Hunter v. General Motors LLC
Filing
33
OPINION and ORDER re 23 MOTION for Summary Judgment Signed by Magistrate Judge Stephanie Dawkins Davis. (Brown, A.)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF MICHIGAN
SOUTHERN DIVISION
CYNTHIA HUNTER,
Case No. 17-10314
Plaintiff
Stephanie Dawkins Davis
United States Magistrate Judge
v.
GENERAL MOTORS LLC,
Defendant.
________________________/
OPINION AND ORDER GRANTING DEFENDANT’S
MOTION FOR SUMMARY JUDGMENT (Dkt. 23)
I.
PROCEDURAL HISTORY
Plaintiff, Cynthia Hunter, filed a complaint in state court for race and sex
discrimination under the Michigan Elliott-Larsen Civil Rights Act and Title VII
and for retaliation under Elliott-Larsen on December 22, 2016. (Dkt. 1, Notice of
Removal, Pg ID 8-23). Defendant, General Motors LLC, removed the action to
federal court on February 1, 2017. (Dkt. 1). On January 3, 2018, the parties
executed a consent for reference of this matter to the undersigned magistrate judge.
(Dkt. 20). On January 5, 2018, District Judge Robert H. Cleland signed the
consent and referred this matter under 28 U.S.C. 636(c). (Dkt. 21). After
completing a period of discovery, GM filed its motion for summary judgment.
(Dkt. 23-25). Hunter filed her response (Dkt. 27) and GM filed a reply. (Dkt. 28).
On October 4, 2018, the parties filed their joint statement of resolved and
1
unresolved issues. (Dkt. 30). Pursuant to notice, the Court held a hearing on
December 6, 2018. (Dkt. 29).
For the reasons set forth below, the Court GRANTS defendant’s motion for
summary judgment of plaintiff’s sex-based claims. Plaintiff’s race-based claims
were conceded and thus, are also dismissed. 1
II.
FACTUAL BACKGROUND
Hunter was hired at GM on March 1, 2013. (Dkt. 25-1, Plf. Dep. pp. 36,
162-63; Plf. Dep. Ex. 14). Hunter worked at GM’s Warren Technical Center as a
Mainframe Technical Specialist during the entirety of her employment; she was a
storage administrator for GM’s mainframe computer. Id. at 34, 39-40, 162-63; Plf.
Dep. Ex. 14. GM’s mainframes store GM’s data and are necessary to run the
business; if the mainframes do not operate, the business cannot run normally. Id.
at 52- 53. Mainframe Storage Manager Samuel Rurka supervised Hunter. Rurka
also previously worked with Hunter at Ford Motor Company, and he had
1
Based on her response to the motion for summary judgment, it appeared that Hunter
was no longer pursuing her claims based on race. Counsel for Hunter confirmed as much on the
record at the hearing. See e.g., Briggs v. Univ. of Detroit-Mercy, 611 Fed. Appx. 865, 870 (6th
Cir. 2015) (A plaintiff who fails to address a claim in response to a motion for summary
judgment is deemed to have abandoned the claim); Hart v. Honeywell Int'l, 2017 WL 1235000,
at *3 (N.D. Ohio Apr. 4, 2017), on reconsideration in part 2017 WL 2693558 (N.D. Ohio June
21, 2017) (Claim dismissed where the plaintiffs expressly conceded that the claim should be
dismissed at oral argument, and implicitly conceded as such by failing to respond to the
defendant’s motion summary judgment on the claim.). Thus, this Opinion and Order only
addresses Hunter’s claims based on sex and does not address any claims based on race. Hunter’s
race-based claims are, therefore, dismissed.
2
interviewed and hired her to work at GM. Id. at 30-31, 61; Dkt. 25-3, Deposition
of Samuel Rurka, pp. 9-11.
As Hunter’s supervisor, Rurka conducted Hunter’s 2014 performance
review. (Dkt. 25-1, p. 104; Plf. Dep. Ex. 6). In that review he commented, “[t]he
quality and quantity of work is not what I expect in your position” and that “task[s]
that had been assigned to you to be delivered by a certain date have been reported
‘complete’ when they actually were partially (sic) at best.” Id. at 105-06; Plf. Dep.
Ex. 6. Although Hunter believed she had completed her assignments, Rurka did
not. Id. at 106-07. According to GM, one significant performance failure by
Hunter in July 2014 resulted in dealerships in Brazil being unable to use GMAC
financing for customers to purchase vehicles. Despite these performance issues,
GM gave Hunter a merit raise, and she was neither demoted nor subjected to any
reduction in pay. Id. at 109, 115; Plf. Dep. Ex. 14. Although Hunter disagreed
with the review and believed it was discriminatory, she did not complain to Human
Resources. Id. at 112-15.
In September 2014, GM’s tape libraries were nearing maximum capacity;
Hunter informed her group that the libraries were more than 90 percent
full. Id. at 116-17. The issue was a serious one for the company because if the
tapes reached 100 percent of capacity, GM’s production of cars would stop. (Dkt.
25-7, Declaration of Samuel Rurka, ¶ 7). Rurka deemed the problem to be one that
3
would require maximum effort from all team members to identify and implement a
solution. Id. He met with the team, including Hunter, to strategize on how to
address the storage problem. (Dkt. 25-1, p. 117; Dkt. 25-3, pp. 19-21, 30-31).
However, instead of staying at work to continue conferencing with the team to
resolve this issue, Hunter left to attend a personal engagement. (Dkt. 25-1, pp.
118-19; Dkt. 25-3, p. 24; Dkt. 25-7, ¶ 9). The team members who continued
meeting decided to delete certain tapes after Hunter left for her engagement. (Dkt.
25-1, pp. 125-26).
When Hunter arrived at work the next day, Rurka told her that Brent
Beck, a contractor and not a GM employee, had deleted the necessary data files.
(Dkt. 25-1, p. 120; Dkt. 25-3, p. 16). However, the deleted files were
generational data group files (“GDGs”) that should never be deleted. (Dkt. 25-1,
pp. 120-25; Dkt. 25-3, pp. 19-21, 23-24). According to GM, this occurred because
Hunter – the only person on the team who knew these GDGs should not be deleted
– did not speak up during the meeting while her coworkers spoke about deleting
them, and then left to go to her personal engagement instead of staying to assist
team members in addressing the issue. (Dkt. 25-1, pp. 121-24; Dkt. 25-3, 19-21,
24-26, 30-31). Although 500 to 600 of the deleted tapes were recovered, another
20,000 deleted tapes could not be recovered and were lost forever. (Dkt. 25-1, pp.
122-24). According to GM, Hunter had approximately 20 years of experience with
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mainframe computers and knew that these GDGs should not be deleted. (Dkt. 251, pp. 12, 18-28; Plf. Dep. Ex. 1). GM maintains that if Hunter had stayed at work
with her coworkers instead of leaving work early during a crisis situation, she
could have prevented their deletion. (Dkt. 25-1, pp. 121-24; Dkt. 25-3, pp. 19-21,
24-26, 30-31).
