NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
File Name: 08a0207n.06
Filed: April 22, 2008
No. 05-6079
UNITED STATES COURT OF APPEALS
FOR THE SIXTH CIRCUIT
ROSIA L. SCOTT, )
) ON APPEAL FROM THE
Plaintiff-Appellant, ) UNITED STATES DISTRICT
) COURT FOR THE EASTERN
v. ) DISTRICT OF TENNESSEE
)
EASTMAN CHEMICAL COMPANY, ) OPINION
)
Defendant-Appellee. )
)
)
)
)
Before: BOGGS, Chief Judge; MARTIN, Circuit Judge; and OLIVER, District Judge.*
OLIVER, JR., District Judge: Plaintiff-Appellant Rosia L. Scott (“Scott” or “Plaintiff”)
appeals the order of the district court granting Defendant-Appellee Eastman Chemical Company’s
(“Eastman” or “Defendant”) Motion for Summary Judgment on her employment discrimination
claims. Scott alleges: (1) that she was denied promotions based on sex and in retaliation for
engaging in protected activity occurring from November, 1996, through 2005;1 and (2) that she was
subjected to a sexually hostile environment from 1976 to 2005. The district court dismissed Scott’s
hostile environment claim and her post-Equal Employment Opportunity Commission (“EEOC”)
*
The Honorable Solomon Oliver, Jr., United States District Judge for the Northern
District of Ohio, sitting by designation.
1
Scott conceded before the district court that her claims for discrete acts of disparate
treatment arising prior to November 26, 1996, are time-barred.
charge failure to promote claims other than to Team Manager. The district court also dismissed
Scott’s retaliation claims, other than those associated with the filing of her EEOC charge, for failure
to exhaust administrative remedies. The court granted summary judgment to Eastman on Scott’s
claims alleging failure to promote to Team Manager in 1997, 1998, and 1999, because she did not
offer evidence to rebut Eastman’s articulated, non-discriminatory reason that it selected the most
qualified candidates for the jobs. The court also granted summary judgment to Defendant on Scott’s
retaliation claims based on the filing of her EEOC charge, for failure to establish a prima facie case,
finding that she produced no evidence that the decisionmakers knew of her protected activity.
Additionally, Scott’s Motion to Amend her Complaint to assert a disparate impact claim and pursue
a class action was denied by the Magistrate Judge. For the reasons that follow, we AFFIRM the
district court’s decision in part and REVERSE it in part.
I.
A. Background
Scott’s employer, Eastman, manufactures chemicals, fibers, and plastics in Tennessee. Scott
has worked for Eastman since August of 1976, when she began as a General Laborer. In 1977, she
entered Eastman’s apprenticeship program, which she completed in June, 1981. During the course
of this lawsuit, Scott worked as a pipe fitter. Scott maintains that throughout her career at Eastman,
she sought, but never received, a permanent promotion, that her male co-workers were promoted to
jobs for which she was qualified, and that she experienced workplace hostility based on her sex.
In 1995, Eastman initiated the Team Manager Development System (“TMDS”) for selecting
“Team Managers,” developed with the assistance of an outside consultant. Through TMDS,
2
interested candidates were evaluated by the entire management team within each division, which
would make its own selections, based on a variety of criteria. Those interested in being a Team
Manager had to meet minimum eligibility criteria and pass a written Paper and Pencil Test (“PPT”),
among other things. When no women were selected as Team Managers in the two divisions to which
Scott applied during the 1996/97 cycle, she filed a charge of discrimination with the EEOC on
September 22, 1997, against Eastman. (Charge of Discrimination, Joint Appendix (“J.A.”) 409.)
On January 29, 2003, the EEOC issued a determination letter, finding that Scott “was not promoted
based on her sex (female), as alleged.” (EEOC Determination Letter, J.A. 466.)
Scott’s failure to promote claims involve Team Manager jobs and Special Selection jobs in
the Polymers Division and Centralized Maintenance & Services Division (“CM&S”). Scott
describes Special Selection as a policy and practice for promoting employees to jobs, other than
Team Manager jobs, that does not entail a uniform method of promotion. Scott states that jobs filled
by Special Selection are rarely posted, employees do not generally know when Special Selection
opportunities are available, what criteria are used, if any, or which employees are being considered,
or who makes the decision. Thus, an employee may never find out that a comparable employee was
promoted. Scott identifies three Special Selection promotional job opportunities occurring in 1997,
for which she maintains that she was interested in and qualified for, but not selected.
B. Procedural History
On August 27, 2003, Scott filed her Complaint, alleging sex discrimination and retaliation
under Title VII. On February 27, 2004, the district court issued a Scheduling Order setting a
May 28, 2004 deadline, for amending pleadings. On February 8, 2005, after the expiration of the
deadline for amending the pleadings, Scott filed a Motion to Stay all remaining deadlines, seeking
3
time to file a Motion to Amend. The Motion was referred to a Magistrate Judge, who denied it on
February 16, 2005. Scott filed no objections to that Order. Eastman filed a Motion for Summary
Judgment on February 11, 2005. Scott filed her Response in Opposition to Defendant’s Motion for
Summary Judgment on March 28, 2005. Thereafter, Scott filed a Motion for Leave to File a
Supplemental Brief Opposing Summary Judgment on May 1, 2005. The district court denied that
Motion on May 2, 2005. On May 6, 2005, Scott filed a Motion to Amend her Complaint. On June 3,
2005, the district court granted Eastman’s Motion for Summary Judgment and also denied Scott’s
Motion to Amend her Complaint as moot. Scott filed her Notice of Appeal on July 1, 2005.
II.
The issues presented on appeal are whether the district court erred in: (1) dismissing Scott’s
hostile environment claim, her post-EEOC charge failure to promote claims other than to Team
Manager, and her retaliation claims other than those associated with the filing of her EEOC charge;
(2) granting summary judgment to Eastman on Scott’s 1997, 1998, and 1999, failure to promote to
Team Manager claims; (3) granting summary judgment to Eastman on Scott’s retaliation claim
arising out of the EEOC charge; and (4) denying Scott’s Motion to Amend her Complaint.
This court exercises de novo review of a district court’s decision granting summary judgment,
using the same standard under Rule 56(c) used by the district court. Williams v. Mehra, 186 F.3d
685, 689 (6th Cir. 1999) (en banc) (citations omitted). In so doing, the court must consider the
record as it stood before the district court at the time of its ruling. Generally, this court should not
consider arguments not raised by an appellant below. Enertech Elec. v. Mahoning County, 85 F.3d
257, 261 (6th Cir. 1996) (citation omitted). Summary judgment is appropriate only where “there is
no genuine issue as to any material fact and the moving party is entitled to a judgment as a matter
4
of law.” Fed. R. Civ. P. 56(c). In deciding a motion for summary judgment, we view the factual
evidence and draw all reasonable inferences in favor of the non-moving party. Mehra, 186 F. 3d at
689 (citing Nat’l Enters. v. Smith, 114 F.3d 561, 563 (6th Cir. 1997)).
