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No. 10585884
United States Court of Appeals for the Fourth Circuit
Lisa Barnhill v. Pamela Bondi
No. 10585884 · Decided May 15, 2025
No. 10585884·Fourth Circuit · 2025·
FlawFinder last updated this page Apr. 2, 2026
Case Details
Court
United States Court of Appeals for the Fourth Circuit
Decided
May 15, 2025
Citation
No. 10585884
Disposition
See opinion text.
Full Opinion
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PUBLISHED
UNITED STATES COURT OF APPEALS
FOR THE FOURTH CIRCUIT
No. 23-1901
LISA BARNHILL
Plaintiff – Appellant,
v.
PAMELA JO BONDI, U.S. Attorney General,
Defendant – Appellee.
Appeal from the United States District Court for the Eastern District of Virginia, at
Alexandria. Anthony John Trenga, Senior District Judge. (1:21-cv-01377-AJT-WEF)
Argued: December 11, 2024 Decided: May 15, 2025
Before NIEMEYER, KING, and BENJAMIN, Circuit Judges.
Affirmed by published opinion. Judge Benjamin wrote the opinion, in which Judge
Niemeyer and Judge King joined.
ARGUED: Richard Randolph Renner, NOBLE LAW FIRM, PLLC, Raleigh, North
Carolina, for Appellant. Yuri S. Fuchs, OFFICE OF THE UNITED STATES
ATTORNEY, Alexandria, Virginia, for Appellee. ON BRIEF: Jessica D. Aber, United
States Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Richmond, Virginia,
for Appellee.
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DEANDREA GIST BENJAMIN, Circuit Judge:
Lisa Barnhill, a white woman, sued the United States Attorney General for
discrimination she claims she suffered at the hands of, among others, her African American
supervisor while she was employed by the Department of Justice Drug Enforcement
Administration (“DEA”). Barnhill brought claims under Title VII of the Civil Rights Act
of 1964, 42 U.S.C. § 2000e et seq., for racial and gender discrimination, retaliation, and a
hostile work environment. Some claims were dismissed pursuant to Fed. R. Civ. P.
12(b)(6), while the others were disposed of on summary judgment under Fed. R. Civ. P.
56(a). Because Barnhill’s attempt to spotlight her supervisor’s misconduct illuminated
only her own, we affirm.
I.
A.
i.
Lisa Barnhill was a longtime employee of the DEA. 1 She began her career with the
DEA as a diversion investigator and held this role until April 2010, when she became a
diversion program group supervisor. As a group supervisor, Barnhill oversaw diversion
1
We begin by addressing the motion to dismiss. The facts stated in this section
were alleged in Barnhill’s first amended complaint, and we presume they are true for
purposes of this section and our analysis of Barnhill’s dismissed claims. See Wilcox v.
Lyons, 970 F.3d 452, 455 n.1 (4th Cir. 2020) (citing Erickson v. Pardus, 551 U.S. 89, 94
(2007) (per curiam)). Facts that were revealed during discovery will be addressed in
section II of the opinion, as they are relevant to our analysis of the claims that were
discarded on summary judgment. See Celotex Corp. v. Catrett, 477 U.S. 317, 322–23
(1986).
2
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investigators assigned to the DEA’s Little Rock, Arkansas, District Office within the
DEA’s New Orleans Field Division.
Initially, Barnhill reported to Joseph Shepherd, an African American man, who was
the assistant special agent in charge at the New Orleans Field Division. Barnhill’s second-
level supervisor was Keith Brown, the special agent in charge at the New Orleans Field
Division. 2 David Downing, another African American man, served as the assistant special
agent in charge at the Little Rock District Office. 3
ii.
In January 2013, Shepherd assigned Barnhill to be the acting group supervisor of
the Jackson, Mississippi, District Office while maintaining her regular duties as group
supervisor in Little Rock. One year later, in January 2014, Shepherd relieved Barnhill of
her duties in Jackson following complaints from two African American employees, as well
as ongoing performance issues with one of her subordinates.
