Michael Nall v. BNSF Railway Company , 917 F.3d 335 ( 2019 )


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  •      Case: 17-20113     Document: 00514836721     Page: 1   Date Filed: 02/15/2019
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT    United States Court of Appeals
    Fifth Circuit
    FILED
    No. 17-20113
    February 15, 2019
    Lyle W. Cayce
    Clerk
    FLORA NALL, as Personal Representative of the Estate of Michael Nall,
    substituted in place and stead of Michael Nall, deceased,
    Plaintiff – Appellant,
    v.
    BNSF RAILWAY COMPANY,
    Defendant – Appellee.
    Appeal from the United States District Court
    for the Southern District of Texas—Houston
    No. 4:14-CV-2819
    Before ELROD, COSTA, and HO, Circuit Judges.
    JENNIFER WALKER ELROD, Circuit Judge:
    The panel opinion, special concurrence, and dissent previously issued in
    this case are withdrawn, and the following opinions are substituted in their
    place.
    Michael Nall sued his employer, BNSF Railway Company, for disability
    discrimination and retaliation after he was diagnosed with Parkinson’s disease
    and later placed on medical leave by BNSF. Because there is a fact issue as to
    whether BNSF discriminated against Nall, we REVERSE the grant of
    summary judgment to BNSF on Nall’s disability discrimination claim and
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    REMAND for further proceedings. Because Nall fails to identify a material
    fact issue regarding his retaliation claim, we AFFIRM the district court’s
    judgment on this claim.
    I.
    Nall started working as a trainman with BNSF in 1973. In 2010, he was
    diagnosed with Parkinson’s disease. At this time, BNSF provided Nall and his
    doctor with a medical status form listing the job duties of a trainman, including
    items such as operating track switches, applying and releasing hand brakes,
    monitoring track conditions, inspecting train cars and equipment, relaying
    various types of signals, and controlling train speed. After Nall’s neurologist
    cleared him to continue working, BNSF’s doctor revised the form to instead
    contain a list of switchman duties different from the trainman duties on the
    previous form. The new list added items such as “mak[ing] quick hand and leg
    movements,” “rid[ing] on moving cars while holding onto a ladder,” and
    “maintaining good balance and steadiness of stance/gait.”
    Nall continued to work with BNSF for the next year and a half without
    incident. Then, in 2012, BNSF gave Nall a letter stating that a co-worker had
    voiced concern about Nall’s ability to safely perform his job duties. Nall was
    placed on medical leave and required to obtain a release from the BNSF
    medical department to return to work.
    To begin the evaluation process, BNSF requested a copy of the results of
    a physical examination from Nall’s neurologist that would show the doctor’s
    awareness of BNSF’s concerns and the results of any diagnostic tests
    performed.    Nall complied.     He submitted to BNSF a report from his
    neurologist recommending further evaluations by a neuropsychologist and a
    physical therapist. BNSF requested that Nall complete these evaluations.
    Nall again complied. The neuropsychologist reported that he did not see any
    evidence of brain damage after evaluating Nall and placed Nall’s skill level at
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    the low end of the average range. The occupational therapist concluded that
    Nall was able to meet the demands of his position at BNSF; suggested that
    Nall be cautious with balance situations; and added that Nall was able to
    perform balance tasks safely.
    BNSF found some of the statements in these reports “concerning” and
    kept Nall on leave. BNSF emphasized that its rail yard employees “need[ ] to
    be able to make quick decisions and take quick actions in order to work safely”
    and     that    “[b]alance   is   essential    to   working     safely    as    a
    brakeman/switchman/conductor.” In addition, BNSF provided Nall with five
    pages of photographs depicting some of his job duties and asked for his
    neurologist to review them and return a statement to BNSF regarding Nall’s
    ability to complete the depicted tasks.
    Dr. Joseph Jankovic, a neurologist and the director of the Parkinson’s
    Disease Center and Movement Disorders Clinic at the Baylor College of
    Medicine, reviewed the photographs. He concluded that Nall was able to
    perform the job duties shown in the photographs safely and was “in very good
    condition with balance and concentration in order.” BNSF next requested that
    Nall perform a field test. During the test, Nall successfully completed all of
    the requested tasks, including taking instructions via radio, climbing on and
    off equipment, and walking on uneven surfaces. The physical therapist who
    conducted the test wrote a report in which he noted that Nall had decreased
    balance when reaching, a resting tremor, and slow and jerky movement
    patterns. Although not mentioned in the report, two BNSF employees later
    testified in depositions that, during the test, Nall engaged in conduct that
    violated two of BNSF’s “eight deadly decisions”—BNSF’s most serious safety
    rules. BNSF informed Nall that, based on the results of the field test, he could
    not return to work.
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    A few months later, Nall filed a discrimination charge with the Equal
    Employment Opportunity Commission (EEOC). He also sent a new medical
    status form to BNSF showing that he could safely return to work. BNSF
    responded that Nall was unable to return to work because of his field test
    results. Nall sent another medical status form to BNSF, from another doctor,
    clearing him to return to work, and a new BNSF doctor, Dr. Laura Gillis,
    responded by classifying him as “permanently medically disqualified.” The
    EEOC concluded its investigation and sent a letter to BNSF stating that it did
    not agree with BNSF that Nall was a potential harm to himself or others or
    that he was incapable of doing his job.             Indeed, the EEOC investigator
    concluded that there was a violation of the Americans with Disabilities Act
    (ADA).
    Nall and his wife filed the instant lawsuit. During the litigation process,
    Nall kept trying to return to work. BNSF conducted a second field test and
    found that Nall was still unable to perform his job duties safely. Several
    months     later,   Nall    submitted     records    to   BNSF     showing     that    his
    neuropsychological testing results were “essentially the same as they were in
    2012.” BNSF’s decision remained the same.
    Against BNSF, Nall alleged disability discrimination and retaliation
    under the ADA and Texas Commission on Human Rights Act (TCHRA). 1
    BNSF maintains that it did not discriminate against Nall because Nall was
    unsafe to return to work throughout the relevant time period. The district
    court held that Nall presented no direct evidence of discrimination, was not
    1 Nall also alleged age discrimination and brought a retaliation claim under the Age
    Discrimination in Employment Act (ADEA). However, on appeal, Nall states that he “no
    longer wishes to pursue his age discrimination claims.” Thus, he has waived any arguments