This court also exercises de novo review of a district court’s decision to dismiss for lack of
subject matter jurisdiction. Dixon v. Ashcroft, 392 F.3d 212, 216 (6th Cir. 2004) (citing Joelson v.
United States, 86 F.3d 1413, 1416 (6th Cir. 1996)). Finally, decisions on motions to amend are
reviewed for an abuse of discretion. Ausel v. Unisys Corp., 1997 U.S. App. LEXIS 32771, at *6 (6th
Cir. Nov. 13, 1997) (citing Miller v. Metro. Life Ins. Co., 925 F.2d 979, 982 (6th Cir. 1991).
III.
A. Exhaustion of Administrative Remedies
Under Title VII of the Civil Rights Act of 1964, it is an unlawful employment practice for
an employer to discriminate against an employee based on sex, 42 U.S.C. §2000e-2; or because an
employee has opposed unlawful discrimination; or because an employee has made a charge, testified,
assisted, or participated in any manner in an investigation, proceeding, or hearing under Title VII.
42 U.S.C. §2000e-3(a). Title VII requires that a charge of discrimination be timely filed with the
EEOC. 42 U.S.C.§ 2000e-5(e)(1).
As a prerequisite to bringing suit under Title VII, a claimant must exhaust his or her
administrative remedies. Weigel v. Baptist Hosp. of E. Tenn., 302 F.3d 367, 379 (6th Cir. 2002)
(citing Strouss v. Mich. Dep’t of Corr., 250 F.3d 336, 342 (6th Cir. 2001)). The policy or purpose
of the exhaustion requirement “is to trigger an investigation, which gives notice to the alleged
wrongdoer of its potential liability and enables the EEOC to initiate conciliation procedures in an
attempt to avoid litigation.” Dixon v. Ashcroft, 392 F.3d 212, 217 (6th Cir. 2004) (citation omitted).
5
However, as this court recently stated in Randolph v. Ohio Dep’t of Youth Servs., 453 F.3d 724, 732
(6th Cir. 2006), the requirement “is not meant to be overly rigid, nor should it ‘result in the
restriction of subsequent complaints based on procedural technicalities or the failure of the charges
to contain the exact wording which might be required in a judicial pleading.’” Id. (quoting EEOC
v. McCall Printing Co., 633 F.2d 1232, 1235 (6th Cir. 1980)). Consequently, “the EEOC complaint
should be liberally construed to encompass all claims ‘reasonably expected to grow out of the charge
of discrimination.’” Id. (quoting Haithcock v. Frank, 958 F.2d 671, 675 (6th Cir. 1992)).
Scott argues that the district court erred in dismissing her hostile environment claim, her
post-EEOC charge failure to promote claims other than to Team Manager, and retaliation claims
other than those associated with the filing of her EEOC charge, for failure to exhaust her
administrative remedies. The general rule is that a plaintiff may file suit only in regard to the claims
asserted in the EEOC charge and those within the scope of the EEOC investigation reasonably
expected to grow out of the charge of discrimination. See Dixon, 392 F.3d at 217. Under this
“expected scope of investigation” test, a plaintiff may fully exhaust her administrative remedies on
a claim even if the claim was not actually investigated by the EEOC, or specifically stated in the
charge. Id. Moreover, “where facts related with respect to the charged claim would prompt the
EEOC to investigate a different, uncharged claim, the plaintiff is not precluded from bringing suit
on that claim.” Weigel, 302 F.3d at 380 (quoting Davis v. Sodexho, Cumberland Coll. Cafeteria, 157
F.3d 460, 463 (6th Cir. 1998)). Plaintiffs are not to be penalized if the EEOC investigation should
have been larger in scope. Dixon, 392 F.3d at 219.
6
In this case, the district court held that:
Plaintiff has simply not set forth any legitimate basis to believe that sufficient facts
were alleged to prompt the EEOC to investigate claims other than her failure to be
promoted to Team Manager in 1997, 1998, and 1999, or retaliation for the filing of
her charge.
Scott v. Eastman Chem. Co., 2005 WL 1325014, at *3 (E.D. Tenn. June 3, 2005).
The district court then dismissed Scott’s hostile environment claim, her other post-EEOC
charge failure to promote claims other than to Team Manager, and her retaliation claims other than
those associated with the filing of her EEOC charge. The district court concluded that “the primary
focus of [Scott’s] charge . . . was her failure to be promoted to team manager in 1997.” Id. at *2.
However, the district court judge found that Scott’s claim for failure to promote to Team Manager
in 1998 and 1999 were within the scope of her EEOC charge, as well as her retaliation claim growing
out of the EEOC charge. Scott argues that the district court’s determination of the “primary focus”
of her EEOC charge was in error, as the correct standard under applicable law should have been the
“scope of investigation” test.
1. Dismissal of Scott’s Claim for Failure to Promote by
Special Selection to Welding Inspector in 1997
In dismissing all of Scott’s claims for failure to exhaust administrative remedies “other than
her claim that she was denied Team Manager positions in 1997, 1998, and 1999” and Scott’s
retaliation claim “for the filing of a charge with the EEOC,” the district court dismissed Scott’s claim
for failure to promote by Special Selection to Welding Inspector in 1997. In Scott’s EEOC charge,
she describes the 1997 Welding Inspector promotion for which she was not selected as follows:
In June, 1997, a welding inspector job was filled with a male employee with less
experience, qualifications, and service. This position was not posted and employees
were not canvassed for interest in the position. Other male employees are given
7
special assignment and special training to groom them for promotional opportunities
and women are not given the same benefits or opportunities.
(Charge of Discrimination, J.A. 414.) Eastman responded to the EEOC charge with information
about the Welding Inspector position that was given to Michael Gass (“Gass”) as well as about the
Special Selection process. On appeal, Eastman agrees that the 1997 Welding Inspector position was
identified in the EEOC charge. Because Scott’s claim for failure to promote by Special Selection
to Welding Inspector in 1997 was identified in her EEOC charge, it was clearly within the scope of
the EEOC’s investigation. Therefore, the district court erred in dismissing this claim for failure to
exhaust administrative remedies. Accordingly, we conclude that the case should be reversed and
remanded back to the district court for determination on the merits.
The dissent argues that, although the district court erred in dismissing this claim for failure
to exhaust administrative remedies, summary judgment should be granted in Eastman’s favor on the
ground that, as a matter of law, Gass was better qualified than Scott because he had more relevant
education and more experience. Thus, the dissent concludes that Eastman has articulated a legitimate
non-discriminatory reason for selecting Gass over Scott, and that Scott has not presented evidence
that this reason is pretextual. However, because of the confused state of the record before this court,
as discussed below, we conclude that it would be inappropriate for this court to grant summary
judgment.
