Windsor Redding Care Center, LLC v. NLRB ( 2019 )


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  •  United States Court of Appeals
    FOR THE DISTRICT OF COLUMBIA CIRCUIT
    Argued October 15, 2019           Decided December 10, 2019
    No. 18-1299
    WINDSOR REDDING CARE CENTER, LLC,
    PETITIONER
    v.
    NATIONAL LABOR RELATIONS BOARD,
    RESPONDENT
    SERVICE EMPLOYEES INTERNATIONAL UNION LOCAL 2015, AS
    SUCCESSOR TO SEIU UNITED HEALTHCARE WORKERS-WEST,
    CTW, CLC,
    INTERVENOR
    Consolidated with 19-1010
    On Petition for Review and Cross-Application
    for Enforcement of an Order of
    the National Labor Relations Board
    John J. Manier argued the cause for petitioner. With him
    on the briefs was John B. Golper.
    Michael R. Hickson, Attorney, National Labor Relations
    Board, argued the cause for respondent. With him on the brief
    2
    were Peter B. Robb, General Counsel, David Habenstreit,
    Acting Deputy Associate General Counsel, and Elizabeth
    Heaney, Supervisory Attorney.
    David A. Rosenfeld was on the brief for intervenor Service
    Employees International Union Local 2015 in support of
    respondent.
    Before: HENDERSON and ROGERS, Circuit Judges, and
    EDWARDS, Senior Circuit Judge.
    Opinion for the Court by Circuit Judge Rogers.
    ROGERS, Circuit Judge: The National Labor Relations
    Board found that Windsor Redding Care Center (“the
    Company”) violated Sections 8(a)(1) and 8(a)(3) of the
    National Labor Relations Act by suspending and discharging
    one of its employees, Angelia Rowland. The Company
    petitions for review of that finding, and the Board has applied
    for enforcement of its Order, which includes matters not
    contested by the Company. The issue before the court is
    whether the Board’s finding that the Company suspended and
    discharged Rowland because she engaged in protected activity
    is unsupported by substantial evidence on the record, which
    includes contrary findings of the administrative law judge
    (“ALJ”) and the evidence relied on by the dissenting Member
    of the Board. Although the Board is not obliged to agree with
    either the judge or its dissenting Member, the Board is
    obligated to confront evidence detracting from its conclusions,
    particularly where the dissenting Member has offered a non-
    frivolous analysis. For the following reasons, we grant the
    Company’s petition and deny the Board’s application for
    enforcement of its Order as it relates to Rowland.
    3
    I.
    In view of our conclusion that the Board’s decision
    relating to the Company’s suspension and discharge of Angelia
    Rowland was unsupported by substantial evidence, we set forth
    the record evidence in some detail. First, certain evidence is
    undisputed. The Company is a skilled nursing home in
    Redding, California. Its nurse employees, among others, are
    unionized and represented by the Service Employees
    International Union United Service Workers-West (“the
    Union”). Rowland was a nurse employed by the Company for
    approximately eleven and a half years, and was well-regarded.
    She was also visibly involved in the Union’s activities,
    campaigning for the Union before the election, demonstrating
    pro-Union signs in her car in the Company parking lot, and
    participating in collective bargaining as a member of the
    Union’s bargaining committee.
    Further, on May 24, 2012, Rowland accompanied
    “Resident B,” a patient of the Company, to an off-site doctor’s
    appointment. Rowland and Resident B were transported to the
    doctor’s office in a van driven by Lewis Johnson, who was
    employed by a third-party company. Resident B was known to
    be a difficult patient; she regularly yells and curses at her
    caregivers. According to Rowland’s testimony, which was
    corroborated by other Company employees, Resident B often
    says “knock it off” and “I’ll beat your ass” and sometimes says
    those two phrases in combination. Tr. 318:20–25 (Aug. 21,
    2012). The ALJ found that Resident B is “prone to frequent,
    sometimes near constant, outbursts of yelling, screaming, and
    threatening, accompanied by the use of profanity. Sometimes
    those outbursts also include threats of bodily harm.” ALJ Dec.
    at 10. Rowland and the Company also agreed that Resident B
    often varies the sound and volume of her voice.
