Hodnett v. Chardam Gear Company, Inc
Filing
26
OPINION AND ORDER granting 18 Motion for Summary Judgment. Signed by District Judge Paul D. Borman. (DTof)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF MICHIGAN
SOUTHERN DIVISION
TOBY HODNETT,
Case No. 16-10619
Plaintiff,
Paul D. Borman
United States District Judge
v.
CHARDAM GEAR COMPANY INC.,
Mona K. Majzoub
United States Magistrate Judge
Defendant.
______________________________/
OPINION AND ORDER GRANTING DEFENDANT’S MOTION FOR
SUMMARY JUDGMENT
Plaintiff Toby Hodnett worked as a machinist for Defendant Chardam Gear
Company, Inc. (“Chardam”) until he was fired on November 7, 2014. Plaintiff
alleges he was on medical leave when he was fired on the basis of injuries he
sustained in a car accident the previous August. Plaintiff brought this action against
Defendant in the Macomb County Circuit Court on November 6, 2015, and
Defendant timely removed it to this Court on February 19, 2016. Plaintiff asserts
two claims: one under the Family and Medical Leave Act (“FMLA”), 29 U.S.C. §
2615(a), and one under the Michigan Persons With Disabilities Civil Rights Act
(“PWDCRA”), Mich. Comp. Laws § 37.1201 et seq.
Before the Court is Defendant’s Motion for Summary Judgment. The Court
heard argument on August 7, 2017. For the reasons that follow, the Court will grant
Defendant’s Motion as to both claims.
BACKGROUND
Undisputed Facts
1.
Plaintiff’s employment with Defendant
Plaintiff had worked as a machinist for Defendant for nine and a half years
when Defendant terminated his employment on November 7, 2014. (ECF No. 18,
Def.’s Mot. Ex. 26, March 24, 2016 Deposition of Toby Hodnett (“2016 Hodnett
Deposition”)1 at 29:5-6, 38:10-11; Ex. 15.)
On August 21, 2014, Plaintiff was involved in a verbal altercation with his
superior, plant manager Erik Schmidt. The altercation was memorialized in a
document with the heading “Internal Employee Correspondence” that same day by
Jennifer Taylor, another employee of Defendant. (Def.’s Mot. Ex. 1.) In that
document, Taylor wrote: “8/21/14 . . . Toby was ranting about Erik the plant manager
telling him if he couldn’t do his job to go home. . . . Toby told me this would probably
be the last time I would see him.” (Id.)
1
This 2016 Hodnett Deposition was taken in the course of Plaintiff’s state-court
lawsuit Hodnett v. Woods, et al., Oakland County Circuit Court Case No. 2015149363-NI, through which he sought compensation for injuries he sustained in the
2014 car accident discussed below. That lawsuit, brought against the driver and
owners of the vehicle that collided with Plaintiff’s car, was resolved by a confidential
settlement on September 12, 2016.
2
In a deposition conducted on June 27, 2017,2 in a third lawsuit filed by
Plaintiff Hodnett, Schmidt testified that the altercation was over Plaintiff’s
complaint about having to lift a particular piece of equipment:
We had, I would say, a huge disagreement that day on what Toby
should be working on. And, according to him, this part . . . was too
heavy for him to pick up. This part weighs four pounds. And that's
when, you know, that was kind of final issue that I had, "If you can't
handle this, I can't have you here."
And at that time, I don't know of any medical restrictions or anything
else. But that's all I can say about that.
...
He said it had to do something with his shoulder. But, my biggest issue
was I wanted him to train someone else how to do this operation. And
he was unwilling to even hear of -- hear of it that day. He did not want
to work with this other person.
...
I told him he needs to go home if he can't, you know, handle [a] fourpound part. We cut metal.
(Schmidt Dep. 12:11-19, 13:14-18, 35:15-18.) Schmidt testified that this altercation
was the last time he and Plaintiff spoke. (Schmidt Dep. 35:23-24.)
2
Schmidt’s deposition was taken in the course of Hodnett v. Auto-Owners Insurance
Company, Macomb County Circuit Court Case No. 16-3696-NF, a state-court
lawsuit which Plaintiff filed on October 17, 2016 to recover unpaid personal injury
protection benefits, including medical expenses and wage-loss compensation, from
his insurance company. The complaint alleges, inter alia: “That on or about August
15, 2014, Plaintiff HODNETT was involved in an automobile incident causing
numerous severe and permanent injuries and damages to Plaintiff, and Defendant
AUTO-OWNERS is liable for all of his No-Fault/PIP benefits arising out of this
incident.” (Def.’s Mot. Ex. 27 at Pg ID 559 (emphasis added).) The action is
currently pending.
3
2.
Plaintiff’s car accident (August 21, 2014) and subsequent events
As Plaintiff was driving after leaving work later that same day, his car was
rear-ended by another vehicle. The collision pushed Plaintiff’s car into the vehicle
in front of it. (Def.’s Mot. Ex. 2 at Pg ID 290-92.) That evening, Plaintiff went to the
emergency department of the Henry Ford Health System’s hospital in Clinton
Township, Michigan. Plaintiff testified that the hospital staff ordered “a CAT scan,
I believe an x-ray and . . . some prescriptions for pain pills,” told him that “nothing
was broken,” and released him after a few hours. (2016 Hodnett Dep. 32:20-33:5.)
Plaintiff was also given a note from a physician stating that he had been treated on
August 21, 2014, and should be excused from work on August 22. (Def.’s Mot. Ex.
3.)
Plaintiff notified Defendant on Friday, August 22 that he would not be at work
that day or on Saturday, August 23 because of the car accident. (Def.’s Mot. Ex. 4.)
Thereafter, Plaintiff was absent from work on Monday, August 25 and Tuesday,
August 26. An “Internal [Chardam] Employee Correspondence” dated August 25
lists Plaintiff’s name and what appears to be his employee number, and reads “won’t
be in . . . no ride.” (Def.’s Mot. Ex. 5.) A similar record dated August 26 simply
reads “will not be in today” (Def.’s Mot. Ex. 6), and Defendant represents that
Plaintiff called in on that date to relay that message (see Def.’s Mot. at 2, Pg ID 261).
