Araujo v. New Jersey Transit Rail Operations, Inc. ( 2013 )


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  •                                     PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _______________
    No. 12-2148
    _______________
    ANTHONY ARAUJO,
    Appellant
    v.
    NEW JERSEY TRANSIT RAIL OPERATIONS, INC.
    ________________
    On Appeal from the United States District Court
    for the District of New Jersey
    (D.C. Civil No. 2-10-cv-03985)
    District Judge: Hon. Stanley R. Chesler
    _______________
    Argued December 14, 2012
    BEFORE: GREENAWAY, JR., GREENBERG and
    COWEN, Circuit Judges
    (Filed: February 19, 2013)
    Charles C. Goetsch, Esq. (Argued)
    Cahill, Goetsch & Perry
    43 Trumbull Street
    New Haven, CT 06510
    Counsel for Appellant
    Adam K. Phelps, Esq. (Argued)
    Office of Attorney General of New Jersey
    Department of Law & Public Safety
    One Penn Plaza East, 4th Floor
    Newark, NJ 07105
    Counsel for Appellee
    _______________
    OPINION
    _______________
    COWEN, Circuit Judge.
    Anthony Araujo filed a complaint in the United States
    District Court for the District of New Jersey alleging that he
    was disciplined by New Jersey Transit Rail Operations, Inc.
    (“NJT”) in retaliation for his participation in an activity
    protected by the Federal Rail Safety Act, 
    49 U.S.C. § 20109
    (“FRSA”). Specifically, Araujo reported an emotional injury
    after he witnessed a fatal accident on February 25, 2008. The
    District Court (Judge Stanley R. Chesler) found that the
    discipline was not retaliatory and granted NJT’s motion for
    2
    summary judgment. See Araujo v. New Jersey Transit Rail
    Operations, Inc., No. 10-CV-3985, 
    2012 WL 1044619
    (D.N.J. Mar. 28, 2012). We will reverse the order of the
    District Court and remand.
    I.
    As this appeal arises from the grant of NJT’s motion
    for summary judgment, we recount the facts contained in the
    record in the light most favorable to Araujo, the non-moving
    party. See Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 249
    (1986).
    NJT employs outside contractors to conduct repairs
    and maintenance work on bridges that pass over railroad
    tracks that are electrified by NJT. They are primarily
    protected from overhead high voltage catenary wires by two
    NJT linemen, and are protected from the movement of other
    trains on the tracks by a conductor-flagman. Prior to the
    February 25, 2008 accident, it was the practice of linemen not
    to talk to the NJT conductor-flagman about catenary outages.
    Rather, linemen would brief the supervisor of the contractor
    crew about the extent of the electrical catenary outages. The
    supervisor of the contractor crew would then inform the
    conductor-flagman that the catenary lines were de-energized.
    On the date of the accident, Beaver Construction Company
    (“Beaver Construction”), performed work rehabilitating
    bridges over an electrified NJT track. The specific area of
    work was on Track 2, in Newark, New Jersey. NJT
    employed two linemen—Christopher Picton and Jeff
    Meisner—to de-energize the catenary and provide primary
    3
    protection to the contractors. Araujo was the conductor-
    flagman.      His primary responsibility was to protect
    contractors from oncoming trains.
    The linemen told the Beaver Construction
    superintendent, Nicholas Gilman, that the Beaver
    Construction crew was supposed to work around Track 2,
    near Third Street. The linemen did not brief Araujo regarding
    the limits of the catenary outage, and Araujo concedes that he
    was not aware of the extent of the catenary outage. Rather,
    based on his experience as a conductor-flagman, Araujo
    assumed that the catenary was de-energized to the same
    extent as the track was put out of service for the repairs. He
    had received a Bulletin Order—a document used by NJT to
    describe track outage information—which stated that the
    track was out of service for electrical trains between Broad
    Street and Roseville Avenue, an area which included Seventh
    Street, where the accident occurred. Araujo, however, was
    mistaken in his assumption that the scope of the catenary de-
    energization was the same as the track outage. The catenary
    de-energization was not controlled by the Bulletin Order, but
    was controlled by another form—the E.T. 102 form—and did
    not extend that far.
    The Beaver Construction crew, accompanied by
    Araujo, commenced its work at the Third Street area of Track
    2. After the crew completed its work, Araujo believed that
    the construction crew was going to get off of the tracks at the
    Bathgate Avenue exit ramp, which is past Seventh Street.
    The two linemen, Picton and Meisner, did not remain with the
    construction crew, but rather moved to meet the Beaver
    4
    Construction crew at Bathgate Avenue. Rather than exiting,
    the Beaver Construction crew foreman, Francis McNeil,
    asked superintendent Gilman for permission for the crew to
    stop at Seventh Street to perform minor repairs.
