Noelker v. Board of Trustees of Southern Illinois University
Filing
179
ORDER granting 154 Motion for Summary Judgment. For the reasons contained in the attached Order, the Court GRANTS Defendant's Motion for Summary Judgment. Signed by Magistrate Judge Gilbert C. Sison on 9/30/2023.(kbh)
UNITED STATES DISTRICT COURT
FOR THE SOUTHERN DISTRICT OF ILLINOIS
)
)
)
Plaintiff,
)
) Case No. 3:17-cv-00800-GCS
vs.
)
)
BOARD OF TRUSTEES OF
SOUTHERN ILLINOIS UNIVERSITY, )
)
)
Defendant.
JENNIFER NOELKER,
MEMORANDUM & ORDER
SISON, Magistrate Judge:
Plaintiff Jennifer Noelker first brought suit against Defendant, the Board of
Trustees of Southern Illinois University (“SIUE”), on July 26, 2017. (Doc. 1). In her
complaint, Plaintiff brings one count, alleging that Defendant discriminated against her
based on her age in violation of the Age Discrimination Act of 1975 (the “Act”), 42 U.S.C.
§ 6102. Plaintiff asserts that Defendant discriminated against her when initially denying
her admission to its program, when assigning her high-grade point deductions for clinical
errors, and when terminating her from the program on the basis of those errors and her
professionalism. See generally (Doc. 1). Before the Court is Defendant’s Motion for
Summary Judgment. (Doc. 154). For the reasons delineated below, Defendant’s Motion is
GRANTED.
I.
FACTUAL ALLEGATIONS
Plaintiff applied for the Nurse Anesthetist Program (the “Program”) at SIUE in
May 2012, when she was forty-four years old. (Doc. 160, p. 2). The first time she applied,
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Plaintiff received a rejection letter. Id. at p. 3. Plaintiff discussed her rejection with Leslie
Jacobs, a preceptor for the Program at Mercy Hospital in Washington, Missouri
(“Mercy”), who wrote Plaintiff a letter of recommendation. Id. Another student who
worked in admissions at the SIUE School of Nursing also attended the meeting. Id. The
student told Ms. Jacobs and Plaintiff that Plaintiff had not been accepted because she was
too old. Id. Nevertheless, shortly before the academic year was set to begin, Dr. Andy
Griffin contacted Plaintiff and offered her a seat in the Program. Id. at p. 4.
Between 2012 through 2015, four individuals served as administrators and
decisionmakers for the Program, including its clinical components: Dr. Griffin, Dr. Paul
Darr, Dr. Kevin Stein, and Dr. Michelle Ertel. Id. at p. 2. Dr. Griffin served as director; his
responsibilities included overall administration, including ensuring compliance with
accreditation standards. Id. Dr. Darr served as assistant director until March of 2015. Id.
His responsibilities included managing clinical placements and issues pertaining to
student clinical performance. Id. Dr. Stein replaced Dr. Darr as assistant director in March
2015. Id. Prior to March 2015, Dr. Stein served as clinical liaison and was responsible for
maintaining relationships with clinical affiliates. Id. at p. 3. Dr. Ertel assumed the clinical
liaison position in Spring 2015. Id.
After Plaintiff enrolled in the Program, she took didactic courses with school
faculty, including Dr. Darr. (Doc. 160, p. 4). Dr. Darr began repeatedly asking Plaintiff for
her age. Id. Dr. Darr told Plaintiff that he was working on a dissertation on the science of
learning. Id. Based on his research, Dr. Darr believed that older students were not as
capable of critical thinking as younger students. Id.
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The same four administrators who oversaw the Program also coordinated clinical
placements and assigned grades for students in clinical courses. (Doc. 160, p. 3).
However, anesthesia staff at clinical sites maintained responsibility for providing clinical
instruction to students. Id. Each site appointed clinical coordinators in conjunction with
the Program faculty. Id. Clinic staff evaluated students’ clinical performance at the end of
each day, and at the end of each rotation. Id.
Evaluation of students’ clinical performance is based on daily evaluations, end-ofrotation evaluations, and “Comment Cards.”1 (Doc. 160, p. 5). Comment Cards come in
three colors: “green cards” denote commendation, “yellow cards” are given when a
student “needs to show significant improvement,” and “red cards” indicate an error
resulting in “significant morbidity or mortality.” (Doc. 160, Exh. 2, p. 140-141). In 2015,
the Program’s syllabi began including point deductions for each type of Comment Card.
(Doc. 160, p. 5). In Plaintiff’s NURS 565B clinical practicum, a “yellow card” could result
in a total of eight points being deducted from a student’s final grade. Id. at p. 6. A “red
card” could carry as high as a sixteen-point deduction. Id.
Plaintiff practiced clinically at Mercy Hospital in the summer of 2014. (Doc. 160, p.
6). During this rotation, Plaintiff worked under the direction of Clinical Coordinator Joe
Hassler. Id. Mr. Hassler repeatedly asked Plaintiff about her age. Id. at p. 6-7. After
searching for her age on the Internet in front of Plaintiff, Mr. Hassler then asked student
D.W. to tell him the age of the next student scheduled to practice at Mercy. Id. According
1
“Comment Cards” are also known and referred to as Special Emphasis Cards.
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to Mr. Hassler, working with older students made him feel like he was working with his
mother. Id. at p. 7.
Plaintiff did not receive any negative comments on her daily evaluations during
her time at Mercy. (Doc. 160, p. 7). However, in early July, Mr. Hassler contacted Dr. Darr
and told him that Plaintiff lacked critical thinking skills. Id. Plaintiff was then placed on
an academic improvement plan. A registered nurse at Mercy, Martha Blatchford, told
Plaintiff that she would have to work 300% harder than younger students because any
mistakes Plaintiff made would be held against her. Id.
Shortly after her clinical rotation at Mercy, Plaintiff requested and was granted a
leave of absence to care for her sister, who was diagnosed with brain cancer. (Doc. 160, p.
7). Plaintiff returned to the Program in January 2015. Id. She re-enrolled in her clinical
practicum in May 2015 and was placed at Carbondale Memorial Hospital
(“Carbondale”), under the supervision of Clinical Coordinator Tony Pinto. Id. at p. 7-8.
Dr. Stein was the administrator responsible for the practicum at that time. Id. at p. 7.
On June 18, 2015, while working with preceptor James Wade, Plaintiff accidentally
drew a vial of a paralytic, rather than the appropriate muscle relaxant, while assisting
with an outpatient foot surgery. (Doc. 160, p. 7-8). Mr. Wade did not double-check that
Plaintiff handed him the correct medication, and he administered the drug to the patient.
Id. As a result, the patient was placed on a ventilator, but the patient was successfully
extubated thirty-five minutes later; however, the patient could have died from the error.
(Doc. 155, p. 4); see also (Doc. 160, p. 8).
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Mr. Pinto recalled that Plaintiff took responsibility for the error. (Doc. 160, p. 8).
However, Mr. Pinto issued Plaintiff a “red card” for the incident. Id. Dr. Stein informed
Plaintiff that the deduction for the “red card” would be decided after examining all
feedback from the clinical site, as well as review of a remediation assignment. Id.
On July 24, 2015, Plaintiff was involved in a difficult intubation. (Doc. 160, p. 9).
Plaintiff and the clinical supervisors she assisted attempted a variety of intubation
methods. Id. When Plaintiff attempted to intubate, those present heard a “pop.” Id. After
inspection, Plaintiff’s supervisors noted that the veneer of the patient’s tooth had
detached. Id. Plaintiff was also issued a “red card” for this incident. Sixteen points were
deducted from Plaintiff’s final clinical grade for both “red cards,” but it is unclear how
many points were deducted for each card. Id. Dr. Stein noted that he deducted between
twelve and fourteen points for the first error when discussing the incident with the Office
of Civil Rights. Id. However, he also indicated that the first error warranted a full sixteenpoint deduction. Id. When determining whether to issue both “red cards,” Mr. Pinto
discussed the errors with Dr. Stein. Id. at p. 10. Mr. Pinto stated that he would not have
issued the “red cards” on his own. Id. After Plaintiff’s two errors, the Chief
Anesthesiologist at Carbondale requested that SIUE remove Plaintiff from the site. (Doc.
155, p. 4).
