Beyah v. Walker ( 2009 )


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  •                        UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    __________________________________________
    )
    OMAR N. BEYAH,                             )
    )
    Plaintiff,                     )
    )
    v.                             )  Civil Action No. 07-109 (ESH)
    )
    GENE L. DODARO,                            )
    Acting Comptroller General,                )
    U.S. Government Accountability Office,     )
    )
    Defendant.                     )
    __________________________________________)
    MEMORANDUM OPINION
    Plaintiff Omar N. Beyah is an African-American male who was previously employed by
    the United States General Accounting Office (“GAO” or “the agency”). He claims that his
    employer discriminated against him on the basis of his race and gender and retaliated against him
    for opposing that discrimination, in violation of Title VII of the Civil Rights Act of 1964, 42
    U.S.C. § 2000e et seq. (“Title VII”). Having considered defendant’s motion for summary
    judgment, the record herein, and for the reasons set forth below, the Court will grant the motion.
    BACKGROUND
    Since approximately 1988, plaintiff worked for the U.S. General Services Administration
    as an architect and a program manager. (See Pl.’s Opp’n to Def.’s Mot. for Summ. J. (“Opp’n”),
    Decl. of Omar N. Beyah (“Beyah Decl.”) ¶ 2.) In April 2003, while attending a Senior Executive
    Fellows program at Harvard University, plaintiff met Mark Goldstein, a director in GAO’s
    Physical Infrastructure (“PI”) team. (See Opp’n, Statement of Genuine Issues and Affirmative
    Statement of Material Facts (“Pl.’s SMF”) at 1-2 ¶ 3.) Goldstein actively recruited plaintiff to
    apply for a position with GAO, and in June, Goldstein met with plaintiff to discuss an
    1
    employment opportunity as a GAO analyst working on PI issues. (See id. at 2 ¶¶ 4-5.) Goldstein
    informed plaintiff about the GAO website’s description of the position, gave him the website
    address for the online application, and encouraged him to apply. (Id. at 2 ¶ 6; Opp’n,
    Attachment 29 (Beyah Dep., Apr. 11, 2008) (“Beyah Dep.”1) at 49:11-14). Thereafter, plaintiff
    applied for the position, which was at the “Band II” level. (Pl.’s SMF at 2 ¶ 7.) GAO classifies
    employees in one of three “bands” (Bands I, II, and III) instead of using the General Schedule
    (“GS”) pay system; during the relevant period, the pay range for employees at the Band II level
    was approximately equivalent to the salary range covered by the GS-13 and GS-14 grades.
    (Def.’s Mot. for Summ. J. (“Mot.”), Ex. 3 (Decl. of Margaret Braley) (“Braley Decl.”) ¶ 2.)
    Around July 2003, plaintiff interviewed with Goldstein and Terrell Dorn, then an
    assistant director in PI, among other GAO officials. (Pl.’s SMF at 2 ¶ 8.) After interviewing
    plaintiff and other applicants, Goldstein and Dorn decided that plaintiff was the best candidate
    for the Band II “senior analyst” position. (Def.’s SMF ¶ 9.)2 Consequently, Goldstein and Dorn
    recommended to Mike Gryszkowiec, PI’s managing director, that plaintiff be hired, and plaintiff
    thereafter accepted an offer to join GAO as a Band II Senior Analyst. (Pl.’s SMF at 2-3 ¶¶ 9-
    10.) Consistent with GAO regulations at the time, plaintiff was informed on July 23 that he
    1
    Defendant also submitted excerpts from this deposition as Exhibit 5 to his motion.
    2
    Plaintiff denies that the position was a Band II position (see Pl.’s SMF at 2 ¶ 9), but this
    denial does not comply with Local Civil Rule 7 because it is not supported with a citation to
    record evidence. See Local Civ. R. 7(h) (“An opposition to [a motion for summary judgment]
    shall be accompanied by a separate concise statement of genuine issues setting forth all material
    facts as to which it is contended there exists a genuine issue necessary to be litigated, which shall
    include references to the parts of the record relied on to support the statement.” (emphasis
    added)). As such, plaintiff has not raised any genuine issue with respect to this factual assertion
    by defendant. See Adesalu v. Copps, 
    606 F. Supp. 2d 97
    , 103 & n.4 (D.D.C. 2009) (Friedman,
    J.) (declining, in Title VII case, to recognize plaintiff’s denial of defendant’s asserted material
    fact where he failed to comply with Rule 7(h)(1)’s requirement that denials must be supported by
    citation to record evidence).
    2
    would be serving a one-year probationary period. (See 
    id.
     at 3 ¶¶ 11-12.)
    Plaintiff’s effective start date at GAO was September 21, 2003. (Opp’n, Ex. 1
    (Notification of Personnel Action) at 1.) Dorn served both as plaintiff’s supervisor and his
    Designated Performance Manager (“DPM”), and thus was responsible for monitoring and
    assessing plaintiff’s performance. (Pl.’s SMF at 4 ¶ 18.) Dorn reported to Goldstein, who in
    turn reported to Gryszkowiec. (Id. at 4 ¶ 19.) After plaintiff had completed orientation and
    initial training, Dorn and Goldstein assigned Maria Edelstein, a Band II Senior Analyst on the PI
    team who had been with GAO for approximately 15 years, to be plaintiff’s day-to-day
    supervisor. (See Def.’s SMF ¶ 17; see also Pl.’s SMF at 3-4 ¶ 17.)3 Plaintiff was told to report
    directly to Edelstein, with whom he worked on “most of” his projects. (Beyah Dep. 115:11-13,
    115:23-116:16.)
    Plaintiff’s first assignment was an internal PI engagement for which he was tasked with
    developing a GAO guidance document regarding the design process (“the Guide”). (See Pl.’s
    SMF at 4-5 ¶ 22; Beyah Dep. at 105; Mot., Ex. 18 (Pl.’s Resps. To Def.’s 1st Interrogs.) at 41.)
    On this engagement, Edelstein was the analyst-in-charge and Dorn was the assistant director.
    (Mot., Ex. 18 at 41.) From October 2003 to February 2004, plaintiff prepared multiple drafts of
    sections of the Guide. (Pl.’s SMF at 5 ¶ 24.) Although the Guide initially focused on the design
    3
    Although plaintiff denies that Edelstein was his supervisor and cites to his 2009
    declaration as support (see Pl.’s SMF at 3-4 ¶ 17), this denial is expressly contradicted by his
    2008 deposition testimony, which was cited in defendant’s statement of facts. (See Beyah Dep.
    at 115:4-6 (Q: “[W]ould you say that Ms. Edelstein had been your supervisor since day one,
    since when you started?” A: “Yes.”).) “Plaintiff cannot contradict clear answers to unambiguous
    questions given at deposition for the purpose of creating disputed factual issues and thereby
    avoid summary judgment.” See Hendricks v. Paulson, 
    520 F. Supp. 2d 65
    , 79 n.17 (D.D.C.
    2007), aff’d sub nom. Hendricks v. Geithner, 
    568 F.3d 1008
     (D.C. Cir. 2009); see also Reetz v.
    Jackson, 
    176 F.R.D. 412
    , 414 (D.D.C. 1997) (“‘[A] party’s affidavit which contradicts [her] own
    prior deposition testimony should be disregarded on a motion for summary judgment.’” (quoting
    Mack v. United States, 
    814 F.2d 120
    , 124 (2d Cir. 1987)).
    3
    phase, by January 2004 the focus had shifted to conceptual planning. (Beyah Dep. at 105:3-6.)
    Plaintiff received negative comments on his sentence structure and use of industry terms and
    references, and he was specifically criticized for not connecting the design phase to the
    construction process. (Pl.’s SMF at 5 ¶ 24.) After the Guide was finalized, plaintiff was also
    tasked with “indexing” its contents, a process by which GAO verifies and documents that all
    information contained in a GAO product is supported by source material. (Id. at 5 ¶ 25.)
    Following his first indexing attempt, plaintiff received comments from the index reviewer that
    the index was not consistent with GAO’s indexing rules. (Mot., Ex. 21 (Pl.’s Resps. To Def.’s
    2nd Interrogs.) at 4.) Edelstein subsequently criticized plaintiff’s work and required him to re-
    index the entire document. (Id. at 4-5.)
    In February 2004, plaintiff was assigned to work on an engagement involving PI issues at
    the John F. Kennedy Center for the Performing Arts (“Kennedy Center”). (Pl.’s SMF at 5-6 ¶
    27.) Plaintiff’s principal role was to develop an estimate of operations and management
    (“O&M”) costs and draft a section for the report on this issue. (Id. at 6 ¶ 28.) Edelstein was the
    project’s analyst-in-charge. (Beyah Dep. at 117:9-15.) In March, Susan Fleming joined the
    project as the assistant director; she served as plaintiff’s second-level supervisor, setting
    objectives and deadlines, and reported to the project’s director, who was Goldstein until Peter
    Guerrero took over in April. (See Beyah Dep. at 143-45; Mot., Ex. 19 (Fleming EEO Aff., May
    16, 2005) (“Fleming Aff.”) ¶¶ 2-3, 6.) That same month, plaintiff was involved in a dispute with
    a GAO librarian. (See Def.’s SMF ¶ 47.)4 At another point during plaintiff’s time with GAO, a
    U.S. State Department official called and complained to John Brummet, an assistant director on
    4
    Plaintiff appears to deny the fact of an argument (see Pl.’s SMF at 9 ¶ 47), but his
    declaration confirms that he had an interaction with the librarian where she supposedly was
    “rude,” “hostile,” and “disrespectful,” and which involved a “miscommunication” for which she
    faulted plaintiff. (Beyah Decl. ¶ 50.)
    4
    GAO’s International Affairs and Trade (“IAT”) team, about plaintiff’s confrontational conduct
    while attending a meeting with IAT and State Department officials. (Id. at 9 ¶ 46; see also
    Opp’n, Ex. 8 (Brummet EEO Aff., May 10, 2005) (“Brummet Aff.”) ¶ 3.)
    On April 7, 2004, Fleming and Edelstein met with plaintiff to discuss the expectations for
    his performance on the Kennedy Center engagement. (See Pl.’s SMF at 11 ¶ 56.) During the
    meeting, when Fleming learned that plaintiff was working on seven projects, she “cautioned
    [him] about working on too many jobs,” and they discussed that he had to “be careful to manage
    them to meet job expectations for the Kennedy Center.” (Mot., Ex. 53 (Apr. 7, 2004 Beyah
    mem.) at 1-2.) Following the meeting, plaintiff gave Fleming a memorandum containing his
    minutes of that meeting. (See id.; Pl.’s SMF at 11 ¶ 56.) At plaintiff’s request, he and Fleming
    met again that same day to discuss why expectations were being set for his work. (Pl.’s SMF at
    11 ¶ 56.) On April 16, plaintiff emailed Fleming a memorandum of minutes from that second
    April 7 meeting. (Id. at 12 ¶ 57; see Mot., Ex. 54 (Apr. 16, 2004 Beyah mem. & cover letter).)