    According to Araujo, who heard the conversation
    between McNeil and Gilman, Gilman told McNeil that he
    “had the catenary,” meaning that he had signed off on the
    catenary outage with the linemen. Araujo understood this to
    mean that the catenary was de-energized at Seventh Street.
    According to Araujo, linemen in practice communicated
    catenary outages to a conductor-flagman by relaying the
    information through a construction crew foreman. Thus, at
    this time, the construction crew, the foreman, and Araujo
    were not aware that the catenary outage did not extend to
    Seventh Street. Araujo was the only NJT employee that was
    with the construction crew. The construction crew proceeded
    with repairs, and a construction crew member came in contact
    with the catenary. He was electrocuted, dying from his
    injuries, which Araujo witnessed.
    Following the accident, NJT Superintendent Joseph
    Meade, who was Araujo’s manager, questioned Araujo at the
    site. He also interviewed others, who confirmed that Araujo
    had not been briefed about the catenary outage.
    The accident was a Federal Rail Administration
    (“FRA”) reportable incident, and both FRA and NJT rules
    and regulations required NJT to conduct drug tests on any
    employee that it had “reasonable cause” to believe had
    committed rule violations that contributed in any way to the
    5
    incident. On the evening of the incident, NJT administered
    drug tests to two lineman—Picton and Meisner—who were
    responsible for protecting the contractors from catenary
    wires, but did not order a drug test for Araujo.
    The following day, Araujo gave a taped statement
    about the incident to NJT. There was no significant new
    information in that statement. Araujo also went to NJT’s
    Employee Assistance Program (“EAP”) to report symptoms
    that he was experiencing as a result of witnessing the
    accident. A NJT counselor confirmed that he was medically
    unable to work due to a work-related injury, and informed
    Meade that Araujo could not work. A work-related medical
    condition that causes an employee to miss work had to be
    reported to the FRA.
    Under the applicable labor relations agreement, NJT
    had ten days from the date of the incident to give employees
    notice of a hearing and investigation (“H&I”) into rule
    violations arising out of the incident. On March 5, 2008,
    Meade drafted disciplinary charges against Araujo, asserting
    a violation of TRO-3 rules. The TRO-3 rules require
    conductors to prohibit people under their protection from
    going near the catenary unless the conductor knows for
    certain that the catenary is de-energized.    Meade admitted
    during his deposition that, as of the evening of February 25,
    2008, he was in possession of all of the information on which
    he based the TRO-3 rule violation charges against Araujo.
    He testified, in part:
    Q: So what was your basis for deciding to bring
    6
    the charges? What information, what facts did
    you rely on?
    A: The fact that the individual came in contact
    with the catenary wire showed that there was
    some question on whether [Araujo] followed
    the rules as outlined in TRO-3, 13, 14, 15 and
    101.
    Q: You certainly knew that fact as of the
    afternoon of February 25th, 2008, correct?
    A: We knew that the incident happened. We
    weren’t fully advised in-depth of it, which is
    why we set up a hearing and investigation to
    bring all the facts together.
    Q: Well, my question to you is—
    A: This is not a guilty—this is trying to get all
    the people involved together and ascertain the
    facts to see if indeed he did comply with those
    rules.
    Q: Well, why did you suspect or believe that he
    didn’t comply with the rules? What basis did
    you have to even believe that?
    A: Because an individual was injured under his
    protection by coming in contact with the
    catenary.
    7
    Q: A fact that you knew on February 25, 2008,
    correct?
    A: Yes, sir.
    (A-789.) However, Meade also testified that “the fact that we
    charged Mr. Araujo had nothing to do with the fact that we
    didn’t” drug test him, and stated that the decision to charge
    Araujo was made after the initial interview on February 25,
    2008, and required him to read the statements given by
    Picton, Meisner, and other witnesses. Additionally, the
    record reflects that Araujo was the only conductor-flagman
    that was ever charged with a violation of TRO-3 rules during
    the five years prior to February 25, 2008. (A-672.)
    On May 22, 2008, NJT ceased paying Araujo’s wages
    on the grounds that Araujo’s injury was a recoverable injury
    under the Federal Employers Liability Act (“FELA”). On
    October 2, 2008, Araujo was cleared to return to work from
    his injury, but he was suspended without pay while the
    charges were pending.      A hearing was held and the
    adjudicating officer found that Araujo violated the TRO-3
    rules. As a result, Araujo was assessed a time-served
    suspension without pay.