Defendant reassigned Plaintiff to a clinical rotation at Belleville Memorial Hospital
(“Belleville”) to complete her practicum. (Doc. 160, p. 11). While working with registered
nurse Lori Warner, Plaintiff was asked to draw two milligrams of Versed from a vial. Id.
Plaintiff alleges that the vial only contained one milligram of the controlled substance. Id.
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After this incident, Ms. Warner reported that Plaintiff failed to properly label a drug vial,
gave the patient an incorrect amount of a drug, and failed to take responsibility for her
lapses in skill and technique. (Doc. 155, p. 5). Later that day, Plaintiff was directed to
return to SIUE for a meeting with Dr. Stein and Dr. Griffin, as well as with Dr. Comrie
who was another administrator at the Program. (Doc. 160, p. 11). During the meeting,
Plaintiff was asked to account for the missing milligram of Versed. Id. Plaintiff requested
to take a drug test; however, the drug testing site had already closed. Id. at p. 11-12.
Plaintiff then became angry and abruptly left the meeting. (Doc. 155, p. 5). Though
Plaintiff returned shortly thereafter, she then left the meeting a second time in anger and
did not return. Id.
Dr. Griffin submitted a letter referring Plaintiff’s case to the Graduate Student
Affairs Committee (“GSAC”) on August 1, 2015. (Doc. 155, p. 10-11). In his letter, Dr.
Griffin noted three areas of concern: (i) Plaintiff’s medication error, (ii) her technical
airway skills, and (iii) Plaintiff’s inability to accept responsibility, take criticism, and
discuss issues with clinic preceptors and Program faculty in an open and honest way.
(Doc. 160, p. 12). However, Dr. Griffin noted that the school faculty believed that Plaintiff
had the “potential of safely being reintroduced into the clinical area.” (Doc. 155, Exh. 6,
p. 2). The GSAC terminated Plaintiff from the Program on August 12, 2015. (Doc. 160, p.
12). No member of the GSAC panel discussed or considered Plaintiff’s age when making
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this decision. (Doc. 155, p. 6). The GSAC affirmed its dismissal decision on August 28,
2015.2 (Doc. 155, Exh. 17, p. 1).
During Plaintiff’s tenure at SIUE, the Program began to experience difficulty
maintaining its accreditation. (Doc. 160, p. 14). In November 2014, only sixty-two percent
of the Program’s 2013 graduating class passed their national certification exam on the
first attempt. Id. This pass rate fell below the Council on Accreditation of Nurse
Anesthesia Education Programs’ (“COA”) mandatory threshold for first-time exam
takers, but it was above the acceptable cut-off for an alternative method for evaluating
pass rates. Id. Though the COA did not place SIUE on probation, it did send the school a
“letter of concern.” Id.
Other students who attended the Program around the same time as Plaintiff, who
were also over the age of forty, claimed similar experiences of discrimination. (Doc. 160,
p. 13). For instance, E.V. claims that his participation was terminated after Dr. Darr
changed the grade in his clinical course from a “B” to a “C.” Id. E.V. then had two “Cs,”
a cut-off permitting the administrators to dismiss him for poor grades. Id. E.V. asserts
that the administrators told him he would “probably fail out in the future, not find a job,
and then have to pay back student loans.” Id. at p. 14.
Plaintiff’s expert witness, Dr. Mariea Snell, statistically supports Plaintiff’s claims
of discrimination. She found that the Program was much more inclined to offer admission
When Dr. Griffin referred the matter to the GSAC, he was fifty-two years old. (Doc. 155,
p. 10-11). At the time that the GSAC made its termination decision, all members of the GSAC
were over the age of forty. (Doc. 155, p. 6).
2
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to younger students than older students, despite older students’ higher grade point
averages. (Doc. 160, p. 4). The probability that this was accidental was only four percent.
Id. Dr. Snell also found that Defendant likely engaged in discrimination to avoid changing
its education standards while maintaining accreditation. (Doc. 160, Exh. 14, p. 1).
Younger students in the Program also made similar errors to Plaintiff’s mistakes;
however, Plaintiff alleges that they were not treated as harshly as her. (Doc. 160, p. 2325). For example, twenty-seven-year-old N.K. administered a patient with a paralytic
rather than a muscle relaxant; as a result, the patient was placed on a ventilator. Id. at p.
23. Though N.K. was noted as having an unprofessional attitude, he only received a tenpoint grade deduction for his “red card.” Id. at p. 24. A.Q. received a “yellow card” and
a seven-point deduction for an error resulting in a soft palate injury requiring stiches. Id.
at p. 25.
II.
LEGAL STANDARDS
Summary judgment is proper when the pleadings and affidavits “show that there
is no genuine issue as to any material fact and that the moving party is entitled to
judgment as a matter of law.” FED. R. CIV. PROC. 56(c); Oates v. Discovery Zone, 116 F.3d
1161, 1165 (7th Cir. 1997) (citing Celotex Corp. v. Catrett, 477 U.S. 317, 322 (1986)). The
movant bears the burden of establishing the absence of a genuine issue as to any material
fact and entitlement to judgment as a matter of law. See Santaella v. Metro. Life Ins. Co., 123
F.3d 456, 461 (7th Cir. 1997) (citing Celotex, 477 U.S. at 323). This Court must consider the
entire record, drawing reasonable inferences and resolving factual disputes in favor of
the non-movant. See Regensburger v. China Adoption Consultants, Ltd., 138 F.3d 1201, 1205
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(7th Cir. 1998) (citing Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 255 (1986)). See also Smith
v. Hope School, 560 F.3d 694, 699 (7th Cir. 2009) (stating that “we are not required to draw
every conceivable inference from the record . . . we draw only reasonable inferences”)
(internal citations omitted). Summary judgment is also appropriate if a plaintiff cannot
make a showing of an essential element of his claim. See Celotex, 477 U.S. at 322. While
the Court may not “weigh evidence or determine the truth of the matter[,]” it must
ascertain whether a genuine issue remains for trial. Lewis v. City of Chicago, 496 F.3d 645,
651 (7th Cir. 2007).
In response to a motion for summary judgment, the non-movant may not simply
rest on the allegations in his pleadings; rather, he must show through specific evidence
that an issue of fact remains on matters for which he bears the burden of proof at trial.
See Walker v. Shansky, 28 F.3d 666, 670–671 (7th Cir. 1994), aff'd, 51 F.3d 276 (citing Celotex,
477 U.S. at 324). No issue remains for trial “unless there is sufficient evidence favoring
the non-moving party for a jury to return a verdict for that party . . . if the evidence is
merely colorable, or is not significantly probative, summary judgment may be granted.”
Anderson, 477 U.S. at 249–250 (citations omitted). Accord Starzenski v. City of Elkhart, 87
F.3d 872, 880 (7th Cir. 1996); Tolle v. Carroll Touch, Inc., 23 F.3d 174, 178 (7th Cir. 1994). In
other words, “inferences relying on mere speculation or conjecture will not suffice.” Trade
Finance Partners, LLC v. AAR Corp., 573 F.3d 401, 407 (7th Cir. 2009) (internal citation
omitted). See also Anderson, 477 U.S. at 252 (finding that “[t]he mere existence of a scintilla
of evidence in support of the [non-movant's] position will be insufficient; there must be
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evidence on which the jury could reasonably find for the [non-movant]”). Instead, the
non-moving party must present “definite, competent evidence to rebut the [summary
judgment] motion.” EEOC v. Sears, Roebuck & Co., 233 F.3d 432, 437 (7th Cir. 2000)
(internal citation omitted).
III.
DISCUSSION
Defendant makes two primary arguments in favor of summary judgment: (i)
Plaintiff cannot show that her age was the “but-for” cause of her dismissal, and (ii)
Plaintiff is not entitled to the type of relief she seeks in her complaint. (Doc. 155, p. 8, 17).
Prior to addressing Plaintiff’s prima facie case and Defendant’s arguments against it, the
Court must first determine the proper standard under which to evaluate a claim pursuant
to the Act.
A.
Plaintiff’s Burden of Proof under the Age Discrimination Act of 1975
Plaintiff’s sole claim for relief is predicated on the allegation that Defendant
discriminated against her in violation of the Act, as outlined in 42 U.S.C. § 6102. 3 (Doc. 1,
p. 13-14). Under § 6102, “ . . . no person in the United States shall, on the basis of age, be
excluded from participation in, be denied the benefits of, or be subjected to discrimination
under, any program or activity receiving Federal financial assistance.” (emphasis added).
