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Shannon v. Henderson, 01-10346 (2001)

Court: Court of Appeals for the Fifth Circuit Number: 01-10346 Visitors: 4
Filed: Sep. 26, 2001
Latest Update: Mar. 02, 2020
Summary: IN THE UNITED STATES COURT OF APPEALS FOR THE FIFTH CIRCUIT _ No. 01-10346 Summary Calendar _ RONALD L. SHANNON, JR., Plaintiff-Appellant, v. WILLIAM J. HENDERSON, POSTMASTER GENERAL, UNITED STATES POSTAL SERVICE Defendant-Appellee. _ Appeal from the United States District Court for the Northern District of Texas No. 4:99-CV-021-Y _ September 25, 2001 Before KING, Chief Judge, and WIENER and DENNIS, Circuit Judges. PER CURIAM:* Plaintiff-Appellant Ronald L. Shannon, Jr. (“Shannon”) appeals from
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               IN THE UNITED STATES COURT OF APPEALS

                       FOR THE FIFTH CIRCUIT


                       ____________________

                           No. 01-10346

                         Summary Calendar
                       ____________________


     RONALD L. SHANNON, JR.,


                                    Plaintiff-Appellant,

     v.



     WILLIAM J. HENDERSON, POSTMASTER GENERAL, UNITED STATES
     POSTAL SERVICE

                                    Defendant-Appellee.

_________________________________________________________________

           Appeal from the United States District Court
                for the Northern District of Texas
                        No. 4:99-CV-021-Y
_________________________________________________________________
                        September 25, 2001

Before KING, Chief Judge, and WIENER and DENNIS, Circuit Judges.

PER CURIAM:*

     Plaintiff-Appellant Ronald L. Shannon, Jr. (“Shannon”)

appeals from the district court’s judgment in favor of Defendant-

Appellee William J. Henderson, Postmaster General, United States

     *
        Pursuant to 5TH CIR. R. 47.5, the court has determined
that this opinion should not be published and is not precedent
except under the limited circumstances set forth in 5TH CIR. R.
47.5.4.
Postal Service (“Postal Service”), on Shannon’s retaliation and

disability discrimination claims under the Rehabilitation Act of

1973, 29 U.S.C. § 794 (1994) (“Rehabilitation Act”).    For the

reasons set forth below, we AFFIRM.



               I.   FACTUAL AND PROCEDURAL BACKGROUND

     Plaintiff-Appellee Shannon has been employed by the United

States Postal Service since 1990.     From 1990 until June, 1996 he

worked as a letter carrier for the U.S. Postal Service in Euless,

Texas.   During the course of his employment as a letter carrier

with the Euless post office, Shannon suffered two on-the-job back

injuries, one in 19931 and one on January 3, 1996.

     Shannon reported his January 3, 1996 back injury to his

supervisor, who provided him with a CA-17 duty status form (“CA-

17") to take to his doctor. Shannon called in sick on January 5

and was examined by a doctor that day.    He remained on sick leave

until January 16, at which point he returned to work.    The

portion of the CA-17 form prepared by Shannon’s doctor diagnosed

Shannon with lower back injury and a possible lumbar strain and

indicated that his duties should be restricted to “casing” his

     1
          In its November 27, 2000 order partially granting the
Postal Service’s motion for summary judgment, the trial court
ruled that any claims based on Shannon’s 1993 injury were barred
due to Shannon’s failure to exhaust his administrative remedies
by contacting an Equal Employment Opportunity counselor within 45
days of the alleged discriminatory action. See 29 C.F.R. §
1614.105(a)(1) (2000). Shannon does not appeal this
determination.

                                  2
route (i.e., sorting the mail in preparation for delivery) and to

two hours of walking.

     Shannon returned to his doctor for reevaluation the next

day, January 17. Shannon’s doctor prepared another CA-17 after

this reevaluation, indicating that Shannon had a lower back

injury and that he should return to work on January 19. The

doctor’s instructions on the second CA-17 restricted Shannon to

twenty pounds of lifting, three to five hours of sitting, two

hours of standing, two hours per day of continuous walking, one

hour per day of kneeling, one hour per day of pulling/pushing,

one half hour per day of simple grasping, three to five hours per

day of fine manipulation, two to four hours per day of reaching,

and one to three hours per day of driving a vehicle.   Shannon was

entirely restricted from twisting or climbing.   He returned to

work on January 19.   The parties dispute whether and to what

extent Shannon’s supervisors respected these restrictions in

assigning his job tasks from January 19 through January 31.