Two women, Mainframe Storage Director Jessie Bruner and HR Business
Partner Kathie Vosganian, conducted an investigation regarding the deleted data.
Rurka, Smith, Hunter and contractors Walt Willis and Beck were interviewed as
part of the investigation. (Dkt. 25-1, pp. 126-27, 128-30, 133; Plf. Dep. Ex. 7; Dkt.
25-8, Kathie Vosganian Declaration ¶¶ 3-4; Vosganian Declaration Ex. 1). The
investigation resulted in a finding that Hunter was partially responsible for the
deletion. (Dkt. 25-1, pp. 124-25, 128-30, 138-39; Plf. Dep. Ex. 7). Vosganian
determined that Hunter “left the premises during a very serious problem that
occurred with the mainframe and left the building when it was all hands-on deck
situation,” and “[s]he did not share critical information she knew that could have
prevented a massive data loss” because “she wasn’t concerned enough about it to
stay with the rest of the group and help solve the problem.” (Dkt. 25-5, deposition
of Kathie Vosganian (“Vosganian Dep.”), pp. 22-25). Hunter maintains, however,
that she explained to the entire team how GDGs worked. (Dkt. 27-7, Ex. F). She
asserts there was no “crisis” and she left at the end of the workday after explaining
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to everyone that the data would “fall off” on its own. Id. Hunter says that Rurka
ignored her and did not follow her suggestions. She left work for the day due to a
prior commitment, believing that the mainframe capacity issue had been handled.
Id. Hunter also points out that Rurka did not understand how the GDG’s worked
or how certain files automatically “fell off” the Mainframe, and none of her team
members were disciplined for not knowing how the mainframe storage worked.
(Dkt. 27-8, Ex. G, Overview of Mainframe Data Loss; Dkt. 27-11, Ex. J, January
5, 2015 Memorandum to File - Cynthia Hunter).
Some, though not all, members of the mainframe team suffered
consequences as a result of this incident. Specifically, Hunter and two men
received consequences. Beck saw his contract terminated as a result of his actions.
(Dkt. 25-1, pp. 43-44, 45-46, 88-89, 124). A second man, Rurka, received a
written memo to his file for his role in the deletion, as did Hunter. Rurka also lost
approximately $10,000.00 in bonus money as a result and GM considered
terminating his employment. (Dkt. 25-1, pp. 134, 138; Plf. Dep. Ex. 10; Dkt. 25-3,
pp. 22-23; Dkt. 25-5, pp. 19-20). Though Hunter denies responsibility for the tape
deletion (Dkt. 25-1, p. 139), Bruner, a woman, determined that Hunter’s leaving
work to attend to a personal function and her failure to provide critical information
regarding GDG tapes contributed to the loss of the data. (Dkt. 25-3, pp. 19-21, 2426, 30-31).
6
GM says Bruner was prepared to end Hunter’s employment for her
performance failings, but Rurka and Andrzejewski talked Bruner into giving
Hunter one more chance. (Dkt. 25-7, Rurka Dec. ¶ 18). GM maintains that
Hunter’s poor performance continued in 2015 resulting in her placement on a “last
chance agreement” on October 1, 2015. 2 (Dkt. 25-1, p. 149; Plf. Dep. Ex. 12).
The document GM calls a last chance agreement is entitled “Memorandum to File
– Policies and Procedures Violation” and it outlines additional instances of
performance issues in 2015. (Plf. Dep. Ex. 12). Specifically, in June 2015, Hunter
was involved in an incident that resulted in a three-and-a-half-hour outage at four
warehouses in Canada, during which employees could not pick parts to build cars.
(Dkt. 25-1, pp. 143-45, 150-51; Plf. Dep. Ex. 12; Dkt. 25-3, pp. 72-74; Rurka Dep.
Ex. 6). On August 4, 2015, Rurka documented to HR Business Partner Michael
Andrzejewski that Hunter had made unauthorized changes, which Hunter does not
dispute making. (Dkt. 25-1, pp. 147-49; Plf. Dep. Ex. 11). On September 20,
2015, according to the Memorandum to File, Hunter allowed employees to move
datasets after she started a catalog reorganization, even though her group had
established procedures that prohibited these moves from taking place once a
2
Hunter dispute’s defendant’s characterization of this document as a “last chance”
agreement. Hunter says the words “last chance” appear nowhere in this document and it is
merely a standard disciplinary document with no significance. (Dkt. 27, p. 12). However, the
language relied on by GM in the document is not contained in other disciplinary memos in the
record or other papers documenting her errors. (Dkt. 25-2, Pg ID 305, Pl. Dep. Ex. 10; Dkt. 252, Pg ID 36-311, Pl. Dep. Ex. 11).
7
reorganization has begun. (Plf. Dep. Ex. 12). GM says that Hunter’s actions
resulted in the system being one hour and 23 minutes late coming back online.
(Dkt. 25-1, pp. 150-53; Plf. Dep. Ex. 12). The Memorandum to File, which Hunter
signed, stated that further violations “will likely result in termination of
employment.” (Plf. Dep. Ex. 12).
Hunter maintains that the incident in September 2015 was Jorge Diaz’s fault
and she was unfairly blamed for his mistake. She says Diaz interrupted her change
order and began his own change order, and that Diaz’s actions were strictly
prohibited and against company policy. (Dkt. 27-12, Ex. K, Deposition of Joseph
Gurchiek, pp.11-12). Mr. Gurchiek advised HR that Hunter was not at fault for
this incident. Id. Yet, Hunter was still disciplined as set forth in the October 1,
2015 “last chance” agreement. (Dkt. 27-13, Ex. L, October 1, 2015 Memo to File).
As a result, Hunter contacted a co-worker, William Neale, who conducted an
inquiry into the error rates of Hunter and her team-members. Neale found that
Hunter had the lowest percentage of mistakes on her team. (Dkt. 27-14, Ex. M,
deposition of William Neale, pp. 53, 56, 59; Dkt. 27-15, Ex. N, Affidavit of
William Neale).
In November 2015, GM says Hunter made another error that resulted in GM
car factories in Europe not being able to print shipping labels for cars coming off
the assembly lines; the cars were parked in a lot until labels could be printed.
8
(Dkt. 25-7, Rurka Dec. ¶ 17). Then, during a February 2, 2016 team meeting,
Rurka instructed his team to wait to execute any data change records until after
Smith completed certain necessary pre-work steps. (Dkt. 25-1, p. 171; Plf. Dep.
