Stanton v. Jarvis Chrstn Coll ( 2022 )


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  • Case: 20-40581     Document: 00516234833         Page: 1     Date Filed: 03/11/2022
    United States Court of Appeals
    for the Fifth Circuit                         United States Court of Appeals
    Fifth Circuit
    FILED
    March 11, 2022
    No. 20-40581
    Lyle W. Cayce
    Clerk
    Akia Stanton,
    Plaintiff—Appellee,
    versus
    Jarvis Christian College,
    Defendant—Appellant.
    Appeal from the United States District Court
    for the Eastern District of Texas
    USDC No. 6:18-CV-479
    Before Owen, Chief Judge, and Clement and Higginson, Circuit
    Judges.
    Per Curiam:*
    Akia Stanton was the head women’s basketball coach at Jarvis
    Christian College until the college fired her in June of 2018. She sued, and
    her Family and Medical Leave Act (FMLA) claims went to a jury, which
    found in her favor and awarded her $12,500 in compensatory damages. After
    *
    Pursuant to 5th Circuit Rule 47.5, the court has determined that this
    opinion should not be published and is not precedent except under the limited
    circumstances set forth in 5th Circuit Rule 47.5.4.
    Case: 20-40581       Document: 00516234833             Page: 2      Date Filed: 03/11/2022
    No. 20-40581
    the jury returned its verdict, the college filed a post-trial motion for judgment
    as a matter of law under Federal Rule of Civil Procedure 50(b) or,
    alternatively, for a new trial under Rule 59. The district court denied the
    motion and the college appealed, challenging the sufficiency of Stanton’s
    evidence and several jury instructions.           For the following reasons, we
    AFFIRM.
    I.
    Stanton’s FMLA claims derive from events spanning a few weeks in
    the summer of 2018.1 Stanton, like other employees, was required to help
    with the college’s student recruitment efforts during the summer. Frustrated
    with the staff’s (lack of) productivity on that front, the President of Jarvis
    called an all-hands meeting at which he threatened to terminate employees
    for absenteeism. This coincided with a worsening of Stanton’s anxiety and
    depression; she was suffering panic attacks, chest and stomach pains, and had
    bouts of uncontrollable crying at work. Stanton scheduled an appointment
    with a nurse practitioner who, after evaluating her for anxiety and depression,
    referred her for psychiatric treatment, prescribed medication, and wrote a
    note on her behalf excusing her from work from June 8 to June 25.
    Jarvis’s Director of Human Resources was not satisfied with the note,
    so she emailed Stanton an FMLA medical certification form for the provider
    to complete.      Stanton sent it to the nurse practitioner promptly, who
    completed it and faxed it back to Jarvis later the same day. On the form, the
    nurse indicated Stanton’s conditions as “anxiety” and “depression,” that
    she had been prescribed medication, and that she was referred to “psych,”
    1
    Stanton also sued under Title VII, 42 U.S.C. § 2000e-2(a), and the common law.
    The district court dismissed or entered summary judgment for Jarvis on those counts, and
    Stanton did not appeal.
    2
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    which would determine the nature and duration of future treatments. The
    HR Director was still not satisfied, though. The nurse practitioner had
    indicated that the answers to certain questions were “unknown” and would
    need to be determined by a psychiatrist. On June 21, the HR Director told
    Stanton that, within seven days, the nurse practitioner needed to provide
    specifics “in the areas where she answered the questions by stating
    ‘unknown,’ ‘as determined by,’ and/or ‘to be determined by.’” On the
    seventh day, Stanton emailed back that she had “notified” her doctor of “the
    7 day request,” and that they were working together to “ensure [HR would]
    receive the proper information.”
    In the meantime, a security video taken on June 15 had recorded
    Stanton removing various items from her office and loading them into her
    car. The video showed Stanton taking chairs, a couch, athletic and teaching
    equipment, and various boxes. As the district court summarized the trial
    evidence, the ownership of the items was “hotly disputed” at trial. Jarvis’s
    athletic director testified that at least some of the items belonged to the
    college. Stanton testified that everything she removed was her own property.
    “Jarvis reported the incident to law enforcement on June 19, but testimony
    at trial established that the case was subsequently closed due to lack of
    prosecutable evidence.”