Both Plaintiff and Defendant agree that the Act is “rarely litigated.” See (Doc. 155, p. 1;
Doc. 160, p. 17). However, Defendant urges the Court to interpret “on the basis of age”
Plaintiff also asserts that she is an “interested person” within the meaning of the Act, as
outlined in 42 U.S.C. § 6104(e)(1). (Doc. 1, p. 14). Defendant does not refute this contention, and
it is not at issue in the present motion.
3
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in the context of similar phrasing contained in the Age Discrimination in Employment
Act, 29 U.S.C. §§ 621-634 (“ADEA”). (Doc. 155, p. 9, n.6). The ADEA calls for “but-for”
causation. In contrast, Plaintiff pursues her claim under a “mixed motive” causation
standard, like that employed in some Title VII cases; she seeks to demonstrate that her
age was a factor in the Program’s decision to dismiss her. (Doc. 160, p. 1). Plaintiff chose
to pursue her case under this standard as she concedes that Defendant may have had
some legitimate motives for removing her from the program.4 Id. at p. 27.
Many cases involving the Act are dismissed for failure to exhaust administrative
remedies. See Popkins v. Zagel, 611 F. Supp. 809, 812 (C.D. Ill. 1985); Homola v. Southern
Illinois University at Carbondale, School of Law, No. 93-1940, 1993 WL 525849, at *1 (7th Cir.
Dec. 20, 1993); Jackson v. Board of Educ., No. 10 C 5710, 2012 WL 3079259, at *2 (N.D. Ill.
July 27, 2012); Pramuk v. Perdue Calumet University, No. 2:12-CV-77, 2012 WL 6552920, at
*2 (N.D. Ind. Dec. 14, 2012); Ford v. Garrett Evangelical-Theological Seminary, Case No. 13 C
6786, 2013 WL 5587087, at *4 (N.D. Ill. Oct. 10, 2013; Sheskey v. Madison Metropolitan School
Dist., No. 12-cv-488-wmc, 2015 WL 881393, at *4 (W.D. Wisc. Mar. 2, 2015); Covington v.
National University, Case No. 15 C 10452, 2015 WL 7568462, at *2 (N.D. Ill. Nov. 25, 2015).
Plaintiff admits that she made mistakes during her clinical tenure in the Program. See
(Doc. 160, p. 19-20). However, she also claims that Defendant issued penalties for those mistakes
with greater point deductions than those issued to younger students with similar errors. Id.
Furthermore, though Plaintiff notes that she was accused of possessing a controlled substance
while working in her clinical rotation, she alleges that Defendant failed to follow its own
procedures for addressing the issue. Id. at p. 20. Still, despite these possible legitimate motives,
Plaintiff believes the Defendant’s ultimate motivation for removing her from the nursing
program was her age. Id.
4
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Those cases not dismissed for failing to exhaust administrative remedies have
often been dismissed on other technical grounds. See, e.g., Cannon v. Loyola University of
Chicago, 784 F.2d 777, 781 (7th Cir. 1986) (finding that the plaintiff’s case was barred by
res judicata); Covington v. National University, No. 17-2508, 726 Fed. Appx. 486, 488 (7th
Cir. June 5, 2018) (upholding the lower court’s dismissal on the ground of claim
preclusion); Lawrence v. East Cent. Illinois Area Agency on Aging, No. 10-CV-1240, 2011 WL
1100506, at *4 (C.D. Ill. Feb. 22, 2011) (finding the plaintiff’s complaint lacked the facts
necessary to show that the defendant participated in a federal program, as required by
the Act); Bolden v. United States, No. 12-CV-01440, 2013 WL 389028, at *5 (N.D. Ill. Jan. 31,
2013) (dismissing the plaintiff’s case because the Act does not apply to federal agencies
implementing federal programs); Sheskey, 2015 WL 881393, at *4 (holding that the
plaintiff’s complaint was moot); Ferguson v. Nissen Staffing Continuum, Inc., Case No. 17cv-198-pp, 2018 WL 1513034, at *4 (E.D. Wisc. Mar. 27, 2018) (dismissing the plaintiff’s
complaint because it failed to allege that the defendant took an adverse action against the
plaintiff). But see Adams v. Lewis University, No. 97 C 7636, 1999 WL 162762, at *4 (N.D. Ill.
Mar. 12, 1999) (finding that the plaintiff’s complaint could survive a motion to dismiss
because the plaintiff alleged he was treated differently than similarly situated, younger
students, but remaining silent on whether the Act required demonstrating “but-for”
causation). As a result, Courts in the Seventh Circuit have not yet determined whether
the Act requires Plaintiff to show that her age was the “but-for” cause of her dismissal,
see (Doc. 155, p. 8), or whether the evidence, when examined as a whole, indicates that
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Plaintiff’s age was one cause, amongst others, of Defendant’s adverse actions against her.
See (Doc. 160, p. 17).
The choice as to which causation standard to apply has significant implications for
Plaintiff’s case. As Judge Posner, succinctly explained in Greene v. Doruff, “but-for”
causation is another means of requiring that the violation at issue be a necessary cause of
the plaintiff’s injury. 660 F.3d 975, 978 (7th Cir. 2011). In contrast, in a mixed-motive case,
the violation may be a sufficient cause of the plaintiff’s injury, though it need not always
be a necessary cause of the injury as well. Id. Thus, if the Court applies this latter
framework, Plaintiff’s burden is significantly lowered on summary judgment. Cf. Welke
v. Madison Metropolitan School District, No. 14-cv-693-wmc, 2016 WL 492327, at *7 n.13
(W.D. Wisc. Feb. 8, 2016) (noting that the McDonnel-Douglas test organizes evidence for
cases involving both standards, but that “but-for” causation triggers a more stringent
standard for a plaintiff than a mixed-motive analysis).
The Seventh Circuit has not explicitly stated whether cases under the Act should
proceed under a “but-for” or “mixed motive” causation standard. Prior Supreme Court
and Seventh Circuit cases, however, do provide critical guidance. For example, in Gross,
the Supreme Court determined whether a plaintiff could proceed with a “mixed motive”
standard of causation under the ADEA just as in a Title VII case. See Gross v. FBL Financial
Services, Inc., 557 U.S. 167, 175-178 (2009). Under the ADEA, it is unlawful for an employer
to, inter alia, refuse to hire or to discharge any individual “because of such an individual’s
age.” 29 U.S.C. § 623(a)(1) (emphasis added). The law further prohibits certain
discriminatory actions “on the basis of” or “based on” the plaintiff’s age. 29 U.S.C. §
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623(b), (e). Similarly, Title VII provides that it is an “unlawful employment practice for
an employer . . . to discriminate against any individual . . . because of such individual’s
race, color, religion, sex, or national origin.” 42 U.S.C. § 2000e-2(a)(1) (emphasis added).
The Supreme Court indicated that differences in the statutory history of the two
statutes warranted the application of a “but for” causation standard to the ADEA, as
opposed to the “mixed motive” standard applied in Title VII cases. See Gross, 557 U.S. at
174-175. Of particular importance, the Court noted that after passage of both Title VII and
the ADEA, Congress chose to amend Title VII to explicitly provide recovery for plaintiffs
with mixed-motive cases. Id. In contrast, Congress did not amend the ADEA to provide
a similar right of recovery, and the Supreme Court found that this lack of action indicated
that Congress did not intend for the ADEA to permit such a right. Id. Thus, even though
the language in the ADEA and Title VII are similar, courts interpret and apply the laws
differently.
The Seventh Circuit noted this key distinction in Smith v. Wilson, 705 F.3d 674 (7th
Cir. 2013). In Smith, an African American plaintiff sued the police chief and police
department under Title VI alleging racial bias in the decision to not include his towing
business on the town’s towing list. See Smith, 705 F.3d at 674. The jury found that race
was a “motivating factor” in the police chief’s decision not to hire the plaintiff. Id. at 676.
