Catherine Willis v. Childrens Hospital of Pittsbur , 808 F.3d 638 ( 2015 )


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  •                                        PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _____________
    No. 15-1526
    _____________
    CATHERINE WILLIS,
    Appellant
    v.
    UPMC CHILDREN’S HOSPITAL OF PITTSBURGH
    _______________
    On Appeal from the United States District Court
    for the Western District of Pennsylvania
    (D.C. Civil No. 2-13-cv-00131)
    District Judge: Honorable Joy Flowers Conti
    _______________
    Submitted Pursuant to Third Circuit L.A.R. 34.1(a)
    December 7, 2015
    Before: FUENTES, SHWARTZ and VAN ANTWERPEN,
    Circuit Judges.
    (Filed: December 22, 2015)
    Neal A. Sanders, Esq.
    Law Offices of Neal Alan Sanders
    1924 North Main Street Extension
    Route 8 North
    Butler, PA 16001
    Counsel for Appellant
    John J. Myers, Esq.
    William S. Myers, Esq.
    Eckert Seamans Cherin & Mellott, LLC
    600 Grant Street
    44th Floor, US Steel Tower
    Pittsburgh, PA 15219
    Counsel for Appellee
    ______________
    OPINION
    ______________
    VAN ANTWERPEN, Circuit Judge.
    Appellant Catherine Willis appeals the final decision
    of the U.S. District Court for the Western District of
    Pennsylvania granting University of Pittsburgh Medical
    Center Children’s Hospital of Pittsburgh’s (“Children’s”)
    Motion for Summary Judgment on her Age Discrimination in
    Employment Act of 1967 (“ADEA”) and Pennsylvania
    Human Relations Act (“PHRA”) claims. For the following
    reasons, we will affirm the decision of the District Court.
    I.        Factual Background and Procedural History
    A.     Factual Background
    2
    Viewing the record in a light most favorable to the
    nonmovant, Willis, the facts in this case are as follows. Willis
    worked as a Neonatal Nurse Practitioner (“NNP”) at
    Children’s from August 16, 1993 until her termination on
    January 13, 2012. (A-375). From 2001 until 2011, Willis
    served as co-lead NNP. (A-84, A-87). At all times relevant to
    the instant action, Margaret Lamouree, the nurse manager for
    the newborn intensive care unit (“NICU”) was Willis’s
    supervisor. (A-85–A-86). Lamouree’s supervisors were
    Cynthia Valenta and Diane Hupp. (A-85–A-86). From August
    2011 through January 2012, Children’s issued disciplinary
    warnings to Willis for her conduct in three distinct incidents,
    the relevant details of which are included below.
    The first disciplinary incident took place one morning
    in mid-August 2011. While on duty, Willis received a call
    that she was needed in the room of a patient who had recently
    undergone surgery necessitating an endotracheal tube. (A-
    105–A-106). In the hallway on her way to assist the patient,
    Willis passed a nurse who remarked to Willis that the
    patient’s tube must be out. (A-106). In response, Willis stated,
    “[t]hat fuckin [sic] tube better not be out, I’ll fuckin [sic] kill
    someone.” (A-346). The patient’s father was in the room at
    the time, but did not hear Willis’s statement. (A-278–A-279).
    Willis received a final written warning regarding this incident
    in early September, which stated that she would be removed
    from her role as a co-lead NNP.1 (A-344).
    1
    The co-lead NNP role vacated by Willis was not
    permanently filled until September 2012, approximately one
    year after Willis’s demotion, when Becky Graves was named
    to this position. At the time of her promotion, Graves was
    thirty-four years old. (A-289–A-290).
    3
    Later that month, after she received the written notice
    of the warning and demotion, Willis attended a meeting at
    which Lamouree and Valenta were present. (A-86–A-87). At
    the meeting, clinical leadership explained that the co-lead
    NNP role was changing to include a greater focus on
    administrative and budgetary duties, rather than patient care.
    (A-87–A-88). Willis was interested and thought she was
    qualified for the role, but felt that Lamouree and Valenta
    coerced her to step down. (A-88).
    The second disciplinary incident took place in early
    January 2012. One evening while Willis was on duty, another
    nurse indicated she was looking for someone to start an
    intravenous line on a patient. Frustrated with the nurse, whom
    Willis believed to be inexperienced, and concerned that there
    was not enough time to look for someone else, Willis started
    the line herself. (A-112). Afterwards, Willis approached the
    NICU clinical leadership to express her concerns about the
    inexperience of some of the nursing staff. (A-113–A-114).