    The email explained that plaintiff intended to put in writing “matters that could impact personnel
    actions with or against” him, specifically disagreements involving “observation[s] of behavior”
    that would “impact[] [his] decision making” or his “ability to do work in a supporting
    environment.” (Mot., Ex. 54 at 1.)
    That same month, plaintiff met with Kennedy Center officials on at least two occasions.
    (See Mot., Ex. 17 (Edelstein EEO Aff., May 12, 2005) (“Edelstein Aff.”) ¶ 5.) During one
    meeting, plaintiff asked an official whether the Center might be “wasting money in those
    instances when it does not know what it is spending money on.” (Beyah Decl. ¶ 55.) Fleming
    concluded that the officials were offended because plaintiff inappropriately “informed them that
    they were not following industry standards and best practices and most likely wasting money.”
    5
    (Fleming Aff. ¶ 6.) Edelstein similarly felt that plaintiff made inappropriate recommendations
    and requests that upset the officials. (See Edelstein Aff. ¶ 5.) Fleming and Edelstein told Dorn
    and Goldstein about these concerns and what they perceived to be plaintiff’s defensiveness when
    receiving feedback and his inability “to complete basic paperwork without supervision.” (Mot.,
    Ex. 27 (“Dorn DPM Notes”) at 1; see also Fleming Aff. ¶ 6; Edelstein Aff. ¶ 5.)
    On June 9, 2004, Edelstein circulated to the Kennedy Center PI team a timetable for
    completing their work on the report, including a June 18, 2004 deadline for first drafts of each
    section. (Pl.’s SMF at 6 ¶ 31.) On Friday afternoon of June 18, plaintiff emailed Edelstein and
    Fleming what he described to be “[a] working draft of sec. 3,” which was a three-page outline.
    (See 
    id.
     at 6 ¶¶ 32-33; Mot., Ex. 30 (June 18, 2004 draft) at 2-4.) On June 22, plaintiff submitted
    to Edelstein his first revised draft section, which did not contain any O&M cost estimates for the
    proposed Kennedy Center buildings. (Pl.’s SMF at 7 ¶ 34; see Mot., Ex. 33 (June 22, 2004 draft)
    at 14 (estimating O&M costs “to be approximately $X million in 2012”).) When reviewing this
    first revised draft, Edelstein commented that plaintiff needed to better explain and “set up” his
    substantive discussions. (Pl.’s SMF at 7 ¶ 35.) In a June 30 meeting with Dorn and Edelstein,
    plaintiff gave an oral presentation of his section of the report, after which Dorn concluded that
    plaintiff’s work was “unacceptable and could not be supported” because he lacked “backup for
    his work,” used “flawed” methodology, and could not “explain what is behind the numbers he
    [was] using.” (Dorn DPM Notes at 1; see also Pl.’s SMF at 7-8 ¶¶ 36-38.)
    On July 1, 2004, plaintiff gave Edelstein another draft of his section of the report, which
    he titled his “second revised draft.” (Pl.’s SMF at 8 ¶ 39.) This draft did include an O&M cost
    estimate. (See Mot., Ex. 35 (July 1, 2004 draft) at 2 (estimating $4-5 million in O&M costs).)
    Edelstein provided substantive comments on this draft. (Pl.’s SMF at 8 ¶ 40.) Dorn also
    6
    requested that plaintiff adjust his O&M calculations to reflect the higher costs associated with the
    Washington, D.C. area. (Id. at 8 ¶ 41; see Beyah Decl. ¶¶ 37-39; Opp’n at 13-14.) On July 5,
    plaintiff submitted another draft that contained the locality-adjusted O&M numbers. (Pl.’s SMF
    at 8 ¶ 41; see Mot., Ex. 37 (July 5, 2004 draft) at 1 (estimating $6-8 million in O&M costs).) In
    his cover email for this third revised draft, plaintiff stated: “I am optimistic that out of the many
    tries to nail down the potential costs in current dollars I think we might have something worth
    your review and consideration.” (Pl.’s SMF at 8 ¶ 41.) Dorn and Fleming then made substantive
    comments on the July 5 draft. (Id. at 8 ¶ 42.) Thereafter, Fleming asked Ron Stouffer, an
    experienced PI employee who was not part of the Kennedy Center engagement team, to meet
    with plaintiff to try to assist him in writing his portion of the report. (See 
    id.
     at 8-9 ¶ 43; see also
    Beyah Decl. ¶ 45.) On July 7, Dorn met again with plaintiff and discussed plaintiff’s work on
    the Kennedy Center report. (See Pl.’s SMF at 9 ¶ 44.)
    On July 15, 2004, Gryszkowiec conducted a meeting with Dorn, Fleming, Edelstein,
    Guerrero, and Goldstein, to discuss what they perceived to be plaintiff’s performance and
    interpersonal problems. (Def.’s SMF ¶ 49; see also Mot., Ex. 44 (“Gryszkowiec Meeting
    Notes”) at 2.)5 As PI’s managing director, Gryszkowiec was ultimately responsible for deciding
    whether to recommend the termination of PI employees to GAO’s Human Capital Office. (Pl.’s
    SMF at 9-10 ¶ 48.) GAO regulations at the time stated that a probationary employee should be
    separated from GAO “whenever the employee’s work performance or conduct fails to
    demonstrate the fitness or qualifications for continued GAO employment.” (Id. at 11 ¶ 54.) At
    5
    Plaintiff denies that his interpersonal problems were discussed at the meeting (see Pl.’s
    SMF at 10 ¶ 49), but the denial is not supported by his citation to the portion of Gryszkowiec’s
    deposition wherein Gryszkowiec states he does not recall whether plaintiff’s interpersonal issues
    were specifically raised. (See Mot., Ex. 43 (Gryszkowiec Dep., Sept. 30, 2008) (“Gryszkowiec
    Dep.”) at 43:11-44:23.) See supra note 2; Local Civ. R. 7(h). Further, Gryszkowiec’s notes
    from that meeting explicitly reference interpersonal issues.
    7
    the July 15 meeting, Goldstein, Dorn, Fleming, and Edelstein expressed concerns about
    plaintiff’s performance, with Goldstein and Dorn recommending that plaintiff’s employment be
    terminated. (See id. at 10 ¶¶ 50-51; Gryszkowiec Dep. at 35-36.) Based on the information
    received during the meeting and the applicable GAO regulations, Gryszkowiec decided that
    plaintiff should be terminated for poor performance and problematic interpersonal skills. (See
    Pl.’s SMF at 10 ¶ 52.)
    As a result of Gryszkowiec’s decision, on July 15, 2004, Goldstein informed plaintiff that
    his employment would not be extended beyond his probationary period. (Pl.’s SMF at 10-11 ¶
    53.) The next day, plaintiff contacted an Equal Employment Opportunity (“EEO”) counselor in
    GAO’s Office of Opportunity and Inclusiveness. (See id. at 12 ¶ 59.) This was his first contact
    with an EEO representative at GAO. (Id.) In early August, plaintiff filed a charge with GAO’s
    Personnel Appeals Board (“PAB”), challenging the actions leading up to and including his
    termination. (See Opp’n, Ex. 25 (“PAB Documents”) at 1.) On August 20, Gryszkowiec sent a
    memorandum to GAO’s Chief Human Capital Officer, Jesse Hoskins, recommending the
    termination of plaintiff’s appointment during his probationary period for unsatisfactory
    performance and interactions, stating that plaintiff had “continued difficulties” in the GAO
    performance competencies of “Achieving Results,” “Presenting Information Orally,” “Presenting
    Information in Writing,” “Representing GAO,” and “Collaborating with Others.” (Pl.’s SMF at
    11 ¶ 55.)6 On August 23, Hoskins issued a letter to plaintiff notifying him that he would be
    terminated effective September 10, 2004, for unsatisfactory performance. (See Opp’n, Ex. 7
    (“Hoskins Letter”).) On September 9, the PAB granted two ex parte requests by its General
    6
    The performance competencies describe the level of performance necessary to “Meet
    Expectations” in each competency at each band level, which is the minimum level of acceptable
    performance in GAO’s Competency-Based Performance System. (Pl.’s SMF at 1 ¶ 2.)
    8
    Counsel to stay plaintiff’s termination date, so that the General Counsel could investigate
    whether plaintiff’s terminations arose from “one or more prohibited personnel practices.” (PAB
    Order at 13 n.1.) Plaintiff’s termination was stayed until the end of business on October 18,
    2004. (Id. at 17.) He subsequently exhausted his administrative remedies and timely initiated
    this action on January 17, 2007.
    ANALYSIS
    I.     LEGAL STANDARDS
    A.      Standard of Review
    Under Rule 56 of the Federal Rules of Civil Procedure, a motion for summary judgment
    shall be granted if the pleadings, depositions, answers to interrogatories, admissions on file, and
    affidavits show that there is no genuine issue of material fact, and that the moving party is
    entitled to judgment as a matter of law. Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 247
    (1986). “A dispute about a material fact is not ‘genuine’ unless ‘the evidence is such that a
    reasonable jury could return a verdict for the nonmoving party.’” Haynes v. Williams, 
    392 F.3d 478
    , 481 (D.C. Cir. 2004) (quoting Anderson, 
    477 U.S. at 248
    ). A moving party is thus entitled
    to summary judgment against “a party who fails to make a showing sufficient to establish the
    existence of an element essential to that party’s case, and on which that party will bear the
    burden of proof at trial.” Waterhouse v. District of Columbia, 
    298 F.3d 989
    , 992 (D.C. Cir.
    2002) (quoting Celotex Corp. v. Catrett, 
    477 U.S. 317
    , 322 (1986)).
    In considering a motion for summary judgment, “[t]he evidence of the non-movant is to
    be believed, and all justifiable inferences are to be drawn in his favor.” Anderson, 
    477 U.S. at 255
    ; see also Wash. Post. Co. v. U.S. Dep’t of Health and Human Servs., 
    865 F.2d 320
    , 325
    (D.C. Cir. 1989). The non-moving party’s opposition, however, must consist of more than mere
    9
    unsupported allegations or denials and must be supported by affidavits or other competent
    evidence setting forth specific facts showing that there is a genuine issue for trial. Fed. R. Civ.
    P. 56(e); Celotex, 477 U.S. at 324. If the non-movant fails to point to “affirmative evidence”
    showing a genuine issue for trial, Anderson, 
    477 U.S. at 257
    , or “[i]f the evidence is merely
    colorable, or is not significantly probative, summary judgment may be granted.” 
    Id. at 249-50
    (internal citations omitted). “While summary judgment must be approached with special caution
    in discrimination cases, a plaintiff is not relieved of her obligation to support her allegations by
    affidavits or other competent evidence showing that there is a genuine issue for trial.” Calhoun
    v. Johnson, No. 95-2397, 
    1998 WL 164780
    , at *3 (D.D.C. Mar. 31, 1998), aff’d No. 99-5126,
    
