu’s studies at the College. On September 1, a Friday, Liu informed her work supervisor, Fr. Ingham, that she had a restraining order against Striuli. Fr. Ingham immediately referred her to Fr. McGonigle. Fr. McGonigle’s assistant, Rose Pagano (“Pagano”), scheduled Liu to meet with Fr. McGonigle on the next business day, September 5. Liu related to Pagano the substance of her allegations against Striuli and Pagano made a copy of the Temporary Restraining Order. On September 5, Liu, accompanied by Deasey, met with Fr. McGonigle and Gail Dyer (“Dyer”), the College’s Sexual Harassment Officer. Liu recounted her version of the facts regarding her relationship with Striuli. Dyer informed Liu that she had already launched an investigation into Liu’s claims. Striuli resigned as ISA on September 4, 1995, citing increased professional demands. During the period of the harassment, the College had in place a Sexual Harassment Policy that had been adopted on March 17, 1993. The topic of amorous relationships between faculty and students was addressed by the Policy. It advised against such relationships even though they may appear to be wholly consensual: “[R]omantic liaisons should be avoided and the College will provide no legal defense for any employee or faculty member charged with sexual harassment in instances where a romantic liaison exists and the power relationship is clearly unequal.” It is unclear from the record how widely distributed the actual text of this Policy was on campus. A summary of the College’s 1993 Policy was included in the Student Handbook for the years relevant to this lawsuit. The short summary merely recites a generic definition of sexual harassment and provides a list of names of College officers to whom a student might bring a sexual harassment issue. The College adopted a new Sexual Harassment Policy on September 11, 1995, several days after Liu met with Fr. McGonigle and Dyer. The new Policy, while discouraging romantic relationships between students and faculty, does not warn, as did the 1993 Policy, that the College will refuse to defend a faculty member who is charged by a student with sexual harassment following an amorous relationship between the two. In her investigation of Liu’s harassment complaint, Dyer ■turned to the provisions of this new Policy for guidance on the applicable standards. The Policy was also the basis for Fr. McGo-nigle’s final determination of Liu’s complaint. After' concluding her investigation, which included interviews of Liu, Striuli, and five other witnesses, Dyer issued a report to Fr. McGonigle on October 6, 1995. Dyer concluded that “[e]ven assuming that Ms. Liu entered into the relationship reluctantly, the evidence shows that at some point soon after it began, she returned Dr. Striuli’s affections.” But even a consensual relationship between Liu and Striuli troubled Dyer. She explained that “[t]he sexual harassment policy is clear on this matter. Faculty members should not become involved in romantic relationships with students, especially those over whom they have supervision.” Based on her belief in the inherent inappropriateness of a student-faculty relationship, Dyer concluded that “there is a reasonable basis to believe that [Liu’s] claim has some merit.” No specific sanction was recommended by Dyer in her report. On October 11, 1995, Fr. McGonigle rendered his decision on Liu’s sexual harassment complaint. He concluded that Striuli’s actions were “at variance” with the portion of the 1995 Sexual Harassment Policy discouraging amorous relationships between faculty and students. He also concluded that the relationship had been mutually consensual. Fr. McGonigle decided that a letter of reprimand for failing “to exercise appropriate professional judgment by entering into a romantic relationship with a student” was a fitting sanction for Striuli. Liu responded to this alleged pattern of harassment by filing the instant lawsuit against both Striuli and the College. The Amended Complaint contains eight counts. Count I alleges a cause of action against both Striuli and the College for violation of Title IX of the Education Amendments of 1972, 86 Stat. 373, as amended, 20 U.S.C. §§ 1681-1688. Count II alleges a cause of action against Striuli under the civil remedy provisions of the federal Violence Against Women Act, 42 U.S.C. § 13981. Count III alleges a cause of action against both Striuli and the College under the Rhode Island Civil Rights Act, R.I.Gen.Laws §§ 42-112-1 to -2. Count IV alleges a cause of action against Striuli under the Rhode Island Privacy Act, R.I.Gen.Laws § 9-1-28.1. Count V alleges a cause of action against Striuli for assault and battery under state common law. Count VI alleges a cause of action against Striuli for intentional infliction of emotional distress under state common law. Count VII alleges a cause of action against both Striuli and the College for negligent infliction of emotional distress under state common law. Finally, Count VIII alleges a cause of action against the College for negligent hiring and supervision under state common law. Before the Court now is the College’s Motion for Summary Judgment as to Counts I, III, VII, and VIII and Striuli’s Motion for Summary Judgment as to all Counts or, in the alternative, Partial Summary Judgment as to Counts I, II, III, IV, and VII. DISCUSSION I. Standard of Review Rule 56(c) of the Federal Rules of Civil Procedure sets forth the standard for ruling on a summary judgment motion: The judgment sought shall be rendered forthwith if the pleadings, depositions, answers to interrogatories, and admissions on file, together with