No reason was provided for that absence. Defendant then asserts that on Friday,
4
August 29, Plaintiff “requested a vacation day for September 2, 2014 (which was
the day after Labor Day),” and supports this assertion with another “Internal
Employee Correspondence,” dated August 29, which contains Plaintiff’s name and
employee number, and which simply reads “vacation day for 9-2-14.” (Def.’s Mot.
at 2, Pg ID 261; Ex. 7.) Unlike the other “Internal Employee Correspondence”
documents, this one bears Plaintiff’s signature. Plaintiff did not return to work after
August 29, 2014.
3.
Plaintiff’s purported leave period and termination (September
2014 – November 2014)
In an affidavit dated June 15, 2017, Plaintiff avers that after his initial
treatment at Henry Ford Macomb Hospital, he “kept hoping that [his] neck and back
would heal and feel better, but instead the pain continued and worsened.” (Pl.’s Resp.
Ex. 1, Affidavit of Toby Hodnett at ¶ 3.) Plaintiff sought continuing treatment at
Michigan Spine & Joint Center, PC (“MSJC”), and was treated principally by Dr.
Adebowale Adegbenro. (Hodnett Aff. ¶ 9.)
On October 1, 2014, Plaintiff submitted an application for benefits under an
insurance policy that he held with non-party Auto-Owners Insurance Company
(“Auto-Owners”). On that application, Plaintiff provided information about the
August 21, 2014 accident and the treatment he received at the hospital,
characterizing his injury as “Neck (Whiplash) and Arm Pain” and indicating that he
5
expected to receive additional medical treatment for it. (Def.’s Mot. Ex. 10 at Pg ID
309-10.) In the section of the application entitled “wage loss,” Plaintiff represented
that he was not “on the job working” when the accident occurred. (Id. at Pg ID 310.)
Plaintiff wrote “8-21-14” in the section called “Date Disability from Work Began,”
and wrote “10-17-14” in the section called “Date Returned or Anticipate Returning
to Work.” (Id.)
Plaintiff successfully applied for lost-wage compensation benefits from AutoOwners, and in a letter dated October 16, 2014, Auto-Owners notified Plaintiff that
in order to continue receiving those benefits past October 17, 2014, he would have
to submit a “disability slip from your treating physician . . . [which] should include
your current restrictions and the duration of time you will require reimbursement for
lost wages.” (Def.’s Mot. Ex. 11.)
On October 18, 2014, Plaintiff was examined by Dr. Adegbenro at MSJC. Dr.
Adegbenro’s report regarding that visit stated that Plaintiff “was advised by this
office . . . not to report for work” from October 18, 2014 to November 18, 2014.
(Def.’s Mot. Ex. 12.) Dr. Adegbenro also indicated in the report that Plaintiff “states
he is not [allowed] to work [with] restrictions (i.e. sedentary work/light work).”3
(Id.) Defendant acknowledges that it received Dr. Adegbenro’s report on or around
3
The handwriting on this report is difficult to read, but this is Defendant’s
interpretation of the note (see Def.’s Mot. at 3, Pg ID 262), and Plaintiff does not
dispute it.
6
October 18, 2014. (See Def.’s Mot. at 12-13, Pg ID 271-72.)
Five days later, on October 23, 2014, MSJC faxed a form called
“Recommended Work Restrictions” to Auto-Owners. (Def.’s Mot. Ex. 13.) On that
form, Dr. Adegbenro stated that Plaintiff would require a work restriction of “[n]o
lifting over 15-20 lbs.” (Id. at Pg ID 317.) Dr. Adegbenro also wrote that Plaintiff’s
ability to return to full duty would be determined after his next reevaluation, but that
he could return to limited duty as of October 18, 2014 “with restrictions if [this] can
be accommodated at work.” (Id.) Lastly, Dr. Adegbenro reiterated that “[p]atient
states he will not be allowed to work with restrictions.” (Id.) Relevantly to this,
Plaintiff later testified as follows:
Q. Was there a specific reason [the MSJC treating physicians] might
have told you during your visits why you couldn't perform whatever
jobs that you had had before?
A. Just that I might reinjure myself.
Q. Was there anything specific about your condition they said
prevented you from doing those tasks?
A. I'm not sure, a hundred percent sure.
Q. Did you ever try to return to work and ask for accommodations
maybe within a different position at Chardam or any other company
where you might have been able to get different responsibilities that
wouldn't have been so physically demanding as your job was before?
A. No.
7
(Def.’s Mot. Ex. 14, February 10, 2017 Deposition of Toby Hodnett (“2017 Hodnett
Deposition”)4 at 61:4-17 (emphasis added).)
On November 7, 2014, “[h]aving had no contact with Plaintiff since August
29, 2014” (as Defendant contends), Defendant terminated Plaintiff’s employment
via a letter written by company president Mike Brzoska. The body of the letter read
as follows:
As of today, November 7, 2014, Chardam Gear Co has terminated your
employment.
Please contact Erik Schmidt (Plant Manager) to make arrangements to
pick up any personal items and to return any property of Chardam Gear.
Per the policies of Chardam Gear your Insurance benefits will cancel
on 11/30/2014. At that time, Basic Cobra Administration will contact
you directly with regards to the Cobra program.
(Def.’s Mot. Ex. 15.)
Plaintiff responded in a letter dated November 13, 2014, but faxed to
Defendant on November 15:
I have been on a protected medical leave since August 22, 2014.
I am ready willing and able to return to work on November 18, 2014
with no restrictions.
If my medical leave has expired before 11/18/14 please notify me as of
when my leave time expired.
4
This second Hodnett Deposition, like Schmidt’s deposition, was taken in 2017 in
the course of Hodnett v. Auto-Owners Insurance Company, Macomb County Circuit
Court Case No. 16-3696-NF, Plaintiff’s lawsuit against his auto insurer, discussed
supra, p. 3 n.2.
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(Def.’s Mot. Ex. 16.) Plaintiff provided his phone number above his signature on the
letter. (Id.)
Brzoska replied in a letter dated November 18, 2014:
This letter is in response to your letter dated November 13, 2014. While
you refer to having been on a "protected medical leave" since August
22, 2014, this is incorrect. You did not seek leave in accordance with
the company's policies. You provided incorrect information to your
doctor about having restrictions, when you never discussed with anyone
at the company about whether you could work with any restrictions.
You had no discussions with any supervisor at the company since your
last day of work on August 29, 2014.
As you were advised in our letter dated November 7, 2014, your
employment at Chardam Gear Company, Inc. has terminated.
(Def.’s Mot. Ex. 17.)
4.