Ex. 17; Dkt. 25-7, Rurka Dec. ¶ 20). Despite Rurka’s instruction, Hunter executed
a change record before Smith had completed his pre-work. (Dkt. 25-1, pp. 167-72;
Plf. Dep. Ex. 17; Dkt. 25-7, Rurka Dec. ¶ 21). When Smith discovered what
Hunter had done, he reported it to Rurka, who instructed Hunter to back out her
changes. (Dkt. 25-1, pp. 167-72; Plf. Dep. Ex. 16, 17; Dkt. 25-7, Rurka Dec. ¶ 22).
According to Rurka, if Smith had not discovered Hunter’s actions, GM might have
experienced data failures. (Dkt. 25-7, Rurka Dec. ¶ 22).
After the above events, Rurka concluded that Hunter could not perform her
job duties satisfactorily. (Dkt. 25-7, Rurka Dec. ¶ 24). Rurka and Andrzejewski
conferred and recommended to Bruner that Hunter’s repeated carelessness and
disregard of procedures warranted termination. (Dkt. 25-6, Andrzejewski Dec.
¶ 13). Bruner agreed. (Dkt. 25-6, Andrzejewski Dec. ¶ 13). Andrzejewski
presented the facts to Sharon Ridgell, a woman in GM’s Policy Department.
Ridgell agreed that termination was appropriate. (Dkt. 25-6, Andrzejewski Dec. ¶
14). GM terminated Hunter’s employment on February 18, 2016. (Dkt. 25-1, pp.
100, 172; Plf. Dep. Ex. 18; Dkt. 25-6, Andrzejewski Dec. ¶ 15). Shortly after
9
Hunter’s termination, Rurka also recommended that Michael Pietersz, a man, be
terminated for poor work performance. (Dkt. 25-7, Rurka Dec. ¶ 27).
Following her termination, Hunter made an “open-door” complaint and
alleged that her termination was due to race and sex discrimination. (Dkt. 25-1,
pp. 172- 73; Plf. Dep. Ex. 19). The investigator interviewed Hunter; reviewed
Hunter’s personnel records; and interviewed Rurka, Andrzejewski, and Hunter’s
coworkers. Id. at 174-75.; Plf. Dep. Ex. 21. The investigation resulted in a
determination that Hunter’s termination was appropriate and that her claims of
discrimination could not be substantiated. Id. at 174-75; Plf. Dep. Ex. 21.
Hunter’s discrimination and hostile work environment claims are based on
the same alleged facts. (Dkt. 25-1, pp. 59-60). Hunter testified at her deposition
that Rurka was the only GM employee who harassed and/or discriminated against
her. Id. at 41, 60-61. Regarding her hostile work environment claim, Hunter
claims that at a meeting in Summer 2014, Rurka teased her for having a crush on
Director Richard Kahn, which Hunter denies. Id. at 61-64. Hunter claims Rurka
continued to tease her. However, Hunter admits she never told Rurka to stop and
she never reported Rurka’s alleged teasing to Human Resources. Id. at 64-66.
Hunter also contends that Rurka began treating her and another woman on the
team, Melissa Bruce-Fuller differently than their male co-workers in mid-2014.
Hunter points to allegations in the anonymous GM Awareline report that Rurka
10
called men “rockstars” but referred to the women on the team as “uneducated,”
“lazy” and “sloppy.” (Dkt. 27-3, Ex. B). According to this anonymous report and
Ms. Bruce-Fuller, Rurka would also ignore women on the team, talk down to them,
exclude them from meetings, and walk away from them while they were speaking.
Id.; Dkt. 27-4, Ex. C, deposition of Melissa Bruce-Fuller, p. 32. Arthur Gutowski
testified that there were times when Hunter was not heard at meetings. (Dkt. 27-5,
Ex. D, pp. 21-22).
Hunter asserts that Rurka harassed her by having a conversation with her
about her personal hygiene in 2015. Id. at 67. She says that Rurka would not tell
her who made the complaint, and no one would admit to Hunter that they had
complained about her hygiene, so she assumed Rurka had made up the
allegations. Id. at 68-71. However, Vosganian testified that one of Hunter’s
coworkers made the complaint to her. Hunter’s open-door investigation
confirmed that the coworker complained to Human Resources about Hunter’s
odor and appearance and that Bruner had directed Rurka to speak to Hunter about
improving her hygiene. (Dkt. 25-1, p. 176; Plf. Dep. Ex. 21, p. 7; Dkt. 25-5, p. 63;
Dkt. 25-3, pp. 67-68).
Hunter also claims that Rurka forced her to work while on medical leave.
(Dkt. 25-1, pp. 75-76). Hunter broke her ankle in January 2014, but she did not
obtain a doctor’s note restricting her from working and she did not ask for time off.
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Id. at 78-79. Although Hunter believed her medication impacted her work, she did
not tell Rurka about her belief. Id. at 77-78; Dkt. 25-7, Rurka Dec. ¶ 26.
Hunter claims male coworkers could work from home two to three days per week.
(Dkt. 25-1, p. 66). Although Rurka allowed Hunter to work from home on
occasion, he sent her a note in August 2015 telling her not to expect to work from
home every Friday. Id. at 81-83. Rurka did not want Hunter to work from home
on a recurring basis because he did not believe she was productive and attentive
when she worked from home. (Dkt. 25-1, pp. 83-84; Dkt. 25-3, pp. 54-55). For
example, Rurka observed that when Hunter worked from home, she was
unavailable for large blocks of time, and the instant messenger status on her
computer typically indicated that she was away from her computer, which he took
to mean she was being unproductive. (Dkt. 25-3, pp. 54-55, 65-66). On the other
hand, Rurka permitted others in the mainframe group to work from home. For
example, Garth Devlin worked from home, but he was located in Ireland. (Dkt.
25-1, p. 84). Hunter does not know whether Wes Harrell worked from home
because he worked in Atlanta, Georgia. Id. Smith worked from home on
occasion, but he was located in Austin, Texas and his commute was an hour long,
whereas Hunter lived only 15 miles away from the Warren Technical Center.
(Dkt. 25-1, pp. 84-85). Mark Zaszczurynski was allowed to work from home on
occasion because he had sinus problems. (Dkt. 25-1, p. 85). Unlike Hunter, Rurka
12
found Zaszczurynski and Smith to be productive when they worked at home. (Dkt.
25-7, Rurka Dec. ¶ 25).
Finally, Hunter claims she was retaliated against for complaining of
discrimination. On September 30, 2015, an employee made an anonymous internal
complaint via GM’s Awareline that Rurka did not treat employees equally; Hunter
admits that she did not make the complaint and neither Hunter nor GM is
aware who did. (Dkt. 25-1, pp. 155-57; Plf. Dep. Ex. 13). But when Hunter was
interviewed as a part of GM’s investigation she alleged that Rurka had
discriminated against her; Hunter cited as examples some of the information
provided herein. Id. at 158-59. Don Stawiasz in Global Investigations investigated
the allegations and determined “the allegations of discrimination and harassment
are unsubstantiated.” Id. at 155, 161; Plf. Dep. Ex. 13; Dkt. 25-4, Deposition of
Don Stawiasz, pp. 5, 8.
