BERYL A. HOWELL, United States District Judge.
This Court entered a Memorandum Opinion ("Mem. Op."), ECF No. 71, and accompanying Order, ECF No. 72, granting summary judgment to the defendant in this action on May 13, 2015. Now pending before the Court is the plaintiff's Motion to Alter or Amend Order Granting Defendant's Motion for Summary Judgment ("Pl.'s Mot."), ECF No. 73. For the reasons set forth below, the motion is denied.
The pertinent facts of this case were adequately explained in the Mem. Op and need not be repeated here. See Smith v. Lynch, No. 10-1302, 106 F.Supp.3d 20, 24-36, 2015 WL 2265100, at *1-11 (D.D.C. May 13, 2015). In short, the plaintiff, who is an African American employee of the U.S. Department of Justice, alleges that she was subjected to discrimination, a hostile work environment, and retaliation, in violation of Title VII of the Civil Rights Act of 1964 ("Title VII"), 42 U.S.C. § 2000e et seq., and the Rehabilitation Act of 1973, 29 U.S.C. § 701 et seq., based upon her race and alleged disability of right-hand Carpal Tunnel Syndrome ("CTS"). Id. at 24-25, 2015 WL 2265100, at *1. This Court held, with respect to the plaintiff's Rehabilitation Act claims, in Counts II and IV of the Complaint, that (1) the plaintiff was not disabled within the meaning of the Rehabilitation Act in effect when the plaintiff was allegedly held responsible for co-workers' assignments, id. at 27-28, 2015 WL 2265100, at *4; given discriminatory work assignments, id. at 27-29, 2015 WL 2265100, at *4-5; denied advance sick leave, id. at 28-33, 2015 WL 2265100, at *5-8; charged with tardiness, id. at 32-33, 2015 WL 2265100, at *8; and bumped by her supervisor, id. at 32-34, 2015 WL 2265100, at *8-9, all of which events occurred in 2007, id. at 27-34, 2015 WL 2265100, at *4-9; id. at 45-46, 2015 WL 2265100, at *19 (holding that plaintiff was not "disabled" within the meaning of the pre-ADA Amendments
With respect to the plaintiff's Title VII race discrimination claims, in Counts I and III of the Complaint, the Court held that the plaintiff failed to provide any admissible evidence sufficient to create a triable issue regarding whether she was treated differently from non-African-American employees or whether the defendant's treatment of her was motivated, in any way, by the plaintiff's race. See id. at 22-23. The Court concluded that "no reasonable jury could find that the plaintiff . . . was subjected to a hostile work environment or retaliation based on her race." Id. at 23. Consequently, the Court granted summary judgment to the defendant on all counts and dismissed this action.
The plaintiff now seeks to alter the judgment against her pursuant to Federal Rule of Civil Procedure 59(e). Pl.'s Mot. at 1. The defendant timely filed an opposition to the motion, Def.'s Opp'n Pl.'s Mot. ("Def.'s Opp'n"), ECF No. 74, and the plaintiff did not file a reply. This motion is now ripe for resolution.
A motion to alter or amend a judgment under Federal Rule of Civil Procedure 59(e) "`is discretionary and need not be granted unless the district court finds that there is an intervening change of controlling law, the availability of new evidence, or the need to correct a clear error or prevent manifest injustice.'" Messina
Absent a demonstrated intervening change of controlling law or new evidence, the law is well-settled that litigants may not use Rule 59(e) either to repeat unsuccessful arguments or to assert new but previously available arguments. See Exxon Shipping Co. v. Baker, 554 U.S. 471, 485 n. 5, 128 S.Ct. 2605, 171 L.Ed.2d 570 (2008). As the Supreme Court observed, "Rule 59(e) permits a court to alter or amend a judgment, but it may not be used to relitigate old matters, or to raise arguments or present evidence that could have been raised prior to the entry of judgment." Id. (internal quotation marks and citation omitted); see also Messina, 439 F.3d at 759 (finding no error in denying Rule 59(e) motion where "motion did nothing more than rely on the same arguments that [the movant] originally made.") (internal quotation marks and citation omitted). This is because "Rule 59(e) motions are aimed at reconsideration, not initial consideration," and arguments raised for the first time on a Rule 59(e) motion may be deemed "waived." GSS Grp. Ltd. v. Nat'l Port Auth., 680 F.3d 805, 812 (D.C.Cir.2012); see also District of Columbia v. Doe, 611 F.3d 888, 896 (D.C.Cir. 2010) ("[A]n issue presented for the first time in a motion pursuant to Federal Rule of Civil Procedure 59(e) generally is not timely raised; accordingly, such an issue is not preserved for appellate review unless the district court exercises its discretion to excuse the party's lack of timeliness and consider the issue."); but see City of New York v. Nat'l R.R. Passenger Corp., 776 F.3d 11, 17 (D.C.Cir.2015) (declining to consider on appeal plaintiff's "reformulated" theory of claim, noting that "a party seeking to raise a new issue on appeal should first present it to the district court pursuant to a Rule 59(e) or 60(b)(6) motion" since the D.C. Circuit "continue[s] to insist that a party wishing to raise a new issue after judgment first advance it before the district court"). Thus, "Rule 59(e) is not a vehicle to present a new legal theory that was available prior to judgment," Patton Boggs LLP v. Chevron Corp., 683 F.3d 397, 403 (D.C.Cir.2012), or "a chance for [a party] to correct poor strategic choices," SEC v. Bilzerian, 729 F.Supp.2d 9, 15 (D.D.C.2010). See also Kattan ex rel. Thomas v. District of Columbia, 995 F.2d 274, 276 (D.C.Cir.1993) ("[T]his Court has recognized that a losing party may not use a Rule 59 motion to raise new issues that could have been raised previously."). "The strictness with which such motions are viewed is justified by the need to protect both the integrity of the adversarial process in which parties are expected to bring all arguments before the court, and the ability of the parties and others to rely on the finality of judgments." U.S. Commodity Futures Trading Comm'n v. McGraw-Hill Cos., Inc., 403 F.Supp.2d 34, 36 (D.D.C.2005); accord Silk v. Sandoval, 435 F.2d 1266, 1268 (1st Cir.1971) (acknowledging "the complementary interest in speedy disposition and finality, clearly intended by Rule 59").
Finally, although "[t]he term `manifest injustice' eludes precise definition," Roane v. Gonzales, 832 F.Supp.2d 61, 64 (D.D.C.2011), it is clear that "manifest injustice" is an exceptionally narrow concept in the context of a Rule 59(e) motion. The D.C. Circuit has said that manifest injustice arises from "rulings that upset settled expectations—expectations on which a party might reasonably place reliance," Qwest Servs. Corp. v. FCC, 509 F.3d 531, 540 (D.C.Cir.2007), and does not result merely because a harm may go unremedied, accord Assoc. Gen. Contractors of Cal., Inc. v. Cal. State Council of Carpenters, 459 U.S. 519, 536, 103 S.Ct. 897, 74 L.Ed.2d 723 (1983) ("[T]he judicial remedy cannot encompass every conceivable harm that can be traced to alleged wrongdoing."). Instead, "manifest injustice" must entail more than just a clear and certain prejudice to the moving party, but also a result that is fundamentally unfair in light of governing law.
As the defendant correctly points out, the plaintiff makes no attempt to offer new evidence or assert an intervening change of law to justify her motion. Def.'s Opp'n at 3; see generally Pl.'s Mot. Thus, it is only necessary to address whether the plaintiff has raised a "clear error" in the Court's previous opinion sufficient to warrant reconsideration of the judgment after its entry. See Messina, 439 F.3d at 758. The plaintiff has not done so.
The plaintiff contends that the Court "applied incorrect legal standards in considering Defendant's summary judgment motion and committed clear error with some of its findings." Pl.'s Mot. at 2. In support of this contention, the plaintiff argues, first, that the Court "applied an incorrect standard" to determine "whether [the plaintiff] presented triable issues." Id. Next, the plaintiff strains to revive her Rehabilitation Act claims by arguing the Court erred in determining that the plaintiff's right-hand CTS was not a disability under the Rehabilitation Act in effect prior to the ADA Amendments of 2008, id. at 5, and in its treatment of alleged events occurring after January 1, 2009, when the ADA Amendments took effect, id. at 9-12. Finally, the plaintiff criticizes the Court's consideration of her Title VII claims for incorrectly applying a correctly articulated legal standard. Id. at 13-19. The Court is not persuaded by any of these arguments, each of which is addressed in turn.