Events after Plaintiff’s termination (December 2014 – present)
Plaintiff continued to receive benefits pursuant to his Auto-Owners insurance
policy after he was terminated, and these benefits included job placement assistance.
(Hodnett 2017 Dep. 60:9-19.) On June 25, 2015, Plaintiff completed a Job Seeker
Survey for the Michigan WORKS! program. (Def.’s Mot. Ex. 20.) On that survey,
Plaintiff indicated that he did not have a disability. (See id. at Pg ID 409.)
On August 11, 2015, Dr. Steven Arbit performed an Independent Medical
Evaluation of Plaintiff at the request of Plaintiff’s insurance company. Dr. Arbit’s
report was sent to the insurance company on September 15, 2015. (Def.’s Mot. Ex.
21.) Dr. Arbit’s comprehensive report was based both on Dr. Arbit’s own
9
examination of Plaintiff and on his review of Plaintiff’s medical records. Dr. Arbit
noted in the report that according to an MRI in Plaintiff’s records, he appeared to
have preexisting lower back and neck issues. (See id. at Pg ID 417-18.) Dr. Arbit
stated that in his opinion, Plaintiff had “cervical, thoracic, and lumbar sprain/strain
syndrome,” but he also suggested that these were owing to (or at least exacerbated
by) the preexisting conditions, and that he did “not see any objective abnormalities”
that would have resulted from the August 2014 car accident. (Id. at Pg ID 418.)
Finally, Dr. Arbit concluded that “[i]t is my opinion he is able to return to work
without restrictions.” (Id.)
On September 24, 2015, Auto-Owners suspended “all Personal Injury
Protection benefits except for wage loss,” having concluded that “it does not appear
that [Plaintiff’s] continued treatments are related to the 08/21/2014 motor vehicle
accident.” (Def.’s Mot. Ex. 23 at Pg ID 422.) Plaintiff did continue to receive wage
loss benefits from Auto-Owners after that date; he testified that those benefits were
terminated in September 2016. (Hodnett 2017 Dep. 64:24-65:14.)
Factual Disputes
In Plaintiff’s Response, which contains a June 15, 2017 Affidavit that Plaintiff
filed after Defendant’s Motion for Summary Judgment, Plaintiff raises several
factual disputes.
First, he avers that he “did not tell Jennifer Taylor or anyone else at Chardam
10
on or about August 21, 2014 that I was leaving or quitting my employment with
Chardam.” (Hodnett Aff. ¶ 1.) This refers to Taylor’s handwritten note regarding her
conversation with Plaintiff before he left work on that date, that “this would probably
be the last time I would see him.” (Def.’s Mot. Ex. 1.)
Second, Plaintiff avers that he “informed Chardam that I had been in the
automobile accident and that my doctor had me off work because of the injuries I
sustained in the accident.” (Hodnett Aff. ¶ 5.) He does not explain the manner in
which he communicated with Chardam, or who he informed. He further avers that
“Chardam never asked me to fill out any paperwork to be off, and never asked me
to fill out any FMLA certification paperwork,” and that “[i]f Chardam had asked me
to fill out any paperwork or documentation for my FMLA leave, I would have done
so.” (Hodnett Aff. ¶¶ 6-7.) Brzoska stated in his November 18, 2014 letter to Plaintiff
that Plaintiff “did not seek leave in accordance with company policies.” (Def.’s Mot.
Ex. 17.) Schmidt’s deposition testimony suggests that Defendant has at least some
formal employment policies, but “no set procedure.” (Schmidt Dep. 37:21-38:1,
45:13-16.) Defendant has not submitted documentary evidence of any policies,
employment-related or otherwise.
Finally, the most significant factual dispute is over the extent to which
Plaintiff was in contact with Defendant between August 29, 2014 and November 7,
the effective date of his termination. Defendant represents unequivocally that it had
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no contact with Plaintiff between those two dates. (See Def.’s Mot. at 3, Pg ID 262.)
Plaintiff disputes this assertion in several respects in his Affidavit. First, he avers
that at some non-specific point between those two dates, he was “in communication
with Jennifer Taylor.” (Hodnett Aff. ¶ 13.) (Taylor was an employee of Defendant
who was responsible for maintaining employment records. (Schmidt Dep. 54:1416.)) More specifically, Plaintiff avers that “I told Jennifer Taylor that I was under
the care of a doctor and that the doctor was evaluating me every month . . . . I asked
Jennifer Taylor after my accident if there was paperwork I could fill out for shortterm disability.” (Hodnett Aff. ¶¶ 13-14.) He also avers that he provided Defendant
with “all doctors [sic] notes that they requested.” (Id. ¶ 20.) Plaintiff also avers that
he had a phone conversation with company president Mike Brzoska before receiving
the termination letter, in which Brzoska told him that he would be terminated. (Id. ¶
15.)
Also relevant to the question of whether the parties had any contact between
August 29 and November 7 of 2014 is Schmidt’s deposition testimony reflecting
that Defendant had among its records several different internal forms that recognized
that Plaintiff was on some form of disability leave as of August 22, 2014, the day
after the accident. One document, which was signed by Taylor on October 3, 2014,
indicated that Plaintiff had a “period of disability [from] 8/22/14 to 10/3 of 2014,”
and stated on a different line “Period of disability from 8/22/2014 to current [i.e.,
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October 3, 2014].” (Schmidt Dep. 42:3-44:5.) Schmidt’s deposition testimony also
confirmed that Taylor signed two other documents that were dated October 4, 2014
and December 5, 2014, one or both of which stated “First date of disability, 8/22/14.”
(Schmidt Dep. 44:6-23.)
Relevant Procedural History
Plaintiff initiated this action in the Macomb County Circuit Court on
November 6, 2015, and after Defendant was served with process on January 29,
2016, the action was removed to this Court on February 19, 2016. (ECF No. 1,
Notice of Removal; Ex. 1, Compl.) Plaintiff’s complaint asserts two claims against
Defendant based on allegations that Defendant terminated Plaintiff subsequent to his
taking medical leave: violation of the FMLA (Count I), and violation of the
PWDCRA (Count II).
Defendant filed the instant Motion for Summary Judgment on May 30, 2017.
(ECF No. 18, Def.’s Mot.) Plaintiff filed a Response on June 20, 2017 (ECF No. 21,
Pl.’s Resp.), and Defendant filed a Reply on July 5, 2017 (ECF No. 24, Def.’s
Reply.). This Court conducted a hearing on Defendant’s Motion for Summary
Judgment on August 7, 2017, and now issues the following ruling.
