Carolyn Warrick v. Motiva Enterprises, L.L.C
Date Filed2014-12-30
Docket14-13-00938-CV
Cited0 times
StatusPublished
Full Opinion (html_with_citations)
Affirmed and Memorandum Opinion filed December 30, 2014.
In The
Fourteenth Court of Appeals
NO. 14-13-00938-CV
CAROLYN WARRICK, Appellant
V.
MOTIVA ENTERPRISES, L.L.C, Appellee
On Appeal from the 58th District Court
Jefferson County, Texas
Trial Court Cause No. A-192,663
MEMORANDUM OPINION
Appellant Carolyn Warrick appeals a summary judgment in favor of
appellee Motiva Enterprises, L.L.C. 1 Warrick brought suit against Motiva,
alleging that Motiva had treated her dissimilarly from a similarly situated co-
worker based either on her race or on its perception that she had a disability.
Warrick also alleged that Motiva retaliated against her when she complained about
1
Motiva is a joint venture between Shell Oil Company and Saudi Refining, Inc.
the dissimilar treatment.
Motiva filed a hybrid traditional and no-evidence summary judgment
motion, including contentions that Warrick had no evidence to support, and that
Motiva had conclusively disproved, (1) the existence of a similarly situated co-
worker; (2) that Warrick suffered an adverse employment action; (3) that Motiva
regarded Warrick as having a disability; and (4) that Warrick had engaged in
conduct protected from retaliation. Because we hold that Warrick produced no
evidence either that she suffered a sufficiently adverse employment action
amounting to discriminatory treatment, or that Motiva retaliated against a protected
activity, we do not reach the remainder of Motivaâs summary judgment grounds.
We affirm the judgment of the trial court.
BACKGROUND
Warrick has been an employee at a refinery, now owned by Motiva, for over
forty years. Currently, Motiva employs Warrick as a timekeeper. Warrick is the
highest paid timekeeper at the refinery.
In 2011, Motiva expected its timekeepers to arrive between 5:30 a.m. and
7:00 a.m. At the time, Warrick was working a â9/80 Schedule,â which required
her to work nine hours per day Monday through Thursday, and eight hours every
other Friday. Warrickâs normal shift was from approximately 6:00 a.m. until 3:00
pm.
In April of 2011, during a meeting with her physician, Warrick âreport[ed]
being able to work 6â7 hours per day due to eye discomfort.â Her condition was
diagnosed as a left cranial nerve palsy. Warrickâs physician recommended that she
not drive at night, which she reported to Motiva. Warrick requested to report to
work at 7:00 a.m., after the sun rose. Motiva agreed to move Warrickâs start time
2
to 7:00 a.m., but required her to continue working nine hours per day Monday
through Thursday. 2 Warrickâs physician lifted the restriction on driving at night in
August 2011.
On October 25, 2011, Warrick filed a complaint with the Equal Employment
Opportunity Commission. Warrickâs complaint alleged that Motiva employs three
black female payroll clerks, including herself, and one white male payroll clerk,
and that the âwhite male is given preferential treatment and allowed to come and
go as he pleases . . . . We are forced to either make up our time or take vacations
time off. He is allowed to take long lunch breaks without taking vacation time
off.â
Warrick further alleged that she had been âbulliedâ for 15 years, including
the most recent incident in which she was sent an e-mail including information
about a âbook for âDummiesââ and later found a âdummy.txtâ file on her computer.
Warrick alleged that she had reported the matter to HR and was told the e-mail was
intended for someone else. Warrick also alleged that she had developed a serious
medical condition and was unable to work, but felt that she was forced to return to
work and that she was not reasonably accommodated upon her return. Warrick
alleged that her supervisor informed her that she could not report to work until the
sun came up, and denied her request to be paid for her time that she could not
report to work.
In addition, Warrick alleged that she had âtried to resolve the racial
harassment and workplace bullying through internal complaintsâ and that she had
sent e-mail complaints to certain executives. Warrick alleged that she âbelieve[s
she] has been discriminated against based on [her] race (Black), not reasonably
2
Including her half-hour unpaid lunch break, this schedule would require Warrick to
work from 7:00 a.m. until 4:30 p.m.
