Fulfer v. WinCo Holdings, Inc.

United States District Court for the Eastern District of California

Fulfer v. WinCo Holdings, Inc.

Trial Court Opinion

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8 UNITED STATES DISTRICT COURT

9 EASTERN DISTRICT OF CALIFORNIA

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11 BRADLEY FULFER, No. 1:15-cv-00999-TLN-EPG 12 Plaintiff, 13 v. ORDER ON SUMMARY JUDGMENT 14 WINCO HOLDINGS, INC., 15 Defendant. 16

17 This matter is before the Court on the motion for summary judgment filed by Defendant

18 WinCo Holdings, Inc. (hereafter, “Defendant”). (ECF No. 30.) Plaintiff Bradley Fulfer

19 (hereafter, “Plaintiff”) filed an opposition. (ECF No. 43.) Plaintiff included with his reply papers

20 numerous objections to the evidence cited in Defendant’s summary judgment motion. (See, e.g.,

21 ECF No. 43-7; ECF No. 43-8.) Defendant filed a reply to Plaintiff’s opposition. (ECF No. 46.)

22 Along with that reply, Defendant filed its own evidentiary objections to Plaintiff’s declaration

23 (ECF No. 46-3), as well as responses to Plaintiff’s evidentiary objections raised regarding

24 Defendant’s evidence (see, e.g., ECF No. 46-5; ECF No. 46-6).

25 The Court has carefully considered this case and reviewed all the materials provided by

26 the parties. For the reasons set forth below, the Court GRANTS in part and DENIES in part

27 Defendant’s motion for summary judgment (ECF No. 30).

28 ///

1 1 I. FACTUAL AND PROCEDURAL BACKGROUND

2 A. Factual Background

3 Unless otherwise indicated, the following facts are either explicitly or effectively

4 undisputed by the parties.

5 i. General Background and Employment Agreements

6 Defendant is an employee-owned supermarket with various locations, including one in

7 Modesto, California. (ECF No. 30-3 ¶ 3.) Plaintiff began working at Defendant’s Modesto

8 location as a part-time freight stocker in 2011. (ECF No. 46-1 ¶ 3.) At all relevant times,

9 Defendant’s attendance policy applied to Plaintiff’s employment. (ECF No. 46-1 ¶¶ 49–50.)

10 That policy stated that Defendant’s employees could be disciplined, up to and including

11 termination, in accordance with a system of progressive discipline. (ECF No. 46-1 ¶ 51.) The

12 exact nature of the progressive discipline that could be imposed in any given employee’s situation

13 was set forth in an agreement between Defendant and the bargaining unit known as WinCo Foods

14 #21 Hourly Employee Association, which was titled “Hourly Employee Working Conditions &

15 Wage Agreement.” (ECF No. 30-3 at 11.) At all relevant times, Plaintiff was subject to this

16 agreement and Defendant’s attendance policy. (ECF No. 46-1 ¶¶ 5–6.)

17 The agreement that governed Plaintiff’s employment with Defendant contained a number

18 of provisions relevant to the instant suit. The agreement generally provided that employees who

19 worked shifts of more than five hours would be provided a thirty-minute meal period (i.e., a lunch

20 break). (ECF No. 30-3 at 15.) The agreement more specifically provided that: (i) if an 21 employee’s shift was between six and seven hours long, this lunch break had to be taken between

22 the second and fifth hours of work; and (ii) if an employee’s shift was more than seven hours

23 long, this lunch break had to be taken between the third and fifth hours of work. (ECF No. 30-3

24 at 15.) Defendant’s policy was “not to allow employees to skip their lunch period.” (ECF No.

25 30-3 at 15.)

26 Defendant also maintained a Reasonable Workplace Accommodations Policy. (See ECF 27 No. 32 at 105–09.) In a section labeled, “Process to Request a Reasonable Workplace

28 Accommodation,” this policy stated that an employee requesting an accommodation could do so

2 1 “through various means, including in person, in writing, or by providing a physician’s note that

2 denotes that the employee has a need for accommodation.” (ECF No. 32 at 107.) Under the

3 “Employee Responsibilities” section of this policy, “employees seeking a reasonable workplace

4 accommodation are expected to provide necessary and appropriate medical documentation, when

5 applicable.” (ECF No. 32 at 106.)

6 ii. Progressive Discipline System

7 Under the progressive discipline system that governed Plaintiff’s employment with

8 Defendant, any employee who accumulated nine or more attendance points in a rolling three-

9 month period, or who accumulated fifteen or more points in a rolling twelve-month period, was

10 subject to discipline. (ECF No. 46-1 ¶ 51; ECF No. 30-3 at 9.) Each absence resulted in three

11 points. (ECF No. 46-1 ¶ 52; ECF No. 30-3 at 9.) An absence was defined as, “loss of time from

12 work that is approved by management and NOT caused by: vacation, holiday, jury duty or

13 subpoena to court, funeral leave, military leave, industrial injury, State or Federal Family Medical

14 Leaves or an authorized leave of absence beyond seven (7) days.” (ECF No. 46-1 ¶ 52.) Each

15 incomplete shift or tardy arrival resulted in two disciplinary points. (ECF No. 46-1 ¶ 53; ECF

16 No. 30-3 at 9.) An incomplete shift was defined as the failure to complete a shift for which the

17 employee was scheduled, while a tardy was defined as punching in three or more minutes after

18 the scheduled shift starting time or return from a lunch break. (ECF No. 30-3 at 9.)

19 Pursuant to the collective bargaining agreement, a first instance of “inadequate

20 performance or improper activity will be discussed with the individual verbally by the store 21 manager, assistant manager, and/or department manager,” with a memorandum of said discussion

22 being placed in the affected employee’s file. (ECF No. 30-3 at 11.) “A second instance of the

23 same or any other type will result in written warning which the employee will be asked to

24 acknowledge.” (ECF No. 30-3 at 11.) “A third instance of any violation of company policies or

25 any type of inadequate performance can result in termination.” (ECF No. 30-3 at 11.)

26 /// 27 ///

28 ///

3 1 iii. Plaintiff’s Interactions with Defendant’s Progressive Discipline

2 System in 2014

3 On April 2, 2014, Plaintiff received a verbal warning for accumulating twenty-two

4 attendance-related points over a twelve-month period. (ECF No. 46-1 ¶ 55.) The parties dispute

5 whether this verbal warning was consistent with Defendant’s attendance policy, with Plaintiff

6 arguing that he “unjustifiably received” six of these twenty-two points based on his

7 nonappearance for work between September 27 and November 15, 2013. (ECF No. 46-1 ¶ 55.)

8 Plaintiff asserts that he should not have been assessed disciplinary points for these two instances

9 because he was unable to work on those dates due to stress and panic attacks “as a result of his

10 medical condition.” (ECF No. 46-1 ¶ 55.)

11 Plaintiff received another warning — this time memorialized in writing because he had

12 already received a prior verbal warning — on June 19, 2014, for accumulating fifteen attendance-

13 related points over a separate twelve-month period. (ECF No. 46-1 ¶ 56.) The parties dispute

14 whether this written warning was consistent with Defendant’s attendance policy, with Plaintiff

15 arguing that he “unjustifiably received” five of these fifteen disciplinary points based on his

16 nonappearance for work on April 11 and June 3, 2014. (ECF No. 46-1 ¶ 56.) Plaintiff asserts

17 that he should not have been assessed disciplinary points for these two instances because he was

18 ill on April 11, and he had a staph infection in his nose on June 3. (ECF No. 46-1 ¶ 56.)

19 On July 3, 2014, Plaintiff was absent from work and accumulated three attendance-related

20 points as a result, apparently because he was suffering from the stomach flu. (ECF No. 46-1 21 ¶¶ 57, 58.) Defendant then suspended Plaintiff from July 7, 2014 through July 9, 2014, on the

22 basis that he accumulated seventeen attendance-related points in a twelve-month period. (ECF

23 No. 46-1 ¶ 58.) The parties dispute whether this suspension was consistent with Defendant’s

24 attendance policy, with Plaintiff arguing that he “unjustifiably received 3 points on July 2, 2014

25 because he was unable to come into work as a result of the stomach flu.” (ECF No. 46-1 ¶¶ 57,

26 58.) 27 ///

28 ///

4 1 iv. Plaintiff’s Work, Medical, and Leave History in 2015

2 Plaintiff injured his knee in January of 2015, and sought treatment for that injury from Dr.

3 Tushar Modi. (ECF No. 46-1 ¶ 59.) On January 22, Dr. Modi wrote a note to Defendant stating

4 that Plaintiff “should be able to do modified duties” at work between January 22 and January 29.

5 (ECF No. 46-1 ¶ 60; ECF No. 46-2 ¶ 22.) Also on January 22, Plaintiff filled out a form titled

6 and characterized as Defendant’s Reasonable Workplace Accommodation Request Form. (ECF

7 No. 46-2 ¶ 26; ECF No. 43-4 at 42.) On this form, Plaintiff indicated that it was difficult for him

8 to walk or kneel, and that he was requesting modified work duties to allow him to avoid having to

9 walk or kneel. (ECF No. 46-2 ¶ 26; ECF No. 43-4 at 42.) Defendant received both the January

10 22 note and the Reasonable Workplace Accommodation Request Form shortly after they were

11 created. (ECF No. 46-2 ¶¶ 23, 27.)

12 Defendant did not place Plaintiff on any modified duties in January 2015. (ECF No. 46-2

13 ¶ 31.) The parties dispute why this decision — or lack thereof — was made. Plaintiff asserts that

14 Defendant — through an employee named Jennifer Amaral to whom Plaintiff explained the

15 extent of the modified duties he was seeking — did not accommodate his request for modified

16 duty because his injury did not occur on the job. (See ECF No. 46-1 ¶ 16; ECF No. 43-6 at 49–

17 50.) Defendant, on the other hand, suggests that it was not required to accommodate Plaintiff’s

18 request for “modified duties” because Plaintiff failed to obtain clarification from Dr. Modi about

19 what was meant by that term. (ECF No. 46-1 ¶ 61.) In any event, Defendant returned to Dr.

20 Modi on January 23, at which point Dr. Modi excused Plaintiff from work entirely through 21 January 29. (ECF No. 46-1 ¶¶ 62–64.)

22 On January 29, Plaintiff worked a shift that began at 11:30 p.m. on that day and concluded

23 at 6:49 a.m. on January 30. (ECF No. 46-1 ¶¶ 64–65.) During Plaintiff’s next scheduled shift

24 that began at 11:30 p.m. on January 30, however, he left work early due to swelling and pain in

25 his injured knee. (ECF No. 46-2 ¶ 37; ECF No. 43-3 at 3.) The parties dispute whether Plaintiff

26 left this scheduled shift early in order to receive additional medical treatment for his knee, or 27 whether he simply left work early due to the pain he was purportedly experiencing. (ECF No. 46-

28 2 ¶ 37.) Regardless of why he left this January 30 shift early, Defendant assessed Plaintiff two

5 1 attendance-related points as a result. (ECF No. 46-2 ¶ 37; ECF No. 43-6 at 150.) On February 2,

2 Dr. Modi excused Plaintiff from work through February 16, and subsequently excused Plaintiff

3 from work through February 23. (ECF No. 46-1 ¶¶ 66–67.)

4 Then, on and following February 23, Dr. Modi filled out a series of employment-related

5 forms that appear somewhat contradictory. One form, a “Short Term Disability Claim Form”

6 dated February 23, stated that Plaintiff’s current restrictions as of that date included no bending or

7 flexing of his knee. (ECF No. 46-2 ¶ 45; ECF No. 32 at 259.) Another form, a “Fitness for Duty

8 Certification” form also dated February 23, stated that Plaintiff could return to work the next day

9 with no physical restrictions. (ECF No. 46-1 ¶ 70; ECF No. 32 at 265.) Then on February 27,

10 Dr. Modi filled out a “California Certification of Health Care Provider for Employee’s or Family

11 Member’s Serious Health Condition” form, which stated that the probable duration of Plaintiff’s

12 medical condition or need for treatment would be three months. (ECF No. 46-2 ¶ 47; ECF No.

13 43-4 at 127–28; ECF No. 32 at 263.) This form also stated that Plaintiff was essentially unable to

14 “perform work of any kind” and was “unable to perform any one or more of the essential

15 functions of” his position. (ECF No. 43-4 at 127; ECF No. 32 at 263.) Dr. Modi faxed these

16 completed forms to Defendant’s third-party leave administrator, Unum, on February 27. (ECF

17 No. 46-1 ¶ 71; ECF No. 32 at 237–38.) Plaintiff explains the discrepancies between these forms

18 by asserting that though Dr. Modi’s February 23 note released Plaintiff back to work with no

19 restrictions, “Plaintiff obtained this [no-restrictions note] from his doctor since Defendant was not

20 allowing Plaintiff to return to work on modified duties.” (ECF No. 46-1 ¶ 73.) 21 Plaintiff returned to work following this knee-related medical leave on the last day of

22 February to work an overnight shift that was scheduled to conclude on March 1, 2015. (ECF No.

23 46-2 ¶ 48; ECF No. 43-4 at 107.) Defendant characterizes Plaintiff’s return to work as being

24 without any restrictions. (ECF No. 46-1 ¶ 74.) Plaintiff, on the other hand, asserts that he wore a

25 knee brace, experienced significant pain in his knee, and informed his supervisors of this upon his

26 return to work on March 1. (ECF No. 46-1 ¶ 73.) Plaintiff further states that during this March 1 27 shift, he requested “an accommodation of being placed in a cashier position” (ECF No. 46-1 ¶

28 73), and informed his supervisors that he intended to apply for Family and Medical Leave Act

6 1 (hereafter, “FMLA”) coverage for his knee injury (ECF No. 46-2 ¶ 49). It does not appear that

2 Plaintiff ever submitted a formal application for any open cashier position (ECF No. 46-2 ¶ 48;

3 see also ECF No. 32 at 85–86), nor does it appear that Plaintiff ever formally applied for FMLA

4 coverage for his knee injury (see ECF No. 46-2 ¶¶ 49–50). Nor did Plaintiff return to Dr. Modi at

5 any subsequent point for the purpose of receiving further treatment related to his knee. (ECF No.

6 46-2 ¶¶ 48–49; ECF No. 32 at 226.) Plaintiff did not become a cashier at Defendant’s Modesto

7 store prior to his termination. (See ECF No. 46-1 ¶¶ 82–83 (stating that Plaintiff was terminated

8 on the same day he was still performing the duties of a freight clerk).)

9 The parties dispute the subsequent course of events, which occurred at the time that

10 Plaintiff was scheduled to work a shift beginning at 11:30 p.m. on March 1 and concluding at

11 8:00 a.m. on March 2. (ECF No. 46-2 ¶ 51.) At 7:31 a.m. on March 2 — twenty-nine minutes

12 before the conclusion of his shift that day — Plaintiff left work to attend a physical therapy

13 appointment for his knee. (ECF No. 46-1 ¶ 77; ECF No. 46-2 ¶ 52.) Defendant assessed Plaintiff

14 two attendance-related points as a result. (ECF No. 46-1 ¶ 78; ECF No. 46-2 ¶ 37.) Plaintiff

15 asserts that these two attendance-related points were unfairly and “unjustifiably” added to his

16 record because Plaintiff received permission from his supervisor — an individual named Jeff

17 Heide who held the position of Lead Clerk — to leave his shift early on March 2. (ECF No. 46-1

18 ¶¶ 76–78; ECF No. 46-2 ¶ 52.) Defendant, for its part, points out that Plaintiff did not follow

19 proper procedure to ensure he would not be penalized for leaving his shift early on March 2: first,

20 he failed to check what time his shift ended on March 2 before scheduling his physical therapy 21 appointment for that date; second, he failed to submit a physician’s note to Defendant regarding

22 the appointment. (ECF No. 46-1 ¶ 78; ECF No. 43-6 at 80.) Though the parties dispute how

23 many attendance-related points Plaintiff had accrued as of the time he received this two-point

24 assessment for his early departure on March 2, they do not dispute that Plaintiff had accrued more

25 than fifteen such points in a twelve-month period. (ECF No. 46-1 ¶ 81; ECF No. 43-4 at 6.)

26 /// 27 ///

28 ///

7 1 v. Termination of Plaintiff’s Employment

2 Matters came to a head on March 10, 2015, when Plaintiff worked the overnight shift that

3 began at 11:28 p.m. on March 9. (ECF No. 46-2 ¶ 62.)

4 At 3:55 a.m. on March 10, Heide requested that Plaintiff fill the Modesto store’s shopping

5 cart room. (ECF No. 46-2 ¶ 63.) Heide’s directive required that Plaintiff fill the shopping cart

6 room with approximately two hundred shopping carts that had been left outside Defendant’s

7 Modesto store. (ECF No. 46-2 ¶¶ 64–65.) Heide gave this directive to Plaintiff approximately

8 five minutes before the time of day when Plaintiff typically took his lunch break (ECF No. 46-2

9 ¶¶ 63, 71), and about thirty-five minutes before the time of day when Plaintiff was mandated to

10 take his lunch break by California law and Defendant’s workplace policy (ECF No. 46-1 ¶ 37;

11 ECF No. 32 at 151; ECF No. 30-3 at 15). This was the first time Plaintiff had been given such an

12 assignment at such a time of night. (ECF No. 46-2 ¶ 65.) Plaintiff performed the task as

13 requested (ECF No. 46-2 ¶ 65), though he asserts that he was visibly limping while retrieving the

14 carts (ECF No. 46-2 ¶ 67). Plaintiff eventually clocked out of his shift for his lunch break at 4:32

15 a.m. (ECF No. 46-2 ¶ 70.) The parties characterize this as a “fifth hour violation” because it

16 meant that Plaintiff had failed to take his lunch break prior to the commencement of his fifth hour

17 of working, in violation of California law and Defendant’s workplace policy. (ECF No. 46-1 ¶¶

18 82–83.)

19 Plaintiff’s employment was terminated on March 10, 2015. (ECF No. 46-1 ¶ 38.) The

20 parties do not dispute that one of Defendant’s reasons for Plaintiff’s termination was the “fifth 21 hour violation” that occurred in the early morning hours of March 10. (ECF No. 46-1 ¶¶ 38, 83.)

22 The parties differ, however, on Defendant’s second rationale for terminating Plaintiff’s

23 employment. Defendant characterizes the second rationale for Plaintiff’s termination as being

24 Plaintiff’s incomplete shift on March 2, 2015. (ECF No. 46-1 ¶¶ 38, 83.) For his part, Plaintiff

25 characterizes the second rationale for his termination as being his accumulation of seven

26 attendance-related points in a three-month period and sixteen attendance-related points in a 27 twelve-month period. (ECF No. 46-1 ¶¶ 38, 83.)

28 ///

8 1 B. Procedural Background

2 Plaintiff did not file a grievance relating to this or any other employment-related issue

3 during the time he worked for Defendant. (ECF No. 46-1 ¶ 39.) However, on May 8, 2015,

4 Plaintiff filed a charge of discrimination with the California Department of Fair Employment and

5 Housing (hereafter, “DFEH”). (ECF No. 46-1 ¶ 93; ECF No. 43-6 at 6–8.) Plaintiff requested

6 and received a right-to-sue letter on that same day. (ECF No. 43-6 at 4.)