However, the jury did not find that the police chief would have hired the plaintiff if race
had not been a factor in his decision. Id. (emphasis added). Accordingly, the district court
found that this mixed verdict precluded relief for the plaintiff. Id. On appeal, the Seventh
Circuit rejected the plaintiff’s contention that he should be entitled to partial relief on the
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basis of the jury’s “motivating factor” finding. Id. at 681. It also rejected plaintiff’s
contention that once the jury found that race was a sufficient cause of the police chief’s
decision, that defendants bore the burden of demonstrating that it was not a necessary
cause of the decision. Id. Though the plaintiff compared Title VI to Title VII, the Seventh
Circuit noted that Title VI did not include the same amendments as in Title VII and found
it unlikely that Congress would unintentionally neglect to amend Title VI had it wanted
to include a right of relief for mixed-motive cases. Id. at 680. Instead, the Court noted that
it must have explicit statutory support for granting relief in mixed-motive cases. Id. (citing
McNutt v. Board of Trustees of the University of Illinois, 141 F.3d 706, 709 (7th Cir. 1998)).
This holding is particularly instructive as the Act is modeled after Title VI. See Action
Alliance of Senior Citizens of Greater Philadelphia v. Heckler, 789 F.2d 931, 934 n.1 (D.C. Cir.
1986). See also Maloney v. Social Sec. Admin., 517 F.3d 70, 75 (2nd Cir. 2008) (noting that the
Act’s language regarding the programs regulated under the law is “functionally
identical” to that in Title VI); 15 AM. JUR. 2d Civil Rights, § 366 (2021) (noting that the Act’s
remedies must be construed in the same manner as those provided for in Title VI).
The Seventh Circuit’s post-Gross decisions also leave no room for doubt as to
which standard to apply. For example, in Fairley, the Seventh Circuit dealt with a First
Amendment claim under Section 1983. See Fairley v. Andrews, 578 F.3d 518 (7th Cir. 2009).
The Seventh Circuit rejected the plaintiff’s reliance on cases that indicated the plaintiff
need only show that “his speech was a motivating factor in defendant’s decision.” Id. at
525. The Seventh Circuit reasoned that such cases “d[id] not survive Gross, which holds
that, unless a statute . . . provides otherwise, demonstrating but-for causation is part of
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the plaintiff’s burden in all suits under federal law. Id. at 525-526 (emphasis added). See
also Serwatka v. Rockwell Automation, Inc., 591 F.3d 957, 961 (7th Cir. 2010) (following Gross
and noting that “when another anti-discrimination statute lacks comparable language”
to that in Title VII, which specifically allows for a mixed-motive claim, such a claim will
not be viable under that statute). The Act contains no language explicitly permitting a
plaintiff to succeed in a mixed-motive case. The Court is bound by these Seventh Circuit
decisions, and as such, it will proceed to analyze Plaintiff’s claim under the but-for
causation standard.
B.
Plaintiff’s Case Under the McDonnell-Douglas Test
Plaintiff argues that summary judgment should be denied because she has
produced sufficient evidence in support of each element of a prima-facie case under the
McDonnell-Douglas test. (Doc. 160, p. 17- 28). As the Act is modeled after Title VI, Plaintiff
must show that the defendant acted with discriminatory intent. See Gonzalez v. Illinois
State Bd. of Educ., 811 F.2d 1030, 1045 (7th Cir. 1987). Proving discriminatory intent can be
difficult. The McDonnell-Douglas test permits a plaintiff to establish a prima facie case
through the use of circumstantial evidence indicating the defendant’s intention to
discriminate. See McDonnell-Douglas Corp. v. Green, 411 U.S. 792, 802-804 (1973). See also
Comcast Corporation v. National Association of African American-Owned Media, 140 S. Ct.
1009, 1019 (2020) (describing the McDonnell-Douglas test as a “tool for assessing claims,
typically at summary judgment, when the plaintiff relies on indirect proof of
discrimination”) (internal citations omitted); Brewer v. Board of Trustees of University of IL,
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479 F.3d 908, 915-924 (7th Cir. 2007) (applying the McDonnell-Douglas test to the plaintiff’s
claims under Title VI and Title VII).
Under the McDonnell-Douglas test, a plaintiff alleging discrimination must first
show that: (i) she is a member of a protected class; (ii) her performance met the
defendant’s legitimate expectations; (iii) the defendant took an adverse action against her;
and (iv) the defendant treated similarly-situated persons outside of the protected class
more favorably. Cf. Hossack v. Floor Covering Associates of Joliet, Inc., 492 F.3d 853, 860 (7th
Cir. 2007) (applying the McDonnell-Douglas test to an employment case under Title VII).
Once the plaintiff establishes a prima facie case, the burden shifts to the defendant to
articulate legitimate, non-discriminatory reasons for its actions. See Barracks v. Eli Lilly and
Co., 481 F.3d 556, 559 (7th Cir. 2007). The plaintiff may then attack those reasons as a
pretext for discrimination due to the plaintiff’s age. See Hossack, 492 F.3d at 860.
While applicable to Title VI, Title VII, and ADEA discrimination suits, the
McDonnell-Douglas test requires slight modifications for a case under the Act. For
instance, both Title VI and Title VII enumerate readily identifiable classes of protected
persons, making it simple for a Court to determine whether a plaintiff satisfies the first
prong of the test. See 42 U.S.C. § 2000d et seq.; 42 U.S.C. § 2000e et seq. Equally, the ADEA
explicitly limits its protections for those between the ages of forty and seventy-five. See
29 U.S.C. § 631(a). In contrast, however, the Act does not specify a particular class of
protected persons; it generally prohibits discrimination on the basis of age. See 42 U.S.C.
§ 6102. Cf. Rannels v. Hargrove, 731 F. Supp. 1214, 1220 (E.D. Pa. 1990) (holding that the
Act equally prohibits both traditional age discrimination and reverse age discrimination).
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The Act prohibits a particular decision-making framework, rather than protecting a class
of persons. The first prong of the McDonnell-Douglas test is therefore inapplicable.
The Court therefore will modify the McDonnell-Douglas test to apply to cases under
the Act in an educational context. As modified, the test requires a plaintiff to show: (i)
that her performance met the defendant’s legitimate expectations; (ii) that she was
subjected to an adverse action denying or limiting her ability to participate in a federal
program despite her adequate performance; and (iii) that the defendant treated similarlysituated participants of a more desirable age group more favorably than the plaintiff.
While Plaintiff has seemingly pointed to evidence satisfying the first and third elements,
she cannot satisfy the second, and therefore, summary judgment should be granted. The
Court will now proceed to analyze each of the elements in turn.
1.
Whether Plaintiff met Defendant’s Legitimate Expectations under the
Modified McDonnell-Douglas Test
A plaintiff’s prima facie case includes demonstrating that her performance met the
program’s legitimate expectations for participation. In order to be legitimate, the
defendant’s expectations must be bona fide; even demanding expectations are permitted
so long as the decisionmaker does not apply the standards in a discriminatory manner.
See Bischoff v. Thornton Township, No. 1:19-CV-04094, 2021 WL 1172263, at *6 (N.D. Ill.
Mar. 27, 2021) (considering the ADEA) (internal citations omitted). The proper inquiry
requires examining the plaintiff’s performance through the eyes of the decisionmakers at
the time of the alleged adverse action. See, e.g., Gates v. Caterpillar, Inc., 513 F.3d 680, 689
(7th Cir. 2008) (evaluating a claim under the ADEA) (internal citations omitted). The
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essential question is not whether the evaluation of the plaintiff’s qualifications for
participation in the program is right, but whether the decisionmaker’s description of its
reasons for the evaluation is honest. See Gustovich v. AT&T Communications, Inc., 972 F.2d
845, 848 (7th Cir. 1992) (considering a claim under the ADEA) (emphasis in original).5
Defendant provides ample evidence that Plaintiff was not meeting its legitimate
expectations at the time of her termination from the nursing program. Defendant uses a
colored card system in order to communicate the severity of a student’s mistakes in a
clinical setting. (Doc. 155, p. 3, n.2). A “red card” indicates the mistake is more serious
than those warranting a “yellow card.” Id. However, the number of points deducted for
a “red card” differs based on the course and standards outlined by faculty in that course’s
syllabus. Id.
On June 18, 2015, during her clinical placement at Carbondale, Plaintiff received a
“red card” for drawing a syringe of a paralytic, instead of an anti-paralytic, during an
anesthesia procedure. Id. at p. 3. Dr. Stein indicated that between twelve and sixteen
points were deducted from Plaintiff’s final grade in the clinic for this error. (Doc. 160, p.