    4
    Second, the relevant disputed facts relate to what happened
    when Rowland and Resident B were entering the doctor’s
    office and Resident B was shouting and cursing. Terra
    Pagnano, a doctor’s office employee at the front desk when
    Rowland and Resident B were entering, testified that she heard
    — but did not see — Rowland tell Resident B in response, “If
    you don’t knock that off, I’m going to beat your ass.” Tr.
    797:4–5 (Aug. 23, 2012). Two other doctor’s office employees
    at the front desk testified that they heard the same thing. The
    doctor’s office employees were shocked, and Pagnano called
    Jane Thimmesch, the Company’s Director of Nursing, to report
    what they had heard. Thimmesch passed along that information
    to Anne Gilles, an administrator at the Company and
    Rowland’s supervisor. Gilles immediately went to the doctor’s
    office and interviewed two of the three employees who claimed
    to have heard Rowland threaten Resident B. She impressed
    upon them the gravity of their accusation and asked them to
    repeat their story multiple times. Gilles also spoke with
    Johnson, the van driver; at the time, he was preoccupied with
    an electronic device and was terse. Johnson testified that he
    told Gilles that he “didn’t see anything” happen between
    Rowland and Resident B. Tr. 457:14–24 (Aug. 22, 2012).
    Third, what happened thereafter is also largely undisputed.
    When Rowland returned to the Company facility, Thimmesch
    asked her to meet with Gilles. Rowland brought a Union
    representative with her to the meeting, at which Gilles
    informed her of the accusations against her and notified her that
    she would be suspended pending an investigation, pursuant to
    the Company’s elder-abuse policies. Rowland denied yelling
    anything at Resident B in the doctor’s office.
    The following day, May 25, Gilles returned to the doctor’s
    office and spoke with the three employees who had accused
    Rowland of threatening Resident B. Gilles again impressed
    5
    upon them the gravity of their accusations. In light of Resident
    B’s known habit of speaking in different voices, Gilles also
    asked them if they were sure that it wasn’t Resident B that they
    had heard make the threat. The employees confirmed their
    stories and provided written statements to Gilles.
    Also on May 25, Rowland came to the Company facility
    to have Gilles officially approve her absence, as a result of her
    suspension. Another Company employee, Alice Martinez,
    accompanied Rowland. At some point during the meeting, talk
    turned to the Union — specifically, to the signs that Union
    members displayed in their vehicles, which referenced an
    ongoing bargaining dispute. Rowland was surprised that the
    conversation, which she expected to be about her suspension
    and the investigation, had veered into Union matters, and
    eventually Martinez interrupted to remind Gilles that the
    meeting was about Rowland’s job. Martinez testified that
    Gilles responded: “Oh no. This is about the Union. This is all
    about the Union.” Tr. 483:9–10 (Aug. 22, 2012).
    Later on May 25, Gilles had a conference call with two
    human resources employees and her supervisor, Ken Cess.
    They collectively decided to terminate Rowland’s
    employment. On May 29, Rowland, accompanied by a Union
    representative, met with Gilles and Thimmesch and was
    informed that her employment was being terminated. At the
    meeting, Rowland provided a written statement denying the
    allegations against her and stating that she believed the
    suspension and termination were motivated by her Union
    support and involvement. Toward the end of the meeting,
    Gilles asked Rowland what the van driver had been doing
    during the May 25 incident. Rowland replied that she had
    covered that in the May 25 meeting and Rowland added a
    handwritten note to the notice of termination objecting to
    Gilles’s failure to interview the driver.
    6
    The day after Rowland’s employment was terminated,
    Gilles continued her investigation into the incident by calling
    Johnson’s dispatcher. The dispatcher told Gilles that Johnson
    had told her that Resident B was yelling the entire time but that
    he did not hear Rowland say anything. Cess also investigated
    the incident following the discharge; he testified his concern
    was that an unfair labor practice charge might result, given that
    the discharge occurred in the midst of the Company’s
    bargaining efforts with the Union. He attempted to speak with
    Johnson and also drove to the doctor’s office and interviewed
    two of the three employees who accused Rowland of
    threatening Resident B. Neither party’s investigations gave
    them reason to second-guess the decision to fire Rowland.