3
accommodated, and retaliated against in violation of Title VII of the Civil Rights
Act of 1964, as amended, and the Americans with Disabilities Act of 1990, as
amended.â
Motiva responded to the charge in December 2011. In response to
Warrickâs allegations regarding her eye condition, Motiva claimed that in such
circumstances, it does not pay nonexempt employees for hours not worked, but
that it fully accommodated Warrickâs medical restriction, allowing her to begin
and end her shift during daylight hours. Motiva also claimed that it had
investigated Warrickâs claims regarding the white male employee and found data
to support Warrickâs claims that he had taken longer lunch breaks and left work
earlier than his schedule permitted. Motiva denied preferential treatment for the
male employee, however, as their supervisor had not authorized either the lunches
nor early departures. The employee was disciplined as a result of the
investigation.3
On January 16, 2012, Warrick sent an e-mail to several high-ranking
company executives, including a Vice President of Shell Oil Company and the
Chairman of the Board of Shell. The majority of Warrickâs e-mail described her
belief that Lee Poulter, a human resources manager at Motiva, was serially
bullying her, which she defined as âwhen one employee targets another employee
and repeatedly harasses them.â Warrick believed that Poulter had an investigator
break into her home. Warrick accused Poulter of having stolen âa report from an
Investigator Companyâ and having placed a snake in her bed under the covers.
Warrick also suggested that Poulter had arranged for her new pocket knife to fall
out of the box it was packaged in, and that he had put twelve holes in one of her
3
Motiva reprimanded the other employee and required him to pay back the time he
missed in vacation hours.
4
tires.
In the last two paragraphs of her e-mail, Warrick alleged that there was
another employee in her office âwho has stolen time and overtime.â Warrick
claimed that she âwrote the EEOC about how the employee works approximately 7
hours a day and get[s] paid for 9 hours.â Warrick alleged that the male employee
had stopped stealing time after a meeting with his supervisor and the human
resources manager in December 2011, but that the employeeâs behavior deserved
action. Warrick also claimed she did not want anything to happen to the employee,
but that she had exercised her ârights as an American citizen.â
On January 24, Warrick was told that the company was concerned about her
fitness for duty because her e-mail âcontained some very serious and very unusual
allegations about the company generally and . . . Poulter specifically.â Motiva
informed Warrick that it was requiring her to meet with a doctor, who would
conduct an initial examination of her fitness for duty and may require her to meet
with a specialist to make a final assessment of her fitness for duty. Motiva
informed Warrick that she would be placed on paid disability leave until the
company had a final assessment of her fitness for duty, but that she would be
placed on unpaid leave if she refused to see either the doctor or any specialist to
whom he may refer her. Motiva also told Warrick that failing to meet with either
the doctor or a recommended specialist âmay lead to discipline, up to and
including discharge.â
Warrick met with the doctor and was referred to a specialist. Specific
referral questions included (1) whether Warrick presented a physical risk to herself
or others at the workplace and if so, the nature of the potential harm; (2) whether
there was anything the employer could do that might reduce such a threat; (3)
whether a psychiatric problem existed that would likely prevent Warrick from
5
safely and competently performing necessary job tasks; and (4) whether the
specialist had any suggestions to help the Motiva management team work
effectively with Warrick.
Warrick filed a grievance with her union on February 7. Warrick asserted in
her grievance letter that she was disciplined without just cause because she was
required to meet with the doctor as a result of the e-mail she wrote on January 16.
Warrick claimed that no one from the company had previously warned her that
writing letters was misconduct and could lead to her being disciplined. Warrick
stated that she would not have written the letter if she had known she would be
subject to disciplinary action. Warrick also asserted that the comparison between
Motivaâs actions regarding her and another employee who was called into the
human resource managerâs officer for discipline illustrated her disparate treatment,
because his violation was more serious but she received the more serious response
from Motiva.
