FILED
United States Court of Appeals
Tenth Circuit
PUBLISH
October 13, 2011
UNITED STATES COURT OF APPEALS
Elisabeth A. Shumaker
Clerk of Court
TENTH CIRCUIT
DENICE TWIGG,
Plaintiff - Appellant,
v.
No. 10-3118
HAWKER BEECHCRAFT
CORPORATION,
Defendant - Appellee.
Appeal from the United States District Court
for the District of Kansas
(D.C. No. 08-CV-2632-JTM)
Alan V. Johnson, Sloan, Eisenbarth, Glassman, McEntire & Jarboe, L.L.C., Topeka,
Kansas, for Plaintiff-Appellant.
Terry L. Mann, Martin, Pringle, Oliver, Wallace & Bauer, L.L.P., Wichita, Kansas, for
Defendant-Appellee.
Before BRISCOE, Chief Judge, EBEL, and TYMKOVICH, Circuit Judges.
EBEL, Circuit Judge.
Plaintiff-Appellant Denice Twigg appeals from the district court’s order granting
summary judgment in favor of Defendant-Appellee Hawker Beechcraft Corporation
(“HBC”) on Twigg’s claims for (1) retaliation under 42 U.S.C. § 1981; (2) retaliation
under the Family and Medical Leave Act (“FMLA”), 29 U.S.C. §§ 2601–54; and (3)
interference under the FMLA. Exercising jurisdiction under 28 U.S.C. § 1291, we
conclude that Twigg failed to produce sufficient evidence that HBC terminated her
employment in retaliation for her complaints about race discrimination or her taking
FMLA leave. Therefore, her retaliation claims under § 1981 and the FMLA fail as a
matter of law. We further conclude that the district court properly granted summary
judgment to HBC on Twigg’s FMLA interference claim because HBC met its burden of
demonstrating that it terminated Twigg for a reason unrelated to her FMLA leave—
namely, her failure to comply with the company’s notice-of-absence policy.
Accordingly, we AFFIRM the judgment of the district court.
I. BACKGROUND
A. Twigg’s Position with HBC
HBC, formerly known as Raytheon Aircraft Company, is a manufacturer of
civilian and military aircrafts. Twigg was employed by HBC from April 2, 1997, to April
7, 2008. At all times relevant to the present action, Twigg worked in HBC’s Technical
Manual Distribution Center (“TMDC”) as a Media Production Specialist. Her duties
included converting aircraft document files and manuals into .pdf electronic files for
compact-disc and web delivery, answering customer questions concerning navigation of
2
HBC’s website, and keeping certain information on the website up to date. Cindy Ealey
was Twigg’s immediate supervisor. Ealey, in turn, was supervised by Kathy Sade, who
was classified as a manager. Sade indirectly supervised Twigg.
B. Twigg’s Complaints About Race Discrimination
During part of Twigg’s employment with HBC, Teresa Cole, an African
American, was one of Twigg’s coworkers in the TMDC. Cole was supervised by Sharon
Schlegel, who reported directly to Sade. In the spring of 2007, Twigg complained to
Ealey that Schlegel was treating Cole unfairly because of Cole’s race. Twigg observed
Schlegel demeaning Cole and “overheard conversations in regard to blacks are lazy.”
(Aplt. App. at 190.) Twigg also felt that Cole was being forced to work extra hours to
make up for time that she had taken off in order to attend physical therapy for a hand
injury sustained at work. In late 2007 or January 2008, Twigg again complained to Ealey
about the treatment of Cole, this time expressing her belief that Schlegel was unfairly
denying Cole time off work. Although Ealey had no supervisory authority over Cole or
Schlegel, Ealey relayed Twigg’s complaints to Sade.
C. Twigg’s FMLA Leaves
1. HBC’s FMLA Policy and Rules of Conduct
HBC distributes and makes available to all of its employees a short FMLA
brochure. This brochure was mailed to every employee’s home in August 2006. In
addition, employees could get a copy of the brochure from Human Resources (“HR”)
personnel, in the medical department, or on the company intranet. The brochure provides
3
an overview of the FMLA and explains how employees may request family leave. The
brochure also contains a section entitled “Employee Responsibilities,” which states, in
pertinent part, “Until you receive formal notification that your family leave has been
approved, you must properly report your absence to your department every day. Proper
reporting is defined as reporting prior to the beginning of your shift.” (Aple. Supp. App.
at 85 (emphasis added).)
When Twigg participated in new-employee orientation in 1996, she was provided
with a copy of HBC’s attendance policy and Rules of Conduct. Rule 1 of HBC’s Rules
for Personal Conduct states that it is a violation of company policy for an employee to be
“[a]bsen[t] for three consecutive working days without proper notification.” (Id. at 77.)
The presumptive discipline for a first-time violator of this rule is termination.
2. 2004 FMLA Leave
In 2004, Twigg applied for FMLA leave so that she could have elective cosmetic
surgery. HBC approved her for six weeks of FMLA leave. When Twigg returned after
her leave, she did not experience any retaliation or hear anybody say anything critical
about the fact that she took FMLA leave.
3. 2008 FMLA Leave
On February 19, 2008, Twigg submitted a written request for FMLA leave to
HBC’s HR department. She asked for leave beginning the next day, February 20, 2008,
and continuing through April 17, 2008. The reason listed for the leave was “[s]urgery on
Feb 20th, [p]er Dr. possible 6–8 wk required recovery.” (Aple. Supp. App. at 152.)
4
Twigg claims that at some point before her surgery, both Ealey and Sade approved her
absence from work until April 18, 2008. She also claims that Ealey approved the
following out-of-office auto reply message that Twigg posted on her e-mail account
during her absence: “I will be out of the office until approximately April 18, 2008.”
(Aplt. App. at 187.)
Along with her FMLA request, Twigg submitted a “Certification of Health Care
Provider” as required by HBC policy. (Id. at 146–47.) This form was filled out and
signed by Dr. Joseph Lickteig. Dr. Lickteig identified Twigg’s diagnosis as “bunion right
foot” and stated that the probable duration of the condition was three months. (Id. at
146.) In response to Question 7 on the form, which asked the doctor to describe the
medical facts supporting the existence of a “serious health condition,” Dr. Lickteig wrote,
“Surgery to correct bunion with post-op recovery necessary i.e. non-wt. bearing etc.”
(Id.) Question 12(a) on the form asked, “If medical leave is required for the employee’s
absence from work because of the employee’s own condition[,] . . . is the employee
unable to perform work of any kind?” (Id. at 147.) Dr. Lickteig responded, “Can
preform [sic] only non-wt. bearing work.” (Id.) A follow-up question, Question 12(b),
inquired, “If able to perform some work, is the employee unable to perform any one or
more of the essential functions of the employee’s job? If yes, please list the essential
functions the employee is unable to perform.” (Id.) Dr. Lickteig did not answer this
question.
5
a) HBC’s Initial Approval of Twigg’s Leave Request Through
February 29, 2008
On February 21, 2008, Amber Cotton, an assistant in HBC’s HR department who
helped with FMLA administration, prepared a memorandum addressing Twigg’s FMLA
request. The memorandum stated, “Your request for FMLA leave has been reviewed and
approved for the following dates: February 20–29, 2008.” (Aplt. App. at 148.) Cotton
testified in her deposition that she sent this memorandum to Twigg’s home address via
regular U.S. mail, but Twigg claims that she never received a copy of the memorandum.
Twigg testified, however, that she called Cindy Ealey on February 25, 2008, to provide
an update on her surgery and was informed that her FMLA leave had only been approved
through February 29.
Nita Long, HBC’s former director of compensation and benefits and the individual
in charge of HBC’s FMLA program in 2008, was responsible for the decision to approve
Twigg’s FMLA leave for one week. Both Long and Cotton acknowledged that Dr.