    II.
    Section 7 of the National Labor Relations Act guarantees
    employees “the right to self-organization, to form, join, or
    assist labor organizations, to bargain collectively . . . , and to
    engage in other concerted activities.” 29 U.S.C. § 157. Section
    8(a)(1) of the Act declares it an unfair labor practice for an
    employer “to interfere with, restrain, or coerce employees in
    the exercise” of those Section 7 rights. 
    Id. § 158(a)(1).
    Section
    8(a)(3) of the Act declares it an unfair labor practice for an
    employer “to encourage or discourage membership in any labor
    organization” “by discrimination in regard to hire or tenure of
    employment or any term or condition of employment.” 
    Id. § 158(a)(3).
    When an employer claims to have discharged an
    employee for legitimate reasons and not because she engaged
    in activities protected by Section 7, the Board applies the two-
    step inquiry of Wright Line. See NLRB v. Transp. Mgmt. Corp.,
    
    462 U.S. 393
    , 400–04 (1983). At step one, the General Counsel
    for the Board must make out a prima facie case that the
    employee’s protected activity was a motivating factor in the
    7
    employer’s decision to fire her. See Inova Health Sys. v. NLRB,
    
    795 F.3d 68
    , 80 (D.C. Cir. 2015). If the General Counsel
    carries that burden, the analysis proceeds to step two, at which
    “the burden of persuasion shifts to the employer ‘to show that
    it would have taken the same action in the absence of the
    unlawful motive.’” 
    Id. (quoting Bally’s
    Park Place, Inc. v.
    NLRB, 
    646 F.3d 929
    , 935 (D.C. Cir. 2011)).
    In 2012, following Rowland’s discharge, the Union filed
    an unfair labor practice charge with the Board, and the
    Regional Director issued a complaint alleging, among other
    things, that the Company had violated Section 8(a)(1) and
    8(a)(3) of the Act by terminating Rowland. An ALJ held an
    evidentiary hearing and determined that the Company had not
    violated the Act. Relying heavily on Gilles’s “it’s all about the
    Union” comment, the ALJ decided that the Board’s General
    Counsel had satisfied his burden under Wright Line of making
    out a prima facie case that anti-Union animus was a motivating
    factor in Rowland’s discharge. The ALJ then determined that
    the Company had carried its burden under the second step of
    Wright Line by showing that it would have discharged
    Rowland notwithstanding her Union activities. In so doing, the
    ALJ found that the Company’s “investigation reasonably
    concluded that [Rowland] had committed the offense of which
    she was accused,” ALJ Dec. at 21, that the misconduct of which
    Rowland was accused had in fact occurred, and that that
    incident gave the Company good reason to fire her, in light of
    the company’s well-established zero-tolerance policy
    regarding “willful abuse” of residents. Indeed, Rowland
    herself acknowledged in her testimony before the ALJ that if
    she had made the threat of which she was accused, it would
    have been appropriate for the Company to terminate her
    employment. Tr. 392:8–12 (Aug. 22, 2012). The ALJ further
    found that the Company’s investigation had not been
    superficial and that the Company had not engaged in disparate
    8
    treatment of employees based on their involvement with the
    Union. The General Counsel filed objections to the ALJ’s
    findings and a brief in support of those objections. The
    Company did not file any objections but did file a brief
    responding to the General Counsel’s.