In June 2014, Barnhill complained to Shepherd about the performance of one of her
subordinates, Diversion Investigator Pamela Lee, an African American woman. Lee was
subsequently placed on a preliminary performance improvement plan and denied a
promotion until her performance improved. However, just a few months later, Shepherd
told Barnhill that Lee was being taken off the preliminary performance improvement plan.
2
The record shows that Brown is a man, but his race is unspecified. See J.A. 42.
3
Each district office has its own assistant special agent in charge, but the diversion
program group supervisor reports to the assistant special agent in charge in the division
office, not the assistant special agent in charge in the district office. See J.A. 82. Therefore,
Barnhill reported only to Shepherd and Brown, not Downing. See id.
3
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When explaining the rationale behind his decision, Shepherd told Barnhill that “these
people need their jobs,” which Barnhill construed as a directive to show preferential
treatment to African American employees. J.A. 84. Shepherd informed Barnhill that it
was her responsibility, as Lee’s supervisor, to provide Lee with the support necessary to
meet DEA performance standards.
Around the same time, Diversion Investigator Samantha Rogers also contacted
Shepherd to lodge a complaint about Barnhill. Shepherd did not discuss the complaint with
Barnhill, but Barnhill alleges that Shepherd told her that he believed “she lacked the ‘tools’
to handle her subordinates because she was not a mother” and warned her not to continue
acting as “the hammer” or she would risk becoming “the nail.” J.A. 85.
In June 2015, Barnhill’s relationship with Downing became strained. Shepherd
therefore ordered Barnhill to cease communication with Downing, and Downing stopped
inviting Barnhill to supervisors’ meetings. Barnhill never understood Downing’s problems
with her, but requested that Shepherd and Downing have an “in-person discussion [with
her] to hash out any differences.” J.A. 85. Both declined her request.
At the same time, Barnhill continued to complain about Lee. Barnhill claims she
did so to “ma[k]e clear. . . that she would refuse to give [] Lee preferential treatment
because of her race,” despite never alleging that she was ever affirmatively asked to give
anyone preferential treatment at all. J.A. 87.
Later that month, Shepherd informed Barnhill that her group would undergo a
“Management Review” to investigate whether she was creating a coercive or hostile work
environment. Id. However, the review did not occur because Shepherd neglected to get
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final approval before notifying Barnhill of the supervisors’ plans and failed to initiate the
review in a timely manner according to DEA policy.
On September 22, 2015, Barnhill initiated an Equal Employment Opportunity
(EEO) proceeding for alleged race and gender discrimination by contacting the DEA’s
EEO office to request informal counseling regarding her concerns.
On October 27, Shepherd downgraded Barnhill’s overall performance rating as part
of the Agency’s annual performance rating. Shepherd’s superior, however, ordered him to
upgrade the performance ratings because they were dissatisfied with the amount of
documentation and the meetings Shepherd had held with Barnhill throughout the year to
inform her of her deficient performance.
On November 6, Brown received written notice that Barnhill had filed her EEO
proceeding. On November 17, Brown launched a management review of Barnhill and her
group. Three days later, on November 20, Brown relieved Barnhill of her supervisory
duties and issued her a “Temporary Duty Reassignment” to the New Orleans Division
Office. J.A. 90. The reassignment required weekly travel and overnight stays in New
Orleans. Brown stated that he implemented the reassignment to “allow the time for the
completion of the recent management review, and . . . time to determine what, if any,
actions [the DEA] w[ould] be taking as a result of the review.” J.A. 90. Barnhill was
reimbursed for all her travel expenses. She claimed that the reassignment remained in
place until March 2016.
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On December 16, 2015, Brown encouraged three of the diversion investigators
Barnhill supervised, John Conner, Marcia Hawthorne, and Pamela Lee, to file EEO
complaints against Barnhill. Lee later went through with filing a complaint in June 2016.