     Shannon saw his doctor again on January 31.   The CA-17 from

that visit indicates his doctor’s opinion that he was able to

return to full-time work (i.e., eight hours per day, five days

per week), subject to a restriction that he should not engage in

more than two hours of walking for three weeks,2 but could return

     2
        The Postal Service contends that the January 31, 1996
CA-17 form restricted Shannon to no more than two hours per day
of continuous walking and that Shannon was actually approved to
walk for more than two hours if he took intermittent breaks.

                                 3
to normal walking after three weeks had elapsed.    The portion of

the CA-17 prepared by Shannon’s employer (informing his treating

physician of his normal job requirements) indicated that

Shannon’s duties were “subject to employee input.”    The parties

dispute the exact meaning of this phrase.    The parties also

dispute whether and to what extent Shannon’s supervisors

respected these restrictions in assigning his job tasks for the

next three weeks and whether and to what extent he requested or

received accommodations subsequent to this three-week

restriction.

     Shannon returned to his doctor’s office approximately five

months later, on June 7, 1996.   The physician’s assistant who

treated him at that time ordered an MRI test.    The results of

this test indicated that Shannon required back surgery.    This

surgery was performed in November of 1996.    After his surgery and

subsequent rehabilitation, Shannon could no longer perform his

duties as a letter carrier.

     He returned to work in July of 1997 and was assigned to

perform duties as a saturation test technician — a limited duty

position within the carrier craft — at a post office in Fort



Although this interpretation is supported by the appearance of
the form, because we interpret all factual disputes in the light
most favorable to the non-moving party when considering a
district court’s decision to grant summary judgment or judgment
as a matter of law, we will assume for the purposes of this
appeal that Shannon was restricted to a total of two hours per
day of walking during this three week period.

                                 4
Worth.   In March, 1998, Shannon was offered and accepted, under

protest, a permanent reassignment from the letter carrier craft

to the clerk craft as a part-time flexible distribution clerk in

the Fort Worth office.   Shannon’s position within the clerk craft

involved duties substantially similar to those he performed as a

saturation test technician within the carrier craft.     He

continues to hold this position today.

     Shannon filed a discrimination complaint with the Postal

Service’s Equal Employment Opportunity (“EEO”) office on

September 12, 1996.   He subsequently filed charges of

discrimination with the Equal Employment Opportunity Commission

(“EEOC”).   An EEOC hearing was conducted on May 21, 1998. The

EEOC made a finding of discrimination based on the Postal

Service’s failure to adhere to Shannon’s work restrictions and

awarded Shannon minimal compensatory damages for emotional

distress.

     Shannon objected to the EEOC decision and filed the instant

action in the United States District Court for the Northern

District of Texas on January 8, 1999, alleging that his

supervisors discriminated against him on the basis of his

disability by refusing to adhere to his work restrictions and by

otherwise refusing to reasonably accommodate his disability.

Shannon similarly alleged that he was discriminated against

because he was “regarded as” disabled.   He also asserted

discrimination claims for disability harassment and disparate

                                 5
treatment, alleging that he was treated differently than non-

disabled employees and other employees with similar disabilities,

and made a retaliation claim, alleging that his permanent

reassignment to the clerk craft was an adverse employment action

in retaliation for his filing an EEO complaint.

     The Postal Service moved for summary judgment on April 27,

2000, arguing that Shannon’s failure-to-accommodate claims should

be dismissed because his proposed accommodations for his back

injury from January 16, 1996   through June 12, 1996 were

unreasonable as a matter of law and because the Postal Service

made good faith efforts to reasonably accommodate his injuries

during this period.   The Postal Service further argued that

Shannon’s retaliation claims should be dismissed, contending that

his reassignment was not an adverse employment action and that

the Postal Service had a legitimate non-discriminatory reason for

reassigning him.   The district court awarded summary judgment on

the retaliation claim, finding that Shannon had not established a

prima facie case of retaliation because he failed to demonstrate

that his reassignment was an adverse employment action.3

     Shannon’s remaining claims proceeded to trial by jury on

January 3, 2001. At the conclusion of Shannon’s case, the Postal

Service moved for judgment as a matter of law, arguing that

     3
        The district court also ruled in the summary judgment
order that reassigning Shannon to the clerk craft after his
surgery was, as a matter of law, a reasonable accommodation for
his post-surgical limitations.

                                 6
Shannon had not established that he was an individual with a

disability as defined by the Rehabilitation Act.     The court

granted this motion, finding that there was no legally sufficient

evidentiary basis for a reasonable jury to find for the plaintiff

on the issue of disability.

     Shannon timely appealed.



                 II.   SHANNON’S RETALIATION CLAIM

     We review the district court’s grant of summary judgment to

the Postal Service on Shannon’s retaliation claim de novo,

applying the same standard as the district court.     See Rivers v.