LEGAL STANDARDS
Summary judgment is appropriate where the moving party demonstrates that
there is no genuine dispute as to any material fact. Celotex Corp. v. Catrett, 477 U.S.
13
317, 322 (1986); Fed. R. Civ. P. 56(a). “A fact is ‘material’ for purposes of a motion
for summary judgment where proof of that fact ‘would have [the] effect of
establishing or refuting one of the essential elements of a cause of action or defense
asserted by the parties.’” Dekarske v. Fed. Exp. Corp., 294 F.R.D. 68, 77 (E.D. Mich.
2013) (Borman, J.) (quoting Kendall v. Hoover Co., 751 F.2d 171, 174 (6th Cir.
1984)). A dispute is genuine “if the evidence is such that a reasonable jury could
return a verdict for the nonmoving party.” Anderson v. Liberty Lobby, Inc., 477 U.S.
242, 247-48 (1986).
“In deciding a motion for summary judgment, the court must draw all
reasonable inferences in favor of the nonmoving party.” Perry v. Jaguar of Troy,
353 F.3d 510, 513 (6th Cir. 2003) (quoting Matsushita Elec. Indus. Co. v. Zenith
Radio Corp., 475 U.S. 574, 587 (1986)). At the same time, the non-movant must
produce enough evidence to allow a reasonable jury to find in his or her favor by a
preponderance of the evidence, Anderson, 477 U.S. at 252, and “[t]he ‘mere
possibility’ of a factual dispute does not suffice to create a triable case.” Combs v.
Int'l Ins. Co., 354 F.3d 568, 576 (6th Cir. 2004) (quoting Gregg v. Allen–Bradley
Co., 801 F.2d 859, 863 (6th Cir. 1986)). Instead, “the non-moving party must be able
to show sufficient probative evidence [that] would permit a finding in [his] favor on
more than mere speculation, conjecture, or fantasy.” Arendale v. City of Memphis,
519 F.3d 587, 601 (6th Cir. 2008) (quoting Lewis v. Philip Morris Inc., 355 F.3d
14
515, 533 (6th Cir. 2004)). “The test is whether the party bearing the burden of proof
has presented a jury question as to each element in the case. The plaintiff must
present more than a mere scintilla of the evidence. To support his or her position, he
or she must present evidence on which the trier of fact could find for the plaintiff.”
Davis v. McCourt, 226 F.3d 506, 511 (6th Cir. 2000) (internal quotation marks and
citations omitted). That evidence must be capable of presentation in a form that
would be admissible at trial. See Alexander v. CareSource, 576 F.3d 551, 558–59
(6th Cir. 2009).
DISCUSSION
Plaintiff’s FMLA claim can be analyzed both as an “interference” claim and
as a “retaliation” claim under the statute. A defendant may obtain summary
judgment on either type of FMLA claim if it states a legitimate reason for its
challenged conduct, and if the plaintiff cannot then demonstrate that that reason is
pretextual. Defendant has proffered such a reason: that Plaintiff “engaged in fraud
and/or dishonesty” when he represented to his health care providers that Defendant
would not allow him to work with restrictions. (Def.’s Mot. at 16, Pg ID 275.) For
his part, Plaintiff has not shown that a reasonable jury could find that this
justification is pretextual. Plaintiff has also admitted that he never requested
accommodations from Defendant, thereby negating an essential element of his
PWDCRA claim. Accordingly, the Court will grant Defendant’s Motion for
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Summary Judgment.
Family and Medical Leave Act Claim (Count I)
The Family and Medical Leave Act (“FMLA”) entitles eligible employees to
“a total of 12 workweeks of leave during any 12-month period” in certain defined
circumstances. 29 U.S.C. § 2612(a)(1). Only one is applicable here: “a serious health
condition that makes the employee unable to perform the functions of the position
of such employee.” Id. § 2612(a)(1)(D).
Two FMLA provisions prohibiting specific conduct by employers are at issue
in this case. Title 29 U.S.C. § 2615(a)(1) (the “interference provision”) makes it
“unlawful for any employer to interfere with, restrain, or deny the exercise of or the
attempt to exercise, any right provided under [the FMLA].” Title 29 U.S.C. §
2615(a)(2) (the “retaliation provision”) makes it “unlawful for any employer to
discharge or in any other manner discriminate against any individual for opposing
any practice made unlawful by [the FMLA].”
Plaintiff’s allegations could give rise to causes of action under either theory,
and Defendant’s Motion for Summary Judgment addresses both. Accordingly, after
discussing the preliminary issue of whether Plaintiff had “a serious health condition
that [made him] unable to perform the functions” of his position, 29 U.S.C. §
2612(a)(1)(D), the Court analyzes Plaintiff’s claims under both the interference and
retaliation theories. In the end, Plaintiff has not shown that a reasonable jury could
16
find that Defendant’s stated justification for his firing—Plaintiff’s misrepresentation
to his treating physician that he would not be allowed to work with restrictions—
was pretextual.
On October 18, 2014, Defendant received an examination report stating that
Plaintiff had told his doctor that he could not work with restrictions. Then, in a posttermination follow-up letter on November 18, 2014, Brzoska stated that Plaintiff
“provided incorrect information to your doctor about having restrictions, when you
never discussed with anyone at the company about whether you could work with any
restrictions.” (Def.’s Mot. Ex. 17.) Further, as discussed on page 8, supra, Plaintiff
has admitted that he never requested disability accommodations from Defendant.
These facts entitle Defendant to summary judgment on both theories of Plaintiff’s
FMLA claim.
1.
Serious health condition
Defendant argues at the threshold that Plaintiff did not meet the standard for
a “serious health condition” under the FMLA. For the reasons articulated below,
however, Defendant has failed to show that Plaintiff cannot raise a genuine issue of
material fact on this issue.