Lickteig’s certification did not indicate the length of time that Twigg would need to be
off work. Long testified that if Dr. Lickteig had provided a specific time frame, HBC
would have been bound by the certification unless the company followed the procedures
in the Code of Federal Regulations for seeking a second medical opinion. Because the
doctor did not specify a time frame, however, Long made the decision based on her own
prior experience with bunion surgery and the doctor’s indication that Twigg could
perform non-weight-bearing work. Long thought that the surgery and healing should
6
take roughly one week and that the company could thereafter accommodate the
restriction that Twigg not perform weight-bearing work.1
Both Long and Cotton were questioned about whether they viewed Dr. Lickteig’s
certification as incomplete or inadequate because of the doctor’s failure to provide a time
frame that Twigg would need to be off work. Long responded that she did not view the
certification as incomplete or inadequate since it contained the notation indicating that
Twigg could perform only non-weight-bearing work, which Long interpreted to mean
that Twigg “should be able to work as long as we [were] able to keep [her] off [her] feet.”
(Aple. Supp. App. at 55.) Similarly, Cotton explained that it was her understanding that
“[i]ncomplete or inadequate medical certification would mean you are unable to make a
decision based on information you have,” which she did not believe to be the case with
respect to Dr. Lickteig’s certification. (Aplt. App. at 212.)
Cotton also testified that when HBC finds a medical certification insufficient or in
need of clarification, the company sends a notification to the employee highlighting any
deficiencies and requesting additional documentation. HBC never notified Twigg that
Dr. Lickteig’s certification was incomplete or insufficient. Instead, because Long did not
view the certification as inadequate, she approved Twigg’s FMLA request for the time
1
Long did not specify what non-weight-bearing functions Twigg could perform,
but Twigg testified that her job primarily involved working at a desk and that she could
avoid most of the walking necessitated by her job through the use of telephone and e-
mail.
7
she thought necessary and expected that Twigg would provide additional information if
she disagreed with Long’s decision.
b) Twigg’s Application for Short-Term Disability Benefits
HBC offers its employees short-term disability benefits covering seventy-five
percent of their income for up to twelve weeks when they cannot work as a result of a
disability. Employees have the option of purchasing supplemental benefits to cover the
remaining twenty-five percent of their wages. In 2004, Twigg purchased additional
short-term disability benefits through Metropolitan Life Insurance Company (“MetLife”).
When Twigg applied for FMLA leave for her bunion surgery in 2008, she also separately
applied for the supplemental short-term disability benefits from MetLife. If an employee
who has applied for FMLA leave is approved for short-term disability benefits by
MetLife, HBC’s practice is to approve FMLA leave for the same period of time that
MetLife has approved short-term disability benefits. Long explained that the reason for
this practice is that MetLife receives more detailed medical information from an
employee’s physician than does HBC. Furthermore, according to Long, “MetLife was
always very, very strict in how they made their determinations. So if they approved a
period of time for an employee to be off on short-term disability, then it was my belief it
must be legit and, therefore, we would comply with anything that [MetLife] decided.”
(Aple. Supp. App. at 57.)
c) HBC’s Approval of Twigg’s Leave Request Through April 1,
2008
8
On February 26, 2008, Twigg contacted Cotton to figure out why her FMLA leave
had only been approved through February 29. Cotton told Twigg that Twigg needed to
call MetLife to determine why MetLife had only approved her short-term disability
benefits for one week. In her affidavit, Twigg claims that Cotton also explained that the
procedure for applying for FMLA leave is different from the procedure for obtaining
short-term disability benefits; however, Cotton did not advise Twigg of HBC’s practice
of approving FMLA leave for as long as MetLife approves short-term disability benefits.
Immediately after her conversation with Cotton, Twigg called MetLife and spoke to a
customer service representative who informed Twigg that MetLife was still waiting on
documents from her doctor.
On February 28, 2008, Dr. Lickteig faxed additional medical information to
MetLife. In response to a question asking for Twigg’s anticipated return-to-work date,
Dr. Lickteig answered, “4-21-08.” (Aplt. App. at 218.) Later in the questionnaire, Dr.
Lickteig also noted, “Pt. isn’t ready to return to work yet.” (Id. at 218A.) Nothing in the
record suggests that HBC saw this information before the discovery phase of the present
lawsuit.
On March 4, 2008, Twigg called Cotton regarding MetLife and her short-term
disability benefits. Twigg claims that during this conversation, Cotton told her that
“everything was taken care of; that [she] shouldn’t be concerned about [her] FMLA
leave; and that Ms. Cotton would call [her] if there was a problem.” (Aplt. App. at 187.)
Twigg does not assert, however, that any dates were mentioned during this conversation.
9
On March 14, 2008, MetLife sent Cotton an e-mail indicating that it had approved
short-term disability benefits for Twigg through April 1, 2008. That same day, Cotton
prepared a memorandum to Twigg that stated, “Your request for FMLA leave has been
reviewed and approved for the following dates: February 20, 2008 thru April 1, 2008
([short-term disability] approved thru 4/1).” (Aple. Supp. App. at 163.) Cotton testified
that she mailed the memorandum to Twigg’s home address, though, as with the prior
memorandum approving Twigg’s leave through February 29, 2008, Twigg claims that
she never received this memorandum.
During the period between February 29, 2008 (the expiration date of Twigg’s
original FMLA leave approval), and March 14, 2008 (the date on which Twigg’s
approval was extended through April 1, 2008), Twigg’s status with HBC was “FMLA
pending,” which meant that she had not been formally approved for FMLA leave and
“had nothing covering her absences.” (Aplt. App. at 214.) Nevertheless, Kathy Sade did
not contemplate taking any disciplinary action against Twigg during that time because
she “thought the paperwork just needed to catch up.” (Id. at 205.)
On March 18, 2008, Twigg sent an e-mail to Ealey, Sade, and other members of
her department. (Id. at 232–33.) This e-mail provided a general update on Twigg’s
status and concluded, “Take care all, I will see you in about a month.” (Id. at 233.)
Twigg testified that she never received any notification from HBC that her leave
had been approved through the date that she originally requested, April 17, 2008. (Aple.
Supp. App. at 46 (Question: “Had you ever received anything from the company saying
10
you were approved for FMLA leave through the 17th of April?” Twigg: “No.”).) Yet
other than the March 4 telephone conversation with Cotton and the March 18 e-mail,
Twigg made no attempt to contact anyone at HBC between the date her original FMLA
approval ended, February 29, 2008, and her termination on April 7, 2008.
D. Twigg’s Termination
On April 1, 2008, Sade sent an e-mail to Cotton expressing her expectation that
Twigg would return to work the following day: “I have not heard that Denice’s [short-
term disability] is approved past today so I assume she will be at work tomorrow. If
anyone knows anything different please let me know.” (Aplt. App. at 151.) The next
day, Cotton responded by informing Sade that, according to MetLife, Twigg had not
applied for an extension of her short-term disability benefits past April 1, 2008.
Twigg did not return to work on April 2, nor did she come in on April 3 or 4.
Moreover, Twigg did not call her supervisors to report her absences on those days. Thus,
Twigg’s absences on April 2, 3, and 4 constituted absences on three consecutive working
days without proper notification, in violation of HBC’s Rules of Conduct. As noted
above, the presumptive discipline for Twigg’s violation was termination, but HBC’s rules
provided management with the discretion to determine whether termination was
warranted under the circumstances.
Kathy Sade made the decision to terminate Twigg, with some input from the HR
department. On April 7, 2008, Sade sent a termination letter to Twigg via certified mail.
The letter informed Twigg that she was terminated as of April 7, 2008, for violating Rule
11
1 of HBC’s Rules for Personal Conduct. The post office first attempted to deliver this
letter on April 9, 2008, but Twigg did not pick it up until April 17.
