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UNITED STATES DISTRICT COURT FOR THE DISTRICT OF COLUMBIA ROBERT C. TAYLOR, Plaintiff, Civil Case No. 10-1077 (BAH) v. Judge Beryl A. Howell KAREN G. MILLS, Administrator, U.S. Small Business Administration, Defendant. MEMORANDUM OPINION The plaintiff Robert Taylor, who is an Area Director for Government Contracting for the Office of Government Contracting (âOGCâ) at the United States Small Business Administration (âSBAâ), brings this action against his current employer Karen G. Mills, Administrator of the SBA, alleging a violation of Title VII of the Civil Rights Act of 1964, 42 U.S.C. § 2000e et seq. The plaintiff claims that the SBA unlawfully retaliated against him for engaging in the legally protected activity of providing testimony in connection with an Equal Employment Office (âEEOâ) investigation of discrimination claims filed by two of the plaintiffâs former SBA subordinates. See id. § 2000e-3(a). Specifically, the plaintiff alleges in his single count of retaliation that the SBA falsely lowered his 2008 performance evaluation, denied his requests to hire additional staff, denied his travel requests, denied his request to telecommute on a fixed schedule, and unjustifiably scrutinized and criticized his work performance. Compl. ¶¶ 16, 21â 25, ECF No. 1. Pending before the Court is the defendantâs Motion for Summary Judgment, and for the reasons set forth below, the Court grants that motion. I. BACKGROUND A. Factual Background The plaintiff is the Area 5 Director for the OGC at the SBA. See Compl. ¶ 7; Def.âs Statement of Material Facts (âDef.âs SMFâ) ¶¶ 43â44, ECF No. 14-1. 1 The OGC is one of four offices that comprise the Office of Government Contracting and Business Development (âGCBDâ) within the SBA. Def.âs SMF ¶ 11; see also Def.âs Mot. Summ J. Ex. EE, ECF No. 14-7. In turn, the GCBD is one of twenty-six offices that make up the SBA Headquarters. 2 Within the OGC, a Director of Government Contracting and Deputy Director of Government Contracting supervise an Assistant Director for Contract Assistance. 3 See Def.âs SMF ¶ 13; Def.âs Mot. Summ. J. Ex. E at 1, ECF No. 14-3. The Assistant Director for Contract Assistance âdirectly supervises all six Area Directors in the [OGC],â and â[a]rea Directors supervise employees in offices located in different areas of the country throughout the states in their specific areas.â Def.âs SMF ¶¶ 18, 112. In particular, Area 5 covers six states (Texas, Colorado, New Mexico, Oklahoma, Arkansas, and Louisiana), and the âduty stationâ for the Area 5 Director is located at SBAâs Fort Worth, Texas District Office. Id. ¶¶ 38â39. The plaintiff has been employed by the SBA since 1978. Id. ¶ 1. In September of 2006, the plaintiff was elevated to his first supervisory positionâthe Assistant Director for Contract 1 The Plaintiffâs Statement of Material Facts in Dispute (âPl.âs SMFâ), ECF No. 17-1, is not formatted in a manner that sets out each fact in a separate, numbered paragraph supported by specific citation to record evidence. The plaintiffâs failure to format his SMF in this way has made it more difficult for the Court to discern which facts are in dispute, particularly because the plaintiff intersperses disputed facts with both undisputed facts and self-serving arguments. Nevertheless, the Plaintiffâs SMF does, in its own way, âset[] forth all material facts as to which it is contended there exists a genuine issue necessary to be litigatedâ with âreferences to the parts of the record relied on.â LCvR 7(h). To the extent the plaintiffâs SMF either fails to contest facts stated in the defendantâs SMF or, in so contesting, fails to refer to the portion of the record supporting the factual dispute, the Court will âassume that facts identified by the [defendant] in its statement of material facts are admitted.â Id. 2 See U.S. Small Bus. Admin., SBA Office List, http://www.sba.gov/about-offices-list/1 (last visited Sept. 24, 2012). 3 It is unclear from the record what the correct title of this position is. The defendant refers to the plaintiffâs position variably as the âAssistant Director for Contract Assistance,â the âAssociate Director for Contract Assistance,â and the âAssistant Administrator for Contract Assistance.â Compare Def.âs SMF ¶¶ 4, 7â10, with id. ¶ 13, with Mem. P. & A. in Supp. Def.âs Mot. Summ J. (âDef.âs Mem.â) at 3, ECF No. 14. The Court will refer to it by the moniker most often used: Assistant Director for Contract Assistance. 2 Assistance, located in the SBAâs headquarters in Washington, D.C. Id. ¶¶ 6, 9. Hierarchically, as discussed above, the Assistant Director for Contract Assistance reports to the Director and Deputy Director for Government Contracting and directly supervises all six Area Directors in the OGC. Id. ¶¶ 13, 18. In 2007, however, the plaintiff decided that he and his family wanted to move to Texas, and so he requested in January 2008 to take the position of Area 5 Director, which his supervisors approved. Id. ¶¶ 40â42. With the retirement of the plaintiffâs predecessor on February 1, 2008, the plaintiff became the Acting Area 5 Director. On July 6, 2008, the plaintiff officially became the Area 5 Director, and in August 2008, the plaintiff relocated to Texas to assume his new position. See id. ¶¶ 40â45, 47. 1. Butler and McClam EEO Actions In the fall of 2007, when the plaintiff was still the Assistant Director for Contract Assistance, he directly supervised two employees named Edith Butler and Pamela McClam. Id. ¶ 19; Pl.âs Mem. P. & A. in Oppân Def.âs Mot. Summ. J. (âPl.âs Oppânâ) Ex. 2, at 4, ECF No. 17-8. According to the plaintiff, both women were âoutstanding performers whose duties for several years included responsibilities above their GS grade-level.â Pl.âs SMF at 2. As a result, the plaintiff attempted to get them promotions through a procedure called âaccretion of duties.â Def.âs SMF ¶ 20. As its name implies, the âaccretion of dutiesâ procedure involves an evaluation of an employeeâs current duties by the human resources department (called a âdesk auditâ) to determine whether that employee should be able formally to add (i.e., accrete) further duties and be promoted to a higher pay grade in the process. See Pl.âs SMF at 2; Def.âs SMF ¶ 21. The SBA Office of Human Capital Management, however, informed the plaintiff that, to accomplish his goal, he should initiate two ârecruitment actionsâ for GS-14 level positions and limit recruitment to only SBA employees. Def.âs SMF ¶ 21. These actions were both cancelled 3 sometime in the spring of 2008, though the record is unclear exactly when that occurred. See Pl.âs Oppân Exs. 1â2, ECF Nos. 17-8, 17-9. In May and June of 2008, respectively, both Ms. McClam and Ms. Butler filed administrative EEO complaints against the SBA as a result of the canceled recruitment actions, claiming that they had been passed over for promotions based on their gender, age (over 40), and race (African American). See id. The plaintiff was interviewed by EEO counselors in connection with both complaints in May and June 2008 respectively, and he told the EEO that âsomeone (unknown) in the building, asked to have the announcements pulled,â and that âMs. Butlerâs promotion was halted due to a change in management in January of 2008.â Id. Ex.1, at 7; id. Ex. 2, at 6. The plaintiff says that when he inquired at SBA Headquarters as to the status of the recruitment actions, he was told that the actions had been canceled by Fay Ott, 4 who at that time was the Associate Administrator for GCBD. See Taylor Dep. at 45:18â22, ECF 14-2. 5 In addition to the informal interviews, the plaintiff also filed sworn affidavits in connection with both EEO administrative complaints. The affidavit for Ms. McClam was filed on August 26, 2008, and the affidavit for Ms. Butler was filed on October 2, 2008 (collectively, the â2008 Affidavitsâ). Def.âs SMF ¶¶ 26â29. In the affidavit submitted on Ms. Butlerâs behalf, the plaintiff admitted that âI have no knowledge what [Ms. Ottâs] motivations were,â but he nevertheless speculated that âthis was done because of Ms. Butlerâs race or colorâ because Ms. Ott is white and Ms. Butler is black. 6 See Def.âs Mot. Summ J. Ex. K at 2â3. The plaintiff did 4 Ms. Ott began working in the GCBD in January 2008. See Pl.âs Oppân Ex. 2, at 6. 5 The full transcript of the plaintiffâs deposition is attached as Exhibit A to the defendantâs Motion for Summary Judgment. See ECF No. 14-2. Although the plaintiff stated in his deposition that he was âshocked to find that a lady by the name Fay Ott had canceled the recruitment actionsâ in August 2008, Taylor Dep. at 45:21â22, the record is clear that the plaintiff was aware about the actions being canceled much earlier. The plaintiff was aware that the recruitment actions had been canceled at least as early as May and June 2008 when he was interviewed by the EEO. See Pl.âs Oppân Ex. 1, at 7; id. Ex. 2, at 6. 6 In his earlier affidavit submitted on Ms. McClamâs behalf, the plaintiff simply stated, âI do not know with absolute certainty if [Ms. McClam] was subject to discrimination.â Def.âs Mot. Summ. J. Ex. J. at 3. 4 not implicate Karen Hontz, the Director of Government Contracting, in the cancelation of the recruitment actions or any wrongdoing in either affidavit, though he did list her as a potential âwitness[]â in one of the affidavits. Id. Ex. J. at 4.7 In fact, Ms. Hontz was not listed as a âPrimary Responding Officialâ in either EEO complaint. Rather, in the 2008 Affidavits, the plaintiff stated, â[i]t is my understanding that [the recruitment action for Ms. McClam] was withdrawn by . . . Ms. Fay Ott,â Def.âs Mot. Summ. J. Ex. J at 3, and that â[i]t was either Fay Ott or Jovita Carranzaâ who called back Ms. Butlerâs recruitment action, id. Ex. K at 2. The plaintiff alleged in his Complaint, however, that â[t]he senior officials at the SBA who are the target of the claims of discrimination against Ms. Butler and Ms. McClam are Karen Hontz and Calvin Jenkins.â Compl. ¶ 15. In his deposition, he again identified Ms. Hontz as the target of the Butler and McClam discrimination claims, explaining that, âknowing how close [Ott and Hontz] are professionally,â he was âvery confident that Fay Ott and Karen Hontz [canceled the recruitment actions] together.