    Willis raised her voice loud enough for the NICU supervisor
    Missy Locke, who was nearby, to hear her. (A-114–A-115).
    A week later, Lamouree sent Jenelle Taylor in Human
    Resources an email summarizing her conversation with Willis
    about the incident. (A-347–A-348). Lamouree’s email stated
    that Willis became defensive when Lamouree told her the
    clinical leaders were offended by how Willis handled the
    situation. (A-347–A-348). When Lamouree asked Willis if
    she thought that she could have communicated her concerns
    without yelling, Willis said, “[n]ever mind I’m always
    wrong” and walked out of the room. (A-347–A-348). Willis
    denies yelling, but otherwise agrees with Lamouree’s
    characterization of the incident. (A-122–A-125).
    4
    The third disciplinary incident occurred one night the
    following week when Willis was near the end of her shift. On
    any shift, all the NICU nurses are split into two teams, blue
    and green. (A-384). Willis, who was assigned to the green
    team that night, received a patient who was assigned to the
    blue team, but did not perform a history and physical or
    complete admission orders, as required. (A-127–A-129).
    There is some confusion about who was supposed to take care
    of these tasks. Willis contends that another nurse, Holly
    Bernardi, who was assigned to the blue team that night, was
    responsible. (A-129).
    Concerned that this patient’s care fell through the
    cracks, Hupp called both Willis and Bernardi at home after
    their shifts to discuss the incident. Hupp documented the call
    with Willis in an internal memo. (A-350). Willis told Hupp
    that she thought she had placed the admission orders, but, as
    Bernardi was aware, this was the extent of the responsibility
    Willis assumed. (A-350). The next day, Willis emailed Hupp
    about their conversation the previous night regarding the
    incident, and stated that she put the admission orders in and
    relayed this information to Bernardi. (A-351). Hupp
    forwarded the email to Taylor in Human Resources. (A-351).
    At her deposition, Willis again stated that the patient was
    Bernardi’s and not her responsibility at all, but that she
    completed the admission orders, which Bernardi knew. (A-
    127–A-128). Hupp’s internal memo, the contents of which
    Willis does not dispute, indicates that Willis left without
    completing the patient’s admission orders. (A-129, A-350).
    Willis also told Hupp that it was common practice for nurses
    to complete admission orders received at the end of their
    shift, but then pass along the physical and history to those in
    5
    the oncoming shift. (A-128–29, A-350). When Lamouree
    asked Willis if this is what she did that night, Willis said that
    it had been “very busy” and she was unable to recall to whom
    she had reported about the patient. (A-350).
    Two days after this incident, on January 13, 2012,
    Hupp, Valenta, and Lamouree met with Willis to terminate
    her employment. (A-156, A-342–A-343). Willis was sixty-
    one years old at the time of her termination, making her a
    member of a protected class under the ADEA and the PHRA.
    (A-76).
    B.     Procedural History
    Willis filed a charge of discrimination with the Equal
    Employment Opportunity Commission (“EEOC”) in April
    2012. (A-352–A-355). The EEOC closed Willis’s case and
    issued a right to sue letter in November 2012. (A-38). Willis
    brought suit against Children’s in the Western District of
    Pennsylvania on January 28, 2013. After Children’s filed an
    Answer to the Complaint, Willis filed an Amended
    Complaint, to which Children’s filed an Answer.2 (A-24–A-
    2
    Willis’s Amended Complaint includes “Hostile Work
    Environment” in the subheadings for Count 1 (ADEA) and
    Count 2 (PHRA), but does not provide any supporting factual
    allegations for a hostile work environment claim. (A-48–A-
    55). Willis’s brief in opposition to Children’s Motion for
    Summary Judgment is similarly silent on a hostile work
    environment claim. (A-206–A-207). As a result, the District
    Court concluded this was a drafting error, and accordingly
    deemed the claim abandoned. (A-2 n.1). Willis does not raise
    a hostile work environment claim on appeal, rendering further
    6
    26). The District Court, (Flowers Conti, J., C.J.), granted
    Children’s Motion for Summary Judgment on both claims.
    (A-22). This timely appeal followed. (A-1).
    II.     Discussion3
    A.     Standard of Review
    We exercise plenary review over a district court order
    granting summary judgment. Simpson v. Kay Jewelers, Div.
    of Sterling, Inc., 
    142 F.3d 639
    , 643 (3d Cir. 1998).