the affidavits, if any, show that there is no genuine issue as to any material fact and that the moving party is entitled to a judgment as a matter of law. In determining whether summary judgment is appropriate, the Court must view the facts on the record and all reasonable inferences therefrom in the light most favorable to the nonmoving party. See Continental Cas. Co. v. Canadian Universal Ins. Co., 924 F.2d 370, 373 (1st Cir.1991). However, a grant of summary judgment “is not appropriate merely because the facts offered by the moving party seem most plausible, or because the opponent is unlikely to prevail at trial.” Gannon v. Narragansett Elec. Co., 771 F.Supp. 167, 169 (D.R.I.1991). Summary judgment is only available when there is no dispute as to any material fact and only questions of law remain. See Blackie v. Maine, 75 F.3d 716, 721 (1st Cir.1996). Additionally, the moving party bears the burden of showing that no evidence supports the nonmoving party’s position. See Celotex Corp. v. Catrett, 477 U.S. 317, 325, 106 S.Ct. 2548, 91 L.Ed.2d 265 (1986). II. Analysis A. MOTION FOR SUMMARY JUDGMENT BY THE COLLEGE 1. COUNT I: TITLE IX a. The standard for institutional liability under Title IX for the conduct of employees Liu argues that she may recover damages from the College for Striuli’s alleged sexual harassment through a right of action implied from Title IX of the Education Amendments of 1972, 86 Stat. 373, as amended, 20 U.S.C. §§ 1681-1688. (“Title IX”). The relevant text of Title IX provides that “[n]o person ... shall, on the basis of sex, be excluded from participation in, be denied the benefits of, or be subjected to discrimination under any education program or activity receiving Federal financial assistance.” 20 U.S.C. § 1681(a). The statutory language itself does not provide a private right of action for victims of sex bias at educational institutions. Rather, the express statutory language contemplates administrative enforcement by empowering federal agencies to withhold federal appropriations from offending educational institutions. See id. § 1682 (authorizing federal agencies to terminate funding to offending institutions and to use “any ... means authorized by law” to enforce their non-discrimination regulations). There is, however, recourse under Title IX for a private litigant. The United States Supreme Court has recognized an implied private right of action under the statute. See Cannon v. University of Chicago, 441 U.S. 677, 717, 99 S.Ct. 1946, 60 L.Ed.2d 560 (1979). The Court further developed the contours of this right of action in Franklin v. Gwinnett County Public Schools, 503 U.S. 60, 112 S.Ct. 1028, 117 L.Ed.2d 208 (1992). In Franklin, the Court instructed that a school can be held liable for monetary damages for the sexual harassment of a student by a teacher. See id. at 73-76, 112 S.Ct. 1028. Specifically, the Court decided that a school district could be liable for monetary damages when intentional discrimination was proven and that a pattern of sexual harassment by a teacher qualified under that standard. See id. Left undefined by the Court until recently, however, were the exact legal standards for institutional liability under Title IX to be applied by the lower courts. Those standards were finally charted by the Court in Gebser v. Lago Vista Independent School District, 524 U.S. 274, 118 S.Ct. 1989, 141 L.Ed.2d 277 (1998). That ease is controlling here on the question of the College’s liability under Title IX. In Gebser, a high school student brought a sexual harassment lawsuit against her teacher and her school district, basing her claim against the school district in part on Title IX. See id. at 1993. The student had been involved in an intimate sexual relationship with the teacher during the school year. See id. The plaintiff adduced no evidence that officials of the school district were aware of this sexual relationship, although the principal of the plaintiffs school had received complaints from two parents concerning offensive remarks made by the teacher in his classroom. See id. The plaintiff argued that the school district should be held liable for the teacher’s actions based on two theories. First, the plaintiff argued that a school district is liable for damages under Title IX by application of the doctrine of respondeat superior. See id. at 1995. This theory, based on a policy announcement from the United States Department of Education, would hold school districts liable where the teacher is “ ‘aided in carrying out the sexual harassment of students by his or her position of authority with the institution.’ ” Id. (quoting Office of Civil Rights, Dep’t of Educ., Sexual Harassment Policy Guidance, 62 Fed. Reg. 12034, 12039 (1997)); see also Restatement (Second) of Agency § 219(2) (1958) (discussing the “aided by agency” theory of respondeat superior liability). Second, the plaintiff argued for a constructive notice standard that would impose liability on a school district if officials “should have known” about the harassment. See Gebser, 118 S.Ct. at 1995. Both theories were rejected by the Court in favor of a standard that only recognizes a far more narrow range of institutional liability for an employee’s actions. The standard for institutional liability adopted by the Gebser Court is an exacting-one which rejects entirely liability based on constructive notice or apparent authority principles. The Gebser holding is unambiguous: [I]n cases like this one that do not involve official policy of the recipient entity, we hold that a damages remedy will not lie under Title IX unless an official who at a minimum has