    Araujo thereafter filed a complaint with the
    Occupational Safety & Health Administration (“OSHA”)
    Office of Whistleblower Protection, as required by the FRSA.
    OSHA issued findings in favor of Araujo, and ordered NJT to
    8
    pay $569,587 in damages, to which NJT objected.1 Pursuant
    to the FRSA, Araujo filed this suit in the United States
    District Court for the District of New Jersey. 2 Following
    discovery, NJT filed a motion for summary judgment, which
    the District Court granted. This appeal followed.
    II.
    The District Court had jurisdiction pursuant to 
    49 U.S.C. § 20109
    (d)(3) and 
    28 U.S.C. § 1331
    . We have
    1
    The award included damages for lost EAP benefits
    ($23,350); lost wages ($40,271); pain and suffering ($5,000);
    damage to Araujo’s FICO credit score ($50,000); the loss of
    Araujo’s car, which was repossessed when he could no longer
    make payments ($12,297.08); the loss of Araujo’s home,
    which was foreclosed when he could no longer make
    payments ($345,754.37); punitive damages ($75,000); and
    attorneys’ fees ($17,915). (A-35.11.)
    2
    The FRSA gives authority to investigate and
    adjudicate whistleblower complaints to the Secretary of
    Labor. See 
    49 U.S.C. § 20109
    (d). The Secretary of Labor
    has delegated her authority under this provision to the
    Assistant Secretary for OSHA. See 
    29 C.F.R. § 1982.104
    .
    While plaintiffs are required to first lodge a complaint with
    OSHA, the FRSA permits a plaintiff to bring an action in
    federal district court “if the Secretary of Labor has not issued
    a final decision within 210 days after the filing of the
    complaint and if the delay is not due to the bad faith of the
    employee.” 
    49 U.S.C. § 20109
    (d)(3). Here, the parties agree
    that the statutory prerequisite was met for Araujo to file his
    complaint in District Court.
    9
    jurisdiction over this appeal pursuant to 
    28 U.S.C. § 1291
    .
    We exercise plenary review over a district court’s grant of
    summary judgment. See Mabey Bridge & Shore, Inc. v.
    Schoch, 
    666 F.3d 862
    , 867 (3d Cir. 2012). This court can
    affirm a grant of summary judgment only if “there is no
    genuine dispute as to any material fact and the movant is
    entitled to judgment as a matter of law.” Fed. R. Civ. P.
    56(a). In making its determination, “the court should view
    the facts in the light most favorable to the nonmoving party
    and draw all inferences in that party’s favor.” Marzano v.
    Computer Sci. Corp. Inc., 
    91 F.3d 497
    , 501 (3d Cir. 1996).
    III.
    A.
    The purpose of the Federal Rail Safety Act (“FRSA”)
    is “to promote safety in every area of railroad operations.” 
    49 U.S.C. § 20101
    . The FRSA was substantially amended in
    2007 to include anti-retaliation measures. Prior to the
    passage of the FRSA, whistleblower retaliation complaints by
    railroad carrier employees were subject to mandatory dispute
    resolution pursuant to the Railway Labor Act, 
    45 U.S.C. § 151
     et seq. See generally 
    75 Fed. Reg. 53,523
     (Aug. 31,
    2010). Congress passed the FRSA amendment in 2007,
    expanding the scope of the anti-retaliation protections and
    providing enforcement authority with the Department of
    10
    Labor.3 Under the newly amended FRSA, a railroad carrier
    “may not discharge, demote, suspend, reprimand, or in any
    other way discriminate against an employee if such
    discrimination is due, in whole or in part” to the employee’s
    engagement in one of numerous protected activities. 
    49 U.S.C. § 20109
    (a). The protected activities are enumerated in
    the statute, and include notifying the railroad carrier of a
    work-related personal injury or a work-related illness. 
    Id.
     §
    20109(a)(4).
    B.
    The FRSA incorporates by reference the rules and
    procedures applicable to Wendell H. Ford Aviation
    Investment and Reform Act for the 21st Century (“AIR-21”)
    whistleblower cases. Id. § 20109(d)(2)(A). AIR-21 sets forth
    a two-part burden-shifting test. See id. § 42121(b)(2)(B)(i)-
    (ii). Since the FRSA was amended to incorporate the AIR-21
    burden-shifting test in 2007, no federal court of appeals has
    3
    The legislative history of the bill reflects that the
    changes were intended to “enhance the oversight measures
    that improve transparency and accountability of the railroad
    carriers” and that “[t]he intent of this provision is to ensure
    that employees can report their concerns without the fear of
    possible retaliation or discrimination from employers.” H.R.