    1999 WL 825425
    , at *1 (D.C. Cir. Sept. 27, 1999) (internal citation omitted).
    B.      Title VII
    Under Title VII of the Civil Rights Act of 1964, it is an “unlawful employment practice”
    for employers “to discriminate against any individual with respect to his compensation, terms,
    conditions, or privileges of employment, because of such individual’s race, color, religion, sex,
    or national origin.” 42 U.S.C. § 2000e-2(a)(1). It is also unlawful to retaliate against an
    employee because he “has opposed any practice made an unlawful employment practice” by
    Title VII or because she “has made a charge, testified, assisted, or participated in any manner in
    an investigation, proceeding, or hearing” under Title VII. Id. § 2000e-3(a). Traditionally, courts
    have examined Title VII claims for discrimination under the three-step burden-shifting
    framework set forth in McDonnell Douglas Corp. v. Green, 
    411 U.S. 792
     (1973). However,
    where an employer has asserted legitimate, non-discriminatory reasons for the actions being
    challenged by the plaintiff,
    the district court must resolve one central question: Has the employee produced
    sufficient evidence for a reasonable jury to find that the employer’s asserted non-
    10
    discriminatory reason was not the actual reason and that the employer
    intentionally discriminated against the employee on the basis of race, color,
    religion, sex, or national origin?
    Brady v. Office of the Sergeant at Arms, 
    520 F.3d 490
    , 494 (D.C. Cir. 2008). “[T]hese principles
    apply equally to retaliation claims . . . .” Jones v. Bernanke, 
    557 F.3d 670
    , 678 (D.C. Cir. 2009).
    A plaintiff has the burden of persuasion to show that a defendant’s proffered non-
    discriminatory reason for the challenged action is a pretext. Morgan v. Fed. Home Loan
    Mortgage Corp., 
    328 F.3d 647
    , 654 (D.C. Cir. 2003). A plaintiff can carry this burden by
    showing that a non-discriminatory reason offered by a defendant is false, Montgomery v. Chao,
    