authority to address the alleged discrimination and to institute corrective measures on the recipient’s behalf has actual knowledge of discrimination in the recipient’s programs and fails adequately to respond. We think, moreover, that the response must amount to deliberate indifference to discrimination. Id. at 1999. The Court explained that it sought to avoid a rule that might result in holding educational institutions liable for the independent actions of their employees. See id. Liu, unwilling to concede defeat on the Title IX claim against the College, advances two rejoinders in an attempt to salvage her cause of action. First, she argues that the Supreme Court intended the Gebser standard to apply only to claims of “hostile environment” sexual harassment and not to actions alleging the “quid pro quo” variety of harassment. Next, Liu argues that the facts of her case fit within the narrow confines of the Gebser standard. Neither contention can rescue her Title IX claim against the College. The Supreme Court has downplayed the value of the sexual harassment labels “hostile environment” and “quid pro quo.” See Burlington Indus., Inc. v. Ellerth, 524 U.S. 742, 118 S.Ct. 2257, 2265, 141 L.Ed.2d 633 (1998) (explaining that the terms are not controlling on the vicarious liability issue). Nevertheless, the Court has acknowledged that the terms are helpful in categorizing two broad categories of sexual harassment. See id. (explaining that the terms are not irrelevant “when there is a threshold question whether a plaintiff can prove discrimination in violation of Title VII”). Generally, a plaintiff alleges quid pro quo harassment when the plaintiff claims that “a tangible employment action resulted from a refusal to submit to a supervisor’s sexual demands.” Id. A hostile environment sexual harassment ease is one in which the supervisor’s threats or offensive conduct are severe or pervasive, but the threats are unfulfilled. See id. Liu, without success, attempts to resuscitate her action with a theory commonly asserted by sexual harassment plaintiffs relying on Title VII, but recently rejected by the Supreme Court in the context of Title IX institutional liability. She posits that vicarious liability should be imposed on an employer automatically if the plaintiff can prove a case of quid pro quo harassment. See Faragher v. City of Boca Raton, 524 U.S. 775, 118 S.Ct. 2275, 2293, 141 L.Ed.2d 662 (1998) (holding that an employer has no affirmative defense to vicarious liability in a Title VII suit “when the supervisor’s harassment culminates in a tangible employment action”). Liu maintains that Gebser did not affect this rule because in that case the Court addressed only hostile environment claims, while her allegation is based on quid pro quo harassment. Therefore, she argues, a holding of vicarious liability against the College is compelled by resort to the rules commonly applied to quid pro quo harassment cases. The gaping hole in plaintiffs argument, however, is that the Gebser opinion makes no distinction between the two types of sexual harassment claims in the Title IX context. In fact, neither term is mentioned in the opinion. The Court’s broad language, quoted above, applies to both types of harassment in Title IX cases. See Gebser, 118 S.Ct. at 1999. This conclusion has been reached by several federal courts that have ruled on Title IX sexual harassment claims since the Court issued the Gebser decision. See Morse v. Regents of the Univ. of Colorado, 154 F.3d 1124, 1127 (10th Cir.1998) (stating that the Gebser rule applies if plaintiffs “were subjected to quid pro quo sexual harassment or subjected to a sexually hostile environment”); Klemencic v. Ohio State Univ., 10 F.Supp.2d 911, 918-21 (S.D.Ohio 1998) (applying the Gebser rule to a quid pro quo sexual harassment claim); Burtner v. Hiram College, 9 F.Supp.2d 852, 856-57 (N.D.Ohio 1998) (applying the Gebser rule to a quid pro quo sexual harassment claim). Liu has failed to cite, and this Court has been unable to identify, any case holding to the contrary. b. Application of the Gebser rule to Liu’s claim In applying the Gebser rule to the facts of this case, it is clear that Liu has failed to satisfy the Supreme Court’s test for imposition of vicarious liability on the College. Liu must first demonstrate that an official of the College who had “authority to take corrective action” had actual knowledge of the harassment by Striuli. Gebser, 118 S.Ct. at 1999. She has failed to do so. The best that Liu can do is to argue that both D’Arcy and O’Malley qualify as officials whose actual knowledge of the relationship between herself and Striuli must be imputed to the College. This reasoning fails on two counts. First, Liu has not adduced sufficient evidence to demonstrate that either D’Arcy or O’Malley had actual knowledge of Striuli’s alleged sexual harassment. Although there is evidence that D’Arcy knew of the sexual nature of the relationship between Liu and Striuli, there is no evidence that D’Arcy had actual knowledge that the relationship was anything but mutually consensual. Liu claims that D’Arcy was often in the company of Striuli and herself during the fall of 1994 and the spring of 1995, however, Liu does not allege that she ever attempted to tell D’Arcy that her relationship with Striuli was abusive or coerced. Liu alleges that Striuli made lewd comments regarding female students in her and D’Arcy’s presence. She does not allege that she objected in any way to those comments. However, assuming that lewd comments were made, they alone would be a totally inadequate basis for finding that D’Arcy had actual