Central and S.W. Corp., 
186 F.3d 681
, 683 (5th Cir. 1999).

Summary judgment is appropriate if no genuine issue of material

fact exists, and the moving party is entitled to judgment as a

matter of law.   See FED. R. CIV. P. 56(c).

     The Rehabilitation Act prohibits retaliation against

individuals who have opposed discriminatory employment practices

or made charges of discrimination.4   See 29 C.F.R. § 1614.101

(2000) (“No person shall be subject to retaliation for opposing

any practice made unlawful by . . . the Rehabilitation Act or for

participating in any stage of administrative or judicial

proceedings under those statutes.”) (internal citations omitted).

     4
        While the Rehabilitation Act contains no parallel
language to the ADA provision prohibiting retaliatory
discrimination, the Department of Labor has promulgated a
regulation under the Rehabilitation Act barring retaliation.

                                 7
In evaluating retaliation claims under the ADA and Title VII of

the Civil Rights Act of 1964, 42 U.S.C. § 2000e et seq. (1994),

this court has applied the burden-shifting framework outlined in

McDonnell Douglas Corp. v. Green, 
411 U.S. 792
(1973).   See Evans

v. City of Houston, 
246 F.3d 344
, 351 (5th Cir. 2001) (Title

VII); Seaman v. CPSH, Inc., 
179 F.3d 297
, 301 (5th Cir. 1999)

(ADA).   While this court has not explicitly held that this

framework would also be applicable to a retaliation claim brought

under the Rehabilitation Act, both the language of the Act5 and

the findings of our sister circuits6 indicate that the same

framework should be applied to retaliation claims under the

Rehabilitation Act.




     5
        The Rehabilitation Act’s anti-discrimination provision
indicates that “[t]he standards used to determine whether this
section has been violated . . . shall be the standards applied
under title I of the Americans with Disabilities Act of 1990 and
the provisions of sections 501 through 504, and 510, of the
Americans with Disabilities Act of 1990, as such sections relate
to employment.” 29 U.S.C. § 794(d) (1994).
     6
        At least two circuits have explicitly noted that the
same standard is applicable to retaliation claims brought under
the Rehabilitation Act and the ADA. See Gribcheck v. Runyon, 
245 F.3d 547
, 550 (6th Cir. 2001) petition for cert. filed (Jun. 28,
2001) (No. 01-264); Hooven-Lewis v. Caldera, 
249 F.3d 259
, 272
(4th Cir. 2001). Similarly, other circuits have applied the
McDonnell Douglas framework to retaliation claims brought under
the Rehabilitation Act without explicitly noting that the same
standard is used for retaliation claims under the ADA. See,
e.g., Sherman v. Runyon, 
235 F.3d 406
, 409 (8th Cir. 2000);
Williams v. Widnall, 
79 F.3d 1003
, 1005 n.3 (10th Cir. 1996).



                                 8
     To establish a prima facie claim of retaliation, the

plaintiff must demonstrate that (1) the plaintiff engaged in a

protected activity, such as filing an Equal Employment

Opportunity complaint; (2) the employer took adverse employment

action against the plaintiff; and (3) a causal connection existed

between the protected activity and the adverse action.     See

Seaman, 179 F.3d at 301
.   Once the plaintiff has established a

prima facie case, the defendant must provide a legitimate, non-

discriminatory explanation for the adverse employment action.

The plaintiff must then provide evidence that the employer’s

proffered reason is pretextual.   The plaintiff retains the

ultimate burden of proof to demonstrate that the adverse

employment action would not have occurred “but for” the protected

activity.   See id; see also 
Evans, 246 F.3d at 354
(noting that,

while the “causal link” requirement for establishing a prima

facie case of retaliation does not require a “but for” test, the

ultimate question of whether an employer has unlawfully

retaliated against an employee requires the employee to show that

the adverse employment action would not have occurred but for the

plaintiff’s participation in protected activity).

     In granting summary judgment to the Postal Service, the

district court determined that Shannon had not met the

requirements for a prima facie case of retaliation.   The court

found that Shannon had provided insufficient evidence that the

effects of his transfer to the clerk craft — including, by

                                  9
plaintiff’s assessment, having his leave time accrue over the

course of the year rather than advanced at the beginning of the

year, having his holiday pay averaged into his hourly rate rather

than getting paid for holidays, loss of seniority to bid on

vacation times, and loss of advancement opportunities and future

earnings due to the change in craft designation — were

sufficiently detrimental to constitute an adverse employment

action.   We find it unnecessary to determine whether a

reassignment with these effects would constitute an adverse

employment action.   Even assuming, arguendo, that Shannon could

establish a prima facie case of retaliation, the Postal Service

has provided a legitimate nondiscriminatory reason for this

action.   Shannon has not provided any evidence indicating that

this reason was pretextual.