    546 F.3d 703
    , 707 (D.C. Cir. 2008), or otherwise “presenting enough evidence to allow a
    reasonable trier of fact to conclude that the employer’s proffered explanation is unworthy of
    credence.” Desmond v. Mukasey, 
    530 F.3d 944
    , 962 (D.C. Cir. 2008) (internal quotation marks
    omitted). A plaintiff may also “attempt[] to produce evidence suggesting that the employer
    treated other employees . . . more favorably in the same factual circumstances” than the
    employer treated the plaintiff. Brady, 
    520 F.3d at 495
    . Where “the employer’s stated belief
    about the underlying facts is reasonable in light of the evidence, however, there ordinarily is no
    basis for permitting a jury to conclude that the employer is lying about the underlying facts,” and
    summary judgment is appropriate. Id.; see also Paquin v. Fed. Nat’l Mortgage Ass’n, 
    119 F.3d 23
    , 27-28 (D.C. Cir. 1997) (“[I]f [a plaintiff] is unable to adduce evidence that could allow a
    reasonable trier of fact to conclude that [the defendant’s] proffered reason was a pretext for
    discrimination, summary judgment must be entered against [the plaintiff].”)
    II.     DISCRIMINATION
    Title VII “establishes two elements for an employment discrimination case: (i) the
    plaintiff suffered an adverse employment action (ii) because of the employee’s race, color,
    religion, sex, or national origin.” Brady, 
    520 F.3d at 493
    . “A plaintiff must prove both elements
    11
    to sustain a discrimination claim.” Baloch v. Kempthorne, 
    550 F.3d 1191
    , 1196 (D.C. Cir.
    2008).
    Plaintiff alleges that defendant discriminated against him on the basis of his race by not
    hiring him at the Band III level,7 and that defendant terminated him from his Band II senior
    analyst position because of his race and/or gender. Defendant contends that there were
    legitimate, non-discriminatory reasons for not selecting plaintiff for a Band III position and for
    later terminating him from his Band II position. (Mem. of P. &. A. in Supp. of Def.’s Mot. for
    Summ. J. (“Mem.”) at 2.) The Court finds that plaintiff has failed to “produce sufficient
    evidence that his employer’s asserted legitimate non-discriminatory reason[s] . . . [were] not the
    actual reason[s] and that [plaintiff] suffered discrimination on an impermissible ground.”
    Baloch, 55 F.3d at 1197. Accordingly, summary judgment shall be granted with respect to
    plaintiff’s discrimination claims.
    A.     Count IV: Non-Selection
    Plaintiff alleges that defendant discriminated against him on the basis of his race by
    hiring him as a Band II analyst, because this position was at a band or salary “lower than those
    levels at which [the agency] appointed similarly situated, Caucasian members of the Physical
    Infrastructure Team who held positions comparable to plaintiff’s[.]” (Compl. ¶ 67.) As
    evidence of discrimination, he points to the fact that a Caucasian applicant, Bradley James,
    joined the agency at the Band III level in a temporary three-year Comptroller General
    appointment dedicated to construction issues related to the U.S. Capitol Visitor’s Center. (Opp’n
    at 5; see Opp’n, Ex. 11 (Decl. of Bradley James) (“James Decl.”) ¶¶ 1-2.) Even if the supposed
    failure to consider plaintiff for the position on the Visitor’s Center project constituted an adverse
    7
    The pay range for the Band III level was approximately equivalent to the salary range
    covered by the GS-15 grade. (Braley Decl. ¶ 2.)
    12
    action,8 defendant has proffered the legitimate, non-discriminatory reason that James was the
    more qualified applicant, and based on the undisputed evidence, the Court concludes that
    plaintiff has failed to create a reasonable inference that this was not the true reason for his
    supposed non-selection.
    “[A]n ‘employer has discretion to choose among equally qualified candidates, provided
    the decision is not based upon unlawful criteria.’” Porter v. Fulgham, 
    601 F. Supp. 2d 205
    ,
    219 (D.D.C. 2009) (quoting Tex. Dep’t of Cmty. Affairs v. Burdine, 
    450 U.S. 248
    , 259 (1981)).
    Here, the undisputed facts show that the plaintiff did not even meet the standard of being
    “equally qualified.” Plaintiff had approximately 14 years of experience as an architect and held
    no professional license, while James was a licensed professional engineer with over 29 years of
    experience as a civil engineer for the Army Corps of Engineers. (Pl.’s SMF at 3 ¶¶ 14-15.)
    Thus, even assuming that plaintiff was qualified to fill the Visitor’s Center position,9 the fact that
    James was more experienced than plaintiff undercuts any possible inference of discrimination.
    8
    The Court need not resolve defendant’s alternative contention that plaintiff cannot
    establish the necessary element of an adverse action because he did not apply for a Band III
    position. (Mem. at 34.) However, plaintiff has admitted that he “never applied” for James’s
    position. (Pl.’s SMF at 3 ¶ 13.) Further, Dorn had no authority to hire anyone for a permanent
    Band III position (Mot., Ex. 15 (Decl. of Terrell Dorn) (“Dorn Decl.”) ¶ 10), and there is no
    indication that plaintiff – who had been recruited for permanent employment – expressed an
    interest in a temporary position during his recruitment or subsequent interviews. (See Beyah
    Dep. at 64; Beyah Decl. ¶¶ 9-11.)
    9
    Plaintiff has not established that he was qualified to fill the position on the Visitor’s
    Center project. He argues that James “engaged in the type of work that [plaintiff] was qualified
    to perform” (Opp’n at 8), but his sole support for this claim is his observation that James did “[a]
    lot of the kinds of work that [plaintiff] did for construction projects at GSA . . . .” (Beyah Dep.
    at 76:19-77:11.) Because plaintiff denied ever seeing the description of James’s position or ever
    working on the project with James (see id. at 76:16-18, 77:20-22), there is no basis to conclude
    that James’s responsibilities were limited to the activities that plaintiff observed. Indeed,
    Goldstein explained that James’s position was “not at all similar” to plaintiff’s position because
    “[t]hey performed differen[t] functions and were hired under a different hiring authority.” (Mot.,
    Ex. 12 (Goldstein EEO Aff., May 24, 2005) (“Goldstein Aff.”) ¶ 13.)
    13
    See Holcomb v. Powell, 
    433 F.3d 889
    , 897 (D.C. Cir. 2006) (“In order to justify an inference of
    discrimination, the qualifications gap must be great enough to be inherently indicative of
    discrimination.”); accord Porter, 
    601 F. Supp. 2d at 219
    .10 The Court will therefore grant
    summary judgment as to Count IV.
    B.      Counts I and II: Termination
    Plaintiff also alleges that the agency terminated his employment because of his race or
    gender. (Compl. ¶¶ 39-54.) In response, defendant explains that plaintiff was terminated
    because his performance as a probationary employee was unsatisfactory, based on his
    supervisors’ “reasonabl[e] and sincere[] belie[f]” that he lacked the performance skills and
    interpersonal abilities necessary for the position. (Mem. at 36.) Given the evidence, the Court
    agrees with defendant’s argument that plaintiff has not “produced evidence sufficient for a
    reasonable jury to find that [his] employer’s stated reason [for terminating him] was not the
    actual reason and that the employer intentionally discriminated against [him] based on his race”
    or gender. Brady, 
    520 F.3d at 495
    .