First, the plaintiff contends that her own self-serving, hearsay statements,
The plaintiff's reliance on Tolan is misplaced. In Tolan, the Supreme Court considered an alleged excessive force case, pursuant to 42 U.S.C. § 1983, involving at least six witnesses—four family members and two police officers. 134 S.Ct. at 1863-64. In reviewing the facts offered at summary judgment, the Supreme Court relied upon statements from multiple witnesses, including from persons not otherwise involved as parties in the case, to determine that a genuine issue of material fact sufficient for trial existed. See id. at 1866-67. For instance, the Supreme Court noted the discrepancy between the lower court's finding that the location where the alleged incident of excessive force occurred was "dimly-lit," and directly contrary testimony from the plaintiff's father that the area was illuminated by a non-decorative gas lantern, as well as statements from at least three witnesses that the area was lit by two motion-activated spotlights. Id. As another example, the Supreme Court recited the testimony from two witnesses, the plaintiff and his mother, describing the victim of the alleged excessive force as being on his knees when he was shot, while a third witness, another police officer on the scene, described the plaintiff as "on both feet . . . looking as if he was going to move forward." Id. at 1867. In the face of this contradictory eyewitness testimony regarding the lighting, the victim's position during the shooting, and other "central facts of this case," id. at 1866, the Supreme Court concluded that "[b]y weighing the evidence and reaching factual inferences contrary to [the plaintiff's] competent evidence," summary judgment was erroneously granted, id. at 1868.
By contrast, in the instant matter, the plaintiff presented no evidence other than her own self-serving statements that she was subjected to discrimination and a hostile work environment. Her statements that she was subjected to "discriminatory work assignments" were directly refuted by multiple witnesses with "first-hand knowledge of the relevant facts." Smith, 106 F.Supp.3d at 48-49, 2015 WL 2265100, at *21. The plaintiff's disparate treatment allegations were not accompanied by any evidence other than her own admittedly speculative assertions, without any documentary or testimonial evidence from any other witness, despite ample opportunity for discovery. Id. Unlike in Tolan, the plaintiff did not submit any evidence from other witnesses or other documentary evidence on any issue of material fact such that drawing an inference in favor of the plaintiff was either reasonable or warranted. See Greer v. Paulson, 505 F.3d 1306, 1315 (D.C.Cir.2007) (noting that plaintiff's own statement amounting to "sheer hearsay. . . counts for nothing on summary judgment" (citing Gleklen v. Democratic Cong. Campaign Comm., Inc., 199 F.3d 1365, 1369 (D.C.Cir.2000)).
Tolan does not overturn the multiple cases in the D.C. Circuit holding that "inadmissible evidence" and mere speculation, "counts for nothing" at the summary judgment
The D.C. Circuit has noted that "the objective of summary judgment" is "to prevent unnecessary trials." Gleklen, 199 F.3d at 1369. Summary judgment would be virtually unachievable if Rule 56 were construed as the plaintiff urges and the non-moving party could create a genuine issue of material fact by doing no more than simply disagreeing with the movant's documentary evidence and testimony from knowledgeable witnesses. The plaintiff must do more than merely assert as "facts" her beliefs about material issues. Instead, beliefs that are uncorroborated—and, to a large extent, contradicted—by other witnesses or documentary evidence does not amount to competent evidence sufficient to defeat summary judgment, particularly when the factual assertions are susceptible to corroboration after an ample opportunity for discovery.
In any event, the issue of the appropriate standard was briefed by the plaintiff during summary judgment. See Pl.'s Opp'n Def.'s Mot. Summ. J. ("Pl.'s MSJ Opp'n") at 23, ECF No. 59-1. Thus, the plaintiff's argument is merely an attempt to "relitigate old matters, or to raise arguments or present evidence that could have been raised prior to the entry of judgment," Exxon Shipping Co., 554 U.S. at 485 n. 5, 128 S.Ct. 2605, which is improper on a Rule 59(e) motion. This argument is rejected as a ground for reconsideration.