    Rep. No. 110-259 at 348 (2007) (Conf. Rep.). For discussion
    of the changes, see Santiago v. Metro-North Commuter R.R.
    Co., ARB No. 10-147, slip op. at 12-14; Norfolk S. Ry. Co. v.
    Solis, No. 12-0306, 
    2013 WL 39226
    , at *3-4 (D.D.C. Jan. 3,
    2013).
    11
    considered its application.
    Under AIR-21, an employee must show, by a
    preponderance of the evidence, that “(1) she engaged in
    protected activity; (2) the employer knew that she engaged in
    the protected activity; (3) she suffered an unfavorable
    personnel action; and (4) the protected activity was a
    contributing factor in the unfavorable action.”4 Allen v.
    Admin. Review Bd., 
    514 F.3d 468
    , 475-76 (5th Cir. 2008).
    Once the plaintiff makes a showing that the protected activity
    was a “contributing factor” to the adverse employment action,
    the burden shifts to the employer to demonstrate “by clear
    and convincing evidence, that the employer would have taken
    the same unfavorable personnel action in the absence of that
    behavior.” 
    Id.
     § 42121(b)(2)(B)(ii). The Department of
    Labor has promulgated regulations that adopt this burden-
    shifting standard to FRSA complaints filed with the
    Department of Labor. See 
    29 C.F.R. § 1982.104
    (e)(3)-(4).
    In the past, we have found that if a statute does not
    provide for a burden-shifting scheme, McDonnell Douglas
    applies as the default burden-shifting framework.5 See Doyle
    4
    This case is only concerned with the fourth AIR-21
    requirement—whether the protected activity was a
    contributing factor to the adverse employment action. Both
    parties concede that Araujo engaged in a protected activity;
    that NJT knew that Araujo engaged in a protected activity;
    and that Araujo suffered an adverse employment action.
    5
    The McDonnell Douglas framework is a three-step burden-
    shifting test that was laid out by the Supreme Court in
    12
    v. United States Sec’y of Labor, 
    285 F.3d 243
    , 250 (3d Cir.
    2002). This implies that when a burden-shifting framework
    other than McDonnell Douglas is present in a statute,
    Congress specifically intended to alter any presumption that
    McDonnell Douglas is applicable. The FRSA is clear that
    AIR-21 burden-shifting applies. However, in this case, the
    District Court noted that it was unable to locate any binding
    authority regarding burden-shifting, and discussed both
    McDonnell Douglas and the regulations promulgated by the
    Department of Labor, 
    29 C.F.R. § 1982.104
    (e)(4), which
    implement the AIR-21 framework. Araujo, 
    2012 WL 1044619
    , at *5.
    Ultimately, the District Court concluded that it did not
    need to determine whether McDonnell Douglas applied, or
    for that matter, whether the AIR-21 framework is distinct
    from the McDonnell Douglas framework, as according to the
    District Court, Araujo could not satisfy his burden under
    McDonnell Douglas Corp. v. Green, 
    411 U.S. 792
     (1973).
    The steps have been summarized as follows: “Under
    McDonnell Douglas, a plaintiff must first establish a prima
    facie case of discrimination. The burden then shifts to the
    employer to articulate a legitimate, nondiscriminatory reason
    for its employment action. If the employer meets this burden,
    the presumption of intentional discrimination disappears, but
    the plaintiff can still prove disparate treatment by, for
    instance, offering evidence demonstrating that the employer's
    explanation is pretextual.” Raytheon Co. v. Hernandez, 
    540 U.S. 44
    , 49 n.3 (2003) (citations omitted).
    13
    either standard. We disagree with this approach. The District
    Court apparently did not recognize that, in fact, the FRSA
    explicitly incorporates the AIR-21 burden-shifting by
    reference. See 
    id.
     (“The parties have not presented any
    binding authority to the Court concerning how to evaluate the
    viability of a FRSA whistleblower claim, nor has the Court’s
    own research uncovered any reported cases dealing with
    FRSA retaliation claims.”). Unquestionably, AIR-21 burden-
    shifting applies to cases brought under the FRSA.
    It is necessary for us to interpret the FRSA burden-
    shifting scheme. Statutory analysis begins with the plain
    language of the statute, “the language employed by
    Congress.” Am. Tobacco Co. v. Patterson, 
    456 U.S. 63
    , 68
    (1982) (quoting Reiter v. Sonotone Corp., 
    442 U.S. 330
    , 337
    (1979)) (internal quotations omitted). This Court must give
    effect to the intent of Congress by giving these words their
    “ordinary meaning.”        
    Id.
     (internal quotation omitted).