During her deposition, Sade was asked why she chose to terminate Twigg for the
unreported absences in April when she had discretion not to impose termination as a
sanction and when she had previously not taken action for unreported absences in March
(i.e., the absences when Twigg’s status was “FMLA pending”). Sade explained that
HBC was in the process of reviewing Twigg’s performance evaluations for the past year
and had determined that Twigg was going to be given a low enough rating that she would
be placed on a “Performance Improvement Plan” when she returned from leave. The low
rating was based on a decline in Twigg’s work performance, excessive tardiness, Twigg’s
failure to log on to the phone system as she was required to do, “and various other
things.” (Id. at 206.) According to Sade, Twigg’s performance issues influenced the
decision not to depart from the presumptive discipline of termination. (Id. at 207 (“These
[issues] were considered because [Twigg] had a failure to report and I was not going to
look the other way because she was going to be placed on a Performance Improvement
Plan.”).)
E. The Aftermath and HBC’s Decisions Not to Reinstate Twigg
On April 11, 2008, Twigg returned to Dr. Lickteig for another examination. In his
chart note for this examination, Dr. Lickteig wrote, in relevant part, “The patient is in
today for postop check from her bunionectomy performed six weeks ago. She is doing
12
very well on the right foot. . . . Is set to return to work on 04/21/2008 and I gave her a
back to work slip for that time.” (Aplt. App. at 219.)
On the morning of April 15, 2008, Twigg wrote an e-mail to Sade and Cindy
Ealey. In the e-mail, Twigg said, “I wanted to let you know I will be returning to work
on Monday April 21st.” (Id. at 221.) Sade forwarded this e-mail to Candye Daughhetee,
the head of HBC’s HR department. Later that morning, Daughhetee left a voicemail for
Twigg at her home phone number and sent Twigg an e-mail asking Twigg to contact her.
In a letter dated April 16, 2008, MetLife notified Twigg that her claim for
disability benefits was being closed as of April 1 on account of her failure to provide
requested medical information. MetLife also sent Amber Cotton an e-mail notification
that Twigg’s file had been closed because “no medical information was recieved [sic].”
(Aple. Supp. App. at 183.) On that same day, however, Dr. Lickteig faxed his April 11
chart note to MetLife. Consequently, MetLife sent another e-mail to Cotton the next day
indicating that it had extended Twigg’s short-term disability benefits through April 20,
2008.
As noted above, Twigg picked up her termination letter from the post office on
April 17, 2008. Also on April 17, Twigg spoke with both Daughhetee and Sade on the
phone. During Twigg’s conversation with Sade, Sade explained to Twigg that her FMLA
leave “had not been approved past April 1 and she was basically a no-show.” (Aplt. App.
at 234.) Twigg then expressed her belief that Sade should have been able to get her
FMLA leave approved for the full amount of time requested. Sade responded that she
13
had no authority over FMLA matters. Twigg also complained that no one had told her
that her leave had not been approved. But Sade “corrected her and said Amber Cotton
had called her and informed her it was only approved to the 1st of April.”2 (Id.) Finally,
Twigg asked if Sade “wanted her to come back.” (Id.) Sade stated that she did not, given
Twigg’s “performance and attitude for the last couple of years, especially the last year.”
(Id.)
At some point after Twigg’s termination, Sade learned of MetLife’s decision to
extend Twigg’s short-term disability benefits through April 20, 2008.3 In her deposition,
Sade testified that MetLife’s decision did not cause her to contemplate retracting Twigg’s
termination. Sade explained, “[A]s I said earlier, [Twigg] was going to be put on a
Performance Improvement Plan when she got back -- if she got back. And she still had a
failure to report.” (Id. at 207.)
On April 28, 2008, Twigg filed an administrative complaint against HBC with the
U.S. Department of Labor (“DOL”), prompting the DOL to begin an investigation. On
October 20, 2008, Nita Long participated in a final conference with a DOL investigator.
During the conference, Long and the investigator discussed the possibility of Long’s
reinstating Twigg. Long described the substance of that conversation in her deposition:
2
This statement is unsupported by Cotton or Twigg, as Cotton testified that she
had no memory of calling Twigg to tell her that her leave had only been approved
through April 1 and Twigg claims that such a call never occurred.
3
It is not clear from the record whether Sade knew of the MetLife decision as of
April 17, when she had her phone conversation with Twigg.
14
Q. Do you recall having a conference with [the investigator] in which
the issue of reinstating Ms. Twigg came up?
A. She did ask me if I would do that, yes.
Q. And what was your answer?
A. My answer was no.
Q. And you were the decision-maker who made the decision not to
reinstate Ms. Twigg, correct?
A. Based on the fact that I wasn’t going to change my decision on the
FMLA.
Q. And what was the reason why you refused to reinstate Ms. Twigg?
A. Well, number one, the employee was already terminated for failure
to report. I felt that the decision to terminate her for failure to report
was correct. That based on the evidence that we had, she had not
done -- had not held up her responsibility by staying in touch with
the company. That was her obligation, she didn’t do it and so I felt
that the termination was proper. I didn’t see any reason to go back
and make any changes from my perspective.
(Id. at 199.)
F. Proceedings in the District Court
Twigg filed suit against HBC in the District of Kansas on December 28, 2008,
alleging (1) retaliation under 42 U.S.C. § 1981 based on her defense of her black
coworker, Teresa Cole; (2) retaliation under the FMLA; (3) and interference under the
FMLA.4 After the final pretrial conference and entry of the pretrial order, HBC moved
4
Twigg also alleged retaliation under the Employee Retirement Income Security
Act, 29 U.S.C. §§ 1001–1461, but she has abandoned that claim on appeal.
15
for summary judgment on all of Twigg’s claims. In an order dated April 21, 2010, the
district court concluded that Twigg could not establish a prima facie case of retaliation
under § 1981, that Twigg could not establish a prima facie case of retaliation under the
FMLA, and that Twigg could not establish any of the elements of an FMLA interference
claim. As a result, the district court granted summary judgment in favor of HBC. Twigg
timely appealed to this Court.
II. STANDARD OF REVIEW
We review a district court’s grant of summary judgment de novo, applying the
same legal standard as the district court. Stover v. Martinez, 382 F.3d 1064, 1070 (10th
Cir. 2004). Summary judgment is appropriate “if the movant 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). In applying this standard, we view the evidence and the
reasonable inferences to be drawn from the evidence in the light most favorable to the
nonmoving party. Stover, 382 F.3d at 1070.
III. DISCUSSION
On appeal, Twigg argues that genuine issues of material fact preclude summary
judgment with respect to each of her three claims. We address her claims in turn.
A. Twigg’s § 1981 Retaliation Claim
Twigg first contends that Kathy Sade terminated her in retaliation for her
complaints about the treatment of Teresa Cole. This Court has recognized that an
employee who believes that she has been retaliated against because of her efforts to
16
vindicate the rights of a minority coworker may bring an action against her employer
under 42 U.S.C. § 1981.5 Skinner v. Total Petrol., Inc., 859 F.2d 1439, 1447 (10th Cir.
1988) (per curiam); see also CBOCS W., Inc. v. Humphries, 553 U.S. 442, 457 (2008)
(holding that § 1981 encompasses retaliation claims). Moreover, “the showing required
to establish retaliation is identical under § 1981 and Title VII [of the Civil Rights Act of
1964, 42 U.S.C. §§ 2000e–2000e-17].” Roberts v. Roadway Express, Inc., 149 F.3d
1098, 1110 (10th Cir. 1998). Therefore, the principles set forth in Title VII retaliation
cases apply with equal force in § 1981 retaliation cases.
In this circuit, a plaintiff bringing a retaliation claim “must establish that
retaliation played a part in the employment decision and may choose to satisfy this
burden in two ways.” Fye v. Okla. Corp. Comm’n, 516 F.3d 1217, 1224–25 (10th Cir.
2008). Under the direct/“mixed motives” approach, “the plaintiff may directly show that
retaliatory animus played a ‘motivating part’ in the employment decision.” Id. at 1225
(quoting Price Waterhouse v. Hopkins, 490 U.S. 228, 250 (1989) (plurality opinion),
superseded in part by 42 U.S.C. §§ 2000e-2(m), 2000e-5(g)(2)(B)); see also id. at 1226.