III.
ANALYSIS AND CONCLUSIONS
A.
Standard of Review
When a party files a motion for summary judgment, it must be granted “if
the movant shows that there is no genuine dispute as to any material fact and the
movant is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56(a). “A party
asserting that a fact cannot be or is genuinely disputed must support the assertion
by: (A) citing to particular parts of materials in the record...; or (B) showing that
13
the materials cited do not establish the absence or presence of a genuine dispute, or
that an adverse party cannot produce admissible evidence to support the fact.”
Fed.R.Civ.P. 56(c)(1). The standard for determining whether summary judgment
is appropriate is “whether the evidence presents a sufficient disagreement to
require submission to a jury or whether it is so one-sided that one party must
prevail as a matter of law.” State Farm Fire & Cas. Co. v. McGowan, 421 F.3d
433, 436 (6th Cir. 2005) (quoting Anderson v. Liberty Lobby, Inc., 477 U.S. 242,
251-52 (1986)). Furthermore, the evidence and all reasonable inferences must be
construed in the light most favorable to the non-moving party. Matsushita Elec.
Indus. Co., Ltd. v. Zenith Radio Corp., 475 U.S. 574, 587 (1986).
Where the movant establishes the lack of a genuine issue of material fact,
the burden of demonstrating the existence of such an issue shifts to the non-moving
party to come forward with “specific facts showing that there is a genuine issue for
trial.” Celotex Corp. v. Catrett, 477 U.S. 317, 322-23 (1986). That is, the party
opposing a motion for summary judgment must make an affirmative showing with
proper evidence and must “designate specific facts in affidavits, depositions, or
other factual material showing ‘evidence on which the jury could reasonably find
for the plaintiff.’” Brown v. Scott, 329 F.Supp.2d 905, 910 (6th Cir. 2004).
To fulfill this burden, the non-moving party need only demonstrate the
minimal standard that a jury could ostensibly find in his favor. Anderson, 477 U.S.
14
at 248; McLean v. 988011 Ontario, Ltd., 224 F.3d 797, 800 (6th Cir. 2000).
However, mere allegations or denials in the non-movant’s pleadings will not
satisfy this burden, nor will a mere scintilla of evidence supporting the non-moving
party. Anderson, 477 U.S. at 248, 251.
The Court’s role is limited to determining whether there is a genuine dispute
about a material fact, that is, if the evidence in the case “is such that a reasonable
jury could return a verdict for the nonmoving party.” Anderson, 477 U.S. at 248.
Such a determination requires that the Court “view the evidence presented through
the prism of the substantive evidentiary burden” applicable to the case. Id. at 254.
Thus, if the plaintiff must ultimately prove its case at trial by a preponderance of
the evidence, on a motion for summary judgment the Court must determine
whether a jury could reasonably find that the plaintiff’s factual contentions are true
by a preponderance of the evidence. See id. at 252-53. Finally, if the nonmoving
party fails to make a sufficient showing on an essential element of its case with
respect to which it has the burden of proof, the movant is entitled to summary
judgment. Celotex, 477 U.S. at 323. The Court must construe Rule 56 with due
regard not only for the rights of those “asserting claims and defenses that are
adequately based in fact to have those claims and defenses tried to a jury,” but also
for the rights of those “opposing such claims and defenses to demonstrate in the
15
manner provided by the Rule, prior to trial, that the claims and defenses have no
factual basis.” Id. at 327.
B.
Title VII and Elliott-Larsen Discrimination
Hunter alleges that she was discriminated against and discharged based on
her gender in violation of Title VII and Elliott-Larsen. The Sixth Circuit reviews
claims of discrimination brought under the ELCRA under the same standards as
claims brought under Title VII. Ladenberger v. Plymouth-Canton Cmty. Sch.,
2018 WL 3914709, at *5 (E.D. Mich. Aug. 16, 2018) (citing Idemudia v. J.P.
Morgan Chase, 434 Fed. Appx. 495, 499 (6th Cir. 2011)). Absent direct evidence
of discrimination, a plaintiff may rely on circumstantial evidence to establish a
case of gender discrimination under the familiar burden-shifting framework of
McDonnell Douglas Corp v. Green, 411 U.S. 792 (1973). To establish a prima
facie case for Title VII gender discrimination under that framework, plaintiff must
show that: (1) she belongs to a protected class, (2) she suffered an adverse
employment action, (3) she was qualified for the position, and (4) that the job was
given to a person outside the protected class or that she was treated differently than
a similarly situated, non-protected employee. Abdulnour v. Campbell Soup Supply
Co., 502 F.3d 496, 501-02 (6th Cir. 2007); Lyons v. Metropolitan Gov’t of
Nashville & Davidson Cnty., 416 Fed. Appx. 483 (6th Cir. 2011). If a plaintiff
establishes a prima facie case, the defendant can rebut it by articulating a
16
legitimate non-discriminatory reason for its action. Id. Thereafter, a plaintiff has
the burden of showing, by a preponderance of the evidence, that the legitimate
asserted reason was not the actual reason for the defendant’s actions, but in fact
was pretext for gender discrimination. Chen v. Dow Chem. Co., 580 F.3d 394, 400
(6th Cir. 2009). A plaintiff may establish that the defendant’s proffered reasons is
mere pretext by establishing that it: (1) has no basis in fact; (2) did not actually
motivate plaintiff’s termination; or (3) was insufficient to warrant plaintiff’s
termination. Abdulnour, 502 F.3d at 502 (citing Manzer v. Diamond Shamrock
Chems. Co., 29 F.3d 1078, 1084 (6th Cir. 1994)).
GM argues that Hunter has not identified any other employee who was
responsible for repeated major mistakes due to carelessness or disregard of GM’s
policies and procedures like she was and who was not terminated. Rather, GM
maintains that the opposite is true. For example, following the tape deletion
incident of September 2014, Rurka (a man) received the same discipline as Hunter;
a written memo to the file. In Rurka’s case, the written memo significantly
impacted his bonus that year. Moreover, Beck, another man, was treated more
harshly than Hunter because his contract was terminated; he was essentially fired
because of this incident. Finally, shortly after Hunter’s termination, Rurka
terminated another man, Michael Pietersz, for poor performance. GM also asserts
that Hunter engaged in similar carelessness and disregard for best practices again
17
in June 2015, August 2015, September 2015, November 2015, and February 2016.
Yet, Hunter does not claim any other employee engaged in similar conduct on
several occasions like she did and does not identify any other employee who made
such errors after being placed on a so-called last chance agreement. Because
Hunter cannot identify anyone else who repeatedly engaged in such conduct and
remained employed, Gm insists her claim must fail. See Mensah v. Caruso, 2014
U.S. Dist. LEXIS 2940 (E.D. Mich. Jan. 10, 2014) (holding plaintiff failed to
establish prima facie case because he could not identify a similarly situated
employee treated more favorably).