    Accordingly, we engage in the same analysis as the district
    court initially applied. Anderson v. Consol. Rail Corp., 
    297 F.3d 242
    , 246 (3d Cir. 2002). We will affirm the grant of
    summary judgment if the moving party has shown that the
    evidentiary material on the record, if reduced to admissible
    evidence, is insufficient to permit the nonmoving party to
    carry its burden of proof. Celotex Corp. v. Catrett, 
    477 U.S. 317
    , 322–23 (1986).
    On a review of an order granting summary judgment,
    this Court is required to construe all facts and inferences in
    favor of the nonmoving party. Simpson, 
    142 F.3d at
    643 n.3
    (quoting Fuentes v. Perskie, 
    32 F.3d 759
    , 762 n.1 (3d Cir.
    1994)). Summary judgment is appropriate when “the movant
    consideration unnecessary.
    3
    The District Court had jurisdiction to hear Willis’s
    federal claim pursuant to 28 U.S.C § 1331. It had jurisdiction
    over Willis’s state law claims pursuant to 
    28 U.S.C. § 1367
    (a). We have jurisdiction to review final orders of a
    district court pursuant to 
    28 U.S.C. § 1291
    .
    7
    shows that there is no genuine issue as to any material fact
    and that the moving party is entitled to a judgment as a matter
    of law.” Fed. R. Civ. P. 56(a). A genuine issue of material
    fact is one that “affect[s] the outcome of the suit under the
    governing law” and could lead a reasonable jury to return a
    verdict in favor of the nonmoving party. Anderson v. Liberty
    Lobby, Inc., 
    477 U.S. 242
    , 248 (1986). The moving party has
    the burden of demonstrating that the evidentiary record
    presents no genuine issue of material fact. Simpson, 
    142 F.3d at
    643 n.3 (quoting Fuentes, 
    32 F.3d at
    762 n.1). Once the
    moving party has done so, to avoid the entry of summary
    judgment against them, the nonmoving party must identify
    facts in the record that would enable them to make a
    sufficient showing on essential elements of their case for
    which they have the burden of proof. Celotex Corp., 
    477 U.S. at 323
    . If, after adequate time for discovery, the nonmoving
    party has not met its burden, pursuant to Federal Rule of Civil
    Procedure 56, the court must enter summary judgment against
    the nonmoving party. 
    Id.
     at 322–23.
    B.      Analysis
    Willis claims Children’s discriminated against her on
    the basis of age, in violation of the ADEA and the PHRA.
    Since this Court has determined that the interpretation of the
    PHRA is identical to that of federal anti-discrimination laws,
    including the ADEA, we present a single analysis for Willis’s
    claims under both statutes.4 Fasold v. Justice, 
    409 F.3d 178
    ,
    4
    There is an exception “where there is something
    specifically different in its language requiring that [an anti-
    discrimination statute] be treated differently.” Fasold v.
    Justice, 
    409 F.3d 178
    , 184 n.8 (3d Cir. 2005) (quoting
    8
    184 n.8 (3d Cir. 2005) (quoting Fogelman v. Mercy Hosp.,
    Inc., 
    283 F.3d 561
    , 567 (3d Cir. 2002)); Connors v. Chrysler
    Fin. Corp., 
    160 F.3d 971
    , 972 (3d Cir. 1998) (“There is no
    need to differentiate between . . . ADEA and PHRA claims
    because . . . the same analysis is used for both.”).
    1.     Standard for Age Discrimination Claims
    The ADEA prohibits employers from “discharg[ing]
    any individual or otherwise discriminat[ing] against any
    individual with respect to his compensation, terms,
    conditions, or privileges of employment, because of such
    individual’s age.” 
    29 U.S.C. § 623
    (a)(1). To succeed on an
    ADEA claim, a plaintiff must establish, by a preponderance
    of the evidence, that age was the “but-for” cause of the
    adverse employment action. Gross v. FBL Fin. Servs., Inc.,
    
    557 U.S. 167
    , 177–78 (2009). Age discrimination claims in
    which the plaintiff relies on circumstantial evidence proceed
    according to the three-part burden-shifting framework set
    forth in McDonnell Douglas Corp. v. Green. 
    411 U.S. 792
    (1973); Keller v. Orix Credit All., Inc., 
    130 F.3d 1101
    , 1108
    (3d Cir. 1997) (reaffirming the application of a “slightly
    modified version of [McDonnell Douglas] in ADEA cases”).