    On June 29, the day after Stanton responded that she was working to
    provide a corrected certification form, Jarvis denied Stanton’s FMLA leave
    and terminated her. The college’s theory of the case was that Stanton had
    already secured a coaching position at another college out of state, and that
    her FMLA leave was a sham. Stanton argued that the college fired her for
    exercising her right to FMLA leave. The jury found for Stanton and awarded
    her $12,500 in damages.
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    II.
    We first consider the sufficiency of the evidence. Ordinarily, we
    review sufficiency de novo. Duvall v. Dallas Cnty., 
    631 F.3d 203
    , 206 (5th
    Cir. 2011) (per curiam). But if the defendant fails to move for judgment as a
    matter of law “before the case is submitted to the jury,” our review is for
    plain error. Fed. R. Civ. P. 50(a)(2); McKenzie v. Lee, 
    259 F.3d 372
    , 374
    (5th Cir. 2001) (per curiam). Here, the district court found that Jarvis had
    failed to do so.
    We recognize certain exceptions to the strict requirements of Rule 50
    when the “purposes of the rule are satisfied.” Scottish Heritable Tr., PLC v.
    Peat Marwick Main & Co., 
    81 F.3d 606
    , 610 (5th Cir. 1996).
    As we have often recited, the two basic purposes of this rule are
    to enable the trial court to re-examine the question of
    evidentiary insufficiency as a matter of law if the jury returns a
    verdict contrary to the movant, and to alert the opposing party
    to the insufficiency before the case is submitted to the jury.
    
    Id.
     (internal quotation and citation omitted).
    For instance, we have recognized that an “objection to proposed jury
    instructions on grounds pertaining to the sufficiency of evidence issues it
    seeks to appeal may satisfy these purposes.” 
    Id.
     (citations omitted). And
    although we are dubious of Jarvis’s suggestion that it raised a Rule 50(a)
    motion per se, the record certainly reflects its objection on those grounds.
    Even so, the district court’s finding that Jarvis deprived Stanton of “an
    opportunity to cure any claimed insufficiency before the case was submitted
    to the jury” might have been significant.
    Yet, we have also said that a nonmoving party’s “fail[ure] to raise this
    forfeiture claim in opposition to the Rule 50(b) motion . . . precludes raising
    4
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    the forfeiture claim on appeal.” Arsement v. Spinnaker Expl. Co., 
    400 F.3d 238
    , 247 (5th Cir. 2005) (citing Thompson & Wallace of Memphis, Inc. v.
    Falconwood Corp., 
    100 F.3d 429
    , 435 (5th Cir. 1996); Horton v. Bank One,
    N.A., 
    387 F.3d 426
    , 435 (5th Cir. 2004)). Stanton did not object; indeed, in
    her opposition to Jarvis’s Rule 50(b) motion she expressed her understanding
    that Jarvis had “orally moved the Court for judgment as a matter of law
    pursuant to Fed. R. Civ. P. 50(a)(2), which the Court denied.”
    Rather than rush headlong into this sui generis exception-to-an-
    exception, we merely assume without deciding that Jarvis preserved its
    challenge and proceed de novo. Accordingly, judgment as a matter of law is
    appropriate only if “a reasonable jury would not have a legally sufficient
    evidentiary basis to find for the party on that issue.” Fed. R. Civ. P.
    50(a)(1); see WickFire, L.L.C. v. Woodruff, 
    989 F.3d 343
    , 352 (5th Cir.
    2021), as revised (Mar. 2, 2021). We “draw all reasonable inferences and
    resolve all credibility determinations” in Stanton’s favor. Cowart v. Erwin,
    
    837 F.3d 444
    , 450 (5th Cir. 2016).
    Jarvis renews the arguments it made to the district court that Stanton
    failed to present evidence that she: (1) was covered by the FMLA, (2) cured
    deficiencies in her medical certification form, or (3) suffered harm from any
    alleged violation. Like the district court, we find that the jury had “a legally
    sufficient evidentiary basis” to find for Stanton on these issues. Fed. R.
    Civ. P. 50(a)(1).
    The crux of Jarvis’s argument is that the nurse practitioner’s referral
    of Stanton for further psychiatric evaluation rendered the certification
    inadequate. But Jarvis’s cited authority involves medical professionals who
    said the opposite of the nurse practitioner here. In Boyd v. State Farm
    Insurance Companies, physicians testified that the plaintiff “was not
    incapacitated within the meaning of the Act.” 
    158 F.3d 326
    , 331 (5th Cir.
    5
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    1998). And in Comeaux-Bisor v. YMCA of Greater Houston, the plaintiff’s
    medical certification form inadequately said that she “was able to work and
    would require only routine prenatal care” during her pregnancy. 290 F.