In response, Hunter does not address GM’s arguments that she did not
establish a prima facie case because she does not identify any appropriate
comparators who were treated more favorably. While Hunter acknowledges that
this is the appropriate legal standard here, she only argues that her performancebased termination was a mere pretext and she was terminated due to her gender.
(Dkt. 27, pp. 20-21). More specifically, Hunter contends:
In this case, the stated basis for Plaintiff’s
termination had no basis in fact. As previously discussed,
Plaintiff had no real performance issues. She was the
highest performer on the team who was blamed for
others’ mistakes. As a result, to say that she was
terminated due to performance issues is clearly pretext.
Instead, the facts and evidence establish that Plaintiff was
discriminated against, and terminated due to her
sex/gender. Sam Rurka, her supervisor blatantly treated
her differently than male employees. He refused to let her
18
work from home, he ignored her input, he would talk
down to her or just walk away when she was talking to
him, he would refer to the men who were less
knowledgeable than her as “rock stars”. It is undisputed
that Plaintiff was a member of a protected class as a
woman. In addition, the record shows that she was
treated differently than other employees and that she was
treated less favorably due to her gender and Defendant’s
Motion for Summary Judgment must be denied.
(Dkt. 27, p. 21). 3
3
The Court agrees with defendant that Rurka’ refusal to allow plaintiff to work from
home is not a sufficiently adverse employment action to support a discrimination claim. As
explained in Burgett v. Wilbur, 2018 WL 4931928, at *4 (M.D. Tenn. Oct. 10, 2018), an adverse
employment action must be materially adverse to support a discrimination claim:
The Sixth Circuit has defined “adverse employment action” in a
variety of employment discrimination cases. See Gritton v.
Disponett, 2007 WL 3407459, at *6 (E.D. Ky. Nov. 14, 2007),
aff’d, 332 Fed. Appx. 232 (6th Cir. 2009). In White v. Burlington
N. & Santa Fe Ry. Co., 364 F.3d 789 (6th Cir. 2004), the court
held that, to be adverse, an employment action must “constitute[] a
significant change in employment status, such as hiring, firing,
failing to promote, reassignment with significantly different
responsibilities, or a decision causing a significant change in
benefits.” Id. at 798. A plaintiff must “show that []he suffered a
materially adverse change in the terms of h[is] employment.” Id. at
797 (internal quotation marks and citation omitted). However, “[a]
mere inconvenience or an alteration of job responsibilities or a
bruised ego is not enough to constitute an adverse employment
action.” Id. (internal quotation marks and citation omitted).
Although “reassignments without salary or work hour changes do
not ordinarily constitute adverse employment decisions,” Kocsis v.
Multi-Care Mgmt., Inc., 97 F.3d 876, 885 (6th Cir. 1996), “[a]
reassignment without salary or work hour changes...may be an
adverse employment action if it constitutes a demotion evidenced
by a less distinguished title, a material loss of benefits,
significantly diminished material responsibilities, or other indices
that might be unique to a particular situation.” White, 364 F.3d at
797 (internal quotation marks and citation omitted).
19
Hunter misses the point, however. Before the Court can address pretext,
plaintiff must establish her prima facie case. Palmeri v. Goodwill Indus. of Middle
Tennessee, 2018 WL 4030571, at *11, n. 5 (M.D. Tenn. Aug. 23, 2018) (The issue
of pretext should not be conflated with the fourth element of a prima facie case,
where a plaintiff must typically show that her proposed comparators engaged in
acts of “comparable seriousness.”). Hunter does not claim that she has provided
direct evidence of discrimination.4 Rather, Hunter agrees that the McDonnellDouglas burden-shifting framework is applicable and as such she must identify
appropriate comparators. Yet, she merely asserts that she was treated differently
than similarly situated men on her team by being blamed for their mistakes and
was spoken down to. (Dkt. 27, p. 20). Under Sixth Circuit law, to establish that
she was treated differently than similarly-situated employees more is required.
Hunter must show that she and her proposed comparators were similar in all
relevant respects. Ercegovich v. Goodyear Tire & Rubber Co., 154 F.3d 344, 353
(6th Cir. 1998). Even if considered appropriate comparators in terms of having
In the view of the Court, not permitting plaintiff to work from home is a mere inconvenience,
rather than a material loss of benefits, a demotion, a less distinguished title, diminished material
responsibilities or other similar materially adverse employment action.
4
“Direct evidence of discrimination is that evidence which, if believed, requires the
conclusion that unlawful discrimination was at least a motivating factor in the employer’s
actions.” Wexler v. White’s Fine Furniture, Inc., 317 F.3d 564, 570 (6th Cir. 2003). “Direct
evidence is evidence that proves the existence of a fact without requiring any inferences.”
Rowan v. Lockheed Martin Energy Sys., Inc., 360 F.3d 544, 548 (6th Cir. 2004).
20
similar enough jobs, when a termination is disciplinary in nature, a plaintiff must
show that proposed comparators engaged in acts of “comparable seriousness.”
Wright v. Murray Guard, Inc., 455 F.3d 702, 710 (6th Cir. 2006) (quoting Clayton
v. Meijer, Inc., 281 F.3d 605, 611 (6th Cir. 2002)). To make this assessment, the
court may look to several factors, such as whether the individuals “‘have dealt with
the same supervisor, have been subject to the same standards and have engaged in
the same conduct without such differentiating or mitigating circumstances that
would distinguish their conduct or the employer’s treatment of them for it.’”
Ercegovich, 154 F.3d at 352 (quoting Mitchell v. Toledo Hosp., 964 F.2d 577, 583
(6th Cir. 1992)). However, when such factors are not relevant, the court need not
consider them. Id. Rather, to determine whether two individuals are similarly
situated regarding discipline, the court “make[s] an independent determination as
to the relevancy of a particular aspect of the plaintiff’s employment status and that
of the [proposed comparable] employee.” Id.
While Hunter says she was blamed for the mistakes of men, and presumably,
men were not blamed for the mistakes of women, she does not undertake the
required comparator analysis when discipline is involved. Specifically, she does
not identify anyone outside of her protected group who (1) made the same
mistake(s) (or was deemed to have made the same mistake(s) by Rurka or others);
(2) has a similar disciplinary history; and (3) was treated differently than she was.
21
Instead she identifies two “mistakes” by others for which she was blamed. The
first involved the loss of data in September 2014. (Dkt. 27, pp. 4-6). Hunter
maintains that she informed her boss and her team how GDGs worked but
acknowledges that she did not stay for the after-hours meeting to address the issue.