Additionally, beginning in December 2015, while the management review was still
pending, Barnhill applied for several promotions at the DEA. 4 The job applications
required Barnhill’s supervisors to assess her fitness for the roles. Barnhill alleges that her
supervisors’ “ratings and comments detracted from” her application. J.A. 91.
The DEA uses a Career Board (“Board”) to select candidates for management
positions. Barnhill alleges that the DEA’s EEO officer is a non-voting member of the
Board and knew about her EEO proceeding, and that the DEA’s deputy administrator is a
voting member of the Board and is informed of any EEO proceedings. Barnhill further
alleges that other Board members knew of her EEO proceeding and discussed it amongst
each other. She claims that Brown spoke with Board members and discouraged them from
selecting Barnhill. Ultimately, Barnhill was not selected for the promotions she applied
for, despite being “significantly more qualified” than those who were selected. J.A. 100.
The management review of Barnhill and her group was completed on January 12,
2016. The review had twenty-one attachments supporting its findings and asserted that
Barnhill had “engaged in vindictive, intimidating, and/or unprofessional conduct.” J.A.
93. It maintained that Barnhill colluded with subordinates to get others fired, held up
4
Barnhill continued to apply for promotions after the management review was
complete.
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promotions, prevented subordinates from gaining work experience, targeted particular
subordinates, and called them unprofessional nicknames.
In March 2016, the Board informed Barnhill that she would be reassigned to a
position working at the DEA’s headquarters. But when Barnhill requested that the transfer
be rescinded, the Board obliged. Barnhill was instead assigned to work at a state agency’s
office for six months and then transferred to another DEA office in Salt Lake City, Utah.
In July 2018, after an investigation, the DEA issued a final agency decision (“FAD”)
in response to Lee’s June 2016 EEO complaint against Barnhill. The FAD relied heavily
on the findings of the management review and concluded that Barnhill discriminated
against Lee. Based on the FAD, DEA deciding official Matthew Germanowski imposed a
five-day suspension on Barnhill and required her to take supplemental training on
discrimination. 5
B.
i.
On December 10, 2021, Barnhill filed a complaint in the United States District Court
for the Eastern District of Virginia, bringing claims for race and gender discrimination,
retaliation, and a hostile work environment under Title VII of the Civil Rights Act of 1964,
42 U.S.C. § 2000e et seq. The Government moved to dismiss for failure to state a claim,
which the district court granted in part and denied in part pursuant to Fed. R. Civ. P.
5
The record in this matter is voluminous, and additional facts will be addressed as
they become pertinent to the issues discussed in this opinion.
7
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12(b)(6) (first dismissal order). See generally Barnhill v. Garland, 636 F. Supp. 3d 592
(E.D. Va. 2022).
The district court first determined that many of the employment actions that Barnhill
complained of were not adverse and therefore did not engender valid claims under Title
VII. See id. at 603–07. The court determined that the only actions that could serve as the
basis for her various claims were the management review, the temporary duty
reassignment, the promotion denials, and the five-day suspension imposed after the FAD. 6
See id. In any event, the court concluded that Barnhill failed to plead that any of the adverse
actions she described stemmed from discriminatory animus related to her race or gender.
See id. Accordingly, the race and gender discrimination claims were dismissed. Id. at 607.
As to the retaliation claim related to her promotion denials, the court determined
that Barnhill engaged in a protected activity when she initiated her EEO proceeding in
6
In Muldrow v. City of St. Louis, Missouri, the Supreme Court held that an adverse
action for purposes of a Title VII discrimination claim is merely one that causes “some
harm respecting an identifiable term or condition of employment.” 601 U.S. 346, 354–55
(2024). An employee need not show that the harm was significant, serious, substantial, “or
any similar adjective suggesting that the disadvantage to the employee must exceed a
heightened bar.” Id. at 355. However, Barnhill did not preserve the argument that any
actions aside from the management review, the temporary duty reassignment, the
promotion denials, and the five-day suspension imposed after the FAD, were adverse.