The plaintiff does not challenge the Court's use of the Rehabilitation Act's definition of "disability" in effect prior to 2009 to evaluate the alleged pre-2009 incidents, see generally Pl.'s Mot., but nonetheless contends that the Court erred in determining that she was not disabled under that version of the law, Pl.'s Mot. at 5-9. The plaintiff's arguments are unpersuasive. She first cites a number of out-of-circuit cases purportedly holding that CTS "is a disability under the" pre-ADA Amendments definition of disabled, but none of those cases is binding on this Court. Id. at 6. Additionally, none of
The plaintiff further misinterprets the Court's decision as reading Toyota to require "a medical condition . . . to impair an employee's major life activity completely to qualify as a disability." Pl.'s Mot. at 6. The Court did not so read Toyota. Rather, Toyota, until the law was changed by the ADA Amendments, imposed "a demanding standard for qualifying as disabled," such that "an individual must have an impairment that prevents or severely restricts the individual from doing activities that are of central importance to most people's daily lives." Smith, 106 F.Supp.3d at 43-45, 2015 WL 2265100, at *18 (quoting Toyota, 534 U.S. at 197-98, 122 S.Ct. 681). The facts in Toyota were closely analogous to the facts in the instant matter, except that the plaintiff in Toyota was arguably more impaired by her CTS than the plaintiff here. See id. The Supreme Court held in Toyota, however, that the plaintiff in that case was not disabled within the meaning of the pre-Amendments ADA, Toyota, 534 U.S. at 202, 122 S.Ct. 681, leading inexorably to the Court's conclusion that the plaintiff in this matter was similarly not disabled, Smith, 106 F.Supp.3d at 45-46, 2015 WL 2265100, at *19 ("Unlike the plaintiff in Toyota, who was entirely unable to perform certain activities, both at work and at home, the plaintiff in the instant matter may have experienced discomfort due to the CTS in her right hand, but was still able to complete most of her daily tasks, at work and at home.") (internal citations omitted).
The plaintiff had the opportunity to argue this point during summary judgment briefing, since it was raised and argued extensively by the defendant, see Def.'s Mem. Supp. Def.'s Mot. Summ. J. ("Def.'s MSJ Mem.") at 21, 29-33, ECF No. 55, but the plaintiff chose to direct much of her "argument on this point . . . toward whether the defendant provided reasonable accommodations for her medical condition," Smith, 106 F.Supp.3d at 43-45, 2015 WL 2265100, at *18. Rule 59(e) motions are not opportunities to revisit failed litigation strategies. See Wannall v. Honeywell, Inc., 775 F.3d 425, 430 (D.C.Cir.2014) (affirming this Court's decision on motion for reconsideration by holding plaintiff to "strategic choice" that ultimately resulted in dismissal of action);
The plaintiff makes three interrelated arguments that the Court erred in its treatment of her post-2008 disability allegations. Pl.'s Mot. at 9-12. According to the plaintiff, these post-2008 disability allegations are set out in eleven of almost 300 paragraphs in the Complaint: paragraphs "210, 214, 215, 216, 217, 225, 229, 230, 234, 235 and 237." Id. at 12. These eleven paragraphs allege, in sum, that: (1) "after a year and half of interaction," the plaintiff was not accommodated with "compatible voice activated software, Compl., ¶ 210; (2) "[d]uring the relevant period" and/or "[o]n various occasions between 2009 and the present," the plaintiff requested reassignment as a reasonable accommodation but those requests were denied, id. ¶¶ 214-17; and (3) in 2009 and "[t]hroughout 2010," the plaintiff was subject to the same medical restrictions of not lifting or carrying over ten pounds, but "the Agency continued to ignore her medical restrictions and failed to provide full reasonable accommodations," id. at 225, 229, 230, 234-35, 237. The plaintiff argues that the Court erroneously ignored these post-2008 allegations in considering her Rehabilitation Act claims in Counts II and IV, Pl.'s Mot. at 11-12, and, instead, should have treated these post-2008 allegations as sufficient to overcome any deficiency in her pre-2009 right-hand CTS disability allegations, Pl.'s Mot. at 9-10, particularly when combined with her allegations of left-hand CTS disability. These arguments are addressed below.
First, contrary to the plaintiff's view, the Court correctly characterized her Rehabilitation Act claims when stating that "the plaintiff makes no reference to any events occurring after January 2009 in Count II or Count IV, the counts raising Rehabilitation Act claims." Pl.'s Mot. at 11 (quoting Smith, 106 F.Supp.3d at 45-46, 2015 WL 2265100, at *19). Count II cites the following as grounds for the plaintiff's disability discrimination claim under the Rehabilitation Act: a hostile work environment "beginning in July 2007," Compl. ¶ 251; the plaintiff's CTS, which began in March 2007, id. ¶ 254; the alleged denial by the defendant of reasonable accommodations for her CTS and "not satisfying the work restrictions ordered by doctors for her hand/wrist condition," id. ¶ 257; the defendant's "repeatedly denying [the plaintiff] advanced sick leave, while granting it to similarly situated employees," id.; and "by continuously not engaging in the interactive process with respect to her disabilities," id. Count IV refers only to an
The plaintiff contends that the Court's error stems from over-looking the boiler-plate verbiage in Counts II and IV, paragraphs 248 and 271, respectively, that "adopt[] and incorporate[] by reference" all of the previous paragraphs in the Complaint, which prior paragraphs include paragraphs "210, 214, 215, 216, 217, 225, 229, 230, 234, 235 and 237," Pl.'s Mot. at 12, referring to post-January 2009 events. Plainly, none of the alleged incidents set out in those cited paragraphs were expressly described in Counts II or IV as factual support for the legal claims for violation of the Rehabilitation Act.