9).
Gustovich, Gates, Bischoff, and Coco each consider the application of the ADEA. These cases
are nevertheless applicable to determining whether a decisionmaker’s expectations are legitimate
when considering circumstantial evidence of discrimination in this case. Much like a place of
employment, Defendant maintains particular standards of performance students must meet in
order to continue and complete their education. Cases which evaluate whether an employer’s
performance review of an employee outlines legitimate expectations for employment and
honestly describes whether the employee met those obligations are therefore analogous to this
case, in which the Court must determine whether Defendant’s expectations for Plaintiff’s
performance in her clinic were legitimate, and whether Defendant’s review of Plaintiff’s
performance was honest.
5
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On July 24, 2015, Plaintiff received a second “red card” for an error during the
intubation of a patient. (Doc. 155, p. 4). The error resulted in damage to the patient’s tooth.
Id. The second “red card” carried a point deduction between zero and four points. (Doc.
160, p. 9). In her deposition, Plaintiff notes that Defendant could have terminated her
from the nursing program immediately following receipt of her second “red card.” (Doc.
155, Exh. 1, 195:5-14). Instead, the Chief Anesthesiologist at Carbondale requested
Plaintiff be removed from the clinical site. (Doc. 155, p. 4).
Plaintiff completed her last two weeks of her clinical rotation at Belleville. (Doc.
155, p. 4). During her only day at the clinical site, Plaintiff’s supervisor claims that
Plaintiff gave a patient the incorrect amount of a drug, failed to label a drug vial, and
failed to take responsibility for lapses in her skill and technique. Id. at p. 5. While
administering Versed from a two-milligram bottle, Plaintiff noted that the vial only
contained one milligram of the drug. (Doc. 160, p. 11). Plaintiff was directed to return to
campus to account for the missing milligram of the controlled substance. Id. However,
during the meeting, Defendant claims that Plaintiff abruptly left in anger. (Doc. 155, p.
5). Based on the above, there is ample evidence in the record to indicate that Plaintiff did
not meet Defendant’s expectations for students in the nursing program.
Plaintiff, however, argues that Defendant applied its expectations in a disparate
manner, thus indicating discriminatory intent. (Doc. 160, p. 22). A defendant’s failure to
follow its internal procedures for the termination of a plaintiff from a federal program
can be indicative of a discriminatory motivation. See Rudin v. Lincoln Land Community
College, 420 F.3d 712, 723 (7th Cir. 2005). When a plaintiff provides evidence sufficient to
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support an inference that decisionmakers applied legitimate expectations in a disparate
manner, the first and third prongs of a plaintiff’s prima facie case merge, and the plaintiff
may establish her prima facie case by demonstrating that similarly-situated, younger
students were treated more favorably. See Peele v. Country Mut. Ins. Co., 288 F.3d 319, 329
(7th Cir. 2002). This inference requires evidence of “a specific policy that is regularly
enforced in similar situations.” Bagwe v. Sedgwick Claims Management Services, Inc., 811
F.3d 866, 882 (7th Cir. 2016) (internal citations omitted). However, when a policy
explicitly permits a decisionmaker a degree of discretion, the exercise of that discretion
does not evidence discrimination. See Long v. Teachers’ Retirement System of Illinois, 585
F.3d 344, 353 (7th Cir. 2009) (internal citations omitted).
Long provides a particularly helpful example for determining whether a
decisionmaker exercised discretion as permitted by the policy in question, or whether
that decisionmaker applied the policy differently to different groups. The policy at issue
in Long detailed progressive discipline; the disciplinary steps usually required an oral
warning and informal counseling, a written warning and counseling, suspension, and
then discharge. 585 F.3d at 353. The policy also stated that management may choose to
begin the disciplinary process at any step, depending on the facts and circumstances of
each situation. Id. When skipping steps prior to discharge, the policy required the
supervisor and division head to make recommendations for discharge to the director of
human resources. Id. In Long, the defendants first provided the plaintiff with an oral
warning for frequent absenteeism, thus complying with the first step of the disciplinary
process. Id. However, after these warnings went unheeded, the defendants recommended
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to the director of human resources that the plaintiff be discharged. Id. Because the
defendants had the discretion to skip steps in the disciplinary process, their
noncompliance with the typical steps in the disciplinary process was not evidence of
discriminatory intent. Id. at 353-354.
Plaintiff alleges that Defendant failed to follow its internal policies with respect to
Plaintiff on four separate occasions: (i) Defendant placed Plaintiff on an Academic
Improvement Plan (“AIP”) (Doc. 160, p. 19); (ii) Defendant issued Plaintiff two red cards,
with point deductions from her grade for each, id. at p. 19-20; (iii) Defendant failed to test
Plaintiff for drugs immediately after clinical faculty at Belleville accused Plaintiff of drug
possession/diversion, id. at p. 20; and (iv) Defendant placed Plaintiff in a second clinical
placement after her second “red card,” rather than immediately deciding whether to
terminate her from the program. Id. at p. 20-21.
With respect to Plaintiff’s first argument, Defendant’s student handbook outlines
different policies to be implemented in response to student difficulties in clinical
placements. However, no policy specifically refers to an Academic Improvement Plan. If
a clinical faculty member determines that a student “is not progressing satisfactorily or
is demonstrating a pattern of suboptimal behavior [they] may recommend to the
Assistant Dean for Graduate Programs and Graduate Student Affairs that the student be
placed on clinical probationary status.” (Doc. 160, Exh. 2, p. 107-108). However, the
decision to place a student on clinical probation ultimately rests with the GSAC, “based
on recommendations from the faculty member who evaluated the student’s performance
and the Assistant Dean for Graduate Programs and/or the Dean, School of Nursing.” Id.
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at p. 108. Thereafter, the faculty member and student “will develop a formal plan of
remediation.” Id.
Faculty members may also place students on an “Academic Intervention process”
when that faculty member judges a student’s clinical or academic performance to be a
“C” grade level or lower. (Doc. 160, Exh. 2, p. 109). The student and faculty member must
complete an Academic Intervention Form identifying areas of weakness and offering
suggestions for remediation. Id. There is no “Academic Intervention Form” in the student
handbook; however, the “Academic Improvement Plan” most closely tracks the goals
outlined in the Academic Intervention policy. See id. at p. 190. The AIP states that the
“process” includes the faculty and student meeting to discuss an identified problem area
and to implement a remediation plan. Id. The plan includes space to describe the problem,
the student’s perception of the problem, the remediation plan, and the final goals and
outcome to be achieved. Id. at p. 190-191.
On July 3, 2014, Mr. Hassler contacted Dr. Darr to inform him that Plaintiff’s
“critical thinking skills are deficient, there is a lack of progress and pharmacology
knowledge and utilization continues to be deficient.” (Doc. 160, Exh. 19, p. 14). Mr.
Hassler’s evaluation was predicated on an incident in which Plaintiff extubated a patient
too early, though Mr. Hassler did not give Plaintiff a yellow or red card for the error.
(Doc. 160, Exh. 1, 107:12-23; 108:16-19). Prior to this email, Plaintiff did not receive a single
negative comment in her daily evaluations while placed at Mercy. (Doc. 160, p. 7). Dr.
Darr appears to have initiated an Academic Intervention in response to Mr. Hassler’s
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email; he and Plaintiff completed an AIP which allowed her to continue in the class and
clinical practicum while completing her remediation. (Doc. 160, Exh. 19, p. 16).
There appears to be no evidence indicating whether Dr. Darr believed Plaintiff had
a “C” grade or below in the clinical practicum thus warranting an academic intervention.
There is also no evidence indicating whether Dr. Darr believed Mr. Hassler’s email
indicated that his eventual evaluation would lower Plaintiff’s grade to a “C” or below.
That being said, Dr. Darr’s decision to place Plaintiff on an AIP is not contrary to
Defendant’s internal policies. The student handbook provides clinical faculty significant
discretion in determining whether to refer a student to the GSAC for clinical probation;
the policy states that the faculty “may” refer the student, not that they must or shall refer
them to the GSAC. Cf. Murphy v. Smith, 138 S.Ct. 784, 788 (2018) (internal citations
omitted) (finding that the term “shall” establishes a mandatory obligation rather than a
liberty). Although it did not appear that Plaintiff’s grade was “C” or below thus justifying
an academic intervention, the evidence appears to indicate that the afforded discretion
was exercised appropriately in light of the aforementioned intubation incident.