    App’x 722, 725 (5th Cir. 2008) (per curiam). Stanton’s nurse certified and
    testified to the opposite.
    Contrary to Jarvis’s suggestion that Stanton did not suffer “a serious
    health condition that makes the employee unable to perform the functions of
    [her] position,” 
    29 U.S.C. § 2612
    (a)(1)(D), the district court catalogued
    “substantial evidence” adduced at trial and ignored by Jarvis. The nurse
    practitioner who evaluated Stanton and certified her medical form wrote that
    Stanton’s anxiety and depression could cause “episodic flare-ups
    periodically preventing the employee from performing [her] job functions,”
    that she prescribed medication, and that Stanton would need time off for a
    psychiatric appointment. The nurse also testified that Stanton presented at
    her evaluation with symptoms consistent with those diagnoses, and that she
    would not have certified the form otherwise. Moreover, Stanton herself
    testified that her anxiety and depression had been worsening at work, that she
    was suffering chest and stomach pains, that she had been crying at work, and
    that she sought medical treatment as a result.
    Similarly, we see no obvious deficiency in the form here. See Urban v.
    Dolgencorp, Inc., 
    393 F.3d 572
    , 574 (5th Cir. 2004) (citing 
    29 U.S.C. § 2613
    (b)) (listing requirements), clarified on denial of reh’g, 
    398 F.3d 699
    (5th Cir. 2005). The uncertain prognosis was the “probable duration of the
    condition,” 
    29 U.S.C. § 2613
    (b)(2), but even that is misleading because the
    nurse practitioner informed Jarvis how long Stanton would need to be absent
    from work. Moreover, we agree with the district court’s assessment that
    “the evidence at trial showed that Stanton was attempting to cure any
    problems when Jarvis denied her leave request and fired her.” See 
    29 C.F.R. § 825.305
    (c) (“The employer must provide the employee with seven
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    calendar days (unless not practicable under the particular circumstances
    despite the employee’s diligent good faith efforts) to cure any such deficiency.”
    (emphasis added)). “We interpret the FMLA as a statute that requires
    cooperation from the employer and employee.              After all, the ultimate
    underlying purpose of the FMLA is to accommodate a particular medical
    circumstance.” Mauder v. Metro. Transit Auth. of Harris Cnty., 
    446 F.3d 574
    ,
    582 (5th Cir. 2006) (footnote omitted). The jury had an adequate basis to
    find that Jarvis failed to live up to its end of that bargain.
    Nor are we convinced by Jarvis’s suggestion that Stanton suffered no
    harm. We have long recognized termination as harm in retaliation cases, e.g.,
    Ion v. Chevron USA, Inc., 
    731 F.3d 379
    , 391, 393 (5th Cir. 2013), and at least
    two sister circuits have “recognized that employees can show that an
    employer interfered with their attempts to use FMLA leave by firing them,”
    Perkins v. Child Care Assocs., 751 F. App’x 469, 476 (5th Cir. 2018) (per
    curiam) (citing Erdman v. Nationwide Ins. Co., 
    582 F.3d 500
    , 509 (3d Cir.
    2009)); see Lovland v. Emps. Mut. Cas. Co., 
    674 F.3d 806
    , 811 (8th Cir. 2012)
    (“[W]e have limited ‘interference’ claims . . . to situations where the
    employee proves that the employer denied a benefit to which she was entitled
    under the FMLA, which include terminating an employee while on FMLA
    leave.” (citation omitted)). This is consistent with Stanton’s claim that she
    would have returned to work had she known Jarvis would deny her FMLA
    claim. On these facts, the jury had sufficient evidence to find for Stanton on
    her interference and retaliation claims.
    III.
    Next, we address Jarvis’s argument that the district court declined to
    give two necessary jury instructions. Jarvis requested one instruction based
    on the regulation saying that Jarvis was entitled to deny Stanton’s FMLA
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    leave if she did not cure her medical certification. And it requested another
    informing the jury that it must find harm for the interference claim.
    When a district court refuses to issue a requested jury instruction, we
    review for abuse of discretion. Taylor-Travis v. Jackson State Univ., 
    984 F.3d 1107
    , 1113 (5th Cir. 2021) (citations omitted).