Scott’s EEOC charge describes a position that was not posted and for which employees were
not canvassed. She also states that she had more experience than the person selected. In response
to the EEOC charge, Eastman states:
Ms. Scott was considered during the final selection for the job assignment, along
with 20 other candidates, but she and 19 of the candidates were not selected for the
8
job. Ten candidates were ranked higher than Ms. Scott, and ten candidates were
ranked the same as Ms. Scott. Nine of the male candidates who were ranked higher
than Ms. Scott were not selected as the most qualified candidate for the job
assignment.
(J.A. 623.) In its Motion for Summary Judgment at the trial level, Eastman identified the selected
employee as Gass, and explained that he had a longer length of service and more relevant education.
(Gass had a two-year degree in Welding Technology and had been performing the job in an “acting”
capacity for several months, whereas Scott had a Welder Inspector’s certificate.) In Scott’s
Opposition to Summary Judgment, she did not directly respond to Eastman’s identification of Gass,
nor did she discuss the Welding Inspector position at all. However, in her response to Defendant’s
Separate Statement of Undisputed Facts, which the district court required her to file in conjunction
with its consideration of Defendant’s Summary Judgment Motion, Scott did not dispute that Gass
was selected in June, 1997, but she also stated that Jeff Estepp (“Estepp”) was selected “in
approximately 1997-98; however, no selection form was provided.” (J.A. 1746.) In addition, in
response to an interrogatory asking her to list every male employee who was treated more favorably
than her, Scott identified Estepp as being appointed to Welding Inspector with no canvass despite
Scott’s longer service, yet she did not identify Gass anywhere in this long list of names and
complaints. Consequently, it appears that Scott’s EEOC charge may have been referring to Estepp
rather than Gass.
Eastman has not moved for summary judgment regarding Estepp. As the district court did
not address any claim regarding Estepp, and as the record raises sufficient concerns regarding
whether Gass is the person whom Scott references in her EEOC charge, we hereby REVERSE the
9
district court’s decision and REMAND Scott’s claim for failure to promote by Special Selection to
Welding Inspector in 1997 back to the district court for consideration on the merits.
2. Dismissal of Scott’s Other Post-EEOC Charge
Failure to Promote by Special Selection Claims
Before the district court, and on appeal, Scott divided her post-EEOC charge failure to
promote claims into Team Manager promotions and Special Selection promotions. The district court
did not exercise jurisdiction over Scott’s post-EEOC charge failure to promote by Special Selection
claims and dismissed them for failure to exhaust administrative remedies. The district court further
concluded that Scott did exhaust her remedies on the post-EEOC charge Team Manager promotions
arising in 1998 and 1999, even though Scott did not file any additional EEOC charges regarding
these claims.
Scott argues that, like the post-EEOC charge Team Manager promotions in 1998 and 1999,
over which the district court did exercise jurisdiction, the post-EEOC charge Special Selection
promotions are reasonably related to the pre-EEOC charge Special Selection promotion described
in Scott’s EEOC charge and, thus, are within the scope of the EEOC investigation. Scott maintains
that the fact that the EEOC more thoroughly investigated the Team Manager promotions is not
determinative of the jurisdictional issue regarding her Special Selection claims. See Dixon, 392 F.3d
at 217-19.
In applying the expected scope of investigation test to this case, we conclude that the factual
allegations in Scott’s EEOC charge were not sufficient to put the EEOC on notice of Scott’s post-
EEOC charge failure to promote by Special Selection claims. Indeed, Scott did not use the term
Special Selection in describing her claim. The only reference in Scott’s EEOC charge to what Scott
10
now describes as a Special Selection promotion is the 1997 Welding Inspector position. This was
given as an example of promotions that occurred at Eastman without a process. It is not reasonable
to expect that the EEOC would investigate other promotional opportunities that were not put in front
of them. See Cedar v. Premier Indus. Corp., 869 F.2d 1489 *9 (6th Cir. 1989) (holding that just
because subsequent alleged acts of discrimination occurred during EEOC’s investigation “is no
reason to assume the agency would discover this charge”). Therefore, we AFFIRM the district
court’s dismissal of Scott’s other post-EEOC charge failure to promote by Special Selection claims,
as they were not sufficiently described in her EEOC charge, were not investigated by the EEOC, and
were not reasonably within the expected scope of the EEOC’s investigation.
3. Dismissal of Scott’s Post-EEOC Charge Retaliation Claims
In dismissing “all other claims,” the district court dismissed Scott’s post-EEOC charge
retaliation claim that did not arise from the EEOC charge. Scott maintains that the write-up she
received in 2001 was in response to her protected activity, an internal complaint to her Division
Head, and that in her EEOC charge she describes similar incidents where she was given write-ups
for complaining about discrimination. Scott also argues that because the EEOC was investigating
the Division at the time, a jury could find that the write-up she received immediately after this
meeting was in retaliation for her 2001 complaint and her 1997 EEOC charge. Therefore, Scott
maintains that her retaliation claim is exhausted because retaliation is foreseeable to defendants and
reasonably expected to grow out of a charge.
11
Courts have held that retaliation growing out of the EEOC charge is reasonably foreseeable
and therefore a plaintiff is not required to file yet another EEOC charge.2 However, Scott’s post-
EEOC charge retaliation claim stems from an incident occurring in 2001, four years after she filed
her EEOC charge. Applying the expected scope of the investigation test, it is not reasonable to
conclude that the EEOC would have investigated Scott’s retaliation claim based on the write-up she
received in 2001. Therefore, we AFFIRM the district court’s dismissal of this claim, as it was not
within the scope of the EEOC investigation, and thus Scott failed to exhaust her administrative
remedies on this claim.3
4. Dismissal of Scott’s Hostile Environment Claim
The district court dismissed Scott’s hostile environment claim because it determined that it
was not the “focus” of her EEOC charge and because Scott did not allege sufficient facts to prompt
the EEOC to investigate the claim. The plain language of Scott’s EEOC charge does not allege that
2
Courts have held that “it is unnecessary for a plaintiff to exhaust administrative remedies
prior to urging a retaliation claim growing out of an earlier charge[] [because] the district court
has ancillary jurisdiction to hear such a claim when it grows out of an administrative charge that
is properly before the court.” Ang v. Procter & Gamble Co., 932 F.2d 540, 546-47 (6th Cir.
1991) (quoting Gupta v. E. Texas State Univ., 654 F.2d 411, 414 (5th Cir. 1981)). This is
because “retaliation claims, by definition, arise after the filing of the EEOC charge, [and thus]
this rule promotes efficiency by requiring only one filing.” Id.
3
Scott argues that all of her post-EEOC charge claims are based on retaliation, as well as
sex discrimination (therefore there is more than one post-EEOC charge retaliation claim), and
that a jury could conclude that the motivating factor behind any alleged adverse action by
Eastman (i.e., post-EEOC charge failures to promote) was either based on sex discrimination or
retaliation for her complaints of sex discrimination. To the extent Scott is arguing “retaliatory
failure to promote” based on her protected activity other than the filing of the EEOC charge in
1997, those claims would not be within the expected scope of the EEOC charge and, thus, are
unexhausted for the same reasons that her retaliation claim based on her 2001 internal complaint
was not within the expected scope of her EEOC charge. The district court determined that any
post-EEOC charge retaliation claims stemming from anything other than the EEOC charge itself
were unexhausted.