    Two Members of the Board concluded that the Company
    had not carried its Wright Line step-two burden of showing that
    it would have fired Rowland even if she had not engaged in
    protected Section 7 activity. The Board majority (hereinafter
    “the Board”) rested that conclusion on two subsidiary
    determinations. First, it found that comparator evidence
    showed that employees who had committed similar offenses
    had not been disciplined as harshly as Rowland. Specifically,
    the Board found that Nancy Antonson was similarly situated to
    Rowland and yet had not been disciplined following an
    allegation of elder abuse. Antonson was accused by a patient
    she was caring for of repeatedly handling her roughly, despite
    requests to be gentler. The Company investigated the
    allegation but ultimately gave her only a warning. The Board
    found that this more lenient treatment, in the face of an
    allegation of misconduct that was arguably as serious as that
    against Rowland, indicated that the incident with Resident B
    was not the Company’s actual motivation for discharging
    Rowland. Second, the Board determined that the continuation
    of Cess’s and Gilles’s investigations after Rowland’s firing
    indicated that the Company harbored doubts that Rowland
    committed the misconduct of which she was accused even as it
    discharged her, suggesting that the alleged misconduct was not
    the real reason for the discharge.
    The dissenting Member would have affirmed the findings
    of the ALJ, “see[ing] no reason to reject the [ALJ’s] thorough,
    painstaking analysis.” Windsor Redding Care Center, LLC,
    366 NLRB No. 127, at 9 (July 17, 2018) (“Dec.”) (Emanuel,
    9
    M., dissenting in part). He responded to each of the grounds
    on which the Board relied for its determination that the
    Company would not have fired Rowland absent her Union
    activities. First, Antonson was not, in his opinion, an
    appropriate comparator because in Rowland’s case, unlike in
    Antonson’s, there were multiple neutral witnesses to the
    incident. Second, the Company’s post-discharge investigation
    was, he concluded, “unremarkable” given that Rowland was a
    good and well-liked employee and that the Company would
    therefore have naturally “continue[d] to investigate in hopes of
    uncovering information that would exonerate her.” 
    Id. at 10.
    The post-discharge investigation was appropriate, in his view,
    in light of “reasonably anticipated litigation over the discharge”
    about which Cess had testified. 
    Id. The Company
    petitions for review, and the Board cross-
    applies for enforcement of the Order accompanying its
    decision.
    III.
    The legal principles that the court must apply are well-
    settled. The court reviews the Board’s decision deferentially
    and will overturn it “only if the Board’s factual findings are not
    supported by substantial evidence, or the Board acted
    arbitrarily or otherwise erred in applying established law to the
    facts of the case.” Fred Meyer Stores, Inc. v. NLRB, 
    865 F.3d 630
    , 638 (D.C. Cir. 2017) (quoting Pirlott v. NLRB, 
    522 F.3d 423
    , 432 (D.C. Cir. 2008)). A Board decision is arbitrary and
    capricious if it “entirely fail[s] to consider an important aspect
    of the problem” or “offer[s] an explanation for its decision that
    runs counter to the evidence before [it].” Motor Vehicle Mfrs.
    Ass’n of U.S. v. State Farm Mut. Auto. Ins. Co., 
    463 U.S. 29
    ,
    43 (1983). Likewise, this court has made clear that the Board
    may not “totally ignore[] facts in the record,” Fred Meyer
    10
    
    Stores, 865 F.3d at 638
    , and must “take into account whatever
    in the record fairly detracts from its [conclusion’s] weight,”
    David Saxe Productions, LLC v. NLRB, 
    888 F.3d 1305
    , 1312
    (D.C. Cir. 2018) (alteration in original) (quoting Universal
    Camera Corp. v. NLRB, 
    340 U.S. 474
    , 488 (1951)).
    “The findings and decision of the [ALJ] form an important
    part of the ‘record.’” Int’l Bhd. of Teamsters, Local No. 310 v.
    NLRB, 
    587 F.2d 1176
    , 1180 (D.C. Cir. 1978). Just as the board
    may not “totally ignore[] facts in the record,” Fred Meyer
    
    Stores, 865 F.3d at 638
    , the Board is obligated to give
    “attentive consideration” to the ALJ’s decision, Greater
    Boston Television Corp. v. FCC, 
    444 F.2d 841
    , 853 (D.C. Cir.