     The Postal Service argues that Shannon’s reassignment to the

clerk craft was a reasonable and necessary accommodation for his

post-surgical medical condition, which rendered him unable to

perform the duties of a letter carrier.   While Shannon maintains

that this reason was pretextual, he provides only two arguments

in support of this position: (1) that the Human Resources and

Injury Compensation Managers who reassigned him testified falsely

when they indicated that they had not known about Shannon’s

discrimination claims when they reassigned him; and (2) that the

transfer occurred approximately six months after his maximum



                                10
medical improvement was determined and thus could not have been a

response to that determination.

     Looking at the facts in the light most favorable to Shannon,

we must assume that Shannon is correct in his assertion that the

Human Resources and Injury Compensation Managers who reassigned

him were aware that he had filed a complaint with the EEOC.

While this court has indicated that an employer’s awareness of an

employee’s protected activity might be sufficient to establish

the “causal link” element of a prima facie case of retaliation,7

see Medina v. Ramsey Steel Co., Inc., 
238 F.3d 674
, 684 (5th Cir.

2001), once the employer has offered a nondiscriminatory reason

for the adverse action, additional evidence beyond mere knowledge

is necessary to demonstrate that the employer’s proffered reason

for the action is pretextual.     See 
id. Similarly, the
timing of the allegedly adverse employment

action in this case does not provide evidence that Shannon’s

reassignment was a pretext for discrimination.   While this court

has recognized that “[c]lose timing between an employee’s

protected activity and an adverse action may provide the ‘causal

connection’ necessary to establish a prima facie case of

retaliation,” Swanson v. Gen. Servs. Admin., 
110 F.3d 1180
, 1188

     7
        This implication in Medina is contrary to the holdings
of other circuits. See, e.g., Sanchez v. Henderson, 
188 F.3d 740
, 747 (7th Cir. 1999) (finding that mere knowledge of a
plaintiff’s protected activity prior to an adverse employment
action is insufficient to establish a retaliatory motive); Hughes
v. Bedsole, 
48 F.3d 1376
, 1387 (4th Cir. 1995) (same).

                                  11
(5th Cir. 1997), suspicious timing alone is insufficient to

establish pretext.    See 
id. The Postal
Service has offered a legitimate,

nondiscriminatory reason that explains both Shannon’s

reassignment and the timing of that reassignment — namely, that

the reassignment was made to reasonably accommodate Shannon’s

changed abilities and that the delay was necessary in order to

process the reassignment administratively and to craft a position

in the Fort Worth office that would comply with Shannon’s medical

restrictions.    Shannon has provided no evidence that undermines

the legitimacy of this explanation.

       Because Shannon has not raised a genuine issue of material

fact indicating that he would not have been reassigned “but for”

his protected activities, the district court acted appropriately

in granting summary judgment to the Postal Service on this claim.



III.    SHANNON’S DISCRIMINATION CLAIMS BASED ON ACTUAL DISABILITY

       Shannon contends that the district court erred in granting

judgment as a matter of law to the Postal Service on his

disability discrimination claims.     The standard of review

governing motions for judgment as a matter of law mirrors the

summary judgment standard of review.     See FED. R. CIV. P. 50(a).

“Judgment as a matter of law is appropriate if, after viewing the

trial record in the light most favorable to the non-moving party,

there is no ‘legally sufficient evidentiary basis’ for a

                                 12
reasonable jury to have found for the prevailing party.”    Stokes

v. Emerson Electric Co., 
217 F.3d 353
, 356 (5th Cir. 2000).

     Shannon’s primary discrimination claim is a failure-to-

accommodate claim arguing that the Postal Service discriminated

against him on the basis of his disability by working him beyond

his work restrictions between January, 1996 (when he reinjured

his back on the job) and June, 1996 (when his surgery rendered

him unable to perform the duties of a letter carrier).8    Shannon

also advances disability discrimination claims based on disparate

treatment, arguing that he was treated differently than employees

without physical limitations and differently than employees with

similar physical limitations, and on hostile work environment

harassment.

     In order to prevail on his claims of disability

discrimination under the Rehabilitation Act, Shannon must

establish a prima facie case of discrimination — i.e., he must

establish that he is an individual with a disability, that he is

otherwise qualified, that he works for a program or activity that


     8
        Throughout the course of this litigation Shannon has
asserted (with varying degrees of specificity) a number of other
failure-to-accommodate claims. However, because the district
court determined in its November 27, 2000 order granting partial
summary judgment that any claims based on the 1993 injury were
barred and that Shannon’s reassignment to the clerk craft
subsequent to his June, 1996 surgery was a reasonable
accommodation (determinations that Shannon does not challenge),
his only remaining discrimination claims at trial were grounded
in his employer’s alleged conduct between January and June of
1996.