12
she was subjected to a hostile environment. Though the captions outlining her EEOC charge are not
dispositive, they are some evidence of which claims Scott was seeking to pursue before the EEOC.
Scott argues that her hostile environment claim was within the scope of her EEOC charge because
she alleged instances of harassment and inappropriate conduct. However, there is no evidence that
the EEOC viewed Scott’s charge, or investigated her charge, as alleging a hostile environment claim.
Rather, her description of inappropriate conduct appears to be an attempt to provide background, or
context, for the claims that she is presenting. Scott’s EEOC charge contains a long description of
complaints covering her entire twenty-one years of employment at Eastman, but the incidents of
alleged sexual harassment that Scott described do not span the entire period of her employment.
Indeed, even if the events described are viewed as evidence of a potential hostile environment claim,
they are spread out in such a matter that the last such incidents described would not be within the
statute of limitations.
For these reasons, we AFFIRM the district court’s conclusion that Scott failed to exhaust
her hostile environment claim, as she offered no evidence that the EEOC actually investigated this
claim or that such claims could reasonably be expected to grow out of the charge.
B. Scott’s Failure to Promote Claims Decided on the Merits
1. McDonnell Douglas Framework
The district court exercised jurisdiction over Scott’s claims that she was not promoted to
Team Manager in 1997, 1998, and 1999, and granted summary judgment in favor of Defendant in
respect to each such claim. There was no dispute that Scott established a prima facie case of gender
discrimination under McDonnell Douglas Corp. v. Green, 411 U.S. 792 (1973). Once a plaintiff
has proved a prima facie case, the burden then shifts to the employer to articulate some legitimate,
13
non-discriminatory reason for plaintiff’s rejection. Id. at 802. Eastman’s articulated reason for not
promoting Scott to Team Manager each year from 1997 to 1999 was that she did not rank high
enough in the TMDS selection process and thus, other candidates were more qualified. Once an
employer has articulated a legitimate non-discriminatory reason, the burden shifts to the plaintiff to
demonstrate that the defendant’s explanation is a pretext for discrimination. To demonstrate pretext,
a plaintiff is required to show either: “(1) that the proffered reasons had no basis in fact; (2) that the
proffered reasons did not actually motivate the decision; or (3) that they were insufficient to motivate
the employment decision.” Mitchell v. Vanderbilt Univ., 389 F.3d 177, 184 (6th Cir. 2004) (citing
Manzer v. Diamond Shamrock Chems. Co., 29 F.3d 1078, 1084 (6th Cir. 1994)).
2. Eastman’s Articulated, Non-Discriminatory Reason
Scott argues that the district court erred in granting Eastman summary judgment because
Eastman’s non-discriminatory explanation lacks clarity and specificity as required by Tex. Dep’t of
Cmty. Affairs v. Burdine, 450 U.S. 248, 257 (1981). Burdine requires the defendant to articulate a
legitimate, non-discriminatory reason for its actions “which would allow the trier of fact to conclude
that the employment decision had not been motivated by discriminatory animus.” Id. at 257. In
order to sustain his burden of production and rebut the presumption, “the defendant must clearly set
forth, through the introduction of admissible evidence, the reasons for the plaintiff’s rejection.”
Rowe v. Cleveland Pneumatic Co., Numerical Control, Inc., 690 F.2d 88, 96 (6th Cir. 1982) (quoting
Burdine, 450 U.S. at 255). Such evidence must be “clear and reasonably specific,” and it must be
of such a character as to “justify a judgment for the defendant.” Id. (quoting Burdine, 450 U.S. at
255).
14
The district court found that Eastman “set forth a legitimate non-discriminatory reason for
its failure to promote the plaintiff to Team Manager, that is, that those selected for the Team Manager
position were better qualified than the plaintiff.” Scott, 2005 WL 1325014, at *3. There is no further
analysis by the district court of Eastman’s articulated, non-discriminatory reason for not promoting
Scott.
Scott argues that Eastman did not offer a clear, reasonably specific, or legally sufficient
explanation as required by Burdine because the numeric values on the spreadsheets provide no
factual basis to explain why management rated Scott lower than male selectees on certain subjective
criteria. The rating assignment on the spreadsheets consist of a 7-9 for outstanding, 4-6 for fully
acceptable, and 1-3 for less than acceptable. (See Performance and Capability Assessment, J.A.
1245, 1247.) In support of her argument, Scott cites Goosby v. Johnson & Johnson Med., Inc., 228
F.3d 313 (3d Cir. 2000). In Goosby, the Third Circuit reversed summary judgment for the employer
where the employer purported to rely on numerical “Matrix” scores assigned to subjective criteria.
Id. at 320-21. The Third Circuit stated, “cloaking such criteria with an appearance of objectivity
does not immunize an employment decision from a claim of discrimination.” Id. at 321.
Eastman argues that Scott did not raise this argument below and thus waived it. However,
Scott did argue that the spreadsheet scores “demonstrate excessive subjectivity.” (J.A. 751-52.) The
district court’s opinion stated that, “plaintiff attempts to equate subjectivity in the selection process
with pretext. However, the plaintiff cites no authority for this proposition, nor is such authority likely
to exist.” Scott, 2005 WL 1325014, at *4. The court’s opinion that no authority likely exists
regarding the relevance of subjective criteria to proving pretext is an issue of law requiring no new
15
factual determination and may be addressed on appeal. Logan v. Denny’s Inc., 259 F.3d 558, 570
(6th Cir. 2001).
This circuit and other circuits have recognized the problems with subjective evaluations
under Title VII. In Rowe, the court summarized as follows:
This Court has previously noted the problems inherent in selection procedures which
rely solely upon . . . subjective evaluations . . . . See, e.g., Senter v. General Motors
Corp., 532 F.2d 511, 528-29 (6th Cir.), cert. denied, 429 U.S. 870, 50 L. Ed. 2d 150,
97 S. Ct. 182 (1976); Shack v. Southworth, 521 F.2d 51, 55-56 (6th Cir. 1975). While
such procedures are not per se violative of Title VII, Hester v. Southern Railway Co.,
497 F.2d 1374, 1381 (5th Cir. 1974), they do provide a ready mechanism for
discrimination, permitting racial prejudice to affect and often control promotion and
hiring decisions. [Citations omitted.] While we recognize that, in some
circumstances, employment decisions may be made on the basis of such subjective
criteria, any procedure employing such subjective evaluations will be carefully
scrutinized in order to prevent abuse. Jenkins v. Caddo-Bossier Association for
Retarded Children, 570 F.2d 1227, 1229 (5th Cir. 1978).
Rowe, 690 F.2d at 93.
