NOT RECOMMENDED FOR PUBLICATION
File Name: 15a0485n.06
No. 14-4026
UNITED STATES COURT OF APPEALS FILED
FOR THE SIXTH CIRCUIT Jul 07, 2015
DEBORAH S. HUNT, Clerk
VICTORIA JOHNSON, )
)
Plaintiff-Appellant, )
)
ON APPEAL FROM THE
v. )
UNITED STATES DISTRICT
)
COURT FOR THE NORTHERN
UNIVERSITY HOSPITALS PHYSICIAN )
DISTRICT OF OHIO
SERVICES, )
)
Defendant-Appellee. )
BEFORE: SUTTON, GRIFFIN, and WHITE, Circuit Judges.
GRIFFIN, Circuit Judge.
Plaintiff Victoria Johnson alleges that her former employer, defendant University
Hospitals Physician Services, discriminated against her based on a perceived disability and
retaliated against her for alleging such discrimination. But Johnson presented insufficient
evidence to establish either. We therefore affirm.
I.
As a provider enrollment specialist, Johnson was tasked with enrolling doctors in Centers
for Medicare and Medicaid (“CMS”) programs using application form 855I, which she
forwarded to contractor Cigna Government Services for processing after the forms were
completed. Section 2B of the form requires applicants to provide their contact information.
CMS manual provides that the contractor (Cigna) shall call the telephone number provided in
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Johnson v. Univ. Hosp. Physician Servs.
section 2B to “verify that the contractor can directly contact the applicant. If an answering
service appears and the contractor can identify it as the applicant’s personal service, it is not
necessary to talk directly to the applicant or an official thereof. The contractor only needs to
verify that the applicant can be reached at this number.”
Defendant’s supervisors instructed Johnson to use her work phone number in section 2B
instead of a doctor’s direct line or answering service. At one point, defendant’s management
also instructed staff to answer the phones differently if it appeared that Cigna was calling, to give
the impression that the office―a department with multiple functions including billing services
for the hospital system at large―was not a “billing agency.” From approximately October 2011
to June 2012, Johnson put her phone number in section 2B without raising concerns. In June,
some of the forms were returned. Once she reprocessed them―again using her phone
number―they were approved. Nonetheless, Johnson began to express concerns to her
supervisors about using her phone number. She asserts that she was worried about violating the
law because she believes there are criminal penalties for providing false information on the form.
In July 2012, Johnson called defendant’s compliance hotline with her concerns. Carole
Meisler, one of defendant’s compliance officers, investigated the complaint. On July 17, Meisler
called Johnson about the complaint. The same day, Meisler emailed Johnson, advising that she
spoke with Cigna representatives who explained that they do not expect to have direct access to
doctors because doctors are busy taking care of patients; they merely need a phone number to
contact someone who will get the information from the doctor and report back. Accordingly,
Meisler advised Johnson that the practice of using Johnson’s phone number complied with CMS
protocol.
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Questioning Meisler’s advice, Johnson exchanged multiple emails with Cigna
representatives to clarify their expectations. Johnson states the representatives told her the
contact information “cannot be that of the billing office.” On July 20, Johnson advised her
supervisors that she would no longer use her phone number on the form. On July 23,
defendant’s chief compliance officer, Cheryl Wahl, wrote a letter to Johnson, advising her that
Meisler had contacted Cigna and confirmed that using an enrollment specialist’s phone number
in section 2B was “both allowable and correct.”
The following day, Johnson forwarded to her supervisors an email she received from a
Cigna representative, again challenging defendant’s practice. Meisler again contacted Johnson
and explained that she had talked to the supervisor of the Cigna representative with whom
Johnson had spoken. According to Meisler, the Cigna supervisor clarified that when Cigna
called, it would be sufficient for Johnson to state that, “the provider will not pick up the
telephone but as a part of [my] job description, [I will] get any message to him/her, [and] that [I]
will contact the provider for [Cigna] as a part of [my] job.” Johnson questions whether Meisler
ever contacted Cigna, but the parties do not dispute that the office openly continues this practice
to this day.
Meanwhile, Johnson’s supervisors confronted another problem. Months before Johnson
expressed concerns about section 2B, she received a relatively poor annual performance review,
which mentioned that she “nodd[ed] off” during a staff meeting. Johnson also occasionally
napped at her desk during her breaks. In April 2012, apparently after some conflict with
coworkers, Johnson’s supervisor asked her to put up a sign indicating she was on a break when
she slept at her desk. In an email response, Johnson explained that she was napping at her desk
(instead of a break room) in “the best interest of the company” and asked her supervisor to tell
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Johnson v. Univ. Hosp. Physician Servs.
her coworkers not to disturb her. In June, Johnson informed the same supervisor that she would
be late for work on one day because a new medication made her drowsy. On July 6, a coworker
observed Johnson napping at her desk under a blanket for over fifteen minutes―so long and in
such a position that the coworker felt compelled to gently wake Johnson to ask if she was okay.