                               13
receives federal financial assistance, and that he was adversely

treated solely because of his disability.    Chandler v. City of

Dallas, 
2 F.3d 1385
, 1390 (5th Cir. 1993).

     The district court held that Shannon provided insufficient

evidence to demonstrate that he was an individual with a

disability within the meaning of the Rehabilitation Act during

the time period in question. To demonstrate that he is an

“individual with a disability” as defined under the

Rehabilitation Act, Shannon must demonstrate that he (1) has a

mental or physical impairment that (2) substantially limits (3)

one or more major life activities.   See 29 U.S.C. § 705(9)(B)

(1994).   The parties do not appear to dispute that Shannon has an

“impairment.”   However, the Postal Service contends that Shannon

was not substantially limited in any major life activity between

January and June of 1996.

     The Rehabilitation Act regulations define “major life

activities” to mean “functions, such as caring for one's self,

performing manual tasks, walking, seeing, hearing, speaking,

breathing, learning, and working.”   29 C.F.R. § 1614.203(a)(3)

(2000).   The Rehabilitation Act does not define the term

“substantially limits.”   The definition of an “individual with a

disability” is substantially the same under the Rehabilitation

Act and ADA. See Kapche v. City of San Antonio, 
176 F.3d 840
, 844

n.27 (5th Cir. 1999).   Moreover, Congress intended this

definition to be given the same construction under both statutes.

                                14
See Bragdon v. Abbott, 
524 U.S. 624
, 646 (1998).   Therefore, we

can look to the ADA’s implementing regulations9 for guidance in

interpreting these terms.   Regulations promulgated by the EEOC

interpreting the ADA define “substantially limits” to mean

either: (1) a total inability to perform a major life activity

that the average person in the general population can perform; or

(2) a significant restriction on the condition, manner, or

duration under which an individual can perform a major life

activity as compared to the general population.    See 29 C.F.R. §

1630.2(j)(1) (2000).   Factors to be considered in determining

whether an individual is substantially limited with respect to a

major life activity include “(i) [t]he nature and severity of the

impairment; (ii) [t]he duration or expected duration of the

impairment;   and (iii) [t]he permanent or long term impact, or

the expected permanent or long term impact of or resulting from

the impairment.”   
Id. at §
1630.2(j)(2).

     Shannon has never clearly articulated which major life

activities he was substantially limited in his ability to perform


     9
        The Supreme Court has never definitively established
whether the EEOC regulations interpreting the generally
applicable provisions of the ADA, including the definition of
disability, are entitled to judicial deference. See Sutton v.
United Air Lines, Inc., 
527 U.S. 471
, 479 (1999) (noting that “no
agency has been delegated authority to interpret the term
‘disability’”). However, this Circuit has looked to the EEOC’s
regulations interpreting the definition of disability for
guidance in the past. See, e.g., Dupre v. Charter Behavioral
Health Sys., Inc., 
242 F.3d 610
, 614 (5th Cir. 2001).


                                15
during the time period in question.    A generous reading of the

record indicates that Shannon has, at various points in this

litigation, suggested that he might have been substantially

limited in his ability to walk, lift, stand, “enjoy his life

outside of work” and work during the time period in question.

Walking and working are specifically enumerated as major life

activities in the Rehabilitation Act regulations.    See 29 C.F.R.

§ 1614.203(a)(3) (2000).   This court has previously recognized

lifting and standing to be major life activities as well.     See

Pryor v. Trane Co., 
138 F.3d 1024
, 1026 (5th Cir. 1998)

(lifting); Rogers v. Int’l Marine Terminals, Inc., 
87 F.3d 755
,

758 (5th Cir. 1996) (standing).

     With regard to Shannon’s alleged inability to “enjoy his

life outside of work,” the record reveals that Shannon appears to

be referring primarily to his abilities to engage in recreational

activities after work and to socialize with his family after

work.   A number of courts have found that recreational activities

do not constitute major life activities.    See, e.g., Colwell v.

Suffolk County Police Dept., 
158 F.3d 635
, 642-43 (2nd Cir.

1998); Wellner v. Town of Westport,    -- F.Supp.2d -–, 
2001 WL 987492
, at *2 (D.Conn. Aug. 8, 2001); Ouzts v. USAir, Inc., No.