Hunter and Rurka were disciplined for this data loss, both having been found at
fault during the investigation, and a contract employee was terminated. Hunter and
Rurka each had a memo placed in their files and Rurka additionally lost part of his
bonus. Hunter has not suggested that any of the other team members withdrew
from the after-hours meeting to address the data issue; nor does she explain why
she, having not attended the extended portion of the meeting, is similarly situated
to those colleagues who received no discipline at all for the incident. Hunter also
does not indicate whether her disciplinary history is the same as, similar to or
different from any of her male colleagues who were not disciplined because of the
data loss, such that differential treatment might be appropriate. See e.g., Williams
v. Oakwood Healthcare, Inc., 2018 WL 4206975, at *9 (E.D. Mich. Sept. 4, 2018)
(Although plaintiff and the comparator engaged in similar conduct, plaintiff had
previously been suspended and the comparator had no disciplinary history.). Thus,
on this record the Court cannot say that Hunter’s co-workers who were not
disciplined for the data loss are appropriate comparators. As to the second mistake
by a male co-worker for which Hunter says she was blamed, she similalrly offers
22
no evidence suggesting that Mr. Diaz was either (1) not disciplined and therefore
treated differently; or (2) Mr. Diaz had a similar disciplinary history as Hunter at
the time of this incident. Thus, Mr. Diaz is also not an appropriate comparator,
based on the record before the Court. Hunter does not appear to contend that any
of the other disciplinary incidents in her record were either based on mistakes
made by male colleagues for which she was blamed or that any appropriate
comparator made similar mistakes and was treated differently.
Consequently, even viewing the evidence in the light most favorable to
Hunter, she has not come forward with evidence creating a genuine issue of
material fact that she was treated differently than any similarly situated coworkers. For this reason, GM is entitled to summary judgment on Hunter’s Title
VII and Elliott-Larsen discrimination/wrongful termination claims. Given that
Hunter did not establish a prima facie case of discrimination, the Court need not
address the parties’ arguments regarding GM’s claim that it had legitimate nondiscriminatory reasons for terminating her or Hunter’s arguments that the reasons
offered were pretextual.
C.
Title VII and Elliott-Larsen Hostile Work Environment
Under the hostile work environment theory, in order to survive summary
judgment, Hunter must establish that: (1) she is a member of a protected class; (2)
she was subjected to harassment, either through words or actions, based on sex; (3)
23
the harassment had the effect of unreasonably interfering with her work
performance and creating an objectively intimidating, hostile or offensive work
environment; and (4) there exists some basis for liability on the part of the
employer. Grace v. Uscar, 521 F.3d 655, 678 (6th Cir. 2008) (citing Fleenor v.
Hewitt Soap Co., 81 F.3d 48, 49 (6th Cir. 1996)). “The standards under
Michigan’s Elliott-Larsen Act are similar, except that an employer may be held
liable for the creation of a hostile work environment only if it ‘failed to take
prompt and adequate remedial action after having been reasonably put on notice of
the harassment.’” Garner v. Gerber Collision & Glass, 2017 WL 3642192, at *4
(E.D. Mich. Aug. 24, 2017) (quoting Mathews v. Massage Green LLC, 2016 WL
1242354, at *6 n. 4 (E.D. Mich. Mar. 30, 2016)) (quoting Chambers v. Trettco,
Inc., 463 Mich. 297 (2000)). Moreover, “[t]he harassment must meet both an
objective and a subjective test, ‘in other words, the conduct must be so severe or
pervasive as to constitute a hostile or abusive working environment both to a
reasonable person and the actual victim.’” Id. (quoting Randolph v. Ohio Dep’t of
Youth Svcs., 453 F.3d 724, 733 (6th Cir. 2006)). Factors to consider in
determining whether a hostile work environment exists include, “the frequency of
the discriminatory conduct; its severity; whether it is physically threatening or
humiliating, or a mere offensive utterance; and whether it unreasonably interferes
with an employee’s work performance.’” Id. (quoting Harris v. Forklift Sys., Inc.,
24
510 U.S. 17, 23 (1993) (emphasis omitted)). In addition, “courts must determine
whether the ‘workplace is permeated with ‘discriminatory intimidation, ridicule
and insult’ that is ‘sufficiently severe or pervasive to alter the conditions of the
victim’s employment and create an abusive work environment.’” Id. at 678-679
(quoting Harris, at 21 (internal citations omitted)). Failure to establish a prima
facie case is grounds to grant a defendant summary judgment. Street v. J.C.
Bradford & Co., 886 F.2d 1472, 1478 (6th Cir. 1989). Once a hostile work
environment is established, an employee alleging sexual harassment by a coworker
must still establish that the employer is liable because it knew or should have
known of the harassment yet failed to take prompt and appropriate corrective
action. EEOC v. Harbert- Yeargin, Inc., 266 F.3d 498, 518 (6th Cir. 2001).
GM argues that Hunter’s harassment claim fails because her allegations are
not actionable and there is no evidence that the actions Hunter complains of now
were based on her gender. She claims Rurka teased her about having a crush on
Kahn. But, “simple teasing, … offhand comments, and isolated incidents (unless
extremely serious)” do not create a hostile work environment. Johnson v.
Donahoe, 642 Fed. Appx. 599, 612 (6th Cir. 2016); see also Coles v. Dearborn
Midwest Co., 2015 U.S. Dist. LEXIS 42854, at *26-32 (E.D. Mich. Mar. 9, 2015)
(dismissing plaintiff’s harassment claim where offensive statements made on
several occasions were not severe or pervasive enough to constitute a hostile work
25
environment). The same is true of Rurka’s alleged teasing. GM also contends that
Hunter’s allegation that Rurka spoke to her about her hygiene is not evidence of
sex harassment. Not only was this one-time conversation neither severe nor
pervasive, there is no evidence that Rurka spoke to her because she was a woman.
Rather, the evidence establishes that Rurka spoke to Hunter because a co-worker
complained and Rurka followed Ms. Bruner’s instruction to speak to Hunter.
Hunter contends, in contrast, that she was subjected to a hostile work
environment daily. While she acknowledges that not being allowed to work from
home standing alone may not be so severe to support the claim, Hunter argues that
taken in the totality of the circumstances, with men being called “rock stars,”
women being ignored, talked down to, blamed for other’s mistakes and excluded
from meetings, not being allowed to work from home is just another in a long list
of examples of how Hunter was subjected to a hostile work environment.
Moreover, Hunter says that the discrimination and harassment actively interfered
with her ability to do her job when her supervisor ignored her or failed to take her
suggestions seriously. Ms. Bruce-Fuller testified at deposition that she and Hunter
were excluded from meetings and prevented from doing their jobs. (Dkt. 27-4, Ex.
C, Deposition of Melissa Bruce-Fuller, pp. 31-32). She also testified that Rurka’s
treatment interfered with her ability to do her job. (Dkt. 27-4, Ex. C, p. 33).
Hunter also points to the September 24, 2014 tape deletion, when Rurka did not
26
listen to her, ordered the deletion of mainframe files, and then blamed Hunter
because he did not know how to do his job. According to Hunter, the
discrimination was so obvious co-workers felt obligated to go to Human Resources
and Rurka to complain on her behalf. Hunter says that being ignored and made a
scapegoat for male co-worker’s mistakes is evidence of a hostile work
environment.