    With respect to plaintiff’s performance skills, defendant asserts that plaintiff’s
    supervisors perceived “that he often completed his work in an untimely fashion,” “that he
    struggled to complete his work in a manner consistent with GAO guidelines,” “that his written
    work was unorganized and failed to cite adequate support or background,” and “that his oral
    presentation skills were deficient on at least one occasion . . . .” (Mem. at 36.) The facts
    underlying these perceptions are supported by the record. For example, plaintiff admits that his
    10
    Any inference that Goldstein and Dorn’s decision to hire plaintiff at the Band II level
    instead of the Band III level was motivated by racial animus is further undermined by the fact
    that Goldstein personally recruited plaintiff to join the agency. Cf. Waterhouse v. District of
    Columbia, 
    124 F. Supp. 2d 1
    , 13 (D.D.C. 2000) (noting that allegation of discriminatory
    termination was “undercut[]” by the fact that “the same individuals hired and terminated
    plaintiff”), aff’d, 
    298 F.3d 989
    , 996 (D.C. Cir. 2002).
    14
    work on the conceptual planning guide was criticized for his sentence structure, use of industry
    terminology, failure to link important concepts, and failure to comply with GAO indexing rules.
    (See Pl.’s SMF at 5 ¶¶ 24-25; Pl.’s Resps. To Def.’s 2nd Interrogs. at 4-5.) Dorn also concluded
    that “[i]t simply took [plaintiff] too many iterations of the draft Guide and too long to produce a
    final draft that met GAO standards.” (Mot., Ex. 15 (Decl. of Terrell Dorn) (“Dorn Decl.”) ¶ 3.)
    In addition, it is not disputed that when working on the Kennedy Center engagement, plaintiff
    missed the deadline for submitting the final draft of his section of the report; his initial draft
    lacked O&M cost estimates and its analyses were criticized as insufficiently substantiated; he
    prepared two more drafts which were also deemed inadequate; following plaintiff’s oral
    presentation of his section of the report, Dorn concluded that plaintiff was overly formal,
    scripted, and unable to recover when interrupted; and Dorn also concluded that plaintiff’s section
    of the report was poorly written, unsupported, based on flawed methodology, and lacking a basic
    understanding of the need to employ locality adjustments when estimating costs for high-cost
    areas. (See Pl.’s SMF at 6 ¶¶ 31-35, 8-9 ¶¶ 39-44; Beyah Decl. ¶¶ 41-42 (noting Dorn and
    Edelstein’s criticisms); Dorn DPM Notes at 1-2; Mot., Ex. 13 (Dorn EEO Aff., May 16, 2005)
    (“Dorn Aff.”) ¶ 6; Fleming Aff. ¶ 7; Edelstein Aff. ¶¶ 4-6; Mot., Ex. 25 (Fleming Dep., Sept. 11,
    2008) at 85-91.)
    Plaintiff does not dispute the factual basis for many of these criticisms. He argues instead
    that there were mitigating circumstances surrounding his failure to meet various deadlines and
    comply with GAO document guidelines. Regarding the Guide engagement, he asserts that the
    project’s focus changed in January 2004, with the purported effect of rendering “all” of his prior
    work “useless,” and that he missed two other deadlines because he was required to prioritize his
    responsibilities on the Kennedy Center engagement. (Beyah Decl. ¶¶ 21, 24; see Opp’n at 10-
    15
    11.) He also asserts that although GAO gave him some training on how to index materials when
    he first joined the agency, “he never received more specific training from PI on how to index a
    document.” (Opp’n at 11.) Similarly, regarding the Kennedy Center engagement, he attributes
    his inability to timely develop O&M cost estimates to the fact that Kennedy Center officials “did
    not produce this information,” and he argues that the final draft of his section of the report was
    delayed because he had to seek clarification of his supervisors’ sometimes contradictory
    comments. (See id. at 12-17.) These explanations do not assist plaintiff, because “plaintiff’s
    perception of himself, and of his work performance, [are] not relevant.” Smith v. Chamber of
    Commerce of the United States, 
    645 F. Supp. 604
    , 608 (D.D.C. 1986). “It is the perception of
    the decisionmaker which is relevant,” 
    id.,
     and plaintiff “cannot establish pretext simply based on
    [his] own subjective assessment of [his] own performance . . . .” Waterhouse, 
    124 F. Supp. 2d at 7
    , aff’d, 
    298 F.3d at 995
    ; accord Talavera v. Fore, No. 07-CV-720, 
    2009 WL 2731275
    , at *15
    (D.D.C. Aug. 31, 2009) (Bates, J.).
    Plaintiff does, however, challenge the factual basis for the criticisms of his written work.
    He has submitted a report by William Lawson, “an expert in the fields of buildings and real
    estate” (Opp’n at 2), which concludes that plaintiff’s written work for the Guide and Kennedy
    Center engagements consisted of “well written drafts for their level of development,” and that
    plaintiff properly employed BOMA standards when calculating O&M costs for the Kennedy
    Center engagement. (Mot., Ex. 50 (“Lawson Report”) at 1.) Lawson’s opinion about the quality
    of plaintiff’s writing is not based upon expert knowledge or special familiarity with GAO
    practices and requirements. In fact, Lawson never worked at GAO or previously evaluated the
    performance of a GAO Band II analyst. (See Lawson Report at 13-14 (Lawson c.v.); Mot., Ex.
    49 (Lawson Dep., Feb. 10, 2009) (“Lawson Dep.”) at 58.). Nor could Lawson say what
    16
    deadlines or oral feedback plaintiff was given, how many drafts he had written, or how many
    drafts would have been acceptable for GAO employees in plaintiff’s situation. (See Lawson
    Dep. at 40-41, 45-46, 49-50, 54.) Defendant also notes that Lawson evaluated plaintiff’s writing
    abilities based upon the incorrect premise that plaintiff was responsible for nearly all of the final
    draft of the Kennedy Center report (see id. at 82-84), when in fact, plaintiff was only responsible
    for one section. (See also Mot., Ex. 22 (Decl. of Maria Edelstein) ¶ 8.) Because Lawson’s
    opinion about the quality of plaintiff’s written work merely second-guesses the subjective
    judgments of plaintiff’s supervisors, it cannot be relied upon to create any triable issues of fact.
    See Sykes v. Napolitano, 
    634 F. Supp. 2d 1
    , 7 (D.D.C. 2009) (striking report by plaintiff’s expert
    in Title VII case where “[plaintiff’s expert’s] opinion is not ‘expert’” but rather “merely the
    conclusion of a lay person who reviewed limited information on behalf of a person with an
    interest in the outcome”); Nance v. Librarian of Congress, 
    661 F. Supp. 794
    , 796 (D.D.C. 1987)
    (finding that plaintiff’s expert in Title VII case had “no probative value” where he “had no
    experience” rating defendant agency’s employees, was unfamiliar with actual responsibilities
    position in question, and “made inaccurate assumptions as to what qualities the job entailed”).
    Arguably, Lawson’s conclusion that plaintiff’s use of BOMA standards when estimating
    O&M costs “is considered a normal industry practice” (Lawson Report at 1) would be competent
    evidence. But even this does not aid plaintiff. First, the accuracy of plaintiff’s Kennedy Center
    cost estimations were merely one factor among many that his supervisors considered when
    evaluating his performance. Second, to the extent that plaintiff contends that he was criticized
    for his decision to use the BOMA standards (see Pl.’s SMF at 16 ¶ U), the evidence he relies
    upon shows that his supervisors did not object to the choice of BOMA standards per se. As