5
Section 1981 provides, in relevant part, as follows:
(a) Statement of equal rights
All persons within the jurisdiction of the United States shall have the same
right in every State and Territory to make and enforce contracts, to sue, be
parties, give evidence, and to the full and equal benefit of all laws and
proceedings for the security of persons and property as is enjoyed by white
citizens, and shall be subject to like punishment, pains, penalties, taxes,
licenses, and exactions of every kind, and to no other.
42 U.S.C. § 1981(a).
17
If the plaintiff can prove that retaliatory animus was a motivating factor, the burden shifts
to the employer to demonstrate that it would have taken the same action irrespective of
the retaliatory motive. Id. at 1225.
If the plaintiff cannot directly establish that retaliation played a motivating part in
the employment decision, she may instead rely on the three-part framework established in
McDonnell Douglas Corp. v. Green, 411 U.S. 792 (1973), to prove retaliation indirectly.
Fye, 516 F.3d at 1225, 1227. Under the McDonnell Douglas/indirect approach, the
plaintiff must first make out a prima facie case of retaliation by showing “(1) that [s]he
engaged in protected opposition to discrimination, (2) that a reasonable employee would
have found the challenged action materially adverse, and (3) that a causal connection
existed between the protected activity and the materially adverse action.” Somoza v.
Univ. of Denver, 513 F.3d 1206, 1212 (10th Cir. 2008) (internal quotation marks
omitted). If the plaintiff establishes a prima facie case, the employer must then offer a
legitimate, nonretaliatory reason for its decision. Id. at 1211. Finally, once the employer
has satisfied this burden of production, the plaintiff must show that the employer’s reason
is merely a pretext for retaliation. Id.
Although the direct/“mixed motives” approach and the McDonnell
Douglas/indirect approach represent distinct methods of proving retaliation, a plaintiff
may allege that her evidence demonstrates retaliation under both frameworks. See Fye,
516 F.3d at 1225–26. “At some point, however, the plaintiff must persuade the factfinder
either that the evidence shows retaliation was a ‘motivating factor’ (in which case the
18
evidence is analyzed within the mixed-motive framework) or that it shows the employer’s
reason is unworthy of belief (in which case it is analyzed within the pretext framework).”
Id. at 1225.
In opposing HBC’s motion for summary judgment, Twigg contended that she was
“asserting a mixed motives theory of recovery in regard to her retaliation claim under §
1981.” (Aplt. App. at 175.) The district court, however, concluded that Twigg could not
rely on the direct/“mixed motives” theory because she did not include it in the pretrial
order. Furthermore, the court determined that Twigg’s direct/“mixed motives” theory
was not viable in any event, as Twigg offered no evidence that directly reflected HBC’s
retaliatory animus. Accordingly, the court analyzed Twigg’s § 1981 claim under the
McDonnell Douglas/indirect framework and ultimately held that Twigg could not
establish a prima facie case of retaliation.
On appeal, Twigg maintains that she is proceeding only under the direct/“mixed
motives” approach and not under the McDonnell Douglas/indirect approach. Twigg does
not quarrel with the way in which the district court analyzed the evidence under the
McDonnell Douglas/indirect framework; rather, her argument is that the court should not
have invoked that framework at all, and that she presented sufficient evidence to survive
summary judgment if the evidence is examined within the direct/“mixed motives”
framework.6 Accordingly, we will analyze the evidence using only the direct/“mixed
6
Indeed, nowhere in the discussion of her § 1981 claim does Twigg mention the
McDonnell Douglas/indirect framework except to say that it does not apply to her claim.
19
motives” framework and will not review the district court’s ruling that Twigg’s evidence
is deficient if evaluated within the McDonnell Douglas/indirect framework. See
LifeWise Master Funding v. Telebank, 374 F.3d 917, 927 n.10 (10th Cir. 2004)
(concluding that a party failed to appeal certain district court rulings when “it set forth no
substantive arguments against the district court’s decisions” in its brief); O’Neal v.
Ferguson Constr. Co., 237 F.3d 1248, 1257 n.1 (10th Cir. 2001) (“We will not make
arguments for [a party] that it did not make in its briefs.”). Having carefully considered
the record and Twigg’s arguments on appeal, we agree with the district court that Twigg
has offered no evidence that directly establishes HBC’s retaliatory intent. This
deficiency is fatal to her direct/“mixed motives” theory.7
1. Twigg’s Direct/“Mixed Motives” Theory of Retaliation
“A mixed-motive case is not established . . . until the plaintiff presents evidence
that directly shows that retaliation played a motivating part in the employment decision at
issue.” Fye, 516 F.3d at 1226. Although the plaintiff must prove retaliation “directly” in
a direct/“mixed motives” case, the plaintiff is not limited to relying on “‘direct’ evidence
‘in its sense as antonym of “circumstantial.”’” Id. (quoting Ostrowski v. Atl. Mut. Ins.
(See Aplt. Br. at 23 (“Where a mixed-motive theory of recovery is asserted, the burden-
shifting framework established in McDonnell Douglas Corp. v. Green, 411 U.S. 792
(1973) is not applicable.”).)
7
Because we affirm the district court’s rejection of Twigg’s direct/“mixed
motives” theory on this basis, we express no opinion on the correctness of the district
court’s alternative holding that Twigg’s failure to include a direct/“mixed motives”
theory in the pretrial order precludes her from asserting such a theory now.
20
Cos., 968 F.2d 171, 181 (2d Cir. 1992)). Rather, “the plaintiff must demonstrate that the
alleged retaliatory motive actually relates to the question of discrimination in the
particular employment decision and may do so through the production of either direct or
circumstantial evidence.” Id. (alteration and internal quotation marks omitted); see also
id. (“A plaintiff can establish retaliation ‘directly’ . . . through the use of direct or
circumstantial evidence.”). When the plaintiff relies on circumstantial evidence “to
establish that the employer was motivated by retaliatory animus, that circumstantial
evidence must be tied ‘directly’ to the retaliatory motive.” Id. Thus, the plaintiff must
“present[] evidence of conduct or statements by persons involved in the decisionmaking
process that may be viewed as directly reflecting the alleged [retaliatory] attitude.”
Thomas v. Denny’s, Inc., 111 F.3d 1506, 1512 (10th Cir. 1997) (second alteration in
original) (internal quotation marks omitted); see also Fye, 516 F.3d at 1226–27.8
8
Many courts, including the Tenth Circuit, have sometimes conflated direct
evidence with the direct method of proof. But these are different concepts. The term
“direct evidence,” properly understood, refers to a narrow category of “evidence, which if
believed, proves the existence of a fact in issue without inference or presumption.” Hall
v. U.S. Dep’t of Labor, 476 F.3d 847, 854 (10th Cir. 2007) (internal quotation marks
omitted); see also Fye, 516 F.3d at 1226 (explaining that a letter did not constitute “direct
evidence of retaliation, as it [was] not retaliatory on its face and would require us to infer
retaliatory motive”). As the Second Circuit observed in Ostrowski, that type of evidence
is “usually impossible to obtain” in the employment-law context when the fact in issue is
the employer’s motivation for a particular employment decision. 968 F.2d at 181.
Indeed,
[s]trictly speaking, the only “direct evidence” that a decision was made
“because of” an impermissible factor would be an admission by the
decisionmaker such as “I fired him because he was too old.” Even a
highly-probative statement like “You’re fired, old man” still requires the
21
In this case, Twigg relies on four types of circumstantial evidence to prove
retaliation under the direct/“mixed motives” approach: (1) the allegedly false reason
offered by HBC for terminating Twigg’s employment, (2) the close temporal proximity
between Twigg’s complaints of racial discrimination and her termination, (3) HBC’s
allegedly inconsistent explanations for the decision to terminate Twigg, and (4) HBC’s
factfinder to draw the inference that the plaintiff’s age had a causal
relationship to the decision.