The undersigned concludes that the alleged harassment described by Hunter
was not sufficiently severe or pervasive. Hunter’s belief that the harassment she
suffered was because of her sex does not create an issue of fact. While it may
satisfy the subjective prong of the hostile work environment test under Harris v.
Forklift Systems, it does not, in and of itself, create a material issue of fact because
Hunter must also satisfy the objective prong of that test, which requires an
environment sufficiently severe or pervasive to create the type of environment that
a reasonable person would find it to be hostile or abusive. While there is no magic
number of incidents that must occur within a certain period, when comparing the
conduct about which Hunter complains to the conduct alleged in cases within this
Circuit where a hostile work environment was found to exist, Hunter’s claim does
not favorably compare.
For example, in Clay v. United Parcel Serv., Inc., 501 F.3d 695, 707 (6th
Cir. 2007), the Sixth Circuit concluded that 15 incidents over a two-year period
27
was not sufficiently pervasive. More particularly, the plaintiff alleged that her
supervisors had prevented her from applying and obtaining certain job positions;
adversely transferred her to an undesirable shift; assigned her job duties that she
was not physically capable of performing and not qualified for, requiring very
heavy lifting, ultimately leading to a groin injury; criticized her for eating during
work, for leaving her work station to get a cup of coffee, for using the bathroom at
the end of her break, and for the size of her earrings; assigned her tasks outside of
her job description; falsely accused her of taking boxes while on company time;
while she was on leave for the groin injury, someone cut the lock on her desk,
removed supplies, and placed them in a box, although a white co-worker was able
to store his supplies in a locked desk drawer; accused her, in front of other
employees, of standing around on the job because she ate a doughnut while waiting
for a coworker who asked for her assistance; criticized her for the route she took,
but did not chastise her white co-workers who took the same route and had her
timed to record how long it took her to get to her work station. Id. The incidents
recounted in Clay were far more severe and pervasive than those identified by
Hunter. See also Clay, 501 F.3d at 708, comparing Jordan v. City of Cleveland,
464 F.3d 584, 598 (6th Cir. 2006) (conduct was sufficiently severe or pervasive
when for over ten years plaintiff was exposed to racial slurs, demeaning jokes, and
inflammatory graffiti, experienced “isolation and segregation” and “disparate
28
discipline and additional duties.”) with Burnett v. Tyco Corp., 203 F.3d 980, 98485 (6th Cir.), cert. denied, 531 U.S. 928 (2000) (three sexually offensive remarks
made by the plaintiff’s supervisor at the beginning and end of a six-month period
did not constitute pervasive discriminatory conduct). In contrast, the conduct
complained of by Hunter, viewed in the light most favorable to her, (male coworkers being called rock stars, being ignored by her boss, excluded from
meetings, not being permitted to work from home, and being blamed twice for two
mistakes by male co-workers over a one-year period) is not sufficiently severe.
Furthermore, there is little evidence documenting the frequency and
pervasiveness of the conduct. The court in E.E.O.C. v. Spitzer Mngt, Inc., 866
F.Supp.2d 851 (N.D. Ohio 2012) explained what is required for pervasiveness. In
Spitzer, Alawy Alawi complained that he was subject to a hostile work
environment based on his national origin. He asserted that he was subjected to
numerous comments from his general manager who called him “Ali Baba.” Id. at
856. There was no question, in the mind of the court, that the slang term was used
based on Mr. Alawi’s national origin. Id. However, the court concluded that the
EEOC and Mr. Alawi failed to come forward with sufficient evidence establishing
that the offending conduct was sufficiently frequent to meet the pervasiveness
standard. Id. at 857. Rather, Mr. Alawi only offered vague testimony regarding
29
the incidents and their frequency. Id. The court found this evidence insufficient to
create a fact issue. 5
In this case, while Hunter says she was subjected to a hostile work
environment on a “daily basis,” she does not present much evidence regarding the
frequency of the complained of conduct. Ms. Bruce-Miller testified that Rurka
made inappropriate comments about the attractiveness of women on an “ongoing”
basis. (Dkt. 27-4, p. 18). She also testified that Rurka did not listen to Hunter but
could not think of any examples. (Dkt. 27-4, p. 29). Bruce-Miller also testified
that she and Hunter were excluded from meetings but could provide no examples.
Id. at 31. She said he would “talk down” to her or Hunter as least once per week.
Id. She could not give any information about the frequency of Rurka refusing to
accept an answer from a woman employee or walking away while a woman
employee was talking. Id. at 32. Hunter also cites the tape deletion incident as
evidence that Rurka did not listen to her, and that she was blamed for the mistakes
5
In the context of gender discrimination, “non-sexual conduct may be illegally sex-based
where it evinces anti-female animus,” but even in the somewhat rare circumstances where that
occurs the conduct must be severe and pervasive. Graves v. Dayton Gastroenterology Inc., 657
Fed. Appx. 485, 489 (6th Cir. 2016) (Court found that plaintiff’s receipt of two sexually-oriented
text messages from a co-worker, followed by the co-worker treating her rudely after she reported
the texts: allegedly addressing her curtly, refusing to respond to her questions about work
assignments, refusing to relieve her from her duties despite regularly relieving other employees,
giving her the most difficult assignments, denying her lunch breaks on several occasions,
throwing a chart at her, failing to provide her with updated work schedules, and denying her
requests for days off was not based on her gender, but even if it was, it was not sufficiently
pervasive).
30
of others. (Dkt. 27, p. 17). While Hunter says she was blamed for others’ mistakes
on several occasions, she cites only two incidents, as discussed above in detail,
approximately one year apart. In the view of the Court, Hunter has not proffered
sufficient evidence from which a jury could reasonably conclude that she was
subjected to a pervasive hostile work environment on basis of sex.
Based on the forgoing, the Court concludes that the conduct alleged does not
satisfy the objective prong of the hostile work environment standard on either
severity or pervasiveness and thus, summary judgment in favor of GM on Hunter’s
hostile work environment claim is warranted.
D.
Retaliation 6
Title VII prohibits an employer from retaliating against an employee
“because he has made a charge” of discrimination. Charles v. MedTest DX, Inc.,
2018 WL 3997673, at *5 (E.D. Mich. Aug. 21, 2018) (citing 42 U.S.C. § 2000e3(a)). The Elliott-Larsen statute includes a similar provision, see Mich. Comp.
Laws § 37.2701(a), which is analyzed under the same standard. Charles, at *5
(citing Kuhn v. Washtenaw Cty., 709 F.3d 612, 627 (6th Cir. 2013)). A retaliation
claim can be established “either by introducing direct evidence of retaliation or by
proffering circumstantial evidence that would support an inference of retaliation.”
6
Hunter’s complaint only contains a claim for retaliation under Elliott-Larsen, not Title
VII.