    Edelstein explained, “[u]sing the BOMA information was not a concern. [The concern] was . . .
    17
    applying the information correctly so it was applicable to the local area.” (Opp’n, Attachment 32
    (Edelstein Dep., July 15, 2008) at 69:10-13.)11 Plaintiff similarly explains in his declaration that
    Dorn did not criticize him for using the BOMA standards but for supposedly failing to include a
    locality adjustment when employing those standards. (Beyah Decl. ¶¶ 37-39.) While plaintiff
    asserts that his original BOMA-based calculations did account for the locality adjustment (id. ¶¶
    35, 38), Lawson stated that “reasonable people [can] disagree about whether the proper standard
    was used,” and that the choice of standard is ultimately a question of “professional judgment.”
    (Lawson Dep. at 36:5-9.)12
    Given this record, it is not the Court’s job to second-guess Dorn and Edelstein’s decisions
    to instruct plaintiff to include a locality adjustment. (See Beyah Decl. ¶¶ 37-38.) “Once the
    employer has articulated a non-discriminatory explanation for its action, as did the [agency] here,
    the issue is not ‘the correctness or desirability of the reasons offered but whether the employer
    honestly believes in the reasons it offers.’” Fischbach v. Dist. of Columbia Dep’t of Corr., 
    86 F.3d 1180
    , 1183 (D.C. Cir. 1996) (quoting McCoy v. WGN Continental Broad. Co., 
    957 F.2d 368
    , 373 (7th Cir. 1992) (brackets and ellipses omitted). In other words, a district court judge
    11
    The portions of Goldstein’s deposition cited in plaintiff’s statement of facts establish
    only that there were criticisms of plaintiff’s “estimation of the O&M costs for the Kennedy
    Center engagement . . . .” (Opp’n, Attachment 34 (Goldstein Dep., Sept. 5, 2008), at 116:19-
    117:6.) Similarly, the cited portions of Dorn’s deposition show only that Dorn criticized
    plaintiff’s perceived misuse of the “Means Cost Guide” standards, not the BOMA standards.
    (See Opp’n, Attachment 30 (Dorn Dep., July 17, 2008) at 152:20-153:1 (“The estimate that I was
    working with Omar on or had a problem with Omar on was based upon the Means Cost Guide,
    not on the BOMA Experience Exchange Report.”); accord Dorn Aff. ¶ 6 (“[Plaintiff] was to
    provide cost estimates using the MEANS book [a reference book that all professionals in the
    construction field use]. He failed at this miserably . . . . He told me that he called someone who
    works for the MEANS Company and they told him that he did not have to consider some very
    basic factors.”).)
    12
    Lawson also stated that he did not know whether plaintiff’s calculations had originally
    included a locality adjustment. (Lawson Dep. at 62:18-22.)
    18
    does not sit as a “‘super-personnel department that reexamines an entity’s business decisions.’”
    Id. at 1183 (quoting Dale v Chicago Tribune Co., 
    797 F.2d 458
    , 464 (7th Cir. 1986); accord
    Adeyemi v. District of Columbia, 
    525 F.3d 1222
    , 1227 (D.C. Cir. 2008).
    As for plaintiff’s interpersonal problems, defendant asserts that plaintiff’s supervisors
    perceived that he was “at times confrontational in team meetings,” “that he had problems
    interacting in a professional and cordial manner with coworkers,” and “that he was unsuccessful
    in appropriately representing GAO to outside persons, including other agencies . . . .” (Mem. at
    36.) The record establishes that plaintiff’s supervisors indeed concluded that he had difficulty
    accepting constructive criticism or input from others and that he had negative or otherwise
    inappropriate interactions with a number of other GAO teams and employees, including a GAO
    librarian and John Brummet of the IAT team. (See Goldstein Aff. ¶ 20; Dorn Decl. ¶¶ 5-6, 18;
    Fleming Aff. ¶¶ 9-10, Edelstein Aff. ¶¶ 3, 8-10, 12; Brummet Aff. ¶ 4 (offering first-hand
    opinion that plaintiff had been “abrasive”); see also Edelstein Aff. ¶¶ 5-6 (describing plaintiff’s
    inappropriate email tone and body language during meetings).) Plaintiff’s supervisors also
    received complaints or concluded from personal observations that plaintiff had confrontational or
    otherwise inappropriate interactions with officials from the State Department and Kennedy
    Center. (See Dorn Aff. ¶¶ 5, 14, 18; Dorn DPM Notes at 1; Fleming Aff. ¶ 6; Edelstein Aff. ¶ 5;
    Brummet Aff. ¶ 3 (describing call from State Department contact who complained about
    plaintiff).)
    Again, plaintiff does not challenge the fact that he was involved in a dispute with the
    librarian; that the State Department client complained about him; or that his supervisors on the
    Guide and Kennedy Center engagements had concerns about his interpersonal abilities based on
    incidents they observed or learned about. Rather, he counters that the librarian dispute was not
    19
    his fault; that the employee who previously informed Dorn about the State Department’s
    complaints later concluded that no further action was warranted; and that different GAO
    employees with whom plaintiff worked on other projects had positive views of or interactions
    with him. (See Opp’n at 19-21.) This does nothing to undermine defendant’s contention that
    those who worked with and supervised plaintiff on the Guide and Kennedy Center projects – his
    two “most important assignments” (Opp’n at 2) – reasonably and sincerely believed that that his
    interpersonal abilities were a source of concern. See Singh v. U.S. House of Representatives, 
    300 F. Supp. 2d 48
    , 59 (D.D.C. 2004) (finding that statements about quality of plaintiff’s work by
    individuals “who did not supervise . . . or work closely enough” with her were insufficient to
    defeat summary judgment where plaintiff’s supervisors held different view).
    In sum, “[t]he critical issue here is not whether [plaintiff’s] work . . . was actually
    deficient,” but whether the agency’s “decision-makers on personnel issues[] were of that opinion
    when they terminated [him]. There is no evidence that they were not.”13 Singh, 
    300 F. Supp. 2d at 59
    . (See, e.g., Goldstein Aff. ¶ 20 (“I felt that after the training and time here at GAO,
    management, myself included, had not seen enough growth in his ability to think conceptually,
    to write, or to get his work accomplished.”).) The fact that Goldstein personally recruited
    plaintiff and that he and Dorn recommended plaintiff’s hiring also seriously undercuts any
    13
    In addition, the Court notes that “probationary employees may be terminated for
    problems even if those problems would not be good cause for terminating a permanent
    employee.” George v. Leavitt, 
    407 F.3d 405
    , 415 (D.C. Cir. 2005). The decision to terminate
    plaintiff was made while he was a probationary employee and would originally have been
    effective on September 10, 2004, shortly before the one-year anniversary of his effective GAO
    start date. (See Hoskins Letter at 1.)
    Although the PAB extended the termination’s effective date to October 18, this was due
    to plaintiff’s administrative appeal and not the decisions of his supervisors. There is therefore no
    merit to plaintiff’s argument that the agency improperly terminated him as a probationary
    employee instead of as a permanent employee. (See Opp’n at 36.)
    20
    inference that their recommendation to terminate plaintiff, less than one year later, was
    motivated by discriminatory animus. See Waterhouse, 
    298 F.3d at 996
     (finding that probative
    value of allegedly discriminatory statements by supervisor “was seriously undercut by the