Similarly, on July 17, a human resources employee observed Johnson sleeping at her desk and
woke her to see if she was all right. At that time, there was no written company policy about
napping.
On July 26, Johnson met with two supervisors and a human resources employee.
Johnson shared that she had been taking medication that made her sleepy and that the situation
“was out of [her] control.” They informed her that, due to the sleeping at work, they were
referring her to an employee assistance program for a fitness-for-duty evaluation for “impaired
functioning.” Johnson contacted her own doctor and submitted a form to take a short-term
disability leave or leave under the Family and Medical Leave Act (“FMLA”). Shortly thereafter,
Johnson underwent the evaluation. The resulting report indicated that Johnson was referred for
“falling asleep at work,” and “[i]n general . . . a difficult relationship with her manager.”
Ultimately, the report concluded that Johnson did not have a functional impairment but
recommended that she take two weeks off work and see a psychiatrist, who should sign off on
her readiness to work. Johnson was referred to a psychiatrist who approved her return to work
beginning September 4. Johnson asserts that she was ready to return to work then. On
August 21, human resources became aware Johnson was no longer under the care of the same
psychiatrist and informed Johnson that she was required to provide a new medical certification.
Johnson did not produce new documentation, but did not return to work either. She later stated
that she had been waiting for return-to-work paperwork from the employee assistance program.
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On October 1, human resources wrote Johnson advising her that her leave ended on
August 21 and she was expected to return to work by October 8 or her employment would be
terminated. Around that time, Johnson filed a charge of discrimination with the Equal
Employment Opportunity Commission (“EEOC”), alleging that defendant had discriminated
against her on the basis of a perceived disability.1 When Johnson received the October 1 human
resources letter, she responded with a six-point list of expectations for her return, including that
she would not use her phone number on form 855I.
Johnson returned to work on October 8, 2012. In a meeting with supervisors, she refused
to comply with their instructions that she use her phone number on form 855I. They offered her
twenty-four hours to reconsider, but Johnson insisted that she did not need the time because she
would not complete the form as instructed. Defendant terminated Johnson for refusal to perform
an essential job function. Johnson initiated this lawsuit in state court, but defendant removed it
to federal district court. The district court granted summary judgment in favor of defendant on
all counts. Johnson now appeals.
II.
We review de novo a district court’s grant of summary judgment. Havensure, L.L.C. v.
Prudential Ins. Co. of Am., 595 F.3d 312, 315 (6th Cir. 2010). Summary judgment is proper if
the evidence shows that “there is no genuine dispute as to any material fact and the movant is
entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a). “We consider all facts and
inferences drawn therefrom in the light most favorable to the nonmovant.” City of Wyandotte v.
Consol. Rail Corp., 262 F.3d 581, 585 (6th Cir. 2001).
1
Defendant does not dispute that it was aware of the EEOC charge by the October 8,
2012, meeting between Johnson and her supervisors.
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Johnson v. Univ. Hosp. Physician Servs.
Johnson presents two claims: discrimination on the basis of a perceived disability, in
violation of the Americans with Disabilities Act, 42 U.S.C. § 12112(a), and Ohio Revised Code
§ 4112.02(A); and retaliation for filing a charge of discrimination, in violation of the ADA,
42 U.S.C. § 12203(a), and Ohio Revised Code § 4112.02(I). Neither cause of action implicates
protection for whistleblower activity.
A.
We first consider whether Johnson has established a prima facie case of disability
discrimination based on two of defendant’s actions―requiring a fitness-for-duty evaluation and
purportedly delaying Johnson’s return to work. Johnson does not argue on appeal that she was
terminated because of a perceived disability. Johnson has failed to satisfy her prima facie burden
because she has not shown that defendant regarded her as disabled or took adverse action
because of a perceived disability.
