Charmaine Hamer v. Neighborhood Housing Services ( 2018 )


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  •                             In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________________
    No. 15-3764
    CHARMAINE HAMER,
    Plaintiff-Appellant,
    v.
    NEIGHBORHOOD HOUSING SERVICES         OF   CHICAGO and FANNIE
    MAE,
    Defendants-Appellees.
    ____________________
    Appeal from the United States District Court for the
    Northern District of Illinois, Eastern Division.
    On Remand from the Supreme Court of the United States.
    No. 12 C 10150 — Rubén Castillo, Chief Judge.
    ____________________
    ARGUED MAY 15, 2018 — DECIDED JULY 30, 2018
    ____________________
    Before EASTERBROOK, SYKES, and BARRETT, Circuit Judges.
    EASTERBROOK, Circuit Judge. Charmaine Hamer worked at
    Fannie Mae’s Mortgage Help Center from 2010 to 2012. Fan-
    nie Mae contracted with Neighborhood Housing Services of
    Chicago (Hamer’s employer) to run the Center but main-
    tained the right to remove individual employees. After
    Hamer’s application for a promotion was denied and she
    2                                                 No. 15-3764
    was removed from the Center, she sued both Neighborhood
    Housing and Fannie Mae for discrimination and retaliation
    under Title VII of the Civil Rights Act of 1964, 42 U.S.C.
    §§ 2000e to 2000e–17, and the Age Discrimination in Em-
    ployment Act, 
    29 U.S.C. §§ 621
    –34. The district court granted
    summary judgment in the defendants’ favor, and Hamer
    appealed the retaliation claims.
    A statute requires notices of appeal to be filed within
    thirty days after entry of judgment but provides that district
    courts may “extend the time for appeal upon a showing of
    excusable neglect or good cause.” 
    28 U.S.C. §2107
    . This stat-
    ute does not set a limit on extensions’ length, but the rule
    implementing the statute provides that “[n]o extension un-
    der this Rule 4(a)(5) may exceed 30 days after the prescribed
    time or 14 days after the date when the order granting the
    motion is entered, whichever is later.” Fed. R. App. P.
    4(a)(5)(C).
    On September 14, 2015, the district court entered sum-
    mary judgment in favor of defendants. On October 8
    Hamer’s counsel submijed a motion to withdraw and to ex-
    tend the time for appeal by 60 days (to December 14), to give
    Hamer time to acquire new counsel. The district court grant-
    ed the motion, despite Rule 4(a)(5)(C), and Hamer filed her
    notice of appeal pro se on December 11—within the time er-
    roneously allowed but outside the maximum under Rule
    4(a)(5)(C). None of the litigants appears to have given any
    thought to the violation of Rule 4 until this court, on review
    of the docketing statements, ordered the parties to submit
    jurisdictional memoranda on the timeliness issue.
    This court dismissed Hamer’s appeal, concluding that the
    time limit imposed by Rule 4(a)(5)(C) is jurisdictional. 835
    No. 15-3764 
    3 F.3d 761
     (7th Cir. 2016). The Supreme Court vacated that de-
    cision, holding that statutory time limits are jurisdictional
    but that those imposed by rule are not—though they remain
    mandatory if properly invoked. 
    138 S. Ct. 13
     (2017). See also
    Bowles v. Russell, 
    551 U.S. 205
     (2007). We must now decide
    whether defendants properly invoked Rule 4(a)(5)(C) and, if
    not, must reach the merits.
    Hamer contends that the defendants may not now chal-
    lenge her appeal as untimely because they failed either to
    appeal from the district court’s order granting the extension
    or to cross-appeal from the judgment. An appeal is necessary
    when a party seeks to ajack the judgment in a way that ei-
    ther expands its own rights or narrows the rights of its op-
    ponent. United States v. American Railway Express Co., 
    265 U.S. 425
    , 435 (1924); MassachuseDs Mutual Life Insurance Co. v.
    Ludwig, 
    426 U.S. 479
     (1976); Robert L. Stern, When to Cross-
    Appeal or Cross-Petition—Certainty or Confusion?, 87 HARV. L.
    REV. 763 (1974). Defendants are not seeking to alter the
    judgment, so they did not need to appeal. This conclusion
    aligns us with the Tenth Circuit, United States v. Madrid, 
    633 F.3d 1222
     (10th Cir. 2011), although the Third and Sixth Cir-
    cuits have held otherwise. Amatangelo v. Donora, 
    212 F.3d 776
    (3d Cir. 2000); United States v. Burch, 
    781 F.3d 342
     (6th Cir.