â Taylor Dep. at 59:16â18. The plaintiff contends that the SBAâand specifically, Ms. Hontzâretaliated against him for filing these affidavits through a series of actions that he argues were âdesigned to destroy his SBA careerâ and âcripple his effectiveness as an Area Director.â Pl.âs Oppân at 10â11, ECF No. 17. In particular, he claims that Ms. Hontz (1) falsely lowered his 2008 performance evaluation, (2) denied his requests to hire additional staff, (3) denied his requests to travel within his region, (4) denied his request to telecommute on a fixed schedule, and (5) subjected him to unjustified monitoring and criticism of his performance. Id. 2. Performance Evaluation SBA employees are rated each year by one supervisor (the ârating officialâ) on a scale from one to five on a series of âCritical Elements,â such as âcustomer service,â âleadership,â and 7 The plaintiff alleges in his SMF that the affidavits âsuggest[] that Ms. Hontz may also have taken the action,â though the affidavits themselves do not support that assertion. See Pl.âs SMF at 20. 5 âpeople management and responsibilities,â and the evaluation is then reviewed and approved by a second supervisor (the âreviewing officialâ). See Pl.âs Oppân Ex. FF at 3â4 (listing âCritical Elementsâ); SBA Standard Operating Procedure 34 30 4 (âSOP 34 30 4â) (effective May 15, 2000) at 16â18, available at http://archive.sba.gov/sops/3430/sop34304.pdf (describing review procedures). These âCritical Elementsâ are averaged for each employee, and that numerical score corresponds with a âsummary levelâ rating. The summary levels are as follows: âUnacceptableâ (less than 2.0), âMinimally Successfulâ (2.0 to 2.99), âFully Successfulâ (3.0 to 3.59), âExceeds Fully Successfulâ (3.6 to 4.59), and âOutstandingâ (4.6 to 5.0). 8 SOP 34 30 4, at 17. More specifically, while an âExceeds Fully Successfulâ rating is â[v]ery good performance which deserves special recognition,â an âOutstandingâ rating is â[p]erformance of excellent quality that is exceptional and usually deserving of a performance award.â Id. Performance awards at the SBA are of three varieties: (1) Quality Step Increase (âQSIâ); (2) Sustained Superior Performance (âSSPâ); and (3) Superior Accomplishment (âSAâ). Id. at 22. A QSI is an increase in an employeeâs pay by âone step or rateâ of the employeeâs GS pay grade. 9 To receive a QSI, an employee must (a) be âpaid at less than the maximum step of [his] grade,â (b) receive an âOutstandingâ rating, (c) be recommended by his rating official; and (d) be approved by an appropriate âapproving official,â which for a QSI is either a Management Board Member or a District Director. Id. at 22â23, 44. An SSP and an SA are both âone-time lump sum cash payments.â Id. at 22. An SA requires at least a âFully Successfulâ rating, and an SSP requires at least an âExceeds Fully Successfulâ rating. Id. 8 The âOutstandingâ rating is also referred to as an âExcellentâ rating, and the âExceeds Fully Successfulâ rating is also referred to as an âExceeds Expectationsâ rating. See, e.g., Def.âs Mot. Summ. J. Ex. FF at 1. The Court will refer to these pairings of ratings interchangeably. 9 At all relevant times, the plaintiff was a GS-15 pay grade employee. See Def.âs Mot. Summ. J. Ex. FF, ECF No. 14-7. 6 The plaintiff received an âOutstandingâ rating in four of the six years prior to filing his Complaint (2005â2007 and 2009) and an âExceeds Fully Successfulâ rating in the other two years (2008 and 2010). See Def.âs Mot. Summ. J. Ex. EE at 1. From 2008 to 2010, the plaintiff received an SSP Performance Award each year, ranging from $1,200 to $2,500 per year. Id. at 11, 18; id. Ex. FF at 1. 10 In 2008, the plaintiff initially received an âOutstandingâ rating from his rating official, Linda Korbol, but the plaintiffâs reviewing official, Ms. Hontz, lowered the plaintiffâs rating to an âExceeds Fully Successful.â See Def.âs SMF ¶¶ 168â70; Def.âs Mot. Summ J. Ex. C at 30:20â31:21; id. Ex. FF at 1. Ms. Hontz lowered three of the plaintiffâs âCritical Elementsâ from fives to either threes or fours. In the comments attached to her evaluation, Ms. Hontz stated, under the âCritical Elementâ of âPeople management responsibilities,â that the plaintiffâs âactions with employees led to EEO complaints filed against upper managementâ; he âdid not approve telecommuting in line with regulationsâ; some of his employees âdid not have proper personal business commitment plansâ; and his âratings for employees did not have sufficient justification.â Def.âs Mot. Summ J. Ex. FF at 2. The plaintiff was not the only SBA employee whose 2008 performance rating was decreased upon review by Ms. Hontz. In 2008, Ms. Korbol gave all employees whom she rated an âOutstandingâ rating, and Ms. Hontz, as the reviewing official, decreased at least four of those employeesâ ratings, including the plaintiffâs. See Def.âs SMF ¶¶ 169, 171. Although the plaintiff appealed to Ms. Hontz to reinstate his âOutstandingâ rating and later submitted a âStatement of Disputeâ to Calvin Jenkinsâthe Deputy Associate Administrator for the GCBD and Ms. Hontzâs direct supervisorâasking that Mr. Jenkins reinstate his âOutstandingâ rating, both Ms. Hontz and Mr. Jenkins denied the plaintiffâs requests. See Def. Mot. Summ. J. Ex. HH at 2â3, ECF No. 14-8. 10 There is no evidence in the record regarding what performance awards, if any, that the plaintiff received prior to 2008. 7 On December 19, 2008, the plaintiff appealed Mr. Jenkinsâs denial of his âStatement of Disputeâ to the SBAâs Office of Hearings and Appeals (âOHAâ). See id. The presiding adjudicator of that appeal, Administrative Judge Holleman, concluded on March 20, 2009, that the SBA had âmet its burden of supporting [the plaintiffâs] performance rating with substantial evidenceâ and found that the plaintiff had failed to demonstrate that he had performed any activities that âwould justify a Level 5 rating.â Id. at 6. Administrative Judge Holleman also specifically addressed Ms. Hontzâs comment in her evaluation about the plaintiffâs âactions with employees le[ading] to EEO complaints [being] filed.â He stated that âthe Agency should not have held against [the plaintiff] the filing of EEO complaints by two unidentified employeesâ because âthe mere fact that an employee has exercised his or her right to file a complaint . . . cannot be grounds for criticizing the supervisor or for giving that supervisor a lower evaluation than he or she would have otherwise received.â Id. Nevertheless, Administrative Judge Holleman denied the plaintiffâs appeal. 11 3. Hiring Requests The SBA, like many government agencies, has experienced a steady decline in its staff sizes over the past ten to twenty years due to budget constraints. Def.âs SMF ¶ 69. Between 2003 and 2008 in particular, the number of employees working in the Area 5 Office decreased, leaving Area 5 with the smallest staff of all the Areas. Id. ¶ 71, 74. By February 2008, when the plaintiff first became acting Area 5 Director, there were only twelve employees in the Area 5 office, id. ¶ 73, and only one employee in the plaintiffâs immediate office, Pl.âs SMF at 14. Because of the staffing shortfalls in Area 5, the plaintiff was âvocal about his desire to hire more staff,â and in February 2009 he emailed his supervisors (David Loines and Charles 11 The plaintiff received the same performance rating in 2010 as he did in 2008 (i.e., âExceeds Expectationsâ), see Def.âs Mot. Summ. J. Ex. EE at 17â26, though Ms. Hontz was not in the plaintiffâs supervisory chain at the time the 2010 performance evaluation was finalized, see Taylor Dep. at 160:19â25. The plaintiff stated in deposition testimony that he does not consider âExceeds Expectationsâ to be a bad rating. See id. at 168:11â13. 8 George), 12 requesting to hire additional staff, i.e., a Deputy Area Director, a Program Assistant, an Industrial Specialist, a Size Specialist, and an administrative assistant. Def.âs SMF ¶¶ 78, 85, 102. Indeed, all of the Area Directors submitted staffing requests that were not filled due mainly to budget constraints. Id. ¶¶ 86â92. Ultimately, the plaintiff was authorized to hire at least five individuals for his Area since becoming Area 5 Director, including four Procurement Center Representatives (âPCRsâ), and one Commercial Marketing Representative (âCMRâ). Id. ¶ 107; see also Def.âs Mot. Summ. J. Ex. W. The plaintiff also requested a desk audit for Stephanie Lewis, a CMR in the Area 5 office, so that she could obtain an accretion of duties promotion to Deputy Area Director. Def.âs SMF ¶ 140. The plaintiffâs predecessor as Area Director had also tried to obtain the same promotion for Ms. Lewis, but his ârequests were never acted upon by headquarters.â Id. ¶ 139. Ms. Hontz denied the plaintiffâs request in January 2009, see Taylor Dep. at 180:19â181:4, and according to the defendant the denial was due to budget constraints and a diminishing need for supervisory positions because staffing levels had decreased. Id. ¶¶ 131â33. The plaintiff contends, however, that funds were available for additional staff and that Ms. Hontz denied his request for Ms. Lewisâs desk audit (and thus his ability to obtain a GS-14 employee) to retaliate against him. See Pl.âs SMF at 14â15. 4. Travel Requests Because Area Directors supervise employees in offices located throughout their designated region, they sometimes travel to these satellite offices. See Def.âs SMF ¶¶ 112â15. To do so, Area Directors submit travel requests to their supervisors, who consider the Area Directorâs budget and review requests on a case-by-case-basis. Id. ¶¶ 109â10, 121. The plaintiff submitted several travel requests as Area Director, several of which were approved by his 12 At that time, Mr. Loines was the Acting Deputy Director for Government Contracting, and Mr. George was the Acting Assistant Director for Contract Assistance. Def.âs SMF ¶¶ 14, 16. 9 supervisors, see Def.âs Mot. Summ. J. Ex. Y, but at least one of those requests was denied in the fall of 2008 by Ms. Hontz, see id. Ex. Z. According to the plaintiff, âMs. Hontz approved [his] travel requests prior to October 2, 2008,â i.e., the date the plaintiff submitted his affidavit in Ms. Butlerâs EEO proceeding. Pl.