    Considering the plain meaning of the statute, FRSA burden-
    shifting is much more protective of plaintiff-employees than
    the McDonnell Douglas framework. The plaintiff-employee
    need only show that his protected activity was a “contributing
    factor” in the retaliatory discharge or discrimination, not the
    sole or even predominant cause.            See 
    49 U.S.C. § 42121
    (b)(2)(B)(ii). In other words, “a contributing factor is
    any factor, which alone or in combination with other factors,
    tends to affect in any way the outcome of the decision.”
    Ameristar Airways, Inc. v. Admin. Rev. Bd., 
    650 F.3d 563
    ,
    567 (5th Cir. 2011) (quoting Allen, 
    514 F.3d at
    476 n.3
    (internal quotation omitted).
    14
    The term “contributing factor” is a term of art that has
    been elaborated upon in the context of other whistleblower
    statutes. The Federal Circuit noted the following in a
    Whistleblower Protection Act case:
    The words “a contributing factor” . . . mean any
    factor which, alone or in connection with other
    factors, tends to affect in any way the outcome
    of the decision. This test is specifically intended
    to overrule existing case law, which requires a
    whistleblower to prove that his protected
    conduct was a “significant”, “motivating”,
    “substantial”, or “predominant” factor in a
    personnel action in order to overturn that action.
    Marano v. Dep't of Justice, 
    2 F.3d 1137
    , 1140 (Fed. Cir.
    1993) (quoting 135 Cong. Rec. 5033 (1989) (Explanatory
    Statement on S. 20)) (emphasis added by Federal Circuit).
    Furthermore, an employee “need not demonstrate the
    existence of a retaliatory motive on the part of the employee
    taking the alleged prohibited personnel action in order to
    establish that his disclosure was a contributing factor to the
    personnel action.” Marano, 
    2 F.3d at 1141
     (emphasis in
    original); see also Coppinger-Martin v. Solis, 
    627 F.3d 745
    ,
    750 (9th Cir. 2010) (“A prima facie case does not require that
    the employee conclusively demonstrate the employer’s
    retaliatory motive.”).
    Once the employee asserts a prima facie case, the
    burden shifts to the employer to demonstrate, “by clear and
    convincing evidence, that the employer would have taken the
    15
    same unfavorable personnel action in the absence of that
    behavior.” 
    49 U.S.C. § 42121
    (b)(2)(B)(ii). The “clear and
    convincing evidence” standard is the intermediate burden of
    proof, in between “a preponderance of the evidence” and
    “proof beyond a reasonable doubt.” See Addington v. Texas,
    
    441 U.S. 418
    , 425 (1979). To meet the burden, the employer
    must show that “the truth of its factual contentions are highly
    probable.” Colorado v. New Mexico, 
    467 U.S. 310
    , 316
    (1984) (internal quotation omitted).
    It is worth emphasizing that the AIR-21 burden-
    shifting framework that is applicable to FRSA cases is much
    easier for a plaintiff to satisfy than the McDonnell Douglas
    standard. As the Eleventh Circuit noted in a case under the
    Energy Reorganization Act, 
    42 U.S.C. § 5851
    , a statute that
    uses a similar burden-shifting framework, “[f]or employers,
    this is a tough standard, and not by accident.” Stone &
    Webster Eng’g Corp. v. Herman, 
    115 F.3d 1568
    , 1572 (11th
    Cir. 1997). The Eleventh Circuit stated that the standard is
    “tough” because Congress intended for companies in the
    nuclear industry to “face a difficult time defending
    themselves,” due to a history of whistleblower harassment
    and retaliation in the industry. 
    Id.
     The 2007 FRSA
    amendments must be similarly construed, due to the history
    surrounding their enactment. We note, for example, that the
    House Committee on Transportation and Infrastructure held a
    hearing to “examine allegations . . . suggesting that railroad
    safety management programs sometimes either subtly or
    overtly intimidate employees from reporting on-the-job-
    injuries.”   (Impact of Railroad Injury, Accident, and
    Discipline Policies on the Safety of America’s Railroads:
    16
    Hearings Before the H. Comm. on Transportation and
    Infrastructure, 110th Cong. (Oct. 22, 2007)). As the Majority
    Staff of the Committee on Transportation and Infrastructure
    noted to members of the Committee:
    The accuracy of rail safety databases has been
    heavily criticized in a number of government
    reports over the years. The primary issue
    identified in many previous government
    investigations is that the rail industry has a long
    history of underreporting incidents and
    accidents in compliance with Federal
    regulations. The underreporting of railroad
    employee injuries has long been a particular
    problem, and railroad labor organizations have
    frequently complained that harassment of
    employees who reported injuries is a common
    railroad management practice.