    2015). Our conclusion also is in line with the Supreme
    Court’s rule that an appellee seeking to defend a judgment
    “may, without taking a cross-appeal, urge in support of [it]
    any majer appearing in the record, although his argument
    may involve an ajack upon the reasoning of the lower court
    or an insistence upon majer overlooked or ignored by it.”
    American Railway Express, 
    265 U.S. at 435
    .
    4                                                  No. 15-3764
    Hamer’s argument that defendants forfeited the timeli-
    ness issue by not protesting in the district court likewise
    goes nowhere. Because the district judge granted the motion
    for extension immediately, defendants could not oppose it
    before the judge acted. And it is never necessary to remon-
    strate with a judge after an order has been entered. Motions
    for reconsideration are discretionary, not obligatory. See
    Fed. R. Civ. P. 46 (“A formal exception to a ruling or order is
    unnecessary.”).
    The contention that the defendants waived any challenge
    to the timeliness of Hamer’s appeal by saying in their dock-
    eting statement that the notice of appeal was “timely” re-
    quires more discussion. Under the heading “Appellate Court
    Jurisdiction”, the docketing statement declares that “Plain-
    tiff-Appellant filed a timely Notice of Appeal” and under the
    heading “The Date of Entry of the Judgment Sought to be
    Reviewed” that “Plaintiff-Appellant timely filed a Notice of
    Appeal”. Defendants argue that language in docketing
    statements cannot waive or forfeit a right and that, by ad-
    dressing the timeliness issue—in response to this court’s or-
    der—before the merits, they have preserved the argument.
    Mandatory claim-processing rules, “[i]f properly in-
    voked, … must be enforced, but they may be waived or for-
    feited.” 
    138 S. Ct. at 17
    . Since the Supreme Court’s clarifica-
    tion that time limits imposed by federal rules that do not
    have a statutory basis are claim-processing rules, Kontrick v.
    Ryan, 
    540 U.S. 443
     (2004), this court has held that the limit in
    Rule 4(b) for criminal appeals will not be enforced if waived.
    See United States v. Neff, 
    598 F.3d 320
    , 323 (7th Cir. 2010).
    Treating timeliness under Rule 4(a)(5)(C) identically respects
    “the principle of party presentation so basic to our system of
    No. 15-3764                                                   5
    adjudication.” Arizona v. California, 
    530 U.S. 392
    , 413 (2000).
    See also Greenlaw v. United States, 
    554 U.S. 237
    , 243–44 (2008).
    We have found scant authority on docketing statements
    in general, and we have not located any authority from any
    circuit on whether representations within docketing state-
    ments can constitute waivers. Defendants point to local rules
    and cases from other circuits that characterize docketing
    statements as preliminary, nonbinding documents. As de-
    fendants observe, however, “a docketing statement is a crea-
    ture of a court’s local rules,” and this court is not bound by
    other courts’ pronouncements on the effect of docketing
    statements that differ from ours. Many courts of appeals re-
    quire docketing statements, but the Seventh Circuit may be
    unique in requiring them to take the form of prose para-
    graphs rather than responses to a printed form.
    Docketing statements serve several important functions
    in this court. They form part of the “short record” that senior
    court staff reviews “[i]n an effort to uncover jurisdictional
    defects very early in the appellate process”. See Practitioner’s
    Handbook for Appeals to the United States Court of Appeals for
    the Seventh Circuit 19 (2017 ed.). The court also uses docket-
    ing statements to determine “whether an appeal is related to
    other appeals, where an incarcerated party is housed, and
    who current public officials are in official capacity suits”. Id.
    at 119. We require docketing statements to contain all infor-
    mation that Fed. R. App. P. 28 requires in jurisdictional
    statements. Circuit R. 3(c). Docketing statements are always
    required of an appellant, but an appellee need submit a
    docketing statement only if the appellant’s is not “complete
    and correct”.
    6                                                  No. 15-3764
    The fact that some information required in docketing
    statements relates to subject-majer jurisdiction—a topic that
    cannot be waived—does not imply that pronouncements
    within docketing statements on other topics can never waive
    a right under a claim-processing rule. This court has empha-
    sized the importance of docketing statements. United States
    v. Lloyd, 
    398 F.3d 978
    , 980–81 (7th Cir. 2005); Baez-Sanchez v.