Moreover, in Thurman v. Yellow Freight Sys., 90 F.3d 1160, 1167 (6th Cir. 1996), this court
stated that “[an] employment decision is subject to ‘particularly close scrutiny’ when it was
subjective and decision makers were not members of [the] minority group.” Id. (discussing Bruhwiler
v. Univ. of Tenn., 859 F.2d 419, 421 (6th Cir. 1988)). Scott argues the district court was required to
assess the legitimacy of Eastman’s subjective reasons for rejecting Scott with “particularly close
scrutiny” as all seventeen of the decisionmakers involved in selecting Team Managers in Polymers
and CM&S Divisions were men who selected only men in 1997, before Scott filed her EEOC charge.
Eastman states that the “evaluators” were not all male and, thus, close scrutiny is
inapplicable. (Appellee Br. 42.) However, it is undisputed that all decisionmakers involved in
“calibrating” scores, selecting finalists, and scoring and selecting Team Managers were male. (J.A.
16
845, 878.) Eastman also argues that because TMDS contained both subjective and objective
components, “particularly close scrutiny” is inapplicable, citing Milligan-Jensen v. Mich. Tech.
Univ., 767 F. Supp. 1403, 1411 (W.D. Mich. 1991) (reversed on other grounds).
The use of subjective criteria is permissible in the selection of candidates for
employment. Employers, not the courts, ought to be able to choose which employees
to hire. Rather, the ultimate issue in each case is whether the employer’s subjective
criteria were used to disguise discriminatory action.
Id.
We need not decide whether close scrutiny is required here, because even were we to closely
scrutinize Eastman’s articulated, non-discriminatory reason for not promoting Scott, we find that
Eastman met its burden. Eastman gave a legitimate, non-discriminatory reason for not promoting
Scott and put forth evidence showing that others were promoted ahead of her because they were more
qualified, based on criteria which included both an objective as well as a subjective component.
3. Pretext
The district court concluded that Scott failed to show that Eastman’s articulated, legitimate
non-discriminatory reason was pretextual. To demonstrate pretext, a plaintiff is required to show
either: “(1) that the proffered reasons had no basis in fact; (2) that the proffered reasons did not
actually motivate the decision; or (3) that they were insufficient to motivate the employment
decision.” Mitchell, 389 F.3d at 184 (citing Manzer, 29 F.3d at 1084).
a. Adverse Inference to Prove Pretext
Here, Scott argues that she is entitled to the benefit of an adverse inference. Scott alleges that
Eastman illegally destroyed the primary documents from which the numeric scores on the
spreadsheets produced by Eastman were generated. Scott maintains that, “Eastman destroyed
17
documents for the 1996-1998 selections to Team Manager, including candidates’ Applications,
Qualifying Tests, PCAs [Performance and Capability Assessments], and notes and raw score sheets
for the Team Exercise and Interviews.” (App. Br. 37.) Eastman admits that some of the underlying
documents, from which the spreadsheets were created, are missing. The district court did not discuss
Scott’s argument for an adverse inference.
Scott argues that when an employer fails to maintain documents that it is required by law
to maintain,4 it should not benefit from its misconduct. Eastman argues that Scott is not entitled to
an adverse inference as the spreadsheet scores (computed apparently from underlying documents,
some of which are missing) can be explained by a managerial employee who can testify about the
process and criteria reflecting the candidates’ scores. The rules governing spoliation of evidence are
governed by state law. In McDaniel v. Transcender, LLC, 119 F. App’x 774 (6th Cir. 2005), the
4
Scott points to 29 C.F.R. § 1602.14 (2007), which states, in relevant part:
Any personnel or employment record made or kept by an employer
(including. . . application forms submitted by applicants and other records
having to do with hiring, promotion, . . . and selection for training or
apprenticeship) shall be preserved by the employer for a period of one year
from the date of the making of the record or the personnel action involved,
whichever occurs later. . . .Where a charge of discrimination has been
filed, or an action brought by the Commission or the Attorney General,
against an employer under title VII or the ADA, the respondent employer
shall preserve all personnel records relevant to the charge or action until
final disposition of the charge or the action. The term “personnel records
relevant to the charge,” for example, would include personnel or
employment records relating to the aggrieved person and to all other
employees holding positions similar to that held or sought by the
aggrieved person and application forms or test papers completed by an
unsuccessful applicant and by all other candidates for the same position as
that for which the aggrieved person applied and was rejected. . . .
29 C.F.R. § 1602.14.
18
plaintiff brought a Fair Labor Standards Act and an ADEA claim against his employer. In McDaniel,
the court stated,
Spoliation is the intentional destruction of evidence that is presumed to be
unfavorable to the party responsible for the destruction. [Citation omitted.] The rules
that apply to the spoiling of evidence and the range of appropriate sanctions are
defined by state law; in this case, the law of Tennessee. Nationwide Mut. Fire Ins.
Co. v. Ford Motor Co., 174 F.3d 801, 804 (6th Cir. 1999).
Id. at 782. Under Tennessee law, which applies in this case as well, no adverse inference may arise
absent evidence of bad faith.5 Eastman maintains that Scott is not entitled to any adverse inference
as she has not shown that the relevant documents were destroyed intentionally, in bad faith or for an
improper purpose. Scott contends that an adverse inference is warranted under these facts because:
(1) Eastman had complete control over the documents; (2) the documents were critical to proving
Scott’s claims; (3) litigation was reasonably foreseeable at the time the documents were destroyed;
and (4) Eastman has not offered any explanation as to how the documents became unavailable.
However, apart from these general claims and arguments, Scott has failed to point to any
record evidence, such as deposition testimony or an affidavit showing that the relevant documents
were destroyed intentionally, in bad faith or for an improper purpose. Thus, we do not find Scott’s
argument for the benefit of an adverse inference to be meritorious.
b. The EEOC Letter to Prove Pretext
5
See Tucker v. Gen. Motors Corp., 1991 U.S. App. LEXIS 23184, at *6 (6th Cir. Sept. 30,
1991) (“In general, a court may not allow an inference that a party destroyed evidence that is in
its control, unless the party did so in bad faith.”); Eady v. Cigna Prop. & Cas. Cos., 1999 Tenn.
LEXIS 687 (Tenn. Dec. 27, 1999) (“In regards [sic] to negative inferences, there was no proof
offered at trial to show that the appellee purposefully destroyed the previous [ozone] testing
records.”)
19
Scott argues that the EEOC determination letter in her favor demonstrates a genuine dispute
of material fact sufficient to defeat summary judgment. It is within the discretion of the court to
accept the EEOC’s final determination. See Williams v. Nashville Network, 132 F.3d 1123, 1129
(6th Cir. 1997) (“This court has explicitly ruled that it is within the [sound] discretion [of the district
court] whether . . . to accept the EEOC’s final investigation report in evidence.”) (brackets in
original) (quotation omitted); see also Heard v. Mueller Co., 464 F.2d 190, 194 (6th Cir. 1972).