    Recognizing that district courts have substantial latitude in
    crafting jury instructions, the district court’s refusal to give a
    requested jury instruction constitutes reversible error only if
    the [requested] instruction 1) was a substantially correct
    statement of law, 2) was not substantially covered in the charge
    as a whole, and 3) concerned an important point in the trial
    such that the failure to instruct the jury on the issue seriously
    impaired the [party’s] ability to present a given [claim].
    Kanida v. Gulf Coast Med. Pers. LP, 
    363 F.3d 568
    , 578 (5th Cir. 2004)
    (internal quotation and citation omitted) (second and third brackets in
    original).
    Jarvis’s argument falls on prong two. At the charge conference, the
    district court sought input from both parties to properly and concisely guide
    the jury. The court found that the “pattern instruction I think very nicely
    simplifies everything, and the reason why I don’t want to include a bunch of
    information on the regulations is because we would lose that simplicity. I
    think that is why the pattern charge doesn’t include that either.” The court
    was even-handed in this regard, declining to add some of Stanton’s requested
    instructions for the same reason. Reviewing the charge as a whole, the
    district court correctly instructed the jury that Stanton bore the burden of
    proving that she had a “serious health condition,” and that Jarvis “interfered
    with, restrained, or denied” her entitlements under the FMLA. That charge
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    “substantially covered” the correct legal standard, including Jarvis’s
    concerns about Stanton’s burden. See 
    id.
    IV.
    Finally, we turn to a more vexing question: the standard of causation
    in FMLA retaliation cases. In Richardson v. Monitronics International, Inc., we
    held that the mixed-motive framework applies in “appropriate cases”—
    namely, those in which there is evidence that both permissible and
    impermissible motives played a part in the challenged employment decision.
    
    434 F.3d 327
    , 332–33 (5th Cir. 2005); see also Adams v. Mem’l Hermann, 
    973 F.3d 343
    , 353–54 (5th Cir. 2020). Jarvis argues that two Supreme Court
    decisions require us to reconsider Richardson and hold that FMLA plaintiffs
    prosecuting retaliation claims must establish “but-for” causation.
    In Gross v. FBL Financial Services, the Supreme Court interpreted the
    ADEA’s private-sector provision, which makes it unlawful for an employer
    “to fail or refuse to hire or to discharge any individual or otherwise
    discriminate against any individual with respect to his compensation, terms,
    conditions, or privileges of employment, because of such individual’s age.”
    
    557 U.S. 167
    , 176 (2009) (quoting 
    29 U.S.C. § 623
    (a)(1)).          The Court
    interpreted § 623(a)(1)’s “because of” language to mean that age must have
    been “the ‘reason’ that the employer decided to act.” Id. The implication,
    it concluded, was that an ADEA plaintiff bringing a claim under § 623(a)(1)
    must prove that age was the “but-for” cause of the employer’s adverse
    decision. Id. at 176–77.
    Then, in University of Texas Southwestern Medical Center. v. Nassar,
    the Supreme Court interpreted one of Title VII’s antiretaliation provisions,
    which provides, inter alia: “It shall be an unlawful employment practice for
    an employer to discriminate against any of his employees . . . because he has
    opposed any practice made an unlawful employment practice by this
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    subchapter . . . .” 
    570 U.S. 338
    , 352 (2013) (quoting 42 U.S.C. § 2000e-3(a))
    (emphasis added). Against the backdrop of the default rule in tort cases,
    which provides that “but-for” causation applies absent an indication to the
    contrary in the statute, the Court compared § 2000e-3(a) to § 623(a)(1)—
    the ADEA provision considered in Gross. Id. It determined that there were
    no meaningful textual differences between the two, relying heavily on the fact
    that, like § 623(a)(1) of the ADEA, § 2000e-3(a) of Title VII includes the
    word “because,” which signals “but-for” causation. Id. Accordingly, it held
    that Title VII plaintiffs bringing retaliation claims under § 2000e-3(a) must
    show that “the unlawful retaliation would not have occurred in the absence
    of the alleged wrongful action or actions of the employer.” Id. at 360.
    We historically have declined to address the impact of Gross and
    Nassar on our Richardson mixed-motive holding. In Ion, for example, we
    expressly declined to do so because “the parties briefed, argued, and [did not]
    contest resolution of [the] case under the mixed-motive rubric.” 731 F.3d at
    390. Thus, we did not “decide whether Nassar’s analytical approach applies
    to FMLA-retaliation claims and, if so, whether it requires a plaintiff to prove
    but-for causation.” Id. Similarly, in Harrelson v. Lufkin Industries, “the
    mixed-motive argument [was] not at issue” because the parties did not argue
    “that the court should apply the but-for standard articulated in [Nassar].”