    Sessions, 
    862 F.3d 638
    , 639 (7th Cir. 2017) (Wood, C.J., in
    chambers). And we enforce our requirements in a manner
    calculated to induce compliance. See, e.g., BondPro Corp. v.
    Siemens Power Generation, Inc., 
    466 F.3d 562
     (7th Cir. 2006)
    (penalizing failures to comply with jurisdictional-statement
    requirements). Giving an affirmative statement the same
    effect whether it is made in a docketing statement, in the ar-
    gument section of a brief, or at oral argument creates an in-
    centive for litigants and lawyers to take the rules and their
    representations to this court seriously.
    Defendants aren’t helped by cases holding that litigants
    may raise in their briefs issues that were not in their docket-
    ing statements. That substantive arguments are not forfeited
    by omission from a docketing statement does not bear on
    whether they can be waived by language included in a dock-
    eting statement. Rights under nonjurisdictional rules, we
    therefore hold, can be waived in docketing statements.
    In holding so, we are not the first court of appeals to give
    language contained in a docketing statement effect on a
    majer other than subject-majer jurisdiction: Several courts
    have looked to information included in docketing statements
    to supplement otherwise-insufficient notices of appeal. Díaz
    Aviation Corp. v. Airport Aviation Services, Inc., 
    716 F.3d 256
    ,
    261–63 (1st Cir. 2013); Haney v. Addison, 
    175 F.3d 1217
    , 1219
    No. 15-3764                                                  7
    (10th Cir. 1999); Small Business in Telecommunications v. FCC,
    
    251 F.3d 1015
    , 1020–21 (D.C. Cir. 2001). And the Fourth Cir-
    cuit has looked to the list of issues in a docketing statement,
    among other things, to find that a party was aware of an ar-
    gument, then intentionally abandoned it by omijing it from
    the appellate brief. South Atlantic Limited Partnership of Ten-
    nessee, LP v. Riese, 
    356 F.3d 576
    , 587 (4th Cir. 2004).
    So the question now is whether the declarations in de-
    fendants’ docketing statement constitute waivers. They take
    the traditional form of a waiver: affirmative statements that
    Hamer’s appeal is “timely”. Defendants contend, however,
    that because docketing statements pertain primarily to juris-
    diction, the two relevant sentences assert only that the ap-
    peal was timely in a jurisdictional sense, while reserving the
    right to challenge nonjurisdictional timeliness. Yet both sen-
    tences are unconditional statements that the appeal is timely.
    Defendants could have included a caveat that they were dis-
    cussing only jurisdictional timeliness, but they didn’t. The
    common-sense meaning of defendants’ affirmative state-
    ments: the appeal is timely, period.
    Defendants argue that Circuit Rule 3(c)’s imperative—
    that appellees supplement appellants’ docketing statements
    that are not “complete and correct”—does not encompass a
    duty to identify nonjurisdictional defects. But “complete and
    correct” doesn’t mean “complete and correct on jurisdiction-
    al majers alone.” And even if defendants’ reading of Rule
    3(c) were correct, language doesn’t fall into a safe haven
    from waiver merely because it is included at a litigant’s dis-
    cretion.
    Waiver is an “intentional relinquishment or abandon-
    ment of a known right”. Johnson v. Zerbst, 
    304 U.S. 458
    , 464
    8                                                  No. 15-3764
    (1938). But courts look to litigants’ (and their ajorneys’)
    words and actions as objective manifestations, rather than
    asking what parties were thinking when they said or did
    something. See, e.g., United States v. Fuentes, 
    858 F.3d 1119
    ,
    1121 (7th Cir. 2017); United States v. Ford, 
    798 F.3d 655
    , 660
    (7th Cir. 2015). The requirement that a right be “known” in
    this case means only that defendants had to know that time-
    liness majers. Cf. Iowa v. Tovar, 
    541 U.S. 77
    , 92 (2004); United
    States v. Ruiz, 
    536 U.S. 622
    , 629 (2002). Because defendants
    actively asserted that the appeal was timely, they cannot
    now argue otherwise.
    Defendants contend that, even if they waived the timeli-
    ness argument, Hamer likewise waived the benefit of that
    waiver. Because Hamer argued in her jurisdictional memo-
    randum during the first round of appellate litigation that de-
    fendants “forfeited and wa[i]ved their right to motion for
    dismissal of case based on untimely filing of appellant’s mo-
    tion to appeal”, this contention is unavailing. See 835 F.3d at
    763 (recognizing that Hamer had argued that defendants
    waived the timeliness issue). So we must reach the merits of
    Hamer’s retaliation claim.