Eastman argues that Scott was required to offer admissible evidence to show pretext, and that
the EEOC determination letter was inadmissible; thus, the district court was correct in disregarding
it. Sherman v. Chrysler Corp., 47 F. App’x 716, 722 (6th Cir. 2002) (“An EEOC letter of violation
is presumptively inadmissible because it suggests that preliminarily there is reason to believe that
a violation has taken place and therefore results in unfair prejudice to defendant.”) (internal
quotations and citations omitted). However, in this case, the district court’s opinion states that “for
purposes of ruling on the motion for summary judgment, the court will presume that all evidence
before it is admissible at trial.” Scott, 2005 WL 1325014, at *3 n.1. The EEOC determination letter
was clearly before the district court, though he did not discuss it.
Though there is no basis from which we can determine the weight, if any, that the district
court gave the EEOC determination letter, we find that there is only information in regard to the
1996/97 Polymers Team Manager position which might arguably be considered in support of her
claim and that information is already reflected in the record, as discussed below. The EEOC
determination letter notes in regard to the 1996/97 Polymers Team Manager position that: (1) Scott
received a higher score on the objective portions of the test than many of the male selectees; (2) yet,
she received the lowest rating on the subjective portions of the test; and (3) the evidence in her
20
personnel file concerning her leadership skills, oral communication and customer service was
inconsistent with the low ratings she received. (EEOC Determination Letter, J.A. 465.) However,
the record upon which the EEOC relied, primarily the spreadsheets discussed below, does not
support these findings. Furthermore, there is no substantive information in the EEOC determination
letter showing that Eastman’s articulated, non-discriminatory reasons for not promoting Scott to
Team Manager in 1996/97 for the CM&S Division, 1997/98, or 1998/99 were pretextual. Therefore,
we find that the EEOC determination letter does not preclude summary judgment in Eastman’s favor
on any of Scott’s failure to promote to Team Manager claims.
c. Eastman’s Spreadsheets to Prove Pretext
Finally, Scott argues that Eastman’s own spreadsheets provide evidence establishing that
Eastman’s articulated, non-discriminatory reason for not promoting her to Team Manager for either
the Polymers Division or the CM&S Division in 1996/97 was pretextual. As discussed below, we
disagree.
The Team Manager selections for the Polymers Division in 1996/97 were made using TMDS,
a process that assessed candidates’ scores on four different components: the objective PPT, and three
subjective tests, the PCA, the Team Exercise (“TE”), and the Structured Interview (“SI”). Each
component was evaluated by different managers. First, Eastman selected twenty-two finalists based
on their scores on the PPT and the PCA.6 The finalists then completed the TE and SI. Each of the
four components was made up of several sub-components, which, in turn, each tested a different skill
6
Scott admits that, during this stage, Eastman sometimes adds additional candidates as
finalists, in the interest of diversity. Scott herself benefitted from this action in certain years.
However, in the 1996/97 Polymers Division selection, her score was sufficiently high to earn her
a place as a finalist.
21
set (e.g., oral communication, managerial skills). Some of the skill sets were tested in multiple
components (for example, oral communication was tested in both the PCA and SI). After scoring
the four components, Eastman then performed two additional calculations, called Candidate Final
Assessed Value and Strength Factors, which averaged the scores of the previously tested skill sets.
After these additional calculations, the finalists received Total Points and were then ranked. From
this intricate process, Eastman selected six Team Managers based on the candidates’ final rankings.
Scott points to the fact that, according to the TMDS spreadsheets for the 1996/97 Polymers
Division Team Manager selection process, she scored higher on the objective PPT than many men
who were promoted. However, although Scott scored higher than four of the six selectees on the
PPT, she ranked only ninth among the twenty-two finalists on this component. The skill sets that
the PPT measured were Reading Comprehension, Graphic Arithmetic, and Following Policies and
Procedures. While these skill sets are undoubtedly important, they represent only a few of the many
skills evaluated by TMDS. Therefore, Scott’s argument that her performance on this component
should be representative of her performance on other components or in the overall selection process
is not well-taken.
Scott argues that the overwhelmingly subjective nature of the test discriminated against
female employees, but she has failed to present evidence suggesting any bias in the way the test was
conducted. While Scott did poorly on two of the subjective components (scoring near the bottom
on both the PCA and the SI), she did well on the other subjective component (scoring first among
all the finalists in the TE).7 As such, the finalists’ scores on the subjective components do not
7
The EEOC determination letter refers to multiple objective components, and states that
Scott performed well on all objective portions and performed poorly on all subjective portions.
Thus, it appears that the EEOC characterized the TE, on which Scott ranked first, as objective.
22
indicate any manipulation on the part of Eastman to disfavor female candidates. Scott challenges
the SI component in particular, arguing that her total score dropped significantly after this
component. Again, we note that faring well or poorly on an individual component of the TMDS does
not, in itself, indicate pretext. Furthermore, we note that when the raw scores for the four
components are totaled, prior to the additional calculations, Scott had a “raw score” of 143, which
was the ninth highest raw score. Scott scored lower than all of the six selectees, who had scores of
150, 150, 149, 147, 146, and 146. Consequently, the record indicates that Scott’s score was simply
not as high as those who were selected for promotion.
There is also no evidence that the additional calculations masked discrimination. For
example, Scott points out that she received varying scores within a particular skill set; however, this
is explained by the fact that different managers evaluated each component. For the same reason, the
fact that her scores on particular subsets changed from year to year does not, without more, indicate
pretext. In addition, Scott points out that some of the selectees’ individual sub-component scores
were lower than hers, but that after the “re-ranking” these candidates were selected instead of her.
However, the court notes that TMDS (in particular, the additional calculations) was designed to
identify the candidates’ average score. None of these facts suggest that Eastman’s selection process
was a disguise for discrimination. Nor does the fact that the evaluators used a Special Selection form
to do these calculations indicate pretext. In sum, Scott has not presented evidence to support her
contention that she was better qualified than the people selected instead of her.
However, because the TE consisted of managers grading candidates’ performances on group
tasks, we find that this component is subjective.
23
With regard to the 1996/97 Team Manager selection for the CM&S Division, Plaintiff argues
in a footnote that because the spreadsheets for the 1996/97 CM&S Team Manager selection were not
in the record before the district court (due to an oversight by Defendant), summary judgment should
be reversed and the case should be remanded on this claim. We disagree. The district court properly
found that Plaintiff had failed to raise a genuine issue of material fact as to pretext based on the
evidence before it, including the lack of adverse inference and the EEOC determination letter, as
discussed above. Nothing in the spreadsheets would change that determination. The spreadsheets
indicate that Scott did not score high enough on the first two components to earn a spot as a finalist.
Her score of 49 was much lower than the scores of the eighteen finalists, who ranged from 56 to 62.
(CM&S 1996 TMDS Process Data, App. Br., Addendum 6.) As such, Scott has failed to show that
Eastman’s process for selecting Team Managers for the Polymers and CM&S Divisions in 1996/97
was either not credible or motivated by discriminatory animus.