7 On May 14, 2015, Plaintiff filed a lawsuit in the Superior Court of the State of California,

8 County of Stanislaus. (ECF No. 5 ¶ 2.) This state-court complaint raises eight causes of action:

9 (i) disability discrimination, in violation of California’s Fair Employment and Housing Act

10 (hereafter, “FEHA”) (ECF No. 5-1 ¶¶ 13–24); (ii) failure to accommodate Plaintiff’s disability, in

11 violation of FEHA (ECF No. 5-1 ¶¶ 25–29); (iii) failure to engage in an interactive process with

12 Plaintiff in order to provide him with a reasonable employment accommodation, in violation of

13 FEHA (ECF No. 5-1 ¶¶ 30–35); (iv) retaliation for protected conduct, in violation of FEHA (ECF

14 No. 5-1 ¶¶ 36–46); (v) intentional infliction of emotional distress (ECF No. 5-1 ¶¶ 47–54);

15 (vi) failure to take reasonable steps to prevent workplace discrimination, in violation of FEHA

16 (ECF No. 5-1 ¶¶ 55–61); (vii) wrongful termination in violation of California public policy (ECF

17 No. 5-1 ¶¶ 62–67); and (viii) violation of Plaintiff’s rights under the FMLA (ECF No. 5-1 ¶¶ 68–

18 72). Defendant removed the suit to this Court in July 2015 (see ECF No. 1), and moved for

19 summary judgment on all claims in May 2017 (see ECF No. 30).

20 II. STANDARD OF LAW 21 Summary judgment is appropriate where the moving party demonstrates that no genuine

22 issue as to any material fact exists and the moving party is entitled to judgment as a matter of law.

23 Fed. R. Civ. P. 56(a); see also Adickes v. S.H. Kress & Co.,

398 U.S. 144, 157

(1970). Under

24 summary judgment practice, the moving party “bears the initial responsibility of informing the

25 district court of the basis for its motion, and identifying those portions of ‘the pleadings,

26 depositions, answers to interrogatories, and admissions on file, together with the affidavits, if 27 any,’ which it believes demonstrate the absence of a genuine issue of material fact.” Celotex

28 Corp. v. Catrett,

477 U.S. 317, 323

(1986).

9 1 If the moving party meets its initial responsibility, the burden then shifts to the opposing

2 party to establish that a genuine issue as to any material fact actually does exist. Matsushita Elec.

3 Indus. Co., Ltd. v. Zenith Radio Corp.,

475 U.S. 574

, 585–87 (1986); First Nat’l Bank of Ariz. v.

4 Cities Serv. Co.,

391 U.S. 253

, 288–89 (1968). In attempting to establish the existence of this

5 factual dispute, the opposing party is required to tender evidence of specific facts in the form of

6 affidavits or admissible discovery material. Fed. R. Civ. P. 56(c). The opposing party must

7 demonstrate that the fact in contention is material in the sense that it “might affect the outcome of

8 the suit under the governing law.” Anderson v. Liberty Lobby, Inc.,

477 U.S. 242, 248

(1986).

9 The opposing party must also demonstrate that the dispute is such that a reasonable jury could

10 return a verdict for the nonmoving party.

Id.

at 251–52.

11 In resolving a summary judgment motion, a district court examines the pleadings,

12 depositions, answers to interrogatories, and admissions on file, together with any applicable

13 affidavits. Fed. R. Civ. P. 56(c); SEC v. Seaboard Corp.,

677 F.2d 1301

, 1305–06 (9th Cir.

14 1982). The evidence of the opposing party is to be believed, and all reasonable inferences that

15 may be drawn from the facts pleaded before the court must be drawn in favor of the opposing

16 party. Anderson,

477 U.S. at 255

(citing Adickes, 398 U.S. at 158–59). Nevertheless, inferences

17 are not drawn out of the air, and it is the opposing party’s obligation to produce a factual

18 predicate from which an inference may be drawn. Richards v. Nielsen Freight Lines,

602 F. 19

Supp. 1224, 1244–45 (E.D. Cal. 1985), aff’d,

810 F.2d 898

(9th Cir. 1987). “Credibility

20 determinations, the weighing of the evidence, and the drawing of legitimate inferences from the 21 facts are jury functions, not those of a judge,” when ruling on a motion for summary judgment.

22 Anderson,

477 U.S. at 255

. Finally, to demonstrate a genuine issue that necessitates a jury trial,

23 the opposing party “must do more than simply show that there is some metaphysical doubt as to

24 the material facts.” Matsushita,

475 U.S. at 586

. “Where the record taken as a whole could not

25 lead a rational trier of fact to find for the nonmoving party, there is no ‘genuine issue for trial.’”

26

Id.

at 587 (quoting First Nat’l Bank of Ariz.,

391 U.S. at 289

). Indeed, if a party “fails to properly 27 address another party’s assertion of fact,” a district court may “consider the fact undisputed for

28 purposes of the motion” or may “grant summary judgment if the motion and supporting materials

10 1 — including the facts considered undisputed — show that the movant is entitled to it.” Fed. R.

2 Civ. P. 56(e).

3 III. ANALYSIS

4 A. Evidentiary Objections

5 As a preliminary matter, the Court will address evidentiary objections lodged by the

6 parties only to evidence upon which the Court relied in considering and preparing this Order.

7 i. “Mischaracterization” Objections

8 Defendant lodged numerous objections to the characterization of many of the purportedly

9 undisputed facts provided by Plaintiff. (See, e.g., ECF No. 46-2 ¶¶ 52–59.) The Court

10 categorically overrules Defendant’s mischaracterization objections because they are merely

11 disputes about the meaning of certain facts that are styled as evidentiary objections. See Cooper

12 v. United Air Lines, Inc.,

82 F. Supp. 3d 1084, 1098

(N.D. Cal. 2015) (“Defendant’s

13 objections that Plaintiff has in numerous places mischaracterized the record or deposition

14 testimony are overruled as the Court is able to view the deposition testimony and other evidence

15 and evaluate both on its own.”).

16 ii. Blanket Hearsay Objections

17 Defendant lodged a number of blanket hearsay objections to items of evidence identified

18 in Plaintiff’s separate statement of facts, but these objections fail to identify which exact pieces of

19 evidence are supposedly inadmissible hearsay. (See, e.g., ECF No. 46-2 ¶ 66.) The Court

20 categorically overrules any such blanket hearsay objections that are not directed to specific items 21 of evidence. See Hunter v. White, No. 1:13-cv-01681-DAD-GSA-PC,

2018 WL 2329219

, at *3

22 (E.D. Cal. May 23, 2018) (“The court finds Defendant’s hearsay objections to be ‘boilerplate

23 recitations of evidentiary principles or blanket objections without analysis applied to specific

24 items of evidence,’ which should be rejected.” (quoting Stonefire Grill, Inc. v. FGF Brands, Inc.,

25

987 F. Supp. 2d 1023, 1033

(C.D. Cal. 2013))); Ramsey v. Siskiyou Hosp., Inc., No. 2:14-cv-

26 01908-KJM-CMK,

2016 WL 3197557

, at *1 (E.D. Cal. June 9, 2016) (rejecting many evidentiary 27 objections on same grounds).

28 ///

11 1 iii. Hearsay Objection to Paragraph 28 of Plaintiff’s Separate

2 Statement of Facts

3 Defendant objects on hearsay grounds to paragraph 28 of Plaintiff’s separate statement of

4 facts. (See ECF No. 46-2 ¶ 28.) Paragraph 28 cites to portions of Plaintiff’s deposition and reads,

5 in its entirety: “At no point in time did Ms. Amaral ask Plaintiff to clarify what ‘modified duties’

6 meant.” (ECF No. 46-2 ¶ 28.) To the extent Defendant’s objection is directed at the substantive

7 text of paragraph 28 transcribed in the previous sentence of this Order, the Court overrules this

8 objection because that text is not an out-of-court statement offered to prove the truth of what it

9 asserts, nor is it nonverbal conduct that Amaral intended as an assertion. See Fed. R. Evid. 801(a)

10 (“‘Statement’ means a person’s oral assertion, written assertion, or nonverbal conduct, if the

11 person intended it as an assertion.”). The text of paragraph 28 is not a statement (or nonverbal

12 conduct intended as a statement) at all because it simply describes the absence of a statement by

13 anyone employed by Defendant.

14 To the extent Defendant’s objection is directed at Plaintiff’s deposition testimony

15 describing the particulars of what Amaral said to Plaintiff after he submitted his request for

16 modified duties to accommodate his knee injury, the Court also overrules that objection. A

17 statement is not hearsay if it is offered against an opposing party and “was made by the party’s

18 agent or employee on a matter within the scope of that relationship and while it existed.” Fed. R.

19 Evid. 801(d)(2)(D); see United States v. Bonds,

608 F.3d 495, 502

(9th Cir. 2010) (“Subsection

20 (D) authorizes admission of any statement against a party, but only provided it is made within the 21 scope of an employment or agency relationship.”). The record contains evidence suggesting that

22 Amaral was Defendant’s employee and was the point person for Plaintiff to speak with regarding

23 any requests for workplace accommodation. (See ECF No. 43-6 at 90–91; ECF No. 32 at 185–

24 88; ECF No. 46-2 ¶ 23 (equating the provision of a physician’s note to Amaral with the provision

25 of said note to Defendant itself).) And though there are some indications in the record that

26 Amaral was not employed by Defendant to discuss accommodation-related matters with other 27 employees (see ECF No. 43-6 at 135), this evidence is not strong enough to overcome the

28 documentary evidence showing that Amaral and others in similar positions did, in fact, process

12 1 workplace accommodation requests and serve as points of contact for Plaintiff when he requested

2 accommodation (see ECF No. 32 at 181–88; ECF No. 32-1 at 27, 36, 81).

3 Accordingly, statements made by Amaral regarding Plaintiff’s request for accommodation

4 were made within the scope of her employment relationship with Defendant, and therefore

5 qualify as non-hearsay pursuant to Rule 801(d)(2)(D) of the Federal Rules of Evidence. Bonds,

6

608 F.3d at 502

.

7 iv. Declaration of Margarita Garcia

8 Plaintiff objects to the entire declaration of Margarita Garcia on grounds that Garcia was

9 not properly disclosed during discovery as a person with knowledge of facts relevant to the

10 instant matter. (ECF No. 43-9 ¶ 1.) Defendant appears to concede that Garcia’s identity as a

11 potentially relevant witness was not formally disclosed during discovery, but nonetheless argues

12 that Plaintiff was constructively on notice of Garcia’s identity and her potentially relevant

13 knowledge. (ECF No. 46-5 ¶ 1.) Defendant also asserts that any failure to formally disclose

14 Garcia’s identity during discovery was harmless because the primary purpose of her declaration is

15 primarily to authenticate documentary evidence to which Plaintiff cannot reasonably object.

16 (ECF No. 46-5 ¶ 1.)

17 It is beyond dispute that the Federal Rules of Civil Procedure require parties to disclose

18 the name of each individual likely to have discoverable information. Fed. R. Civ. P. 26(a)(1)(A).

19 Failure to do so can preclude the delinquent party from relying on the undisclosed witness or

20 information at summary judgment, unless the nondisclosure was substantially justified or 21 harmless. Fed. R. Civ. P. 37(c)(1); Yeti by Molly, Ltd. v. Deckers Outdoor Corp.,

259 F.3d 1101

,

22 1106 (9th Cir. 2001) (“Two express exceptions ameliorate the harshness of Rule 37(c)(1): The

23 information may be introduced if the parties’ failure to disclose the required information is

24 substantially justified or harmless.”). The burden to demonstrate substantial justification or

25 harmlessness is on the party that failed to disclose.

Id. at 1107

. Five factors inform the district

26 court’s analysis of whether a party’s failure to disclose a potential witness was harmless: “1) the 27 public’s interest in expeditious resolution of litigation; 2) the court’s need to manage its docket;

28 3) the risk of prejudice to the [non-disclosing party]; 4) the public policy favoring disposition of

13 1 cases on their merits; 5) the availability of less drastic sanctions.” Wendt v. Host Int’l, Inc., 125

2 F.3d 806, 814

(9th Cir. 1997).

3 Here, the first, second, and fifth factors are essentially irrelevant to Defendant’s failure to

4 disclose Garcia in accordance with the requirements of Rule 26 of the Federal Rules of Civil

5 Procedure, so the Court will not discuss them. See

id.

The third factor — risk of prejudice to

6 Plaintiff as the non-disclosing party — weighs only somewhat in favor of sustaining Plaintiff’s

7 objection. Though Defendant argues that the risk of prejudice is somewhat limited here because

8 Plaintiff and his counsel became familiar with Garcia’s role in Defendant’s corporate structure in

9 the course of discovery (ECF No. 46-5 ¶ 1 (noting that Garcia’s name was mentioned as an

10 employee of Defendant who worked in the corporate office)), the deposition during which

11 Garcia’s name was mentioned occurred only six days before the fact discovery deadline (ECF No.

12 46-5 ¶ 1 (asserting that the relevant deposition occurred on November 16, 2016); ECF No. 24 at 4

13 (setting the fact discovery deadline for November 22, 2016)). Thus, though it is technically true

14 that Plaintiff knew that Garcia would be a potentially relevant witness at some point during the

15 litigation, Plaintiff only found out about Garcia when there was insufficient time to notice

16 Garcia’s deposition or serve interrogatories focused on Garcia’s role. See Van Maanen v. Youth

17 With a Mission-Bishop,

852 F. Supp. 2d 1232, 1237

(E.D. Cal. 2012) (refusing to strike a

18 declaration submitted in support of a summary judgment motion where the declarant’s “identity,

19 position, location, and the subject of the information he possessed were made known to Plaintiff

20 through” other depositions in the case because those depositions occurred more than a month 21 before the discovery cutoff), aff’d sub nom. Van Maanen v. Univ. of the Nations, Inc.,

542 F. 22

App’x 581 (9th Cir. 2013).

23 The public policy favoring disposition of cases on their merits weighs more heavily in

24 favor of overruling Plaintiff’s objection. The primary purpose of Garcia’s declaration — and the

25 context in which the Court relied on that declaration — is the authentication of documents from

26 Defendant’s employment records. (See ECF No. 32-1 at 11–168.) A district court may exercise 27 its discretion to consider materials authenticated by a declarant who was not properly disclosed

28 because such consideration is harmless. See Lam v. City & Cty. of S.F.,

565 F. App’x 641

, 643

14 1 (9th Cir. 2014) (citing Fed. R. Civ. P. 37(c)(1); Beauperthuy v. 24 Hour Fitness USA, Inc.,

772 F. 2

Supp. 2d 1111, 1120 (N.D. Cal. 2011)). Since Plaintiff does not object to the authenticity of the

3 documents and records referenced in Garcia’s declaration, and since considering these documents

4 as evidence will assist the Court in ruling on Defendant’s summary judgment motion, the public

5 policy in favor of disposing cases on their merits weighs against Plaintiff’s objection. (See ECF

6 No. 46-5 ¶ 1 (objecting to Garcia’s declaration only on failure-to-disclose grounds).)

7 For the foregoing reasons, the Court partially sustains and partially overrules Plaintiff’s

8 objection. The Court will consider documentary evidence authenticated by Garcia’s declaration

9 because doing so is harmless. See Lam,

565 F. App’x at 643

. At the same time, the Court will

10 not consider any substantive evidence contained in the declaration itself because Defendant fails

11 to carry its burden to demonstrate that its failure to disclose Garcia was substantially justified or

12 harmless. See Yeti by Molly, Ltd.,

259 F.3d at 1106

.

13 v. Declaration of Bradley Fulfer

14 Defendant objects to much of the declaration submitted by Plaintiff alongside his

15 opposition papers. (ECF No. 46-3.) The Court adjudicates only those objections which are

16 directed at evidence upon which the Court relied in ruling on Defendant’s motion.

17 a. Paragraph 8

18 Defendant objects to paragraph 8 as being contradictory to Plaintiff’s deposition

19 testimony. (ECF No. 46-3 ¶ 3.)

20 The Court overrules this objection because Defendant makes no effort to demonstrate why 21 the contents of this paragraph are inadmissible under the Federal Rules of Evidence or any other

22 evidentiary doctrine. (See ECF No. 46-3 ¶ 3); Fed. R. Civ. P. 56(c)(4) (requiring declarations

23 used to oppose a summary judgment motion to “set out facts that would be admissible in

24 evidence”). And even if it were required to reach the merits of Defendant’s objection, the Court

25 would overrule it because Plaintiff testified at his deposition that he “asked [Amaral] to be placed

26 on light duty,” which is consistent with the contents of paragraph 8 of his declaration even though 27 that paragraph is more detailed and expansive.

28 ///

15 1 b. Paragraph 17

2 Defendant objects to paragraph 17 on grounds that it contains an improper legal

3 conclusion under Rule 704 of the Federal Rules of Evidence, that it lacks foundation under Rule

4 602, and that it contradicts Plaintiff’s prior deposition testimony. (ECF No. 46-3 ¶ 10.)

5 It is beyond dispute that a witness may only testify to a matter “if evidence is introduced

6 sufficient to support a finding that the witness has personal knowledge of the matter.” Fed. R.

7 Evid. 602. That being said, “the requirement of personal knowledge imposes only a ‘minimal’

8 burden on a witness; if ‘reasonable persons could differ as to whether the witness had an adequate

9 opportunity to observe, the witness’s testimony is admissible.’” Strong v. Valdez Fine Foods,

10

724 F.3d 1042, 1045

(9th Cir. 2013) (quoting 1 Charles McCormick, McCormick on Evidence §

11 10 (Kenneth S. Broun, ed., 7th ed. 2013)). Furthermore, the personal knowledge bar at summary

12 judgment “is particularly low because all ‘justifiable inferences’ must be drawn in favor of the

13 nonmoving party.” Id. (quoting Anderson,

477 U.S. at 255

). Also, a lay witness “may testify

14 only to ‘those opinions or inferences which are (a) rationally based on the perception of

15 the witness and (b) helpful to a clear understanding of the witness’ testimony or the determination

16 of a fact in issue.’” United States v. Crawford,

239 F.3d 1086, 1090

(9th Cir. 2001) (quoting Fed.

17 R. Evid. 701). “A lay witness may testify as to an ultimate issue of fact, so long as the testimony

18 is otherwise admissible.”

Id.

(citing Fed. R. Evid. 704). “The lay witness may not, however,

19 testify as to a legal conclusion . . . .”

Id.

(citing Evangelista v. Inlandboatmen’s Union of Pac.,

20

777 F.2d 1390

, 1398 n.3 (9th Cir. 1985)). 21 The Court overrules Defendant’s objection to paragraph 17 of Plaintiff’s declaration to the

22 extent it is purported to lack the requisite personal knowledge or contain a legal conclusion. This

23 paragraph contains information that relates directly to Plaintiff’s own employment and leave

24 situation, a situation about which Plaintiff almost certainly has personal knowledge since it

25 directly affects his own life. (See ECF No. 43-6 ¶¶ 1–2.) Second, it is not a legal conclusion for

26 Plaintiff to declare that he intended to avail himself of any FMLA leave which he had available. 27 Plaintiff does not need to exercise legal judgment in order to tell his supervisors that he himself

28 intended to do something in the future.

16 1 The Court also overrules Defendant’s objection on grounds that it contradicts Plaintiff’s

2 deposition testimony. The relevant component of Plaintiff’s evidence as set forth in paragraph 17

3 of his declaration is that he informed his supervisors in March of 2015 that he wished to have his

4 knee injury accommodated by being trained to become a cashier, and Plaintiff’s deposition

5 testimony was consistent with this. (See ECF No. 43-6 at 98–99.) And while it may be true that

6 Plaintiff also testified at his deposition that he could not recall whether he ever specifically spoke

7 to Heide about becoming a cashier (see ECF No. 43-6 at 99), that does not necessarily make

8 paragraph 17 of Plaintiff’s declaration so contradictory as to be inadmissible, see Van Asdale v.

9 Int’l Game Tech.,

577 F.3d 989, 999

(9th Cir. 2009) (holding that a “non-moving party is not

10 precluded from elaborating upon, explaining or clarifying prior testimony elicited by opposing

11 counsel on deposition [and] minor inconsistencies that result from an honest discrepancy, a

12 mistake, or newly discovered evidence afford no basis for excluding an opposition affidavit”

13 (alteration in original) (quoting Messick v. Horizon Indus.,

62 F.3d 1227

, 1231 (9th Cir. 1995))).

14 c. Paragraph 20

15 Defendant objects to paragraph 20 of Plaintiff’s declaration on grounds that it (i) lacks

16 foundation under Rule 602 of the Federal Rules of Evidence, (ii) contains inadmissible hearsay,

17 (iii) contains an improper lay opinion under Rule 701, and (iv) contradicts his prior deposition

18 testimony. (ECF No. 46-3 ¶ 13.)