    Id.6 The report noted that one of the reasons that pressure is
    put on railroad employees not to report injuries is the
    compensation system; some railroads base supervisor
    6
    See also 
    id.
     (Introductory Remarks of Rep. Oberstar)
    (“Reports have documented a long history of under-reporting
    of accidents, under-reporting incidents, of noncompliance
    with Federal regulations; and under-reporting of rail injuries
    is significant because employees frequently report that
    harassment of those who do report incidents, being hurt on
    the job, is a common practice in the rail sector.”.)
    17
    compensation, in part, on the number of employees under
    their supervision that report injuries to the Federal Railroad
    Administration. 
    Id.
     We will leave our discussion of the
    legislative history here, as the AIR-21 burden-shifting
    language is clear, and “[w]here the statutory language is
    unambiguous, the court should not consider statutory purpose
    or legislative history.” See In re Phila. Newspapers, LLC,
    
    599 F.3d 298
    , 304 (3d Cir. 2010). We simply note this
    history to emphasize that, as it did with other statutes that
    utilize the “contributing factor” and “clear and convincing
    evidence” burden-shifting framework, Congress intended to
    be protective of plaintiff-employees.
    C.
    We must now apply AIR-21 burden-shifting. First,
    Araujo must show, by a preponderance of the evidence, that
    his reporting of his injury was a “contributing factor” to
    NJT’s decision to discipline him. If he can do so, NJT must
    show by “clear and convincing evidence” that it would still
    have disciplined him, absent the reported injury. The District
    Court held that Araujo “cannot establish a prima facie case of
    retaliation because the record lacks evidence from which a
    reasonable factfinder could infer that the protected activity—
    Araujo’s reports of employee injury—was a contributing
    factor in NJT’s decision to discipline Araujo for the Electrical
    Operating Rules he violated in the February 25, 2008
    incident.” Araujo, 
    2012 WL 1044619
    , at *6.
    But, Araujo identifies some evidence in the record that
    tends to show that his decision to report a workplace injury
    18
    was a contributing factor to NJT’s decision to initiate
    disciplinary proceedings against him.               His evidence
    principally falls into two categories: (a) temporal proximity
    and (b) adverse disparate treatment. While this Court notes
    that the evidence that Araujo proffers is certainly not
    overwhelming, we part ways with the District Court, and hold
    that it is sufficient to assert a prima facie case.
    Temporal proximity between the employee’s
    engagement in a protected activity and the unfavorable
    personnel action can be circumstantial evidence that the
    protected activity was a contributing factor to the adverse
    employment action. See Kewley v. Dep’t of Health and
    Human Servs., 
    153 F.3d 1357
    , 1362 (Fed. Cir. 1998) (noting
    that, under the Whistleblower Protection Act, “the
    circumstantial evidence of knowledge of the protected
    disclosure and a reasonable relationship between the time of
    the protected disclosure and the time of the personnel action
    will establish, prima facie, that the disclosure was a
    contributing factor to the personnel action”) (internal
    quotation omitted). Araujo is able to show evidence of
    temporal proximity by marshalling the following facts in the
    record. On February 25, 2008 (the night of the accident),
    Meade decided not to drug test Araujo, despite the fact that he
    was legally required to drug test Araujo if he suspected that
    he had violated a rule or contributed to the accident. On that
    night, Meade had drug tests administered to Picton and
    Meisner. On the next day, February 26, 2008, Araujo went to
    NJT’s EAP Counselor to report that he was experiencing
    symptoms related to the incident. Araujo was deemed unable
    to work due to the work-related injury. A few days after
    19
    Araujo reported the injury, Meade filed disciplinary charges
    against Araujo. Araujo contends—and the record provides
    support—that Meade had all of the information related to
    Araujo’s involvement on February 25, 2008, and duly, cause
    to drug test him if he had thought it necessary.
    NJT provides at least three reasons that this Court
    should disregard the temporal proximity. First, Meade
    testified that “the fact that we charged Mr. Araujo had
    nothing to do with the fact that we didn’t” drug test him, and
    stated that the decision to charge Araujo came later, after he
    had read the statements given by Picton, Meisner, and other
    witnesses. NJT also notes that Araujo was actually charged
    before Picton and Meisner. Additionally, NJT emphasizes
    that under the applicable collective bargaining agreement,
    NJT had only ten days from the incident to give Araujo notice
    of a hearing and investigation. Thus, according to NJT, the
    temporal proximity was present “by necessity,” due to the
    agreement. (Appellee’s Br. at 21.)
    Araujo also points to disparate treatment as
    circumstantial evidence that his protected activity was a
    contributing factor to his adverse employment action.