The FMLA defines the term “serious health condition” to mean “an illness,
injury, impairment, or physical or mental condition that involves . . . inpatient care
in a hospital, hospice, or residential medical care facility; or . . . continuing treatment
17
by a health care provider.” 29 U.S.C. § 2611(11). The statute’s implementing
regulations list several categories of circumstances which would allow an employee
to meet the standard for “serious health condition.” One such category is “Incapacity
and treatment,” which requires “[a] period of incapacity of more than three
consecutive, full calendar days” as well as a course of treatment that meets certain
specified standards. 29 C.F.R. § 825.115(a). Another is “Chronic conditions,” and
these include any condition that
(1) Requires periodic visits (defined as at least twice a year) for
treatment by a health care provider, or by a nurse under direct
supervision of a health care provider;
(2) Continues over an extended period of time (including recurring
episodes of a single underlying condition); and
(3) May cause episodic rather than a continuing period of incapacity
(e.g., asthma, diabetes, epilepsy, etc.).
29 C.F.R. § 825.115(c).
Defendant maintains that “[t]o constitute ‘continuing treatment,’ plaintiff
must have a period of incapacity of more than three consecutive, full calendar days.”
(Def.’s Mot. at 18, Pg ID 277 (quoting 29 C.F.R. § 825.115(a)).) Defendant points
out that Plaintiff indicated a willingness to return to work without restrictions in
response to his termination letter on November 18, 2014, and that this validates the
2015 medical evaluation that stated that Plaintiff could return to work without
restrictions. Defendant also identifies various indications from 2015 and after—the
job survey that Plaintiff filled out, for instance, and testimony in Plaintiff’s 2016 and
18
2017 depositions—that Plaintiff was not prevented from engaging in major life
activities by injuries that he sustained in the accident.
A period of incapacity of more than three consecutive calendar days is one
way that an employee can meet the standard, but it is not the only way. Regardless
of whether Plaintiff was incapacitated for three or more days, the record shows that
he does meet the standard for “chronic conditions” set forth in 29 C.F.R. §
825.115(c) (and quoted above): he had periodic visits with health care providers, and
his incapacity was episodic rather than concentrated. (The record does not reveal
how many medical visits and physical therapy sessions Plaintiff had for injuries from
the accident.)
All of the evidence that Defendant cites as showing that Plaintiff had no
symptoms of physical disability are from well after Plaintiff’s purported FMLA
leave period, and the FMLA does not provide that a “chronic condition” cannot be
a condition that is later treated or even cured.
For these reasons, the Court rejects Defendant’s threshold argument that
Plaintiff was never entitled to FMLA leave due to his lack of a “serious health
condition.”
2.
Retaliation theory
FMLA retaliation claims may be proven by either direct or circumstantial
evidence. Direct evidence in this context is defined as evidence that “does not require
19
a factfinder to draw any inferences in order to conclude that the challenged
employment action was motivated at least in part” by an unlawful motive. Daugherty
v. Sajar Plastics, Inc., 544 F.3d 696, 707 (6th Cir. 2008) (quoting DiCarlo v. Potter,
358 F.3d 408, 415 (6th Cir. 2004)). Plaintiff does not argue that he has adduced
direct evidence of retaliation on Defendant’s part—nor is there a colorable argument
to that effect to be made in any event—and so the Court will analyze Plaintiff’s
FMLA claim, to the extent that it is premised on a retaliation theory, under the
classification of circumstantial evidence.
Under that rubric, a plaintiff must show with circumstantial evidence that
(1) she was engaged in an activity protected by the FMLA; (2) the
employer knew that she was exercising her rights under the FMLA; (3)
after learning of the employee's exercise of FMLA rights, the employer
took an employment action adverse to her; and (4) there was a causal
connection between the protected FMLA activity and the adverse
employment action.
Donald v. Sybra, Inc., 667 F.3d 757, 761 (6th Cir. 2012) (quoting Killian v. Yorozu
Auto. Tenn., Inc., 454 F.3d 549, 556 (6th Cir. 2006)).
If the plaintiff succeeds in this, the burden shifts to the defendant to “present
a legitimate, nondiscriminatory reason for its decision” to take the challenged action;
if that burden is met, the claim can only survive summary judgment if the plaintiff
can demonstrate that the defendant’s “stated reasons are a pretext for unlawful
discrimination.” Id. This requires the plaintiff to show that “(1) that the proffered
20
reasons had no basis in fact, (2) that the proffered reasons did not actually motivate
the employer's action, or (3) that they were insufficient to motivate the employer's
action.” Romans v. Michigan Dep't of Human Servs., 668 F.3d 826, 839 (6th Cir.
2012) (quoting Chen v. Dow Chemical Co., 580 F.3d 394, 400 (6th Cir. 2009)). Even
if the plaintiff makes this showing, Defendant can still prevail if it is “able to
establish its reasonable reliance on the particularized facts that were before it at the
time the decision was made. . . . [T]he key inquiry is whether the employer made a
reasonably informed and considered decision before taking an adverse employment
action.” Romans, 668 F.3d at 839 (internal quotation marks and citations omitted).
Here, Defendant argues that Plaintiff’s case fails on the second element
(employer knowledge of employee’s FMLA activity) because Plaintiff did not give
Defendant notice of his intention to take FMLA leave. Defendant also argues that
Plaintiff cannot satisfy the fourth element (causal connection between protected
activity and adverse employment action) because the report that Defendant received
from Dr. Adegbenro indicated that Plaintiff had been advised not to report to work
until after the purported leave period expired. Both arguments lack merit.
Defendant’s argument on the second element is based on an assertion that
Plaintiff cannot show that Defendant knew that Plaintiff was exercising his rights
under the FMLA. In demonstrating that an employer was given sufficient notice
under the FMLA, “[t]he employee's burden is not heavy.” Wallace v. FedEx Corp.,
21
764 F.3d 571, 586 (6th Cir. 2014). “[T]he employee need not expressly assert rights
under the FMLA or even mention the FMLA, but may only state that leave is needed.
The employer will be expected to obtain any additional required information through
informal means.” Id. (emphasis in original) (quoting 29 C.F.R. § 825.303(b)). “[A]n
employee gives his employer sufficient notice that he is requesting leave for an
FMLA-qualifying condition when he gives the employer enough information for the
employer to reasonably conclude that an event described in the FMLA § [2612(a)(1)]
has occurred.” Id. (alteration in original) (internal quotation marks omitted) (quoting
Cavin v. Honda of Am. Mfg., Inc., 346 F.3d 713, 723-24 (6th Cir. 2003)).