19 Defendant’s objection predicated on improper witness testimony is overruled because the

20 Court can locate no opinion in paragraph 20 of Plaintiff’s declaration that would implicate Rule 21 701. (See ECF No. 46-3 ¶ 13.)

22 Defendant’s objections predicated on hearsay and contradictory testimony are overruled.

23 First, there is no indication that paragraph 20 incorporates any out-of-court statements offered for

24 their truth, as would be required for evidence to be made inadmissible by operation of the rule

25 against hearsay. See Fed. R. Evid. 801(a) (“‘Statement’ means a person’s oral assertion, written

26 assertion, or nonverbal conduct, if the person intended it as an assertion.”); Fraser v. Goodale, 27

342 F.3d 1032, 1036

(9th Cir. 2003) (“At the summary judgment stage, we do not focus on

28 the admissibility of the evidence’s form. We instead focus on the admissibility of its contents.”

17 1 (citing Block v. City of L.A.,

253 F.3d 410

, 418–19 (9th Cir. 2001))). Second, Defendant’s

2 citation to Plaintiff’s deposition testimony does not demonstrate what Defendant says it

3 demonstrates, namely that Plaintiff “was allotted points for every unprotected incomplete shift

4 that he worked.” (ECF No. 46-3 ¶ 13.) Therefore, the assertion in paragraph 20 of Plaintiff’s

5 declaration that he frequently left work early without being disciplined does not contradict his

6 prior deposition testimony. See Van Asdale,

577 F.3d at 999

(holding that a “non-moving party is

7 not precluded from elaborating upon, explaining or clarifying prior testimony elicited by

8 opposing counsel on deposition [and] minor inconsistencies that result from an honest

9 discrepancy, a mistake, or newly discovered evidence afford no basis for excluding an opposition

10 affidavit” (alteration in original) (quoting Messick, 62 F.3d at 1231)).

11 Defendant’s objection predicated on lack of foundation under Rule 602 is sustained in part

12 and overruled in part. A witness may testify to a matter “only if evidence is introduced sufficient

13 to support a finding that the witness has personal knowledge of the matter.” Fed. R. Evid. 602.

14 There is no indication here that Plaintiff has personal knowledge of the manner in which other

15 employees were treated when they departed work early. Accordingly, Defendant’s objection is

16 sustained to the extent it challenges the foundation for Plaintiff’s statement that leaving work

17 early without being disciplined “was commonly done by other employees at WinCo.” (ECF No.

18 46-3 ¶ 13.) Defendant’s objection is overruled, however, to the extent it attacks paragraph 20’s

19 foundation for Plaintiff’s statement that he himself left work early on numerous occasions without

20 being disciplined. (ECF No. 46-3 ¶ 13.) Plaintiff certainly has personal knowledge of his own 21 employment and discipline history. (See ECF No. 43-3 ¶¶ 1–2.) Furthermore, to the extent

22 Plaintiff “fails to explain the specifics as to why we [sic] left work early on some occasions,

23 whether it was excused, and/or whether it was because his work shift ended early,” these

24 deficiencies go to the weight, not the admissibility, of Plaintiff’s proffered evidence. (ECF No.

25 46-3 ¶ 13.)

26 B. Disability Discrimination in Violation of FEHA 27 Defendant urges the Court to grant summary judgment in its favor on Plaintiff’s FEHA

28 disability discrimination claim, arguing that Plaintiff cannot establish a prima facie case of

18 1 disability discrimination because (i) Plaintiff was not disabled, and (ii) Plaintiff presented no

2 evidence of a discriminatory motive for his termination. (ECF No. 42-1 at 17–20.) Plaintiff

3 argues that summary judgment is not appropriate because the evidence demonstrates that

4 (i) Plaintiff was disabled under FEHA because his knee injury limited his ability to engage in the

5 major life activity of walking and working, and (ii) Plaintiff’s termination was due to his conduct

6 that related to his knee injury. (ECF No. 43 at 13–17.) The parties also dispute whether there is

7 evidence creating a genuine dispute of material fact as to whether the reasons Defendant gave for

8 terminating Plaintiff’s employment were pretextual. (ECF No. 42-1 at 20; ECF No. 43 at 17–19.)

9 The elements of a prima facie claim of disability discrimination under FEHA are that the

10 plaintiff (i) suffers from a disability, (ii) is otherwise qualified to do his or her job, and (iii) was

11 subjected to adverse employment action because of his or her disability. Nigro v. Sears, Roebuck

12 & Co.,

784 F.3d 495, 497

(9th Cir. 2015). Claims for relief brought pursuant to FEHA are

13 subject to a three-step burden-shifting analysis. Alamillo v. BNSF Ry. Co.,

869 F.3d 916, 920

(9th

14 Cir. 2017). Hence,

15 [o]n a motion for summary judgment . . . the plaintiff bears the burden of establishing a prima facie case of discrimination based 16 upon physical disability, and the burden then shifts to the employer to offer a legitimate, nondiscriminatory reason for the adverse 17 employment action. Once the employer has done so the plaintiff must offer evidence that the employer’s stated reason is either false 18 or pretextual, or evidence that the employer acted with discriminatory animus, or evidence of each which would permit a 19 reasonable trier of fact to conclude the employer intentionally discriminated. 20 21

Id.

(second alteration in original) (quoting Faust v. Cal. Portland Cement Co.,

58 Cal. Rptr. 3d 22 729, 745

(Ct. App. 2007)). When applying this burden-shifting analysis, a district court must

23 keep in mind that “[i]t should not take a whole lot of evidence to establish a genuine issue of

24 material fact in a disability discrimination case, at least where the fact issue on discrimination is

25 genuine and the disability would not preclude gainful employment of a person working with

26 accommodation.” Nigro,

784 F.3d at 499

. 27 i. Presence of a Physical Disability

28 With respect to the requirement that a plaintiff claiming disability discrimination must

19 1 first establish the existence of a disability, FEHA defines a “[p]hysical disability” broadly as

2 having any physiological condition that (i) affects the body’s systems (including the

3 musculoskeletal system) and (ii) limits a major life activity, defined as “physical, mental, and

4 social activities and working.” Cal. Gov’t Code § 12926. A plaintiff is not necessarily required

5 to tender medical evidence to establish a genuine issue of material fact regarding the impairment

6 of a major life activity at the summary judgment stage. Rohr v. Salt River Project Agric.

7 Improvement & Power Dist.,

555 F.3d 850

, 858–59 (9th Cir. 2009) (citing Head v. Glacier Nw.,

8 Inc.,

413 F.3d 1053, 1058

(9th Cir. 2005), overruled on other grounds by Murray v. Mayo Clinic,

9

934 F.3d 1101

(9th Cir. 2019)). Accordingly, a plaintiff’s affidavit alone — so long as it is not

10 merely self-serving and contains sufficient detail — may suffice to defeat summary judgment on

11 the question of disability.

Id.

at 859 (citing Head,

413 F.3d at 1059

).

12 According to Defendant, Plaintiff cannot establish the first element of his disability

13 discrimination claim because there is no evidence he was disabled under FEHA at the time of his

14 termination. Defendant’s argument in this regard relies primarily on the fact that when Plaintiff

15 incurred attendance-related violations on March 2 and March 10, 2015, he had — at least

16 according to the “Fitness for Duty Certification” form that Dr. Modi had signed and transmitted

17 to Defendant’s leave administrator — returned to work with no physical restrictions. (ECF No.

18 42-1 at 18.) The implication is that Dr. Modi’s medical judgment that Plaintiff was healthy

19 enough to work without restrictions should prevail over Plaintiff’s later protestations that he was,

20 in fact, still injured in March 2015. According to Plaintiff, this emphasis on Dr. Modi’s “Fitness 21 for Duty Certification” form ignores the substantial other evidence that Plaintiff’s knee made it

22 painful and difficult for him to perform his job without accommodations. (ECF No. 43 at 14.)

23 The Court finds that there is enough evidence in the record to create a genuine factual

24 dispute regarding whether Plaintiff was disabled within the meaning of FEHA at the time of his

25 termination. First, Plaintiff testified at his deposition that when he returned to work in February

26 and March 2015, he continued to experience pain in his knee and informed his supervisors as 27 such. (ECF No. 43-6 at 81, 91–92, 94, 100.) Plaintiff spoke with his supervisors more than once

28 during this time period about his need to attend physical therapy appointments for his knee. (E.g.,

20 1 ECF No. 43-6 at 77 (regarding Plaintiff’s March 2 appointment), 79 (regarding Plaintiff’s March

2 4 appointment).) Plaintiff also testified at his deposition that he wore a knee brace that was

3 visible to his supervisors “at some point in time.” (ECF No. 43-6 at 94–95.) This temporal

4 uncertainty about the knee brace is clarified by Plaintiff’s declaration, in which he states that he

5 wore this visible knee brace after returning to work in March 2015. (ECF No. 43-3 at 3.) Far

6 from “contradicting prior, sworn deposition testimony” Plaintiff gave about the status of his

7 injury in March 2015, as Defendant contends (ECF No. 46-2 ¶¶ 48–49), Plaintiff’s declaration

8 simply provides details of when he appeared at work wearing a knee brace, see Rohr,

555 F.3d at 9

859 (holding that to survive summary judgment, an affidavit supporting the existence of a

10 disability only need contain sufficient detail to convey the existence of an impairment).

11 Furthermore, Plaintiff’s declaration clarifies that he wore this visible knee brace during the very

12 period of time when Defendant argues that Plaintiff was not actually disabled. (ECF No. 42-1 at

13 18–19.)

14 Second, Defendant’s reliance on Dr. Modi’s paperwork to prove the absence of a genuine

15 dispute regarding Plaintiff’s disability is misplaced, because that very paperwork is at best

16 unclear about whether Plaintiff was cleared to work without restrictions in March 2015. (See

17 ECF No. 42-1 at 18–19.) Dr. Modi did testify during his deposition that his office gave

18 Defendant a “Fitness for Duty Certification” form in late February that purported to release

19 Plaintiff to work with no restrictions, but Dr. Modi also testified that his office gave Defendant

20 the “California Certification of Health Care Provider for Employee’s or Family Member’s 21 Serious Health Condition” form at the same time. (ECF No. 32 at 238.) This latter form quite

22 clearly stated that Plaintiff was “unable to perform any one or more of the essential functions of

23 [his] position.” (ECF No. 32 at 263.) Defendant does not raise any credible assertion that one

24 piece of paper it received from Dr. Modi regarding Plaintiff’s physical condition was any more

25 reliable or compelling than another contradictory piece of paper it received from the same source

26 at the same time. (See ECF No. 42-1 at 18–19 (containing no reference to the “California 27 Certification of Health Care Provider for Employee’s or Family Member’s Serious Health

28 Condition” form).)

21 1 Defendant makes much of the fact that Plaintiff “admits that he never asked for or

2 obtained a doctor’s note providing him with any restrictions, or taking him off work for an

3 additional period of time.” (ECF No. 42-1 at 18.) The implication is that had Plaintiff actually

4 been injured in February and March 2015, he would have obtained a note from Dr. Modi

5 verifying as such. But the very portion of Plaintiff’s deposition that Defendant cites for this

6 proposition, when viewed alongside other evidence before the Court, reveals that Plaintiff had a

7 reasonable explanation for why he never requested that Dr. Modi provide him with such a note in

8 February or March 2015: because he needed to work to earn money (ECF No. 43-6 at 100), and

9 based on his unfulfilled request to be trained as a cashier, he believed that Defendant was unlikely

10 to allow him to work in a less physically demanding capacity (ECF No. 43-6 at 92–94). This

11 produces a garden-variety dispute of material fact because there is evidence on which a

12 reasonable jury could either credit Defendant’s theory (that the lack of a physician’s note in

13 March 2015 means Plaintiff was not actually injured during that time), or could credit Plaintiff’s

14 theory (that he tried to work through his knee pain without a doctor’s note because he needed

15 money and felt that he had no alternative). A jury, not this Court, must weigh these conflicting

16 pieces of evidence regarding the legitimacy of Plaintiff’s injury. See Anderson,

477 U.S. at 255

17 (“Credibility determinations, the weighing of the evidence, and the drawing of legitimate

18 inferences from the facts are jury functions, not those of a judge . . . .”).

19 And in any event, Defendant cites no authority for the proposition that FEHA requires an

20 employee to provide medical documentation confirming the existence of a covered disability 21 when, as here, there is readily apparent indicia that the employee’s ability to work is limited by a

22 musculoskeletal injury. See Cal. Gov’t Code § 12926 (defining the scope of a physical disability

23 as having a physiological condition that limits a major life activity). Indeed, the only legal

24 authority cited by the parties on this point is contrary to Defendant’s contention that Plaintiff

25 cannot establish the existence of a genuine dispute of fact regarding his disability because he

26 lacks documentation from Dr. Modi. See Rohr,

555 F.3d at 859

(stating that establishing a triable 27 issue regarding the existence of a disability may be done by proffering a non-self-serving

28 declaration that contains “sufficient detail to convey the existence of an impairment” (quoting

22

1 Head, 413

F.3d at 1059)).

2 From this evidence viewed in the light most favorable to Plaintiff, a reasonable jury could

3 conclude not only that Plaintiff was physically disabled in March 2015, but that his employer

4 knew of that disability at the time. Therefore, Defendant is not entitled to summary judgment on

5 its argument that Plaintiff was not disabled at the time his employment was terminated.

6 ii. Plaintiff’s Qualification to Perform His Job

7 Defendant raises the second element of Plaintiff’s prima facie case — that Plaintiff was

8 otherwise qualified to do his job, see Nigro,

784 F.3d at 497

— for the first time in its reply brief

9 (see ECF No. 46 at 4). A district court “need not consider arguments raised for the first time in a

10 reply brief.” Zamani v. Carnes,

491 F.3d 990, 997

(9th Cir. 2007) (citing Koerner v. Grigas, 328

11 F.3d 1039, 1048

(9th Cir. 2003)). Consequently, the Court will not grant summary judgment for

12 Defendant on the basis that Plaintiff failed to make out a prima facie case that he was qualified to

13 perform the essential functions of his job.

14 iii. Disability as Substantial Motivating Factor for Termination

15 With respect to the third element of a disability discrimination claim that requires a

16 plaintiff to demonstrate termination due to said plaintiff’s disability (i.e., causation), an employer

17 discriminates against an employee “‘because of’ a disability when the disability is a substantial

18 motivating reason for the employer’s decision to subject the employee to an adverse employment

19 action.” Alamillo,

869 F.3d at 920

(quoting Wallace v. Cty. of Stanislaus,

199 Cal. Rptr. 3d 462

,

20 475 (Ct. App. 2016)); see also Humphrey v. Mem’l Hosps. Ass’n,

239 F.3d 1128

, 1139–40 (9th 21 Cir. 2001) (in case brought pursuant to Americans With Disabilities Act (“ADA”), holding that

22 “conduct resulting from a disability is considered to be part of the disability, rather than a separate

23 basis for termination”).1 “The link between the disability and termination is particularly strong

24 where it is the employer’s failure to reasonably accommodate a known disability that leads to

25 discharge for performance inadequacies resulting from that disability.”

Id.

at 1140 (citing

26 Borkowski v. Valley Cent. Sch. Dist.,

63 F.3d 131, 143

(2d Cir. 1995)). 27 1 Courts deciding FEHA cases frequently and properly rely on cases interpreting the ADA because “the FEHA provisions relating to disability discrimination are based on the ADA.” Humphrey,

239 F.3d at 1133

n.6. 28

23 1 Defendant argues that Plaintiff “cannot establish a prima facie claim of disability

2 discrimination because he cannot show that WinCo terminated him because of his disability.”

3 (ECF No. 42-1 at 19.) This argument relies on Defendant’s characterization of Plaintiff’s

4 termination as being predicated solely on his “back-to-back violations in March 2015” of

5 Defendant’s attendance policy, in which Plaintiff accumulated an abundance of attendance-

6 related points. (ECF No. 42-1 at 19.) To support this argument, Defendant again relies on Dr.

7 Modi’s “Fitness for Duty Certification” form as evidence that Plaintiff’s employment in March

8 2015 was without any physical restrictions, with the implication being that Defendant could not

9 have terminated Plaintiff because of a disability that Plaintiff’s own physician said was not

10 affecting his ability to work. (ECF No. 42-1 at 20.) Defendant also points out that Plaintiff was

11 scheduled to work a full 39.5-hour shift during the week he returned to work in March 2015,

12 which demonstrates that there was no discriminatory animus on Defendant’s part to attempt to

13 push him out by limiting his hours. (ECF No. 42-1 at 20.)

14 Plaintiff attempts to create a genuine dispute of fact on this causation element by arguing

15 that the last seven attendance points he incurred were “clearly as a result of his knee condition

16 and his need to treat his disability.” (ECF No. 43 at 17.) As support for this argument, Plaintiff

17 cites to four main pieces of evidence. First, Plaintiff points to evidence that he was assessed three

18 disciplinary points for absences incurred between January 22 and January 29, 2015, even though

19 Plaintiff provided Defendant’s representatives with a note from Dr. Modi asking that he be placed

20 on modified duties during that time-frame. (ECF No. 43 at 17 (citing ECF No. 46-2 ¶ 22); see 21 also ECF No. 46-2 ¶¶ 23, 26 (demonstrating Defendant’s knowledge of Plaintiff’s request for

22 modified duties in late January 2015).) Defendant responds that these three points were properly

23 assessed because “Unum’s documentation stated that a date was not reported between January 22,

24 2015, through January 29, 2015.” (ECF No. 46 at 5.) Second, Plaintiff cites to evidence that

25 Defendant assessed him two attendance-related points on January 30, 2015 after his knee swelled

26 up and forced him to abandon his shift early. (ECF No. 43 at 17 (citing ECF No. 46-2 ¶ 37).) 27 Third, Plaintiff cites evidence that on March 2, 2015, he was assessed two additional attendance-

28 related points when he left work early for a physical therapy appointment, even though his

24 1 supervisor Heide gave him permission to attend this appointment. (ECF No. 43 at 17 (citing ECF

2 No. 46-2 ¶ 52).) Defendant responds that this evidence does not create a genuine dispute of fact

3 regarding the reason for Plaintiff’s termination because Plaintiff has no evidence that he

4 submitted a doctor’s note to ensure that his leaving work early on March 2 was protected. (ECF

5 No. 46 at 5.) Fourth, Plaintiff points to the sequence of events on March 10, 2015, involving

6 Heide’s request that Plaintiff refill the cart room, a request that was lodged five minutes before

7 Plaintiff typically took his lunch break and which caused Plaintiff to clock out for that break two

8 minutes late. (ECF No. 46-2 ¶¶ 63–67, 70.) Defendant responds that this evidence is not enough

9 to create a genuine dispute of fact because “Plaintiff has admitted that he does not know whether

10 or not any other employee was ever sent out by themselves to collect carts at or around 4:00 a.m.,

11 and Plaintiff further admits that he could have taken his lunch break at any time between his

12 second and fifth hour of work.” (ECF No. 46 at 4–5.)

13 There is no dispute that between January and March of 2015 Plaintiff was penalized at

14 least four separate times for attendance-related infractions. Keeping in mind that the “link

15 between the disability and termination is particularly strong where it is the employer’s failure to

16 reasonably accommodate a known disability that leads to discharge for performance inadequacies

17 resulting from that disability,” the Court finds that Plaintiff’s evidence is sufficient to carry his

18 initial burden to create a genuine dispute about Defendant’s motivation for terminating him.