    undisputed fact that [the supervisor] approved the decision to hire [the plaintiff] earlier that same
    year,” and citing supportive cases from other circuits). “Moreover, [Goldstein and Dorn were]
    not the only one[s] to complain of [plaintiff’s] deficiencies,” 
    id.,
     as plaintiff’s performance on
    projects besides the Guide and Kennedy Center was also criticized. (See, e.g., Goldstein Aff. ¶
    22 (citing criticism by Band III Assistant Director Kathleen Turner); Gryszkowiec Meeting
    Notes at 1, 3-4 (citing timeliness or other criticisms on projects involving “electronic waste,”
    D.C. jail, and USDA’s Natural Resources and Environment mission area).)
    “Because [plaintiff] did not contravene – and in fact admitted – many of the deficiencies
    the defendants cited concerning [his] performance, [he] failed to establish that [his] employer’s
    proffered explanation was unworthy of credence. At best, [his] responses constitute[] an
    argument that, notwithstanding those failings, the [agency] should not have terminated [him]
    because there were extenuating circumstances and there were some positive attributes to [his]
    performance. But courts are without authority to second-guess an employer’s personnel decision
    absent demonstrably discriminatory motive. And [plaintiff’s] responses offer[] no grounds for a
    rational juror to conclude that the reason [he] was fired was racial [or gender-based]
    discrimination rather than poor performance.”14 Waterhouse, 
    298 F.3d at 995
     (internal quotation
    14
    Plaintiff’s argument that discrimination should be inferred from his “replacement” by a
    female analyst, Maureen Luna-Long, is unpersuasive because she was not similarly situated.
    (See Opp’n at 25.) “Employees are ‘similarly situated’ when ‘all of the relevant aspects’ of their
    employment situations are ‘nearly identical.’” McFadden v. Ballard, Spahr, Andrews &
    Ingersoll, LLP, 
    580 F. Supp. 2d 99
    , 109 (D.D.C. 2008) (quoting Neuren v. Adduci, Mastriani,
    Meeks, & Schill, 
    43 F.3d 1507
    , 1514 (D.C. Cir. 1995)). It is undisputed that the PI team had
    different subgroups including a facilities group, in which plaintiff worked, and a transportation
    21
    marks, brackets, and citations omitted). Accordingly, the Court shall grant summary judgment
    on Counts I, II, and IV.
    IV.    RETALIATION
    “To prove retaliation, the plaintiff generally must establish that he or she suffered (i) a
    materially adverse action (ii) because he or she had brought or threatened to bring a
    discrimination claim.” Baloch, 
    550 F.3d at 1198
    . Plaintiff contends that he was terminated
    because he documented his April 7, 2004 meetings with Fleming and Edelstein, during which
    they set performance expectations for him. (Opp’n at 23.) He argues that this was protected
    “opposition” to discrimination15 because he separately informed Fleming “that he documented
    their discussions because he believed that his race and sex motivated the setting of the
    expectations,” and later informed Dorn and Goldstein that he submitted the memorializing
    document to Fleming.16 (Id.) Because the Court has already concluded that plaintiff has not
    produced evidence that would cast doubt upon defendant’s proffered reason for terminating him,
    group. (See Beyah Dep. at 131:23-132:2.) Luna-Long was hired by different GAO officials to
    fill a transportation specialist’s position that arose two months before plaintiff’s termination had
    been proposed. (See Reply at 15-16; 
    id.,
     Ex. F-H (vacancy announcements and Luna-Long
    application).) The most relevant aspect of Luna-Long’s employment – namely, the position she
    was hired to fill – is therefore not “nearly identical” to plaintiff’s position.
    15
    The Court notes that plaintiff cannot base his retaliation claim on a theory that he
    “participated” in statutorily protected activity. First, his statement that he “participated in
    protected activity” by “inform[ing] his supervisors that he was documenting their discriminatory
    behavior” (Opp’n at 4) does not fall under the statutory definition of participating in an EEO
    “investigation, proceeding, or hearing.” 42 U.S.C. § 2000e-3(a). Second, he failed to oppose
    defendant’s argument that his retaliation claim cannot be based upon EEO participation because
    he only contacted an EEO counselor after he learned that his supervisors recommended his
    termination. (See Mem. at 40.) Plaintiff has thus conceded any argument based on Title VII’s
    “participation clause.” See Franklin v. Potter, 
    600 F. Supp. 2d 38
    , 60 (D.D.C. 2009) (citing
    authorities and treating defendant’s argument in motion for summary judgment as conceded
    where plaintiff failed to address it in his opposition).
    16
    The April 7 meeting memoranda did not reference race or gender. (See generally Mot.,
    Exs. 53 & 54.)
    22
    the Court grants summary judgment on his retaliation claim.17
    CONCLUSION
    For the foregoing reasons, the Court grants defendants’ motion. A separate Order will
    accompany this Memorandum Opinion.
    /s/
    ELLEN SEGAL HUVELLE
    United States District Judge
    Date: October 26, 2009
    17
    In the alternative, the Court agrees with defendant that plaintiff’s actions did not
    constitute “opposition” to discrimination on the basis of race or gender. Title VII provides that it
    is unlawful to retaliate against an employee “because he has opposed any practice made an
    unlawful employment practice by this subchapter . . . .” 42 U.S.C. § 2000e-3(a) (emphasis
    added). “To come within the opposition clause of Section 2000e-3(a), one must demonstrate an
    objectively reasonable belief that the practice ‘opposed’ actually violated Title VII; otherwise,
    the activity . . . was not statutorily protected activity.” Burton v. Batista, 
    339 F. Supp. 2d 97
    , 114
    (D.D.C. 2004). Section 2000e-2(a) defines unlawful practices as (1) discrimination “against any
    individual with respect to his compensation, terms, conditions, or privileges of employment,
    because of such individual’s race, color, religion, sex, or national origin,” or (2) classification of
    an employee that would “adversely affect his status as an employee, because of such individual’s
    race, color, religion, sex, or national origin.” 
    Id.
     § 2000e-2(a)(1).
    Plaintiff has not demonstrated that he had an objectively reasonable belief that merely
    setting expectations for a probationary employee’s performance can constitute discrimination in
    the terms and conditions of employment or an adverse effect upon employment status. See also
    Taylor v. Small, 
    350 F.3d 1286
    , 1293 (D.C. Cir. 2003) (“An ‘adverse employment action’ within
    the meaning of McDonnell Douglas is ‘a significant change in employment status, such as hiring,
    firing, failing to promote, reassignment with significantly different responsibilities, or a decision
    causing significant change in benefits.’” (quoting Burlington Indus., Inc. v. Ellerth, 
    524 U.S. 742
    , 761 (1998). Nor would it be objectively reasonable to hold such a belief. “An employer
    should be entitled to discuss and even critique employees about legitimate job performance
    problems without being subjected to suit, because Title VII’s anti-retaliation provision was not
    intended to immunize insubordinate, disruptive, or nonproductive behavior at work.” Rattigan v.
    Holder, 
    604 F. Supp. 2d 33
    , 49 (D.D.C. 2009) (internal quotation marks and citations omitted).
    23
    