Although Barnhill told the court that Muldrow could alter the standard for Title VII claims
in her reply brief (and in a supplemental letter that Muldrow ultimately did alter the
standard), on appeal, she never affirmatively argued what else in her complaint constituted
an adverse action, and why. Because the Government was never afforded the opportunity
to respond, Barnhill has waived the argument. See Grayson O Co. v. Agadir Int'l LLC, 856
F.3d 307, 316 (4th Cir. 2017) (“A party waives an argument by failing to present it in its
opening brief or by failing to develop [its] argument—even if [its] brief takes a passing
shot at the issue.”) (quoting Brown v. Nucor Corp., 785 F.3d 895, 923 (4th Cir. 2015)
(internal quotation marks omitted)).
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September 2015, but at no time before that. See id. at 607–08. The court also recognized
that Barnhill did not plead facts supporting the plausible inference that the members of the
Board who declined to promote her knew of her EEO proceeding or possessed any
discriminatory animus toward her. See id. at 609 n.9. The court therefore dismissed
Barnhill’s retaliation claim related to her promotion denials. See id.
The court also dismissed Barnhill’s retaliation claim related to the five-day
suspension. See id. at 606. The court reasoned that because Barnhill did not specify who
made the decision to suspend her, the court could not infer that someone possessing
discriminatory animus toward her made the decision. See id. The court also found that the
suspension could not have come as a result of discrimination because Barnhill’s complaint
conceded that the suspension was only imposed after the FAD found merit in Lee’s claim
that Barnhill discriminated against her. See id.
The court was persuaded, however, to allow the retaliation claims rooted in the
management review and the temporary duty reassignment to proceed. See id. at 609. The
court reasoned that the temporal proximity between the initiation of Barnhill’s EEO
proceeding and the management review and temporary duty reassignment, along with the
fact that the temporary duty reassignment continued after the management review was
complete, were probative of retaliation. See id. For the same reasons, the court also
allowed Barnhill’s hostile work environment claim to proceed. See id. at 609–10.
ii.
Discovery began and Barnhill moved for leave to file a first amended complaint
(hereinafter “complaint”), which was granted. The complaint added allegations that
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included Barnhill’s speculation that Board members would have discussed her EEO
proceeding amongst each other, and Germanowski’s reliance on the FAD, which in turn
relied on the management review, when imposing the five-day suspension.
While discovery was ongoing, the Government filed a second motion to dismiss for
failure to state a claim pursuant to Fed. R. Civ. P. 12(b)(6), seeking to dismiss all claims
aside from those explicitly preserved by the first dismissal order. The district court granted
the motion in full under Fed. R. Civ. P. 12(b)(6) (second dismissal order). The court
dismissed the discrimination claims for the same reasons it did in the first dismissal order—
none of the adverse actions Barnhill alleged stemmed from any discriminatory animus. It
also dismissed the retaliation claims rooted in the promotion denials and the five-day
suspension on the grounds that Barnhill failed to plead that any relevant decisionmaker
possessed discriminatory animus toward her.
Barnhill timely filed a notice of appeal as to the second dismissal order and the later-
issued summary judgment order. 7 The court has jurisdiction over this appeal pursuant to
28 U.S.C. § 1291.
C.
We first address Barnhill’s appeal of the second dismissal order. This court
“review[s] de novo the grant of a motion to dismiss under Rule 12(b)(6).” Coleman v. Md.
7
To the extent that Barnhill seeks to appeal the district court’s determination in its
first dismissal order that she did not engage in a protected activity until her EEO
proceeding, this argument was abandoned when Barnhill failed to include that order in her
notice of appeal. See Jackson v. Lightsey, 775 F.3d 170, 176–77 (4th Cir. 2014) (“Given
[the appellant’s] express designation of one particular order, the fairest inference is that
[the appellant] did not intend to appeal the other.”).