94-625, 
1996 WL 578514
, at *14, n.14 (W.D.Pa. Jul. 26, 1996),

aff'd, 
118 F.3d 1577
(3d Cir. 1997).    The record reveals that the

only recreational activity that Shannon indicates he was unable

to perform during the specific time period in question is

                                  16
recreational hunting.   We find that recreational hunting is not a

major life activity for the purposes of disability determinations

under the ADA and the Rehabilitation Act.

     Courts are split as to whether “socialization” (i.e., “the

ability to get along with others”) constitutes a major life

activity.   Compare Soileau v. Guilford of Maine Inc., 
105 F.3d 12
, 15 (1st Cir. 1997) (expressing doubt that the "ability to get

along with others" constitutes a major life activity) with

McAlindin v. County of San Diego, 
192 F.3d 1226
, 1234 (9th Cir.

1999) ("Because interacting with others is an essential, regular

function, like walking and breathing, it easily falls within the

definition of ‘major life activity.’").   For the purposes of this

appeal, we shall assume without deciding that socialization is a

major life activity.

     Thus, we evaluate whether Shannon’s back problems resulted

in a substantial limitation on his ability to walk, lift, stand,

work, or socialize with his family between January and June of

1996.   The ADA’s implementing regulations instruct us to consider

“working” as a major life activity only if an individual is not

substantially limited with respect to any other major life

activity.   See 29 C.F.R. § 1630, App., § 1630.2(j) (2000) ("If an

individual is not substantially limited with respect to any other

major life activity, the individual's ability to perform the

major life activity of working should be considered.   If an

individual is substantially limited in any other major life

                                17
activity, no determination should be made as to whether the

individual is substantially limited in working.").   Therefore, we

begin by considering Shannon’s limitations with respect to

walking, lifting, standing, and socializing.

     Though at least one court has suggested that it is

inappropriate to look exclusively at the activity restrictions

ordered by an individual’s doctor in determining whether that

individual qualifies as an individual with a disability, see

Matczak v. Frankford Candy & Chocolate Co., 
136 F.3d 933
, 936-37

(3rd Cir. 1997) questioned on other grounds in 
Sutton, 527 U.S. at 477
, in the instant case the CA-17 work restriction forms are

perhaps the best evidence available of Shannon’s ability to

perform many of the major life activities listed above.   Shannon

was subject to some restriction on his ability to walk, lift, and

stand from January 19 through 31 and was subject to a restriction

on his ability to walk for the first three weeks of February.

However, from the beginning of the fourth week of February (when

this three-week restriction expired) through June 7, 1996,

Shannon’s doctor had released him to return to work without any

enumerated restrictions on his duties.10   Thus, for significantly

     10
        Shannon maintains that he was still subject to work
restrictions after his three-week walking restriction in the
January 31 CA-17 expired because that CA-17 contained a note
indicating that his duties were “subject to employee input.”
However, as this language is contained on the portion of the CA-
17 that is filled out by Shannon’s employer rather than his
doctor, it is not relevant to our examination of Shannon’s
doctor’s assessment of his physical capabilities.

                                18
more than half of the time period in question, Shannon was, in

the assessment of his treating medical professionals, fully

capable of performing all of the requirements of his job,

including two to four hours per day of lifting, one to two hours

per day of standing, and two to four hours per day of walking.

     The remaining evidence in the record does not contradict

this assessment.   The record contains very little testimony from

Shannon himself regarding his restrictions during this time

period.   While Shannon testifies in great detail about the impact

of his surgery and his current, post-surgical limitations, during

the six-month time period in question, the record reveals only

that he was experiencing back pain and numbness that radiated

down his legs, that he was attending physical therapy for his

back problems, and that he considered his physical condition to

be “really bad off.”   His testimony does not indicate any

specific physical activities that he was unable to perform during

this period (when he was working full time), other than that he

was unable to continue his recreational hunting and that he was

unable to perform overtime at work. Testimony provided by

Shannon’s coworkers indicates only that Shannon appeared to be in

pain during this time period and that he often requested

assistance so that he would not have to perform overtime at work.

     While this court is sympathetic with Shannon’s plight, the

fact that he was experiencing pain and was unable to work

overtime is insufficient to demonstrate that he was substantially

                                19
limited in his ability to walk, stand, or lift during the first

six months of 1996, especially in light of his doctor’s

assessment indicating that he was able to meet the significant

lifting, standing, and walking requirements of his job without

restriction for more than half of the time period in question.