Plaintiff’s fourth argument that Defendant failed to follow its internal policies
likewise fails to find evidentiary support. Defendant’s student handbook states that
clinical faculty members may recommend that a student be placed on probation from the
clinic if the student is “not progressing satisfactorily or is demonstrating a pattern of
suboptimal behavior[.]” (Doc. 160, Exh. 2, p. 107). A student may also be immediately
removed from a clinical practicum if, “in the instructor’s professional judgment, the
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student is unable to provide safe patient care and/or if this deficit is so serious that it
cannot be remedied in the given clinical time[.]” Id. at p. 108.
Mr. Pinto did not recommend Plaintiff for probation. When the Chief
Anesthesiologist at Carbondale stated that he did not want Plaintiff to continue at the
site, Mr. Pinto removed Plaintiff from the site. See (Doc. 178, Exh. 1, 95:7-15). Contrary to
the Chief Anesthesiologist’s opinion, Plaintiff’s instructor did not believe she was unable
to provide safe patient care or to remedy her deficit in the remainder of her clinical time.
(Doc. 155, Exh. 6, p. 1). Like in Long, the policy outlined in Defendant’s student handbook
provides clinical faculty the discretion to refer a student to probation, or to pursue a more
severe remedy. Cf. Murphy, 138 S.Ct. at 788. Equally, while the student handbook
mandates that instructors shall remove a student if their skills fall below a standard of
safety, it is silent as to the proper course of action when a clinical placement requests a
student’s removal. See, e.g., Tank v. T-Mobile, USA, Inc., 758 F.3d 800, 806 (7th Cir. 2014)
(finding that there was no circumstantial evidence of discriminatory intent when a
defendant did not have a policy regulating employment actions). As there is no policy
regulating Defendant’s choices in this context, Defendant cannot have applied its policy
disparately. Indeed, the chosen course of action inured to Plaintiff’s benefit, as she was
placed in another clinical setting, as opposed to being removed from the Program.
Plaintiff finds greater success with her second and third arguments that Defendant
failed to follow its internal policies. First, with respect to the issuance of “red cards,”
Defendant’s student handbook outlines how a student’s “moment-to-moment”
evaluations by clinical supervisors may be implemented into a student’s grade for the
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clinical practicum. (Doc. 160, Exh. 2, p. 12). Clinical coordinators and preceptors may
issue students “Special Emphasis Cards,” including “red cards,” in order to denote
particular commendations or concerns regarding a student’s performance during a
particular event. Id. at p. 13. When denoting a problem, coordinators may issue either a
yellow or a red card. (Doc. 160, Exh. 2, p. 141). According to the student handbook:
A Yellow Card represents a problem in student performance that needs to
show significant improvement. A Red Card is issued when an incident with
a student occurs that could or would have caused significant morbidity or
mortality without intervention or if a student has created an unacceptable
workplace environment.
Id. (emphasis in original). An incident which would have caused “significant morbidity”
is one which caused “significant injury,” though the definition of “significant injury” is
dependent on the judgment of the clinic coordinator. (Doc. 160, Exh. 3, 97:8-22). Dr. Darr,
who designed the policy, stated that the card system was intended to ensure that clinical
coordinators evaluated the student at the scene of the event in question. (Doc. 160, Exh.
8, 69:5-9). Accordingly, clinical faculty issue the cards, and school faculty determine the
appropriate point deductions for those cards. Id. at 65:9-15.
Plaintiff received both “red cards” while completing NURS 565b. According to the
syllabus, Dr. Stein retained discretion to implement a deduction of up to eight percent
from a final grade for the issuance of a “yellow card.” (Doc. 160, Exh. 22, p. 11). Dr. Stein
could also issue a deduction of up to sixteen percent from a final grade for the issuance
of a “red card.” Id.
Plaintiff was first issued a “red card” while at Carbondale, on June 18, 2015. (Doc.
160, p. 7). While assisting Mr. Wade with an extubation, Plaintiff handed Mr. Wade a
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paralytic rather than the proper muscle relaxant. Id. at p. 8. As a result, the patient briefly
stopped breathing; without intervention, the patient could have died. (Doc. 155, p. 4).
However, Plaintiff contends that the responsibility for the patient’s injury was with Mr.
Wade. This is because Mr. Wade was responsible for administering the medication, and
he should have checked that she handed him the correct drug before providing it to the
patient. (Doc. 160, Exh. 1, 166:24-167:8). Plaintiff therefore argues that her error was more
common, thus warranting a less severe “yellow card.”
The testimony of Plaintiff’s clinical coordinator, Mr. Pinto, leaves room for
dispute as to whether he believed that Plaintiff’s error was a “common” error justifying
a “yellow card” or an “egregious error” justifying a “red card.” (Doc. 178, Exh. 1, 73:10 –
76:6; 81:5-86:8). Mr. Pinto first explained that “lookalike vials” make mistakes similar to
Plaintiff’s error more likely “anywhere that you get drugs.” Id. at 70:22-72:18. Moreover,
if a student had “spiked something but didn’t administer it,” i.e., if Mr. Wade had doublechecked the vial himself before providing the patient the medicine, the error would be
“[n]o harm, no foul.” Id. at 82:18-21. However, he also noted that Plaintiff’s mistake was
“a significant event.” Id. at 81:16-17. Not only could the patient have sued the hospital,
but “she was [also] on a ventilator and didn’t need to be.” Id. at 81:17-19.
In determining whether to issue a “red card,” Mr. Pinto first discussed the matter
with either Dr. Stein or another member of the faculty. Id. at 73:19-74:1. The faculty
member told Mr. Pinto that Plaintiff’s error was “an issue and that’s what [a ‘red card’]
is for.” Id. at 74:12-13. Mr. Pinto’s deposition statements indicate that this conversation
persuaded him to give Plaintiff a “red card.” Though he believed Plaintiff did not meet
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the necessary standards, his conversation with faculty was “part of his education” in
determining whether Plaintiff’s error warranted a “red” or “yellow” card. Id. at 74:1675:6. Ultimately, Mr. Pinto concluded that issuing a “red card” to Plaintiff was
appropriate “in collaboration with Kevin Stein[.]” Id. at 78:9-11. Dr. Stein places his
conversation with Mr. Pinto in context: faculty will issue a “red” or “yellow” card in
instances where they feel that a card is warranted, but the clinical coordinator will not
issue a card. (Doc. 160, Exh. 10, 131:7-10). However, faculty cannot remove or ignore a
“red card” if the clinic coordinator chooses to give one. Id. at 133:19-22. This practice is
not outlined in Defendant’s student handbook.
Plaintiff received her second “red card” after an incident on July 24, 2015. (Doc.
155, p. 4). During a particularly difficult intubation, Plaintiff and her supervisors
employed a “variety of methods.” (Doc. 160, p. 9). While Plaintiff attempted the
intubation, those present heard a “pop.” Id. After intubation and inspection, Plaintiff’s
supervisors noted that the patient’s veneer had popped off. Id. Mr. Pinto noted that there
was no trauma to the patient, except for the lost veneer. (Doc. 178, Exh. 1, 94:17-19).
However, after calling Dr. Stein and talking with other faculty members associated with
Defendant, Mr. Pinto determined that giving Plaintiff a “red card” was appropriate. Id.
at 102:4-11. Mr. Pinto would not have made this decision independently. Id. at 105:19-21.
Both Mr. Pinto and Dr. Stein retained a degree of discretion in assigning a “red
card” and determining the point deductions for that “red card” pursuant to Defendant’s
internal policies. Much like the defendants in Long, who were empowered by the
company’s internal policies to skip steps in a progressive discipline routine, Mr. Pinto
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was not limited by policy to choosing a “yellow” or “red” card for specific errors. He and
other clinical faculty could determine whether a “yellow” or “red” card was appropriate
based on the circumstances of each individual error. However, unlike in Long, Dr. Stein
was not empowered by policy to influence that decision. Though Dr. Stein claims that
school faculty determines whether a “red card” should be issued with clinical faculty, the
student handbook stipulates that only clinical faculty are provided with special emphasis
cards.