âs SMF at 15. The one denial of a travel request took place in September or October of 2008, after the plaintiff had prepared a travel voucher in the amount of $127.32 for a trip he made to San Antonio on August 11, 2008, the purpose of which was to provide orientation and training to a new employee there. Id. at 15â16. The defendant states that travel requests like the plaintiffâs were regularly denied due to âvery strict budget constraints,â and that Ms. Hontz herself denied a number of other Area Directorsâ travel requests in 2008 and 2009. See Def.âs SMF 113â15, 118â20. The plaintiff, however, claims that Area 5 had âan abundance of travel funds in 2008â and that his ânegligibleâ travel request was dwarfed by the âseveral thousand dollarsâ that he claims were available in the Area 5 travel budget. See Pl.âs SMF at 16. 5. Telecommuting Schedule The SBA permits eligible employees to telecommute, which allows approved employees to work âone or more days at home or at an approved alternate duty station rather than in the traditional office.â Def.âs Mot. Summ. J. Ex. O at 7, ECF No. 15-1. A telecommuting employee may either work from home or a âtelecenter,â which is a government-owned office site near the employeeâs home. Id. at 10. Telecommuting schedules are either âpre-determinedâ (i.e., fixed), where the employee and his supervisor agree on a specific schedule for workdays spent at home, or âintermittentâ (i.e., ad hoc), where the employee must submit a request to his supervisor each time he wants to telecommute. See id. at 18â19; see also Def.âs Mot. Summ. J. Ex. R (ad hoc telecommuting âshould be preapproved for a specific project [or] needâ). 10 Before moving to Texas in August 2008 to take up his position as Area Director, the plaintiff built a house in a suburb of Austin, Texas called Lakeway, which is over 200 miles (approximately 3.5 hours by car) from the Area 5 District Office in Fort Worth. Def.âs SMF ¶¶ 48, 60â61. The plaintiffâs home is so far from his office, in fact, that his usual practice is to travel to Forth Worth at the beginning of the week, stay in a hotel, and then return to his home at the end of the week. Id. ¶ 63. On July 3, 2008, the plaintiff submitted a request to Ms. Hontz for a fixed telecommuting schedule. See Def.âs Mot. Summ. J. Ex. P. Ms. Hontz instead approved an ad hoc telecommuting schedule for the plaintiff on July 9, 2008 (effectively denying the request for a fixed schedule) and notified the plaintiff about her decision via e-mail, explaining that â[s]ince Area [5] has been without a resident director for a long time, it is important for you to be in the office or working the region.â Id. Ex. R. At the time, the plaintiff responded that he âconcur[red] with her reasoning.â Id. Now, however, the plaintiff disputes the reasoning of Ms. Hontzâs denial because âhe supervises all but two employees by telephoneâ and therefore he could just as effectively perform his job from his home. Pl.âs SMF at 17. Unable to telecommute on a fixed schedule, the plaintiff has opted to participate in an âalternative work schedule,â in which he works nine hour days and has every other Friday off. Def.âs SMF ¶ 65. 6. Monitoring and Criticism of Work Performance On January 29, 2009, Ms. Hontz sent an e-mail to Mr. Loines, the Acting Deputy Director for Government Contracting and plaintiffâs second-level supervisor, asking him to retrieve a copy of Stephanie Lewisâs Personal Business Commitment Plan (âPBCPâ) 13 in response to the requested desk audit of Ms. Lewis. Def.âs Mot. Summ. J. Ex. CC, ECF No. 14-7. Ms. Hontz stated that âthere is no position available for Deputy,â that she was ânot going to 13 A PBCP is a document that âserve[s] as [an] individual performance contractâ for employees. See U.S. Govât Accountability Office, GAO 08-995, Small Business Administration: Opportunities Exist to Build on Leadershipâs Efforts to Improve Agency Performance and Employee Morale 21 (2008). 11 approve any back dooring of a position,â and that she did ânot want [the plaintiff] to create additional personnel problems as he did in the office of contract assistance.â Id. The next day, Ms. Hontz sent an e-mail to Mr. Loines and Mr. George expressing her frustration with how the plaintiff had handled the assigning of responsibilities to a newly hired employee in his Area. See id. Ex. DD. In this e-mail, Ms. Hontz asked Mr. Loines and Mr. George to obtain the PBCP of the plaintiffâs entire staff as well as âa list by person of what buying activities and prime contractors and other duties . . . each person is doing.â Id. According to the plaintiff and Mr. George, no other Area Directors were required to provide this information. Pl.âs SMF at 5; George Dep. at 30:15â21. 14 After receiving the PBCPs from the plaintiff as requested, Ms. Hontz noted, via e-mail to Mr. Loines and Mr. George on February 2, 2009, several errors in Ms. Lewisâs PBCP and asked Mr. Loines and Mr. George to review all of the Area 5 PBCPs for errors. See Def.âs Mot. Summ. J. Ex. KK at 1740. In that same e-mail, Ms. Hontz stated that the plaintiffâs âwork regarding managing staff is unacceptable at the moment.â Id. Ms. Hontz requested that Mr. Loines and Mr. George have a conversation with the plaintiff regarding her concerns about the plaintiffâs personnel management, and Mr. Loines and Mr. George conveyed those concerns to the plaintiff in a conference call on February 4, 2009. See Def.âs SMF ¶¶ 162â63. On February 3, 2009, Ms. Hontz held a meeting with the plaintiffâs immediate and second-line supervisors (Mr. George and Mr. Loines, respectively) to discuss Mr. Georgeâs new detail to the Assistant Director for Contract Assistanceâthe plaintiffâs former position. Def.âs SMF ¶¶ 147â48. In this meeting, Ms. Hontz and Mr. Loines generally provided Mr. George with an orientation of his responsibilities. George Dep. at 86:2â5. Ms. Hontz also made clear to Mr. George that she wanted him to review the plaintiffâs time and attendance, invoices, and travel 14 All cited portions of Mr. Georgeâs deposition are included in either Exhibit I to the defendantâs Motion for Summary Judgment, ECF No. 14-4, or Exhibit 4 to the plaintiffâs opposition, ECF No. 17-4. 12 vouchers because she did not âwant Mr. Taylor to create the same personnel problems in his Area 5 that he did while he was the assistant director in Contract Assistance.â Id. at 87:3â6, 91:13â16. Ms. Hontz specifically referenced the EEO complaints that had been filed by Ms. McClam and Ms. Butler in this meeting, telling Mr. George that âMr. Taylor was responsible for those EEOs.â Id. at 19:7â11. Mr. George interpreted Ms. Hontzâs comments to equate the referenced âpersonnel problemsâ with the EEO complaints filed by Ms. McClam and Ms. Butler. Id. at 24:18â22. Finally, in April 2010 (after the plaintiff filed the instant action), the plaintiff and Ms. Hontz âhad an exchangeâ at a national SBA Government Contracting conference in Washington, D.C. See Def.âs Reply to Pl.âs Statement of Material Facts in Dispute (âDef.âs SMF Replyâ) ¶ 13, ECF No. 19-1; Pl.âs SMF at 12. During this âexchange,â the plaintiff claims that when he was making a presentation in front of approximately 100 people, Ms. Hontz âsuddenly stood up and shouted at [him] to sit down before he had completed his presentation.â Pl.âs SMF at 12â13. B. Procedural History On May 21, 2009, the plaintiff filed a complaint with the Equal Employment Opportunity Commission (âEEOCâ). 15 See Def.âs Mot. Summ. J., Ex. LL, ECF No. 14-8. In the EEOC complaint, the plaintiff alleged that the defendantâin retaliation for his participation in other SBA employeesâ EEO discrimination investigationsâlowered his performance evaluation in 2008, denied his right to telecommute, denied his requests to recruit additional staff, denied his requests to travel throughout his Area, and unreasonably criticized his performance. See id. at 3â 4. The plaintiff âreceived a Final Agency Decision dated April 22, 2010, stating that he had 15 The date listed on the EEOC complaint is May 21, 2009, though the plaintiff lists the filing date as May 22, 2009 in his Complaint. Compare Pl.âs Oppân Ex. LL at 1, with Compl. ¶ 5. The Court will use the earlier date of May 21, 2009, though this discrepancy has no effect on the disposition of this case. 13 failed to meet his burden of adducing by a preponderance of the evidence that management discriminated against him on the basis of retaliation.â Def.âs SMF ¶ 179. After issuance of the Final Agency Decision, the plaintiff filed a complaint in this Court on June 25, 2010. Pending before the Court is the defendantâs Motion for Summary Judgment, ECF No. 14. 16 II. LEGAL STANDARD Federal Rule of Civil Procedure 56 provides that summary judgment shall be granted âif 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.â FED. R. CIV. P. 56(a). Summary judgment is properly granted against a party who âafter adequate time for discovery and upon motion . . . fails to make a showing sufficient to establish the existence of an element essential to that partyâs case, and on which that party will bear the burden of proof at trial.â Celotex Corp. v. Catrett, 477 U.S. 317, 322 (1986). The burden is on the moving party to demonstrate that there is an âabsence of a genuine issue of material factâ in dispute. Id. at 323. In ruling on a motion for summary judgment, the Court must draw all justifiable inferences in favor of the nonmoving party and shall accept the nonmoving party's evidence as true. Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 255 (1986); Estate of Parsons v. 16 On February 16, 2012, the plaintiff moved for an oral hearing to respond to the âinaccurate manner in which the Defendant sets forth the recordâ in its Reply. See Request for Hearing, ECF No. 20. The Court finds that the partiesâ arguments have been sufficiently laid out in their papers and will therefore deny this motion pursuant to Local Civil Rule 7(f), which states that allowance for an oral hearing âshall be within the discretion of the court.