    Under this framework, the plaintiff must first establish
    a prima facie case of discrimination. Keller, 130 F.3d at 1108
    (citing St. Mary’s Honor Ctr. v. Hicks, 
    509 U.S. 502
    , 506
    (1993)). Satisfying the prima facie elements creates an
    Fogelman v. Mercy Hosp., Inc., 
    283 F.3d 561
    , 567 (3d Cir.
    2002)). The relevant provisions of the ADEA and the PHRA
    do not provide any indication that this exception applies here.
    
    29 U.S.C. § 623
    (a)(1); 
    43 Pa. Cons. Stat. § 955
    (a).
    9
    “inference of unlawful discrimination.” Pivirotto v.
    Innovative Sys., Inc., 
    191 F.3d 344
    , 357 (3d Cir. 1999)
    (quoting Waldron v. SL Indus., Inc., 
    56 F.3d 491
    , 494 (3d Cir.
    1995)). The elements of a prima facie case of age
    discrimination are that: (1) the plaintiff is at least forty years
    old; (2) the plaintiff suffered an adverse employment
    decision; (3) the plaintiff was qualified for the position in
    question; and (4) the plaintiff was ultimately replaced by
    another employee who was sufficiently younger so as to
    support an inference of a discriminatory motive. Burton v.
    Teleflex Inc., 
    707 F.3d 417
    , 426 (3d Cir. 2013). This Court
    has indicated the prima facie case is not “intended to be rigid,
    mechanized, or ritualistic.” Pivirotto, 
    191 F.3d at 352
    (quoting Furnco Constr. Corp. v. Waters, 
    438 U.S. 567
    , 577
    (1978)). Where the plaintiff is not directly replaced, the fourth
    element is satisfied if the plaintiff can provide facts which “if
    otherwise unexplained, are more likely than not based on the
    consideration of impermissible factors.” 
    Id.
    Once the plaintiff has successfully established a prima
    facie case creating an inference of discrimination, the burden
    shifts to the employer who must “articulate a legitimate
    nondiscriminatory reason for the adverse employment
    action.” Jones v. Sch. Dist. of Phila., 
    198 F.3d 403
    , 412 (3d
    Cir. 1999) (citing Keller, 130 F.3d at 1108). This second step
    of McDonnell Douglas does not require that the employer
    prove that the articulated legitimate, nondiscriminatory reason
    was the actual reason for the adverse employment action.
    Instead, the employer must provide evidence that will allow
    the factfinder to determine that the decision was made for
    nondiscriminatory reasons. Fuentes, 
    32 F.3d at 763
    .
    10
    If the employer satisfies this second step, the burden
    shifts back once more to the plaintiff to show, by a
    preponderance of the evidence, that the employer’s proffered
    legitimate, nondiscriminatory reason was pretextual. Burton,
    707 F.3d at 426–27. In Fuentes v. Perskie, this Court
    recognized two ways in which a plaintiff can demonstrate that
    the employer’s legitimate, nondiscriminatory reason was
    pretextual. 
    32 F.3d at 762
    . The first way to show pretext is for
    the plaintiff to point to evidence that would allow a factfinder
    to disbelieve the employer’s reason for the adverse
    employment action. 
    Id. at 765
    . In order to raise sufficient
    disbelief, the evidence must indicate “such weaknesses,
    implausibilities,      inconsistencies,      incoherencies,    or
    contradictions in the employer’s proffered legitimate reasons”
    to satisfy the factfinder that the employer’s actions could not
    have been for nondiscriminatory reasons. 
    Id.
     Alternatively,
    the second way a plaintiff can establish pretext is to point to
    evidence that would allow a factfinder to believe that an
    invidious discriminatory reason was “more likely than not a
    motivating or determinative cause” of the employer’s action.
    
    Id. at 764
    . Specifically, the plaintiff can show pretext this way
    by presenting evidence “with sufficient probative force” so as
    to allow the factfinder to “conclude by a preponderance of the
    evidence that age was a motivating or determinative factor.”
    Simpson, 
    142 F.3d at
    644–45 (citing Keller, 130 F.3d at
    1111). Pointing to evidence demonstrating any of the
    following satisfies this second way to prove pretext: (1) the
    defendant previously discriminated against the plaintiff; (2)
    the defendant discriminated against others within the
    plaintiff’s protected class; or (3) the defendant has treated
    similarly situated, substantially younger individuals more
    favorably. Simpson, 
    142 F.3d at
    645 (citing Fuentes, 
    32 F.3d at 765
    ). If this step is satisfied, at trial the plaintiff must
    11
    convince the factfinder that not only was the employer’s
    proffered reason false, but the real reason was impermissible
    discrimination. Fuentes, 
    32 F.3d at 763
     (quoting St. Mary’s
    Honor Ctr., 
    509 U.S. at 515
    ).