    1970). Although the Board is “free to substitute its judgment
    for the [ALJ]’s,” “when it disagrees with the ALJ, [it] must
    make clear the basis of its disagreement.” Bally’s Park 
    Place, 646 F.3d at 935
    n.4 (first alteration in original) (quoting Local
    702, Int’l Bhd. of Elec. Workers v. NLRB, 
    215 F.3d 11
    , 15 (D.C.
    Cir. 2000)).
    The Board’s obligation to engage with record evidence,
    including the ALJ’s decision, is particularly acute when the
    opinion of a dissenting Member draws attention to such
    evidence. To ensure that the Board’s action “was the product
    of reasoned decisionmaking,” the court will inquire whether it
    “‘engage[d] the arguments before it,’ including those of a
    dissenting Member,” Hawaiian Dredging Constr. Co. v.
    NLRB, 
    857 F.3d 877
    , 881–82 (D.C. Cir. 2017) (alteration in
    original) (first quoting State 
    Farm, 463 U.S. at 52
    ; then quoting
    Del. Dep’t of Nat. Res. & Envtl. Control v. EPA, 
    785 F.3d 1
    ,
    11 (D.C. Cir. 2015)), so long as those arguments are not so
    frivolous as to be “unworthy of consideration,” Chamber of
    Commerce of the U.S. v. SEC, 
    412 F.3d 133
    , 144 (D.C. Cir.
    2005).
    11
    The Company contends that the Board failed to engage
    with record evidence that was favorable to the Company and
    that undercut the Board’s decision, rendering that decision
    unsupported by substantial evidence. We agree, as follows.
    First, the Board failed to engage with or even acknowledge the
    evidence of the Company’s zero-tolerance elder-abuse policy,
    which compelled it to fire any employee found to have
    committed “willful abuse” of a resident. The ALJ alluded to
    this policy and the seriousness with which the Company treated
    allegations of elder abuse, and specifically found that the
    Company “has successfully demonstrated that it is very serious
    about preventing elder abuse and reporting any suspected
    abuse.” ALJ Dec. at 19. As the ALJ found, the Company was
    confronted with significant evidence from three “impartial”
    witnesses with “no reason to be biased or prejudiced,” 
    id., “that Rowland
    had screamed a threat of physical violence towards
    Resident B,” 
    id. at 21.
    Rowland’s conduct “constituted
    obvious elder abuse” and as such, and in light of the zero-
    tolerance policy, “it was incumbent upon the [Company] to
    take some disciplinary action against the employee who had
    committed the offense.” 
    Id. The ALJ’s
    analysis demonstrated
    that the existence of the zero-tolerance policy was evidence
    that Rowland’s willful misconduct was sufficient grounds for
    her discharge, as she herself acknowledged, which, in turn,
    supported the conclusion that the Company would have
    discharged Rowland absent her Union activities. The Board
    nevertheless failed to discuss the zero-tolerance abuse policy,
    the seriousness with which the Company treated allegations of
    willful abuse of residents, and the ALJ’s analysis. Yet the
    Board was obligated to engage with evidence that showed that
    the Company’s conduct was lawful, see David Saxe
    
    Productions, 888 F.3d at 1312
    , particularly given that the
    dissenting Member highlighted the significance of the zero-
    tolerance policy to the Wright Line inquiry, see Hawaiian
    
    Dredging, 857 F.3d at 881
    –82.
    12
    Second, the Board’s conclusion regarding the significance
    of Gilles’s and Cess’s post-discharge investigations is
    unsupported by substantial evidence. At the hearing, Gilles
    testified that she continued the investigation after Rowland’s
    discharge to double check that she had properly heard and
    understood Johnson’s version of events. Cess explained in his
    testimony that the motivation for his investigation was to avoid
    an unfair labor practice charge for discharging Rowland after
    an inadequate investigation, given her high profile in the
    Union. The dissenting Member drew the Board majority’s
    attention to this evidence, stating that he would have found that
    Cess and Gilles continued their investigations after Rowland’s
    discharge “[o]ut of an abundance of caution.” Dec. at 9
    (Emanuel, M., dissenting in part). The Board, in contrast,
    decided that “it seems only logical that the [Company] would
    have waited to terminate Rowland until it completed this
    important investigation,” and that its failure to do so “suggests
    that the [Company] would not have taken the same action based
    on her purported comments alone.” 