Warrick met with the specialist on February 17, and he submitted a report to
Motiva on February 26. The specialist determined that Warrick presented a risk of
physical violence relative to the general population, but that the risk was negligible
at the time of the evaluation. The specialist did not recommend time off for
Warrick, but did provide suggestions for future relations between Warrick and
Motiva. The specialist indicated that â[s]etting limits on what is appropriate is
very important,â including âclear instructions on the use of emails. If [Warrick]
has specific complaints, [Warrick] should know who to put her complaints to in
writing, rather than sending emails to a variety of individuals.â The specialist
recommended that Motiva âshould avoid arguing with [Warrick] about her
concerns and continue to direct [Warrick] to the appropriate channels available to
follow through with her complaints if she believes management is not doing their
6
part.â The specialist cautioned that further action from Motiva may be appropriate
if Warrick âdemonstrate[d] an inability to stop sending inappropriate emails.â
On March 20, 2012, Motiva provided Warrick with a letter containing
conditions for her return to duty. Motiva informed Warrick that if she failed to
follow the guidelines set out in the letter, she would be subject to disciplinary
action that could include termination of her employment. The letter claimed that
Warrick had âbeen making essentially the same harassment claims since 1999â and
that â[t]hese claims must stop now.â The letter further provided that Warrick was
prohibited âfrom making any similar claims to any Motiva/Shell representativeâ
and that she would ânot be allowed to send emails, letters or initiate telephone
conversations to anyone in Motiva/Shell with regard to similar harassment claims.â
The letter gave Warrick a âstrictly established protocolâ4 to follow in the event âa
new issue arises which is not similar or not connected to [her] previous claims.â
The letter did not provide any guidelines for determining whether future
complaints were similar or connected to Warrickâs previous claims.
Warrick filed the present lawsuit in July 2012. Warrick asserted that Motiva
unlawfully discriminated against her on the basis of her race and its perception that
she had a disability, as well as unlawfully retaliated against her for opposing
Motivaâs discriminatory practices, in violation of Chapter 21 of the Texas Labor
Code. 5 Motiva filed a traditional and no-evidence motion for summary judgment.
Motiva contended that it was entitled to judgment as a matter of law on Warrickâs
4
The protocol restricted Warrick to reporting new issues to a specifically designated
employee in Shellâs Equal Opportunity Department and provided the employeeâs telephone
number.
5
âCourts have referred to Chapter 21 of the Labor Code as the Texas Commission on
Human Rights Act (TCHRA or CHRA); however, the Comission on Human Rights has been
replaced with the Texas Workforce Commission civil rights division.â Waffle House, Inc. v.
Williams, 313 S.W.3d 796, 798 n.1 (Tex. 2010). We refer to the chapter as âthe TCHRAâ or
âthe Act.â
7
claims of disparate treatment on the basis of race and disability because she had
not suffered an adverse employment action. Motiva contended it was entitled to
judgment as a matter of law on Warrickâs retaliation claims because her January 16
e-mail cannot be regarded as protected activity under the TCHRA, and she was not
subject to an adverse employment action as a result.
In response, Warrick contended that she was subject to adverse employment
action âwhen she was denied the same leave and pay package as her similarly
situated white coworker.â Warrick also contended that forcing her to undergo a
psychiatric evaluation, take disability leave, and submit to restrictive conditions
upon her return was an adverse employment action. Warrick contended she
engaged in protected activity âwhen she complained to Defendant via email about
occurrences which she believed to be discrimination against her.â
The trial court granted Motivaâs motion for summary judgment and entered
a take nothing judgment for Warrick. The trial court denied and dismissed all of
Warrickâs claims. This appeal followed.
ANALYSIS
Warrick raises three issues on appeal. In her first two issues, Warrick
contends the trial court erred in granting Motivaâs hybrid traditional and no-
evidence motion for summary judgment regarding her claims of disparate
treatment on the basis of race and perceived disability. In her third issue, Warrick
contends the trial court erred in granting Motivaâs hybrid traditional and no-
evidence motion regarding her retaliation claim. We consider the evidence as to
each claim in turn.
I. Standard of review
We review a trial courtâs grant of summary judgment de novo. Lyda
8
Swinerton Builders, Inc. v. Cathay Bank, 409 S.W.3d 221, 229(Tex. App.â Houston [14th Dist.] 2013, pet. filed). In reviewing a summary judgment, âwe take as true all evidence favorable to the non[-]movant and we indulge every reasonable inference and resolve any doubts in the non[-]movantâs favor.â Joe v. Two Thirty Nine Joint Venture,145 S.W.3d 150, 157
(Tex. 2004). âEvidence is conclusive only if reasonable people could not differ in their conclusions.â Brown v. Hearthwood II Owners Assân Inc.,201 S.W.3d 153, 159
(Tex. App.âHouston
[14th Dist.] 2006, pet. denied).