knowledge of sexual harassment of Liu by Striuli. Finally, Liu argues that given the lewd comments by Striuli and the very fact that Liu was then a student, D’Arcy “should have known” that the relationship was abusive. This constructive notice argument is patently inadequate under the Gebser standard which requires actual knowledge of the harassment. Vicarious liability also cannot be foisted upon the College through D’Arcy’s alleged inaction because he is not an official of the College “with authority to take corrective action to end the discrimination.” Gebser, 118 S.Ct. at 1999. D’Arcy, as Director of Financial Aid, was not a supervisor of Striuli nor was he an official who had the authority to police relationships between faculty and doctoral students. D’Arcy had no power to discipline or even to question Striuli about the relationship. If, as Liu argues, D’Arcy had a duty under the College’s sexual harassment policy to report to the appropriate authority his knowledge of Striuli’s relationship with Liu because it may have violated the prohibition on amorous faculty-student liaisons, this duty was no more than that which every employee of the College had. Such a duty to report information to appropriate authorities is plainly not an “authority to take corrective action” because the report itself could not have ended the discrimination. For similar reasons, institutional liability cannot be based on O’Malley’s knowledge of the relationship. Although O’Malley at one point described the relationship between Striuli and Liu as “turbulent,” Liu has produced no evidence that demonstrates that O’Malley knew the relationship was abusive or nonconsensual. In fact, Liu has not produced any other evidence that indicates what O’Malley knew about the relationship, other than his characterization of the relationship as “turbulent” in September 1995, after the relationship had ended. Furthermore, as Director of the Graduate History Department, O’Malley had no supervisory authority over Striuli, a professor in the Department of Modern Languages and, therefore, O’Malley lacked the type of authority required by Geb-ser. Liu has failed entirely to demonstrate a cause of action under the standard enunciated by the Supreme Court in Gebser for vicarious liability under Title IX. Therefore, the College’s Motion for Summary Judgment as to Count I is granted. 2. COUNTS VII & VIII: NEGLIGENCE a. The elements of a negligence cause of action Two separate counts against the College in Liu’s Amended Complaint are based on negligence theories. The two causes of action are labeled negligent infliction of emotional distress, a claim also asserted against Striuli, and negligent hiring and supervision. Both claims founder on an essential element of any cause of action grounded in negligence: proof that the defendant committed acts which constitute a breach of a duty owed the plaintiff. It is hornbook law that to establish a cause of action for negligence, the plaintiff must demonstrate that the defendant owed the plaintiff a legal duty, that the defendant breached that duty, that the breach factually and legally caused the plaintiff harm, and that the plaintiff suffered a demonstrable loss therefrom. See Splendorio v. Bilray Demolition Co., 682 A.2d 461, 466 (R.I.1996); W. Page Keeton et al., Prosser & Keeton on The Law of Torts § 30, at 164-65 (5th ed.1984). Analysis of a negligence claim by a court must begin with the identification of a legal duty owed by the defendant to the plaintiff to avoid committing negligent acts which might harm the plaintiff in a tangible way. If there is no duty owed the plaintiff, there is no liability for harm caused. See Swajian v. General Motors Corp., 559 A.2d 1041, 1046 (R.I.1989) (“It is axiomatic to tort law that this duty goes to the very existence of liability.... One cannot logically be held liable for breach of a nonexistent duty.”). Underlying the amorphous term “duty” is the legal concept of forseeability. See Banks v. Bowen’s Landing Corp., 522 A.2d 1222, 1225 (R.I.1987). Where the risk of injury to a party is reasonably foreseeable, the law will impose a duty upon the defendant to take reasonable steps to avoid that injury; in short, the potential risk is the measuring stick for the scope of the duty. See Builders Specialty Co. v. Goulet, 639 A.2d 59, 60 (R.I. 1994); see also Palsgrafv. Long Island R.R., 248 N.Y. 339, 162 N.E. 99, 100 (N.Y.1928) (Cardozo, C.J.) (“The risk reasonably to be perceived defines the duty to be obeyed, and risk imports relation; it is risk to another or to others within the range of apprehension.”). b. Negligent hiring under Rhode Island law The Rhode Island Supreme Court has announced that an employer owes certain third parties a duty to protect them from harms inflicted by the employer’s workers. See Welsh Mfg. v. Pinkerton’s, Inc., 474 A.2d 436, 440 (R.I.1984). Under this formulation of the employer’s duty, liability for the harmful acts of employees is not premised on the doctrine of respondeat superior, but on a separate affirmative duty owed by the employer to third persons who may reasonably be expected to come into contact with the employees. See Mainella v. Staff Builders Indus. Servs., Inc., 608 A.2d 1141, 1144-45 (R.I.1992); Restatement (Second) of Agency § 213 (1958); Restatement (Second) of Torts § 302B cmt. e (1965). The Rhode Island Supreme Court has defined this independent duty in the following manner: “Liability of the employer is premised on its failure to exercise reasonable care in selecting a person who the employer knew or should have known was unfit or incompetent for the employment, thereby exposing