Id. (quoting Tyler v. Bethlehem Steel Corp., 958 F.2d 1176, 1185 (2d Cir. 1992)).
To prove discrimination or retaliation directly under the direct method of proof, a
plaintiff does not need this kind of evidence. Rather, a plaintiff needs evidence that
directly reflects the forbidden animus, regardless of whether that evidence is direct or
circumstantial. Thus, the statement “You’re fired, old man” may be used to prove age
discrimination directly, even though it constitutes circumstantial evidence with respect to
the ultimate question of whether the employer fired the employee because of his age.
In addition, courts sometimes conflate circumstantial evidence with the indirect
method of proof. But as the foregoing discussion suggests, these are also separate
concepts. “[A]lthough some of our cases seem to suggest otherwise,” a plaintiff is not
limited to the McDonnell Douglas/indirect method of proof simply because he or she
relies on circumstantial, rather than direct, evidence of discrimination or retaliation. Fye,
516 F.3d at 1226. Rather, circumstantial evidence can be used to establish discrimination
or retaliation directly if it is directly tied to the employer’s unlawful motive.
In short, courts and litigants should be careful not to confuse the character of
evidence (direct vs. circumstantial) with the methods of proving discrimination or
retaliation (direct vs. indirect). Drawing a distinction between direct and circumstantial
evidence is of minimal usefulness in discrimination and retaliation cases, as only in the
rarest of situations will an employee have direct evidence of discrimination or retaliation.
In those cases, assuming that the employee’s evidence is believed, the employee can
prove discrimination or retaliation directly. In the vast majority of cases that involve
only circumstantial evidence, however, the crucial inquiry is whether the employee’s
circumstantial evidence proves discrimination or retaliation, either directly or indirectly.
22
alleged deviation from normal company procedures. We address each kind of evidence
in turn.
a) Falsity of HBC’s Reason for the Termination
Kathy Sade, the manager in Twigg’s department who made the ultimate decision
to fire Twigg, claims that she terminated Twigg because Twigg failed to report to work or
notify HBC of her absences for three consecutive working days, in violation of the
company’s Rules of Conduct. Twigg contends that a reasonable jury could find this
explanation false for three reasons: (1) before Twigg’s surgery on February 20, 2008,
Cindy Ealey, Twigg’s immediate supervisor, approved Twigg’s out-of-office auto reply
message for her e-mail account that stated, “I will be out of the office until approximately
April 28, 2008”; (2) on March 4, 2008, Amber Cotton, the HR assistant, told Twigg that
her FMLA leave was taken care of and that she (Cotton) would call Twigg if any
problems arose; and (3) on March 18, 2008, Twigg sent an e-mail to the employees in her
department (including her two supervisors) that provided an update on her status and
included a closing line stating, “Take care all, I will see you in about a month.” The
problem with Twigg’s argument is twofold. First, and most fundamental, Twigg does not
explain how the alleged falsity of Sade’s justification for terminating Twigg directly
reflects Sade’s motive to retaliate against Twigg for her complaints about race
discrimination. Falsity evidence is useful in discrimination and retaliation cases because
it is one means of establishing pretext. See Kendrick v. Penske Transp. Servs., Inc., 220
F.3d 1220, 1230 (10th Cir. 2000). In other words, “[i]n appropriate circumstances, the
23
trier of fact can reasonably infer from the falsity of the explanation that the employer is
dissembling to cover up a discriminatory [or retaliatory] purpose.” Reeves v. Sanderson
Plumbing Prods., Inc., 530 U.S. 133, 147 (2000). Thus, evidence of the falsity of an
employer’s legitimate, nonretaliatory reason for its action may help a plaintiff prove
retaliation indirectly, but such evidence does not directly establish that an employer was
motivated by retaliatory animus.
Second, Twigg does not attempt to explain how the evidence that she relies on
even shows that Sade’s reason for terminating her was false. There is no apparent
connection between Twigg’s three pieces of evidence and the alleged falsity of Sade’s
reason for terminating Twigg.
b) Temporal Proximity
Twigg next argues that the temporal proximity between her second complaint
about race discrimination, which was made in late 2007 or January 2008, occurred close
enough in time to her termination in April 2008 to justify an inference of retaliation. This
argument is similarly without merit. Just like the falsity evidence discussed above,
temporal-proximity evidence is relevant in retaliation cases because it may help an
employee demonstrate pretext. See Annett v. Univ. of Kan., 371 F.3d 1233, 1240 (10th
Cir. 2004). But Twigg does not explain, nor are we able to discern, how the temporal
proximity between an employee’s protected conduct and a challenged employment action
could directly reflect the employer’s retaliatory state of mind.
24
Moreover, we have recognized that evidence of temporal proximity has minimal
probative value in a retaliation case where intervening events between the employee’s
protected conduct and the challenged employment action provide a legitimate basis for
the employer’s action. See Argo v. Blue Cross & Blue Shield of Kan., Inc., 452 F.3d
1193, 1203 (10th Cir. 2006); cf. Maestas v. Segura, 416 F.3d 1182, 1189 (10th Cir. 2005)
(observing, in the context of First Amendment retaliation, that “evidence of intervening
events tend[s] to undermine any interference of retaliatory motive and weaken the causal
link” (citation omitted)). In this case, Twigg’s unreported absences occurred after her
complaint about discrimination and before HBC terminated her employment. Thus, her
unreported absences constitute intervening events that undermine her temporal-proximity
argument.
c) Inconsistencies in HBC’s Explanations for Twigg’s Termination
Next, Twigg contends that Kathy Sade offered inconsistent explanations for
Twigg’s termination. Specifically, Twigg claims that in the termination letter, Sade
asserted Twigg’s violation of HBC’s notice-of-absence policy as the reason for the
termination; however, in her deposition, Sade cited Twigg’s performance issues as the
justification. Assuming, arguendo, that Sade offered inconsistent rationales for the
termination,9 Twigg has once again failed to explain how this evidence directly shows
9
We are not convinced that Sade gave inconsistent reasons for terminating Twigg.
A close reading of Sade’s deposition testimony suggests that Sade did not rely on
Twigg’s performance problems as an independent or alternative basis for Twigg’s
termination. Rather, Sade took Twigg’s performance issues into account when
25
retaliatory motive. Inconsistency evidence, like Twigg’s first two forms of evidence, has
traditionally been associated with proving pretext. See Jaramillo v. Colo. Judicial Dep’t,
427 F.3d 1303, 1310, 1311, 1312 (10th Cir. 2005) (per curiam). In other words, an
employee relies on an employer’s change in explanation to show that the employer is
“attempt[ing] to mask an illegitimate motive.” Id. at 1312. Thus, evidence of
inconsistent explanations reflects an employer’s retaliatory animus, if at all, only
indirectly.
Furthermore, we have recognized that inconsistency evidence is only helpful to a
plaintiff if “the employer has changed its explanation under circumstances that suggest
dishonesty or bad faith.” Id. at 1310. Twigg does not contend that such circumstances
exist here.
d) Deviations from Normal Company Procedure
Finally, Twigg argues that HBC deviated from its customary practice of approving
FMLA leave for the same time period that MetLife approves short-term disability
benefits when Sade refused to retract Twigg’s termination after learning that MetLife had
approved Twigg’s short-term disability benefits through April 20, 2008. This argument
evaluating whether to impose the presumptive sanction of termination for Twigg’s
violation of HBC’s notice-of-absence policy. In other words, Sade used Twigg’s poor
performance as a basis for declining to exercise her discretion to impose a lesser sanction
than termination. That is not inconsistent with the explanation that Twigg was terminated
for failure to notify HBC of her absences for three consecutive days. In any event, at
most, the performance issues constitute a supplemental reason for Twigg’s termination.
Nothing in this Court’s jurisprudence prohibits an employer from relying on more than
one nonretaliatory reason for terminating an employee.