    under the ADEA. See United States v. Conn, 
    657 F.3d 280
    , 286 (5th Cir. 2011) (“‘[W]aiver is
    the intentional relinquishment of a known right,’ and ‘waived errors are entirely
    unreviewable.’” (quoting United States v. Arviso-Mata, 
    442 F.3d 382
    , 384 (5th Cir. 2006))).
    4
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    qualified for his position as a trainman, failed to present evidence of pretext,
    and was precluded from succeeding on his claims because BNSF is entitled to
    a “direct threat” defense. Nall timely appealed.
    II.
    We review de novo a district court’s grant of summary judgment, viewing
    all facts and evidence in the light most favorable to the nonmoving party.
    Cannon v. Jacobs Field Servs. N. Am., Inc., 
    813 F.3d 586
    , 590 (5th Cir. 2016).
    “Summary judgment is only appropriate if the movant has shown that there is
    no genuine issue as to any material fact such that the movant is entitled to
    judgment as a matter of law.” 
    Id.
    “An issue of material fact is genuine if a reasonable jury could return a
    verdict for the nonmovant.          In reviewing the evidence, we must draw all
    reasonable inferences in favor of the nonmoving party, and avoid credibility
    determinations and weighing of the evidence. In so doing, we must disregard
    all evidence favorable to the moving party that the jury is not required to
    believe.” Sandstad v. CB Ricard Ellis, Inc., 
    309 F.3d 893
    , 896 (5th Cir. 2002)
    (citations omitted).
    III.
    “In employment discrimination cases, a plaintiff may present his case by
    direct or circumstantial evidence, or both.” 2 
    Id.
     If the plaintiff produces direct
    evidence that discriminatory animus played a role in the employer’s adverse
    employment decision, the burden of persuasion shifts to the defendant who
    must prove that it would have taken the same action despite any
    discriminatory animus.        
    Id.
        If the plaintiff only produces circumstantial
    2 “Because TCHRA ‘parallels the language of the ADA,’ Texas courts follow ADA law
    in evaluating TCHRA discrimination claims.” Williams v. Tarrant Cty. Coll. Dist., 717 F.
    App’x 440, 444–45 (5th Cir. 2018) (quoting Pegram v. Honeywell, Inc., 
    361 F.3d 272
    , 285–87
    (5th Cir. 2004)). Except where we have noted otherwise, the following ADA analysis therefore
    applies equally to Nall’s claims under the TCHRA. See 
    id.
    5
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    evidence of discrimination, the well-known burden-shifting analysis set forth
    in McDonnell Douglas Corp. v. Green, 
    411 U.S. 792
    , 802 (1973), guides our
    inquiry. 
    Id.
     The district court held that Nall neither presented direct evidence
    of discrimination nor satisfied the circumstantial-evidence requirements of
    McDonnell Douglas. We address both determinations.
    A.
    On appeal, Nall presents several comments by BNSF employees as direct
    evidence of discrimination. First, right after the initial field test, Dana Dickey,
    the BNSF field medical manager, allegedly told Nall that Nall was “never
    coming back to work” and that “they were just sending [him] paper
    work . . . to—you know, be nice.” Second, Dr. Gillis and BNSF’s manager of
    clinical services, Carol Wilks, allegedly told Nall’s wife that “people with
    Parkinson’s don’t get better.” Third, Dickey e-mailed Dr. Gillis regarding
    Nall’s condition and whether BNSF should offer him a second field test and
    said that they “have to have it all documented.” In response, Dr. Gillis noted
    that there was a low likelihood that Nall’s situation would improve but that
    they have to ask the questions. Fourth, despite Nall’s submission of several
    medical status forms indicating his ability to work safely, Dr. Gillis and Dickey
    repeatedly referenced only the first field test.
    The first two statements above—that BNSF was just sending Nall
    paperwork to “be nice” and that “people with Parkinson’s don’t get better”—
    were the only comments presented as direct evidence of discrimination to the
    district court. As a result, these are the only statements we consider. See
    United States v. Mix, 
    791 F.3d 603
    , 611–12 (5th Cir. 2015) (holding that
    arguments not raised below are forfeited). We agree with the district court
    that these two statements are insufficient to constitute direct evidence.
    If an inference is required for evidence to be probative as to an employer’s
    discriminatory animus, the evidence is circumstantial, not direct. Sandstad,
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    309 F.3d at
    897–98.         Here, the evidence that Nall provides requires an
    inference to be probative as to any discriminatory animus. First, to find that
    Dickey’s comments, said after the field test, are evidence of animus requires
    the inference that Nall was “never coming back to work” because of Nall’s
    disorder rather than his performance on the field test. Second, Dr. Gillis’s and
    Wilks’s statements about people with Parkinson’s disease could simply be an
    observation about the disorder.           To be evidence of animus, the comment
    requires an inference that the irreversible nature of Parkinson’s disease was
    the reason why Nall would not be returning to work. These comments do not
    constitute direct evidence; they are circumstantial evidence which we may
    consider only under McDonnell Douglas. Having so concluded, we move on to
    the McDonnell Douglas framework. 3
    B.
    Under the McDonnell Douglas framework, Nall must first make out a
    prima facie case of discrimination by showing that: (1) he has a disability or
    was regarded as disabled; (2) he was qualified for the job; and (3) he was subject
    to an adverse employment decision because of his disability. Williams v. J.B.
    Hunt Transp., Inc., 
    826 F.3d 806
    , 811 (5th Cir. 2016). If he does, the burden
    shifts to BNSF to articulate a legitimate, non-discriminatory reason for the
    adverse employment action. 
    Id.
     If BNSF satisfies its burden, the burden shifts
    back to Nall “to produce evidence from which a jury could conclude that
    [BNSF’s] articulated reason is pretextual.” Cannon, 813 F.3d at 590.
    3 Judge Costa’s observation in his concurrence that the McDonnell Douglas framework
    can be inefficient and cumbersome is astute. However, as Judge Costa notes, Nall’s attempt
    to prove his case by direct evidence relied only on comments by his supervisors. Beyond these
    comments, which we have concluded are not direct evidence, Nall attempted to prove his case
    using circumstantial evidence. Thus, because Nall presented only circumstantial evidence
    on summary judgment, it does not appear that we have the liberty to analyze this case in the
    streamlined manner that Judge Costa describes.
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    1. Prima facie case
    Here, the district court concluded that Nall satisfied the first and third
    elements of a prima facie case of discrimination but failed to show the second
    element—that Nall was qualified for the job of a trainman. That element is
    the focus of this appeal.
    “To be a qualified employee, [Nall] must be able to show that he could
    either (1) ‘perform the essential functions of the job in spite of his disability,’