    Specifically, Araujo points to the fact that, in the five years
    preceding the February 25, 2008 incident, no other conductor-
    flagmen were disciplined for violating the TRO-3 rules.
    According to Araujo, prior to the accident, it was common
    practice for conductor-flagmen not to talk to the linemen, and
    thus be unaware of the extent of the catenary power outages.
    NJT responds, asserting that Araujo was not treated
    disparately as compared to Picton and Meisner, who were
    20
    disciplined for their conduct during the accident. NJT also
    asserts that Araujo should not be compared to other
    conductor-flagmen, because Araujo is the only conductor-
    flagman to ever allow a contractor to come into contact with a
    live catenary while under his protection.
    Considering all of the evidence in the light most
    favorable to Araujo, we conclude that Araujo has asserted a
    prima facie case.       With respect to Araujo’s temporal
    proximity argument, Araujo’s evidence is entirely
    circumstantial, and he does not provide any evidence about
    NJT’s motive. But direct evidence is not required. See
    Desert Palace, Inc. v. Costa, 
    539 U.S. 90
    , 100 (2003) (noting,
    in the context of Title VII employment discrimination cases,
    that “[c]ircumstantial evidence is not only sufficient, but may
    also be more certain, satisfying and persuasive than direct
    evidence”). Thus, Araujo is not required to provide evidence
    21
    of motive.7 See Marano, 
    2 F.3d at 1141
     (noting, in a case
    under the Whistleblower Protection Act, that an employee
    “need not demonstrate the existence of a retaliatory motive on
    the part of the employee taking the alleged prohibited
    personnel action in order to establish that his disclosure was a
    contributing factor to the personnel action” (emphasis in
    original)).
    Viewing the facts favorably to Araujo, a reasonable
    jury could find that Meade decided not to drug test Araujo on
    February 25, 2008 because he did not believe that he violated
    any rules or was responsible for the accident, and that NJT
    decided to file disciplinary charges only after Araujo reported
    his injury. Certainly, this evidence is not overwhelming. We
    note that the District Court found that this theory suffers from
    a “critical flaw” in that it conflates the protocol for drug
    testing with the internal process by which NJT investigates
    7
    We note that the fact that an employee need not
    ascribe a motive to the employer greatly reduces an
    employee’s burden in making a prima facie case. However,
    we believe that this reduced burden is appropriate in FRSA
    cases. We note, for example, that the legislative history
    shows that Congress was concerned that some railroad
    supervisors intimidated employees from reporting injuries to
    the FRA, in part, because their compensation depended on
    low numbers of FRA reportable injuries within their
    supervisory area. (Impact of Railroad Injury, Accident, and
    Discipline Policies on the Safety of America’s Railroads:
    Hearings Before the H. Comm. on Transportation and
    Infrastructure, 110th Cong. (Oct. 22, 2007)).
    22
    and enforces safety rule violations. Araujo, 
    2012 WL 1044619
    , at *7. Thus, the District Court found that, “[t]aken
    to its logical extreme, Araujo’s position would preclude NJT
    from disciplining any employee through its hearing and
    investigation procedure if it decided not to subject that
    employee to a drug and alcohol test in the immediate
    aftermath of an incident involving an employee injury.” 
    Id.
    While we agree that the District Court pointed out a potential
    flaw in Araujo’s theory, viewing the facts in a light favorable
    to Araujo, whether Araujo’s theory suffers from a “critical
    flaw,” or whether retaliation was a contributing factor to
    NJT’s disciplinary decision, is an issue of fact that should be
    properly considered by a jury, not by the District Court.
    We reach the same conclusion with regards to
    Araujo’s disparate treatment arguments, in which Araujo
    argues that (a) his conduct did not deviate from the general
    practice of conductor-flagmen at the time and (b) other
    conductor-flagmen were not disciplined for violating the
    TRO-3 rules. The District Court accepted NJT’s arguments
    that (a) Araujo should be compared to Picton and Meisner,
    both of whom were disciplined and (b) Araujo should not be
    compared to other conductor-flagmen since they were not
    involved in fatal accidents. Considering all of the evidence in
    the record, NJT’s arguments fail to refute Araujo’s assertion
    that his actions were in line with NJT practice at the time of
    the accident. If we view the facts in the light most favorable
    to Araujo, conductor-flagmen generally were not aware of the
    extent of catenary outages. Thus, Araujo is not comparable to
    Picton and Meisner, as both are linemen who were
    responsible for the catenary. Similarly, while Araujo may
    23
    have been the only conductor-flagman to have been on duty
    during a fatal accident, it is not appropriate to put him in a
    class by himself, and not compare him to other conductor-
    flagmen who did not know about catenary outages but were
    not on duty during fatal accidents. Applying the employee-
    friendly AIR-21 standard, Araujo has stated a prima facie
    case of retaliation.