third parties to an unreasonable risk of harm.” Welsh Mfg., 474 A.2d at 440. The Welsh Court explained that this duty lasts for the duration of the employee’s tenure with the employer, affirming that employer liability can also be found in a breach of the “duty to retain in its service only those employees who are fit and competent.” Id. at 441 (explaining that this extended duty encompasses causes of action for negligent supervision, negligent training, and negligent assignment). There can be no doubt that as a matter of law, the College owes its students a duty to employ faculty and staff who are not reasonably foreseen to be dangers to the well-being of the student body. Liu’s negligence claims, however, fail to pass muster under the summary judgment standard because she has not adduced enough evidence upon which a reasonable jury could conclude that the College breached that duty. Liu has presented no evidence at all that undermines the process by which the College hired Striu-li nine years before the alleged harassment. Furthermore, Liu has failed to even allege that there were facts in existence about Stri-uli at the time of his hiring which would have given the College a reason to believe that Striuli was a sexual harassment risk. See Rodrigues v. Miriam Hosp., 623 A.2d 456, 464 (R.I.1993) (holding that the plaintiff must produce evidence indicating that a further inquiry by the employer would have revealed facts that would have alerted the employer to the danger of hiring the employee). No caúse of action for negligent hiring can be maintained by Liu. c. Negligent supervision under Rhode Island law Liu’s claim of negligent supervision fares no better. Even when the facts are viewed in the light most favorable to Liu, this Court must conclude that she has adduced no evidence substantiating her charge that the College failed to do something that a reasonable institution of higher education would have done to prevent the alleged harassment by Striuli. In support of her negligent supervision claim, Liu stretches past the breaking point- the Rhode Island case that first imposed such liability on an employer, as discussed below. The Rhode Island Supreme Court established an employer’s liability for negligent supervision in a case involving a rookie night watchman who had been assigned by his employer the task of guarding a valuable quantity of gold for a client of the employer. See Welsh Mfg., 474 A.2d at 438. In that context, the Rhode Island Supreme Court held that the employer could be liable for theft by the watchman where there was evidence that the twenty-one year old guard had not been trained properly and was left unsupervised for long periods of time to guard the large cache of precious metal. See id. at 443. The extent of the employer’s duty to supervise, according to the Welsh Court, was defined by the nature of the job to which the employee was assigned. In Welsh, a young and inexperienced guard was given “the sensitive task of guarding large quantities of gold.” Id. at 441. The Rhode Island Supreme Court held that the employer had breached its duty by failing to prepare and supervise the employee for the very task to which it assigned him. See id. at 443. Liu has failed to adduce any evidence that the College committed negligent acts in supervising Striuli. Liu rests her entire cause of action for negligent supervision on one meager rumor: a deposition statement by Deasey describing a conversation he had with the President of the College when Liu’s allegations had first come to light. At the deposition, Deasey claimed that the President of the College acknowledged that “there had been earlier complaints” about Striuli. Deasey said nothing more of substance in his deposition regarding the College’s knowledge of harassment by Striuli. The inadequacies of this evidence are obvious. This fragmentary bit of hearsay is entirely lacking in content and context. The nature of the alleged complaints is unknown as well as their timing, seriousness, and number. No evidence produced by Liu makes more plausible the conclusion that the complaints related to sexual harassment than to classroom competence or any other subject. Although this Court does not demand that a plaintiff opposing a motion for summary judgment prove all of the facts which would support her cause of action, a claim of negligent supervision requires more evidence to survive the College’s Motion for Summary Judgment than a solitary opaque rumor. Under the facts of the case sub judice, the Welsh decision provides little support for Liu’s claim. Unlike the employer of a young night watchman, a college is not expected to literally watch over the shoulders of its tenured faculty. Striuli was neither Liu’s professor nor her supervisor. In order for a reasonable jury to find that the College was negligent in its supervision of Striuli, this Court would have to expand beyond all reason the duty owed by the College. The duty that Liu would have this Court impose upon the College, a duty that encompasses a requirement that the College must take affirmative steps to investigate the exact nature of each relationship between a faculty member and a student, is clearly beyond the scope of the Welsh decision. This Court declines Liu’s invitation to so distort the Welsh standard. Liu has done little more than allege that the College was negligent. “ ‘Mere allegations, or conjecture unsupported in the record, are insufficient to raise a genuine issue of material fact.’” Horta v. Sullivan, 4 F.3d 2, 8 (1st Cir.1993) (quoting August v. Offices Unlimited, Inc., 981 F.2d 576, 580 (1st Cir.1992)). The evidence