See, e.g., Penny v. United Parcel Serv., 
128 F.3d 408
, 415 (6th

Cir. 1997) (finding that plaintiff’s claim that it was painful to

walk did not rise to the level of a disability).   Moreover, even

considering Shannon’s condition when he was subject to numerous

restrictions, this court and our sister circuits have considered

and rejected ADA claims of individuals with standing, walking,

and lifting restrictions equivalent to or greater than Shannon’s

on the grounds that these individuals were not substantially

limited in any major life activities.   See, e.g., 
Dupre, 242 F.3d at 614
(rejecting the claim of an individual who could not stand

continuously for more than one hour); Kelly v. Drexel Univ., 
94 F.3d 102
, 105-07 (3rd Cir. 1996) (rejecting the claim of an

individual who could not walk more than one mile);   Williams v.

Channel Master Satellite Sys. Inc., 
101 F.3d 346
, 349 (4th Cir.

1996) (rejecting the claim of an individual who could not lift

more than twenty-five pounds).

     We turn next to Shannon’s claim that his back condition

substantially impaired his ability to socialize with his family

in after-work hours.   Although the record contains extensive

testimony from both Shannon and his wife regarding the emotional

                                 20
impact of his back problems and their effect on his family life,

much of this testimony appears to be specific to the effects of

his initial injury in 1993 or to the effects of his surgery and

subsequent reassignment in late 1996 and 1997.   Both of these

time periods are foreclosed from this court’s inquiry.   Reading

the record generously, Shannon’s primary complaints with respect

to his ability to socialize with his family during the six-month

period relevant to this litigation appear to be that he was too

tired at the end of the day to play with his children and that he

was hostile and moody and otherwise unable to socialize with his

family or friends in the evenings because he was preoccupied with

resting and with his concerns regarding his injury.

     Initially, this court notes that these effects on Shannon’s

ability to socialize appear to be attributable more to his work

and his frustration with his treatment by his supervisors than to

his injury itself.   Even if we assume that Shannon’s decreased

ability to socialize with his family during this time period was

attributable to his back condition, the evidence is insufficient

to provide a triable issue of fact regarding whether these

limitations rise to the level of a disability.   To show that he

was “substantially limited” with respect to a major life activity

other than working, Shannon must demonstrate that he was

“[s]ignificantly restricted as to the condition, manner or

duration” under which he could perform this activity “as compared

to the condition, manner, or duration under which the average

                                21
person in the general population can perform that same major life

activity.”   29 C.F.R. § 1630.2(j) (2000).   While this court does

not question that Shannon’s injury might have constrained his

ability to socialize with his family and friends, the record does

not provide any evidence that Shannon was more limited in his

ability to socialize than the average person who is tired after a

long and frustrating workday.   Thus, Shannon cannot be deemed an

“individual with a disability” based on this limitation.

     Because we have found that Shannon was not substantially

limited in the major life activities of walking, standing,

lifting or socializing, we turn finally to assess whether he was

substantially limited in his ability to work during the relevant

time period.   In order to establish a substantial limitation on

the major life activity of “working,” Shannon must demonstrate

that he was significantly restricted in his ability to perform

either a class of jobs or a broad range of jobs in various

classes.     See Dutcher v. Ingalls Shipbuilding, 
53 F.3d 723
, 727

(5th Cir. 1995) (citing 29 C.F.R. § 1630.2(j)(3)(i)).   Evidence

of disqualification from a single position or narrow range of

jobs will not support a finding that an individual is

substantially limited from the major life activity of working.

See 
id. at 727;
see also 
Chandler, 2 F.3d at 1392
("An impairment

that affects only a narrow range of jobs can be regarded either

as not reaching a major life activity or as not substantially



                                 22
limiting one.") (quoting Jasany v. U.S. Postal Serv., 
755 F.2d 1244
, 1249 n.3 (6th Cir. 1985)).

     Initially, it is important to note that during the time

period in question, there is strong evidence that Shannon was not

substantially limited in his ability to perform even the

particular carrier position that he held.    He performed that job

without restrictions and without significant accommodations

(other than occasional assistance from other carriers so that he

could avoid overtime work and the removal of two streets from his

route) for most of the six month period.    Moreover, even if

Shannon was substantially limited in his ability to perform his

particular job and should have had greater restrictions from his

doctor and greater accommodations from his employer as he

contends, this is still insufficient to establish that he was

substantially impaired in his ability to work.    Shannon suggests

at numerous points in his testimony that there were other

positions within the carrier craft that he would have been able

to perform during this time period prior to his surgery,

including express mail delivery or a primarily driving-based

delivery route.   Thus, Shannon does not present a triable issue

of fact as to whether he was substantially limited in his ability

to work because he grants that he was not restricted in his

ability to perform either an entire class of jobs or a broad

range of jobs in various classes.