Therefore, we find that Scott has failed to put forth sufficient evidence to raise a genuine
issue of material fact regarding whether Eastman’s articulated, non-discriminatory reasons were
pretextual for the 1996/97 Team Manager selections for the Polymers and CM&S Divisions.
Accordingly, we AFFIRM the district court’s finding that Scott failed to prove pretext on her claim
for discriminatory failure to promote to Team Manager in 1996/97. Furthermore, we AFFIRM the
district court’s finding that Scott failed to prove pretext on her claim for discriminatory failure to
promote to Team Manager in 1997/98 and 1998/99 because Scott has failed to come forward with
competent evidence to support these claims.
C. Scott’s Retaliation Claims Decided on the Merits
24
The district court concluded in regard to Scott’s retaliation claims growing out of her EEOC
charge that Scott failed to produce evidence that Eastman decisionmakers knew that she filed an
EEOC charge in 1997. Scott, 2005 WL 1325014, at *4. Scott argues the district court erred for two
reasons. First, because the element of employer knowledge is not always an element for establishing
a prima facie case of retaliation in the Sixth Circuit; sometimes it is part of the causal connection
analysis. Second, Scott argues that she did produce evidence, either direct or circumstantial, from
which a factfinder could infer that decisionmakers knew of her protected activities.
1. The Element of Employer Knowledge
Regarding the element of employer knowledge, the district court concluded,
The undisputed facts reflect that the only supervisory employee who had knowledge
of the plaintiff’s charge was Don Sanders, who testified that he told no one about the
charge. No allegation is made that Mr. Sanders engaged in retaliatory conduct.
Plaintiff has failed to establish that each of the decision-makers, as to each alleged
adverse employment action that she contends was in retaliation for the filing of her
charge, had knowledge of the charge. Because the plaintiff has failed to pinpoint
facts sufficient to establish a material dispute as to whether the decision-makers had
knowledge of her charge, she cannot prove a prima facie case of retaliation.
Id. at *4.
Scott argues that the district court prematurely terminated the analysis of her retaliation claim
at the prima facie stage, when some decisions in this Circuit treat knowledge as a consideration in
assessing a causal connection, and not as a stand-alone element. In the Sixth Circuit, many cases
list “employer knowledge” as the second element of the prima facie case. See Canitia v. Yellow
Freight Sys., 903 F.2d 1064, 1066 (6th Cir. 1990) (listing the elements of a prima facie case for
retaliation as “(1) that he engaged in an activity protected by Title VII; (2) that this exercise of his
protected civil rights was known to defendant; (3) that defendant thereafter took an employment
25
action adverse to the plaintiff; and (4) that there was a causal connection between the protected
activity and the adverse employment action.”). Yet in White v. Burlington N. & Santa Fe Ry. Co.,
364 F.3d 789, 796 (6th Cir. 2004) (en banc), the court did not list knowledge as an independent
element of a prima facie case.
[T]o support a claim for retaliation under Title VII a “plaintiff must establish: (1) that
he engaged in activity protected by Title VII; (2) that he was the subject of adverse
employment action; and (3) that there exists a casual [sic] link between his protected
activity and the adverse action of his employer.”
Id. (citing Jackson v. RKO Bottlers of Toledo, Inc., 743 F.2d 370, 375 (6th Cir. 1984)); see also
Yates v. Avco Corp., 819 F.2d 630, 638 (6th Cir. 1987) (same); Harris v. Metro. Gov’t of Nashville,
80 F.3d 1107, 1118 (6th Cir. 1996) (noting that some cases subsume the element of employer
knowledge into the causal connection analysis).
Regardless of whether employer knowledge is a stand-alone element of a prima facie case
of retaliation, it is fairly clear from Sixth Circuit case law that employer knowledge of a plaintiff’s
protected activity is required. As Eastman asserts, even to prove a causal connection, Scott must
establish that the decisionmakers involved in the promotions at issue had knowledge of the protected
activity, as one cannot retaliate against an employee for engaging in protected activity unless he knew
the employee had done so.
2. Direct Evidence of Employer Knowledge
or Evidence From Which a Jury Could Infer Employer Knowledge
Knowledge may be inferred from evidence in the record. See, e.g., Proffitt v. Metro. Gov’t
of Nashville & Davidson County, 150 F. App’x 439, 442-43 (6th Cir. 2005) (stating that direct
evidence of knowledge not required, and a plaintiff “may survive summary judgment by producing
circumstantial evidence to establish this element of her claim”); Kirkendoll v. McCullough, 2006
26
U.S. Dist. LEXIS 1080, at *29-30 (M.D. Tenn. Jan. 3, 2006) (“Plaintiff must present sufficient
evidence from which a reasonable factfinder could infer that [decisionmakers] knew that Plaintiff
previously had filed EEOC complaints . . . .”)
Scott maintains that she pointed to evidence in the record showing either directly, or by
inference, that there was at least a genuine issue of material fact as to whether decisionmakers at
Eastman had knowledge of her protected activities. Scott has made a number of arguments and
pointed to general policies which she maintains show that decisionmakers generally have knowledge
of charges filed by employees. However, she still has not specified those persons responsible for not
promoting her, nor has she established that those persons likely had knowledge of her protected
activity.
Because Scott has not pointed to evidence in the record, either direct or circumstantial, from
which a reasonable factfinder could conclude, or infer, that those at Eastman responsible for not
promoting Scott knew of her protected activity, we AFFIRM the district court’s conclusion that
Scott failed to establish a prima facie case of retaliation.
D. Plaintiff’s Attempt to Amend her Complaint
On February 8, 2005, Scott filed a Motion for a Stay, requesting that the court stay the
remaining deadlines in the Amended Scheduling Order to provide her with additional time in which
to file a Motion to Amend the Complaint. On February 16, 2005, the Magistrate Judge denied that
Motion, based primarily on the futility of Plaintiff’s potential Motion to Amend and the fact that the
deadline for amended pleadings had passed nine months earlier without any request to extend it.
(Magistrate Judge’s Order, J.A. 718.) The Magistrate Judge observed,
27
This action was filed in August of 2003. . . . While the EEOC charge made
reference to the fact that the plaintiff was filing claims of sex discrimination on
behalf of herself and all women similarly situated, no class action allegations appear
in this action, other than a line in the complaint saying the plaintiff “reserves the right
to seek class certification.”
The original scheduling order required that “any motions to amend the
pleadings or add new parties must be filed by May 28, 2004.” The original trial date
was January 18, 2005. This case has been continued twice by joint motions. The
first of these motions was filed on July 12, 2004, well after the May 28th deadline.
Neither of the orders granting these continuances extended the deadline for amending
the pleadings or adding additional parties.
(Id. at 718-19.) The Magistrate Judge then concluded that there were no compelling circumstances
justifying an amendment of the Complaint after the deadline.