that Liu has marshaled in support of the breach of duty element of her negligence claims does not rise above the “mere scintilla” standard for measuring the sufficiency of the plaintiffs evidence on a motion for summary judgment. See Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 252, 106 S.Ct. 2505, 91 L.Ed.2d 202 (1986) (“The mere existence of a scintilla of evidence in support of the plaintiffs position will be insufficient; there must be evidence on which the jury could reasonably find for the plaintiff.”). Like the claim of negligent hiring, the cause of action for negligent supervision fails. d. Negligent infliction of emotional distress under Rhode Island law An extended analysis of the elements of Liu’s third theory of negligence, negligent infliction of emotional distress, is unnecessary because it also is insufficient due to Liu’s complete failure to produce any evidence that the College breached its duty to her, as discussed above in the analysis of her cause of action for negligent hiring and supervision. As for each of the negligence causes of action, it is not enough for Liu to allege that the College “should have known” that Striuli was sexually harassing her. Liu must point to specific facts in the record which would allow a reasonable jury to conclude that the College should have discovered evidence of Striuli’s alleged acts of sexual harassment. She has not done so. Neither of Liu’s causes of action against the College based on negligence can withstand the College’s dispositive motion. The College’s Motion for Summary Judgment is therefore granted as to Counts VII and VIII. 3. COUNT III: RHODE ISLAND CIVIL RIGHTS ACT In her final claim against the College, Liu seeks to impose vicarious liability under the Rhode Island Civil Rights Act of 1990 (“RI-CRA”), R.I.Gen.Laws §§ 42-112-1 to -2, on the institution for Striuli’s allegedly harassing conduct. No decision of the Rhode Island Supreme Court speaks directly to this issue. In fact, there is precious little case law addressing the scope of RICRA in any respect. This Court, therefore, will analyze useful state and federal authorities in order to shape an informed prediction of how the Rhode Island Supreme Court would answer the question before the Court. See Spurlin v. Merchants Ins. Co., 57 F.3d 9, 11 (1st Cir.1995) (explaining that when state authorities do not directly answer the question in controversy, the federal court must make its “best guess” as to what the state court would hold). RICRA was created as a direct response to the United States Supreme Court’s decision in Patterson v. McLean Credit Union, 491 U.S. 164, 109 S.Ct. 2363, 105 L.Ed.2d 132 (1989). See Ward v. City of Pawtucket, 639 A.2d 1379, 1381 (R.I.1994) (explaining that RICRA was enacted in response to Patterson’s narrow interpretation of 42 U.S.C. § 1981). In Patterson, the United States Supreme Court held that the federal Civil Rights Act of 1866, 42 U.S.C. § 1981, protects against racial discrimination in the formation of contracts only and not in the subsequent modification and performance of contracts. See Patterson, 491 U.S. at 171, 109 S.Ct. 2363. Rhode Island soon thereafter enacted RICRA which provides that “[a]ll persons within the state, regardless of race, color, religion, sex, disability, age, or country of ancestral origin, shall have ... the same rights to make and enforce contracts....” R.I.Gen.Laws § 42-112-l(a). The statute adopts a more expansive definition of contractual rights than does federal § 1981 under the Patterson Court’s interpretation. The Rhode Island statute defines those rights to include “the making, performance, modification and termination of contracts ... and the enjoyment of all benefits, terms, and conditions of the contractual and other relationships.” Id. § 42-112-l(b). These civil rights are enforceable by a private right of action expressly authorized by the statute: “A person whose rights under the provision of § 42-112-1 have been violated may commence a civil action for injunctive and other appropriate equitable relief, and for the award of compensatory and exemplary damages.” Id. § 42-112-2. The statute also provides that an “aggrieved person” who prevails in such an action may recover reasonable attorneys’ fees. See id. This Court rejects Liu’s contention that the College can be held vicariously liable under RICRA. Liu would have this Court import into its analysis of liability under RI-CRA, enacted in 1990, the standards used for employer liability under federal Title VII case law developed by the United States Supreme Court in 1998. If this Court were to establish such liability on the facts of this case, it would be expanding beyond recognition the rules of employer tort liability that have been repeatedly applied by the Rhode Island Supreme Court for decades. This Court holds that although the Rhode Island Supreme Court has never addressed the issue, if faced with the question, it would likely conclude that RICRA can be violated only by intentional discrimination, and not by mere negligent acts. This conclusion is reached by resort to federal case law interpreting the federal counterpart to RI-CRA, 42 U.S.C. § 1981. These decisions of the federal courts hold that § 1981 may only be violated by intentional discrimination. See General Building Contractor’s Ass’n v. Pennsylvania, 458 U.S. 375, 391, 102 S.Ct. 3141, 73 L.Ed.2d 835 (1982); Alexis v. McDonald’s Restaurants, 67 F.3d 341, 346 (1st Cir.1995). Limiting violations of RICRA to intentional acts necessarily forecloses vicarious liability for RICRA violations given Rhode Island’s law on the doctrine of respondeat