The ADA provides that a covered employer “shall [not] discriminate against a qualified
individual on the basis of disability in regard to job application procedures, the hiring,
advancement, or discharge of employees, employee compensation, job training, and other terms,
conditions, and privileges of employment.” 42 U.S.C. § 12112(a). Similarly, Ohio state law
prohibits “any employer, because of the . . . disability . . . of any person, to discharge without just
cause, to refuse to hire, or otherwise to discriminate against that person with respect to hire,
tenure, terms, conditions, or privileges of employment, or any matter directly or indirectly
related to employment.” Ohio Revised Code § 4112.02(A).2
2
We analyze the ADA and Ohio state-law claims together because, in disability
discrimination cases, Ohio courts look to federal regulations and cases interpreting the ADA for
guidance in interpreting Ohio law. See, e.g., Knapp v. City of Columbus, 192 F. App’x 323, 328
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To determine whether circumstantial evidence supports Johnson’s claim, we use the
McDonnell Douglas burden-shifting framework. See McDonnell Douglas Corp. v. Green,
411 U.S. 792, 802−06 (1973). Under that framework as pertinent here, Johnson establishes a
prima facie case by showing that (1) defendant regarded her as disabled,3 (2) she is otherwise
qualified for the job, with or without reasonable accommodation, and (3) she suffered an adverse
action because of her disability. Demyanovich v. Cadon Plating & Coatings, L.L.C., 747 F.3d
419, 433 (6th Cir. 2014). The alleged discrimination must have been a “but-for” cause of the
employer’s adverse employment action. Lewis v. Humboldt Acquisition Corp., 681 F.3d 312,
321 (6th Cir. 2011) (en banc). Once Johnson presents a prima facie case of discrimination, the
burden shifts to defendant to articulate a legitimate, non-discriminatory reason for its actions.
Sullivan v. River Valley Sch. Dist., 197 F.3d 804, 813 (6th Cir. 1999). If defendant does so, the
burden shifts back to Johnson to show that the proffered reason is pretext for unlawful
discrimination. Id.
“[A] person is ‘regarded as’ disabled within the meaning of the ADA if a covered entity
mistakenly believes that the person’s actual, nonlimiting impairment substantially limits one or
more major life activities.” Murphy v. United Parcel Serv., Inc., 527 U.S. 516, 521−22 (1999).
[W]hen the major life activity at issue is working, the statutory phrase
“substantially limits” takes on a special meaning . . . and imposes a stringent
standard, requiring proof that the employer regarded the employee as significantly
restricted in the ability to perform either a class of jobs or a broad range of jobs in
various classes as compared to the average person having comparable training,
(6th Cir. 2006); Spencer v. Nat’l City Bank, 732 F. Supp. 2d 778, 787 (S.D. Ohio 2010); see also
City of Columbus Civil Serv. Comm’n v. McGlone, 697 N.E.2d 204, 206−07 (Ohio 1998).
3
Included in the ADA’s definition of a disabled person is someone who does not have an
impairment that affects a major life activity but is “regarded as” having one by her employer.
42 U.S.C. § 12102(1)(C), 12102(3); Sullivan, 197 F.3d at 810.
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Johnson v. Univ. Hosp. Physician Servs.
skills and abilities. The inability to perform a single, particular job does not
constitute a substantial limitation in the major life activity of working.
Daugherty v. Sajar Plastics, Inc., 544 F.3d 696, 704 (6th Cir. 2008) (internal quotation marks
omitted).
Johnson’s sole evidence that defendant perceived her as disabled is that it referred her to
a fitness-for-duty evaluation. “[A] defendant employer’s perception that health problems are
adversely affecting an employee’s job performance is not tantamount to regarding that employee
as disabled.” Sullivan, 197 F.3d at 810. An employer’s request that an employee undergo a
medical exam “may signal that an employee’s job performance is suffering, but that cannot itself
prove a perception of a disability because it [alone] does not prove that the employer perceives
the employee to have an impairment that substantially limits one or more of the employee’s
major life activities.” Id. at 811. “Deteriorating [employee] performance may be linked to
motivation or other reasons unrelated to disability.” Id.
Defendant stated on the referral form that “impaired functioning” was the basis for
Johnson’s referral. The report of the doctor who examined Johnson stated that she was referred
for evaluation because she was “falling asleep at work,” and generally had a “difficult”
relationship with her manager. These reasons for referral are directly related to Johnson’s ability
to do her job. Johnson focuses the bulk of her argument on the possibility that she was
“punitively” referred for evaluation because she disagreed with her supervisors over how to fill
out form 855I. But even if we assume Johnson was referred for irritating her supervisors,
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Johnson has failed to establish a question of fact over whether her supervisors perceived her as
disabled.4
Johnson also alleges defendant contravened the ADA by delaying her return to work.