A defendant may prove entitlement to traditional summary judgment by
conclusively negating at least one essential element of each of the plaintiffâs
theories of recovery. Sci. Spectrum, Inc. v. Martinez, 941 S.W.2d 910, 911(Tex. 1997) (internal citation omitted). In a traditional motion for summary judgment, the movant defendant has the initial burden of âdemonstrat[ing] that no genuine issues of material fact exist and that he is entitled to judgment as a matter of law.â Lyda Swinerton Builders, Inc.,409 S.W.3d at 229
. If the movant does so, the burden then shifts to the non-movant plaintiff to produce evidence sufficient to raise a fact issue.Id.
âIn a no-evidence motion for summary judgment, the movant represents that
there is no evidence of one or more essential elements of the claims for which the
non-movant bears the burden of proof at trial.â Dias v. Goodman Mfg. Co., L.P.,
214 S.W.3d 672, 676(Tex. App.âHouston [14th Dist.] 2006, pet. denied). A defendant moving for a no-evidence summary judgment may prevail by alleging that there is no evidence of an essential element for each of the plaintiffâs claims. Sw. Elec. Power Co. v. Grant,73 S.W.3d 211, 215
(Tex. 2002). To survive
summary judgment, the non-movant plaintiff then has the burden to present more
than a scintilla of evidence as to the challenged elements, i.e. evidence that would
9
enable reasonable and fair-minded people to differ in their conclusions. Grant v.
Joe Myers Toyota, Inc., 11 S.W.3d 419, 422 (Tex. App.âHouston [14th Dist.]
2000, no pet.).
When the trial court does not specify the grounds on which it relied in
granting summary judgment, we will affirm the summary judgment if any grounds
presented in the motion are meritorious. Olmstead v. Napoli, 383 S.W.3d 650, 652
(Tex. App.âHouston [14th Dist.] 2012, no pet.).
II. Warrick failed to provide more than a scintilla of evidence that she
suffered an adverse employment action on the basis of her race or the
perception that she has a disability.
The TCHRA prohibits employers from taking actions that adversely affect
an employee, whether on the basis of race or the perception that the employee has
a disability, or with the purpose of retaliating against the employee for opposing
discriminatory practices. Tex. Labor Code Ann. §§ 21.002(6) 21.051, 21.055 (West 2006 & Supp. 2014). Often, direct evidence of discriminatory intent does not exist, and plaintiffs must rely on the burden-shifting mechanism articulated in McDonnell Douglas Corp. v. Green,411 U.S. 792, 802
(1973), 6 to obtain a presumption of discrimination by meeting the initial burden of establishing a prima facie case of discrimination. Mission Consol. Indep. Sch. Dist. v. Garcia,372 S.W.3d 629, 634
(Tex. 2012).
A plaintiffâs prima facie case of unlawful employment discrimination
consists of proof that (1) she was a member of a protected class; (2) she suffered an
adverse employment action, and (3) non-protected class employees were not
6
Because one of the purposes of the TCHRA is to execute the policies of Title VII of the
Civil Rights Act of 1964 and its subsequent amendments, we consult analogous federal statutes
and cases interpreting them in our interpretation of the TCHRA. Quantum Chem. Corp. v.
Toennies, 47 S.W.3d 473, 476 (Tex. 2001).
10
treated similarly. Flores v. City of Liberty, 318 S.W.3d 551, 554(Tex. App.â Beaumont 2010, no pet.); Winters v. Chubb & Son, Inc.,132 S.W.3d 568, 574
(Tex. App.âHouston [14th Dist.] 2004, no pet.). Although the ultimate burden of persuasion remains with the employee, once the employee has made a prima facie case, the McDonnellâDouglas mechanism shifts the burden of production to the employer to provide a legitimate, nondiscriminatory reason for the disparate treatment. Gonzalez v. Champion Technologies, Inc.,384 S.W.3d 462, 466
(Tex. App.âHouston [14th Dist.] 2012, no pet.); Flores,318 S.W.3d at 554
.
The Act âdoes not address every decision made by employers that arguably
might have some tangential effect on employment decisions.â Navy v. Coll. of the
Mainland, 407 S.W.3d 893, 899(Tex. App.âHouston [14th Dist.] 2013, no pet.). Because the need for prophylactic measures is greater in the context of claims of retaliation than claims of discriminatory conduct, see Burlington N. & Santa Fe Ry. Co. v. White,548 U.S. 53, 67
(2006), the TCHRA distinguishes between the two types of claims. See Navy,407 S.W.3d at 901
(citing Burlington N. & Santa Fe Ry. Co.,548 U.S. at 67
). A narrower range of employer conduct constitutes an âadverse employment actionâ in the context of a claim of disparate treatment on the basis of a prohibited characteristic.Id.