    Id. at 3.
    Inferring from a
    post-discharge investigation that the employer did not believe
    its stated reason for the discharge may well be reasonable when
    that inference is supported by other record evidence or when
    there is no other explanation for the post-discharge
    investigations, but that is not the case here. To the contrary,
    Gilles, Cess, and the dissenting Member all offered innocuous,
    lawful explanations: the investigation was continued to ensure
    its accuracy, to avoid later charges of an insufficient
    investigation, or out of an abundance of caution. In light of
    those explanations, the Company’s thorough investigation, and
    the report of the three doctor’s office employees, the Board’s
    conclusion that the post-discharge investigations indicated that
    the Company did not believe the accusations against Rowland
    was unreasonable.
    13
    Finally, the Board concluded that the Company engaged
    in disparate treatment in terminating Rowland because Nancy
    Antonson was similarly situated to Rowland and had not been
    disciplined following an allegation of elder abuse. This
    conclusion is not supported by substantial evidence in the
    record. The ALJ concluded that the General Counsel’s claim
    that the Company was guilty of disparate treatment was
    meritless. The ALJ found that “[t]here were other employees
    accused of similar conduct, but the [Company’s] investigations
    disclosed that no such conduct had occurred . . . [and] where
    employees had actually been found to have engaged in
    improper conduct, that conduct was not analogous to
    Rowland’s conduct.” ALJ Dec. at 21. The Board implicitly
    rejected the ALJ’s findings, at least as they applied to Antonson
    and Rowland, stating that “the Company failed to explain why
    it reacted differently to an arguable act of physical abuse than
    it did to an arguable act of verbal abuse.” Dec. at 3.
    To the extent the Board’s disparate treatment finding rests
    on its view that Antonson and Rowland were accused of
    “similar conduct,” its finding is contradicted by the record. The
    Company records indicate that Antonson was not as gentle with
    a resident as the resident preferred, and that Antonson
    apparently rolled her eyes at the resident in response to
    something that she said. The record supports the conclusion
    that Antonson was guilty not of “willful abuse” of a resident
    but only of misconduct. She was disciplined but not
    terminated. Rowland, on the other hand, was found guilty of
    willful abuse and terminated pursuant to the Company’s zero-
    tolerance policy. So, Antonson’s case was not comparable to
    Rowland’s.
    The Board’s disparate treatment finding also appears to
    rest on the view that Rowland and Antonson were similarly
    situated because the Company did not believe either had
    14
    committed “willful abuse” yet responded to these doubts
    differently. This conclusion is undermined by the Board’s
    unreasonable interpretation of the Company’s post-discharge
    investigation. The Board’s characterization of Rowland’s
    conduct as “an arguable act of verbal abuse” suggests that it
    disagreed with the ALJ’s finding that the Company believed
    that Rowland engaged in the misconduct of which she was
    accused. The Board further stated that “[w]e additionally
    disagree with our dissenting colleague’s suggestion that the
    [Company] found the accusations against Antonson less
    credible than those against Rowland,” citing the post-discharge
    investigation as a reason. 
    Id. at 3
    n.10. Yet, as explained, the
    Board majority’s conclusion, based on the post-discharge
    investigation, that the Company disbelieved the accusations
    against Rowland is not reasonable on this record. The Board,
    consequently, could not rely on this reasoning to justify a
    finding that Antonson and Rowland were similarly situated.
    The Board therefore failed to adequately explain the basis
    of its disagreement with the ALJ, see Bally’s Park 
    Place, 646 F.3d at 935
    n.4, and took action against the Company without
    the support of substantial evidence in the record. See State
    
    Farm, 463 U.S. at 43
    .
    Accordingly, we grant the Company’s petition for review
    and deny the Board’s cross-application for enforcement of the
    portion of its Order related to the unfair labor practice finding
    against the Company for its suspension and discharge of
    Rowland. The Board’s cross-application for enforcement of
    the remainder of its Order is granted.