The justification for this policy further demonstrates that Dr. Stein did not have
discretion to encourage Mr. Pinto to give Plaintiff a “red card.” Dr. Darr noted that this
policy is intended to reflect clinical coordinators’ opinions of the error based on their
perception of the incident in the context of the working environment. Dr. Stein did not
have access to that information. The appropriate measure of his evaluation of Plaintiff’s
error was in the point deduction for the “red card,” and not in issuing the “red card”
itself. A reasonable jury could thus conclude that in counseling Mr. Pinto as to whether
Plaintiff should be assigned a “red card,” Dr. Stein failed to follow Defendant’s internal
policies.
Defendant also failed to follow its internal procedures for drug testing students
accused of mishandling controlled substances. If “reasonable suspicion exists . . . that a
student is using or under the influence of drugs or alcohol use, abuse or diversion, the
student shall be subject to screening for drugs or alcohol.” (Doc. 160, Exh. 2, p. 97). The
student handbook further stipulates that reasonable suspicion:
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shall be based on student behaviors, observed or reported, of objective,
quantifiable symptoms, included but not limited to alcohol on breath,
slurred speech, flushed face, dilated pupils, mood swings, motor
incapacities, deterioration of academic or work performance, and/or
absenteeism, that suggest impairment of a student’s ability to meet
standards of performance, competency, and safety in the clinical setting,
office, or classroom due to the influence of a drug.
Id.
On July 29, 2015, while Plaintiff was practicing at Belleville, Ms. Warner directed
Plaintiff to draw two milligrams of Versed from a vial. (Doc. 160, p. 11). Plaintiff claims
the vial only included one milligram. Id. Nevertheless, Plaintiff was required to attend a
meeting with Dr. Griffin, Dr. Stein, and Dr. Comrie during which she was asked to
account for the missing Versed. (Doc. 160, Exh. 1, 209:12-210:5). Plaintiff offered to take a
drug test, but the site had already closed. Id. Plaintiff did not take a drug test. Id.
It is clear that clinical and school faculty had questions regarding whether Plaintiff
misplaced, misused, or otherwise mishandled the alleged missing Versed. These
questions could indicate an impairment of Plaintiff’s ability to meet standards of
performance, competency or safety in the clinical setting due to drug diversion. Thus, it
appeared that clinical and school faculty had reasonable suspicion that Plaintiff abused
and/or diverted the Versed. Despite this reasonable suspicion, however, Plaintiff was not
screened for the influence of drugs. A reasonable jury could thus conclude that Defendant
failed to follows its internal policies in this regard as well.
In light of this evidence, Plaintiff has sufficiently demonstrated that Defendant
failed to follow its policies in its treatment of Plaintiff. As a result, the first and third
prongs of Plaintiff’s prima facie case under the modified McDonnell-Douglas test merge.
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Thus, though Plaintiff cannot show that she met Defendant’s legitimate expectations, she
has the opportunity to demonstrate that those expectations were not applied consistently
by pointing to similarly-situated younger students who Defendant treated more
favorably than Plaintiff. The Court will now proceed to analyze the third prong of the
modified McDonnell-Douglas test.
2.
Whether Defendant Treated Similarly-Situated Younger Students More
Favorably than Plaintiff
The third prong of the modified McDonnell-Douglas test concerns whether there
are any similarly situated younger students that the Defendant treated more favorably
than Plaintiff. This inquiry requires a “flexible, common sense” examination of all factors
relevant to determining whether a compatriot is “similarly-situated” to the plaintiff. See
Henry v. Jones, 507 F.3d 558, 564 (7th Cir. 2007). “All things being equal, if an employer
takes an action against one employee in a protected class but not another outside that
class, one can infer discrimination. The ‘similarly situated’ prong establishes whether all
things are in fact equal.” Filar v. Board of Educ. of City of Chicago, 526 F.3d 1054, 1061 (7th
Cir. 2008) (internal citations omitted). The purpose of this prong is two-fold. First, the
similarly-situated test eliminates “other possible explanatory variables, such as differing
roles, performance histories, or decision-making personnel, which helps isolate the
critical independent variable – discriminatory animus.” Coleman v. Donahoe, 667 F.3d 835,
846 (7th Cir. 2012) (internal citations omitted). Second, the prong provides the plaintiff
the “boost” that the McDonnell-Douglas test was designed to provide to those
demonstrating discriminatory intent through circumstantial evidence. Id. at 852.
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Compatriots are “similarly-situated” to a plaintiff if they are directly comparable
in all material respects. See Reed v. Freedom Mortgage Corporation, 869 F.3d 543, 549 (7th
Cir. 2017). However, those compared need not be “identical in every conceivable way.”
Coleman, 667 F.3d at 846. This is a “flexible inquiry with no magic formula.” Khowaja v.
Sessions, 893 F.3d 1010, 1015 (7th Cir. 2018). This prong is also not intended to be an
“insurmountable hurdle” for plaintiffs. Coleman, 667 F.3d at 852. Instead, the question of
whether compatriots are similarly-situated with a plaintiff is typically one appropriately
before a finder of fact. Id at 846-847. Summary judgment is only appropriate on this issue
if no reasonable factfinder could find that the plaintiff has met her burden. See Srail v.
Village of Lisle, Ill., 588 F.3d 940, 948-949 (7th Cir. 2009).
Plaintiff relies on a comparison to similarly-situated students to show both that
Defendants carried discriminatory animus and that it applied its legitimate expectations
in a disparate manner. Plaintiff’s primary comparator is twenty-seven-year-old N.K.
(Doc. 160, p. 23). Similar to Plaintiff, N.K. provided a patient with a paralytic instead of
the proper muscle relaxant at the end of an anesthetic; the patient was transferred to
another facility while on a ventilator. Id. N.K. then lied to his clinical supervisor about the
incident and denied giving the paralytic to the patient. Id. at p. 24. The Chief
Anesthesiologist for N.K.’s clinical placement requested he be removed. Id. Though N.K.
received a “red card” for his violation, he only received a deduction of ten percent of his
grade. Id. N.K. was then placed in another clinical facility approximately two months
later. Id. However, multiple supervisors claimed that he had a cavalier attitude and lack
of respect. Id. He was denied the opportunity to return to the clinical site. Id. Nevertheless,
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he received only a “yellow card” and received a “B” grade for his time in the class. Id. He
was not removed from the program. Id. Plaintiff also points to A.Q., who caused a patient
a soft palate injury requiring stitches. (Doc. 160, p. 25). A.Q received a “yellow card” for
his clinical error. Id. That “yellow card” carried only a seven-point deduction. Id. 6
In response, Defendant asserts that neither A.Q. nor N.K. are similarly-situated to
Plaintiff because neither student was dismissed by the GSAC after refusing to discuss
their performance with the Program Director (Doc. 161, p. 13). Further, neither A.Q. nor
N.K. were removed from two clinical sites due to patient safety concerns. (Doc. 161, p.
12). Defendant, however, inappropriately narrows the scope of possible discrimination
under the Act with this response. Because Plaintiff may uphold her prima facie burden
by demonstrating that Defendant discriminated against her when assigning point
deductions to her “red cards” or in otherwise encouraging clinical faculty to assign her a
Plaintiff also points to four other comparators who received “yellow cards” rather than
“red cards” for medication errors or received lower point deductions for their “red cards” than
Plaintiff received for her errors. (Doc. 161, p. 24-25). However, the first of these comparators did
not receive a grade deduction because point deductions were not in Defendant’s syllabi that
semester. Id. at p. 24. The remaining two medication-error compatriots gave patients different
medications than Plaintiff gave her patient. Id. at 24-25. The effect of a medication error on a
patient plays a role in the point deduction assigned to a “red card;” if a mistaken medication has
the same ultimate effect as the intended medication, the assigned deduction may be lower than a
mistaken medication which harms the patient. (Doc. 160, Exh. 10, 137:25-138:11). Though these
comparators engaged in similar behavior as Plaintiff, their circumstances differ so as to justify
Defendant’s differing treatment of the four students. Plaintiff also describes a student who did
not take charge during an emergency situation; however, she does not explain how that student’s
behavior is similar to Plaintiff’s behavior. (Doc. 160, p. 25). These comparators therefore do not
support Plaintiff’s conclusion that Defendant treated similarly-situated, younger students more
favorably than her.