    a.     Prima Facie Case
    Since the parties agree that Willis has satisfied the first
    three elements of a prima facie case, the only element at issue
    is the fourth: whether Willis has presented evidence that
    raises an inference of age discrimination. (A-10). Willis
    claims that she has satisfied this element by demonstrating
    that Children’s treated similarly situated, but substantially
    younger, individuals more favorably. (Appellant Br. 10). The
    District Court rejected this argument, finding the evidence
    Willis provided “would not permit an inference of intentional
    discrimination.” 5 (A-13). Accordingly, the District Court
    5
    In the proceedings below, Willis asserted that there
    were three ways she satisfied the fourth element of her prima
    facie case. First, Willis claimed that she satisfied this element
    because Graves, a substantially younger employee, replaced
    her as co-lead NNP. The District Court rejected this argument
    since at the time of her termination, Willis was no longer co-
    lead NNP. (A-11). Second, Willis contended that Children’s
    hiring three NNPs, all of whom were substantially younger
    than her, satisfied this element. The District Court concluded
    that there was insufficient evidence in the record to support
    this contention since Willis had not provided information
    about these employee’s ages, or more importantly, that they
    assumed Willis’s duties. (A-11). Third, Willis advanced the
    sole argument she raises on appeal, that she satisfied the
    12
    found that Willis had not “adduced sufficient evidence to
    establish a prima facie case.”6 (A-13).
    On appeal, Willis renews her claim that the evidence
    she provided raises an inference of discrimination that
    Children’s treated similarly situated, substantially younger
    employees more favorably. (Appellant Br. 10). To
    demonstrate more favorable treatment of similarly situated,
    substantially younger employees, Willis references the three
    disciplinary incidents, and cites the lack of discipline for
    substantially younger employees engaging in the same or
    similar conduct. (Appellant Br. 10–12). However, with
    respect to the first incident in August 2011, Willis states
    “[t]here is no . . . indication on the record that any
    substantially younger employee was ever reported for using
    profanity, much less disciplined for it.” (Appellant Br. 11).
    With respect to the second incident, which took place in early
    January 2012, Willis also admits that “[t]here is nothing on
    the record to indicate that there are any similarly situated
    employees of any age who were accused, falsely or not, of
    raising their voices or yelling at Clinical Leaders.” (Appellant
    Br. 11). Willis’s reference here to the lack of discipline goes
    against her argument of more favorable treatment of younger
    employees, since she admits there is no evidence that anyone,
    fourth element because Children’s treated similarly situated,
    substantially younger employees more favorably. (A-12).
    6
    Because Willis’s Amended Complaint did not cite
    the demotion from co-lead NNP as an adverse employment
    event, the District Court did not treat it as such and instead
    found that Willis’s termination was an adverse employment
    action, in satisfaction of the third element of a prima facie
    case, with which Children’s agreed. (A-10 n.3).
    13
    including employees her own age, committed these same
    infractions and escaped discipline. (Appellant Br. 11). In
    conceding this, Willis admits that there is no evidence to
    support her point, but attempts to use this omission in her
    favor.
    The argument that the absence of disciplinary incidents
    involving younger staff members is evidence of more
    favorable treatment, defies this Court’s precedent and logic.
    This Court has emphasized that evidence of more favorable
    treatment cannot be viewed in a vacuum, but rather that the
    record must be viewed as a whole. Simpson, 
    142 F.3d at
    645–
    46. Viewing the record in its entirety, which includes Willis’s
    documented issues with communication and interpersonal
    skills, this argument works against Willis. (A-179–A-181, A-
    337). Instead of showing disparate treatment of Willis as an
    employee in a protected class, the record, particularly the
    three disciplinary incidents, supports the concerns of Willis’s
    supervisors that she had difficulty working appropriately with
    others. The record does not reveal any evidence of similarly
    situated, substantially younger employees experiencing
    similar difficulties and not receiving discipline. (Appellant
    Br. 11).