Scott did not object to the Magistrate Judge’s Order. Thereafter, on May 6, 2005, while
Eastman’s Motion for Summary Judgment was pending, Scott filed a Motion to Amend/Revise
Complaint. (ECF No. 64, 65; J.A. 9.) Scott’s Motion to Amend her Complaint was pending when
the district court granted Eastman’s Motion for Summary Judgment and dismissed Scott’s claims,
though in the district court’s order granting summary judgment to Defendant, it stated: “nor has the
plaintiff sought to amend her complaint to pursue a claim for disparate impact” when it ignored her
statistical evidence. Scott, 2005 WL 1325014, at *3 n.2. The district court denied Scott’s Motion
to Amend as moot.
Scott argues that the district court erred by not permitting her to amend her complaint to
allege a class action claim and a disparate impact claim. Scott asks this court to reverse and order
the district court to permit her to amend her Complaint. Eastman argues that because Scott failed
to object to the Magistrate Judge’s Order, she has waived her right to assign error to that decision
under Fed. R. Civ. P. 72.
Federal Rule of Civil Procedure 72(a) states, in relevant part,
28
Magistrate Judges; Pretrial Orders
Nondispositive Matters. (a) A magistrate judge to whom a pretrial
matter not dispositive of a claim or defense of a party is referred to
hear and determine shall promptly conduct such proceedings as are
required and when appropriate enter into the record a written order
setting forth the disposition of the matter. Within 10 days after being
served with a copy of the magistrate judge’s order, a party may serve
and file objections to the order; a party may not thereafter assign as
error a defect in the magistrate judge’s order to which objection was
not timely made.
Fed. R. Civ. P. 72(a).
As Scott did not object, she has waived her right to assign error to the Magistrate Judge’s
order. Furthermore, decisions on motions to amend are reviewed for an abuse of discretion. Miller
v. Metro. Life Ins. Co., 925 F.2d 979, 982 (6th Cir. 1991). Scott has not shown an abuse of
discretion; therefore, we AFFIRM the district court’s determination on this issue.
IV.
In conclusion, for the foregoing reasons, we AFFIRM the district court’s decision to dismiss
Scott’s failure to promote claims other than to Team Manager, with the exception that we find
Scott’s failure to promote by Special Selection to Welding Inspector in 1997 was not unexhausted,
and, thus, we REVERSE the district court’s decision and REMAND that claim for consideration
on the merits. We AFFIRM the district court’s dismissal of Scott’s retaliation claims, other than
those associated with the filing of her EEOC charge, for failure to exhaust her administrative
remedies. Likewise, we AFFIRM the district court’s dismissal of Scott’s hostile environment claim
for failure to exhaust.
We AFFIRM the district court’s granting of summary judgment to Eastman on Scott’s
failure to promote claims for failure to prove pretext, and we AFFIRM the district court’s granting
29
of summary judgment to Eastman regarding Scott’s retaliation claims associated with the filing of
her EEOC charge. Finally, we AFFIRM the district court’s determination that Scott not be
permitted to amend her Complaint.
30
BOGGS, Chief Judge, dissenting in part. I would affirm the district court’s grant of
summary judgment for Eastman in its entirety. Therefore, though I agree with the bulk of the
majority’s opinion, I dissent from the majority’s decision to remand one of Scott’s failure-to-promote
claims.
With respect to the Welding Inspector position, discussed in Part III.A.1 of the majority’s
opinion, I agree with the majority that Scott exhausted her administrative remedies and that the
district court was wrong to conclude otherwise. I do not think, however, that this conclusion should
be the end of our inquiry. An appellate court “may affirm on any grounds supported by the record
even if different from the reasons of the district court.” Abercrombie & Fitch Stores, Inc. v. Am.
Eagle Outfitters, Inc., 280 F.3d 619, 629 (6th Cir. 2002). Here, applying the McDonnell Douglas
burden-shifting framework, Eastman offered a clear non-discriminatory explanation for its decision
not to promote Scott and Scott failed to raise a genuine issue of material fact that this explanation
was a pretext for sex discrimination
Eastman’s non-discriminatory explanation for not giving Scott the Welding Inspector job is
simple: others were more qualified, and the majority opinion does not appear to contradict this.
There is uncontroverted evidence that the man awarded the job, Michael Gass, had more experience
(thirty years of service to Scott’s twenty-one), had more relevant education (a two-year degree in
welding technology rather than a welding inspector’s certificate), and had been performing the
Welding Inspector job on a temporary basis for four months. Scott did not present any competent
evidence that she was actually more qualified or that Eastman’s personnel decision was motivated
by discriminatory animus. On that basis, I would affirm the district court’s grant of summary
judgment for Eastman.
31
The majority opinion now contemplates that perhaps the Welding Inspector job given to Gass
was not actually the subject of the charge made by Scott. This argument does not seem to comport
with the record. To the extent that Scott’s charge did adequately raise this incident (and all three of
us agree, contra to the district court, that it did), the charge was quite specific. At page 6 of the
charge that she signed on September 22, 1997 (JA 414), Scott specifically states “In June 1997, a
Welding Inspector job was filled with a male employee with less experience, qualifications and
service.” Faced with this allegation, Eastman promptly responded, in its motion for summary
judgment, with an identification of such a position and the fact that it was filled by Michael Gass.
During the EEOC process, Eastman also responded to this allegation in its position statement.
Neither before the EEOC nor before the district court did Scott in any way contest specifically that
this was the position involved. Only in the briefing to this court (appellant’s brief at 14-15) does she
raise specifically the promotion of Estepp, which she refers to as “in about 1997” and cites six
scatter-shot record references, only two of which even mention Estepp.
In her documents below, one of only two comparable references to Estepp is in response to
an interrogatory concerning evidence for her claims of disparate treatment, in which she names at
least 72 persons (JA 1195-1200) who were involved in one activity or another that she references,
at least five of whom are referred to as receiving positions as Welding Inspector, and in which Estepp
is referenced without any date. (JA 1196). The other passing reference to Estepp is in the context
of Scott’s response to “undisputed fact No. 131” (JA 1746). After a series of responses concerning
Gass and others, there is a statement of “additional material facts” saying Estepp was selected for
Welding Inspector “in approximately 1997-98.” I believe this wholly insufficient to put either
Eastman or the district judge on notice that Estepp’s promotion, rather than Gass’s, is the event
32
complained of in the charge, as it must have been, in order to meet the exhaustion requirement that
the panel has now agreed was met. In order to survive summary judgment, a plaintiff has some
obligation to indicate with specificity if she disputes the interpretation that has been placed on an
ambiguous complaint by the non-moving party. A complainant cannot simply “lie in the weeds” and
contend later that the charge actually had to do with a completely separate promotion.
In any event, however, I would understand the court’s remand to apply only to consideration
of this allegation, that it was actually the Estepp promotion that was referenced in the EEOC charge
and exhausted thereby. The EEOC determination letter itself makes no specific reference to this
allegation, as it found all of the charges other than the team leader promotions to be unfounded or
outside the period covered by the charge.
33