    614 F. App’x 761, 763 n.3 (5th Cir. 2015) (per curiam). Once again, we said
    that “we need not address Nassar’s effect, if any, on FMLA retaliation
    claims.” Id.
    In Castay v. Ochsner Clinic Foundation, that posture altered when an
    employer did argue for extending Nassar to the FMLA retaliation framework.
    604 F. App’x 355, 356 n.2 (5th Cir. 2015) (per curiam). Even so, “we
    conclude[d] that th[e] case d[id] not turn on this distinction and le[ft] the
    determination of Nassar’s potential applicability to FMLA retaliation claims
    to another case.” Id.
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    The following year we noted again that “[n]either this Court, nor the
    Supreme Court, has decided whether the heightened ‘but for’ causation
    standard required for Title VII retaliation claims applies with equal force to
    FMLA retaliation claims.” Wheat v. Fla. Par. Juv. Just. Comm’n, 
    811 F.3d 702
    , 706 (5th Cir. 2016).     But we found the question to be “largely
    immaterial” because the case turned on a different question. 
    Id.
     Similarly,
    in Trautman v. Time Warner Cable, we found that “even applying the mixed-
    motive framework,” the plaintiff could not “establish that her FMLA-
    protected leave was a motivating factor” in her employer’s decision to fire
    her. 756 F. App’x 421, 428 n.5 (5th Cir. 2018) (per curiam). Once again, we
    declined to consider “whether the mixed-motive framework remains a viable
    method to establish FMLA-retaliation claims” after Nassar and Gross. 
    Id.
    Our strongest and most recent statement casting doubt on
    Richardson’s continued viability came last year in Adams. There, we asserted
    in dicta that “Richardon’s viability (and, along with it, the Department of
    Labor’s regulatory interpretation) are dubious in light of the Supreme
    Court’s more recent decisions in Nassar and Gross[.]” Adams, 973 F.3d at
    353. Even still, we did not “confront th[e] question directly”; we determined
    that “Richardson does not categorically foreclose the use of the but-for
    causation standard for FMLA retaliation claims” when there is no evidence
    of mixed motives. Id. at 353–54. However, we also cautioned against blindly
    applying Gross and Nassar to the FMLA, given that “the statutory language
    in the FMLA is not identical to the relevant portions of the ADEA or Title
    VII.” Id. at 353 (footnote omitted).
    Jarvis argues that the “but-for” holdings in Gross and Nassar apply
    with equal force to the FMLA. But this oversimplifies the issue. First,
    Jarvis’s suggestion that we can simply graft Gross and Nassar onto the FMLA
    ignores the fact that Gross and Nassar interpreted provisions of different
    statutes with different language than the FMLA provision at issue here.
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    Indeed, there is significant disagreement amongst the circuits—including
    ours—about the particular FMLA provision that authorizes retaliation
    claims in the first place.2 Second, and relatedly, a holding that “but-for”
    causation applies in all FMLA retaliation cases—as Jarvis urges—would be
    in tension with our Richardson jurisprudence, as well as FMLA jurisprudence
    from at least two of our sister circuits.3
    2
    Some conclude that the right flows from 
    29 U.S.C. § 2615
    (a)(1), which makes it
    “unlawful for any employer to interfere with, restrain, or deny the exercise of or the
    attempt to exercise, any right provided under this subchapter.” The First, Second, Third,
    and Ninth Circuits hold this view. See, e.g., Egan v. Del. River Port Auth., 
    851 F.3d 263
    ,
    269–74 (3d Cir. 2017); Woods v. START Treatment & Recovery Ctrs., Inc., 
    864 F.3d 158
    , 167
    (2d Cir. 2017); Bachelder v. Am. W. Airlines, Inc., 
    259 F.3d 1112
    , 1124–25 (9th Cir. 2001);
    Hodgens v. Gen. Dynamics Corp., 
    144 F.3d 151
    , 160 n.4 (1st Cir. 1998). Others reason that it
    derives from § 2615(a)(2), which “makes it unlawful for any employer to discharge or in
    any other manner discriminate against any individual for opposing any practice made
    unlawful by this subchapter.” The Fourth, Sixth, and Eighth Circuits hold this view. See,
    e.g., Fry v. Rand Constr. Corp., 
    964 F.3d 239
    , 245 (4th Cir. 2020), cert. denied, 
    209 L. Ed. 2d 732
     (May 3, 2021); Yashenko v. Harrah’s NC Casino Co., LLC, 
    446 F.3d 541
    , 546 (4th Cir.