In light of these principles, Defendant’s contention that “[t]here is simply
nothing to support that plaintiff ever requested FMLA leave from Chardam” (Def.’s
Mot. at 13, Pg ID 272) is inaccurate, as there is at least some evidence that Defendant
had notice of Plaintiff’s intention to take medical leave. That evidence includes:
Defendant’s record of Plaintiff’s having called out of work for Friday,
August 22, 2014 and Saturday, August 23, 2014 specifically because of
the “car accident” (Def.’s Mot. Ex. 4);
Plaintiff’s averments in his Affidavit that he “told Jennifer Taylor that
I was under the care of a doctor and that the doctor was evaluating me
every month,” and that he asked Taylor “if there was paperwork I could
fill out for short-term disability” (Hodnett Aff. ¶¶ 13-14);
Schmidt’s deposition testimony acknowledging the existence of
internal records, signed by Taylor, which stated that Plaintiff’s
“[p]eriod of disability” began on August 22, 2014, and which were
dated on October 3, October 4, and December 5 of 2014 respectively
(Schmidt Dep. 42:3-46:16.); and
22
Dr. Adegbenro’s October 18, 2014 examination report, which states
that Plaintiff was advised not to report for work from October 18, 2014
to November 18, 2014 (Def.’s Mot. Ex. 12), and which Defendant
admits that it received on or around October 18, 2014 (see Def.’s Mot.
at 3, 12-13, Pg ID 262, 271-72).
This evidence is not conclusive. Indeed, there is at least one significant
evidentiary gap: the internal document showing that Plaintiff called Defendant to
advise that he would miss work because of the car accident (Def.’s Mot. Ex. 4) shows
that he only requested leave for August 22 and 23. There is no contemporaneous
evidence that he extended his leave past those dates for that reason. Significantly,
evidence establishes that Plaintiff did not report to work on August 25 because he
had “no ride” (Def.’s Mot. Ex. 5); that he requested leave on August 26 for
unspecified reasons (Def.’s Mot. Ex. 6); and that he was present at work on August
29 at least for long enough to sign a form requesting a “vacation day” on September
2 (Def.’s Mot. Ex. 7). Nothing about medical issues! Plaintiff’s Affidavit states that
at some point, unspecific as to date and whether by phone or writing, Plaintiff “told
Jennifer Taylor that [he] was under the care of a doctor and that the doctor was
evaluating [him] every month,” and that he asked Taylor “if there was paperwork
[he] could fill out for short-term disability.” (Hodnett Aff. ¶¶ 13-14.) Those
conclusory averments, vague as to specificity, are insufficient by themselves to
create a genuine issue of material fact on the question of notice. See Novak v.
MetroHealth Med. Ctr., 503 F.3d 572, 577 (6th Cir. 2007) (“A mere scintilla of
23
evidence is insufficient; ‘there must be evidence on which the jury could reasonably
find for the [non-movant].’”) (quoting Anderson v. Liberty Lobby, Inc., 477 U.S.
242, 252 (1986)). On the other hand, Defendant does admit that it received Dr.
Adegbenro’s October 18, 2014 examination report on or around the date it was
written. This evidence is enough to raise a jury question over whether Defendant
knew Plaintiff was exercising his rights under the FMLA after August 2014.
Defendant also contends that Plaintiff’s FMLA claim, if premised on a
retaliation theory, fails at the final prong of the prima facie standard because Plaintiff
cannot show a causal link between his purported FMLA-protected activities and his
termination. Specifically, Defendant argues that “[b]ased on his own medical
records, which show that he could not come back to work after the purported FMLA
leave expired,” Plaintiff cannot demonstrate the required causal connection “because
he could not return to work on November 14, 2014, and was still off work in
accordance with his doctor’s orders more than a year later.” (Def.’s Mot. at 15-16,
Pg ID 274-75.) This refers to two separate medical records: (1) the October 18, 2014
report that Defendant received from Dr. Adegbenro, which indicated that Plaintiff
had been “advised . . . not to report for work from Oct[ober] 18, 2014 to Nov[ember]
18, 2014” (Def.’s Mot. Ex. 12); and (2) a post-examination “follow-up note” by Dr.
John Marshall, who examined Plaintiff on December 4, 2015 on referral from Dr.
Adegbenro, and who stated that as of that date, Plaintiff was “currently on
24
restrictions and off work per Dr. [Adegbenro], his chiropractor.” (Def.’s Mot. Ex.
22.) Thus Plaintiff was still restricted from work by his doctors on December 4,
2015. This undermines any claim that he was able and willing to work without
restrictions in late 2014.
The Sixth Circuit has explained that in the FMLA retaliation context, “[t]he
burden of proof at the prima facie stage is minimal,” and has “embraced the premise
that in certain distinct cases where the temporal proximity between the protected
activity and the adverse employment action is acutely near in time, that close
proximity is deemed indirect evidence such as to permit an inference of retaliation
to arise.” Seeger v. Cincinnati Bell Tel. Co., LLC, 681 F.3d 274, 283 (6th Cir. 2012)
(internal quotation marks and citations omitted). In fact, this burden was deemed
satisfied in Seeger solely by a lapse of just under two months between the beginning
of the leave period and the effective date of the termination, see id. at 283, and the
court in Seeger approvingly cited previous Sixth Circuit decisions that held that
lapses of two months and three months respectively were enough to establish a
causal link at the prima facie stage. See id. (citing Clark v. Walgreen Co., 424 F.
App’x 467, 473 (6th Cir. 2011) (per curiam) and Bryson v. Regis Corp., 498 F.3d
561, 571 (6th Cir. 2007)). The period in this case of approximately two and a half
months between the beginning of Plaintiff’s purported leave period and his
termination date is sufficient for Plaintiff to meet the causation prong of the prima
25
facie standard. Defendant does not dispute that Plaintiff’s termination constituted an
adverse employment action against him. One issue of whether Plaintiff was engaging
in FMLA-protected activity revolves around whether Plaintiff gave proper notice. If
all reasonable inferences of a prima facie case are drawn in Plaintiff’s favor, the
burden therefore shifts to Defendant to articulate a legitimate, nonretaliatory reason
for Plaintiff’s termination. In the November 18, 2014 letter that company president
Mike Brzoska wrote to Plaintiff as a follow-up to the termination notice, Brzoska
stated that “[y]ou provided incorrect information to your doctor about having
restrictions, when you never discussed with anyone at the company about whether
you could work with any restrictions. You had no discussions with any supervisor
since your last day of work on August 29, 2014.” (Def.’s Mot. Ex. 17.) Defendant
argues that, based on this, Plaintiff “engaged in fraud and/or dishonesty by providing
incorrect information to his doctor about whether plaintiff could work with any
restrictions.” (Def.’s Mot. at 17, Pg ID 276.)