10
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Ct. of Appeals, 626 F.3d 187, 190 (4th Cir. 2010) (citing Sucampo Pharm., Inc. v. Astellas
Pharma, Inc., 471 F.3d 544, 550 (4th Cir. 2006)). Under this standard, we assess the
adequacy of the complaint by drawing all reasonable inferences in the plaintiff’s favor.
Evans v. United States, 105 F.4th 606, 616 (4th Cir. 2024).
However, “we need not accept the legal conclusions drawn from the facts, and we
need not accept as true unwarranted inferences, unreasonable conclusions or arguments.”
Nemet Chevrolet, Ltd. v. Consumeraffairs.com, Inc., 591 F.3d 250, 253 (4th Cir. 2009)
(quoting Giarratano v. Johnson, 521 F.3d 298, 302 (4th Cir. 2008) (quotations omitted)).
The complaint can only survive a motion to dismiss where its factual allegations, not
conclusions, “raise a right to relief above the speculative level, thereby nudging the claims
across the line from conceivable to plausible.” Evans, 105 F.4th at 616 (quoting Bazemore
v. Best Buy, 957 F.3d 195, 200 (4th Cir. 2020) (internal quotations and citations omitted)).
Barnhill’s complaint fails to meet this burden.
i.
We first consider Barnhill’s dismissed Title VII race and gender discrimination
claims related to the management review, the temporary duty reassignment, the promotion
denials, and the five-day suspension imposed after the FAD. Because Barnhill fails to
plausibly allege that any of these adverse actions were because of her race or gender, her
claims must be dismissed.
To state a Title VII discrimination claim, a plaintiff must allege facts sufficient “to
raise a right to relief above the speculative level.” Coleman, 626 F.3d at 190 (quoting Bell
Atl. Corp. v. Twombly, 550 U.S. 544, 555 (2007)). In pertinent part, Title VII prohibits an
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employer from “refus[ing] to hire . . . or otherwise . . . discriminat[ing] against any
individual with respect to h[er] compensation, terms, conditions, or privileges of
employment, because of such individual’s race [or] sex.” 42 U.S.C. § 2000e-2(a)(1). As
in the district court, Barnhill makes no effort on appeal to demonstrate that the complaint
plausibly alleges that any relevant decisionmaker was motivated by her race or gender.
Rather, Barnhill merely contends in her opening brief that the complaint’s conclusory
allegations of race and gender discrimination should be sufficient. See Br. of Appellant
29–30 (arguing that it is enough that she “claims that her race, sex and prior protected
activity were each—and together—causes of the adverse actions alleged in the complaint,”
and that nothing in Title VII “requires her to prove any one of the bases separately, or to
parse out what action was caused specifically by sex discrimination and what specifically
by race discrimination”).
Barnhill’s theory is patently contrary to binding precedent. See Coleman, 626 F.3d
at 190–91. Therefore, her Title VII race and gender discrimination claims fail.
ii.
Next, we address Barnhill’s dismissed Title VII retaliation claims related to the
promotion denials and the five-day suspension imposed after the FAD. Because Barnhill
fails to allege a connection between her EEO proceeding and these adverse actions beyond
mere “speculation,” her claims must be dismissed. See id. at 191.
To support a claim for retaliation under Title VII, a plaintiff must show “(1)
engagement in a protected activity; (2) adverse employment action; and (3) a causal link
between the protected activity and the employment action.” Id. at 190 (citing Mackey v.
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Shalala, 360 F.3d 463, 469 (4th Cir. 2004)). The first element is satisfied by Barnhill’s
initiation of her EEO proceeding in September 2015. See Strothers v. City of Laurel, 895
F.3d 317, 328 (4th Cir. 2018) (protected activities “include[] complain[ts] to superiors
about suspected violations of Title VII.” (internal quotation marks omitted)); see also
Cosby v. S.C. Prob., Parole & Pardon Servs., 93 F.4th 707, 718–21 (4th Cir. 2024)
(explaining that a complaint constitutes protected activity when it is based on allegations
of discrimination based on race, gender, and other categories falling within the scope of
Title VII). The second element is not in dispute as the parties agree that the promotion
denials and the five-day suspension imposed after the FAD constitute adverse actions under
Title VII. See supra n.6. Therefore, all that is left to decide is whether Barnhill’s complaint
fell short of establishing a causal connection between her protected activity and the adverse
actions she alleged. For the reasons outlined below, it did.