26
misses the mark for a number of reasons. First, as with the previous three kinds of
evidence, Twigg fails to explain how this alleged deviation from HBC’s normal
procedure directly reflects HBC’s motive to retaliate against her for complaining about
race discrimination. Although “[t]his court recognizes that disturbing procedural
irregularities, including deviations from normal company procedure, provide support for
a plaintiff’s assertion of pretext,” Doebele v. Sprint/United Mgmt. Co., 342 F.3d 1117,
1138 n.11 (10th Cir. 2003) (emphasis added) (internal quotation marks omitted), such
irregularities do not directly demonstrate an employer’s retaliatory motive. Deviation
evidence can do no more than “permit[] a reasonable inference that [the employer] acted
with an ulterior motive and . . . engineered and manufactured the reasons [it] proffered
for terminating [the employee’s] employment,” Doebele, 342 F.3d at 1138, thereby
suggesting retaliation only indirectly.
Moreover, the record does not support Twigg’s claim that HBC deviated from
normal company procedure. Although it is undisputed that HBC has a practice of
approving FMLA leave for the same time period that MetLife approves short-term
disability benefits, MetLife extended Twigg’s short-term disability after HBC had
already terminated Twigg. Nothing in the record suggests that HBC has a policy of
retracting terminations and retroactively approving FMLA leave for employees who were
terminated before MetLife approved short-term disability benefits. Further, Twigg has
not alleged, much less offered evidence, that HBC ever treated a similarly situated
27
employee differently than it treated Twigg in this matter. Accordingly, Twigg’s
deviation argument is meritless.
2. § 1981 Retaliation Conclusion
In sum, we conclude that none of Twigg’s evidence directly reflects HBC’s
alleged retaliatory animus. Rather, Twigg’s evidence is pretext evidence. Although that
kind of evidence might allow a plaintiff to prove retaliation indirectly under the
McDonnell Douglas framework, a plaintiff must present more than mere pretext evidence
to carry her burden under the direct/“mixed motives” framework. See Van Antwerp v.
City of Peoria, 627 F.3d 295, 298 (7th Cir. 2010) (“[A]ssuming [the plaintiff] marshaled
enough circumstantial evidence to show pretext, his claim of discrimination under the
direct method would still fail. Evidence offered under the direct method must allow a
jury to infer more than pretext; it must itself show that the decisionmaker acted because
of the prohibited animus.” (internal quotation marks omitted)); Raskin v. Wyatt Co., 125
F.3d 55, 60 (2d Cir. 1997) (“The types of indirect evidence that suffice in a pretext case
to make out a [McDonnell Douglas] prima facie case—or even to carry the ultimate
burden of persuasion—do not suffice, even if credited, to warrant a [‘mixed motives’]
burden shift.” (internal quotation marks omitted)).
The few cases in which we have held that a plaintiff presented sufficient evidence
to satisfy the burden of directly showing retaliatory motive confirm the soundness of our
conclusion. See Medlock v. Ortho Biotech, Inc., 164 F.3d 545, 550 (10th Cir. 1999)
(holding that the plaintiff’s evidence directly reflected the employer’s retaliatory motive
28
where the plaintiff offered a suspension letter and a termination letter in which the
employer explicitly referenced the plaintiff’s complaints about discriminatory pay as
reasons for taking adverse actions against the employee); Thomas, 111 F.3d at 1512
(holding that the plaintiff was entitled to a “mixed motives” jury instruction where the
plaintiff presented evidence “that several people in the promotion decision process had
stated that [the plaintiff] would not be considered for promotion because of his
discrimination complaint”); Kenworthy v. Conoco, Inc., 979 F.2d 1462, 1471 & n.5 (10th
Cir. 1992) (holding that the plaintiff presented sufficient evidence to support a finding of
retaliation under the direct/“mixed motives” theory where there was testimony that a
supervisor, among other things, held the plaintiff’s EEOC filing against her). Unlike the
evidence relied on by Twigg, the plaintiff’s evidence in each of those cases went directly
to the employer’s unlawful animus.
Because Twigg’s evidence does not demonstrate retaliation directly under the
direct/“mixed motives” framework and because Twigg has not pursued on appeal any
challenge to the district court’s ruling that she cannot establish a prima facie case of
retaliation under the McDonnell Douglas/indirect framework, we affirm the district
court’s grant of summary judgment in favor of HBC on Twigg’s § 1981 retaliation claim.
B. Twigg’s FMLA Retaliation Claim
Twigg’s second claim is that HBC retaliated against her for exercising her rights
under the FMLA. Twigg contends that her termination on April 7, 2008; Kathy Sade’s
29
refusal to retract her termination on April 17, 2008; and Nita Long’s refusal to rehire her
on October 20, 2008, all occurred because she exercised her right to take FMLA leave.
Under 29 U.S.C. § 2615(a)(2), it is “unlawful for any employer to discharge or in
any other manner discriminate against any individual for opposing any practice made
unlawful by [the FMLA].” We have construed this provision of the FMLA as creating a
retaliation theory of recovery. Metzler v. Fed. Home Loan Bank of Topeka, 464 F.3d
1164, 1170 (10th Cir. 2006) (citing Smith v. Diffee Ford-Lincoln-Mercury, Inc., 298 F.3d
955, 960 (10th Cir. 2002)). Ordinarily, we evaluate the evidence in FMLA retaliation
cases under the McDonnell Douglas/indirect framework described above in connection
with Twigg’s § 1981 retaliation claim. See id. Here again, however, Twigg claims that
she “is asserting a mixed-motive theory of recovery in regard to her retaliation claim
under the FMLA.”10 (Aplt. Br. at 33.) Thus, Twigg’s position is that she can prevail on
her claim by showing directly that retaliation played a motivating part HBC’s decisions
to fire and not to rehire her.
This Court has not issued a published decision addressing whether the
direct/“mixed motives” theory applies in FMLA retaliation cases. In light of the recent
10
As with Twigg’s § 1981 retaliation claim, the district court found Twigg’s
evidence of FMLA retaliation insufficient to defeat summary judgment when analyzed
under either the direct/“mixed motives” framework or the McDonnell Douglas/indirect
framework. Twigg does not appeal the district court’s ruling that she failed to
demonstrate a prima facie case of FMLA retaliation under the McDonnell
Douglas/indirect framework, instead choosing to pursue only the direct/“mixed motives”
theory. Accordingly, we consider only whether the district court correctly evaluated
Twigg’s evidence of FMLA retaliation within the direct/ “mixed motives” framework.
30
decision of the United States Supreme Court in Gross v. FBL Financial Services, 129
S.Ct. 2343, 2349-51 (2009), there is a substantial question whether a mixed motive
analysis would apply in a retaliation claim under the FMLA. However, we need not
decide that issue in this case. Even assuming, without deciding, that a mixed motive
analysis would be used in a FMLA retaliation case, Twigg’s FMLA retaliation claim
would fail.
As we explained above in connection with Twigg’s § 1981 retaliation claim, a
plaintiff proceeding under the direct/“mixed motives” approach must present direct or
circumstantial evidence that directly shows that retaliation played a motivating part in the
employment decision at issue. Fye, 516 F.3d at 1226. In the FMLA context, the
retaliatory animus must relate to the employee’s FMLA-protected activities, including,
inter alia, the taking of FMLA leave. Twigg’s direct/“mixed motives” FMLA retaliation
claim is, in most respects, identical to her § 1981 claim. She relies on the same four
types of circumstantial evidence, “but with additional factual nuances” that allegedly
show HBC’s intent to retaliate against her for her taking FMLA leave. (Aplt. Br. at 34.)
Accordingly, the majority of our analysis from Part III.A applies with equal force here,
and we will not rehash that analysis. Instead, we will consider Twigg’s “additional
factual nuances” to determine whether they overcome the previously identified
deficiencies in Twigg’s evidence.