Defendant sets forth the following motive for this:
Plaintiff’s insurance company had advised plaintiff that if he lost his
job because he could not return to work without restrictions, the
insurance company would continue to pay plaintiff’s wages until he
could return to work at another job, and if that job paid less, the
insurance company would supplement his wages to equal what he
earned at Chardam. By lying to Dr. [Adegbenro], plaintiff could ensure
that he would get paid, month after month, as long as he could claim he
lost his job as a result of the car accident.
26
(Id. at 16-17, Pg ID 275-76.) Indeed, Plaintiff’s counsel acknowledged at the hearing
on the instant Motion that according to Plaintiff’s June 15, 2017 Affidavit, Plaintiff
was still receiving wage-loss compensation disability benefits from his insurance
company through August 2017. (ECF No. 25, Transcript of August 7, 2017 Motion
Hearing at 33:6-19.)
Brzoska did cite Plaintiff’s giving “incorrect information” to his doctor as a
reason for his termination in the November 18, 2014 letter. Given this
contemporaneous evidence of a nonretaliatory basis for the termination, the Court
finds that Defendant has stated a legitimate reason for the decision in this regard.
The burden thus shifts back to Plaintiff to show that “(1) that the proffered
reasons had no basis in fact, (2) that the proffered reasons did not actually motivate
the employer's action, or (3) that they were insufficient to motivate the employer's
action.” Romans, 668 F.3d at 839. Plaintiff maintains that his understanding was that
Defendant would not in fact have allowed to him to work with restrictions; that he
never made any knowing misrepresentations to Defendant or to Dr. Adegbenro; and
that once Defendant became aware of the indications in Dr. Adegbenro’s report that
Plaintiff had represented that he was not allowed to work with restrictions,
Defendant could have notified Plaintiff if this was not the case.
At its core, Plaintiff’s argument is that he held a reasonable, good-faith belief
that Defendant would not have allowed him to work with restrictions, and that stating
27
that belief to Dr. Adegbenro did not constitute fraud or dishonesty. However
plausible Plaintiff’s assertions are, though, they do not show that Defendant’s stated
reason for his firing was pretextual under Romans, because they do not show that
that reason was factually baseless, subjectively not the reason for the decision, or
objectively insufficient as a justification. Plaintiff has not shown that Defendant’s
reason for terminating him was not honestly held, and this is what is required for a
finding of pretext. See Seeger, 681 F.3d at 285–86 (“As long as the employer held
an honest belief in its proffered reason, ‘the employee cannot establish pretext even
if the employer's reason is ultimately found to be mistaken, foolish, trivial, or
baseless.’”) (quoting Smith v. Chrysler Corp., 155 F.3d 799, 807 (6th Cir. 1998));
see also Risch v. Royal Oak Police Dep't, 581 F.3d 383, 399 (6th Cir. 2009) (noting
in the analogous context of Title VII pretext analysis that a federal court’s “role is
to prevent unlawful hiring practices, not to act as a ‘super personnel department’ that
second guesses employers’ business judgments”) (internal quotation marks omitted).
Even though Plaintiff makes a prima facie retaliation case, Defendant has met
its burden of articulating a legitimate justification for its challenged conduct, and
Plaintiff has not rebutted that justification by showing that it is pretextual. For this
reason, the Court will grant Defendant’s Motion for Summary Judgment to the
extent that Plaintiff’s FMLA claim is premised on a retaliation theory.
28
3.
Interference theory
There are five elements that Plaintiff must satisfy to state a prima facie case
on an FMLA claim premised on an interference theory:
To prevail on an FMLA interference claim, a plaintiff must establish
that (1) she was an eligible employee as defined under the FMLA; (2)
her employer was a covered employer as defined under the FMLA; (3)
she was entitled to leave under the FMLA; (4) she gave the employer
notice of her intention to take FMLA leave; and (5) her employer
denied FMLA benefits to which she was entitled.
Mullendore v. City of Belding, 872 F.3d 322, 327 (6th Cir. 2017) (quoting Novak v.
MetroHealth Med. Ctr., 503 F.3d 572, 577-78 (6th Cir. 2007)).
“But a plaintiff's success in establishing her prima facie case does not create
a strict liability regime for employers, who may offer ‘a legitimate reason unrelated
to the exercise of FMLA rights for engaging in the challenged conduct.’” Id.
(quoting Jaszczyszyn, 504 F. App’x at 447). An employer’s proffered legitimate
reason for its actions is relevant to both retaliation claims and interference claims
under the FMLA. Thus, similar to retaliation against an employee for FMLAprotected activity, “[i]nterference with an employee's FMLA rights does not
constitute a violation if the employer has a legitimate reason unrelated to the exercise
of FMLA rights for engaging in the challenged conduct.” Id. at 327-28 (internal
quotation marks omitted) (citing Grace v. USCAR, 521 F.3d 655, 670 (6th Cir.
2008)); accord Harris v. Metro. Gov't of Nashville & Davidson Cty., Tenn., 594 F.3d
29
476, 483 (6th Cir. 2010); Edgar v. JAC Prods., Inc., 443 F.3d 501, 507 (6th Cir.
2006).
The Sixth Circuit recently reaffirmed this principle in the published opinion
Mullendore v. City of Belding, 872 F.3d 322 (6th Cir. 2017). The Plaintiff in that
case, a city manager, was away from work on FMLA leave when “the city council
voted to terminate her employment, citing her role in causing political strife in the
community.” Id. at 324. Affirming the district court’s dismissal of the plaintiff’s
FMLA interference claim on summary judgment, the Sixth Circuit concluded that
“the evidence clearly demonstrates that [the plaintiff] was terminated in this way
because she was not at the meeting and the City Council could therefore fire her
without having to face her. This does not establish that her termination was because
she was using FMLA leave . . . .” Id. at 328. The plaintiff in Mullendore argued that
she would not necessarily have been terminated had she not taken FMLA leave, and
cited evidence that one of the members of the city council (Jones) would have voted
differently had the plaintiff been present at the meeting. The court rejected this
argument:
The problem with [the plaintiff]'s theory of her case is that it equates a
termination in her absence with a termination because she was absent
on FMLA-qualifying medical leave. The former is permissible, even
when an employee is on medical leave; the latter is not
permissible. See Arban v. West Publ'g Corp., 345 F.3d 390, 401 (6th
Cir. 2003) (“An employee lawfully may be dismissed, preventing him
from exercising his statutory rights to FMLA leave or reinstatement,
30
but only if the dismissal would have occurred regardless of the
employee's request for or taking of FMLA leave.”). But she has offered
no evidence in support of her claim that she was terminated because she
was on FMLA leave, even if the timing of [the] motion made it easier
to get Jones's vote. At best, her theories raise “a mere scintilla of
evidence,” which is insufficient to defeat summary judgment. Liberty
Lobby, Inc., 477 U.S. at 252, 106 S.Ct. 2505. [The plaintiff] does not
present evidence that the City Council fired her in a way that interfered
with her FMLA entitlement, even though the firing occurred while she
was out for surgery, so it was not erroneous for the district court to grant
summary judgment.