    Having found that Araujo made a prima facie case, the
    burden shifts to NJT to show by “clear and convincing
    evidence” that it would have disciplined Araujo in the
    absence of his decision to report his injury. The District
    Court found that, assuming that Araujo could state a prima
    facie case, NJT was able to show by clear and convincing
    evidence that it would have disciplined him anyway. NJT
    appears to make two categories of arguments in an attempt to
    show clear and convincing evidence. First, as discussed in
    the preceding section, NJT attempts to rebut many of
    Araujo’s proffered arguments.       Second, NJT provides
    independent evidence that Araujo did in fact violate the TRO-
    3 rules. We conclude that NJT is unable to sustain its steep
    burden.
    NJT attempts to rebut Araujo’s proffered facts with
    respect to temporal proximity and disparate treatment. For
    the reasons discussed above, NJT’s rebuttals to Araujo’s
    arguments do not provide “clear and convincing evidence.”
    We note that the result may be different if the McDonnell
    Douglas burden-shifting framework was applicable to this
    claim. Under McDonnell Douglas, the employer need only
    articulate a legitimate, non-discriminatory reason for the
    24
    action. We need not decide whether NJT’s responses to
    Araujo’s arguments are legitimate, nondiscriminatory reasons
    for NJT’s decision to discipline Araujo. We note this solely
    to emphasize the steep burden that employers face under the
    AIR-21 burden-shifting framework.
    NJT also attempts to provide “clear and convincing
    evidence” by making a case that Araujo was actually in
    violation of the TRO-3 rules. NJT points to evidence in the
    record that Araujo was aware that the TRO-3 rules broadly do
    not permit NJT employees to allow people under their
    protection near the catenary unless the employee knows for
    certain that the catenary is de-energized. (Appellee’s Br. at
    8.) Further, Araujo admitted that he was not aware whether
    the catenary was energized before the accident. NJT points
    out that Araujo correctly answered a question on an exam in
    2006, showing that he knew that a conductor-flagman
    protecting contractors can allow the contractor to work on an
    overhead bridge in electrified territory only when the Class
    “A” employee reports to the conductor-flagman that the
    catenary is de-energized and partially grounded. (Appellee’s
    Br. at 10.)
    The District Court found that this evidence of Araujo’s
    actual violation of the TRO-3 rules presented “clear and
    convincing evidence” that NJT’s actions were not retaliatory.
    See Araujo, 
    2012 WL 1044619
    , at *9 (“[T]he evidence in the
    record demonstrates that discipline was legitimately imposed
    on Araujo as a result of his violation of several electrical
    safety rules with tragic consequences.”). We disagree. While
    the facts in the record may show that Araujo was technically
    25
    in violation of written rules, they do not shed any light on
    whether NJT’s decision to file disciplinary charges was
    retaliatory.    As discussed, Araujo argues that he was
    following the practice that all conductor-flagmen followed at
    the time, and that NJT had never previously disciplined any
    conductor-flagmen for TRO-3 rule violations. While Araujo
    does not concede that he violated the letter of the TRO-3
    rules, there is evidence in the record that Araujo did not know
    the extent of the catenary outage and was the only NJT
    employee directly supervising the contractors prior to the
    accident. Assuming for a moment that Araujo violated the
    letter of the TRO-3 rules, Araujo nevertheless argues that
    NJT’s actual on-the-ground practices differed from the
    written rules, and NJT acknowledged this by never enforcing
    the rules against conductor-flagmen. Viewing Araujo’s
    argument in this context, NJT’s arguments that Araujo
    committed an actual violation of the letter of the TRO-3 rules
    does not shed any light on whether NJT’s decision to enforce
    these rules against a conductor-flagman for the first time was
    retaliatory.
    We emphasize that Araujo has not articulated an
    overwhelming case of retaliation. He has not, for example,
    proffered any evidence that NJT dissuaded him from
    reporting his injury or expressed animus at him for doing so.
    Araujo’s evidence is entirely circumstantial, and we express
    no opinion as to the strength of his evidence. We only note
    that by amending the FRSA, Congress expressed an intent to
    be protective of plaintiff-employees. Applying the AIR-21
    burden-shifting framework, Araujo has shown enough to
    survive NJT’s motion for summary judgment.
    26
    V.
    For the foregoing reasons, we will reverse the March
    28, 2012 order of the District Court, and remand to the
    District Court for further proceedings.
    27