First, regarding HBC’s allegedly false reasons for terminating Twigg, Twigg
claims that one of Sade’s statements to Twigg during their phone conversation on April
31
17, 2008, was inaccurate. During that conversation, Sade told Twigg that Amber Cotton
in HR had called Twigg at some point and informed her that her FMLA leave had only
been approved through April 1, 2008. Construing the evidence in the light most
favorable to Twigg, a reasonable jury could conclude that Sade’s statement regarding
Amber Cotton’s phone call was false. See supra note 2. But Twigg makes no argument
regarding how the alleged falsity of Sade’s statement directly shows that Sade made the
decision to terminate Twigg because Twigg took FMLA leave. Nor would such an
argument have merit, because, as we explained above, evidence of the falsity of an
employer’s explanation can prove retaliation only indirectly. Thus, this additional falsity
evidence suffers from the same fundamental flaw as Twigg’s other falsity evidence when
examined under the direct/“mixed motives” framework. See supra Part III.A.1.a.
Second, Twigg relies on the portion of Nita Long’s deposition where Long, the
HBC benefits director, testified that she refused to rehire Twigg in October 2008 “[b]ased
on the fact that [Long] wasn’t going to change [her] decision on the FMLA.” According
to Twigg, because HBC has a practice of approving FMLA leave for as long as MetLife
approves short-term disability benefits, and because Long was aware of MetLife’s
decision to extend Twigg’s short-term disability when Long refused to reinstate Twigg in
October 2008, “[a] reasonable jury could find Ms. Long’s explanations to be inconsistent
or contradictory.” (Aplt. Br. at 35.) Although Twigg frames this as an inconsistent-
explanations argument, she offers no other explanation with which Long’s deposition
testimony supposedly conflicts. Instead, Twigg’s real argument is that Long’s
32
explanation cannot be squared with HBC’s general practice of basing FMLA leave
approval on MetLife’s short-term disability determinations, which is more properly
viewed as a deviation-from-normal-company-procedure argument. But, as we have
already explained, evidence of deviations from normal company procedure can help a
plaintiff prove retaliation only indirectly, as such evidence does no more than allow an
inference that the employer may be manufacturing rationales to hide the real reason for
its actions. Therefore, Long’s alleged deviation from HBC’s normal practice does not
directly reflect retaliatory animus, and this “factual nuance” does not support Twigg’s
direct/“mixed motives” theory. See supra Part III.A.1.d.
Twigg’s final “factual nuance” relates to her temporal-proximity argument.
Twigg attributes great significance to the fact that Long refused to rehire her during the
course of the DOL’s investigation of her administrative complaint. According to Twigg,
a reasonable jury could infer retaliatory motive from the close temporal proximity
between Twigg’s pursuit of her administrative complaint and Long’s decision not to
reinstate her. The problem with Twigg’s argument is that even very close temporal
proximity cannot directly show an employer’s retaliatory motive. Rather, evidence of
temporal proximity may assist a plaintiff in proving retaliation only indirectly, as the
function of such evidence is to cast doubt on the sincerity of the employer’s legitimate
explanation for its actions. See supra Part III.A.1.b.
In short, the “additional factual nuances” associated with Twigg’s FMLA
retaliation claim do not distinguish this claim from Twigg’s § 1981 retaliation claim for
33
purposes of a direct/“mixed motives” analysis. The FMLA claim, like the § 1981 claim,
rests entirely on pretext evidence. Such evidence does not suffice to demonstrate
retaliatory animus directly. Accordingly, the district court properly granted summary
judgment in favor of HBC on Twigg’s FMLA retaliation claim.
C. Twigg’s FMLA Interference Claim
Twigg’s final claim is that HBC unlawfully interfered with her FMLA rights by
terminating her employment while she was on FMLA-protected leave.
The FMLA allows a qualified employee to take up to twelve weeks of leave
during a twelve-month period “[b]ecause of a serious health condition that makes the
employee unable to perform the functions of the position of such employee.” 29 U.S.C.
§ 2612(a)(1)(D). Under 29 U.S.C. § 2615(a)(1), it is unlawful “for any employer to
interfere with, restrain, or deny the exercise of or the attempt to exercise” this substantive
right. We have recognized that this provision of the FMLA gives rise to an interference
or entitlement theory of recovery. Metzler, 464 F.3d at 1170 (citing Smith, 298 F.3d at
960). In order to prevail on an FMLA interference claim, the employee must show that
she was entitled to FMLA leave and that some action by the employer, such as
termination, interfered with her right to take that leave. See Bones v. Honeywell Int’l,
Inc., 366 F.3d 869, 877 (10th Cir. 2004); Smith, 298 F.3d at 960.
“Section 2615(a)(1) is nevertheless not a strict liability statute,” and an employer
is not necessarily liable under the FMLA anytime it fires an employee who has requested
or is on FMLA leave. Metzler, 464 F.3d at 1180. Rather, because “an employee who
34
requests leave or is on leave has no greater rights than an employee who remains at
work[,] . . . an employee may be dismissed, preventing her from exercising her statutory
right to FMLA leave[,] . . . if the dismissal would have occurred regardless of the
employee’s request for or taking of FMLA leave.” Smith, 298 F.3d at 960–61 (internal
quotation marks omitted); see also Bones, 366 F.3d at 877 (“If dismissal would have
occurred regardless of the request for an FMLA leave, . . . an employee may be dismissed
even if dismissal prevents her exercise of her right to an FMLA leave.”); Gunnell v. Utah
Valley State Coll., 152 F.3d 1253, 1262 (10th Cir. 1998) (“[A]n employee who requests
FMLA leave would have no greater protection against his or her employment being
terminated for reasons not related to his or her FMLA request than he or she did before
submitting the request.”). “The burden to demonstrate that ‘an employee, laid off during
FMLA leave, would have been dismissed regardless of the employee’s request for, or
taking of, FMLA leave’ is on the defendant-employer.” Metzler, 464 F.3d at 1180
(quoting Smith, 298 F.3d at 963); see also Campbell v. Gambro Healthcare, Inc., 478
F.3d 1282, 1289 (10th Cir. 2007) (“Once a plaintiff has proved that her employer has
interfered with her right to take FMLA leave, the employer bears ‘the burden of proving
that an employee, laid off during FMLA leave, would have been dismissed regardless of
the employee’s request for, or taking of, FMLA leave.’” (quoting Smith, 298 F.3d at
963)).
In this case, the district court determined that Twigg’s FMLA interference claim
failed at each step in the analysis. Specifically, the court concluded that (1) Twigg could
35
not establish her entitlement to FMLA leave because Dr. Lickteig’s certification did not
support the existence of a “serious health condition”; (2) there was no evidence that HBC
interfered with Twigg’s right to take FMLA leave because the company approved six
weeks of leave despite Dr. Lickteig’s opinion that Twigg could perform non-weight-
bearing work; and (3) HBC demonstrated that it terminated Twigg because of her
violation of the company’s notice-of-absence policy rather than her taking of FMLA
leave.
On appeal, Twigg claims that one fundamental error tainted the district court’s
analysis. She argues that Dr. Lickteig’s certification, which Twigg submitted in support
of her request to take FMLA leave from February 28, 2008, through April 17, 2008, was
“incomplete” because Dr. Lickteig did not specify the amount of time that Twigg would
need to be off work and did not answer the question whether Twigg was unable to
perform any of the essential functions of her job. According to Twigg, the “incomplete”
certification triggered HBC’s obligations under 29 C.F.R. § 825.305(d) (2008), which
states that “[t]he employer shall advise an employee whenever the employer finds a
certification incomplete, and provide the employee a reasonable opportunity to cure any
such deficiency.” 11 See also Sorrell v. Rinker Materials Corp., 395 F.3d 332, 337 (6th
11
In 2009, the DOL amended the regulation concerning incomplete certifications
and recodified it in a different subsection of 29 C.F.R. § 825.305. See 29 C.F.R.
§ 825.305(c) (effective Jan. 16, 2009). The changes are not relevant to any of the issues
in this case, and our discussion focuses on the regulation in effect when HBC made its
FMLA decisions in 2008.