â On March 7, 2012, the plaintiff also filed a Motion to Strike the Defendantâs Reply, see ECF No. 22, citing the reply briefâs failure to adhere to the 25-page limit for reply memoranda of law under Local Civil Rule 7(e) because the defendant attached a 14-page exhibit, ECF No. 19-1, to its 21-page memorandum of law, ECF No. 19. The page limitation in Local Civil Rule 7(e) clearly refers to the âmemorandumâ of law and does not encompass attached exhibits. It is for this precise reason that the plaintiff did not run afoul of the 45-page limit in LCvR 7(e) when he filed his opposition to the defendantâs motion for summary judgment by filing both a 24-page memorandum of law and over 300 pages of attached exhibits. See ECF Nos. 17, 17-2 to 17-29. Accordingly, because the defendantâs submission of a âReply to the Plaintiffâs Statement of Material Facts in Disputeâ as an exhibit to the reply memorandum of law did not count toward the 25-page limit under LCvR 7(e), the Court will also deny the plaintiffâs motion to strike. 14 Palestinian Auth., 651 F.3d 118, 123 (D.C. Cir. 2011). The Court is only required to consider the materials explicitly cited by the parties, but may on its own accord consider âother materials in the record.â FED. R. CIV. P. 56(c)(3). For a factual dispute to be âgenuine,â the nonmoving party must establish more than âthe mere existence of a scintilla of evidenceâ in support of its position, Liberty Lobby, 477 U.S. at 252, and cannot simply rely on âmere allegationsâ or conclusory statements, see Veitch v. England, 471 F.3d 124, 134 (D.C. Cir. 2006); Greene v. Dalton, 164 F.3d 671, 675 (D.C. Cir. 1999); Harding v. Gray, 9 F.3d 150, 154 (D.C. Cir. 1993); accord FED. R. CIV. P. 56(e). Rather, the nonmoving party must present specific facts that would enable a reasonable jury to find in its favor. See, e.g., FED. R. CIV. P. 56(c)(1). If the evidence âis merely colorable, or is not significantly probative, summary judgment may be granted.â Liberty Lobby, 477 U.S. at 249â50 (citations omitted). â[A] complete failure of proof concerning an essential element of the nonmoving partyâs case necessarily renders all other facts immaterial.â Celotex, 477 U.S. at 323. In that situation, â[t]he moving party is âentitled to judgment as a matter of lawâ because the nonmoving party has failed to make a sufficient showing on an essential element of her case with respect to which she has the burden of proof.â Id. âSelf-serving testimony does not create genuine issues of material fact, especially where that very testimony suggests that corroborating evidence should be readily available.â Fields v. Office of Johnson, 520 F. Supp. 2d 101, 105 (D.D.C. 2007). III. DISCUSSION The plaintiff alleges in his single count of retaliation that the SBA âimproperly subjected him to false evaluations,â and âunjustified and abusive criticism of his performance,â denied him the âconditions and terms of employment necessary to perform his position,â all in violation of the retaliation provision of Title VII, 42 U.S.C. § 2000e-3(a). Compl. ¶¶ 22â23. More specifically, the plaintiff claims that the SBA or its agents subjected him to a punitive âfishing 15 expedition,â falsely lowered his performance evaluation in 2008, denied his requests to hire additional staff, denied his requests to travel within his region, denied his requests to telecommute on a fixed schedule, and humiliated him in front of his colleagues. See Pl.âs Oppân at 10â13. The plaintiff claims that all of these actions were designed to punish him for engaging in protected activity, âto destroy his SBA career,â and to âharassâ him. Id. at 10, 14, 16â17. The defendant has moved for summary judgment on the grounds that (i) the plaintiff failed to timely exhaust his telecommuting claim, (ii) none of the other alleged employment actions constitute âmaterially adverse actionsâ sufficient to state a claim for retaliation, (iii) there is no causal connection between the plaintiffâs protected activity and the alleged retaliatory actions, and (iv) there is no evidence of retaliatory motive or intent to suggest that the defendantâs legitimate, non-discriminatory reasons for taking the allegedly adverse actions were pretext for discrimination. See Mem. P. & A. in Supp. Def.âs Mot. Summ J. (âDef.âs Mem.â) at 2, ECF No. 14. For the reasons discussed below, the Court concludes that (1) the plaintiff has failed to plead a hostile work environment claim, (2) the plaintiff failed administratively to exhaust his claim regarding his telecommuting request in a timely fashion and (3) none of the remaining employment actions constitute adverse employment actions as a matter of law. A. The Plaintiff Has Not Constructively Amended His Complaint to Include a Hostile Work Environment Claim At the outset, the Court must address one issue of scope. Although the only claim included in the plaintiffâs Complaint is one for retaliation, the plaintiff also appears to raise a claim for a hostile work environment in his opposition brief by citing the legal standard for a hostile work environment claim, see Pl.âs Oppân at 9â10 (citing, inter alia, Harris v. Forklift Sys., Inc., 510 U.S. 17, 21 (1993)), and, in the same section of his brief, characterizing the defendantâs actions as âa full-scale attack on him personallyâ that involved âfrequent, pervasive, intimidating, insulting, [and] humiliatingâ conduct, see id. at 10. 16 To the extent the plaintiff is arguing that he pleaded a hostile work environment claim in his Complaint, that argument is not supported by the face of his allegations. The Complaint was clearly captioned as one count of âRetaliation,â and that single count even specifically cites the anti-retaliation provision of Title VII as the relevant law that was violated by the defendantâs actions. See Compl. at 6â7 & ¶ 23. Furthermore, although the Complaint mentions in passing that the defendant âharassedâ him and that certain actions were âabusive,â âhumiliat[ing],â and âembarrass[ing],â see id. ¶¶ 22, 25, the Complaint uses neither the word âhostileâ nor the word âenvironmentâ to describe his claim. The latter word (âenvironmentâ) is particularly important to describing a hostile work environment claim because, as the plaintiff himself points out, âa hostile work environment claim is different in kind from a claim involving discrete acts of retaliationâ because a hostile work environment is an ongoing, ambient form of discrimination that is categorically distinct from discrete actions of discrimination, retaliatory or otherwise. See Pl.âs Oppân at 10 (citing Vickers v. Powell, 493 F.3d 186, 198 (D.C. Cir. 2007)); see also Natâl R.R. Passenger Corp. v. Morgan, 536 U.S. 101, 115 (2002) (âHostile work environment claims are different in kind from discrete acts.â); Draper v. Coeur Rochester, Inc., 147 F.3d 1104, 1108 n.1 (9th Cir. 1998) (noting that âa hostile work environment is ambient and persistentâ). Therefore, even liberally construing the plaintiffâs allegations, the Court concludes that the plaintiff has not pleaded a separate hostile work environment claim in his Complaint. Furthermore, to the extent the plaintiffâs references to a hostile work environment claim in his opposition to the defendantâs motion for summary judgment reflect an effort to constructively amend his Complaint, that effort fails. In the main, a plaintiff is not permitted to raise new claims at the summary judgment stage, where those claims were not pleaded in the complaint. See Franks v. Salazar, 816 F. Supp. 2d 49, 58 n.5 (D.D.C. 2011) (â[P]laintiffs cannot use their summary judgment briefing to press claims not raised in their amended complaint.â); 17 Sharp v. Rosa Mexicano, D.C., LLC, 496 F. Supp. 2d 93, 97 n.3 (D.D.C. 2007) (â[P]laintiff may not, through summary judgment briefs, raise the new claims . . . because plaintiff did not raise them in his complaint, and did not file an amended complaint.â). Federal Rule of Civil Procedure 15(b)(2) permits âan issue not raised by the pleadingsâ to be âtreated in all respects as if raised in the pleadingsâ when the issue âis tried by the partiesâ express or implied consent.â FED R. CIV. P. 15(b)(2). While the plain terms of this Rule apply to constructive amendments of pleadings at trial, at least one Judge within this Circuit has construed this Rule to apply in the context of a motion for summary judgment, holding that a plaintiff may âconstructively amendâ his or her complaint at the summary judgment stage âwhen the parties ha[ve] fully briefed an issue that was not necessarily raised in the complaint.â See Turner v. Shinseki, 824 F. Supp. 2d 99, 122 n.23 (D.D.C. 2011) (citing FED. R. CIV. P. 15(b)(2)). The Court concludes that, even assuming constructive amendments to pleadings are permitted in this Circuit at the summary judgment stage under Rule 15(b), 17 the plaintiff has not successfully made such an amendment. Although the defendant did respond to the plaintiffâs eleventh hour insertion of a purported hostile work environment claim, see Def.âs Reply in Supp. of Def.âs Mot. Summ. J. (âDef.âs Replyâ) at 7â8, ECF No. 19, that response was cursory and always based on the premise that âPlaintiff did not plead a hostile work environment claim,â see Def.âs Reply at 3. When a party responds to an attempt to constructively amend a complaint at the summary judgment stage like 17 The Court of Appeals for the District of Columbia Circuit has held that a defendant may not âconstructively amendâ an answer by adding affirmative defenses at the summary judgment stage. See Harris v. Secretary, U.S. Depât of Veterans Affairs, 126 F.3d 339, 343â45 (D.C. Cir. 1997) (âRule 8(c) means what it says: a party must first raise its affirmative defense in a responsive pleading before it can raise them in a dispositive motion.â). In Harris, the D.C. Circuit emphasized that the fairest and most proper way for parties to add new claims or defenses is by formally amending their pleadings and that Rule 15(b) âdoes not applyâ at the summary judgment stage â[b]ecause a case decided on motion for summary judgment does not reach trial.â Id. at 343â45 & n.3. Subsequently, the D.C. Circuit recognized that â[i]t is an open question whether the Federal Rules permit parties to impliedly consent to âtryâ issues not raised in their pleadings through summary judgment motions.