    Assessing the other portions of the record Willis cites
    in support of her case, she has not pointed to any other
    evidence that gives rise to the inference that she was
    terminated due to age discrimination. Willis’s argument that
    Children’s discriminated against her on the basis of age is
    rooted in her own belief that this was the reason for her
    termination, but she is unable to point to any supporting
    evidence. Willis concedes that she cannot identify anything
    Lamouree, Hupp, or Valenta ever said that would suggest an
    14
    age bias in general, or specifically with respect to Willis. (A-
    138–A-139). In fact, when questioned at her deposition about
    the role her age played in her employment at Children’s, the
    only conversation Willis recalled ever having with her
    supervisors was a statement she made once that she planned
    to work until age sixty-five. (A-136–A-138). A passing
    reference to retirement age and Willis’s own belief that age
    discrimination occurred do not comprise sufficient evidence
    that similarly situated, substantially younger employees were
    more favorably treated, and therefore do not satisfy the fourth
    element of a prima facie case. See Pivirotto, 
    191 F.3d at 352
    .
    b.     Pretext
    The District Court found that even assuming,
    arguendo, that Willis established a prima facie case of age
    discrimination, her claims still ultimately failed because she
    did not demonstrate pretext. (A-13). At the second step of
    McDonnell Douglas, Children’s cited the three disciplinary
    incidents as legitimate, nondiscriminatory reasons for
    terminating Willis’s employment. (A-13). The District Court
    found that these reasons satisfied Children’s burden, stating
    “the nature and documentation of these disciplinary incidents,
    and their acknowledgement by Willis . . . [are] sufficient for a
    reasonable jury to find that Children’s dismissed Willis for
    reasons other than her age.” (A-13). Willis responds that these
    reasons are riddled with inconsistencies such that a
    reasonable factfinder could find said reasons were pretext for
    discrimination. (Appellant Br. 15). As for the first way a
    plaintiff can prove pretext, the District Court found that
    Willis failed to present evidence from which a rational
    factfinder could determine that Children’s legitimate,
    nondiscriminatory reasons with respect to all three incidents
    15
    “were unworthy of credence.” (A-15) (quoting Fuentes, 
    32 F.3d at 765
    ) (discussing the mid-August 2011 incident); (A-
    17) (discussing the early January 2012 incident); (A-18)
    (discussing the mid-January 2012 incident). Looking at the
    second way a plaintiff can prove pretext, the District Court
    found that Willis did not provide evidence for any of the three
    possible ways a plaintiff can demonstrate that an
    impermissible discrimination was more likely than not the
    determinative cause of the challenged action. (A-18–A-21).
    Assessing the record in the light most favorable to
    Willis, we conclude that she has not shown by a
    preponderance of the evidence that the legitimate,
    nondiscriminatory reasons Children’s offered were pretext for
    discrimination. See Fuentes, 
    32 F.3d at 763
    . As the District
    Court correctly noted, at the pretext stage it is not a court’s
    role to “rul[e] on the strength of cause for discharge. The
    question is not whether the employer made the best, or even a
    sound, business decision; it is whether the real reason is
    [discrimination].” (A-15) (alterations in original) (quoting
    Keller, 130 F.3d at 1109) (internal quotation marks omitted).
    Willis’s attempt to cast Children’s articulated reasons as
    pretext are unsuccessful because she does not point to
    evidence that demonstrates Children’s did not in fact rely on
    its articulated reasons when terminating her employment. See
    Fuentes, 
    32 F.3d at
    765–67.
    i.        First Method of Proving
    Pretext
    Assessing the three disciplinary incidents for evidence
    sufficient for a factfinder to disbelieve the employer’s
    articulated reasons, this Court concludes that Willis is unable
    16
    to show that her supervisors did not actually rely on her
    conduct to discipline her and ultimately terminate her
    employment. For the August 2011 incident, Willis does not
    dispute that she violated hospital policy by using profanity in
    close proximity to families and patients. (A-346); (Appellant
    Br. 5). Instead, she attempts to mitigate her own actions by
    suggesting that others have committed the same infraction,
    citing the “fairly commonplace” use of profanity at
    Children’s. (A-118). Willis also asserts that because the
    patient’s father did not hear the profanity, Lamouree’s
    discipline was improper. (Appellant Br. 14). Willis’s focus on
    whether the patient’s family heard her outburst is misplaced
    in the context of this Court’s pretext analysis. It does not
    matter whether the family heard, or even if she was directly in
    front of the patient’s family. Rather, it matters whether
    Willis’s use of profanity was the reason Lamouree disciplined
    Willis. Since Willis admits to the disciplined conduct, and in
    light of Children’s goal of maintaining the NICU as an
    environment in which patients and their families feel safe, 7
    7
    Willis emphasizes that the patient’s family did not
    hear her use profanity, however the warning she received did
    not cite the family hearing her as the basis for the discipline.