19 Humphrey,

239 F.3d at 1140

(citing Borkowski,

63 F.3d at 143

). The performance inadequacies

20 in this case were Plaintiff’s attendance-related violations (see ECF No. 42-1 at 16 (“Plaintiff was 21 terminated for his incomplete shift and violation of WinCo’s Attendance Policy on March 2,

22 2015, as well as his fifth hour violation on March 10, 2015.”)), and Plaintiff presents evidence

23 that these violations were caused by his supervisors’ refusal to reasonably accommodate his knee

24 injury (see, e.g. ECF No. 46-2 ¶¶ 22, 37, 52; ECF No. 32 at 25, 27, 72). A jury might find that it

25 would have been reasonable for Defendant to lower Plaintiff’s case count or reassign him to a

26 different position upon receipt of Dr. Modi’s note from January 2015, in which Dr. Modi 27 requested that Plaintiff be placed on modified duties, but Defendant did not do so. (See ECF No.

28 46-1 ¶¶ 60–61; ECF No. 32 at 68, 69.) A jury might also find that it would have been reasonable

25 1 for Plaintiff’s supervisors not to assess him attendance-related points when he had to prematurely

2 end his shifts on January 30 and March 2 due to the pain in his knee. (See ECF No. 46-2 ¶¶ 37,

3 52; ECF No. 32 at 27, 72.) And a jury certainly might find that it would have been reasonable for

4 Heide to ask another employee or group of employees, those who were not known to be

5 experiencing knee trouble, to retrieve shopping carts at 4:00 in the morning. (See ECF No. 46-2

6 ¶¶ 48–49, 66–67; ECF No. 32 at 37.)

7 Accordingly, Plaintiff carries his initial burden of producing facts sufficient to establish a

8 prima facie case that Defendant was substantially motivated to terminate Plaintiff because of

9 attendance points, and that it only assessed those attendance-related points in the first place

10 because of Plaintiff’s injury.

11 iv. Legitimate, Nondiscriminatory Reason for Termination

12 Since Plaintiff has carried his initial burden, the burden now “shifts to the employer to

13 offer a legitimate, nondiscriminatory reason for the adverse employment action.” Alamillo, 869

14 F.3d at 920 (quoting Faust,

58 Cal. Rptr. 3d at 745

). Defendant’s burden is to show that the

15 procedure by which Plaintiff was terminated “was validly and fairly devised and administered to

16 serve a legitimate business purpose.” Dep’t of Fair Emp’t & Hous. v. Lucent Techs., Inc., 642

17 F.3d 728

, 745–46 (9th Cir. 2011) (citing Hanson v. Lucky Stores, Inc.,

87 Cal. Rptr. 2d 487

, 492

18 (Ct. App. 1999)). At the same time, where an employer’s proffered nondiscriminatory reason for

19 taking an adverse employment action is employee misconduct that results from a disability, such

20 an “explanation, as a matter of law, fails to qualify as a legitimate, nondiscriminatory explanation 21 for [the employee’s] discharge.” Dark v. Curry Cty.,

451 F.3d 1078, 1084

(9th Cir. 2006).

22 Defendant’s nondiscriminatory reason for terminating Plaintiff consists of “Plaintiff’s

23 attendance violation (incomplete shift) on March 2, 2015, and fifth hour violation on March 10,

24 2015.” (ECF No. 42-1 at 20.) Defendant argues that these violations, when viewed alongside its

25 history of accommodating Plaintiff’s previous leave requests and the absence of any indication

26 that Plaintiff’s previous disciplinary violations were discriminatory, preclude a finding of pretext. 27 (ECF No. 42-1 at 20.) For his part, Plaintiff argues that Defendant fails to present a legitimate,

28 nondiscriminatory reason for his termination because Defendant’s justification for that

26 1 termination was attendance-related violations that flowed directly from Plaintiff’s disability.

2 (ECF No. 43 at 16.) According to Plaintiff, since “the last seven (7) attendance points assessed to

3 Mr. Fulfer were clearly as a result of his knee condition and his need to treat his disability,”

4 Defendant cannot rely on those seven attendance-related points to meet its burden of producing a

5 nondiscriminatory rationale for terminating him. (ECF No. 43 at 17.)

6 The Court finds that Defendant meets its burden to proffer a nondiscriminatory reason for

7 Plaintiff’s termination. Defendant presents evidence that it terminated Plaintiff for his incomplete

8 shift on March 2, 2015, and for breaking the fifth-hour rule eight days later, both of which

9 violated Defendant’s attendance policies. (ECF No. 46-1 ¶ 83; ECF No. 32 at 201, 210.) It takes

10 no great leap of reasoning to presume that these policies exist for the legitimate purpose of

11 ensuring that Defendant has a regular and reliable cadre of employees to stock its grocery shelves.

12 (See ECF No. 30-3 at 6.) Furthermore, Defendant presents evidence that the policies pursuant to

13 which it terminated Plaintiff apply to all of Defendant’s hourly employees, which could suggest

14 that application of the policies in Plaintiff’s case was nondiscriminatory. (ECF No. 30-3 at 9

15 (stating that the scope of Defendant’s attendance policy extends to “[a]ll hourly store employees,

16 hourly General Office employees and hourly Modesto Distribution Center employees”).)

17 Finally, the evidence showing that Defendant disciplined Plaintiff for attendance-related

18 violations in 2013 and 2014 — prior to Plaintiff sustaining the relevant injury to his knee —

19 undercuts Plaintiff’s argument that his termination was motivated solely by his disability. (See

20 ECF No. 32-1 at 14–18.) This is because the only binding authority on which Plaintiff relies for 21 his argument on this point is the Ninth Circuit’s opinion in Dark, in which the defendant

22 employer did not argue that the plaintiff’s misconduct resulted from anything other than his

23 disability.

451 F.3d at 1084

. Here, the opposite is true because Defendant presents substantial

24 evidence that Plaintiff repeatedly violated its attendance policy before his knee injury occurred.

25 (See, e.g., ECF No. 46-1 ¶¶ 10–13 (setting forth attendance-related points assessed to Plaintiff in

26 2014 for reasons unrelated to his 2015 knee injury); ECF No. 32-1 at 14–18.) Because some of 27 the behavior for which he accumulated points that led to his termination could not possibly have

28 flowed from the knee injury that Plaintiff contends gave rise to Defendant’s discrimination

27 1 against him, Plaintiff’s argument that Defendant does not proffer a truly nondiscriminatory

2 rationale for his termination fails. (See ECF No. 43 at 13–14 (arguing that Plaintiff’s disability

3 arose solely from his 2015 knee injury).)

4 Accordingly, Defendant carries its intermediate burden of presenting legitimate and

5 nondiscriminatory reasons for terminating Plaintiff.

6 v. Pretext

7 Since Defendant has presented evidence that it was the cumulative effect of Plaintiff’s

8 attendance violations in 2014 and 2015 — not his knee injury — that resulted in his termination,

9 the burden shifts back to Plaintiff to demonstrate that Defendant’s rationale was pretextual.

10 Lucent Techs., Inc., 642 F.3d at 746. This may be done “either directly by persuading the court

11 that a discriminatory reason more likely motivated the employer or indirectly by showing that the

12 employer’s proffered explanation is unworthy of credence.” Id. (quoting Godwin v. Hunt

13 Wesson, Inc.,

150 F.3d 1217, 1220

(9th Cir. 1998)). “If a plaintiff uses circumstantial evidence to

14 satisfy this burden, such evidence ‘must be specific’ and ‘substantial.’”

Id.

(quoting Godwin, 150

15 F.3d at 1221). This means that an employee’s indirect evidence of pretext must demonstrate

16 “such weaknesses, implausibilities, inconsistencies, incoherencies, or contradictions in the

17 employer’s proffered legitimate reasons for its action that a reasonable factfinder could rationally

18 find them unworthy of credence.” Id. (quoting Morgan v. Regents of the Univ. of Cal.,

105 Cal. 19

Rptr. 2d 652, 670 (Ct. App. 2000)). At the same time, the Ninth Circuit recognizes “that a

20 plaintiff’s burden to raise a triable issue of pretext is ‘hardly an onerous one.’” Earl v. Nielsen 21 Media Research, Inc.,

658 F.3d 1108, 1113

(9th Cir. 2011) (quoting Noyes v. Kelly Servs., 488

22 F.3d 1163

, 1170 (9th Cir. 2007)).

23 Plaintiff identifies four items of circumstantial evidence that he argues are sufficient to

24 establish that Defendant’s proffered reason for firing him was pretextual: (i) the timing of the

25 termination decision; (ii) the inconsistency of Defendant’s application of its own attendance

26 policy to Plaintiff before and after his knee injury; (iii) the suspicious circumstances surrounding 27 his fifth-hour rule violation on March 10, 2015; and (iv) the absence of an adequate investigation

28 into the circumstances surrounding Plaintiff’s termination. (ECF No. 43 at 18–20.)

28 1 d. Timing

2 Pretext can be found where termination follows closely in time on the heels of an injury,

3 but “temporal proximity alone is insufficient to raise a triable issue as to pretext.” Lattimore v.

4 Euramax Int’l, Inc.,

771 F. App’x 433

, 434 (9th Cir. 2019) (citing Arteaga v. Brink’s, Inc., 77

5 Cal. Rptr. 3d 654, 675

(Ct. App. 2008)); see also Pinder v. Emp’t Dev. Dep’t,

227 F. Supp. 3d 6 1123, 1149

(E.D. Cal. 2017) (“For purposes of analyzing pretext, both the Ninth Circuit and

7 California precedent permit consideration of temporal proximity where there is other evidence to

8 support a conclusion of pretext.”). Generally, where a matter of days is all that passes between an

9 employer learning of an employee’s protected status and an adverse employment action, courts

10 find such temporal proximity to be indicative of the employer’s discriminatory motive. See, e.g.,

11 Sada v. Robert F. Kennedy Med. Ctr.,

65 Cal. Rptr. 2d 112, 124

(Ct. App. 1997) (holding that

12 plaintiff raised a triable issue under FEHA where, inter alia, an adverse employment action

13 occurred “a few days after” the employer learned that the employee submitted an administrative

14 complaint).

15 Plaintiff asserts that the nine days between when he returned to work following his injury

16 and when Defendant allegedly began discriminating against him for that injury demonstrates

17 pretext. (ECF No. 43 at 18 (“Plaintiff was terminated just nine (9) days after returning from his

18 medical leave.”).) Defendant’s primary attack on this temporal proximity evidence appears to be

19 that it applied its attendance policy consistently both before and following Plaintiff’s knee injury

20 in early 2015, rendering the timing of Plaintiff’s eventual termination for repeated violations of 21 that policy irrelevant. (See ECF No. 42-1 at 20 (pointing out that “Plaintiff does not assert he was

22 discriminated against when he incurred his previous disciplinary actions in 2014”).) But outside

23 of this collateral assertion, Defendant does not and cannot dispute that Plaintiff returned to work

24 from medical leave status on March 1, 2015 (ECF No. 46-1 ¶¶ 70, 73; ECF No. 43-4 at 107), and

25 was terminated on March 10, 2015 (ECF No. 46-1 ¶ 83; ECF No. 32 at 201, 210). Thus, the

26 undisputed evidence makes it plain that only nine days elapsed between when Plaintiff returned to 27 work following his knee-related medical leave and when he was terminated. Indeed, the evidence

28 could support the conclusion that as little as a single day elapsed between when Plaintiff returned

29 1 to work following his knee-related medical leave (ECF No. 46-1 ¶¶ 70, 73; ECF No. 32 at 39–

2 40), and when the alleged discrimination first manifested itself in the guise of the two disciplinary

3 points Plaintiff received on March 2, 2015 for leaving his shift early (ECF No. 46-2 ¶¶ 48, 52;

4 ECF No. 32 at 38–39).

5 Based on the foregoing, the Court concludes that Plaintiff has presented significant

6 circumstantial evidence demonstrating close temporal proximity between when his protected

7 status came to Defendant’s attention and when he alleges Defendant began discriminating against

8 him due to that protected status. But because temporal proximity evidence alone cannot meet

9 Plaintiff’s burden on summary judgment, Plaintiff must put forth additional specific and

10 substantial evidence suggestive of pretext in order to meet his burden to preclude summary

11 judgment for Defendant. See Lattimore, 771 F. App’x at 434 (9th Cir. 2019) (noting that other

12 purported evidence of pretext under FEHA must be “‘specific and substantial’ as required to

13 overcome [a defendant’s] motion for summary judgment” (quoting Villiarimo v. Aloha Island Air,

14 Inc.,

281 F.3d 1054, 1062

(9th Cir. 2002))).

15 e. Application of Defendant’s Attendance Policy

16 Evidence that an employee is subjected to disciplinary measures only after the employee’s

17 protected status becomes known or manifest to an employer can help establish pretext. See Soria

18 v. Univision Radio L.A., Inc.,

210 Cal. Rptr. 3d 59

, 81–82 (Ct. App. 2016) (holding that evidence

19 employee was disciplined for her long-time issues with punctuality only after she disclosed a

20 disability to her supervisor contributed to finding of pretext). The plaintiff in Soria established 21 pretext in part by presenting evidence that though she had struggled arriving to work on time each

22 day for the better part of a decade, she was terminated for her habitual tardiness only after she

23 told her supervisor that she had a tumor and might need time off to have it surgically removed.

24

Id.

To meet his burden to demonstrate pretext, Plaintiff presents the same type of evidence,

25 namely that though he was repeatedly allowed to leave shifts early in the past, “[i]t was only after

26 he came back from his FMLA leave, that he was immediately disciplined for something that he 27 has done on numerous occasions.” (ECF No. 43 at 19.)

28 Specifically, Plaintiff contends he left his shift early without repercussion on at least eight

30 1 separate instances in November and December of 2014, as well as on January 13, 2015. (ECF

2 No. 43 at 19; see also ECF No. 43-3 ¶ 20 (“There have been numerous occasions where I have

3 left work early without being disciplined for doing so.”).) Plaintiff contrasts this with how he was

4 treated on March 2, 2015, when he was assessed two disciplinary points for leaving his shift early

5 after he had returned from his knee-related medical leave. (ECF No. 46-2 ¶ 52; ECF No. 32 at

6 38–39.) According to Defendant, this evidence does not show what Plaintiff says because “there

7 is a difference between Plaintiff’s shift ending early (where he correctly would not be

8 disciplined), and Plaintiff working an incomplete shift, i.e., when he left before his shift ended.”

9 (ECF No. 46 at 6.) Defendant argues that it consistently applied its attendance policy to Plaintiff

10 because it assessed him points for “every unprotected incomplete shift” and did not assess him

11 points when Plaintiff’s shift simply ended early. (ECF No. 46 at 6.)

12 Defendant’s argument is unconvincing for two reasons. First, the evidence reveals a

13 genuine dispute of fact regarding whether Plaintiff’s shift on March 2, 2015, did actually

14 conclude early, or whether Plaintiff left before his shift ended. Plaintiff testified that after he

15 informed a supervisor that he had to leave work on March 2 in order to attend a physical therapy

16 appointment, his supervisor did not tell him that doing so would constitute an unexcused absence

17 and actually gave Plaintiff permission to go. (ECF No. 43-6 at 61, 77–78.) Plaintiff testified that

18 he would not have left work early on March 2 had he known that doing so would subject him to

19 discipline, as actually occurred the following Wednesday when Plaintiff skipped a physical

20 therapy appointment after his supervisor informed him that leaving early to attend the 21 appointment would constitute an incomplete shift. (ECF No. 43-6 at 61.) On these facts viewed

22 most favorably to Plaintiff, a reasonable jury could conclude that Plaintiff’s supervisor gave him

23 at least tacit — if not explicit — approval to leave his shift early on March 2, and that this

24 supervisorial approval meant that Plaintiff’s March 2 shift had ended early and would not be

25 categorized as incomplete. (See ECF No. 43-6 at 79 (containing Plaintiff’s testimony that he

26 believed his shift had concluded when he left work on March 2).) Such a conclusion by a 27 factfinder would validate Plaintiff’s theory of pretext, because it would suggest that it was only

28 after Plaintiff returned from his knee-related medical leave that he began receiving discipline for

31 1 doing what he had permissibly done in the past and what his supervisor gave him permission to

2 do in that specific instance. See Soria,

210 Cal. Rptr. 3d at 81

(“Viewing the evidence most

3 favorably to Soria, as we must, it was not until Soria disclosed her disability to her supervisor that

4 her tardiness became a problem.”).

5 Second, the evidence viewed in a light most favorable to Plaintiff does not support

6 Defendant’s contention that “Plaintiff was allotted points for every unprotected incomplete shift

7 that he worked and he was not allotted any points for those days where his work shift simply

8 ended early.” (ECF No. 46 at 6.) Plaintiff’s November 2014 shifts offer an illustrative example

9 because Plaintiff contends that he left work early on five dates that month without repercussion.

10 (ECF No. 43 at 19.) The evidence confirms that Plaintiff left his shifts before their scheduled

11 conclusions on those dates. (ECF No. 43-4 at 100–03.) Defendant cites to Plaintiff’s work

12 schedule and time clock records for November 2014 (see ECF No. 30-3 ¶ 8; ECF No. 30-3 at 51–

13 53, 79–82), to show that all of these shifts “simply ended early” and so were not incomplete (ECF

14 No. 46 at 6). But there is nothing in this evidence that would allow the Court to make such a

15 conclusion, because Plaintiff’s schedule and time clock records do not reveal why Plaintiff left

16 work before the scheduled ends of these shifts. Raw printouts from Defendant’s employee

17 records database say nothing about whether Plaintiff received supervisorial permission on any of

18 the dates he departed work early (see ECF No. 43-6 at 77–78), nor do they say anything that

19 would allow a factfinder to draw a reasoned distinction between Plaintiff’s early departures in

20 November 2014, and his early departure on March 2, 2015 (see ECF No. 43 at 19; ECF No. 46 at 21 6).

22 Defendant responds that throughout Plaintiff’s employment, it scrupulously distinguished

23 between shifts that ended early and shifts which Plaintiff left early without permission, and as

24 evidence of this points to three instances prior to Plaintiff’s knee injury when he was disciplined

25 for an incomplete shift. (See ECF No. 46 at 6.) But the actual evidence Defendant cites to

26 support its argument on this point is less than convincing. The Court is unable to locate any 27 references to Plaintiff’s incomplete shifts in April and June of 2013 in Exhibit B to the

28 declaration attributed to Margarita Garcia. (See ECF No. 46 at 6 (citing to “Garcia Decl., Exh. B”

32 1 to support the proposition that Plaintiff “had incomplete shifts on all of the following days and

2 received two points, pursuant to WinCo’s Attendance Policy: (1) April 18, 2013 Incomplete Shift,

3 2 Points; (2) June 15, 2013, Incomplete Shift, 2 Points”).) And the only thing shown by the

4 references to these incomplete shifts in Exhibit E to the declaration attributed to Christopher

5 Wimpfheimer is that Plaintiff was in fact assessed two attendance-related points for each

6 instance. (See ECF No. 42-1 at 12 (citing to “Wimpfheimer Decl., Exh C [sic]” to show that

7 Plaintiff “also had incomplete shifts on 4/18/13 and 6/15/13”); ECF No. 30-3 at 89.) Because

8 nothing in Defendant’s evidence speaks to any of the underlying circumstances that gave rise to

9 Plaintiff’s discipline for his incomplete shifts on April 18 and June 15, 2013, the Court can find

10 no basis to distinguish between instances when Plaintiff was disciplined for leaving before the

11 end of his scheduled shift and instances when he was not. (See ECF No. 43-3 ¶ 20.)

12 As far as Plaintiff’s incomplete shift that began on June 3, 2014, the evidence regarding

13 that shift is murky as well. This is because it consists primarily of attendance record database

14 printouts and a virtually illegible employee attendance form. (See ECF No. 32-1 at 15, 128; ECF

15 No. 32 at 193.) Like the evidence regarding Plaintiff’s other incomplete shifts analyzed above,

16 these records demonstrate very little about whether Plaintiff received supervisorial permission to

17 leave his shift early that day (see ECF No. 43-6 at 77–78), and they do not reveal any other basis

18 that would allow a factfinder to draw a reasoned comparison between Plaintiff’s early departure

19 on June 3, 2014, and his early departures following his knee injury in 2015 (see ECF No. 43 at

20 19; ECF No. 46 at 6). They certainly do not provide strong corroborating evidence of 21 Defendant’s claim that Plaintiff’s incomplete shift beginning on June 3, 2014, resulted in two

22 attendance-related points solely because “he worked only 1095 hours in the last 12 months.”