â See Indep. Petroleum Assân of Am. v. Babbitt, 235 F.3d 588, 596 (D.C. Cir. 2001) (comparing Harris with Kulkarni v. Alexander, 662 F.2d 758, 762 (D.C. Cir. 1978)). 18 the defendant did here, that response is essentially made under protest and does not rise to level of âimplied[ly] consent[ing]â to the hostile work environment claim being tried. B. Plaintiff Failed to File a Timely EEO Complaint Related to the Denial of His Request for a Fixed Telecommuting Schedule The defendant argues that, to the extent that the plaintiffâs claim is premised on the denial of his request to telecommute on a fixed schedule, the plaintiff failed to exhaust his administrative remedies for that claim in a timely fashion. See Def.âs Mem. at 18-19. Indeed, any federal employee who believes that she has been the subject of unlawful discrimination âmust âinitiate contactâ with an EEO Counselor in her agency âwithin 45 days of the date of the matter alleged to be discriminatory.ââ Steele v. Schafer, 535 F.3d 689, 693 (D.C. Cir. 2008) (quoting 29 C.F.R. § 1614.105(a)(1)). â[A] court may not consider a discrimination claim that has not been exhausted in this manner absent a basis for equitable tolling.â Id. This requirement of timely administrative exhaustion applies to each discrete act alleged to be discriminatory, such that â[e]ach discrete discriminatory act starts a new clock for filing charges alleging that act.ââ Singletary v. District of Columbia, 351 F.3d 519, 526 (D.C. Cir. 2003) (quoting Morgan, 536 U.S. at 113). In this case, the plaintiff applied for the fixed telecommuting schedule on July 3, 2008, and Ms. Hontz effectively denied that request on July 9, 2008 by approving a different, ad hoc telecommuting schedule. See Def.âs SMF ¶ 57; Def.âs Mot. Summ J. Ex. P at 1574. Although the plaintiff was away on vacation at the time of this denial, Ms. Hontz informed the plaintiff, via e-mail on August 19, 2008, that an ad hoc telecommuting schedule had been approved. See Def.âs Mot. Summ. J. Ex. R. On August 20, 2008, the plaintiff responded by email to Ms. Hontz and wrote, âThank you for the action on my request. I concur with your reasoning.â Id. Thus, the plaintiff was clearly aware of this action no later than August 20, 2008, yet he did not initiate 19 contact with an EEO counselor until March 23, 2009, over seven months later. 18 See Compl. ¶ 5; Def.âs SMF ¶ 176. As a result, it is clear that the denial of the plaintiffâs request for a fixed telecommuting schedule was not administratively exhausted in a timely fashion. The plaintiff argues that, nevertheless, his claim as it relates to the telecommuting request is âproperly before the Courtâ because (a) he raised the telecommuting denial in his May 21, 2009 EEOC complaint and (b) the defendant ânever asserted any objection to litigating the issue.â Pl.âs Oppân at 3â5. 19 Neither of these arguments, however, addresses the fact that the plaintiff failed to contact the EEO regarding the denial of his request for a fixed telecommuting schedule within 45 days. The discrete actâthe denialâwas not administratively exhausted in a timely fashion, and therefore it cannot form the basis of the plaintiffâs otherwise procedurally sound retaliation cause of action, regardless of whether it was referenced in the EEOC complaint or the Complaint in the instant action. See, e.g., Baird v. Gotbaum, 662 F.3d 1246, 1251 (D.C. Cir. 2011) (holding that âdiscrete discriminatory acts . . . are not actionable if time barred, even when they are related to acts alleged in timely filed chargesâ) (internal quotation marks omitted). 18 The plaintiff intimates that he might be entitled to equitable tolling of the time period to make contact with the EEO under 29 C.F.R. § 1614.105(a)(2) because âhe did not realize until February 2009 of [Ms. Hontzâs] motive to retaliate against him.â Pl.âs Oppân at 21. Even had the plaintiff explicitly presented this revelation as a basis for equitable tolling, it would not cure his failure to exhaust his administrative remedies in a timely fashion. Equitable tolling only applies where the employee (1) âwas not notified of the time limits and was not otherwise aware of them,â (2) âdid not know and reasonably should not have been known that the discriminatory matter or personnel action occurred,â or (3) âdespite due diligence [the employee] was prevented by circumstances beyond his or her control from contacting the counselor within the time limits.â 29 C.F.R. § 1614.105(a)(2) (2012). In this Circuit, â[t]he time may in some circumstances be tolled . . . even when a plaintiff was aware of the adverse action in question but not yet aware of the discriminatory motive behind it.â Mahoney v. Donovan, 824 F. Supp. 2d 49, 60 (D.D.C. 2011) (citing Miller v. Hersman, 594 F.3d 8, 12 (D.C. Cir. 2010). Even so, the plaintiff admitted in his deposition that he âimmediately assumed that the reason for the [February 4, 2009] conference call [with Mr. George and Mr. Loines] was retaliation.â Taylor Dep. at 178:6â181:23. Therefore, the undisputed evidence demonstrates that, at the very latest, the plaintiff should have been aware of the possibility of retaliatory animus no later than February 4, 2009, yet he admits that he did not make contact with the EEO until March 23, 2009â47 days later. See Compl. ¶ 5. Therefore, even giving the plaintiff every benefit of the doubt, any argument he may have for equitable tolling would not cure his failure to exhaust his administrative remedies in a timely fashion with respect to the denial of his request for a fixed telecommuting schedule. 19 The plaintiff does not make any argument that he is entitled to an equitable tolling of the administrative time limits that would excuse his failure to exhaust his administrative remedies in a timely fashion. 20 C. The Plaintiff Has Failed to Create a Genuine Issue of Material Fact Regarding Whether Any of the Defendantâs Actions Were Materially Adverse âTitle VIIâs anti-retaliation provision makes it unlawful for an employer âto discriminate against [an] employee . . . because he has opposed any practiceâ made unlawful by Title VII or âhas made a charge, testified, assisted, or participated inâ a Title VII proceeding.â Steele, 535 F.3d at 695 (quoting 42 U.S.C. § 2000e-3(a)). The Court assesses Title VII retaliation claims under the burden-shifting framework set out in McDonnell Douglas Corp. v. Green, 411 U.S. 792, 802â03 (1973). First, the plaintiff must prove a prima facie case of retaliation: â(1) he engaged in protected activity; (2) he was subjected to an adverse employment action; and (3) there was a causal link between the protected activity and the adverse action.â Hamilton v. Geithner, 666 F.3d 1344, 1357 (D.C. Cir. 2012) (internal quotation marks omitted). If the prima facie case is made, the âburden shifts to the defendant to prove that âthe adverse employment actions were taken for a legitimate, nondiscriminatory reason.ââ Youssef v. FBI, 687 F.3d 397, 402 (D.C. Cir. 2012) (quoting St. Maryâs Honor Ctr. v. Hicks, 509 U.S. 502, 507 (1993)). â[O]nce the employer asserts a legitimate, non-discriminatory reason,â however, âthe question whether the employee actually made out a prima facie case is âno longer relevantâ and thus âdisappear[s]â and âdrops out of the picture.ââ Brady v. Office of Sergeant at Arms, 520 F.3d 490, 493 (D.C. Cir. 2008) (quoting St. Maryâs Honor Ctr., 509 U.S. at 510); see also U.S Postal Serv. Bd. of Governors v. Aikens, 460 U.S. 711, 715 (1983) (âWhere the defendant has done everything that would be required of him if the plaintiff had properly made out a prima facie case, whether the plaintiff really did so is no longer relevant.â). Thus, where a defendant has asserted a legitimate, non-discriminatory reason for an adverse employment action, âthe district court need notâand should notâdecide whether the plaintiff actually made out a prima facie case.â Brady, 520 F.3d at 494. In that situation, the sole remaining question becomes 21 ââretaliation vel nonââwhether, based on all the evidence, a reasonable jury could conclude that [the defendantâs] proffered reason for the [adverse employment action] was pretext for retaliation.â Pardo-Kronemann v. Donovan, 601 F.3d 599, 604 (D.C. Cir. 2010). Nevertheless, even when a defendant has presented a legitimate, non-discriminatory reason for an employment action, the Court must still âanalyze first whether the [action taken] was a sufficiently adverse action to support a claim under Title VII.â Ginger v. District of Columbia, 527 F.3d 1340, 1343 (D.C. Cir. 2008). In this sense, âthe strength of plaintiffâs prima facie case remains a relevant consideration,â Kelly v. Mills, 677 F. Supp. 2d 206, 221 (D.D.C. 2010), and âthe Court still first must determine whether plaintiff has suffered an adverse employment action not because that question is part of the prima facie inquiry, but rather because Title VII does not proscribe behaviors that are not materially adverse employment actions,â Adewole v. PSI Servs., Inc., 798 F. Supp. 2d 57, 62 (D.D.C. 2011) (internal quotation marks omitted); see also McGrath v. Clinton, 666 F.3d 1377, 1380 n.3 (D.C. Cir. 2012) (âAlthough these [three elements of retaliation] are often described as the elements that a plaintiff must show to establish a âprima facieâ case of retaliation, they are also the elements that a plaintiff must ultimately prove in order to win his case.â (citation omitted)); Taylor v. Solis, 571 F.3d 1313, 1320 n.* (D.C. Cir. 2009) (âThe court can resolve [the question of retaliation vel non] in favor of the employer based either upon the employeeâs failure to rebut its explanation or upon the employeeâs failure to prove an element of her caseâhere that her employer took a materially adverse action against her.â). Therefore, the Court will first discuss whether the plaintiff has suffered an adverse employment action for purposes of his retaliation claim. Title VIIâs anti-retaliation provision âsweeps more broadlyâ than its substantive anti- discrimination provision. See Gaujacq v. EDF, Inc., 601 F.3d 565, 577 (D.C. Cir. 2010); see also Baird, 662 F.3d at 1250 (noting that âthe concept of adverse action is somewhat broaderâ in 22 retaliation claims); Baloch v. Kempthorne, 550 F.3d 1191, 1198 n.4 (D.C. Cir. 2008) (ââAdverse actionsâ in the retaliation context encompass a broader sweep of actions than those in a pure discrimination claim.