With respect to a claim of disparate treatment, an employer commits an
unlawful employment practice if the employer âlimits, segregates, or classifies an
employee or applicant for employment in a manner that would deprive or tend to
deprive an individual of any employment opportunity or adversely affect in any
other manner the status of an employeeâ on the basis of a prohibited characteristic
such as race or the perception that the employee is disabled. See Tex. Labor Code
Ann. §§ 21.002(6), 21.051, 21.055; see also City of Houston v. Proler,437 S.W.3d 529
, 532â33 (Tex. 2014). The prohibitions on discriminatory treatment address
11
âultimate employment decisions,â including those âinvolv[ing] hiring, granting
leave, discharging, promoting, and compensationâ and require the employee to
show more than an action âwhich might jeopardize employment in the future.â
Navy, 407 S.W.3d at 899 (internal quotation marks omitted).
Here, Motiva challenged Warrickâs ability to meet her initial burden of
establishing a prima facie case of disparate treatment on the basis of either race or
the perception that she had a disability. In its motion for no-evidence summary
judgment, Motiva contended Warrick could not establish a genuine issue of
material fact either that she was subjected to an adverse ultimate employment
decision or that a similarly situated employee in a non-protected class received
different treatment. We hold that Warrick failed to produce more than a scintilla of
evidence that Motiva subjected her to an adverse employment action, and therefore
do not consider whether similarly situated employees received disparate treatment.
Warrick contends that she produced evidence of an adverse employment
action for her claim of discrimination based on a perceived disability because
Motivaâs request that she submit to psychological examinations âwould well have
dissuaded a reasonable worker from making or supporting a charge of
discrimination.â As discussed above, however, the prima facie case in the context
of a claim of discriminatory conduct requires evidence of an adverse action that
would amount to an âultimate employment decision,â such as those involving
âhiring, granting leave, discharging, promoting, and compensation.â Navy, 407
S.W.3d at 899 (internal quotation marks omitted). Warrick has not offered
evidence that either the psychological assessments or her placement on paid
disability leave during the pendency of the assessments have had any impact on
those conditions of her employment.
With respect to race, Warrick contends that she was subject to adverse
12
employment actions âwhen she was denied the same leave and pay package as her
similarly situated white coworker.â Although âultimate employment decisionsâ do
encompass decisions regarding compensating employees and granting leave, see
id., even if we were to assume that Warrick and her white co-worker were equally
qualified, Warrick has not shown that either her leave or her compensation were
adversely affected. Warrick herself alleges that the other employee was not using
his vacation hours, not that her white co-worker received a superior vacation
package. Furthermore, the evidence establishes that Warrick and her co-worker
were expected to work the same number of hours within the same time period, and
that Warrick received a higher salary than the other employee for the required
hours.
Warrick did allege that the employee worked fewer hours than the schedule
required, but she acknowledges that following her request, the rules were enforced
uniformly. 7 Warrick contends, however, that we should not consider Motivaâs
later uniform enforcement of the rules because Motiva âonly acted upon Warrickâs
complaints in order to avoid the appearance of unequal treatment.â This argument
fails because there is no evidence in our record that Motiva had such an intent. See
Mission Consol. Indep. Sch. Dist., 373 S.W.3d at 634 (holding that Texas courts
accept the âtwo alternative methods of proof in discriminatory treatment casesâ of
direct intent evidence and the McDonnellâDouglas presumption). Warrick is
essentially asking us to relieve her of her burden to show the established
7
Warrick also contends that Motiva âhad previous knowledge of [the employeeâs]
adjusted schedule,â but she has not produced any evidence other than her own assertions that
Motiva was aware that her white coworker took extended lunches or left work early prior to its
investigation. Cf. Winters, 132 S.W.3d at 576 (âAn employeeâs own subjective belief of
discrimination, no matter how genuine, cannot serve as the basis for judicial relief.â) (internal
quotation marks omitted). Similarly, there is no evidence in the record to support Warrickâs
assertion that had she not complained, the other employee âwould still be working the adjusted
hourly schedule without any assertion of breaking the rules.â
13
circumstances from which we could presume that Motiva had a discriminatory
intent, see id., and instead infer Motivaâs desire to treat her unequally from its
actions to negate any unequal treatment. That is not a permissible method of
proving her claim.