                                23
     Because Shannon has not demonstrated that his back condition

substantially limited his ability to perform any major life

activity during the first six months of 1996, he has not

established a prima facie case of disability discrimination under

the Rehabilitation Act.      The trial court acted properly in

granting judgment as a matter of law to the Postal Service on

Shannon’s failure-to-accommodate, disparate treatment, and

disability harassment11 claims to the extent that these claims

are grounded in alleged discrimination based on actual disability

rather than discrimination based on perceived disability.



          IV.   SHANNON’S CLAIMS BASED ON PERCEIVED DISABILITY

     Shannon also argues that he was discriminated against

because he was “regarded as” disabled.      Although this claim is

inadequately developed throughout this litigation, in the

interest of fairness we shall nonetheless address it.

      “In order to be ‘regarded as’ disabled a plaintiff must:

(1) have a physical or mental impairment that does not

substantially limit major life activities, but be treated as such

by an employer;      (2) have a physical or mental impairment that

substantially limits one or more major life activities, but only

because of the attitudes of others toward the impairment;        or (3)

     11
        Membership in the protected group (i.e., “individuals
with disabilities”) is a requirement to succeed in a cause of
action for disability-based harassment. See Flowers v. S. Reg’l
Physician Servs., Inc., 
247 F.3d 229
, 235 (5th Cir. 2001).

                                   24
have no actual impairment at all, but be treated by an employer

as having a substantially limiting impairment.    The plaintiff

also must establish that the impairment, if it existed as

perceived, would be substantially limiting.”     McInnis v. Alamo

Cmty. College Dist., 
207 F.3d 276
, 281 (5th Cir. 2000) (internal

citations omitted).

     Though the exact nature of Shannon’s “regarded as” claim is

unclear from the record, we presume that he intends to argue that

he falls within either the first or the third categories

described above, i.e., that he has an impairment that is not

substantially limiting but that his employer treated as such, or

that he had no actual impairment but was treated as if he did.

Either of these positions is nonsensical as applied to Shannon’s

failure-to-accommodate claim, as the basis of this claim is

Shannon’s assertion that his employer did not regard him as being

disabled enough to warrant accommodations, not that his employer

perceived him to be more disabled than he actually was.

     Shannon’s “regarded as” argument is similarly inapplicable

to his disparate treatment claim.   The crux of this claim (as it

applies to the time period at issue in this case) is that Shannon

was not provided with the same type of accommodations that were

provided to other employees with similar physical limitations —

again, arguing that his employer did not regard him as being

disabled enough, not that his employer regarded him as being too

disabled to do his job.

                               25
     Thus, we shall assume Shannon intends to argue that he was

discriminated against based on perceived disability only in the

sense that he was subject to hostile work environment harassment

because he was “regarded as” disabled.   Specifically, Shannon’s

testimony indicates that two of his supervisors would sometimes

tell him he was doing a bad job, two supervisors would question

whether he was actually as impaired as he claimed, one supervisor

would sometimes walk away rather than listen to his requests for

assistance with his route, another supervisor threatened him with

a letter of warning for absenteeism on one occasion, and one

supervisor once “assaulted” him by poking a finger in his face.

     Viewing any factual disputes in the light most favorable to

the nonmoving party, we will assume that all of Shannon’s

allegations are true.   Nonetheless, we shall disregard the

incidents where Shannon’s supervisors questioned whether he was

actually disabled, as these incidents indicate that his employer

regarded him as physically capable and thus do not support his

claim that he was harassed because he was “regarded as” disabled.

Examining the other incidents in totality, Shannon has not

alleged sufficiently pervasive disability-based harassment to

state a claim upon which relief can be granted.

     In order to be actionable on a hostile environment theory,

disability-based harassment, like sexual harassment, must "be

sufficiently pervasive or severe to alter the conditions of

employment and create an abusive working environment."   McConathy

                                26
v. Dr. Pepper/Seven Up Corp., 
131 F.3d 558
, 563 (5th Cir. 1998)

(quoting Farpella-Crosby v. Horizon Health Care, 
97 F.3d 803
, 806

(5th Cir. 1996)). Even assuming that all of Shannon’s allegations

are true, his supervisors’ behavior, while certainly insensitive,

is not sufficient as a matter of law to state a claim for hostile

environment harassment.   This court has recognized that “a few

harsh words or ‘cold shouldering’ . . . [is not] an actionable

offense.”   
Id. at 564.
  As the few instances of harassing

behaviors that Shannon reports with any specificity in his

testimony are generally of the “harsh words and cold shouldering”

variety, he has not provided sufficient evidence to raise a

triable issue of fact as to whether he was subject to disability

harassment.



                           V.   CONCLUSION

     For the foregoing reasons, we AFFIRM the judgment of the

district court.




                                  27

Source:  CourtListener

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