The district court held that Johnson failed to establish that the duration of her leave was “because
of” a perceived disability. Moreover, the district court concluded that there was no evidence that
defendant’s reason for failing to return her to work was pretext. Defendant argues that it went to
lengths to honor Johnson’s doctor’s medical recommendations and, despite Johnson’s failure to
submit FMLA paperwork in support of her leave or return to work, it invited her back to work.
Thus, defendant maintains that it did not take any action to prevent Johnson from returning to
work. The record supports the district court’s conclusion that, even taking all inferences in
Johnson’s favor, there was a miscommunication between the parties about when Johnson would
return to work, but not a delay to reinstate based on a perceived disability. Johnson’s six-point
demand letter suggests that Johnson did not urgently desire to return to work, unless her demands
were met. And even if Johnson could show that defendant “delayed” her return to work because
of her interpretation of form 855I, it would still not establish that her leave was extended because
defendant perceived her as disabled. Johnson’s disability discrimination claim fails as a matter
of law.
4
Johnson’s brief suggests that she alleged a separate claim under 42 U.S.C. § 12112(d)
for violation of the ADA based solely on the fitness-for-duty evaluation, as opposed to 42 U.S.C.
§ 12112(a), which requires her to show that her employer perceived her as disabled, see
Demyanovich, 747 F.3d at 433. But Johnson did not allege such a claim. R. 9, ID 72 (alleging
discrimination on the basis of a perceived disability). Therefore, her claim is properly analyzed
as a § 12112(a) claim.
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B.
Johnson’s final claim is that she was terminated in retaliation for filing an EEOC
discrimination charge. This claim fails for lack of pretext. The ADA prohibits employers from
discriminating against a person because she “has opposed any act or practice made unlawful by
[the ADA] or because such individual made a charge . . . under [the ADA].” 42 U.S.C.
§ 12203(a). Ohio state law similarly prohibits “discriminat[ing] in any manner against any other
person because that person has opposed any unlawful discriminatory practice defined in this
section or because that person has made a charge [of discrimination].” Ohio Rev. Code
§ 4112.02(I).
To establish a disability-retaliation claim, Johnson must first make out a prima facie case,
showing “(1) she engaged in a protected activity; (2) she suffered an adverse employment action;
and (3) there is a causal link between the protected activity and the adverse employment action.”
Bryson v. Regis Corp., 498 F.3d 561, 577 (6th Cir. 2007). If Johnson establishes a prima facie
case, the burden shifts to defendant to produce evidence of a legitimate, nondiscriminatory
reason for termination. Id. at 570. If defendant satisfies that burden, Johnson must demonstrate
the proffered reason is pretextual. Id. Johnson may show pretext by “offering evidence that the
employer’s proffered reason had no basis in fact, did not actually motivate its decision, or was
never used in the past to discharge an employee.” Smith v. Chrysler Corp., 155 F.3d 799,
805−06 (6th Cir. 1998).
We assume for purposes of argument that Johnson has established a prima facie case.
Therefore, Johnson has the burden of showing that defendant’s proffered reason for
termination―her refusal to perform an essential job function―was pretext for disability
retaliation. However, Johnson has not demonstrated that her refusal to complete form 855I as
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instructed did not motivate defendant to terminate her, or that it was insufficient, or had no basis
in fact. On this record, there is no evidence to reasonably infer that if Johnson had followed her
employer’s directions she would have been terminated anyway. On the contrary, Johnson
acknowledged that she would probably still be working for defendant if she had followed its
instructions. Nor does temporal proximity, standing alone, satisfy Johnson’s burden of showing
pretext. Donald v. Sybra, Inc., 667 F.3d 757, 763 (6th Cir. 2012) (“‘[T]emporal proximity is
insufficient in and of itself to establish that the employer’s nondiscriminatory reason for
discharging an employee was in fact pretextual.’”) (quoting Skrjanc v. Great Lakes Power Serv.
Co., 272 F.3d 309, 317 (6th Cir. 2001)). Johnson’s disability-retaliation claim therefore fails as a
matter of law.
Johnson expends much effort arguing that defendant has not produced admissible
evidence that it contacted Cigna to investigate whether defendant’s practices were CMS-
compliant. But whether defendant conducted an investigation, or whether its practices were
CMS-compliant, is not at issue in this case. This action regards whether defendant discriminated
against Johnson because of a perceived disability or terminated her for claiming such
discrimination, not whether she was wrongly terminated for whistleblower-protected activity.
We need not address Johnson’s admissibility arguments to resolve this appeal.
Finally, because we conclude that Johnson has not satisfied her burden of establishing
pretext, we do not reach defendant’s alternative argument under the “honest belief” rule.
III.
For these reasons, we affirm the judgment of the district court.
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