23 (ECF No. 42-1 at 12.)2

24 It is true, as Defendant strenuously argues, that Plaintiff has relatively little independent

25 2 Defendant’s explanation for assessing Plaintiff two attendance-related points for his incomplete shift that 26 began on June 3, 2014 is that “FMLA was denied by Unum.” (ECF No. 46-1 ¶ 56.) While that may be true, Defendant’s actual evidence again says little about why Unum rejected Plaintiff’s request for FMLA coverage on that 27 date. (See ECF No. 32-1 at 15 (“Per Unum – shc claim denied.”), 116 (“If you are eligible for leave and have time available, you will receive separate communication about the status of your leave(s) from our Leave Management 28 Center.”).)

33 1 evidence that he actually had a March 2, 2015, physical therapy appointment at all. (See ECF No.

2 46 at 5 (“Plaintiff admits that no evidence of his alleged physical therapy visit on March 2, 2015,

3 exists, nor could he recall the name of the physical therapist or office location where he received

4 such therapy.”).) But this does not mean that there is no genuine dispute of fact about whether

5 Plaintiff’s early departure from work on that day was handled so differently by Defendant,

6 compared to similar instances prior to his knee injury, such that it could give rise to a reasonable

7 inference of pretext. See Lucent Techs., Inc., 642 F.3d at 746 (noting that a plaintiff’s burden at

8 summary judgment is to present evidence undermining the “employer’s proffered legitimate

9 reasons for its action [such] that a reasonable factfinder could rationally find them unworthy of

10 credence”). Much the same is true of Defendant’s argument that it was not discriminatory for

11 Plaintiff to be assessed two attendance points for his March 2, 2015, shift since he did not submit

12 a physician’s note corroborating his physical therapy appointment on that day. (See ECF No. 46

13 at 5.) This is because a close examination of the evidence submitted by Defendant suggests that

14 Plaintiff was assessed two attendance-related points in Defendant’s employee record-keeping

15 system roughly four hours after he left his shift on March 2, 2015. (See ECF No. 32 at 206

16 (reflecting that Plaintiff’s employee record was assessed two attendance-related points for his

17 March 2, 2015, incomplete shift shortly after 11:00 a.m. that same day).) Though there is quite

18 possibly an innocuous reason for the quickness with which Defendant disciplined Plaintiff for not

19 having a physician’s note to corroborate his early-morning physical therapy appointment, a

20 reasonable jury might nevertheless conclude that this evidence shows how eager Defendant was 21 to convert Plaintiff’s need to treat his knee injury into points that would later contribute to his

22 termination. (See ECF No. 43-6 at 114 (suggesting that employee absences are entered into

23 Defendant’s recordkeeping system first and, if subsequently determined to be FMLA-protected,

24 no points are assessed to the employee). Accordingly, Plaintiff’s statement in his declaration that

25 he frequently left work early without repercussion before his knee injury reasserted itself in early

26 2015, combined with the evidence explored above and the requirement that the Court view the 27 evidence in the light most favorable to Plaintiff at this stage of the litigation, is enough to create a

28 genuine dispute of fact that merits resolution by a jury. See Nigro, 748 F.3d at 499 (holding that

34 1 it is “entirely beside the point that some of [the plaintiff]’s evidence was self-serving, as it will

2 often be the case in a discrimination case that an employee has something to say about what

3 company representatives said to him or her,” and because “the weight [of such evidence] is to be

4 assessed by the trier of fact at trial, not to be the basis to disregard the evidence at the summary

5 judgment stage”).

6 Hence, the most that Defendant’s shift-related evidence establishes — when viewed in the

7 light most favorable to Plaintiff — is that Defendant may have been inconsistent in applying its

8 own rules that distinguish between incomplete shifts and shifts that merely end early. It does not

9 show that Plaintiff was disciplined without exception every time he worked an incomplete shift.

10 Defendant thus fails to rebut the evidence supplied by Plaintiff’s declaration that he routinely left

11 work early without discipline prior to his knee problems in 2015. (ECF No. 43-3 ¶¶ 20, 53; ECF

12 No. 43-4 at 100–04); see also Nigro,

784 F.3d at 497

(holding that a self-serving declaration is

13 not inadmissible solely because it is self-serving, and that a district court should not disregard the

14 evidence from a self-serving declaration unless it “states only conclusions and not facts that

15 would be admissible evidence”). And it is this evidence which suggests that Defendant’s

16 proffered rationale for his termination is pretextual, because it shows that Defendant tended to

17 treat Plaintiff’s early-concluding shifts more leniently prior to his knee problems in 2015. (See

18 ECF No. 43-3 ¶¶ 20, 53; ECF No. 43-4 at 100–04); Soria, 210 Cal. Rptr. 3d at 81–82.

19 f. Fifth-Hour Rule Violation on March 10, 2015

20 A plaintiff may demonstrate pretext “by showing that the employer’s proffered 21 explanation is unworthy of credence,” which, in turn, may generally be accomplished by

22 highlighting “weaknesses, implausibilities, inconsistencies, incoherencies, or contradictions in the

23 employer’s proffered legitimate reasons for its action.” Lucent Techs., Inc., 642 F.3d at 746

24 (quoting Godwin,

150 F.3d at 1220

; Morgan, 105 Cal. Rptr. 2d at 670). Such evidence may take

25 many forms. For example, in Dark, the Ninth Circuit found evidence of pretext in, inter alia, the

26 plaintiff’s medical examination, statements in a letter that placed the plaintiff on administrative 27 leave, contradictions in a letter sent to the plaintiff that actually terminated his employment, and

28 comparative evidence of how the plaintiff was treated before and after his employer learned that

35 1 he suffered from seizures.

451 F.3d at 1083

, 1085–86; see also Reeves v. Sanderson Plumbing

2 Prods., Inc.,

530 U.S. 133, 147

(2000) (“Proof that the defendant’s explanation is unworthy of

3 credence is simply one form of circumstantial evidence that is probative of intentional

4 discrimination . . . .”).

5 Plaintiff argues that the facts leading up to his fifth-hour rule violation on March 10, 2015,

6 show that Defendant’s rationale for terminating him was pretextual — in effect, that Plaintiff’s

7 fifth-hour rule violation was the culmination of a setup designed to trap him in a technical

8 violation of Defendant’s break policies. (ECF No. 43 at 19.) Specifically, Plaintiff points out

9 that on March 10, 2015, he was visibly limping and told his supervisor, Heide, that he was in

10 pain. (ECF No. 43 at 19.) Yet Heide ordered Plaintiff to fill the store’s cart room at 4:00 in the

11 morning. (ECF No. 43 at 19.) Not only did this happen to be when Plaintiff normally took his

12 lunch break so that he could comply with Defendant’s five-hour rule, but Plaintiff also contends

13 that Heide in this instance did not follow Defendant’s general practice “to ascertain whether an

14 employee had taken his lunch break” before issuing that employee an order that was likely to

15 result in a five-hour rule violation. (ECF No. 43 at 19.) Plaintiff also contends that this was the

16 first time in his career that he had been asked to fill a cart room at that time. (ECF No. 43 at 19.)

17 And Plaintiff points to Defendant’s failure to investigate why he was unable to comply with

18 Heide’s unreasonable cart room task as further evidence that Defendant effectively manufactured

19 the cart room assignment as a way to force Plaintiff to choose between two courses of action that

20 would both result in his termination: either defy a supervisor’s order or else violate Defendant’s 21 five-hour rule. (ECF No. 43 at 19.)

22 Defendant asserts that none of what occurred on March 10, 2015, demonstrates

23 discriminatory animus. Defendant points out that Plaintiff failed to tell Heide he may not be able

24 to take his lunch break in time if he was forced to fill the cart room alone. (ECF No. 42-1 at 16

25 n.4.) Defendant also argues that it cannot be at fault for Plaintiff’s failure to take his lunch break

26 in a timely fashion since he could have taken that break any time after his second hour of work. 27 (ECF No. 42-1 at 16 n.3; ECF No. 46 at 5.) And Defendant contends that just because Plaintiff

28 had never seen any of his colleagues be tasked with collecting carts alone does not mean “that no

36 1 other freight stocker was ever asked to collect carts by themselves at that time.” (ECF No. 42-1

2 at 16; see also ECF No. 46 at 4–5.)

3 Once again, Defendant fails to convince the Court that Plaintiff’s evidence from the

4 March 10, 2015, incident is anything less than circumstantial evidence of pretext. Plaintiff not

5 only testified that he typically took his lunch at 4:30 a.m. (ECF No. 32 at 25), but there is

6 evidence in the record suggesting that Heide, as a supervisor, was partially responsible for

7 ensuring that a supervisee like Plaintiff did not violate Defendant’s five-hour rule (ECF No. 43-6

8 at 126). Plaintiff also testified that he had never before been asked to fill the cart room between

9 4:00 a.m. and 5:00 a.m. prior to Heide’s instruction that he do so on March 10, 2015. (ECF No.

10 43-6 at 83.) And Plaintiff testified that the task of filling the cart room was normally performed

11 by multiple employees at once, but on March 10 he was instructed to complete this task on his

12 own. (ECF No. 43-6 at 65, 83.) Finally, the evidence reveals that the fifth-hour rule violation for

13 which Defendant terminated Plaintiff resulted from a particularly technical — a reasonable

14 factfinder might even characterize it as nit-picky — application of Defendant’s break policies.

15 (See ECF No. 43-6 at 102; ECF No. 32 at 91 (demonstrating that the misconduct giving rise to

16 Plaintiff’s fifth-hour rule violation was that he clocked out a mere two minutes past the

17 deadline).) Defendant presents no compelling reason why the Court should disbelieve or

18 disregard these components of Plaintiff’s evidentiary showing, all of which suggest that

19 Defendant may have had an ulterior motive when Heide ordered Plaintiff to collect hundreds of

20 shopping carts at 4:00 a.m. on March 10, 2015. 21 Indeed, Plaintiff’s evidence must be considered within the context that (i) Plaintiff was

22 openly and clearly suffering from a painful knee injury (see ECF No. 43-3 ¶¶ 16–17; ECF No.

23 43-6 at 91–92, 94–95, 101–02), (ii) this was the first time Plaintiff had ever witnessed an

24 employee be instructed to collect shopping carts alone at this time of night (see ECF No. 43-6 at

25 103), and (iii) Plaintiff had noticed that his supervisors were behaving differently toward him

26 since his knee injury manifested itself in 2015 (ECF No. 43-6 at 65–66, 95). Taking all these 27 facts together as one picture, a reasonable jury could conclude that Heide deliberately ordered

28 Plaintiff to perform a difficult physical task for the first time and within a challenging time frame

37 1 in order to manufacture either a fifth-hour rule violation or insubordination on Plaintiff’s part.

2 (See ECF No. 43-6 at 84–85.) Since there is evidence that either of these outcomes would have

3 served as cause for Plaintiff’s termination (ECF No. 43-6 at 89, 118), and since one of

4 Defendant’s justifications for Plaintiff’s termination was his fifth-hour rule violation (see ECF

5 No. 46-1 ¶ 38; ECF No. 46-2 ¶ 70), the Court finds that Plaintiff has produced a number of items

6 of circumstantial evidence suggesting there are enough weaknesses and implausibilities “in the

7 employer’s proffered legitimate reasons for its action that a reasonable factfinder could rationally

8 find them unworthy of credence.” Lucent Techs., Inc., 642 F.3d at 746 (quoting Godwin, 150

9 F.3d at 1220; Morgan, 105 Cal. Rptr. 2d at 670).

10 Little that Defendant argues to the contrary is convincing. As one example, Defendant

11 asserts that the evidence reveals that Plaintiff himself “had never seen anybody sent out alone at

12 that time” to collect shopping carts as he was on March 10, 2015. (ECF No. 42-1 at 16.) The

13 implication is that since Plaintiff cannot and did not testify that he is certain no other freight

14 stocker was ever asked to do what Plaintiff was asked to do at 4:00 a.m. on March 10, the Court

15 should somehow disregard those aspects of Plaintiff’s testimony that are based on his own

16 personal experience. (See, e.g., ECF No. 32 at 92–94, 95–96.) Defendant presents no principled

17 reason why the Court should do so, particularly since Defendant points to no affirmative evidence

18 from any other source to suggest that freight stockers were regularly dispatched to collect

19 shopping carts around 4:00 a.m. (See ECF No. 42-1 at 16.) The only evidence the Court can find

20 in the record speaking to Defendant’s regular practice regarding cart collection is Plaintiff’s 21 deposition testimony which — because it is based on his percipient knowledge developed over

22 multiple years of working for Defendant — is compelling. (See ECF No. 32 at 92 (“In my five

23 years of working there, I had never seen them send anybody out at that particular time by

24 themselves to do carts.”).)

25 As another example, Defendant argues that Plaintiff’s failure to clock out for his lunch

26 break on March 10, 2015 cannot be evidence of discriminatory intent on Defendant’s part because 27 “Plaintiff could have taken his lunch break between his second and fifth hour of work” (ECF No.

28 42-1 at 16 n.3), and because “Plaintiff also admitted that he didn’t tell Heide he was concerned he

38 1 wouldn’t finish the job in 35 minutes before his lunch break” (ECF No. 42-1 at 16 n.4). The

2 Court sees no reason to doubt these facts, but that does not mean they automatically wipe away

3 Plaintiff’s contrary evidence suggesting that in his role as a supervising clerk, Heide would or

4 should have known that Plaintiff was nearing his mandatory lunch break (see ECF No. 43-6 at

5 126 (containing testimony from supervisor Steven Lagos that “if one of my employees were

6 coming up to their fifth hour, then they know and I know to direct them to lunch”)), that Plaintiff

7 regularly took his lunch break around 4:00 a.m. (see, e.g., ECF No. 43-4 at 105–08 (revealing that

8 Plaintiff clocked out around 4:00 a.m. nearly every day that he worked between January and

9 March of 2015)), and that supervisors typically did not ask their supervisees to perform tasks that

10 would impinge on said breaks (ECF No. 43-6 at 126). A reasonable factfinder faced with this

11 competing evidence might credit Defendant’s theory that it was Plaintiff’s duty to inform Heide

12 that he was approaching his fifth straight hour of work when he was asked to fill the cart room, or

13 it might credit Plaintiff’s theory that Heide waited to ask Plaintiff to fill the cart room until he

14 knew that Plaintiff would be unable to do so without committing a fifth-hour rule violation. The

15 point is that the factfinder for such a determination, as for many of the material factual

16 determinations in this case that can only be made after weighing the evidence and judging

17 credibility, must be a jury after a trial and not the Court on summary judgment. See Anderson,

18 477 U.S. at 255 (“Credibility determinations, the weighing of the evidence, and the drawing of

19 legitimate inferences from the facts are jury functions, not those of a judge . . . .”).

20 g. Lack of Investigation of Plaintiff’s Fifth-Hour Rule 21 Violation

22 Finally, Plaintiff argues that the lack of an “investigation as to why Mr. Fulfer was unable

23 to stack the carts as fast as Mr. Heide wanted him to” demonstrates pretext. (ECF No. 43 at 19;

24 ECF No. 32 at 151.) Though not entirely clear from Plaintiff’s opposition papers, the implication

25 appears to be that had Defendant not been eager to create a pretextual rationale for terminating

26 Plaintiff, it would have investigated the circumstances behind his fifth-hour rule violation on 27 March 10, 2015, to ensure that they merited his termination.

28 The only evidence Defendant presents regarding the lack of any investigation on its part

39 1 before deciding to terminate Plaintiff is that he admitted that he was, in fact, “late clocking out for

2 lunch on March 10, 2015.” (ECF No. 46-2 ¶ 74.) The Court interprets this to mean that

3 Defendant is essentially arguing that an investigation of the circumstances justifying Plaintiff’s

4 termination was unnecessary, because he had committed a technical violation of Defendant’s

5 fifth-hour rule and this alone justified his termination. (See ECF No. 32 at 151 (containing

6 testimony from Lagos that he did not believe it was “important to perform an investigation as to

7 why [Plaintiff] failed to clock out” before terminating Plaintiff).)

8 Plaintiff’s evidence regarding the lack of an investigation is a limited (at best) indicator

9 that Defendant’s explanation for terminating him was pretextual. That being said, the Court

10 nonetheless finds that Plaintiff’s showing is effectively unrebutted because Defendant presents no

11 explanation for why it did not ask any questions before terminating Plaintiff over a two-minute

12 violation of the fifth-hour rule. (See ECF No. 46-2 ¶ 74.) Accordingly, Plaintiff’s evidence that

13 there was no investigation before he was terminated lends at least some support to his overall

14 evidentiary showing that suggests Defendant’s true motivation for terminating him was not

15 actually his fifth-hour rule violation on March 10, 2015. See Lucent Techs., Inc., 642 F.3d at 746

16 (requiring a plaintiff’s evidence to show weaknesses “in the employer’s proffered legitimate

17 reasons for its action [such] that a reasonable factfinder could rationally find them unworthy of

18 credence” (quoting Godwin,

150 F.3d at 1220

; Morgan, 105 Cal. Rptr. 2d at 670)).

19 vi. Conclusion re FEHA Discrimination Claim

20 For the foregoing reasons, Defendant is not entitled to summary judgment on Plaintiff’s 21 claim of unlawful discrimination brought pursuant to FEHA.

22 C. Failure to Accommodate in Violation of FEHA

23 Defendant moves the Court to grant summary judgment in its favor on Plaintiff’s claim

24 for failure to accommodate. Defendant bases its motion on two alternative grounds: (i) failure to

25 exhaust administrative remedies and (ii) failure to establish a prima facie case of failure to

26 accommodate, because Defendant at all times accommodated Plaintiff. (ECF No. 42-1 at 20–21.) 27 i. Administrative Exhaustion

28 Defendant argues that Plaintiff failed to exhaust his administrative remedies as to his

40 1 failure-to-accommodate cause of action. (ECF No. 42-1 at 20.)

2 Specifically, Defendant argues that Plaintiff is barred from bringing this claim because

3 “Plaintiff failed to assert any factual allegations regarding one of two accommodations Plaintiff

4 now claims he did not receive (i.e., becoming a cashier)” when Plaintiff filed his administrative

5 discrimination claim before the DFEH. (ECF No. 42-1 at 20.) Plaintiff responds by arguing that

6 the underlying purpose of the administrative exhaustion requirement is merely to provide a basis

7 for the DFEH to investigate the employee’s claims and is not intended to limit what causes of

8 action a plaintiff may eventually include in a full-fledged lawsuit. (ECF No. 43 at 24.) Plaintiff

9 also asserts that the DFEH complaint he did file satisfied the administrative exhaustion

10 requirement because its allegations of failure to accommodate, “coupled with the complaint on

11 file and the extensive discovery that was completed in this case through depositions, certainly

12 gave Defendant’s [sic] notice of Plaintiff’s basis for his allegations.” (ECF No. 43 at 24.)

13 “In order to bring a civil action under FEHA, the aggrieved person must exhaust the

14 administrative remedies provided by law.” Rodriguez v. Airborne Express,

265 F.3d 890

, 896

15 (9th Cir. 2001) (quoting Yurick v. Superior Court,

257 Cal. Rptr. 665, 667

(Ct. App. 1989)).

16 “Exhaustion in this context requires filing a written charge with DFEH within one year of the

17 alleged unlawful employment discrimination, and obtaining notice from DFEH of the right to

18 sue.”

Id.

(citing Romano v. Rockwell Int’l, Inc.,

926 P.2d 1114, 1121

(Cal. 1996); Okoli v.