In any event, the Court addressed the events alleged in paragraphs 224 through 239 of the Complaint and found them to be insufficient to raise a claim for hostile work environment or retaliation. See Smith, 106 F.Supp.3d at 45-46, 2015 WL 2265100, at *19.
Second, even if her right-hand CTS did not qualify as a disability pre-ADA Amendments, the plaintiff posits that the Court "erred in dismissing Plaintiff's Rehabilitation Act claims after January 1, 2009," when the ADA Amendments took effect, "by holding that she was required to initiate a new EEO complaint over such claim through the Agency," Pl.'s Mot. at 9, and by not treating the "Defendant's duty to accommodate Plaintiff's CTS" as "continu[ing] into January 2009, when the [post-Amendments ADA] governed its actions," id. at 10. According to the plaintiff,
The Court addressed and rejected this argument in its opinion, noting that every incident allegedly occurring after January 1, 2009, when the ADA Amendments took effect, was "discrete from the issues raised in her 2007 EEO Complaint." Smith, 106 F.Supp.3d at 45-46, 2015 WL 2265100, at *19. To the extent that the plaintiff argues that the defendant had a continuing "duty to accommodate Plaintiff's CTS," Pl.'s Mot. at 10, the plaintiff is mistaken: the defendant had no duty to accommodate the plaintiff's CTS prior to January 1, 2009, since the plaintiff was not disabled under the meaning of the Rehabilitation Act during that period. See id. The defendant could have no continuing "duty," since it had no "duty" in the first instance. As a result, the plaintiff was required to initiate a new EEOC complaint when her disability—assuming, arguendo, that her CTS is a disability under the post-Amendments version of the ADA—manifested itself. As the Court noted in Smith, the plaintiff "does not plead, nor has she submitted any evidence after discovery, that she made any attempt to pursue, administratively, any Rehabilitation Act claims based on events occurring in 2009 through the appropriate EEO channels." Smith, 106 F.Supp.3d at 45-46, 2015 WL 2265100, at *19. While the Court did not elaborate on the basis for this conclusion, the reasoning is dictated by applicable precedents.
The plaintiff's position appears to be that even if her right-hand CTS did not constitute a disability under the pre-Amendments Rehabilitation Act, since this condition persisted into 2009, when it may have arguably qualified as an actionable disability, all of the defendant's conduct should be considered in support of her claim. See Pl.'s Mot. at 9-10 (arguing the defendant's "duty to accommodate Plaintiff's CTS continued into January 2009, when the [ADA Amendments] governed its actions"). The plaintiff's position would result in giving the ADA Amendments retroactive effect, which is barred by binding case law. See Lytes v. D.C. Water & Sewer Auth., 572 F.3d 936, 940 (D.C.Cir. 2009).
The D.C. Circuit in Lytes examined the ADA Amendments and noted that Congress' "decision to delay the effective date" of the Amendments "would make no sense" if it was to apply retroactively. 572 F.3d at 940. The Lytes court held that the ADA Amendments "broadened the class of employees entitled to reasonable accommodation." Id. at 942. Consequently, "[t]o hold the [defendant's] refusal to accommodate [the plaintiff] was unlawful under the new, broader [statute] but not under the pre-Amendments ADA [] would be to give the [ADA Amendments] the disfavored retroactive effect." Id.