    Rather, the warning stated, in relevant part: “On 8/19/11,
    several staff members witnessed, and upon questioning, you
    admit to using inappropriate language including the use of the
    word “fuck” while in close proximity to patients and
    families.” (A-185). Based on the language of the warning, it
    appears that Children’s disciplined Willis because of the very
    act of using such language in close proximity to patients and
    families. (Appellee Br. 21–22). Since this uncontroverted act
    is a sufficient basis for discipline, Willis’s arguments about
    Lamouree’s failure to ascertain if the family heard is
    17
    Willis has not shown that Lamouree’s reason for discipline is
    so weak as to render it “unworthy of credence.” See Fuentes,
    
    32 F.3d at 765
     (quoting Ezold v. Wolf, Block, Schorr & Solis-
    Cohen, 
    983 F.2d 509
    , 531 (3d Cir. 1992)) (internal quotation
    marks omitted); (A-180).
    Willis also does not present evidence that renders
    implausible Children’s decision to terminate Willis because
    of the other two disciplinary incidents. As the District Court
    noted, the relevant question with respect to Willis’s early
    January confrontation with the NICU leadership is not
    whether Willis actually yelled, which she denies doing, but
    whether Lamouree believed Willis treated staff members
    inappropriately and imposed discipline for that reason. (A-
    15). In light of Willis’s employment record, she has not
    shown that “[t]he notion that talking loudly could be the basis
    for discipline is so ludicrous that it cannot possibly be a
    rational employer’s true reason for acting.” (A-16) (quoting
    Appellant Br. 14) (internal quotation marks omitted). It is
    rational, as the District Court aptly noted, that Lamouree
    “perceived [this incident] to be another instance of harsh or
    offensive interpersonal communication by Willis.” (A-16).
    Six months prior to the incident, in Willis’s performance
    review, Lamouree told her that she needed to “improve her
    communication style, which can be harsh and critical.” (A-
    337). Lamouree stated that before this incident she had
    received numerous complaints from both nurses and
    physicians about Willis’s “condescending and harsh style.”
    (A-180). Among the reasons Lamouree cited for asking Willis
    to step down from co-lead NNP were her treatment of staff
    and subordinate nurses. (A-180–A-181). Based on the record,
    irrelevant. (Appellant Br. 13).
    18
    it was not “ludicrous,” as Willis contends, for Lamouree to
    discipline her for this incident.
    With respect to the third disciplinary incident
    involving the incomplete admission orders, Children’s
    discipline of Willis but not Bernardi does not demonstrate
    that the discipline was “so plainly wrong that it [could not]
    have been the employer’s real reason.” Keller, 130 F.3d at
    1109. Willis argues that Bernardi was just as culpable, if not
    more so, despite the two nurse’s different actions and
    responses to Hupp following the incident. Willis
    communicated to Hupp that she told Bernardi she “had
    handled the admission” of the baby and “taken care of it.” (A-
    350). Bernardi confirms that Willis did tell her this. (A-359).
    Bernardi told Hupp she checked in about the patient before
    the end of her shift and asked Willis if she needed to do
    anything, to which Willis responded “no, he’s fine.” (A-359).
    Based on the communication between Bernardi and Willis, it
    appears Bernardi had reason to think Willis had assumed
    responsibility, regardless of whether the patient came in on
    the blue or green team. Subsequently, Willis’s failure to
    complete the admission orders, which she incorrectly told
    Hupp she had finished, does not show an inconsistency in
    Children’s discipline. Bernardi, unlike Willis, did not
    explicitly assume responsibility for a patient and leave her
    shift without discharging the attendant tasks. (A-359). The
    evidence to which Willis points fails to create sufficient
    disbelief so that a factfinder could rationally find that
    Children’s did not rely on these reasons in disciplining Willis.
    ii.        Second Method of Proving
    Pretext
    19
    As for the second way this Court has recognized a
    plaintiff can establish pretext, Willis has not presented
    evidence that supports any of the three categories that would
    allow a factfinder to believe unlawful discrimination was
    more likely than not a motivating or determinative cause of
    her termination. As noted above, Willis was unable to point to
    any evidence that Children’s previously discriminated against
    her on the basis of age. (A-138). The sole conversation
    involving age, which was limited to Willis’s comment about
    when she planned to retire, does not support discrimination
    on Children’s part. (A-137–A-138). As the District Court
    noted, it is common business practice, and not impermissible
    discrimination, for an employer to inquire about retirement
    plans in anticipation of staffing needs. (A-19).