â). â[T]he antiretaliation provision, unlike the substantive provision, is not limited to discriminatory actions that affect the terms and conditions of employment.â Burlington N. & Santa Fe Ry. Co. v. White, 548 U.S. 53, 64 (2006). This is because â[a]n employer can effectively retaliate against an employee by taking actions not directly related to his employment or by causing him harm outside the workplace.â Id. at 63. Instead, the anti- retaliation provision âprohibits any employer action that âwell might have dissuaded a reasonable worker from making or supporting a charge of discrimination.ââ Thompson v. N. Am. Stainless, LP, 131 S. Ct. 863, 868 (2011) (quoting Burlington Northern, 548 U.S. at 68). In determining what qualifies as an adverse employment action under Title VIIâs anti- retaliation provision, the Supreme Court has provided two important guiding principles that are at times in tension with one another. On the one hand, the Court has made clear that â[t]he antiretaliation provision protects an individual not from all retaliation, but from retaliation that produces an injury or harm.â Burlington Northern, 548 U.S at 67. In this vein, the Court has said that it âspeak[s] of material adversityâ because âit is important to separate significant from trivial harms.â Id. at 68. Thus, âpetty slights, minor annoyances, and simple lack of good mannersâ cannot qualify as materially adverse actions. Id. The Court also has similarly emphasized that the standard of material adversity refers to âreactions of a reasonable employeeâ because âthe provisionâs standard for judging harm must be objectiveâ in order to âavoid[] the uncertainties and unfair discrepancies that can plague a judicial effort to determine a plaintiffâs unusual subjective feelings.â Id. at 68â69. On the other hand, the Supreme Court has also said that â[g]iven the broad statutory text and the variety of workplace contexts in which retaliation may occur, Title VIIâs antiretaliation provision is simply not reducible to a 23 comprehensive set of clear rules.â Thompson, 131 S. Ct. at 868. Thus, the Court has âphrase[d] the standard in general terms because the significance of any given act of retaliation will often depend upon the particular circumstances. Context matters.â Burlington Northern, 548 U.S. at 69. In other words, âan act that would be immaterial in some situations is material in others.â Id. (internal quotation marks omitted). 1. Performance Rating Decrease The plaintiff first argues that Ms. Hontzâs lowering of his 2008 performance evaluation from an âExtraordinaryâ to an âExceeds Expectationsâ was an adverse employment action because it caused the plaintiff to lose the opportunity for a pay increase (i.e., a QSI). See Pl.âs Oppân at 12. âPerformance evaluations are likely to be interlocutory or mediate decisions having no immediate effect upon employmentâ and therefore â[t]he result of an evaluation is often speculative, making it difficult to remedy.â Russell v. Principi, 257 F.3d 815, 818 (D.C. Cir. 2001) (internal quotation marks omitted). To constitute a materially adverse action under the Burlington Northern standard, a performance evaluation must normally affect tangible job opportunities or benefits. See Taylor, 571 F.3d at 1321 (âIn order for a performance evaluation to be materially adverse, it must affect the employeeâs âposition, grade level, salary, or promotion opportunities.ââ (quoting Baloch, 550 F.3d at 1199)); Weber v. Battista, 494 F.3d 179, 185 (D.C. Cir. 2007) (lower performance evaluations âdo qualify as adverse actions insofar as they resulted in [the plaintiff] losing a financial award or an award of leaveâ). In particular, âperformance reviews typically constitute adverse actions only when attached to financial harms.â Baloch, 550 F.3d at 1199. The defendant contends that the plaintiffâs lowered rating in 2008 was not an adverse action because it was ânot tied to any tangible negative consequences.â Def.âs Mem. at 23 (internal quotation marks omitted). Thus, the relevant question becomes whether there was a 24 sufficient causal nexus between the 2008 lowered performance evaluation and a tangible financial harm (or a genuine issue of fact regarding such a nexus), such that the evaluation constituted an adverse action. See, e.g., Taylor, 571 F.3d at 1321 (plaintiff must âshow the evaluations were âattached to financial harmsââ (quoting Baloch, 550 F.3d at 1199)). The plaintiffâs only evidence to support his assertion that he âlost the opportunity for a [QSI] in 2008â is his own deposition testimony and his own interrogatory response. See Pl.âs SMF at 19. These sort of self-serving and otherwise unsupported assertions are typically not sufficient to create a genuine issue of material fact. See, e.g., Veitch, 471 F.3d at 134; Fields, 520 F. Supp. 2d at 105. The plaintiff also implicitly relies, however, upon the SBAâs policies, which illuminate the potential connection between performance evaluations and QSIs. According to those policies, as discussed above, an âOutstandingâ or âExcellentâ performance evaluation (the highest possible rating) is but one of four events or conditions that must occur before an SBA employee may receive a QSI. See discussion supra page 6. Yet, the plaintiff has presented no evidence regarding the other three requirements for a QSI: (1) being paid at less than the maximum step of his pay grade; (2) being recommended for a QSI by his rating official; and (3) being approved for a QSI by an approving official. See Small Bus. Admin. SOP 34 30 4, at 22â23. 20 The record also indicates that, although the plaintiff received âOutstandingâ ratings in four of the six years prior to bringing this action, the plaintiff has presented no evidence, beyond his own clouded recollection, that he ever actually received a QSI in any of those years. His only purported evidence to that effect is his own deposition testimony, in which he stated that he âthink[s]â he received a QSI âone year,â though he acknowledged, âI donât know which year.â 20 In fact, the only evidence on this point in the record suggests that these requirements were unlikely to be met. Most notably, Ms. Hontzâs decision to lower the plaintiffâs rating was affirmed not once but twice by more senior SBA authorities. 25 Taylor Dep. at 166:14â15. To find a causal relationship between lowered performance evaluations and the loss of a financial benefit (and thus to find that the lowered evaluation was an adverse action), a stronger and clearer connection between the two is typically required. See Weber, 494 F.3d at 185 (finding adverse action where employer gave employee financial award in each of the three years before complaining of discrimination, but not in the year after); Burke v. Gould, 286 F.3d 513, 522 (D.C. Cir. 2002) (finding adverse action where plaintiff received cash award ânearly every yearâ before negative performance evaluation). Furthermore, the 2008 performance evaluation itself indicates that the âRecommendation for Performance Awardâ was always listed as a âSustained Superior Performanceâ bonus, not a QSI, and it does not appear that Ms. Hontz ever revised that award in her capacity as the reviewing official. 21 See Def.âs Mot. Summ. J. Ex. FF at 1. Finally, the record demonstrates that the very next year after the lowered performance evaluation (2009), the plaintiff received an âOutstandingâ rating and did not receive a QSI; indeed, he received the exact same type of performance award that he received in 2008: a âSustained Superior Performanceâ bonus. See Def.âs Mot. Summ. J. Ex. EE at 11. In short, although the plaintiff says that he âexpectedâ a QSI in 2008, Pl.âs Oppân at 19, he has failed to put forth any evidence whatsoever that his subjective expectations were grounded in objective reality. It is certainly true that, without the âOutstandingâ rating, the plaintiff was not eligible for a QSI, but the record is also devoid of evidence to support the notion that, had the plaintiff kept his âOutstandingâ rating, he would have received a QSI. Weber, 494 F.3d at 185 (performance evaluations are adverse actions when they have a âcausal 21 The SBAâs relevant SOP indicates that it is the rating officialâs responsibility to â[r]ecommend appropriate recognition for his/her employees whose performance against standards warrants recognition,â SOP 34 30 3, at 7, and to initiate the procedure for recommending performance awards, id. at 22â23. These policies demonstrate that it was almost certainly the plaintiffâs rating official (Ms. Korbol), not his reviewing official (Ms. Hontz), who recommended an SSP bonus, rather than a QSI, on the plaintiffâs 2008 performance evaluation. The plaintiff has presented no evidence to contest that this was the case. 26 relationshipâ to tangible financial harm); see also Bridgeforth v. Salazar, 831 F. Supp. 2d 132, 143 (D.D.C. 2011) (holding that âfailure to award or commend plaintiff for his job performance to his own satisfactionâ was not materially adverse where â[m]ere eligibility to be nominated for discretionary time off and monetary awards did not entitle plaintiff to such benefits as a matter of courseâ), affâd, No. 12-5015, 2012 WL 2371601 (D.C. Cir. June 15, 2012). 22 Indeed, the uncontested fact that (1) the plaintiffâs performance award was consistently listed as an SSP bonus, not a QSI, even before his rating was lowered; and that (2) the plaintiff continued to receive an SSP bonus, not a QSI, when he received an âOutstandingâ rating the following year, demonstrate that the âOutstandingâ rating has no demonstrable nexus to the award of a QSI, other than merely to make an employee eligible for a QSI. As a result, the plaintiff has failed to create a genuine issue of material fact with regard to whether his 2008 performance evaluation constituted an adverse employment action, and he has therefore failed to âdischarge [his] burden to show the evaluations were âattached to financial harms.ââ Taylor, 571 F.3d at 1321. 