6
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“red card,” Plaintiff does not need to find students who were removed from their clinical
sites or referred to the GSAC in order to point to similarly-situated compatriots.
Dr. Stein supervised both N.K. and Plaintiff. (Doc. 167, Exh. 19, p. 1). N.K. and
Plaintiff both provided supervisors with a paralytic rather than a muscle relaxant to
administer to patients. Id. Both N.K. and Plaintiff were accused of having an
unprofessional attitude when confronted with their mistakes, and clinical faculty for both
N.K. and Plaintiff emphasized that the students had otherwise performed well in their
clinics. Id. at p. 6-7. There are no other circumstances justifying differing treatment of the
two students, and Defendant offers none.7 A reasonable jury could therefore find that
N.K. and Plaintiff are “similarly-situated,” and that Defendant treated N.K. more
favorably than it treated Plaintiff when assigning only a ten-point deduction to N.K.’s
grade, in comparison to the twelve to sixteen-point deduction to Plaintiff’s grade.
Dr. Stein also evaluated both Plaintiff and A.Q. (Doc. 167, Exh. 23, p. 10). Like
Plaintiff, A.Q. injured a patient during a glide scope intubation by lacerating the patient’s
pharynx. Id. at p. 1. However, unlike Plaintiff, A.Q. received only a “yellow card,” rather
than a “red card” for his error. (Doc. 160, p. 25). His final point-deduction for the “yellow
card” was seven points. Id. Neither A.Q. nor N.K. were sent to the GSAC.
It is unclear how many points Plaintiff had deducted from her grade for her second
“red card.” However, as Defendant does not rebut that A.Q. and Plaintiff caused similar
Plaintiff does not provide the syllabus for the clinical practicum in the Fall 2016 semester,
when Mr. Kozol completed his clinic. (Doc. 167, Exh. 19). However, at the summary judgment
stage, Defendant bears the burden of showing that the two syllabi are sufficiently different to
justify the differing treatment of the two students. Defendant does not do so.
7
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injuries and does not provide evidence indicating whether Plaintiff’s point deduction was
eight points, zero points or somewhere in between for her second “red card,” it remains
a genuine issue of material fact whether the two similarly-situated comparators were
treated disparately. By pointing to both N.K. and A.Q., Plaintiff has pointed to evidence
that Defendant did indeed treat younger, similarly-situated students more favorably than
Plaintiff.
3.
Whether Defendant Subjected Plaintiff to an Adverse Action under the
Modified McDonnell-Douglas Test
Plaintiff’s claim ultimately fails with respect to the second prong of the modified
McDonnell-Douglas test. Defendant claims that the “ultimate issue” in this case is whether
it discriminated against Plaintiff on the basis of her age “when it terminated her from the
[p]rogram.” (Doc. 155, p. 9). Because the GSAC dismissed Plaintiff from the program,
Defendant contends that Plaintiff must show that her age had a “determinative
influence” on the panel’s decision to dismiss her. Id. at p. 10. As each member of the GSAC
provides affidavits explaining they did not consider age in the decision to terminate
Plaintiff, Defendant contends that Plaintiff cannot meet this showing. Id. at p. 11.
Plaintiff responds that the “intent to discriminate against Plaintiff extends beyond
Plaintiff’s termination from the [p]rogram to other actions taken by Stein, Griffin and
Darr that placed Plaintiff at a disadvantage and ultimately resulted in her dismissal.”
(Doc. 160, p. 19). Instead, Plaintiff argues that the GSAC were no more than pawns of
Stein, Griffin, and Darr, who severed as the “cat’s paw” in ensuring Defendant, through
the GSAC, acted out their discriminatory intent. Id.
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The Court disagrees. A plaintiff invokes the cat’s paw theory of liability when a
biased actor who lacks decision-making power “uses the formal decision maker as a dupe
in a deliberate scheme to trigger a discriminatory” action. Sinha v. Bradley University, 995
F.3d 568, 574 (7th Cir. 2021). To show age-based discrimination under a cat’s paw theory,
the plaintiff must present evidence that the biased actor “actually harbored
discriminatory animus against” them, and that the actor’s scheme “proximately caused
the adverse [] action.” Id. (considering the cat’s paw theory under the ADEA). Because
the cat’s paw theory requires a showing of both discriminatory animus and proximate
causation, the court need not address both prongs if the employee makes an insufficient
showing on one. Id.
While the proximate cause analysis requires only “some direct relation,” the Court
finds that Plaintiff is unable to prove that the scheme proximately caused her termination.
Dr. Griffin submitted to the GSAC a letter, outlining the legitimate expectations Plaintiff
failed to meet: (i) her medication errors, (ii) Plaintiff’s poor technical airway skills, and
(iii) Plaintiff’s inability to take responsibility, accept criticism, and honestly and openly
discuss issues with clinic preceptors and Program faculty. (Doc. 155, Exh. 6, p. 2). Each
member of the GSAC submitted an affidavit stating that they did not consider age when
considering Plaintiff’s possible termination. See (Doc. 155, Exh. 9-19). Even assuming
arguendo that Stein, Griffin and Darr schemed to terminate Plaintiff on the basis of her
age, there is no evidence that this scheme proximately caused the GSAC’s decision to
terminate Plaintiff.
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Actors may “avoid cat’s paw liability on a claim” for age discrimination “if the
decision maker is not wholly dependent on a single source of information and conducts
[their] own investigation into the facts relevant to the decision.” Sinha, 995 F.3d at 574. So
long as the investigation results in an adverse action for reasons unrelated to the original
biased action, the actor will not be liable for discrimination under the cat’s paw theory.
Id. Here, the GSAC terminated Plaintiff for “basic nursing errors,” rather than her age.
See, e.g., (Doc. 155, Exh. 10, p. 2). The GSAC made this decision even though Dr. Griffin,
in his referral to the GSAC, noted that the school faculty believed that Plaintiff had the
“potential of safely being reintroduced into the clinical area.” (Doc. 155, Exh. 6, p. 2). This
indicates that the GSAC made its own independent judgment in adjudicating Plaintiff’s
situation. Furthermore, the GSAC Appeal Panel that convened on August 28, 2015, not
only considered recommendations from Griffin and Darr, but allowed Plaintiff to
“provide her own written statements and evidence, respond to numerous questions from
the panel, and [make her own] opening and closing statements.” (Doc. 155, Exh. 17, p. 2).
Thus, the GSAC Appeal Panel did not make its decision based on a single source of
evidence. See, e.g., McDaniel v. Progress Rail Locomotive, Inc., 940 F.3d 360, 370 (7th Cir. 2019)
(noting that although the decision-making committee relied on materials that were
compiled and submitted by defendant that when the committee also relies on plaintiff’s
own materials and statements there is “simply no evidence of bias . . . that proximately
caused” the suspension or termination). Rather, the Committee considered evidence
supplied by representatives from the CRNA Program as well as Plaintiff herself. Thus,
Defendant is shielded from liability under the cat’s-paw theory.
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Even though certain actors in the Program arguably acted with discriminatory
intent, the ultimate decision to terminate Plaintiff from the program was the GSAC. Each
member of the GSAC explained that they did not consider Plaintiff’s age when
terminating her. See (Doc. 155, Exh. 9-19). Equally, members of the GSAC confirmed that
they terminated Plaintiff because her mistakes were “basic nursing” mistakes, indicating
that she was not able to complete the Program. See id. at Exh. 10. There is simply no
evidence in the record that the GSAC acted with any discriminatory intent. Given the
but-for causation standard required under the Act, Defendant cannot satisfy the second
prong of the modified McDonnell-Douglas test. This is fatal to Plaintiff’s claim and
requires the granting of summary judgment in favor of Defendant. Because the
aforementioned inquiry is dispositive, the Court declines to address the other arguments
raised by the parties in the briefing of this matter.
IV.
CONCLUSION
For the above-stated reasons, Defendant’s motion for summary judgment (Doc.
154) is GRANTED. The Court DIRECTS the Clerk of the Court to close this case and
enter judgment in favor of Defendant.
IT IS SO ORDERED.
DATED: September 30, 2023.
Digitally signed by
Judge Sison 2
Date: 2023.09.30
17:26:55 -05'00'
___________________________________
GILBERT C. SISON
United States Magistrate Judge
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