Because Warrick has not provided more than allegations that she suffered an
adverse employment action amounting to an ultimate employment decision, we
overrule Warrickâs first two issues and affirm the summary judgment on Warrickâs
discrimination claims.
III. Warrick failed to present more than a scintilla of evidence that her
January 16 e-mail was protected activity under the TCHRAâs
provision against retaliation.
Turning to Warrickâs retaliation claim, she alleged that she suffered an
adverse employment actionâconsisting of being put on disability leave, forced to
undergo psychological assessments, and given special conditions for her return to
workâbecause of her January 16 e-mail. Because we hold the e-mail did not
articulate opposition to any conduct made unlawful under the TCHRA, and
therefore was not a protected activity, we do not reach the question whether a
reasonable employee would consider the complained-of actions materially adverse.
The TCHRA prohibits employers from retaliating or discriminating against
an employee who â(1) opposes a discriminatory practice; (2) makes or files a
charge; (3) files a complaint; or (4) testifies, assists, or participates in any manner
in an investigation proceeding or hearing.â Tex. Lab. Code Ann. § 21.055. To
establish a prima facie case of retaliation under the TCHRA, an employee must
show that â(1) he participated in protected activity, (2) his employer took an
adverse employment action against him, and (3) a causal connection existed
between his protected activity and the adverse employment action.â Brewer v.
14
Coll. of the Mainland, 441 S.W.3d 723, 729(Tex. App.âHouston [1st Dist.] 2014, no pet.). As with claims of disparate treatment, the burden then shifts to the employer to rebut the presumption of retaliation âby articulating a legitimate, nondiscriminatory reason for the adverse employment action.â Thomas v. Clayton Williams Energy, Inc.,2 S.W.3d 734, 739
(Tex. App.âHouston [14th Dist.] 1999, no pet.) (citing McDonnell Douglas Corp.,411 U.S. at 802
).
Regardless of whether the employee has already filed a formal complaint,
âactionable retaliation exists when an employer makes an adverse employment
decision against an employee who voices opposition to conduct made unlawful
under the [T]CHRA.â City of Waco v. Lopez, 259 S.W.3d 147, 152(Tex. 2008). The prohibition against retaliation protects against a broader category of employer activity than the prohibitions against disparate treatment, extending to âactions that a reasonable employee would have found materially adverse.â Navy,407 S.W.3d at 901
. A materially adverse employment action is one that is âlikely to deter victims of discrimination from complaining to the EEOC, the courts, and their employers.âId.
at 901â902 (internal quotation marks omitted) (holding a
ânegative peer evaluation would not deter a reasonable victim of discrimination
from complaining about the discriminatory conductâ).
Applying these principles to the evidence, we begin with the first element of
a prima facie case: participation in protected activity. An employee complaining
of discrimination may be engaged in protected activity. The employee must offer
evidence that she had a reasonable belief that the employerâs opposed practice was
unlawful, and the employee must show more than a âvague charge of
discriminationâ to âinvoke protection under the statute.â Azubuike v. Fiesta Mart,
Inc., 970 S.W.2d 60, 65 (Tex. App.âHouston [14th Dist.] 1998, no pet.). The
employee must put the employer on notice that the employee is opposing practices
15
that the she believes constitute prohibited discrimination. E.g., Chandler v. CSC
Applied Technologies, LLC, 376 S.W.3d 802, 823â824 (Tex. App.âHouston [1st Dist.] 2012, no pet.) (plaintiff did not engage in protected activity by complaining he was ââeligibleâ to go on [a] trip, but not specifically informing . . . management that he believed his race was the reason why he was not includedâ); Martinez v. Wilson Cnty., No. 04-09-00233-CV,2010 WL 114407
, at *3 (Tex. App.âSan Antonio 2010, no pet.) (mem. op.) (âA complaint of unfair treatment and harassment does not put the employer on notice that the complaint was based on . . . sexual discrimination.â) (internal quotation marks omitted); see also Brown v. United Parcel Serv., Inc.,406 F. Appâx 837, 840
(5th Cir. 2010) (âMagic words
are not required, but protected opposition must at least alert an employer to the
employeeâs reasonable belief that unlawful discrimination is at issue.â); Harrisâ
Childs v. Medco Health Solutions, Inc., 169 Fed. Appâx. 913, 916 (5th Cir. 2006)
(holding appellant produced no evidence that âwhen she made her complaints to
management, [she] ever mentioned that she felt she was being treated unfairly due
to her race or sexâ).