Document Info

Docket Number: Civil Action No. 2007-0109

Judges: Judge Ellen S. Huvelle

Filed Date: 10/26/2009

Precedential Status: Precedential

Modified Date: 10/30/2014

Authorities (37)

John P. Mack v. United States of America, Federal Bureau of ... , 814 F.2d 120 ( 1987 )

Ron G. McCoy v. Wgn Continental Broadcasting Co. , 957 F.2d 368 ( 1992 )

Jones v. Bernanke , 557 F.3d 670 ( 2009 )

Desmond v. Mukasey , 530 F.3d 944 ( 2008 )

George, Diane v. Leavitt, Michael , 407 F.3d 405 ( 2005 )

Charles DALE, Plaintiff-Appellant, v. CHICAGO TRIBUNE ... , 797 F.2d 458 ( 1986 )

Haynes, Charles v. Williams, Anthony , 392 F.3d 478 ( 2004 )

Waterhouse v. District of Columbia , 298 F.3d 989 ( 2002 )

Paul Paquin v. Federal National Mortgage Association , 119 F.3d 23 ( 1997 )

Morgan v. Federal Home Loan Mortgage Corp. , 328 F.3d 647 ( 2003 )

Baloch v. Kempthorne , 550 F.3d 1191 ( 2008 )

Adeyemi v. District of Columbia , 525 F.3d 1222 ( 2008 )

Hendricks v. Geithner , 568 F.3d 1008 ( 2009 )

Montgomery v. Chao , 546 F.3d 703 ( 2008 )

Brady v. Office of the Sergeant at Arms , 520 F.3d 490 ( 2008 )

Washington Post Company v. U.S. Department of Health and ... , 865 F.2d 320 ( 1989 )

Holcomb, Christine v. Powell, Donald , 433 F.3d 889 ( 2006 )

Cathy S. NEUREN, Appellant, v. ADDUCI, MASTRIANI, MEEKS & ... , 43 F.3d 1507 ( 1995 )

Ronald J. Fischbach v. District of Columbia Department of ... , 86 F.3d 1180 ( 1996 )

Taylor, Carolyn v. Small, Lawrence M. , 350 F.3d 1286 ( 2003 )

View All Authorities »