    Hamer was passed over for a promotion in February 2012
    in favor of a younger, male colleague. Believing that this ad-
    verse employment action constituted age and sex discrimi-
    nation, Hamer met with Linda Anderson, Neighborhood
    Housing’s Director of Human Resources, on February 27,
    and discussed her intention to file a charge of discrimination
    with the EEOC. Anderson called Toya Glenn, Hamer’s su-
    pervisor, on February 28 to discuss the reasons that Hamer
    was not offered the promotion. On March 1, Anderson
    emailed Robin Coffey, Neighborhood Housing’s Assistant
    No. 15-3764                                                  9
    Deputy Director, to request a meeting to “discuss a person-
    nel issue.” Later that day, Coffey replied to Anderson’s
    email that the decision had been made to remove Hamer
    from the Mortgage Help Center. (Defendants assert that
    Glenn and Coffey made this decision without Fannie Mae
    exercising its right to remove employees from the Mortgage
    Help Center, but Hamer points to evidence that Mark Green,
    the Fannie Mae Site Manager, requested her removal. Given
    this factual dispute, which the district court did not resolve,
    we refer to all three as “decisionmakers”.) Hamer was tem-
    porarily assigned alternative duties at Neighborhood Hous-
    ing’s central office. On March 14 Anderson told Hamer she
    could stay with Neighborhood Housing in a job that came
    with a 25% pay cut and a longer, more expensive commute,
    or she could refuse the job and be deemed to have resigned.
    She chose the lajer.
    Neighborhood Housing argues that Hamer’s removal
    was prompted, not by a complaint that the decisionmakers
    were unaware of, but by ongoing communication issues that
    her supervisor had noted in multiple performance reviews
    and that Green complained of during February 2012. Ac-
    cording to Hamer, these issues could not have been the real
    reason for her removal because Glenn, the day before An-
    derson called her, drafted a career progression plan giving
    Hamer a month to improve her communication skills and,
    hours before the call, arranged for Hamer to ajend a confer-
    ence in March. This suspicious timing, Hamer asserts, is evi-
    dence that Neighborhood Housing’s proffered reason is pre-
    textual.
    The district court held that being given the choice be-
    tween accepting a demotion and voluntarily resigning was
    10                                                 No. 15-3764
    not a constructive discharge and that Hamer had failed to
    show that her removal from the Center (which defendants
    conceded was an adverse employment action) was caused by
    the discrimination complaint. We don’t need to decide
    whether the district court was correct on the constructive
    discharge point, however, because Hamer has not estab-
    lished a causal link between her discrimination complaint
    and either adverse action.
    To retaliate against a complainant, decisionmakers must
    be aware of the complaint. Anderson knew of Hamer’s inten-
    tion to file a charge but didn’t make any employment deci-
    sions, and Hamer has not established a genuine dispute
    about the decisionmakers’ knowledge. Glenn, Coffey, and
    Green all filed affidavits asserting they were never told of
    Hamer’s plan to file a complaint with the EEOC, and Ander-
    son asserts that she never told anyone about it. In response
    Hamer offers only speculation.
    Hamer observes that the affiants say they were not “told”
    about her plan to file a complaint but do not discuss whether
    they learned of the plan in some other way, as she conjec-
    tures they might. Glenn knew that Hamer had met with An-
    derson; maybe she inferred, when Anderson called the next
    day to discuss the reasons Hamer wasn’t promoted, that the
    meeting concerned allegations of discrimination. Or the
    notes that Anderson took while meeting with Hamer may
    have fallen into the decisionmakers’ laps. But Hamer did not
    depose Glenn, Coffey, Green, or anyone else, and she has not
    offered any support for her speculation. Hamer has not pro-
    vided even a “scintilla” of evidence, see Anderson v. Liberty
    Lobby, Inc., 
    477 U.S. 242
    , 248–52 (1986), to support her conjec-
    ture that the notes may have been included in her personnel
    No. 15-3764                                                 11
    file and that the decisionmakers looked in it. Speculative as-
    sertions about decisionmakers’ knowledge are insufficient to
    establish a genuine dispute about a material fact. See Nagle v.
    Calumet Park, 
    554 F.3d 1106
    , 1121–22 (7th Cir. 2009). The
    judgment of the district court is therefore
    AFFIRMED.