19 Lockheed Technical Operations Co.,

43 Cal. Rptr. 2d 57, 61

(Ct. App. 1995); Martin v. Lockheed

20 Missiles & Space Co.,

35 Cal. Rptr. 2d 181, 183

(Ct. App. 1994)). “Allegations in the civil 21 complaint that fall outside of the scope of the administrative charge are barred for failure to

22 exhaust.”

Id.

Generally, allegations in a civil complaint are within the scope of an administrative

23 charge where they are “‘like or reasonably related to’ the allegations made in the charge of

24 discrimination,” Couveau v. Am. Airlines, Inc.,

218 F.3d 1078

, 1082 (9th Cir. 2000) (per curiam)

25 (citing Okoli,

43 Cal. Rptr. 2d at 61

)), or where they are “likely to be uncovered in the course of a

26 DFEH investigation,” Okoli,

43 Cal. Rptr. 2d at 63

. Courts are to construe these administrative 27 exhaustion requirements liberally so as to accomplish FEHA’s purposes, which clearly include

28 eliminating discrimination in employment. Rodriguez,

265 F.3d at 896

(citing Cal. Gov’t Code

41 1 §§ 12993(a), 12920).

2 Here, Plaintiff’s administrative complaint “allege[d] that [Defendant] took the following

3 adverse actions against [Plaintiff]: Discrimination, Harassment, Retaliation[,] Denied a good faith

4 interactive process, . . . Denied reasonable accommodation.” (ECF No. 43-6 at 6.) It further

5 alleged that Defendant and its employees took numerous actions that could reasonably be

6 interpreted as failing to accommodate Plaintiff’s request for modified duty. For instance,

7 Plaintiff’s DFEH complaint alleged that he presented Defendant’s secretary with a physician’s

8 note requesting light or modified duty, that Defendant’s refusal to accommodate this request

9 forced Plaintiff to return to his physician for a subsequent note taking Plaintiff off work entirely

10 for a week, and that “[n]obody at the company engaged in any communications with Plaintiff as

11 to accommodations that are available to Plaintiff.” (ECF No. 43-6 at 7.) Plaintiff’s DFEH

12 complaint further alleged that “Plaintiff was specifically told that because his injury took place

13 outside of work, he was not to be accommodated at work and he was to perform his regular

14 duties.” (ECF No. 43-6 at 7.)

15 It is clear to the Court that the DFEH complaint’s allegations were more than sufficient to

16 serve as a preview that specific instances of Defendant’s alleged non-accommodation were

17 “likely to be uncovered” in the course of investigating that claim. Okoli,

43 Cal. Rptr. 2d at 63

.

18 The facts in Plaintiff’s DFEH complaint describe a situation in which Defendant could and should

19 have done more to accommodate him by engaging in communications with Plaintiff and by

20 granting his request for accommodation even though the injury he needed to have accommodated 21 did not occur at work. (ECF No. 43-6 at 7.) Furthermore, Plaintiff’s DFEH complaint

22 specifically stated that he believed he was “[d]enied reasonable accommodation.” (ECF No. 43-6

23 at 6.) Defendant presents no authority for the proposition that a charge in a DFEH complaint only

24 exhausts administrative requirements where it sets out all pertinent factual details supporting said

25 charge. (See ECF No. 42-1 at 20–21.)3 But that is effectively the interpretation of the law that

26 3 The only case cited by Defendant in support of its exhaustion argument is not to the contrary because in that case, the claims found to be barred for failure to exhaust administrative remedies were entirely new theories of 27 discrimination never presented to DFEH prior to the claimant filing suit. Martin,

35 Cal. Rptr. 2d at 183

(describing an administrative history in which the claimant attempted to sue based on “theories of sexual discrimination, 28 harassment and retaliation” that were never formally presented to DFEH). Here, DFEH received notice of Plaintiff’s

42 1 Defendant would have the Court adopt under these circumstances, where Plaintiff’s

2 administrative allegations clearly contemplate a failure-to-accommodate claim but simply do not

3 set out exactly what type of accommodation — retraining as a cashier — was allegedly denied

4 him. See Couveau, 218 F.3d at 1082 (“An FEHA complaint . . . may encompass any

5 discrimination that is ‘like or reasonably related to’ the allegations made in the charge of

6 discrimination.” (citing Okoli,

43 Cal. Rptr. 2d at 61

)).

7 Consequently, Defendant is not entitled to summary judgment on Plaintiff’s failure-to-

8 accommodate theory on the basis that Plaintiff failed to satisfy administrative exhaustion

9 requirements.

10 ///

11 ii. Prima Facie Case of Failure to Accommodate

12 Defendant alternatively moves for summary judgment on the merits of Plaintiff’s failure-

13 to-accommodate claim on the basis that he failed to provide the necessary and required medical

14 documentation that would have allowed Defendant to actually accommodate him. (ECF No. 42-1

15 at 21–22.) According to Defendant, simply providing a physician’s note requesting the vague

16 accommodation of being placed on “modified duty” did not give Defendant enough information

17 to decide whether and how to accommodate Plaintiff following his knee problems in 2015. (ECF

18 No. 42-1 at 21–22.) And regarding Plaintiff’s request that he be accommodated by being trained

19 to work as a cashier, Defendant argues that this particular failure-to-accommodate claim is

20 meritless because he did not submit the required paperwork to become a cashier or apply to be a 21 cashier via Defendant’s internal job portal. (ECF No. 42-1 at 22.)

22 Plaintiff argues that his paperwork shortcomings were not shortcomings at all, and

23 certainly do not mean that Defendant was absolved of its duty to afford him reasonable

24 accommodation. Specifically, Plaintiff asserts that Defendant was put on notice of Plaintiff’s

25 need for accommodation via the documentation from his physician that he did provide to

26 failure-to-accommodate theory under FEHA, even if it arguably did not receive notice of the particulars of the 27 alleged failure by Defendant to accommodate Plaintiff’s disability. (See ECF No. 43-6 at 6 (alleging that Defendant “took the following adverse actions against [Plaintiff]: Discrimination, Harassment, . . . Denied reasonable 28 accommodation”).)

43 1 Defendant. (ECF No. 43 at 22 (pointing out that “Plaintiff requested to be placed on modified

2 duties on January 22, 2015 and provided a note from his physician stating the same”).) Plaintiff

3 also asserts that he verbally informed his supervisors that he wished to be trained to become a

4 cashier to take pressure off his legs, and highlights that Defendant made no effort to assist him in

5 filling out the required paperwork to lodge such an accommodation request. (ECF No. 43 at 22.)

6 Plaintiff argues that at that point, Defendant had an affirmative obligation to engage in an

7 interactive process with him to find an accommodation that would help him work even while

8 injured. (ECF No. 43 at 20.) Since Defendant did not do so and since open positions would have

9 accommodated Plaintiff’s injury, he argues that genuine issues of material fact exist as to whether

10 he was properly accommodated. (ECF No. 43 at 21–22.)

11 “The elements of a failure to accommodate claim are: ‘(1) the plaintiff has a disability

12 under the FEHA, (2) the plaintiff is qualified to perform the essential functions of the position,

13 and (3) the employer failed to reasonably accommodate the plaintiff’s disability.’” Nigro, 784

14 F.3d at 498 (quoting Scotch v. Art Inst. of Cal.-Orange Cty., Inc.,

93 Cal. Rptr. 3d 338, 358

(Ct.

15 App. 2009

)). Furthermore,

16 [a]n “employer cannot prevail on summary judgment on a claim of failure to reasonably accommodate unless it establishes through 17 undisputed facts” that “reasonable accommodation was offered and refused,” that “there simply was no vacant position within the 18 employer’s organization for which the disabled employee was qualified and which the disabled employee was capable of 19 performing with or without accommodation,” or that “the employer did everything in its power to find a reasonable accommodation, but 20 the informal interactive process broke down because the employee failed to engage in discussions in good faith.” 21

22 Lucent Techs., Inc., 642 F.3d at 743 (quoting Jensen v. Wells Fargo Bank,

102 Cal. Rptr. 2d 55

,

23 68 (Ct. App. 2000)). As the above authority demonstrates, California’s employment law requires

24 a court ruling on summary judgment in a failure-to-accommodate case to examine whether there

25 is a genuine dispute of material fact regarding “whether the informal process broke down, and, if

26 so, which party was responsible.” Jensen,

102 Cal. Rptr. 2d at 68

. 27 ///

28 ///

44 1 a. Modified Duties Requested in January of 2015

2 The main thrust of Defendant’s position is that it is Plaintiff’s fault he was not

3 accommodated in January of 2015. (See ECF No. 42-1 at 22.) Stated another way, Defendant

4 argues that the undisputed facts demonstrate that though it “did everything in its power to find a

5 reasonable accommodation [for Plaintiff’s knee injury],” his refusal to provide a physician’s note

6 specifying what specific modified duties he was requesting meant that “the informal interactive

7 process broke down because [Plaintiff] failed to engage in discussions in good faith.” Lucent

8 Techs., Inc., 642 F.3d at 743 (quoting Jensen,

102 Cal. Rptr. 2d at 68

).

9 It is true that substantial evidence exists that Defendant did not receive the medical

10 documentation it said it needed in order to explore reasonable accommodations for Plaintiff’s

11 knee injury in January 2015. (See ECF No. 46-1 ¶ 61; ECF No. 32 at 144–46 (setting forth

12 Defendant’s rationale for requiring a physician’s note before approving a workplace

13 accommodation predicated on physical disability); ECF No. 32-1 at 6 (setting forth Plaintiff’s

14 responsibilities when requesting an accommodation, which included “provid[ing] necessary and

15 appropriate medical documentation”).) That being said, there nonetheless remains a genuine

16 dispute of fact regarding “which party was responsible” for this breakdown of paperwork

17 exchange. Jensen,

102 Cal. Rptr. 2d at 68

. Via Amaral, Plaintiff provided Defendant a

18 physician’s note stating that he needed to be on modified duty for a matter of days, then followed

19 up by filling out a Reasonable Workplace Accommodation Form that set forth in greater detail

20 what specific accommodations Plaintiff was requesting. (ECF No. 46-1 ¶ 60; ECF No. 43-3 ¶ 8; 21 ECF No. 43-4 at 42; ECF No. 43-6 at 49–50.) On these facts alone, a reasonable jury could find

22 that Plaintiff discharged his responsibilities under the plain terms of Defendant’s Workplace

23 Accommodation Policy. (See ECF No. 32-1 at 7 (“Employees may request a reasonable

24 workplace accommodation through various means, including in person, in writing, or by

25 providing a physician’s note that denotes that the employee has a need for accommodation.”).)

26 But critically, Plaintiff testified more than once during his deposition that after he 27 submitted this first round of paperwork to Amaral, he never received any communication from

28 her or from any of Defendant’s other agents requesting a more specific physician’s note than what

45 1 Plaintiff provided on January 22, 2015. (ECF No. 46-2 ¶¶ 28–29; ECF No. 43-6 at 50.)

2 Defendant does not present any evidence directly refuting this point, instead relying repeatedly on

3 its assertion that Plaintiff did not ask his physician to specify what sorts of modified duties

4 Plaintiff was cleared to perform. (See, e.g., ECF No. 46-1 ¶ 61; ECF No. 46-2 ¶ 29.) A

5 reasonable jury presented with this evidence could conclude that it was Defendant that failed to

6 engage in good faith in the interactive process of finding a suitable workplace accommodation for

7 Plaintiff. Unlike the situation in Jensen which Defendant cites, there is little to no evidence here

8 that Plaintiff rejected alternative positions offered to him, see Jensen,

102 Cal. Rptr. 2d at 68

, nor

9 that he demanded an unreasonably specific or unique accommodation, see

id.

at 69–70 (finding a

10 genuine dispute of fact regarding blame for breakdown in the interactive process even where

11 evidence existed that the employee identified no less than eight criteria that her requested

12 reasonable accommodation needed to meet).

13 Furthermore, even assuming that Plaintiff had been informed that he merely needed to

14 submit more definitive paperwork in order to move his accommodation request along, the

15 evidence suggests that Defendant’s response to his initial request shut down any potential for a

16 reasonable accommodation before Plaintiff could produce a supplemental note from Dr. Modi.

17 (See ECF No. 43-6 at 50 (testifying that “as soon as [Amaral] saw [Plaintiff’s first January 22,

18 2015, physician’s note requesting modified duty], she said we can’t do modified duty unless it

19 was an on-the-job injury”).) It cannot be said that Plaintiff “failed to engage in discussions in

20 good faith” where the evidence suggests that Plaintiff’s original request for accommodation was 21 met with a relatively conclusive and speedy rejection. Lucent Techs., Inc., 642 F.3d at 743

22 (quoting Jensen,

102 Cal. Rptr. 2d at 68

). Such a holding would turn the law of reasonable

23 accommodation in the Ninth Circuit — which places the burden on the employer at summary

24 judgment to show that the employee sabotaged the employer’s efforts to accommodate a

25 disability — on its head. See

id.

26 b. Requested Accommodation of Cashier Training 27 Defendant argues that Plaintiff “entirely failed to follow up or apply for” his requested

28 accommodation of being retrained to become a cashier. (ECF No. 42-1 at 22.) Plaintiff responds

46 1 that he did request to become a cashier on March 1, 2015, but that his supervisors denied that

2 request and told him to be a more efficient freight clerk before they would consider such an

3 accommodation. (ECF No. 43 at 22.) There are at least two reasons why Defendant’s argument

4 fails, both of which demonstrate that there is a disputed issue of fact regarding whether Defendant

5 “did everything in its power to find a reasonable accommodation” in response to Plaintiff’s

6 cashier request. Lucent Techs., Inc., 642 F.3d at 743 (quoting Jensen,

102 Cal. Rptr. 2d at 68

).

7 First, Defendant’s reliance on Plaintiff’s failure to submit the proper paperwork in support

8 of his request to be a cashier is rebutted by the fact that Defendant’s own workplace

9 accommodation policy states that “[e]mployees can submit a request for a reasonable

10 accommodation through various means, including in person, in writing, or by providing a

11 physician’s note.” (ECF No. 32-1 at 7.) Plaintiff’s evidence demonstrates that he chose the first

12 of these alternatives by telling his supervisors on March 1, 2015, that he was requesting the

13 accommodation of being retrained to become a cashier. (ECF No. 43-3 ¶ 17; ECF No. 43-6 at

14 98–99.)4 Defendant presents no evidence to the Court suggesting that any of the supervisors to

15 whom Plaintiff spoke regarding cashier training attempted to engage with him in good faith, or

16 even that they informed Plaintiff that he would need to submit certain documentation or officially

17 apply for the position before he would be accommodated. (See ECF No. 46-2 ¶ 48 (responding to

18 Plaintiff’s evidence that he verbally requested reassignment to a cashier position on March 1,

19 2015, only that “Plaintiff admitted that he never submitted a request for accommodation form

20 with regard to becoming a cashier, nor did he ever apply to become a cashier on WinCo’s internal 21 job portal”); ECF No. 43-3 ¶ 21.) Indeed, the record contains evidence suggesting that Plaintiff’s

22 supervisors pressured him to increase his efficiency as a freight clerk before he would be

23 considered for the cashier position he requested in 2015. (See ECF No. 43-6 at 92–93, 98–99.)

24 Since Plaintiff’s knee injury made it physically painful for him to perform his duties as a freight

25 clerk (see ECF No. 43-3 ¶ 17), a reasonable jury could find that Plaintiff’s supervisors’ responses

26 4 The Court notes that paragraph 17 of the declaration submitted by Plaintiff states that on March 1, 2017, he informed his supervisors that he intended to apply for FMLA leave for any work hours his knee injury forced him to 27 miss, and that he wished to be retrained to become a cashier. (ECF No. 43-3 ¶ 17.) This 2017 date appears to be a typographical error, and read in context with the rest of Plaintiff’s declaration, it is clear that Plaintiff intended to 28 offer evidence that he communicated these two items to his supervisors on March 1, 2015.

47 1 to his request represented Defendant doing less than “everything in its power to find a reasonable

2 accommodation” relating to Plaintiff’s desire to be trained as a cashier, Lucent Techs., Inc., 642

3 F.3d at 743 (quoting Jensen,

102 Cal. Rptr. 2d at 68

).

4 Second, there is evidence that could convince a reasonable jury that Defendant expended

5 little energy in helping him lodge his request for accommodation in the appropriate manner.

6 Testimony from a supervisor in Defendant’s Modesto store, for example, suggests that

7 Defendant’s general practice in dealing with workplace accommodation requests was to take

8 affirmative steps to assist the requesting employee in completing the required documentation.

9 (See ECF No. 43-6 at 122 (containing testimony from Lagos that when an employee requests an

10 accommodation, “then at that point we’d offer him the [reasonable accommodation request] form

11 to fill out”).) Plaintiff presents evidence, however, that no such assistance — or really any

12 assistance at all — was offered to him in connection with his request to be retrained as a cashier.

13 (See ECF No. 43-3 ¶¶ 14–15, 21.) Furthermore, there is evidence that Defendant ignored

14 documentation from Plaintiff’s physician a short while before he verbally requested to be trained

15 to become a cashier, documentation which specifically described short-term physical restrictions

16 which might reasonably have been accommodated by training Plaintiff to work as a cashier. (See

17 ECF No. 46-2 ¶¶ 45–47; ECF No. 43-4 at 124–25, 127–28.)

18 A reasonable jury considering these facts would be entitled to conclude that Defendant

19 simply did not do all it could to help Plaintiff obtain the reasonable accommodation he requested

20 to alleviate his knee pain. See Jensen,

102 Cal. Rptr. 2d at 68

(holding that the critical question in 21 a failure-to-accommodate case is “whether the informal process broke down, and, if so, which

22 party was responsible”); Gelfo v. Lockheed Martin Corp.,

43 Cal. Rptr. 3d 874

, 896 n.23 (Ct.

23 App. 2006

) (“Because the evidence [on the question of which party bore the blame for a

24 breakdown in the interactive process] is conflicting and the issue of the parties’ efforts and good

25 faith is factual, the claim is properly left for the jury’s consideration.”).

26 iii. Conclusion re FEHA Failure-to-Accommodate Claim 27 For the foregoing reasons, Defendant is not entitled to summary judgment on Plaintiff’s

28 failure-to-accommodate claim on the basis of either of the two grounds raised in its moving

48 1 papers.

2 D. Failure to Engage in the Interactive Process in Violation of FEHA

3 Defendant moves the Court to grant summary judgment in its favor on Plaintiff’s claim

4 for failure to engage in the interactive process. Defendant bases its motion on two alternative

5 grounds: (i) failure to exhaust administrative remedies; and (ii) failure to establish a prima facie

6 case. (ECF No. 42-1 at 22–24.)

7 i. Administrative Exhaustion

8 Defendant argues that Plaintiff failed to exhaust his administrative remedies regarding his

9 claim for failure to engage in the interactive process because he did not include in his DFEH

10 complaint “any factual allegations regarding the cashiering accommodation Plaintiff now claims

11 he did not receive.” (ECF No. 42-1 at 21.)

12 The Court articulated the legal standard applicable to administrative exhaustion earlier in

13 this Order, and for the sake of brevity, will not duplicate it here. See supra Part III.C.i.

14 Plaintiff’s administrative complaint “allege[d] that [Defendant] took the following adverse

15 actions against [Plaintiff]: Discrimination, Harassment, Retaliation[,] Denied a good faith

16 interactive process, . . . Denied reasonable accommodation.” (ECF No. 43-6 at 6.) It further

17 alleged that Defendant and its employees took numerous actions that could reasonably be

18 interpreted as failing to engage in an interactive process with Plaintiff regarding his request for

19 modified duty. For instance, Plaintiff’s DFEH complaint alleged that he presented Defendant’s

20 secretary with a physician’s note requesting light or modified duty, and that “[n]obody at the 21 company engaged in any communications with Plaintiff as to accommodations that are available

22 to Plaintiff.” (ECF No. 43-6 at 7.) Plaintiff’s DFEH complaint further alleged that “Plaintiff was

23 specifically told that because his injury took place outside of work, he was not to be

24 accommodated at work and he was to perform his regular duties.” (ECF No. 43-6 at 7.)