31
Imwalle v. Reliance Med. Prods., Inc., 515 F.3d 531, 538 (6th Cir. 2008). “Direct
evidence is that evidence which, if believed, requires no inferences to conclude
that unlawful retaliation was a motivating factor in the employer’s action.” Id. at
543-44 (citing Abbott v. Crown Motor Co., 348 F.3d 537, 542 (6th Cir. 2003);
Christopher v. Stouder Mem’l Hosp., 936 F.2d 870, 879 (6th Cir. 1991)). Where,
as here, the Hunter does not have direct evidence of retaliation and instead relies
only on circumstantial evidence, the McDonnell Douglas framework applies.
Jordan, 490 Fed. Appx. at 742. To establish a prima facie case of retaliation
Hunter must establish that: (1) she engaged in a protected activity under Title VII;
(2) her “exercise of such protected activity was known by the defendant; (3)
thereafter, the defendant took an action that was ‘materially adverse’ to the
plaintiff; and (4) a causal connection existed between the protected activity and the
materially adverse action.” Rogers v. Henry Ford Health Sys., 2018 WL 3629057,
at *8 (6th Cir. July 31, 2018) (quoting Laster v. City of Kalamazoo, 746 F.3d 714,
730 (6th Cir. 2014)).
GM contends that Hunter cannot establish her prima facie case because there
is no causal connection between her complaint during GM’s Awareline
investigation and her termination. Hunter’s termination in February 2016 occurred
four months after her October 2015 interview with Stawiasz. GM maintains that
this temporal remoteness is not sufficient to create a causal connection. See Haji v.
32
Columbus City Schs., 621 Fed. Appx. 309, 313 (6th Cir. 2015) (quoting Cooper v.
City of N. Olmstead, 795 F.2d 1265, 1272 (6th Cir. 1986) (“The mere fact that
[plaintiff was discharged four months after filing a discrimination claim is
insufficient to support an interference [sic] of retaliation.”). GM also points out
that, although Rurka recommended termination, Bruner (a woman) made the
decision to terminate Hunter and Ridgell (a woman) reviewed and approved the
termination decision. According to GM, there is no evidence that Bruner and
Ridgell had any discriminatory motives.
Hunter maintains that she engaged in the protected activity of meeting with
an investigator with Human Resources and complaining of gender discrimination.
GM and Rurka knew Hunter made these complaints and she says she was
terminated because of the protected activity three months later. According to
Hunter, she was the highest performing member of her team. (Dkt. 27-15, Ex. N).
In addition, Hunter contends that her performance could not possibly have been the
real reason for her termination because she had no performance issues. Id. Hunter
also points out that on October 31, 2015, Rurka told the investigator that Hunter
was a good employee who knew her job; yet, four months later, she was
terminated.
In some instances, the temporal proximity between protected conduct and
the adverse action is “enough to constitute evidence of a causal connection for the
33
purposes of satisfying a prima facie case of retaliation” but only if “an adverse...
action occurs very close in time after” the defendant learns of the protected
activity. Shoults v. White, 2018 WL 4761659, at *3 (W.D. Ky. Oct. 2, 2018)
(quoting Mickey v. Zeidler Tool & Die Co., 516 F.3d 516, 525 (6th Cir. 2008)).
The Sixth Circuit has held that a temporal proximity of “two to five months”
between protected conduct and adverse action is insufficient to satisfy the
causation element on its own. Shoults, at *3 (citing Hafford v. Seidner, 183 F.3d
506, 515 (6th Cir. 1999)). “But where some time elapses between when the
employer learns of a protected activity and the subsequent adverse employment
action, the employee must couple temporal proximity with other evidence of
retaliatory conduct to establish causality.” Garrett v. Mercedes-Benz Fin. Servs.
USA LLC, 2018 WL 4358867, at *13 (E.D. Mich. Sept. 13, 2018) (quoting Mickey
v. Zeidler Tool & Die Co., 516 F.3d 516, 525 (6th Cir. 2008)). In Garrett, the
plaintiff was able to survive summary judgment despite a sixth month gap between
the protected conduct and the adverse employment actions because she coupled
temporal proximity evidence with other evidence of retaliatory conduct. For
example, the plaintiff in Garrett showed that she had never received any discipline
or warning before the complaint and had previously had excellent performance
appraisals for 16 years before the complaint was made. The plaintiff’s problems
did not begin until after she made her complaint. Indeed, in Garrett, all the
34
problems at issue occurred in the two years after the plaintiff first complained of
gender discrimination, in the one year after the plaintiff initially complained of
retaliation, and in the seven months after the plaintiff complained of retaliation a
second time, which the court found buttressed the retaliation claim.
Here, Hunter does not offer evidence from which a reasonable jury could
conclude that her termination was the result of retaliation. The record here
evidences performance issues long before Hunter complained of discrimination,
and while Rurka recommended dismissal, Bruner, a woman, made the decision to
terminate Hunter and Ridgell, a woman, reviewed and approved the termination
decision. Further, though plaintiff refers to Rurka as the “Pied Piper” of discipline,
there is no reason to believe that Rurka’s actions were the cat’s paw in causing
Hunter’s termination, as the evidence shows that Bruner, who notably had
personally participated in the investigation into the September 2014 tape deletion
incident, desired plaintiff’s termination well before it actually occurred and Rurka
and Andrzejewski were the ones who had successfully lobbied for her retention. 7
In addition, Hunter does not contend that the mistakes she made in November 2015
or February 2016, after the last chance agreement was implemented, were not
7
“In the employment discrimination context, ‘cat’s paw’ refers to a situation in which a
biased subordinate, who lacks decisionmaking power, uses the formal decisionmaker as a dupe
in a deliberate scheme to trigger a discriminatory employment action.” Marshall v. The
Rawlings Co. LLC, 854 F.3d 368 (6th Cir. 2017) (citations omitted).
35
based in fact, or that she was blamed for the actions of others on these occasions.
The foregoing evidence undercuts, rather than supports, Hunter’s claim of
retaliation. Given that Hunter appears to be relying solely on the temporal
proximity of her termination to her complaint, and that temporal proximity is
insufficient to establish causation, her retaliation claim fails.
For the reasons set forth above, the Court GRANTS defendant’s motion for
summary judgment of plaintiff’s sex-based claims. As indicated above, plaintiff
has conceded her race-based claims and thus, they are dismissed. See note 1.
IT IS SO ORDERED.
Date: March 31, 2019
s/Stephanie Dawkins Davis
Stephanie Dawkins Davis
United States Magistrate Judge
CERTIFICATE OF SERVICE
I certify that on March 31, 2019, I electronically filed the foregoing paper
with the Clerk of the Court using the ECF system, which will send electronic
notification to all counsel of record.
s/Tammy Hallwood
Case Manager
(810) 341-7887
tammy_hallwood@mied.uscourts.gov
36
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