    or (2) that ‘a reasonable accommodation of his disability would have enabled
    him to perform the essential functions of his job.’” Id. at 592 (quoting EEOC
    v. LHC Grp., Inc., 
    773 F.3d 688
    , 697 (5th Cir. 2014)); see 
    42 U.S.C. § 12111
    (8).
    Nall argues that he could perform the essential functions of his job. “A function
    is ‘essential’ if it bears ‘more than a marginal relationship’ to the employee’s
    job.” Cannon, 813 F.3d at 592 (quoting Chandler v. City of Dall., 
    2 F.3d 1385
    ,
    1393 (5th Cir. 1993), holding modified on other grounds as discussed in Kapche
    v. City of San Antonio, 
    304 F.3d 493
     (5th Cir. 2002)). “[C]onsideration shall be
    given to the employer’s judgment as to what functions of a job are essential,
    and if an employer has prepared a written description before advertising or
    interviewing applicants for the job, this description shall be considered
    evidence of the essential functions of the job.” 
    42 U.S.C. § 12111
    (8).
    In this case, the parties agree that the question of whether Nall was a
    qualified employee is directly related to the question of whether BNSF is
    entitled to a “direct threat” defense. 4 An employer is entitled to a direct threat
    defense if an employee poses a “significant risk to the health or safety of others
    that cannot be eliminated by reasonable accommodation.” EEOC v. E.I. Du
    4 While the “direct threat” defense controls our analysis of Nall’s ADA claims, the
    TCHRA does not contain analogous statutory language, we have not found any Texas case
    law discussing the issue, and the parties did not brief it. Accordingly, the district court will
    need to address this issue on remand.
    8
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    Pont de Nemours & Co., 
    480 F.3d 724
    , 731 (5th Cir. 2007) (quoting 
    42 U.S.C. § 12111
    (3)); see also 
    42 U.S.C. § 12113
    (b). Whether an employer has properly
    determined that a person poses a direct threat depends on “the objective
    reasonableness of [the employer’s] actions.” Bragdon v. Abbott, 
    524 U.S. 624
    ,
    650 (1998) (“[C]ourts should assess the objective reasonableness of the views
    of   health    care    professionals     without     deferring     to   their   individual
    judgments[.]”). “The direct threat defense must be ‘based on a reasonable
    medical judgment that relies on the most current medical knowledge and/or
    the best available objective evidence,’ and upon an expressly ‘individualized
    assessment of the individual’s present ability to safely perform the essential
    functions of the job[.]’” Chevron USA, Inc. v. Echazabal, 
    536 U.S. 73
    , 86 (2002)
    (quoting 
    29 C.F.R. § 1630.2
    (r)); see also E.I. Du Pont, 
    480 F.3d at 731
     (“The
    employer must make an ‘individualized assessment of the individual’s present
    ability to safely perform the essential function of the job.’” (citations omitted)).
    Nall’s arguments focus on the standard articulated in Echazabal: he
    contends that BNSF did not consider the best available objective evidence or
    conduct a meaningful individualized assessment because it, inter alia,
    disqualified him “with no medical basis/analysis,” “kept making him jump
    through hoops,” and “search[ed] for reasons to prevent [him] from returning to
    work.” Thus, the question here is whether a genuine issue of material fact
    exists as to whether BNSF’s direct threat determination was properly made
    under that standard. 5
    5 We do not reach the question of which party bears the burden of proof regarding the
    direct threat defense. BNSF argues that because the direct threat defense is related to the
    second element of Nall’s prima facie case, Nall should have the burden to prove that he could
    safely do his job. In Rizzo v. Children’s World Learning Ctrs., Inc., 
    213 F.3d 209
     (5th Cir.
    2000) (en banc), we declined to reach the question of which party bears the burden of
    establishing that an individual’s disability poses a direct health or safety threat to the
    disabled employee or others. 
    Id.
     at 213 & n.4. We do so again here. Even assuming arguendo
    that the burden is Nall’s, at this stage, he has satisfied it.
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    Nall states in his complaint that he worked as a trainman, performing
    the duties of a conductor, switchman, and brakeman. According to BNSF, the
    duties of a conductor include maneuvering on, off, and around railcars, riding
    on railcars with four points of contact, hand signaling, connecting and
    disconnecting hoses and railcars, and “throwing” switches.        Moreover, the
    duties of a switchman include substantially similar tasks, along with the
    ability “to make quick hand and leg movements” and “maintain[ ] good balance
    and steadiness of stance/gait.”
    In support of his argument that BNSF did not engage in a proper direct
    threat analysis, Nall points to a BNSF medical status form provided to Nall
    and his doctor before the list of switchman duties that includes a more limited
    set of trainman duties and does not mention quick movements or balance. The
    medical status form lists the following: operating track switches and derails,
    using hand brakes, monitoring track conditions and traffic, inspecting railcars
    and equipment, communicating signals affecting the movement of trains, and
    controlling the speed and clearance distance of railcars.           After Nall’s
    neurologist recommended a release to full duty for Nall based on this medical
    status form back in 2010, shortly after Nall had been diagnosed, a BNSF doctor
    provided Nall’s doctor with a new list that she said “addresses the duties for
    which Parkinson’s symptoms may be of issue.” In addition, Nall cites to the
    testimony of BNSF’s terminal manager for the yard where Nall worked. The
    manager testified that it is not essential to work quickly as a conductor,
    switchman, or brakeman.
    A reasonable jury could conclude that BNSF did not consider the “best
    available objective evidence” or meaningfully engage in an “individualized
    assessment” of whether Nall could perform the essential duties of a trainman
    safely—and that, as a result, BNSF’s direct threat determination was not
    objectively reasonable. First is the issue of identifying those essential duties.
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    The district court acknowledged that the job descriptions provided to the court,
    specifically the original medical status form and the more specific list of
    switchman duties, contain differences. But the court concluded that these
    differences do not affect the question of whether Nall was qualified because
    “the record demonstrated that BNSF repeatedly stated that it deemed
    performing job tasks safely as essential to Nall’s position” and this was also
    reflected in the original medical status form job description. The question
    remains, however, what the job tasks were that Nall could allegedly not
    perform safely.
    For our analysis, we take guidance from the ADA’s definition of a
    “qualified individual” and consider the list of trainman duties BNSF originally
    provided to Nall on the medical status form that they gave to his doctor. See
    