25 It is clear to the Court that the DFEH complaint’s allegations were more than sufficient to

26 serve as a preview that specific instances of Defendant’s alleged refusal to engage in an 27 interactive process with him were “likely to be uncovered” in the course of investigating that

28 claim. Okoli,

43 Cal. Rptr. 2d at 63

. The facts in Plaintiff’s DFEH complaint describe a situation

49 1 in which Defendant could and should have done more to engage in communications with Plaintiff

2 regarding the type and scope of accommodation he was requesting. (ECF No. 43-6 at 7.)

3 Furthermore, Plaintiff’s DFEH complaint specifically stated that he believed he was “[d]enied a

4 good faith interactive process.” (ECF No. 43-6 at 6.) Defendant presents no authority for the

5 proposition that a charge in a DFEH complaint only exhausts administrative requirements where

6 it sets out all pertinent factual details supporting said charge. (See ECF No. 42-1 at 20–21); Nealy

7 v. City of Santa Monica,

184 Cal. Rptr. 3d 9

, 24 (Ct. App. 2015) (holding that “the employee

8 should be able to identify specific, available reasonable accommodations through the litigation

9 process, and particularly by the time the parties have conducted discovery” (citing Scotch,

93 Cal. 10

Rptr. 3d at 365)).

11 Here, DFEH received notice of Plaintiff’s failure-to-engage-in-the-interactive-process

12 theory under FEHA, even if it arguably did not receive notice of the particulars of this alleged

13 failure by Defendant to interact with Plaintiff regarding his request to become a cashier. (See

14 ECF No. 43-6 at 6 (alleging that Defendant “took the following adverse actions against

15 [Plaintiff]: Discrimination, Harassment, Retaliation[,] Denied a good faith interactive process, . . .

16 Denied reasonable accommodation”).) But that is effectively the interpretation of the law that

17 Defendant would have the Court adopt under these circumstances, where Plaintiff’s

18 administrative allegations clearly contemplate a claim of failure to engage in an interactive

19 process but simply do not set out exactly what type of accommodation — retraining as a cashier

20 — was allegedly never the subject of the required interaction between Plaintiff and Defendant. 21 See Couveau, 218 F.3d at 1082 (“An FEHA complaint . . . may encompass any discrimination

22 that is ‘like or reasonably related to’ the allegations made in the charge of discrimination.” (citing

23 Okoli,

43 Cal. Rptr. 2d at 61

)).

24 Consequently, Defendant’s motion for summary judgment on Plaintiff’s theory of failure

25 to engage in the interactive process, to the extent that motion is predicated on administrative

26 exhaustion requirements, is without merit. 27 ///

28 ///

50 1 ii. Prima Facie Case of Failure to Engage in the Interactive Process

2 Defendant argues that Plaintiff’s evidence fails to establish a prima facie case of failure to

3 engage in the interactive process because there is no evidence that Plaintiff complied with

4 Defendant’s policies to request a reasonable accommodation in the first place. (See ECF No. 42-

5 1 at 22–23.) According to Defendant, since Plaintiff did not follow proper procedures to request

6 an accommodation, there was nothing that would trigger Defendant’s obligation to engage in the

7 interactive process. (ECF No. 42-1 at 23 (“Indeed, WinCo could not have failed to engage in the

8 interactive process for requests that Plaintiff never followed up on, or that were admittedly never

9 submitted or applied for.”).) Plaintiff argues that an employer’s obligation to engage in the

10 interactive process is relatively easy to activate and “does not need to follow any technical

11 requirements.” (ECF No. 43 at 23.) The implication is that Defendant became obligated to

12 engage in the interactive process when Plaintiff submitted his request to be retrained as a cashier

13 in March of 2015, even though he did not submit the required paperwork to formally apply for the

14 position. (ECF No. 43 at 23.)

15 A cause of action for failure to engage in the interactive process requires proof of at least

16 two elements. “First, the employee must request an accommodation.” Gelfo,

43 Cal. Rptr. 3d at 17

890 (citing Prilliman v. United Air Lines, Inc.

62 Cal. Rptr. 2d 142, 152

(Ct. App. 1997)).

18 “Although it is the employee’s burden to initiate the process, no magic words are necessary, and

19 the obligation arises once the employer becomes aware of the need to consider an

20 accommodation.”

Id.

at 896 n.23. “Second, the parties must engage in an interactive process 21 regarding the requested accommodation and, if the process fails, responsibility for the failure rests

22 with the party who failed to participate in good faith.”

Id.

at 890 (citing Jensen,

102 Cal. Rptr. 2d 23

at 70–71).

24 Defendant’s argument is unconvincing here for many of the same reasons the Court

25 articulated in denying summary judgment on Plaintiff’s failure-to-accommodate claim. The

26 available evidence demonstrates that Plaintiff requested general accommodation in writing in 27 January 22, 2015. (ECF No. 46-2 ¶ 26; ECF No. 32 at 184.) Defendant provides no evidence

28 refuting Plaintiff’s contention that it received Plaintiff’s Reasonable Workplace Accommodation

51 1 Request Form. (See ECF No. 46-2 ¶ 27.) Further evidence demonstrates that Plaintiff requested

2 to be retrained to become a cashier around two months later by speaking to his supervisors. (ECF

3 No. 46-2 ¶ 48; ECF No. 43-3 ¶ 17.) On these facts alone, a reasonable jury could find that

4 Defendant became “aware of the need to consider an accommodation” for Plaintiff regardless of

5 the documentation he subsequently submitted. Gelfo,

43 Cal. Rptr. 3d at 896

n.23. And since the

6 Court has already found that there are genuine disputes of material fact going to the question of

7 which party bears the blame for the breakdown in the interactive process, see supra Part III.C.ii,

8 the same evidence upon which the Court based that ruling is sufficient to defeat Defendant’s

9 argument that it “satisfied all of its obligations to engage in the interactive process” (ECF No. 42-

10 1 at 23).

11 iii. Conclusion re FEHA Claim for Failure to Engage in the Interactive

12 Process

13 For the foregoing reasons, Defendant is not entitled to summary judgment on Plaintiff’s

14 claim for failure to engage in the interactive process.

15 E. Retaliation in Violation of FEHA

16 Defendant moves for summary judgment on Plaintiff’s claim for unlawful retaliation in

17 violation of FEHA. (See ECF No. 42-1 at 24.) Defendant’s argument is based primarily on what

18 it characterizes as the absence of a causal link between Plaintiff’s termination and his taking a

19 leave of absence. (ECF No. 42-1 at 24 (“[T]here is no evidence that Plaintiff suffered an adverse

20 employment action for taking a leave of absence.”).) Defendant also argues that even if a prima 21 facie case of causation was established, Plaintiff has no evidence of pretext. (ECF No. 42-1 at

22 24.)

23 Plaintiff argues that the temporal proximity between when he returned from taking

24 protected leave on March 1, 2015, and (i) when he was disciplined for attending a physical

25 therapy appointment the next day, and (ii) when he was terminated nine days later, is sufficient to

26 establish a prima facie case of causation on his retaliation claim. (ECF No. 43 at 25.) And 27 responding to Defendant’s assertion that there is no evidence of pretext, Plaintiff incorporates the

28 argument he advanced regarding the evidence of pretext in the context of his FEHA

52 1 discrimination claim. (See ECF No. 42-1 at 26 (arguing that “Defendant’s reasons for Plaintiff’s

2 termination are pretextual as discussed above”).)

3 The analysis courts employ in FEHA-prohibited retaliation cases is substantially similar to

4 the analysis they employ in FEHA-prohibited discrimination cases. “To establish a prima facie

5 case of retaliation under the FEHA, a plaintiff must show ‘(1) he or she engaged in a “protected

6 activity,” (2) the employer subjected the employee to an adverse employment action, and (3) a

7 causal link existed between the protected activity and the employer’s action.’” Scotch,

93 Cal. 8

Rptr. 3d at 366 (quoting Yanowitz v. L’Oreal USA, Inc.,

116 P.3d 1123, 1130

(Cal. 2005)).

9 “Once an employee establishes a prima facie case, the employer is required to offer a legitimate,

10 nonretaliatory reason for the adverse employment action.” Yanowitz,

116 P.3d at 1130

(citing

11 Morgan, 105 Cal. Rptr. 2d at 665). “If the employer produces a legitimate reason for the adverse

12 employment action, the presumption of retaliation ‘drops out of the picture,’ and the burden shifts

13 back to the employee to prove intentional retaliation.” Id. And as with discrimination prohibited

14 by FEHA, “[t]emporal proximity does not alone satisfy this burden” once it shifts back to the

15 plaintiff in a FEHA retaliation case. Nadaf-Rahrov v. Neiman Marcus Grp., Inc.,

83 Cal. Rptr. 3d 16

190, 223 (Ct. App. 2008) (citing Loggins v. Kaiser Permanente Int’l,

60 Cal. Rptr. 3d 45, 54

(Ct.

17 App. 2007

)).

18 The Court’s analysis of Plaintiff’s evidentiary showing on the causation element of his

19 retaliation claim mirrors its analysis of the same element of his discrimination claim, so the Court

20 will only briefly restate it here. 21 i. Temporal Proximity

22 “[E]vidence of temporal proximity is sufficient to demonstrate a prima facie case of

23 retaliation.” Hooker v. Parker Hannifin Corp.,

548 F. App’x 368, 370

(9th Cir. 2013).

24 Here, Plaintiff presents evidence that he was terminated a mere nine days after returning

25 from medical leave. (ECF No. 46-1 ¶¶ 70, 73, 83; ECF No. 43-4 at 107.) Indeed, the available

26 evidence indicates that Plaintiff suffered an adverse employment action the very day after he 27 returned from medical leave, when he was assessed two attendance-related points even though he

28 claims he was given permission by his supervisor to leave work to attend a physical therapy

53 1 appointment. (ECF No. 46-1 ¶¶ 70, 73; ECF No. 46-2 ¶¶ 48, 52; ECF No. 32 at 39, 42.) Given

2 the close temporal proximity between the protected activity (in this case, Plaintiff’s decision to

3 take medical leave to allow his knee to heal) and adverse employment actions that occurred a

4 mere matter of days later, the Court finds that Plaintiff’s evidence is sufficient to meet his burden

5 of demonstrating a prima facie case of retaliatory causation. See Scotch,

93 Cal. Rptr. 3d at 366

6 (holding that evidence showing an employee suffered an adverse employment action weeks after

7 engaging in protected activity was sufficient to make a prima facie showing of causation).

8 ii. Legitimate Business Reason for Termination

9 That being said, Plaintiff skips a step in the analysis by concluding that this “short period

10 of time between the protected activity and the adverse employment action in this case raises an

11 inference of causation sufficient to survive summary judgment,” because Defendant presents

12 evidence that it had a legitimate, nonretaliatory reason for terminating Plaintiff’s employment.

13 (ECF No. 43 at 25); see also Scotch,

93 Cal. Rptr. 3d at 366

(“By establishing a prima facie case

14 of retaliation, [the plaintiff] shifted the burden to [the defendant] of showing a legitimate,

15 nonretaliatory reason for the adverse employment action.”). For the same reasons the Court

16 articulated earlier in this Order relating to Plaintiff’s FEHA discrimination claim, see supra Part

17 III.B.iv, and based on the same evidentiary showing (see, e.g., ECF No. 46-1 ¶¶ 10–13 (setting

18 forth attendance-related points assessed to Plaintiff in 2014 for reasons unrelated to his 2015 knee

19 injury); ECF No. 32-1 at 14–18), the Court finds that Defendant has carried its burden of

20 producing evidence suggesting that its decision to terminate Plaintiff was motivated by legitimate, 21 nonretaliatory reasons.

22 Consequently, Plaintiff must now meet its burden to produce evidence establishing that

23 Defendant’s reasons were pretextual. See Scotch, 93 Cal. Rptr. 3d at 366–67.

24 iii. Pretext

25 Plaintiff’s burden of producing evidence suggestive of retaliatory pretext is similar, if not

26 identical, to his burden to demonstrate discriminatory pretext. See Hooker,

548 F. App’x at 370

27 (“To establish pretext, [the plaintiff] ‘must demonstrate such weaknesses, implausibilities,

28 inconsistencies, incoherencies, or contradictions in the employer’s proffered legitimate reasons . .

54 1 . .’” (quoting Hersant v. Dep’t of Soc. Servs.,

67 Cal. Rptr. 2d 483, 488

(Ct. App. 1997))).

2 Defendant asserts that “Plaintiff does not have any evidence of pretext” in the context of

3 his FEHA retaliation claim. (ECF No. 42-1 at 24.) But the circumstantial evidence the Court

4 analyzed and found sufficient to raise a triable issue as to pretext for purposes of Plaintiff’s

5 discrimination claim serves the same function in the retaliation context. See Yanowitz,

116 P.3d 6 at 1144

(applying the same burden-shifting analysis from FEHA discrimination claims in the

7 context of a summary judgment motion attacking a claim of retaliation). This is because nearly

8 all the evidence the Court found to be suggestive of pretext in the discrimination context related

9 to Defendant’s behavior after Plaintiff returned from his medical leave, and so is also highly

10 relevant to Plaintiff’s claim that he was retaliated against when he returned to work in March of

11 2015 after engaging in the protected activity of taking medical leave. This evidence includes,

12 inter alia, the short temporal proximity between Plaintiff’s protected activity and adverse

13 employment action (see ECF No. 46-1 ¶¶ 70, 73, 83; ECF No. 46-2 ¶¶ 48, 52; ECF No. 43-4 at

14 107); the discipline he was subjected to for leaving his shift early on March 2, 2015, despite the

15 evidence that his supervisor permitted him to leave that day (see ECF No. 46-2 ¶ 52; ECF No. 43-

16 6 at 61, 77–78), and compared with the leniency he had been shown by his employer for doing

17 the same thing prior to taking medical leave (see ECF No. 43-3 ¶ 20); and the manner in which

18 his fifth-hour rule violation occurred and was handled by his supervisor on March 10, 2015 (see

19 ECF No. 43-6 at 65–66, 83, 95, 102–03). Taken together, this circumstantial evidence that

20 Defendant created a pretextual reason to terminate Plaintiff for his attendance-related 21 transgressions in March of 2015 is substantial enough that it merits examination by a factfinder at

22 a trial, one that has the benefit of making determinations regarding evidentiary weight and

23 witness credibility. See Anderson,

477 U.S. at 255

(“Credibility determinations, the weighing of

24 the evidence, and the drawing of legitimate inferences from the facts are jury functions, not those

25 of a judge . . . .”).

26 For the foregoing reasons, Defendant is not entitled to summary judgment on Plaintiff’s 27 FEHA retaliation claim.

28 ///

55 1 F. Intentional Infliction of Emotional Distress

2 Defendant moves for summary judgment in its favor on Plaintiff’s cause of action for

3 intentional infliction of emotional distress. (ECF No. 42-1 at 25–27.) Defendant argues that such

4 claims brought for employment-related violations are barred by the doctrine of workers’

5 compensation exclusivity. (ECF No. 42-1 at 25.) Defendant also argues that Plaintiff cannot

6 establish a prima facie case of intentional infliction of emotional distress because the emotional

7 distress he allegedly suffered was not, as a matter of law, severe. (ECF No. 42-1 at 27.)

8 Plaintiff disputes the applicability of the workers’ compensation exclusivity bar to cases

9 involving alleged violations of statutes such as FEHA. (ECF No. 43 at 27.) Plaintiff also asserts

10 that his evidence that he suffered from “sleepless nights, headaches, and general fear of not being

11 able to provide for his family” is sufficient to withstand summary judgment on his claim for

12 intentional infliction of emotional distress. (ECF No. 43 at 27; see ECF No. 43-3 ¶ 24.)

13 The elements of a cause of action for intentional infliction of emotional distress are “(1)

14 extreme and outrageous conduct by the defendant with the intention of causing, or reckless

15 disregard of the probability of causing, emotional distress; (2) the plaintiff’s suffering severe or

16 extreme emotional distress; and (3) actual and proximate causation of the emotional distress by

17 the defendant’s outrageous conduct.” Hughes v. Pair,

209 P.3d 963, 976

(Cal. 2009) (quoting

18 Potter v. Firestone Tire & Rubber Co.,

863 P.2d 795, 819

(Cal. 1993)) (citing Christensen v.

19 Superior Court,

820 P.2d 181, 202

(Cal. 1991)). “Severe emotional distress means ‘emotional

20 distress of such substantial quality or enduring quality that no reasonable [person] in civilized 21 society should be expected to endure it.’”

Id.

(alteration in original) (quoting Potter,

863 P.2d at 22

821).

23 Defendant is entitled to summary judgment on Plaintiff’s claim for intentional infliction of

24 emotional distress because no reasonable jury could conclude that “sleepless nights, headaches,

25 and a general fear of not being able to provide for [his] family” constitute severe emotional

26 distress. (ECF No. 43-3 ¶ 24.) Sleepless nights and headaches are endured by millions of people 27 in this country every day. And it is an unfortunate truth in the modern age that millions of people

28 still fear for their ability to provide for their families. Plaintiff’s symptoms simply do not rise to a

56 1 level of severity that a reasonable jury would conclude is “of such substantial quality or enduring

2 quality that no reasonable [person] in civilized society should be expected to endure it.” Hughes,

3

209 P.3d at 976

(alteration in original) (quoting Potter,

863 P.2d at 821

). Plaintiff’s argument to

4 the contrary is based on decades-old authority that is patently insufficient to overcome the

5 California Supreme Court’s 2009 articulation of the law of intentional infliction of emotional

6 distress set forth in Hughes. (See ECF No. 43 at 27 (citing cases from 1952 and 1978).)

7 Accordingly, Defendant’s motion for summary judgment on Plaintiff’s claim for

8 intentional infliction of emotional distress is GRANTED.

9 G. Failure to Prevent Discrimination

10 Defendant moves for summary judgment on Plaintiff’s claim for failing to prevent

11 discrimination in violation of FEHA. (ECF No. 42-1 at 27–28.) Defendant argues that since

12 Plaintiff’s FEHA discrimination claim fails, so must his claim that Defendant failed to prevent

13 discrimination. (ECF No. 42-1 at 28.) The Court notes with some measure of frustration that

14 Plaintiff makes no effort to directly address Defendant’s argument in this regard. Nonetheless, a

15 district court generally should not grant summary judgment solely on the basis that an argument is

16 unopposed, unless the moving party affirmatively demonstrates its entitlement to summary

17 judgment. See Martinez v. Stanford,

323 F.3d 1178, 1183

(9th Cir. 2003).

18 FEHA makes it an unlawful employment practice for “an employer . . . to fail to take all

19 reasonable steps necessary to prevent discrimination and harassment from occurring.” Cal. Gov’t

20 Code § 12940(k).5 An employer sued for failing to prevent discrimination may pursue a number 21 of avenues to demonstrate its entitlement to summary judgment. “One such reasonable step, and

22 one that is required in order to ensure a discrimination-free work environment, is a prompt

23 investigation of [a] discrimination claim.” Cal. Fair Emp’t & Hous. Comm’n v. Gemini

24 Aluminum Corp.,

18 Cal. Rptr. 3d 906, 920

(Ct. App. 2004) (citing Northrop Grumman Corp. v.

25 Workers’ Comp. Appeals Bd.,

127 Cal. Rptr. 2d 285, 296

(Ct. App. 2002)). “Other reasonable

26 5 The Court notes that the Complaint appears to cite to a section of the California Government Code that targets aiding and abetting an unlawful workplace practice, not to the section of the Government Code that targets 27 failure to prevent discrimination. (See ECF No. 5-1 at 12 (“Defendants’ conduct as described constitutes a violation of California Government code Section 12940(i).”).) The Court views this as another typographical, not substantive, 28 oversight on Plaintiff’s part.

57 1 steps an employer might take include the establishment and promulgation of antidiscrimination

2 policies and the implementation of effective procedures to handle complaints and grievances

3 regarding discrimination.”