Here, Warrick has not alleged that Motiva retaliated against her for engaging
in the protected activity of making complaints to her union or the EEOC. Instead,
Warrick alleged that she âengaged in protected activity when she complained to
Defendant via email about occurrences which she believed to be discrimination
against her.â Warrick acknowledges that Motivaâs summary judgment motion
challenged the absence of an explicit complaint of racial or disability
discrimination in the e-mail, but contends that her interrogatory responses âclearly
indicate that her intent in sending the email was to oppose discrimination and
harassment.â
16
The TCHRA proscribes retaliation against employees who voice opposition
to discriminatory practices, however. Cf. Lopez, 259 S.W.3d at 152. An employer cannot retaliate against an employee for voicing opposition to discriminatory practices if the employee has not actually voiced such opposition. Cf. Dias,214 S.W.3d at 679
(rejecting an âexten[sion] of the statuteâs scope to situations in
which the employer only perceives the plaintiff has engaged in protected activityâ).
Therefore, the relevant inquiry is not Warrickâs intentions in sending the e-mail,
but whether her opposition to proscribed discriminatory practices was discernible
in the e-mail itself. E.g. Harris-Childs, 169 F. Appâx at 916 (holding plaintiff
failed to demonstrate âthat she put the employer on notice that her complaint was
based on racial or sexual discriminationâ). We conclude that it was not.
Aside from alleging that Poulter âhad his investigators following the wrong
person,â Warrickâs e-mail does not identify any manner in which her treatment
differed from the other employeeâs. Although Warrick asserts on appeal that her e-
mail referred to the other employee âbeing treated differently than her for years,â
the e-mail itself merely describes the other employeeâs âstealing time.â The e-mail
states that Warrick âwrote the EEOC about how the [other] employee works
approximately 7 hours a day and gets paid for 9.â Warrickâs e-mail sufficiently
accuses her co-worker of unethical conduct, but it does not compare his
circumstances to Warrickâs own. Cf. Brewer, 441 S.W.3d at 729 (holding
employee must show âhis employer took an adverse employment action against
himâ (emphasis added)). The paragraph at issue gives the impression that Warrick
is concerned that âwhat this employee has [done] deserves . . . actionâ rather than
being concerned about her own relative treatment. All of Warrickâs complaints
regarding her own treatment relate to Poulterâs alleged serial bullying, not to her
co-workerâs âstealing time.â
17
Moreover, Warrickâs email does not allege that either her co-workerâs
treatment or the alleged bullying against her were based on a protected
characteristic such as race or perceptions of disability. The email does not mention
either her own race or the other employeeâs race, nor does it mention Warrickâs
eye condition. The e-mail also does not claim that any of Poulterâs alleged actions
against her, including having an investigator follow her, were based on Warrickâs
race or any perception that Warrick had a disability.
Nor does Warrickâs assertion that she had exercised her ârights as an
American citizenâ convey any belief that she was being discriminated against on
the basis of her race or a disability. At most, the e-mail shows that Warrick
mentioned she was communicating with the EEOC about another employee who
was not working his scheduled hours, not that Warrick was communicating
opposition to practices made unlawful under the TCHRA. Although the record
also shows that Warrick had filed complaints with the EEOC prior to sending the
January 16 e-mail, Warrick does not identify an EEOC complaint in the e-mail that
might otherwise put Motiva on notice that Warrickâs e-mail was an attempt to
voice opposition to conduct she reasonably believed was unlawful under the
TCHRA, as opposed to what she reasonably believed was unethical employee
conduct.
For these reasons, we hold that Warrick failed to produce more than a
scintilla of evidence that writing the e-mail constituted protected activity by
âvoic[ing] opposition to conduct made unlawful under the [T]CHRA.â Lopez, 259
S.W.3d at 152. We therefore overrule Warrickâs third issue and affirm the
summary judgment on her retaliation claim.
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CONCLUSION
Having overruled each of appellantâs issues, we affirm the judgment of the
trial court.
/s/ J. Brett Busby
Justice
Panel consists of Justices Boyce, Busby, and Wise.
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