    42 U.S.C. § 12111
    (8) (stating that a written job description shall be considered
    if it was prepared “before advertising or interviewing applicants for the job”).
    This list did not include any reference to quick movements, balance, or
    steadiness. Moreover, BNSF’s terminal manager testified that it was not
    essential to work quickly as a conductor, switchman, or brakeman. Cf. Holly
    v. Clairson Indus., L.L.C., 
    492 F.3d 1247
    , 1257 (11th Cir. 2007) (“[W]hen
    considering the employer’s judgment regarding what is an essential function,
    we have previously considered not only the company’s ‘official position,’ but
    also testimony from the plaintiff’s supervisor.”). Taking the evidence in the
    light most favorable to Nall, the trainman duties listed on the medical status
    form are the ones we consider. Next, we address the question of whether
    BNSF’s determination that Nall could not safely perform these tasks was
    objectively reasonable.
    As the Supreme Court and this court have made clear, an employer’s
    direct threat determination must result from an “individualized assessment”
    of the particular employee based on the “best available objective evidence,” not
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    a categorical conclusion that an employee with a particular disability cannot
    safely perform a job. See Echazabal, 
    536 U.S. at 86
    ; Kapche, 
    304 F.3d at 499
    (“[T]he City’s failure to assess [the employee’s] abilities on an individual
    basis . . . stat[ed] a claim of a present and continuing violation of the ADA.”).
    Thus, the question on appeal is not whether it was reasonable for BNSF to
    conclude that an employee with Parkinson’s could pose a direct threat; the
    question is whether BNSF reasonably concluded that Nall posed a direct
    threat via an individualized assessment that relied on the best available
    objective evidence and was not, as Nall alleges, manipulated midstream to
    achieve BNSF’s desired result of disqualifying him.                 More precisely, the
    question is whether there is any evidence in the record that creates a genuine
    issue of material fact as to whether BNSF meaningfully assessed Nall’s ability
    to perform his job safely and reasonably concluded that he posed a direct
    threat. 6
    On this question, taking into consideration the reports by Nall’s
    doctors—all of whom concluded that Nall could safely perform the tasks of a
    trainman listed on the medical status form that BNSF originally provided to
    Nall—the fact that Nall successfully completed each of the tasks presented to
    him during his first field test, and the comments made by BNSF employees
    that Nall was “never coming back to work” and that “people with Parkinson’s
    don’t get better,” there is a genuine dispute. See E.I. Du Pont, 
    480 F.3d at 728
    ,
    6 The dissent from our original opinion, as well as the petition for rehearing en banc
    and two amicus curiae submissions in support of it, expressed concern that the panel majority
    had imposed a new requirement for assertion of the direct-threat defense, to-wit: that in
    addition to showing that the employment decision was objectively reasonable, the employer
    must also establish that the process itself that was utilized in reaching that decision,
    considered separately, was objectively reasonable. Without commenting further on the
    efficacy of such an approach or on whether the panel majority actually adopted it, we
    emphasize that nothing in this substitute opinion should be understood as employing that
    reasoning.
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    731 (holding that judgment as a matter of law on direct threat defense was
    inappropriate where employee presented evidence she could safely perform
    essential job function but employer relied on disputed field test); Riel v. Elec.
    Data Sys. Corp., 
    99 F.3d 678
    , 680–81, 683 (5th Cir. 1996) (reversing summary
    judgment where employer terminated employee for inability to perform
    essential function not included on lists of essential functions provided to
    employee and his doctor, and employee introduced evidence that the function
    was not essential).
    The district court held that BNSF was entitled to disregard Dr.
    Jankovic’s medical releases because they “were based on a limited set of
    observations and ‘incomplete set of facts.’” Hickman v. Exxon Mobile, 
    2012 WL 9100358
    , at *9 (S.D. Tex. Sept. 27, 2012). Even if it is true that BNSF could
    choose to credit the opinions of its own doctors over Nall’s, the evidence
    identified by Nall puts into question the objective reasonableness of those
    opinions.
    The district court supported its decision with citations to our
    unpublished opinion in Hickman v. Exxon Mobil, 540 F. App’x 277 (5th Cir.
    2013). In that case, the plaintiff, Hickman, argued that her employer, Exxon,
    failed to conduct an adequate individualized assessment of her abilities to
    perform her job in support of a direct threat defense because it discounted the
    opinion of her doctor. See Hickman, 
    2012 WL 9100358
    , at *9. The district
    court disagreed. 
    Id.
     It characterized that doctor’s decision as a “last-minute
    work release” and noted that two of Hickman’s previous neurologists had
    placed work restrictions on her; that she had worked with two neurologists
    before she found one who would release her to return to work with only a
    driving restriction; and that the doctor who released her orally agreed with
    Exxon’s doctor that his concerns regarding Hickman returning to work were
    legitimate.   
    Id.
       In a short, unpublished opinion that did not discuss the
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    differing views of these doctors, we affirmed. See Hickman, 540 F. App’x at
    277. This is a completely different case. And, in any event, we are not bound
    by Hickman.
    Here, Nall provided medical reports from numerous doctors concluding
    that he could perform his job duties safely. This includes a report from a
    neurologist who said that Nall’s “station and gait were not too abnormal”; a
    report from an occupational therapist who found that Nall “appeared to be able
    to meet the demands for various positions working for BNSF” and that he could
    perform balance tasks safely; a memo from Baylor College of Medicine
    neurologist Dr. Jankovic that he had reviewed BNSF’s photographs of Nall’s
    job duties and concluded that he was able to perform his job duties safely; a
    medical status form completed by Dr. Jankovic stating that Nall was able to
    return to work without any restrictions; and a medical status form completed
    by a different doctor stating that Nall was able to return to work without any
    restrictions. 7
    In addition, and importantly, Nall successfully completed each of the
    tasks required of him during his first field test. BNSF nonetheless did not
    reinstate Nall because he committed “[s]everal safety exceptions” during the