    Unable to identify any statements by neonatal nurse
    leadership indicating an age bias, Willis asserts that
    leadership replacing experienced staff with inexperienced
    nurses constitutes evidence that Children’s has discriminated
    against others within her protected class. (A-138–A-141).
    Willis’s argument fails in light of her admission that the
    experienced staff Children’s replaced were not fired, but left
    voluntarily, without conditions suggesting age discrimination.
    (A-139–A-140). Natural staff turnover and increased hiring
    related to expansion do not support Willis’s argument that
    Children’s discriminated against others in her protected class.
    Moreover, the allegedly commonplace nature of
    profanity at Children’s and unconfirmed rumors regarding the
    non-discipline of another nurse for “abruptness” and
    “sarcas[m]” do not constitute evidence that similarly situated,
    substantially younger employees were treated more favorably.
    (A-118–A-120). The only support Willis provides for the
    20
    assertion that many employees use profanity and did not
    receive similar treatment is her statement that “[t]here is . . .
    no indication on the record that any substantially younger
    employee was ever reported for using profanity, much less
    disciplined for it.” (Appellant Br. 11). As noted previously,
    this alleged lack of discipline does not provide sufficient
    support for Willis’s assertion of more favorable treatment.
    Willis also cited “scuttlebutt” among the nursing staff that
    another NNP was reported to management for abruptness and
    sarcasm.8 (A-119–A-120). Even if this rumor is true, Willis’s
    second-hand account does not provide evidence of more
    favorable treatment towards a similarly situated, substantially
    younger employee. The rumored conduct, involving
    abruptness and sarcasm, is not the same as the use of
    profanity in close proximity to patients and their families.
    8
    Willis stated in her deposition that she believes the
    subject of this rumor to be Becky Graves, who as discussed
    supra, note 1, is substantially younger than Willis. (A-119).
    The extent of Willis’s knowledge on the matter is that Graves
    was reported to Lamouree by other nurses, but Willis is not
    sure who reported Graves. Willis stated in her deposition that
    she believes Children’s did not discipline Graves for this
    reported incident, but Willis admitted her knowledge of this is
    solely “scuttlebutt” from the NNPs. (A-120).
    Willis raised the issue of the non-discipline of Graves
    in the proceedings below, but does not discuss it in her brief
    on appeal. Because Willis argues that more favorable
    treatment of similarly situated, substantially younger
    employees provides evidence supporting pretext, we address
    it here, assuming it is not waived, as part of the larger
    analysis regarding this category of evidence.
    21
    Willis does not argue that this conduct was similarly in
    violation of hospital policy, or as serious in its impact on the
    hospital environment.
    More importantly, Willis is unable to provide specifics
    to establish that this other employee was in fact not
    disciplined, and if so, any reason why she was not disciplined.
    In the pretext context, this type of second-hand, general
    rumor regarding a single substantially younger employee is
    insufficient as a matter of law to show pretext. While this
    Court has acknowledged that evidence demonstrating that a
    single member of a non-protected group received more
    favorable treatment can be relevant, “[a] decision adversely
    affecting an older employee does not become a
    discriminatory decision merely because one younger
    employee is treated differently.” Simpson, 
    142 F.3d at
    645–
    46. Setting aside the lack of corroboration regarding this
    incident, the evidence Willis provides on the other
    employee’s non-discipline is not appropriate at the pretext
    stage “where the factual inquiry into the alleged
    discriminatory motives of the employer has risen to a new
    level of specificity.” 
    Id.
     at 646 (citing St. Mary’s Honor Ctr.,
    
    509 U.S. at 516
    ). This rumored, unspecified, and
    uncorroborated evidence concerning a single employee fails
    to establish pretext. Accordingly, we will affirm the District
    Court’s grant of summary judgment in favor of Children’s on
    both claims.9
    9
    At deposition, Willis admitted that after Children’s
    terminated her employment, she did not apply for a single job
    as a NNP, or even in the nursing or health care field, because,
    as she stated at her deposition, she was “very devastated and
    very much turned off and soured by what nursing had done to
    22
    III.   Conclusion
    For the foregoing reasons, we will affirm the final
    judgment of the District Court dated February 10, 2015.
    [her] and didn’t want to put [her]self in that position.” (A-80).
    Because we hold that Willis did not establish a prima facie
    case of age discrimination, and would not be able to succeed
    at the pretext stage if she were to meet her prima facie
    burden, we do not reach Children’s argument that even if
    Willis succeeded under the McDonnell Douglas framework,
    she could not recover front or back pay for failure to mitigate
    damages. (Appellee Br. 24–25).
    23