    2006); Bryant v. Dollar Gen. Corp., 
    538 F.3d 394
    , 400 (6th Cir. 2008); Lovland, 
    674 F.3d at
    810–12 (8th Cir. 2012); Stallings v. Hussmann Corp., 
    447 F.3d 1041
    , 1050–51 (8th Cir.
    2006).
    The Fifth Circuit has traditionally taken the latter view. See, e.g., Amedee v. Shell
    Chem., L.P., 
    953 F.3d 831
    , 834 & n.3 (5th Cir. 2020) (collecting cases); see also Haley v. All.
    Compressor LLC, 
    391 F.3d 644
    , 649 (5th Cir. 2004) (holding that “claims for violations of
    [prescriptive or substantive FMLA rights] invoke entitlement or interference theories and
    are brought under § 2615(a)(1),” whereas claims for violations of “proscriptive FMLA
    rights,” including the “right not to be discriminated or retaliated against for having
    exercised the right to take FMLA leave . . . are brought under § 2615(a)(2)”).
    3
    The Second Circuit has concluded that a “motivating factor” instruction is
    required in FMLA retaliation cases, and that “but-for” causation is inconsistent with
    Chevron deference to the Department of Labor’s regulation. Woods, 864 F.3d at 168; see
    also Chevron, U.S.A., Inc. v. Nat. Res. Defense Council, Inc., 
    467 U.S. 837
     (1984). Similarly,
    the Third Circuit has concluded, also based on Chevron deference, that the Department of
    Labor’s “use of a mixed-motive framework is not inconsistent with Nassar and Gross,” and
    that the “mixed-motive approach is a permissible construction of the statute.” Egan, 851
    F.3d at 274.
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    But whether and to what extent Gross and Nassar may ultimately
    require us to revisit Richardson is a question for another day. Jarvis has not
    met its burden of establishing reversible error here.        We review jury
    instructions for abuse of discretion. Janvey v. Dillon Gage, Inc. of Dall., 
    856 F.3d 377
    , 388 (5th Cir. 2017). “Any error is subject to harmless error review,
    such that we will not reverse unless the erroneous instructions affected the
    outcome of the case.” Adams, 973 F.3d at 352 (quotation omitted). We
    employ this two-part test:
    First, the challenger must demonstrate that the charge as a
    whole creates substantial and ineradicable doubt whether the
    jury has been properly guided in its deliberations. Second, even
    if the jury instructions were erroneous, we will not reverse if
    we determine, based upon the entire record, that the
    challenged instruction could not have affected the outcome of
    the case.
    Hartsell v. Dr. Pepper Bottling Co., 
    207 F.3d 269
    , 272 (5th Cir. 2000) (quoting
    Johnson v. Sawyer, 
    120 F.3d 1307
    , 1315 (5th Cir. 1997)).
    As it stands, Richardson is the law of this circuit, which permits a
    mixed-motive instruction when there is evidence that both legitimate and
    illegitimate motives played a role in the challenged employment action. That
    is exactly what the district court determined happened here. Accordingly,
    the district court did not abuse its discretion in giving a mixed-motive jury
    instruction.
    It is worth noting that the district court also included “but-for”
    language in its instruction.      Immediately following its mixed-motive
    instruction, the district court instructed the jury that “Stanton must prove
    that she would not have been terminated in the absence of her FMLA-
    protected activity.” This is undeniably “but-for”-like language, which
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    places a more onerous burden on the plaintiff. Despite the district court’s
    inclusion of this language, however, the jury still found for Stanton and
    awarded her $12,500 in damages. In other words, even if Jarvis were correct
    that “but-for” causation was the appropriate standard here, it still failed to
    carry its burden of showing “that the challenged instruction . . . affected the
    outcome of the case.” See Hartsell, 
    207 F.3d at 272
     (quoting Sawyer, 
    120 F.3d at 1315
    ).
    Accordingly, we cannot say “that the charge as a whole create[d]
    substantial and ineradicable doubt whether the jury [was] properly guided in
    its deliberations.” See 
    id.
     (quoting Sawyer, 
    120 F.3d at 1315
    ).
    The judgment is AFFIRMED.
    14