    evaluation, including making the “deadly decision” of going between moving
    7 With respect to timing, Nall argues on appeal that BNSF took adverse actions in:
    (1) April 2012, when BNSF placed him on medical leave; (2) September 2012, when BNSF
    informed Nall that he could not return to work; (3) December 2012 through January 2013,
    when BNSF again said Nall could not return to work; and (4) June through July 2013, when
    BNSF permanently medically disqualified him. At the district court, however, Nall argued
    that he was subjected to an adverse employment decision only on the last two of these four
    dates: December 2012 and June 2013, when Nall submitted information that he was able to
    return to work without restriction and BNSF still denied his requests. All of the doctor
    evaluations listed above were provided to BNSF before December 2012, with the exception of
    the second medical status form, which was sent to BNSF on December 20, 2012. Moreover,
    because he did not present argument regarding the first two actions to the district court, Nall
    has forfeited the argument that he was also subject to adverse actions in April and September
    2012. See Mix, 791 F.3d at 611.
    14
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    No. 17-20113
    cars, failing to give proper hand signals, and demonstrating unsafe behavior
    while dismounting equipment. Later, BNSF also claimed that Nall made a
    second “deadly decision”—“fouling” the track, which involves walking on a
    part of the track that puts you at risk of being hit. Nall, however, disputes
    each of these allegations. With respect to the “deadly decisions,” Nall testified
    that the cars were not moving when he started walking between them, and
    that he was asked to do something during the test that required him to “foul”
    the track. He also testified that he used a radio during the evaluation, not
    hand signals, and did not agree that he dismounted the railcar in a way that
    was unsafe.
    Finally, Nall provided evidence that BNSF employees made comments
    that cast doubt on the propriety of BNSF’s evaluation process, and, as a result,
    the credibility of its decision to disqualify him. Nall testified in his deposition
    that BNSF’s field medical manager told him he was “never coming back to
    work” and that the company was only asking Nall for updated medical
    paperwork to “be nice.” In addition, two BNSF employees—a doctor and the
    manager of clinical services—allegedly told Nall’s wife that “people with
    Parkinson’s don’t get better.”
    Viewing the evidence in the light most favorable to Nall, as we must,
    there is a genuine dispute as to the objective reasonableness of BNSF’s
    actions. 8 See, e.g., Justice v. Crown Cork & Seal Co., 
    527 F.3d 1080
    , 1091–92
    (10th Cir. 2008) (holding that a triable issue of material fact existed as to
    whether the employee actually posed a direct threat to workplace safety where
    there was a question on whether a physical therapist’s opinion could be
    8  We emphasize that a correct conclusion is not required to satisfy the objective
    reasonableness standard. What is required, however, is that BNSF consider the best
    available objective evidence, not categorically assume that Parkinson’s will disqualify an
    employee, and not change the disqualification criteria in the middle of the evaluation to
    dictate that outcome.
    15
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    No. 17-20113
    considered objective, evidence indicating that the employee’s restrictions may
    not have limited his ability to perform safely in his environment, and evidence
    that his employer’s application of various medical judgments to the workplace
    was unreasonable); Echazabal v. Chevron USA, Inc., 
    336 F.3d 1023
    , 1030 (9th
    Cir. 2003) (holding that medical opinion letters from the employee’s doctors,
    together with the employee’s own declaration, raised a material fact issue as
    to the objective reasonableness of the employer’s opinion); Lowe v. Ala. Power
    Co., 
    244 F.3d 1305
    , 1309 (11th Cir. 2001) (holding that questions of fact
    remained as to what the essential functions of the employee’s position are, and
    whether, assuming the disputed function was included, the employee was
    qualified to perform such work).
    The evidence that Nall presented—that BNSF employees (1) disregarded
    Nall’s medical release forms; (2) relied on safety violations they later identified
    in Nall’s field test despite his successful completion of the assigned tasks;
    (3) changed the trainman job description to incorporate tasks that an
    individual with Parkinson’s may have difficulty performing; and (4) made
    comments indicating a belief that Parkinson’s categorically disqualified an
    individual from working as a trainman—calls into question the credibility of
    BNSF’s decision to disqualify him. Taken together, this evidence creates a
    material fact issue on the question of whether BNSF considered the best
    available objective evidence and meaningfully engaged in an individualized
    assessment of Nall. Specifically, it raises a fact dispute as to whether BNSF
    requested particular objective evidence of Nall’s ability to perform his job, only
    to intentionally disregard that evidence when it indicated that Nall was
    qualified and instead request new evidence on which to base its direct threat
    determination.
    As discussed more fully in our pretext analysis below, it is well-accepted
    in employment law—and the law more generally—that inconsistent
    16
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    No. 17-20113
    explanations and changing requirements undermine a party’s credibility. See
    Cleveland v. Home Shopping Network, Inc., 
    369 F.3d 1189
    , 1193–94 (11th Cir.
    2004) (holding that “shifting reasons allow the jury to question [the employer’s]
    credibility” and once his “credibility is damaged, the jury could infer that he
    did not fire [the employee] because of the [proffered reason], but rather because
    of her disability”); Appelbaum v. Milwaukee Metro. Sewerage Dist., 
    340 F.3d 573
    , 579 (7th Cir. 2003) (“One can reasonably infer pretext from an employer’s
    shifting or inconsistent explanations for the challenged employment
    decision.”); cf. United States v. Hale, 
    422 U.S. 171
    , 177 (1975) (“A basic rule of
    evidence provides that prior inconsistent statements may be used to impeach
    the credibility of a witness.”).     And when an employer’s credibility is
    undermined, it casts doubt on the reasonableness of that employer’s decisions.
    Thus, although there is no requirement under the ADA for the employer to
    follow certain procedures in making a “direct threat” assessment, the language
    in Echazabal and the related EEOC regulation establishes that intentional
    disregard for the best available objective evidence, in whatever form it takes,
    undermines an employer’s credibility and renders its direct threat conclusion