The Lytes logic is dispositive in the instant matter. The plaintiff was not disabled under the Rehabilitation Act in effect when she made her EEO Complaint in 2007 or when she made requests for reasonable accommodation prior to January 1,
This conclusion is further bolstered by the Supreme Court's decision in National Railroad Passenger Corp. v. Morgan (Morgan), 536 U.S. 101, 122 S.Ct. 2061, 153 L.Ed.2d 106 (2002). In Morgan, a Title VII discrimination and retaliation case, the Supreme Court held that "[e]ach discrete discriminatory act starts a new clock for filing charges alleging that act," and "[t]he existence of past acts and the employee's prior knowledge of their occurrence [] does not bar employees from filing charges about related discrete acts so long as the acts are independently discriminatory and charges addressing those acts are themselves timely filed." 536 U.S. at 113, 122 S.Ct. 2061. As explained supra, any acts that occurred prior to January 1, 2009 could not have been discriminatory based on the Rehabilitation Act because the plaintiff was not disabled within the meaning of the Rehabilitation Act and, therefore, had no rights under the Act.
The plaintiff refers to the defendant's action as "continuing," see, e.g., Pl.'s Mot. at 9-10, but the Morgan Court explicitly rejected the so-called "continuing violations" doctrine with respect to discriminatory actions where a "[d]iscrete act[] such as termination, failure to promote, denial of transfer, or refusal to hire" can be identified, Morgan, 536 U.S. at 114, 122 S.Ct. 2061. The majority view on this Court is that Morgan requires "a plaintiff alleging discrete acts of discrimination or retaliation—including those filed after an administrative complaint—[to] exhaust his administrative remedies with respect to the later-occurring incidents even if they are related to the claims in the administrative complaint." Mount v. Johnson, 36 F.Supp.3d 74, 84 (D.D.C.2014) (collecting cases and noting that "[t]he D.C. Circuit has repeatedly declined to weigh in on this matter").
The plaintiff urges this Court to follow the minority view in this district that "appl[ies] the D.C. Circuit's pre-Morgan `like or reasonabl[y] related' test articulated in Park v. Howard University, which permits unexhausted discrimination and retaliation claims to proceed as long as the claims are `like or reasonably related to the allegations of [a prior administrative] charge.'" Hicklin v. McDonald, 110 F.Supp.3d 16, 19-20, 2015 WL 3544449, at *3 (D.D.C. June 8, 2015) (internal citation omitted); Pl.'s Mot. at 9. This Court declines the invitation and has already held that the plaintiff was required to exhaust her administrative remedies as to the post-2008 incidents, conforming to the majority view. Smith, 106 F.Supp.3d at 45-46, 2015 WL 2265100, at *19.
Under the minority view, the aforementioned post-January 1, 2009 conduct is not "like or reasonably related to" the claims in the plaintiff's July 2007 EEO Complaint. "[C]ourts that adhere to this view have held that `[a]t a minimum, the . . . claims must arise from `the administrative investigation that can reasonably be expected to follow the charge of discrimination,' but `[c]laims of [] ideologically distinct categories' of discrimination and retaliation . . . are not `related' simply because they [arise] out of the same incident.'" Hicklin, 110 F.Supp.3d at 16, 20-22, 2015 WL 3544449, at *4 (internal citations omitted). In the instant matter, the post-2008 events complained of neither arose out of the same incident nor could have been "reasonably expected to follow the charge of discrimination." See id. None of the incidents complained of had anything to do with the 2007 memorandum instructing the plaintiff to use personal leave or LWOP until she could return fully to her duties, nor did they have anything to do with the bumping incident in August 2007. The only links between the post-2008 alleged events and the 2007 EEO Complaint are that the supervisor who instructed the plaintiff to be at her desk when her shift started was the same in October 2009 as in July and August 2007, and the plaintiff's belief that the alleged hard drive search on her DOJ computer had something to do with her EEO complaints. See Pl.'s MSJ Opp'n at 19-20. The plaintiff makes no attempt to show how her post-2008 allegations, namely, increased monitoring and rejection of the plaintiff's medical restrictions after the Department of Labor's Office of Workers' Compensation Programs determined the plaintiff was not eligible for workers' compensation, could have been reasonably expected to arise from the administrative investigation of her complaint about the August 2007 bumping incident and the July 2007 memorandum. See generally Pl.'s MSJ Opp'n; Pl.'s Mot. In short, under either the majority or the minority view, the plaintiff failed to show that she exhausted administrative remedies as to the post-2008 incidents or that she was otherwise excused from doing so.