Id.

(citing State Dep’t of Health Servs. v. Superior Court,

79 P.3d 556

,

4 565–66 (Cal. 2003)). But where an employer relies on its antidiscrimination policies for

5 summary judgment, the “employer’s claim that its procedures are effective in addressing

6 discrimination is negated by proof of retaliation.”

Id.

7 Here, Defendant’s claim to summary judgment on Plaintiff’s failure-to-prevent-

8 discrimination claim is entirely derivative of its argument urging summary judgment on

9 Plaintiff’s discrimination claim. (See ECF No. 42-1 at 28 (“As shown throughout this brief,

10 Plaintiff was terminated for a legitimate, non-discriminatory reason, dooming Plaintiff’s claim for

11 failure to prevent discrimination.”)); Trujillo v. N. Cty. Transit Dist.,

73 Cal. Rptr. 2d 596

, 602

12 (Ct. App. 1998) (“Employers should not be held liable to employees for failure to take necessary

13 steps to prevent [discrimination], except where the actions took place and were not prevented.”).

14 The Court already determined that Defendant’s arguments are unavailing in the context of

15 Plaintiff’s discrimination claim, meaning that these same arguments do not suffice to merit

16 summary judgment in the context of Plaintiff’s claim for failure to prevent discrimination. See

17 Washington v. Cal. City Corr. Ctr.,

871 F. Supp. 2d 1010, 1027

(E.D. Cal. 2012) (“Because

18 Plaintiff has met her burden to show genuine issues of material fact as to actionable

19 discrimination, Defendant may be held liable for failing to prevent discrimination.”).

20 Furthermore, since Defendant does not proffer any evidence that it engaged in “a prompt 21 investigation of [Plaintiff’s] discrimination claim” after he was terminated, it cannot rely on that

22 potential basis for summary judgment. Gemini Aluminum Corp.,

18 Cal. Rptr. 3d at 920

(citing

23 Northrop Grumman Corp.,

127 Cal. Rptr. 2d at 296

). And finally, as the Court has explained

24 previously, a triable issue exists regarding Plaintiff’s FEHA retaliation claim. See supra Part

25 III.E. This precludes the entry of summary judgment on the basis that Defendant’s “procedures

26 are effective in addressing discrimination” because such an argument “is negated by proof of 27 retaliation.” Gemini Aluminum Corp.,

18 Cal. Rptr. 3d at 920

.

28 Accordingly, even though Plaintiff failed to respond to Defendant’s request for summary

58 1 judgment on the claim of failure to prevent discrimination, it is simultaneously true that

2 Defendant has not affirmatively demonstrated its entitlement to summary judgment. See

3 Martinez,

323 F.3d at 1183

.

4 H. Wrongful Termination in Violation of Public Policy

5 Defendant moves for summary judgment on Plaintiff’s claim that he was wrongfully

6 terminated in violation of public policy. (See ECF No. 42-1 at 28.) Defendant’s primary

7 argument is that Plaintiff presents no evidence establishing a nexus between any protected

8 activity and his termination. (ECF No. 42-1 at 28.) Plaintiff argues that because he “has stated

9 sufficient evidence of a FEHA violation to survive summary judgment, summary adjudication of

10 Plaintiff’s claim for wrongful termination is similarly improper at this time.” (ECF No. 43 at 26.)

11 “The elements for this tort [of wrongful termination in violation of public policy] are (1)

12 the existence of a public policy and (2) a nexus between the public policy and an employee’s

13 termination.” Lucent Techs., Inc., 642 F.3d at 749 (citing Turner v. Anheuser-Busch, Inc., 876

14 P.2d 1022

, 1034 (Cal. 1994)). The law in California has long been established that “disability

15 discrimination can form the basis of a common law wrongful discharge claim.” City of Moorpark

16 v. Superior Court,

959 P.2d 752, 764

(Cal. 1998). Furthermore, where a plaintiff’s claim of

17 unlawful treatment under FEHA survives summary judgment, so too does the plaintiff’s related

18 claim of wrongful termination in violation of public policy. Earl,

658 F.3d at 1118

(citing

19 Stevenson v. Superior Court,

941 P.2d 1157

, 1166–67 (Cal. 1997)); see also Soria,

210 Cal. Rptr. 20

3d at 88 (holding that where employee “has established triable issues of fact as to whether 21 [employer]’s stated reason for terminating her was pretext for unlawful discrimination . . . ,

22 summary adjudication on the wrongful termination cause of action should have been denied”).

23 The Court has already determined that Defendant is not entitled to summary judgment on

24 Plaintiff’s claim of disability discrimination in violation of FEHA. See supra Part III.B.

25 Consequently, Defendant is also not entitled to summary judgment on Plaintiff’s claim that he

26 was terminated in violation of public policy. See Lucent Techs., Inc., 642 F.3d at 742 n.13 27 (characterizing wrongful termination claim as “entirely reliant on a finding of discrimination

28 under the FEHA”); Arteaga, 77 Cal. Rptr. 3d at 677 (“The wrongful termination claim is, after

59 1 all, based on the FEHA’s prohibition of physical disability discrimination.”).

2 I. Interference with FMLA Leave

3 Defendant moves for summary judgment on Plaintiff’s claim for interference with his

4 rights as protected by the FMLA. (ECF No. 42-1 at 29.) Defendant argues that Plaintiff has no

5 evidence that his FMLA rights were ever wrongfully denied, because Defendant fully

6 accommodated the FMLA leave requests Plaintiff submitted in January and February of 2015,

7 and because Plaintiff never actually requested any additional FMLA leave in March of 2015.

8 (ECF No. 42-1 at 29.) Defendant also asserts that because it had a legitimate, non-discriminatory

9 reason to terminate Plaintiff’s employment, “Plaintiff cannot establish any causal connection

10 between his FMLA leave and subsequent termination.” (ECF No. 42-1 at 29.)

11 As pleaded in his Complaint, Plaintiff’s FMLA interference claim is two-pronged. It

12 alleges that Plaintiff was terminated (i) in retaliation for having taken leave protected by the

13 FMLA in order to rest his injured knee, presumably in January and February of 2015, and (ii) for

14 expressing his intent to take additional FMLA leave for his knee in the future, leave which he

15 could not take because he was terminated. (See ECF No. 5-1 at 14 (“Defendant violated the

16 FMLA by terminating Plaintiff’s employment because he had taken FMLA leave and he had

17 requested additional FMLA leave.”).) The Ninth Circuit distinguishes between FMLA retaliation

18 claims, which are subject to the same burden-shifting analysis as garden-variety FEHA retaliation

19 claims and which are authorized by

29 U.S.C. § 2615

(a)(2), and FMLA interference claims,

20 which are not subject to a burden-shifting analysis and are authorized by a separate statutory 21 provision contained at

29 U.S.C. § 2615

(a)(1). See Sanders v. City of Newport,

657 F.3d 772

,

22 777–78 (9th Cir. 2011) (explaining the doctrinal differences between FMLA retaliation claims

23 and FMLA interference claims). Read in this context, Plaintiff’s brief in opposition to summary

24 judgment makes it clear that he has effectively abandoned any claim for FMLA retaliation, and

25 instead wishes to proceed only on his claim for FMLA interference based on the fact that his

26 termination made it impossible for him to take the FMLA leave to which he would have been 27 entitled had he remained employed. (See ECF No. 43 at 27–28 (citing to

29 U.S.C. § 2615

(a)(1)

28 only, and arguing that the burden-shifting analysis is not applicable to Plaintiff’s FMLA

60 1 interference claims).)

2 Because FMLA interference claims are not subject to any burden-shifting analysis, an

3 employee on summary judgment must only establish that “(1) he was eligible for

4 the FMLA’s protections, (2) his employer was covered by the FMLA, (3) he was entitled

5 to leave under the FMLA, (4) he provided sufficient notice of his intent to take leave, and (5) his

6 employer denied him FMLA benefits to which he was entitled.” Escriba v. Foster Poultry

7 Farms, Inc.,

743 F.3d 1236, 1243

(9th Cir. 2014) (quoting Sanders,

657 F.3d at 778

). An

8 employee’s responsibility to provide notice to an employer regarding intended FMLA leave is

9 minimal because “[e]mployees need only notify their employers that they will be absent under

10 circumstances which indicate that the FMLA might apply.” Bachelder v. Am. W. Airlines, Inc.,

11

259 F.3d 1112, 1130

(9th Cir. 2001) (quoting

29 C.F.R. § 825.302

(c)). Indeed, an “employee

12 need not expressly assert rights under the FMLA or even mention the FMLA, but may only state

13 that leave is needed.”

Id.

(quoting

29 C.F.R. § 825.302

(c)). And finally, evidence of employer

14 intent to deny FMLA rights to an employee is not necessary for the employee to defeat summary

15 judgment. See

id.

(“An employer who acts in good faith and without knowledge that its conduct

16 violated the Act . . . is still liable for actual damages regardless of its intent.”).

17 Defendant’s summary judgment papers attack only the last two elements of Plaintiff’s

18 prima facie case of FMLA interference. (See ECF No. 46 at 10 (arguing that summary judgment

19 on Plaintiff’s FMLA interference claim is warranted because Plaintiff failed to “show that he

20 provided sufficient notice of his intent to take FMLA leave and WinCo’s subsequent denial of 21 FMLA benefits”).) But Defendant’s argument that “Plaintiff provides no factual evidence that he

22 ever requested additional leave” misses the point, because the instant question is whether there is

23 a triable issue regarding whether Plaintiff’s FMLA rights were infringed upon after he expressed

24 his intention to take FMLA leave in the future. (ECF No. 46 at 10.) The Court finds that there is

25 such a triable issue. First, there is direct evidence in the record that Plaintiff did inform his

26 supervisors of his intention to take FMLA leave when needed to accommodate his knee injury. 27 (ECF No. 43-3 ¶ 17.) This evidence is sufficient to carry Plaintiff’s summary judgment burden to

28 show that Defendant was on notice that Plaintiff would require FMLA leave in the future,

61 1 because an “employee need not expressly assert rights under the FMLA or even mention

2 the FMLA, but may only state that leave is needed.” Bachelder,

259 F.3d at 1130

(quoting 29

3 C.F.R. § 825.302

(c)). Just because Plaintiff’s evidence that he expressed an intention to take

4 FMLA leave is contained in a self-serving declaration does not mean the Court can or should

5 disregard it. See Nigro,

784 F.3d at 497

(holding that a self-serving declaration is not

6 inadmissible solely because it is self-serving, and that a district court should not disregard the

7 evidence from a self-serving declaration unless it “states only conclusions and not facts that

8 would be admissible evidence”). Furthermore, just because Plaintiff did not actually submit a

9 request for knee-related FMLA leave before he was terminated on March 10, 2015, does not

10 necessarily mean that he also did not inform his supervisors nine days prior that he intended to

11 use FMLA leave at some point in the future. (See ECF No. 46-2 ¶ 14; ECF No. 43-3 ¶ 17.)

12 Second, there is circumstantial evidence connecting Plaintiff’s negative treatment by

13 Defendant — including his termination — in March of 2015 with his announcement to his

14 superiors that he would need FMLA leave in the future to address his knee injury. There is, for

15 instance, the temporal proximity between the day Plaintiff told his supervisors that he would need

16 FMLA leave in the future (see ECF No. 43-3 ¶ 17), and the very next day when he was

17 disciplined for leaving his shift early (see ECF No. 46-2 ¶ 52). Regarding this March 2, 2015,

18 shift, there is also the evidence the Court has previously analyzed that Plaintiff’s behavior was

19 treated differently after March 1, 2015, when he announced his need for FMLA leave, as

20 compared to previous shifts when he had departed early prior to announcing that he intended to 21 take such leave. See supra Part III.C.v.b. And there is, of course, the mere nine days between

22 when Plaintiff announced his intention to take FMLA leave (see ECF No. 43-3 ¶ 17), and the day

23 he was terminated (see ECF No. 46-1 ¶ 38). Taken together as a whole and construing the facts

24 in the manner most favorably to Plaintiff, this evidence is sufficient for a reasonable factfinder to

25 conclude that one of the reasons Defendant began treating Plaintiff differently after March 1,

26 2015, was because he told his supervisors on that day that he would need additional FMLA leave 27 in the future. See, e.g., Schultz v. Wells Fargo Bank, Nat’l Ass’n,

970 F. Supp. 2d 1039, 1055

(D.

28 Or. 2013

) (finding that temporal proximity measured in days between FMLA-protected action

62 1 and adverse employment action was “sufficient to allow a factfinder to infer the requisite

2 causation”); Sutton v. Derosia, No. 1:11-cv-01426-LJO,

2012 WL 4863788

, at *13 (E.D. Cal.

3 Oct. 12, 2012) (denying employer’s motion for summary judgment on FMLA interference claim

4 where employee was terminated two weeks after returning from FMLA-protected leave).

5 Since there is no burden-shifting analysis to undertake for purposes of Plaintiff’s FMLA

6 interference claim, Defendant’s motion for summary judgment on Plaintiff’s FMLA interference

7 claim must be denied. See Sanders, 657 F.3d at 777–78.

8 J. Punitive Damages

9 Defendant moves for summary adjudication on the issue of whether Plaintiff’s claims

10 would, if proven, entitle him to punitive damages. Defendant argues that there is no evidence it

11 acted maliciously, oppressively, or fraudulently, as it must have done in order to expose itself to

12 punitive damages. (ECF No. 42-1 at 30.) Defendant also argues that punitive damages are not

13 available to Plaintiff because all of Defendant’s allegedly unlawful actions were performed by

14 non-managing agents. (ECF No. 42-1 at 30.) Specifically, Defendant asserts that Lagos was

15 merely an Assistant Store Manager at the time he made the decision to terminate Plaintiff’s

16 employment, and therefore “had no authority to set, create or alter company policy” as would be

17 required to expose Defendant to punitive damages. (ECF No. 46 at 11.) Plaintiff argues that

18 punitive damages are permissible for FEHA claims and are warranted here because Lagos had the

19 authority to hire and fire and enforce company policy, and because Defendant “acted contrary to

20 the FEHA laws and terminated Plaintiff as a result of his disability.” (ECF No. 43 at 29.) 21 The law is clear that for punitive damages to be assessed against a corporate defendant for

22 an act done by the corporation’s employee, said act “must be on the part of an officer, director, or

23 managing agent of the corporation.”

Cal. Civ. Code § 3294

(b). To qualify as a managing agent

24 under this statute, a person must do more than supervise the terminated employee and have the

25 authority to effectuate that employee’s firing. White v. Ultramar, Inc.,

981 P.2d 944, 954

(Cal.

26 1999) (holding that a supervisor’s “supervision of plaintiff and her ability to fire him alone were 27 insufficient to make her a managing agent”). Instead, “[t]he managing agent must be someone

28 who exercises substantial discretionary authority over decisions that ultimately determine

63 1 corporate policy.”

Id. at 951

.

2 Plaintiff does not appear to contend that Lagos was an officer or director of Defendant.

3 (See ECF No. 42 at 28.) Indeed, Plaintiff’s only contention that he would be entitled to punitive

4 damages is that Lagos qualified as a managing agent because he “ha[d] the authority to hire, fire

5 and enforce company policy.” (ECF No. 43 at 28.) This is insufficient to create a genuine

6 dispute of material fact about whether Lagos was a managing agent of Defendant. First, in White,

7 the California Supreme Court made it clear that a corporate employee is not a managing agent

8 simply because that employee supervises other workers and has the authority to terminate them.

9

981 P.2d at 954

. But the main piece of evidence Plaintiff presents regarding Lagos’s authority is

10 that he had authority to do only that. (See ECF No. 43-6 at 109 (containing testimony from Lagos

11 that he was in charge of hiring and firing).)

12 Second, Plaintiff presents evidence only that Lagos could enforce company policy. (See

13 ECF No. 43-6 at 115 (containing testimony from Lagos that he enforced Defendant’s leave

14 policies).) The implication is that Lagos’s authority to enforce company policy is sufficient for

15 the Court to send to a jury the question of whether Lagos was acting as a managing agent when he

16 terminated Plaintiff. (See ECF No. 43 at 28; ECF No. 46-1 ¶ 312 (arguing that “Mr. Lagos is a

17 managing agent of Defendant”).) But as the California Supreme Court made clear in White, there

18 is a crucial difference between enforcing and determining corporate policy under section 3294(b)

19 of California’s Civil Code. In that case, a store manager who terminated the plaintiff’s

20 employment managed no less than eight stores and, crucially, made “significant decisions 21 affecting both store and company policy.” White,

981 P.2d at 954

. The store manager exercised

22 “substantial discretionary authority over decisions that ultimately determined corporate policy in

23 a most crucial aspect of” the defendant employer’s business, such that the manager’s actions

24 exposed her corporate employer to punitive damages.

Id.

There is no indication in the record

25 before the Court in this case, however, that Lagos made decisions that “ultimately determined

26 corporate policy” for Defendant.

Id.

Rather, the most that can be said about Lagos is that he 27 “enforce[d] company policy” that was determined by those higher above him in the corporate

28 hierarchy. (ECF No. 43 at 28.)

64 1 Nothing in the cases cited by Plaintiff in support of his claim for punitive damages

2 convinces the Court otherwise. In Brandon v. Rite Aid Corp., the defendant employer did not

3 raise the issue of whether its employees who terminated the plaintiff qualified as officers,

4 directors, or managing agents.

408 F. Supp. 2d 964

, 982 n.10 (E.D. Cal. 2006). Here, of course,

5 the authority of Defendant’s employee who terminated Plaintiff is Defendant’s main argument in

6 support of summary adjudication of Plaintiff’s claim for punitive damages. (See ECF No. 46 at

7 11.) And in Roberts v. Ford Aerospace & Commc’ns Corp., punitive damages were upheld

8 against a corporate defendant where the defendant’s manager who terminated the plaintiff

9 testified that no single supervisor had authority to fire another employee, and that all termination

10 decisions required approval of the corporation’s Industrial Relations department.

274 Cal. Rptr. 11

139, 144 (Ct. App. 1990). Here, Plaintiff makes no showing that his termination decision

12 required approval of a corporate department, resting his argument and his evidentiary showing

13 entirely on Lagos’s personal authority. (See ECF No. 43 at 28–29; ECF No. 46-2 ¶¶ 76–77.)6

14 Consequently, Plaintiff fails to produce evidence that a reasonable factfinder might rely

15 upon to decide that he was terminated by an officer, director, or managing agent of Defendant.

16 Since such a showing is mandatory in order to recover punitive damages in California,

17 Defendant’s motion for summary adjudication is GRANTED as to Plaintiff’s claim for punitive

18 damages. See

Cal. Civ. Code § 3294

(b).

19 IV. CONCLUSION

20 In summary, the Court GRANTS Defendant’s motion for summary judgment as to 21 Plaintiff’s cause of action for intentional infliction of emotional distress and as to Plaintiff’s claim

22 that he is entitled to punitive damages. In all other respects, Defendant’s motion for summary

23 judgment is DENIED. The parties shall file a Notice of Trial Readiness within thirty days.

24 6 The Court notes that there is at least one indication in the record that the decision to terminate Plaintiff’s 25 employment may have been submitted to, or ratified by, Defendant’s corporate office. (See ECF No. 43-6 at 140 (containing incomplete testimony to the effect that Lagos may have spoken to Defendant’s corporate office prior to 26 terminating Plaintiff).) However, Plaintiff does not refer or cite to this evidence anywhere in his papers or in his separate statements of fact submitted in support of those papers, so the Court finds it insufficient to create a triable 27 issue of fact. See Carmen v. S.F. Unified Sch. Dist.,

237 F.3d 1026

, 1031 (9th Cir. 2001) (“The district court need not examine the entire file for evidence establishing a genuine issue of fact, where the evidence is not set forth in the 28 opposing papers with adequate references so that it could conveniently be found.”).

65 1 IT IS SO ORDERED.

2 Dated: October 24, 2019

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5 Troy L. Nunley United States District Judge 6

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