    objectively unreasonable. See Echazabal, 
    536 U.S. at 86
     (“The direct threat
    defense must be ‘based on a reasonable medical judgment that relies on . . . the
    best available objective evidence[.]’”); 
    29 C.F.R. § 1630.2
    (r). In this instance,
    BNSF’s intentional disregard for the best available objective evidence took the
    form of moving the goalposts during Nall’s evaluation in order to produce
    BNSF’s desired outcome of disqualifying him.        As a result, for summary-
    judgment purposes, Nall has established his prima facie case, and we move to
    the next steps of the McDonnell Douglas analysis—asking whether BNSF has
    articulated a legitimate, non-discriminatory reason for placing Nall on medical
    17
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    No. 17-20113
    leave and, if so, whether Nall has shown that the articulated reason is
    pretextual. 9
    2. Legitimate, non-discriminatory reason and pretext
    “At summary judgment, evidence demonstrating that the employer’s
    explanation is false or unworthy of credence, taken together with the plaintiff’s
    prima facie case, is likely to support an inference of discrimination even
    without further evidence of defendant’s true motive.” Diggs v. Burlington N.
    & Santa Fe Ry. Co., 742 F. App’x 1, 4 (5th Cir. 2018) (quoting LHC Grp., 773
    F.3d at 702). The district court held that the safety concerns emphasized by
    BNSF constituted a legitimate, non-discriminatory reason for BNSF to place
    Nall on medical leave. As we have discussed, however, viewing the evidence
    in the light most favorable to Nall, BNSF’s safety concerns were not tied to
    Nall’s ability to perform the tasks required of his job. He could perform those
    tasks. Instead, BNSF’s concerns were tied to his physical impairment—his
    Parkinson’s symptoms.
    Notably, the job requirements that were added by BNSF to those of a
    trainman reflect abilities directly impacted by Parkinson’s disease, such as the
    9  The district court also concluded that BNSF was entitled to a “business necessity”
    defense. The “direct threat” defense and the “business necessity” defense “require different
    types of proof.” EEOC v. Exxon Corp., 
    203 F.3d 871
    , 875 (5th Cir. 2000). “Direct threat
    focuses on the individual employee, examining the specific risk posed by the employee’s
    disability. In contrast, business necessity addresses whether the qualification standard can
    be justified as an across-the-board requirement.” 
    Id.
     (citation omitted). The district court
    seemed to consider the qualification standard here to be a requirement that Nall could do his
    job safely. Thus, its analysis regarding the defense mirrored its direct threat analysis.
    Similarly, BNSF summarily states that the district court’s separate rejection of Nall’s attack
    on BNSF’s business necessity defense was correct “[f]or the same reasons” given in support
    of its direct threat defense. Accepting the relevant qualification as the ability to do his job
    safely, we conclude that Nall has also established a fact issue regarding BNSF’s entitlement
    to the business necessity defense under the ADA.
    As with the direct threat defense, however, the district court did not address the
    applicability of the business necessity defense under the TCHRA, and the parties did not
    brief it. The district court will need to consider this on remand.
    18
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    No. 17-20113
    ability “to make quick hand and leg movements” and “maintain[ ] good balance
    and steadiness of stance/gait.” This casts doubt on the legitimacy of BNSF’s
    concerns. See Caldwell v. KHOU-TV, 
    850 F.3d 237
    , 242 (5th Cir. 2017) (“An
    employer’s inconsistent explanations for an employment decision ‘cast doubt’
    on the truthfulness of those explanations.”); see also Rizzo v. Children’s World
    Learning Ctrs., Inc., 
    213 F.3d 209
    , 221 (5th Cir. 2000) (en banc) (Jones, J., and
    Smith, J., dissenting) (“[W]e may have special cause for suspicion when an
    employer justifies discrimination not on the relatively concrete and more
    readily measurable basis of ability to perform a particular essential job
    function safely, but because of a proffered generalized concern about health
    and safety.”).
    Additional evidence that suggests that BNSF’s explanation is false or
    unworthy of credence includes the reports by Nall’s doctors, who concluded
    that Nall could safely return to work, the “never coming back to work” and
    Parkinson’s-related statements made by BNSF employees, and the fact that
    BNSF continued to move the goalposts—to make requests of Nall, even as he
    completed the previous ones. Cf. Diggs, 742 F. App’x at 5 (holding that there
    was no fact issue regarding pretext when an employee failed to timely submit
    information requested by his employer, BNSF, and there was “no evidence that
    the company would create new information demands after [the employee]
    complied with previous ones”).
    As a result, even assuming that BNSF’s alleged safety concerns were
    legitimate and non-discriminatory, the totality of the circumstances creates a
    material fact issue as to whether BNSF’s proffered reasons for refusing to
    reinstate Nall were merely pretextual—that is, that the real reason for BNSF’s
    adverse employment action was Nall’s disability.           Accordingly, on Nall’s
    disability discrimination claims, we reverse the district court’s judgment. Of
    course, this holding does not mean that Nall will prevail at trial or that safety
    19
    Case: 17-20113     Document: 00514836721      Page: 20    Date Filed: 02/15/2019
    No. 17-20113
    was not the real reason for BNSF’s decision. It means only that Nall produced
    enough evidence to survive summary judgment.
    IV.
    “To show an unlawful retaliation, a plaintiff must establish a prima facie
    case of (1) engagement in an activity protected by the ADA, (2) an adverse
    employment action, and (3) a causal connection between the protected act and
    the adverse action. Once the plaintiff has established a prima facie case, the
    defendant must come forward with a legitimate, non-discriminatory reason for
    the adverse employment action. If such a reason is advanced, the plaintiff
    must adduce sufficient evidence that the proffered reason is a pretext for
    retaliation. Ultimately, the employee must show that ‘but for’ the protected
    activity, the adverse employment action would not have occurred.” Seaman v.
    CSPH, Inc., 
    179 F.3d 297
    , 301 (5th Cir. 1999) (footnotes omitted); see also Feist
    v. La. Dep’t of Justice, Office of the Att’y Gen., 
    730 F.3d 450
    , 454 (5th Cir. 2013).
    Here, Nall claims that the “causal link” element of his prima facie case
    is the only element in dispute. “A ‘causal link’ is established when the evidence
    demonstrates that ‘the employer’s decision to terminate was based in part on
    knowledge of the employee’s protected activity.’” Medina v. Ramsey Steel Co.,
    