36
Cir. 2005) (emphasizing that 29 C.F.R. § 825.305(d) “imposes an affirmative duty on an
employer that finds a medical certification incomplete”). Because HBC failed to notify
Twigg that Dr. Lickteig’s certification was “incomplete” and to give her an opportunity
to cure the problem, Twigg contends that HBC is now estopped from contesting her
entitlement to FMLA leave through April 17, 2008. She further argues that if HBC is
precluded from contesting entitlement, “[t]his, in turn, will mean that Ms. Twigg was
terminated for exercising her rights under the FMLA, since she was terminated for
absences which were in fact protected by the FMLA.” (Aplt. R. Br. at 18.)
By contrast, HBC argues that Dr. Lickteig’s certification was not “incomplete,”
but instead unsupportive of Twigg’s request for leave. HBC also contends that an
employer’s failure to comply with § 825.305(d) does not preclude the employer from
later challenging the employee’s entitlement to leave. Finally, HBC asserts that Twigg’s
interference claim fails in any event, as HBC terminated Twigg for her violation of the
company’s notice-of-absence policy and not for her taking FMLA leave.
We need not decide whether a reasonable jury could find that Dr. Lickteig’s
certification was “incomplete” or whether an employer who violates 29 C.F.R. §
825.305(d) is estopped from contesting the issue of entitlement.12 Even if we were to
12
One district-court case from California supports Twigg’s estoppel theory. See
Sims v. Alameda-Contra Costa Transit Dist., 2 F. Supp. 2d 1253, 1268 (N.D. Cal. 1998)
(concluding that because the employer failed to notify the employee that the certification
he presented was inadequate and failed to give the employee an opportunity to cure the
defect, the employer could not “dispute that [the employee] had a serious health condition
throughout the duration of his absence”). The Seventh Circuit, however, has rejected this
37
agree with Twigg’s position on both of these issues, her FMLA interference claim would
fail as a matter of law because HBC has carried its burden of proving that Twigg was
dismissed for a reason sufficiently unrelated to her FMLA leave. Our decision in Bones
v. Honeywell International, Inc. compels this result.
In Bones, the plaintiff missed work to visit a doctor on Thursday, July 22, 1999,
and did not call in her absence. 366 F.3d at 874. Likewise, she missed work on Friday,
July 23, and Monday, July 26, without notifying anybody at Honeywell of her absences.
Id. On Friday, July 23, however, Bones’s boyfriend delivered an FMLA leave request to
Honeywell’s medical department. Id. The request contained a certification from Bones’s
doctor indicating that Bones was unable to work on all of the days that she missed, as
well as several weeks into the future. Id. On Tuesday, July 27, before Honeywell’s
medical department could process Bones’s leave request, Honeywell terminated Bones’s
employment because she had missed work for three straight days without notifying her
supervisor of her absences. Id.
Bones sued Honeywell under the FMLA, arguing that Honeywell interfered with
her right to take FMLA leave by firing her while she was on FMLA-protected leave. Id.
at 877. In reviewing the district court’s grant of summary judgment in favor of
position. See Darst v. Interstate Brands Corp., 512 F.3d 903, 910 (7th Cir. 2008)
(holding that the FMLA does not provide a remedy for an employer’s breach of its
obligations under 29 C.F.R. § 825.305(d) unless the violation prejudiced the employee by
causing the loss of FMLA leave to which he was entitled; explaining that the employer’s
breach in that case caused the employee no harm because the employee could not show
that he could have cured the deficiency in a manner that would have demonstrated that he
was actually entitled to FMLA leave).
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Honeywell, we assumed that Bones was entitled to FMLA leave on the days that she
missed work. Id. Nevertheless, we affirmed the district court. Id. at 878. We explained
that “[a] reason for dismissal that is unrelated to a request for an FMLA leave will not
support recovery under an interference theory.” Id. at 877. We further determined that
Honeywell met its burden of demonstrating that Bones would have been dismissed
regardless of her request for an FMLA leave by putting forth uncontroverted evidence
that it fired Bones for violating the company’s absence policy. Id. at 878. In conclusion,
we observed that
Bones was terminated because she did not comply with Honeywell’s
absence policy; she would have been terminated for doing so irrespective of
whether or not these absences were related to a requested medical leave.
Bones’ request for an FMLA leave does not shelter her from the obligation,
which is the same as that of any other Honeywell employee, to comply with
Honeywell’s employment policies, including its absence policy.
Id. (citation omitted).
Bones thus makes clear that an employer generally does not violate the FMLA if it
terminates an employee for failing to comply with a policy requiring notice of absences,
even if the absences that the employee failed to report were protected by the FMLA.
Accord Bacon v. Hennepin Cnty. Med. Ctr., 550 F.3d 711, 715 (8th Cir. 2008)
(“Employers who enforce [call-in] policies by firing employees on FMLA leave for
noncompliance do not violate the FMLA.”); Lewis v. Holsum of Fort Wayne, Inc., 278
F.3d 706, 710 (7th Cir. 2002) (holding that an employer did not violate the FMLA by
discharging an employee on FMLA leave when the employee failed to comply with a
39
company call-in policy). This is so because even if the FMLA entitles an employee to be
absent from work, the employee’s violation of a notice-of-absence policy can constitute
“[a] reason for dismissal that is unrelated to a request for an FMLA leave.”13 Bones, 366
F.3d at 877. Formal notice-of-absence policies serve an employer’s legitimate business
interests in keeping apprised of the status of its employees and ensuring that it has an
adequate workforce to carry out its normal operations.
In this case, the record shows that HBC’s Rules for Personal Conduct require an
employee to report absences to her department and indicate that an employee may be
terminated for failure to do so on three consecutive days. HBC’s FMLA policy creates a
limited exception to the general notice-of-absence requirement, providing that an
employee need not report absences once the employee receives formal notification that a
request for FMLA leave has been approved. When, however, an employee has requested
but not yet received formal approval to take FMLA leave, her obligation is the same as
that of any other employee—to give proper notification of her absences.
13
We note that the plaintiff in Bones did not argue that Honeywell’s enforcement
of its absence policy was unlawful for any reason other than the mere fact that Bones’s
absences were protected by the FMLA. Accordingly, Bones did not require us to
consider situations in which an employer might not be able to rely on an employee’s
violation of an absence policy as an unrelated reason for dismissing the employee, such
as if the employer enforced its absence policy in a discriminatory manner by applying it
only to employees on FMLA leave or if the employer engaged in conduct that would
estop it from enforcing the policy. Because Twigg challenges HBC’s enforcement of its
notice-of-absence policy only on the same ground that the plaintiff in Bones challenged
Honeywell’s enforcement of a similar policy, we likewise do not address these
possibilities here.
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Here, it is undisputed that Twigg never received formal approval of her FMLA
leave past April 1, 2008, and that she failed to report her absences on April 2, 3, and 4.
Furthermore, HBC has provided both documents and deposition testimony indicating that
it terminated Twigg because she failed to give proper notice of her absences on these
days. Twigg has not come forward with any evidence to contradict HBC’s explanation
for her termination, nor has she raised any arguments that would call into question the
legitimacy of HBC’s enforcement of its notice-of-absence policy under the circumstances
of this case. See supra note 13. Instead, Twigg argues only that she “was terminated for
exercising her rights under the FMLA, since she was terminated for absences which were
in fact protected by the FMLA.” (Aplt. R. Br. at 18 (emphasis added).) But Bones,
which Twigg makes no effort to distinguish, vitiates this argument. Accordingly, “[n]o
reasonable juror could deduce from the above evidence that [Twigg’s] termination was
related to her request for an FMLA leave.” Bones, 366 F.3d at 878. The district court
therefore properly granted summary judgment in favor of HBC on Twigg’s FMLA
interference claim.
IV. CONCLUSION
For the foregoing reasons, we AFFIRM the district court’s decision granting
summary judgment in favor of HBC on all of Twigg’s claims.
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