Mullendore, 872 F.3d at 329.
Thus, under Mullendore, Plaintiff’s interference claim in the case at bar
cannot be sustained for the same reasons that his retaliation claim must fail.
Defendant has proffered a legitimate explanation for its decision to terminate
Plaintiff: his (mis)representation to his health care providers that he would not be
allowed to work with restrictions. And as set forth above, Plaintiff has not rebutted
that explanation by demonstrating “that the proffered reason (1) has no basis in fact,
(2) did not actually motivate the defendant's challenged conduct, or (3) was
insufficient to warrant the challenged conduct.” Mullendore, 872 F.3d at 328
(internal quotation marks omitted) (quoting Grace, 521 F.3d at 670).
The Sixth Circuit established in Mullendore that the operative question is not
whether the employee would (or even could) not have been terminated but for her
FMLA-protected activity, but instead whether “she lost the position because she took
31
FMLA-qualifying leave.” Mullendore, 872 F.3d at 328 (emphasis added). In this
way, Mullendore clarified that previous Sixth Circuit decisions’ description of an
employer’s legitimate reason as being “unrelated to the exercise of FMLA rights” is
not a strictly literal requirement; what 29 U.S.C. § 2615(a) in fact prohibits are
adverse actions by employers against employees that are motivated by the
employees’ exercise of FMLA rights, and not adverse actions that are in any way
related to the exercise of those rights. See Tillman v. Ohio Bell Tel. Co., 545 F. App'x
340, 362–63 (6th Cir. 2013) (“[W]here . . . the legitimacy of the employee's taking
of FMLA leave itself is at issue, it is unrealistic to require that the employer's reasons
for its actions be ‘unrelated’ to the taking of the leave. If that were the case,
employers would effectively be precluded from ever taking any adverse action
against an employee who fraudulently or dishonestly requests FMLA leave or
misuses or abuses FMLA leave because any action necessarily would be related to
the taking of leave, and, hence, constitute a violation of the Act.”) (Rosen, D.J.,
concurring).
Here, Defendant has stated a reason for its decision to terminate Plaintiff that
is supported by contemporaneous evidence. That reason is not that Plaintiff was
terminated because he took FMLA leave, but rather that in Defendant’s view, he
“engaged in fraud and/or dishonesty” in the way that he took it. (Def.’s Mot. at 17,
Pg ID 276.) As Plaintiff has failed to rebut that explanation as pretextual, the Court
32
will grant Defendant’s Motion for Summary Judgment to the extent that Plaintiff’s
FMLA claim is premised on an interference theory.
Persons With Disabilities Civil Rights Act Claim (Count II)
Michigan’s Persons With Disabilities Civil Rights Act (“PWDCRA”)
generally provides that “a person shall accommodate a person with a disability for
purposes of employment, public accommodation, public service, education, or
housing unless the person demonstrates that the accommodation would impose an
undue hardship.” Mich. Comp. Laws § 37.1102(2). Michigan courts have interpreted
the PWDCRA to “require[] an employer to take reasonable steps to accommodate a
handicapped employee's disability.” Petzold v. Borman's, Inc., 241 Mich. App. 707,
716 (2000).
The law is clear, though, that under the PWDCRA, the initial burden is on the
employee to propose accommodations. See Mich. Comp. Laws Ann. § 37.1210(18)
(“A person with a disability may allege a violation against a person regarding a
failure to accommodate under this article only if the person with a disability notifies
the person in writing of the need for accommodation within 182 days after the date
the person with a disability knew or reasonably should have known that an
accommodation was needed.”); see also Petzold, 241 Mich. App. at 716 (“In order
to bring a cause of action under the statute for failure to accommodate in
employment, the employee must advise the employer in writing of the need for
33
accommodation.”) (citing Sanchez v. Lagoudakis (After Remand), 458 Mich. 704,
724 n.25 (1998)); Aldini v. Kroger Co. of Michigan, 628 F. App'x 347, 351 (6th Cir.
2015) (explaining, in analyzing parallel claims under the PWDCRA and the
Americans with Disabilities Act, 42 U.S.C. § 12101 et seq., that the burden to
request an accommodation is “on the employee because ‘[t]he employer is not
required to speculate as to the extent of the employee's disability or the employee's
need or desire for an accommodation’”) (alterations in original) (quoting Kleiber v.
Honda of Am. Mfg., Inc., 485 F.3d 862, 870 (6th Cir. 2007)).
Plaintiff testified in his 2017 deposition that he never made such a request of
Defendant:
Q. Did you ever try to return to work and ask for accommodations
maybe within a different position at Chardam or any other company
where you might have been able to get different responsibilities that
wouldn't have been so physically demanding as your job was before?
A. No.
(Hodnett 2017 Dep. 61:11-17.)
Defendant highlights this admission in its Motion, and Plaintiff does not
address it in his Response. Because Plaintiff has therefore not met his burden on this
essential element of his PWDCRA claim, the Court will grant Defendant’s Motion
for Summary Judgment as to this claim as well.
34
CONCLUSION
For all of the reasons stated above, the Court hereby GRANTS Defendant
Chardam Gear Company, Inc.’s Motion for Summary Judgment.
IT IS SO ORDERED.
s/Paul D. Borman
Paul D. Borman
United States District Judge
Dated: December 28, 2017
CERTIFICATE OF SERVICE
The undersigned certifies that a copy of the foregoing order was served upon
each attorney or party of record herein by electronic means or first class U.S. mail
on December 28, 2017.
s/D. Tofil
Deborah Tofil, Case Manager
35
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