The plaintiff made little effort to distinguish the allegations underlying her Title VII claims from those underlying her Rehabilitation Act claims, see supra note 3; see generally Compl., but to the extent that those claims could be distinguished, they were each evaluated, both individually and in the totality of the circumstances, in the Mem. Op., Smith, 106 F.Supp.3d at 46-51, 2015 WL 2265100, at *20-23. The plaintiff disagrees with the assessment in the Mem. Op. of the plaintiff's Title VII retaliation claims as not raising a colorable claim of an adverse employment action, Pl.'s Mot. at 19-21, and the finding that the plaintiff's allegations were insufficient to raise a hostile work environment claim, id. at 13-19. The plaintiff's disagreement, unsupported by any new evidence, change in law, or evidence of clear error, is insufficient to warrant a reconsideration of the decision.
The plaintiff argues that the Court improperly found that the plaintiff had failed to allege any adverse employment action colorable as a Title VII retaliation action. Pl.'s Mot. at 19-20. The plaintiff, not the Court, is mistaken. The Court held that all of the actions alleged by the plaintiff, taken as true, would not meet the objective standard required to "dissuade[] a reasonable worker from making or supporting a charge of discrimination," Smith, 106 F.Supp.3d at 50-51, 2015 WL 2265100, at *23, as required for an actionable retaliation claim, Burlington N. & Santa Fe Ry. Co. v. White, 548 U.S. 53, 68, 126 S.Ct. 2405, 165 L.Ed.2d 345 (2006). As the
Once again, the plaintiff's argument is not legally colorable and was thoroughly addressed in initial summary judgment briefing. Def.'s MSJ Mem. at 13-20; Pl.'s MSJ Opp'n at 26-32. Thus, the plaintiff's instant motion for reconsideration amounts to an attempt to relitigate a lost argument. See Exxon, 554 U.S. at 485 n. 5, 128 S.Ct. 2605; Messina, 439 F.3d at 759. This argument is rejected as a ground for reconsideration.
Finally, the plaintiff's argument that the Court failed to consider her allegations regarding a hostile work environment in the totality of the circumstances is belied by the decision. Specifically, as the plaintiff concedes, Pl.'s Mot. at 13, the Court recognized that "hostile work environment claims must be examined in light of the totality of the circumstances," and found that the plaintiff had "failed to provide admissible evidence of any discriminatory actions as support for her allegations." Smith, 106 F.Supp.3d at 49-50, 2015 WL 2265100, at *22. Upon detailed examination of the plaintiff's accumulated allegations underlying her race discrimination claim, the Court did consider the events in the totality of the circumstances and found no causal link between the hostile work environment claims and the plaintiff's race. See id. It also found that, under the required objective standard, there were no "tangible workplace consequences" that could "support a hostile work environment claim on summary judgment," and that the plaintiff presented no colorable "evidence from which a reasonable jury could infer that she was subjected to a hostile work environment on the basis of her race." Id. Indeed, the D.C. Circuit recently reaffirmed that even a large number of "objectively immaterial. . . allegations" do not create a hostile work environment. Baird v. Gotbaum, 792 F.3d 166, 171-72, 2015 WL 4079546, at *4-5 (D.C.Cir. July 7, 2015). None of the events complained of by the plaintiff rise above the "petty insults, vindictive behavior, and angry recriminations" that courts have held, repeatedly, do not constitute actionable Title VII claims. Id. at 171-72, 2015 WL 4079546, at *4 (quoting Brooks v. Grundmann, 748 F.3d 1273, 1277-78 (D.C.Cir.2014)). Her argument is, therefore, rejected as a ground for reconsideration.
To sum up, most of the plaintiff's arguments amount to improper attempts to relitigate issues already decided by this Court and, therefore, constitute improper grounds on which to grant a Rule 59(e) motion. Moreover, in light of the D.C. Circuit's opinion in Baird, the plaintiff's litany of "immaterial slights" is precisely the type of "long list of trivial incidents" that "is no more a hostile work environment than a pile of feathers is a crushing weight." Baird, 792 F.3d at 166, 171-72, 2015 WL 4079546, at *4; see also Ayissi-Etoh v. Fannie Mae, 712 F.3d 572, 577 (D.C.Cir.2013).
The decision whether to grant a Rule 59(e) motion is left to the sound discretion of the District Court and is reviewed only for abuse of that discretion. Mohammadi, 782 F.3d at 17; Dyson, 710 F.3d at 420. Plaintiffs seeking reconsideration based on clear error must, therefore, meet a very high bar. The plaintiff has failed to clear that bar, and has presented no other new
An Order consistent with this Memorandum Opinion will issue contemporaneously.