superior. Under the traditional tort rule recognized in Rhode Island, an employer generally is not liable for the intentional tortious conduct of an employee. See Drake v. Star Market Co., 526 A.2d 517, 519 (R.I.1987); Labossiere v. Sousa, 87 R.I. 450, 143 A.2d 285, 287 (R.I.1958); Bryce v. Jackson Diners Corp., 80 R.I. 327, 96 A.2d 637, 639 (R.I.1953); Keeton et al., supra, § 70, at 606-07 (explaining that vicarious liability attaches only when an employee’s intentional torts were committed in furtherance of the employer’s business). There is at least one commonly recognized exception to this general rule, however. An employer may be liable for the intentional tort of an employee if the tort was committed while “performing a duty in the course of his employment and by express or implied authority from the employer.” Drake, 526 A.2d at 519. Typically, an employer held liable under this exception to the general rule was aware, or should have been aware, that the nature of the employee’s official tasks involved a substantial risk that the employee might inflict upon a third party an intentional tort in the course of furthering the employer’s business. See Bryce, 96 A.2d at 640. No other exception has been recognized by the Rhode Island Supreme Court for holding employers vicariously liable for the intentional torts of their employees. See Pride Chrysler Plymouth, Inc. v. Rhode Island Motor Vehicle Dealers’ License Comm’n, 721 F.Supp. 17, 23 (D.R.I.1989) (acknowledging that under Rhode Island law an employer can be held liable for an employee’s intentional torts only under the exception recognized in Drake). Some employers have been held liable under negligence theories for employees’ intentional torts. As discussed above, the Rhode Island Supreme Court has recognized employer liability for negligent hiring, training, and supervision. See Mainella v. Staff Builders Indus. Servs., Inc., 608 A.2d 1141, 1144 (R.I.1992); Welsh Mfg. v. Pinkerton’s, Inc., 474 A.2d 436, 440-41 (R.I.1984). However, the College cannot be liable under RI-CRA under such a theory because this Court has already decided that the College committed no negligent acts with respect to Striuli’s employment. The express language of RICRA’s private right of action provision does not shed any light on the question of vicarious employer liability. See R.I.Gen.Laws § 42-112-2 (granting a right of action to those who have been denied their rights under the statute). Given the reluctance of the Rhode Island Supreme Court to hold employers liable absent employer negligence or an act in furtherance of the employer’s business, this Court can only conclude that the Rhode Island Supreme Court would not import theories of vicarious liability into RICRA in this type of case. Therefore, the College’s Motion for Summary Judgment as to Count III is granted. B. MOTION FOR SUMMARY JUDGMENT BY STRIULI 1. RES JUDICATA DEFENSE Before dealing with Striuli’s specific assaults on particular counts contained in Liu’s Amended Complaint, the Court will first address a global defense raised by Striuli that targets all of the counts charged against him. In an attempt to forestall consideration of Liu’s Amended Complaint on the merits, Striuli argues that all of the causes of action contained in Liu’s pleading are barred by the doctrine of res judicata. This ambitious broadside misses its mark entirely. According to Striuli, the claims against him contained in the lawsuit sub judice are barred by res judicata because Liu should have included all of them in the action she commenced on August 31, 1995 in the Rhode Island District Court for a temporary order of protection. The proceeding before the Rhode Island District Court was brought pursuant to a special statutory scheme allowing for speedy access to the courts for victims of domestic violence. See R.I.Gen.Laws §§ 8-8.1-1 to -8. Although Striuli has styled his defense as res judicata, the more precise description of his challenge is claim preclusion. When used as a general term, res judicata encompasses two distinct theories of preclusion: claim preclusion and issue preclusion. The definitive distinction between these theories is explained by the Restatement (Second) of Judgments §§ 24 (claim preclusion), 27 (issue preclusion) (1982), a source recognized as authoritative on the doctrine of res judicata by both the Rhode Island Supreme Court and the United States Court of Appeals for the First Circuit, see ElGabri v. Lekas, 681 A.2d 271, 275-77 (R.I.1996); United States v. American Heart Research Found., Inc., 996 F.2d 7, 11 (1st Cir.1993). Claim preclusion acts to bar from re-litigation claims that were actually litigated in a prior lawsuit or that could have been litigated in that prior lawsuit. See Rhode Island Student Loan Auth. v. NELS, Inc., 600 A.2d 717, 720 (R.I.1991). The general rule of claim preclusion is authoritatively stated in the Restatement (Second) of Judgments: “When a valid and final personal judgment is rendered in favor of the plaintiff: (1) The plaintiff cannot thereafter maintain an action on the original claim or any part thereof_” Restatement (Second) of Judgments § 18. The doctrine of claim preclusion bars more than just the original cause of action brought by the plaintiff, it also bars “all rights of the plaintiff to remedies against the defendant with respect to all or any part of the transaction, or series of connected transactions, out of which the action arose.” Id. § 24(1). In order to invoke the preclu-sive effect of a prior suit, the party raising a claim preclusion defense must demonstrate that “ ‘there exists identity of parties, identity of issues, and finality of judgment in an earlier action.’ ” Gaudreau v. Blasbalg, 618 A.2d 1272, 1275 (R.I.1993) (quoting In re Sherman, 565 A.2d 870, 872 (R.I.1989)). Claim preclusion is not, however, a wholly-inflexible legal doctrine. The Restatement recognizes several broad exceptions to the general rule. See Restatement (Second) of Judgments § 26 (listing exceptions). One of those exceptions provides that: When any of the following circumstances exists, the general rule of § 24 does not apply to extinguish the claim, and part or all of the claim subsists as a possible basis for a second action by the plaintiff against the defendant: (d) The judgment in the first action was plainly inconsistent with the fair and equitable implementation of a statutory or constitutional scheme, or it is the sense of the scheme that the plaintiff should be permitted to split his claim.... Id. § 26(l)(d). An illustration of this exception provided by the Restatement editors involves a summary proceeding for repossession. In the example, a landlord brings a summary action for repossession of land from a tenant who has failed to pay rent. See id. § 26 cmt. e, ill. 5. In a separate, later action, the landlord sues for payment of rent past due. The Restatement editors conclude that the second action is not precluded if the statutory scheme under which the landlord brought the first action discloses an intention to provide an expedited procedure for reclaiming land without foreclosing other possible causes of action. See id. That exception is applicable to the special summary proceedings initiated by Liu for a protective order. Upon the advice of the police officers who responded to her call for help the night Striuli came to her door demanding to be let in, Liu filed a complaint for a restraining order in the Rhode Island courts. The Rhode Island statute provides that “[a] person suffering from domestic abuse” may file a complaint for a protective order. See R.I.Gen.Laws § 8-8.1-3. Subject matter jurisdiction for protective order proceedings is vested in the District Court of the State of Rhode Island. See id. § 8-8.1-2 (“Proceedings under this chapter shall be filed, heard, and determined in the district court of the division in which the plaintiff resides.”). Temporary protective orders, granted ex parte, are also allowed by the statute under certain circumstances. See id. § 8 — 8.1—4. The district court may impose in its discretion a range of restrictions on a domestic abuser, see id. § 8-8.1-3, after finding that the petitioner was the victim of domestic abuse, as defined by the statute, inflicted by the target of the order, see id. § 8-8.1-l(3) (defining domestic abuse). The statutory scheme under which Liu initiated her first suit against Striuli is designed to provide victims of domestic violence quick access to the courts for protective orders. See id. § 8-8.1-4 (allowing for ex parte temporary protective orders); see also Catherine F. Klein & Leslye E. Orloff, Providing Legal Protection for Battered Women: An Analysis of State Statutes and Case Law, 21 Hofstra L.Rev. 801, 1052 (1993) (“These relaxed procedures to avoid delay in issuance or implementation of the order are essential in cases of domestic violence, where the victim’s emergency needs predominate.”). In addition to allowing ex parte determination of a temporary protective order, other features of the protective order Act that evidence a legislative intention to provide speedy access to the courts include the waiver of filing fees for those unable to pay them and the lack of a minimum residency requirement for the petitioner. See R.I.Gen.Laws § 8-8.1-2. Furthermore, a complaint for a temporary order may be filed “[w]hen the court is unavailable after the close of business” before “any available district court judge” in an ex parte proceeding. Id. § 8-8.1-4 (b)(1). Most importantly, the statute itself sanctions splitting a cause of action. The. Act declares: “Any proceedings under this chapter shall not preclude any other available civil or criminal remedies.” Id. § 8-8.1-2. This statutory scheme, intended to provide victims of domestic abuse protection from immediate physical harm, is just the type of legal proceeding meant to be exempted from the claim preclusion rules by the Restatement. See Restatement (Second) of Judgments § 26(l)(d). Like the summary statutory proceeding for eviction discussed in the Restatement illustration, the protective order Act is designed to resolve a single, immediate concern of the petitioner without foreclosing the possibility of judicial relief on other issues. Liu sought the protection of the statute under the advice of local police officers responding to her call on the night Striuli attempted to force his way into her apartment. Under these circumstances, and given the public policy underlying the statute, it would be inequitable to maintain that Liu should have joined to this summary protective proceeding all state and federal claims that she may have had; Therefore, Striuli’s Motion for Summary Judgment as to all counts based on the general defense of res judicata is denied. 2. COUNT I: TITLE IX In addition to her attempt to hold the College liable under Title IX for Striuli’s alleged sexual harassment, Liu also argues that Striuli can be held accountable individually under that statute. There is no merit in Liu’s argument. The United States Court of Appeals for the First Circuit has foreclosed holding individuals liable under Title IX in their personal capacities. See Lipsett v. University of Puerto Rico, 864 F.2d 881, 901 (1st Cir.1988). In Lipsett, a medical resident broug