    238 F.3d 674
    , 684 (5th Cir. 2001) (quoting Sherrod v. Am. Airlines, Inc., 
    132 F.3d 1112
    , 1122 (5th Cir. 1998)).
    Nall satisfies the first element of his retaliation claim by pointing to his
    decision to file a complaint with the EEOC in December 2012. For the second
    element, Nall notes that “BNSF consistently refused to reinstate him after that
    date, including only three weeks later on January 8, 2013.” As to the third
    element, Nall argues that Dr. Gillis and Dickey were aware of Nall’s EEOC
    complaint because they admit that they provided information to the EEOC
    through another BNSF employee. Nall argues that there is a fact issue on this
    element because of how burdensome BNSF made the process for Nall to be
    20
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    No. 17-20113
    considered “qualified” and misrepresentations BNSF made to the EEOC,
    including the fact that BNSF said it had not received additional information
    from Nall during a certain time period when it had.
    Nall does not provide evidence creating a genuine issue of material fact
    on the “causal link” element of his retaliation claim. Although Nall sets forth
    some evidence to show that Dr. Gillis and Dickey, individuals involved in the
    decision-making process regarding Nall, eventually learned that Nall had filed
    a claim with the EEOC, he does not cite to any evidence that demonstrates
    that the subsequent decisions to keep him on leave were at all based on this
    knowledge. Without evidence of a causal link between the filing of his EEOC
    claim and his continued placement on medical leave, Nall is unable to establish
    a prima facie case of an unlawful retaliation and his retaliation claims
    necessarily fail.
    V.
    For the above reasons, we REVERSE the grant of summary judgment as
    to Nall’s disability discrimination claims and AFFIRM the judgment as to the
    remaining claims. This case is REMANDED for further proceedings consistent
    with this opinion.
    21
    Case: 17-20113       Document: 00514836721          Page: 22     Date Filed: 02/15/2019
    No. 17-20113
    GREGG COSTA, Circuit Judge, specially concurring:
    The question that divides the panel—whether the railroad had good
    reason to believe Nall posed a safety risk—should be the only issue in this case.
    There is no doubt the railroad fired Nall because of those alleged safety
    concerns and that those concerns resulted from Nall’s Parkinson’s. So that
    disability is the reason Nall was fired. See Cannon v. Jacob Field Servs. N.
    America, Inc., 
    813 F.3d 586
    , 594 (5th Cir. 2016) (finding causation “easily
    resolve[d]” when a company revoked a job offer because of concerns that the
    applicant’s shoulder injury would prevent him from climbing a ladder).
    We might be uncomfortable with so readily calling the railroad’s action
    “discrimination.”       Today that word is usually equated with something
    invidious. 1 That is for understandable, indeed laudable, reasons given our
    history of pernicious, pervasive, and persistent prejudice against members of
    certain groups. But the reality is that employers lawfully discriminate all the
    time in making hiring and promotion decisions. Employers discriminate based
    on employees’ education, work experience, intelligence, and work ethic to name
    a few common examples. So the question often is not whether discrimination
    is occurring, but whether it is the type of discrimination that society, through
    its laws, has condemned.
    1  That instinct led an employer to recently argue in the Sixth Circuit that an ADA
    plaintiff had to show animus. E.E.O.C. v. Dolgencorp, LLC, 
    899 F.3d 428
    , 436 (6th Cir. 2018).
    In rejecting that challenge to a verdict, Judge Sutton explained that:
    the Act speaks in terms of causation, not animus. An employer violates the Act
    whenever it discharges an employee ‘on the basis of disability’ (a necessary
    requirement for liability), not only when it harbors ill will (a sufficient way of
    establishing liability). Imagine a company that fired a visually impaired employee to
    save itself the minimal expense of buying special software for her. Without more, that
    would constitute termination ‘on the basis of disability,’ even if all of the evidence
    showed that cost-savings, not animus towards the blind, motivated the company.
    Id. at 436 (internal citations omitted).
    22
    Case: 17-20113     Document: 00514836721     Page: 23   Date Filed: 02/15/2019
    No. 17-20113
    The Americans with Disabilities Act was a long overdue recognition that
    discrimination against the disabled belongs in the unlawful category. That
    discrimination is unjust to the disabled and deprives the economy of
    individuals who usually can fully and effectively perform their jobs.        But
    Congress decided that not all disability discrimination should be unlawful.
    Because some disabilities may prevent some people from performing some jobs
    safely, the ADA provides a defense if the disabled employee will pose a safety
    threat to himself or others. 
    42 U.S.C. § 12112
    (b)(6), 12113(b); see also 
    42 U.S.C. § 12111
    (8) (defining a “qualified individual” under the ADA as a person
    “who, with or without reasonable accommodation, can perform the essential
    functions of the employment position”). This “direct threat” defense draws a
    line not between discrimination and its absence, but between unlawful and
    lawful discrimination.
    For cases like this one that turn on whether the disability renders the
    employee a safety risk (or the sometimes related statutory question whether
    the employee is unable to perform the essential functions of the job), there thus
    should not be a dispute about discriminatory intent. An employer cannot have
    it both ways by arguing that the termination was justified because the
    disability was dangerous while also maintaining that the safety-threatening
    disability was not the reason for the firing.      When a concern about the
    disability’s negative impact on workplace safety is the reason for the adverse
    action, the “causation” element of an ADA discrimination claim should be
    straightforward. See Cannon, 813 F.3d at 594; Rizzo v. Children’s World
    Learning Centers, Inc., 
    84 F.3d 758
    , 762 (5th Cir. 1996); E.E.O.C. v.
    Dolgencorp, LLC, 
    899 F.3d 428
    , 435 (6th Cir. 2018); McMillan v. City of New
    York, 
    711 F.3d 120
    , 129 (2d Cir. 2013).
    23
    Case: 17-20113        Document: 00514836721          Page: 24     Date Filed: 02/15/2019
    No. 17-20113
    Yet courts and employment lawyers are conditioned to thinking of
    causation as the difficult element to prove in discrimination cases; it often is
    the contested one in Title VII disparate treatment cases alleging race or sex
    discrimination.       And when causation is disputed, courts and lawyers
    reflexively apply the burden shifting framework of McDonnell Douglas Corp.
    v. Green, 
    411 U.S. 792
     (1973).
    McDonnell Douglas is the “kudzu” of employment law. Cf. Zadeh v.
    Robinson, 
    902 F.3d 483
    , 498 (5th Cir. 2018) (Willett, J., concurring) (describing
    the “kudzu-like creep” of qualified immunity law). More than 57,000 court
    opinions have cited it. That’s more than 3 cases a day (including weekends and
    holidays!) since the opinion was issued 45 years ago. Although courts keep
    trying to trim back its invasion of those parts of employment law where it does
    not belong—pleading standards, 2 jury instructions, 3 or appellate review of jury
    verdicts, 4 for example—its dominance continues. 5                  As the judge-created
    doctrine has been widely criticized for its inefficiency and unfairness even in
    the space it is supposed to occupy 6—a tool for evaluating the sufficiency of
    circumstantial evidence—we should not expand it beyond those bounds. 7
    2 Swierkiewicz v. Sorema N.A., 
    534 U.S. 506
    , 515 (2002) (reversing a district court’s
    requirement that plaintiffs plead facts sufficient to raise an inference of discrimination under
    McDonnell Douglas).
    3 Walther v. Lone Star Gas Co., 
    952 F.2d 119
    , 127 (5th Cir. 1992) (explaining that a
    jury should not be instructed using the McDonnell Douglas standard).
    4 Stover v. Hattiesburg Pub. Sch. Dist., 
    549 F.3d 985
    , 993 (5th Cir. 2008) (noting that
    in an appeal from a jury verdict, the appellate court’s focus is on whether the record supports
    the jury’s finding of discrimination, “not on the plaintiff’s prima facie case or the McDonnell
    Douglas framework”).
    5 See generally Sandra F. Sperino, MCDONNELL DOUGLAS: THE MOST IMPORTANT
    CASE IN EMPLOYMENT DISCRIMINATION LAW (2018).
    6 See Coleman v. Donahoe, 
    667 F.3d 835
    , 862–63 (7th Cir. 2012) (Wood, J., concurring);
    Brady v. Office of Sergeant at Arms, 
    520 F.3d 490
    , 493–94 (D.C. Cir. 2008) (Kavanaugh, J.);
    D. Brock Hornby, Over Ruled, 21 GREEN BAG 2d 17, 22–26 (2017) (collecting extensive
    judicial and academic criticism of McDonnell Douglas); Sperino, supra note 6, at 317–27.
    7 McDonnell Douglas created the three-part framework to evaluate the evidence for a
    bench trial, see Hornby, 21 GREEN BAG 2d. at 22–23 (citing 
    411 U.S. at 802
    ), as the original
    24
    Case: 17-20113        Document: 00514836721          Page: 25     Date Filed: 02/15/2019
    No. 17-20113
    I fear that is what is happening with the use of McDonnell Douglas to
    prove discrimination in Nall’s case. To be sure, Nall also tried to prove
    discrimination with direct evidence. But in doing so, he relied on the comments
    of certain supervisors, which itself requires recourse to another complicated
    multipart test. See Brown v. CSC Logic, Inc., 
    82 F.3d 651
    , 655 (5th Cir. 1996).
    There is a simpler and more convincing direct evidence route. To use a
    modern phrase, the firing “is what it is”: the railroad has all along
    acknowledged that it fired Nall because of concerns about his Parkinson’s.
    That’s discrimination on the basis of a disability. See Rizzo, 
    84 F.3d at 762
    (explaining that the court did not need to “engage in the McDonnell Douglas
    presumptions in order to infer discrimination” because the employer did “not
    deny that [the employee] was removed from driving duties because of her
    hearing impairment”); cf. Dolgencorp, LLC, 899 F.3d at 435 (explaining that
    an employer’s neutral justification does not come into play when there is direct
    evidence of disability discrimination). So, like many ADA cases, the hard issue
    in this one is not whether there was discrimination but whether that
    discrimination was justified.
    Title VII did not grant a jury right (the 1991 Civil Rights Act added one, see 42 U.S.C.
    § 1981a(c)). See generally Beesley v. Hartford Fire Ins. Co., 
    717 F. Supp. 781
    , 782 (N.D. Ala.
    1989) (explaining that after Title VII’s passage, judges in the South denied jury requests for
    fear that juries would ignore the Civil Rights Act’s mandate); Vincenza G. Aversano, et al.,
    Jury Trial Right Under Title VII: The Need for Judicial Reinterpretation, 6 CARDOZO L. REV.
    613, 632–37 (1985) (suggesting that the drafters of Title VII omitted a jury right for fear that
    juries in the South would not give black plaintiffs a fair hearing). The Supreme Court has
    since endorsed its use in evaluating circumstantial evidence at the summary judgment stage
    to decide whether a case gets to the jury. See, e.g., Young v. United Parcel Serv., Inc., 
    135 S. Ct. 1338
    , 1355 (2015). At the same time, it has repeatedly admonished that the test was
    “‘never intended to be rigid, mechanized, or ritualistic.’” Swierkiewicz, 
    534 U.S. at 512
     (2002)
    (quoting Furnco Constr. Corp. v. Waters, 
    438 U.S. 567
    , 577 (1978)); St. Mary's Honor Ctr. v.
    Hicks, 
    509 U.S. 502
    , 519, (1993) (quoting same); U.S. Postal Serv. Bd. Of Governors v. Aikens,
    