2. Hiring and Travel Requests The plaintiff next contends that, as a result of the denials of his travel and hiring requests, he was âcrippled in his ability to obtain from SBA necessary resources and other requirements to perform his duties.â See Pl.âs Oppân at 12. In particular, the plaintiff argues that the following constituted materially adverse employment actions: (1) ârepeated denied requests to increase [the plaintiffâs] staff positions,â (2) âdenying Ms. Lewisâs desk audit,â (3) and âdenying [the plaintiff] the right [to] travel to his satellite offices.â Id. at 11. The defendant does not contest 22 One portion of the Weber opinion could be read to suggest that the only required nexus between performance evaluations and performance awards is that an employer âg[ives] performance awards upon the basis of each [of] the employeeâs rating of record in his or her annual performance evaluation.â Weber, 494 F.3d at 185 (emphasis added). The D.C. Circuit has clarified, however, that Weber stands for the proposition that, in order for a lowered performance evaluation to constitute an adverse action, it must âaffect [the employeeâs] position, grade level, salary, or promotion opportunities.â Baloch, 550 F.3d at 1199 (emphasis added); see also Douglas v. Donovan, 559 F.3d 549, 553 (D.C. Cir. 2009) (holding that âthe effect of a poor evaluation is ordinarily too speculative to be actionable,â unless âthat evaluation determines the bonusâ (emphasis added) (citing Weber, 494 F.3d at 184â85)). 27 that any of these events took place but rather argues that none of them amounts to a materially adverse action. See Def.âs Mem. at 21â22. Heeding the Supreme Courtâs instruction, the Court will consider the particular context of the plaintiffâs situation in order to determine whether any of these actions âmight have dissuaded a reasonable worker from making or supporting a charge of discrimination.â Burlington Northern, 548 U.S. at 68 (internal quotation marks omitted). The plaintiff is a manager in a division of the government that had been slowly but surely shrinking in size for several years prior to the plaintiff assuming his current position. The plaintiffâs predecessor, Noel Martin, testified that noticeable budget constraints began taking effect in Area 5 as early as 1998, and as a result his staff began to diminish in size, he was unable to hire an administrative assistant, and less money became available for things like travel. See Def.âs Mot. Summ. J. Ex. M. at 32:1â4, 36:14â38:12, 39:10â24. Interestingly, Mr. Martin testified that the plaintiff himself denied several requests by Mr. Martin to hire additional staff, for budgetary reasons, while he was Mr. Martinâs supervisor. See id. at 37:11â38:12. Other Area Directors also testified that their requests for hiring staff and travel were routinely, though not categorically, denied for budgetary reasons during the relevant time period. See Def.âs Mot. Summ. J. Ex. JJ at 58:1â59:14; id. Ex. Q at 87:6â17, 88:24â89:18, 90:23â91:09, 94:4â95:6. Finally, the plaintiff himself admitted that the reduction in staffing was due to budget constraints and that he was aware that budget constraints were always relevant with respect to travel requests. See Taylor Dep. at 55:23â56:8, 131:23â132:9, 133:4â21, 135:15â136:6. Thus, the undisputed evidence demonstrates that budget constraints commonly resulted in denials of requests for resources like staff and travel at the SBA. The plaintiff also argues that, as a result of being denied additional staff, he was âforced to work [1,496.25] hours in excess [of] normal hours required for other area directors for 28 Government Contracting field officesâ over the course of 32 months. Pl.âs Oppân at 12. The plaintiff, however, once again offers no evidence to support this argument other than the bare, conclusory allegations in his deposition and in his interrogatory responses. See id. For such a specific claim, there is a conspicuous absence of supporting documentation or corroborating testimony that would substantiate the plaintiffâs claim to being forced to work in âexcess [of] normal hours.â Rather, in his deposition, he states that he simply calculated this figure on his own, based on the fact that he typically âwork[s] an 11-hour day,â even though he says that Area Directors are only ârequired to work a nine-hour day.â See Taylor Dep. at 191:8â24. Another Area Director, James Gambardella, testified, however, that he generally works 13-hour days, from 5:30 AM to 6:30 PM, and that all Area Directors found that it âwas challenging and difficult to do the tasks that we were given to do with the limited resources that we had at our discretion.â Def.âs Mot. Summ J. Ex. Q at 94:6â95:6. Thus, because the plaintiffâs self-serving and unsupported assertions are insufficient to create a genuine issue of material fact, the plaintiff has therefore created no such genuine issue with respect to whether the plaintiff was forced to work beyond the hours generally imposed on all Area Directors, due to budget constraints. The D.C. Circuit has acknowledged that, in certain factual circumstances, â[a] reasonable employee might well be dissuaded from filing an EEO complaint if she thought her employer would retaliate by burying her in work.â Mogenhan v. Napolitano, 613 F.3d 1162, 1166 (D.C. Cir. 2010) (finding adverse employment action where supervisor âincreased [the plaintiffâs] workload to five to six times that of other employeesâ). Yet, whether an increased workload can qualify as an adverse employment action must always depend upon the particular factual circumstances of the workplace at issue. Indeed, âincreased workloads and scarce resources are to be expected in any workplace,â and therefore â[t]he denial of requests for additional support cannot be the basis for a retaliation claimâ where a workplace is generally strapped for resources. 29 Rattigan v. Gonzales, 503 F. Supp. 2d 56, 76â77 (D.D.C. 2007); see also Ndondji v. InterPark Inc., 768 F. Supp. 2d 263, 282 (D.D.C. 2011) (finding no adverse action where employee claimed âthat he was deprived of a reasonable number of [supporting staff] compared to other employees and that he was over-workedâ); Brodetski v. Duffey, 141 F. Supp. 2d 35, 45 (D.D.C 2001) (âIt is not out of the ordinary for employees to have been expected to shoulder an extra load on occasion over a two-year span, or to have been asked to step in if there were unexpected staff shortages.â). In the particular circumstances of this case, the Court finds that the undisputed evidence cannot establish an adverse employment action with respect to the denials of hiring and travel requests. The record demonstrates that, due to budget constraints, denials like the ones complained of by the plaintiff were commonplace at the SBA, and in fact the plaintiff himself denied many similar requests while serving as the Assistant Director for Contract Assistance. Holding that such denials âmight have dissuaded a reasonable [SBA] worker from making or supporting a charge of discriminationâ would âgive every overworked [SBA] employee in an understaffed office fodder for a Title VII claim.â Rattigan, 503 F. Supp. 2d at 76. Hence, in the context of the plaintiffâs employment, the cited denials of hiring and travel requests were âminor annoyances that often take place at work and that all [SBA] employees experience[d],â and therefore they cannot provide the basis for the plaintiffâs retaliation claim. See Burlington Northern, 548 U.S. at 68. Even if denying the plaintiffâs requests for staffing and travel could be considered adverse employment actions, those actions would still not constitute retaliation vel non under the circumstances presented here. The plaintiff has presented no evidence that would rebut the defendantâs legitimate, non-discriminatory reasons for denying these requests. The defendant has offered copious evidentiary support for its argument that the plaintiffâs requests for travel 30 and additional staffing were denied for budgetary reasons. See, e.g., Def.âs Mot. Summ. J. Ex. A at 110:13â22; id. Ex. Q at 87:6â17, 98:16â21; id. Ex. T; id. Ex. JJ at 55:8â59:14. In response, the plaintiff points to two pieces of evidence. First, he points to a single line in Ms. Hontzâs written comments accompanying the plaintiffâs 2008 performance evaluation that said, â[the plaintiffâs] actions with employees led to EEO complaints filed against upper management.â Id. Ex. FF at 2. Second, he points to the deposition testimony of Charles George, in which he stated that Ms. Hontz told him about the EEO complaints filed by Ms. McClam and Ms. Butler and that, ââThose two EEOs down there were caused by Mr. Taylor.ââ See George Dep. at 19:7â 20:5. This evidence, however, is insufficient to establish retaliation vel non for a number of reasons. First, these comments by Ms. Hontz do not criticize the plaintiff for supporting or participating in protected EEO activity, but rather they criticize him for causing the EEO complaints in the first place by âseek[ing] accretion-of-duties promotions for Ms. Butler and Ms. McClam which were not supported by the Office of Human Capital Management.â Def.âs Reply at 12. In other words, Ms. Hontzâs comments were critical of the plaintiffâs actions as a manager, not of his support for the EEO process. Second, this evidence fails to create a genuine issue of fact regarding whether Ms. Hontz had a retaliatory motive because Ms. Hontz was not implicated in either of the EEO complaints that the plaintiff supported, and thus she would have no apparent reason to retaliate against the plaintiff for supporting the EEO complaints. See, e.g., Vickers, 493 F.3d at 195â96 (no retaliation where supervisor who fired the plaintiff did not âparticipate in any of the alleged incidents that ma[d]e up [the plaintiffâs] hostile work environment claimâ); Short v. Chertoff, 555 F. Supp. 2d 166, 174 (D.D.C. 2008) (holding that plaintiff failed to rebut non-discriminatory reason where plaintiffâs evidence âshow[ed] awareness [of protected activity] but not involvement or motiveâ). The only retaliatory motive 31 proffered by the plaintiff is the uncorroborated assertion that Ms. Hontz and Ms. Ott (the manager implicated in the EEO complaints) were friends. See Taylor Dep. at 63:6â11. Finally, the plaintiffâs evidence does not create a genuine issue of fact about whether the defendantâs stated reasons for denying the plaintiffâs requests for staffing and travel (i.e., budget constraints) were false or whether other, similarly situated employees were treated more favorably than the plaintiff. See, e.g., Brady, 520 F.3d at 495. 3. Monitoring and Criticism of the Plaintiffâs Performance The plaintiff argues that Ms. Hontz requested information from him, although not from other Area Directors; criticized his performance; and caused âdamage to [the plaintiffâs] reputation, humiliation, and embarrassmentâ due to an incident that occurred at an SBA conference. See Pl.âs Oppân at 10â12. There are no genuine disputes of material fact regarding the nature of these actions, and none of them rises to the level of an adverse employment action that âmight have dissuaded a reasonable worker from making or supporting a charge of discrimination.â Burlington Northern, 548 U.S. at 68 (internal quotation marks omitted). First, the requests for information from the plaintiff are clearly not adverse employment actions. Even if Ms. Hontz did not request such information from other Area Directors, requests for business records that are reasonably related to evaluating and critiquing an employeeâs job performance, and which are not unduly burdensome or harassing, do not constitute adverse employment actions. See, e.g., Kline v. Springer, 602 F. Supp. 2d 234, 242 (D.D.C. 2009) (audit of plaintiffâs time records not adverse employment action); cf. Gard v. U.S. Depât of Educ., 752 F. Supp. 2d 30, 37 (D.D.C. 2010) (requests for current medical information are not adverse actions), affâd, No. 11-5020, 2011 WL 2148585 (D.C. Cir. May 25, 2011). The plaintiff has offered no evidence that would allow a reasonable factfinder to conclude that Ms. Hontzâs 32 requests for certain documents on a single occasion had any effect on the plaintiff that might dissuade a reasonable employee from making or supporting a charge of discrimination. The criticism of the plaintiffâs job performance itself, delivered by Mr. Loines and Mr. George in the February 4, 2009 conference call, also does not qualify as an adverse employment action. 23 Employers are generally able to provide constructive criticism of their employees without running afoul of Title VII. See Baloch, 550 F.3d at 1199 (letter of reprimand was not adverse employment action where it âcontained no abusive language, but rather job-related constructive criticism, which can prompt an employee to improve her performanceâ (internal quotation marks omitted)); Rattigan, 604 F. Supp. 2d at 49 (âAn employer should be entitled to discuss and even critique employees about legitimate job performance problems without being subjected to suit, because Title VIIâs anti-retaliation provision was not intended to immunize insubordinate, disruptive, or nonproductive behavior at work.â (citations and internal quotation marks omitted)). The D.C. Circuit has held that mere criticism of an employeeâs performance does not amount to an adverse employment action unless it is connected with a tangible harm. Compare Kline v. Berry, 404 F. Appâx 505, 506 (D.C. Cir. 2010) (holding that âan e-mail from [the plaintiffâs] boss criticizing her workâ is not adverse action), and Taylor, 571 F.3d at 1321 (holding that âcriticiz[ing] [the plaintiff] for exhibiting ânegative behaviorsââ was not adverse employment action (citing Burlington Northern, 548 U.S. at 68)), with Porter, 606 F.3d at 818 (finding adverse employment action where criticism was placed in plaintiffâs personnel file and âcould expose him to removal, reduction in grade, withholding of within grade increase or reassignmentâ). The plaintiff does not argue that the criticisms leveled by Ms. Hontz or other 23 To the extent that the e-mails between Ms. Hontz and Messrs. George and Loines could be considered criticism through âwritten memoranda,â the criticism was not an adverse employment action either because the e-mails were not placed in the plaintiffâs personnel file or otherwise retained in a way that could affect the plaintiffâs âposition, grade level, salary, or promotion opportunities.â See Porter v. Shah, 606 F.3d 809, 818 (D.C. Cir. 2010) (internal quotation marks omitted). 33 supervisors produced (or could have produced) any tangible injury or harm, and therefore they do not qualify as adverse employment actions for purposes of Title VII. Finally, the incident at the SBA conference also does not constitute an adverse employment action. Although the event described by the plaintiffâMs. Hontz standing up and âshout[ing] at [the plaintiff] to sit down before he had completed his presentation,â Pl.âs Oppân at 11â12âwas undoubtedly embarrassing for the plaintiff, a single embarrassing incident like this is not materially adverse. The Supreme Court made clear in Burlington Northern that âpetty slights, minor annoyances, and simple lack of good mannersâ will not deter reasonable employees from making or supporting claims of discrimination. Burlington Northern, 548 U.S. at 68. This is not to say that the plaintiff is wholly unwarranted in feeling slighted, embarrassed, or humiliated by Ms. Hontzâs public actions, nor is it to say that, had this behavior been more persistent, or even had it happened on multiple occasions, it could not qualify as an adverse employment action. Rather, the Court holds that this particular incident, within the context of this case, is not an adverse employment action because â[p]urely subjective perceptions of stigma or loss of reputationâ do not constitute adverse action under Title VII. Rattigan, 604 F. Supp. 2d at 51. One last argument made by the plaintiff also deserves a final point of discussion. The plaintiff argues that â[w]here, as here, there is a continuous pattern of retaliatory conduct, the conduct must be evaluated as a whole.â Pl.âs Oppân at 13. He goes on to argue that his retaliation claim is not necessarily premised upon any one discrete incident, but rather â[i]t is all the circumstances surrounding the interim assessment, the two day fishing expedition followed by the assertion of fabricated deficiencies which were objectively baseless, which meet the Burlington standard.â Id. at 14. 34 The plaintiff is correct that a handful of cases from within this Circuit have recognized that âa series of independent actions taken together, none of which would be considered an adverse employment action alone, can constitute an adverse employment actionâ in totality. Turner v. Shinseki, 824 F. Supp. 2d 99, 114â15 (D.D.C. 2011); see also Dorns v. Geithner, 692 F. Supp. 2d 119, 134 (D.D.C. 2010); Baloch v. Norton, 517 F. Supp. 2d 345, 362â63 (D.D.C. 2007). None of these cases, however, has actually recognized a situation where a series of non- adverse employment actions qualified as an adverse employment action when aggregated. In fact, the court in Norton recognized that there are âa number of difficultiesâ in proving what that court termed an âincidents-collectively-viewed retaliation claim.â Norton, 517 F. Supp. 2d at 362. First, it is often difficult to distinguish between such an âincidents-collectively-viewed retaliation claimâ and a hostile work environment claim. See discussion supra pages 17â19. The Norton court also held that the plaintiff had not explained âhow viewing the incident collectively establishes any element of retaliation to greater effect than viewing them separately.â Norton, 517 F. Supp. 2d at 362. In other words, the court was unable to âdiscern a collective retaliation claim greater than the sum of its parts,â id. at 363, and the Court is presented with the same shortcoming in the instant case. The plaintiff vaguely explains that the discrete employment actions discussed above collectively constitute an adverse employment action because they were âa full scale attack on [the plaintiff] personally and designed to destroy his SBA careerâ and that, as a result, âhe has had difficulty sleeping at night and worried constantly about his career and future with SBA.â Pl.âs Oppân at 10; Pl.âs SMF at 19â20. Notably, however, the plaintiff has presented no evidence that would raise an objective factual question about whether the defendantâs collective actions could have threatened or might continue to threaten his career. His arguments are confined to his own subjective fears and perceptions about his job security. Yet, courts have consistently 35 recognized that there is a difference between being âdissatisfied with [oneâs] work environmentâ or being subject to âbad management practice,â on the one hand, see Brodetski v. Duffey, 199 F.R.D. 14, 21 (D.D.C. 2001), and, on the other hand, âthe type of constant, pervasive oversight of any employeeâs performance identified by a proactive search for minor infractions as pretext for retaliatory harassment,â see Norton, 517 F. Supp. 2d at 363. It is also true that, although a plaintiff might âfear that his âcareer goalsâ may be in jeopardy,â that fear is insufficient to constitute an adverse employment action unless the plaintiff can âpoint[] to . . . objective evidence that such a fear had a basis in fact.â Rattigan, 604 F. Supp. 2d at 51. The plaintiff has failed to create a genuine issue of material fact regarding whether aggregating the alleged employment actions of the defendant add up to âa collective retaliation claim greater than the sum of its parts.â Norton, 517 F. Supp. 2d at 363. Thus, regardless of whether a plaintiff can claim an âincidents-collectively-viewed retaliation claimâ in this Circuit, the plaintiff has failed to do so in the instant case. IV. CONCLUSION For the reasons stated above, the plaintiffâs Request for Hearing, ECF No. 20, and Motion to Strike Defendantâs Reply Brief and Statement of Material Facts in Dispute, ECF No. 22, are DENIED, and the defendantâs Motion for Summary Judgment, ECF No. 14, is GRANTED. An appropriate Order shall accompany this Memorandum Opinion. DATE: September 24, 2012 /s/ Beryl A. Howell BERYL A. HOWELL United States District Judge 36
Case Information
- Court
- D.D.C.
- Decision Date
- September 24, 2012
- Status
- Precedential