    460 U.S. 711
    , 715 (1983) (quoting same).
    25
    Case: 17-20113    Document: 00514836721      Page: 26   Date Filed: 02/15/2019
    No. 17-20113
    This case should be an example of why McDonnell Douglas is not the be-
    all and end-all of proving discrimination. There are other ways, including that
    the discrimination is obvious.
    26
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    No. 17-20113
    JAMES C. HO, Circuit Judge, dissenting:
    I applaud the panel majority for withdrawing its earlier opinion in this
    matter (
    912 F.3d 263
    ), for the reasons stated in footnote 6 of its revised opinion.
    Although I would still affirm the district court for the case-specific evidentiary
    reasons specified in my original dissent (but which are not independently
    worthy of en banc review) (see 
    id.
     at 279–83), the panel majority has now wisely
    obviated the need for en banc rehearing in this case, by removing the process-
    based theory of liability that animated its earlier opinion. There is no basis for
    such a legal theory under the ADA, for reasons that need not be repeated
    here—but are well articulated in the petition for en banc rehearing and the
    persuasive amicus briefs filed by the Association of American Railroads, the
    Center for Workplace Compliance, and the National Federation of Independent
    Business (see also 
    id.
     at 283–84).
    27
    

Document Info

Docket Number: 17-20113

Citation Numbers: 917 F.3d 335

Judges: James, Elrod, Costa

Filed Date: 2/15/2019

Precedential Status: Precedential

Modified Date: 10/19/2024

Authorities (29)

Bragdon v. Abbott , 118 S. Ct. 2196 ( 1998 )

Beesley v. Hartford Fire Insurance , 717 F. Supp. 781 ( 1989 )

Mario Echazabal v. Chevron Usa, Inc. Irwin Industries, Inc. , 336 F.3d 1023 ( 2003 )

Young v. United Parcel Service, Inc. , 135 S. Ct. 1338 ( 2015 )

Chevron U. S. A. Inc. v. Echazabal , 122 S. Ct. 2045 ( 2002 )

United States Postal Service Board of Governors v. Aikens , 103 S. Ct. 1478 ( 1983 )

Equal Employment Opportunity Commission v. E.I. Du Pont De ... , 480 F.3d 724 ( 2007 )

Melvin WALTHER, Plaintiff-Appellee, v. LONE STAR GAS ... , 952 F.2d 119 ( 1992 )

Brown v. CSC Logic, Inc. , 82 F.3d 651 ( 1996 )

Rizzo v. Children's World Learning Centers, Inc. , 84 F.3d 758 ( 1996 )

United States v. Conn , 657 F.3d 280 ( 2011 )

Lyle S. Chandler and Adolphus A. Maddox, on Behalf of ... , 2 F.3d 1385 ( 1993 )

Stover v. Hattiesburg Public School District , 549 F.3d 985 ( 2008 )

McDonnell Douglas Corp. v. Green , 93 S. Ct. 1817 ( 1973 )

United States v. Arviso-Mata , 442 F.3d 382 ( 2006 )

Equal Employment Opportunity Commission v. Exxon Corp. , 203 F.3d 871 ( 2000 )

Brady v. Office of the Sergeant at Arms , 520 F.3d 490 ( 2008 )

Pegram v. Honeywell, Inc. , 361 F.3d 272 ( 2004 )

Alice T. Cleveland v. Home Shopping Network , 369 F.3d 1189 ( 2004 )

St. Mary's Honor Center v. Hicks , 113 S. Ct. 2742 ( 1993 )

View All Authorities »