While there is not a bright-line rule instructing when temporal proximity is
sufficient to establish causation, without other evidence of causation, the gap between the
protected activity and the adverse employment action can generally be no longer than two
months. See Roberts v. Glenn Indus. Grp., Inc., 998 F.3d 111, 127 (4th Cir. 2021). In any
event, the plaintiff must show that a relevant decisionmaker was actually aware of the
protected activity before making their decision. See id. at 124 (citing Dowe v. Total Action
Against Poverty in Roanoke Valley, 145 F.3d 653, 657 (4th Cir. 1998)). With respect to
the promotion denials and the five-day suspension, temporal proximity does not weigh in
Barnhill’s favor. The complaint alleges that the first promotion denial did not occur until
March 2016—almost six months after Barnhill’s EEO proceeding was initiated. And the
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five-day suspension was not imposed until July 2018, almost three years after Barnhill’s
EEO proceeding was initiated. Therefore, the temporal proximity between the EEO
proceeding’s initiation and the adverse employment actions at issue does not satisfy the
causation element of Barnhill’s retaliation claims.
However, even in the absence of temporal proximity, causation can be established
through a pervasive sequence of intervening events indicating disdain for or intermeddling
with the protected activity. See e.g., Barbour v. Garland, 105 F.4th 579, 593–94 (4th Cir.
2024); Holloway v. Maryland, 32 F.4th 293, 300 (4th Cir. 2022) (causation established
where supervisor told plaintiff that they “would be involved” in their EEO complaint);
Lettieri v. Equant Inc., 478 F.3d 640, 650–51 (4th Cir. 2007) (causation established where
plaintiff was stripped of multiple job responsibilities before ultimately being fired for an
illegitimate reason).
In Barbour, a plaintiff alleged that the DEA retaliated against her by denying her
employment as a special agent after discovering her participation in a class action lawsuit
against the FBI. See 105 F.4th at 593–94. The court determined that the plaintiff’s
allegations regarding the period between when the DEA learned of her lawsuit and when
the plaintiff finally discovered that she had not been hired plausibly established causation.
See id. at 593–94, 597. The court found that DEA agents’ incessant questioning of Barbour
about the FBI lawsuit and the difference in how her application was handled after the DEA
learned of the lawsuit were highly suggestive of “retaliatory animus.” See id. Barbour’s
application was suddenly stalled despite previously being expedited, her background check
was reopened, she received varying information about her application from DEA agents,
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previously helpful agents ceased communicating with her, and she was not notified when
she was not selected for the role. See id. at 593–94. This sequence of events suggested
that there was a causal connection between the lawsuit and the DEA’s denial of Barbour’s
application. See id. at 597–98. The court therefore found it “plausible” that the DEA
retaliated against Barbour for filing the lawsuit despite the “six- to eight-month lapse” in
time. Id. at 591, 596–97.
Barbour’s principles are inapplicable here. First, unlike Barbour, Barnhill does not
allege that she was treated favorably before the DEA gained knowledge that she had
initiated an EEO proceeding. See also Lettieri, 478 F.3d at 650 (discriminatory acts began
after filing of complaint). Instead, Barnhill alleges that she repeatedly suffered
discrimination before the initiation of her EEO proceeding. Therefore, Barnhill cannot
meritoriously argue that the initiation of the EEO proceeding caused her to be treated
differently. See Francis v. Booz, Allen & Hamilton, Inc., 452 F.3d 299, 309 (4th Cir. 2006)
(“The actions that led to [the plaintiff’s] probation and termination began before her
protected activity, belying the conclusion that a reasonable factfinder might find that [the
employer’s] activity was motivated by [her] USERRA complaints.”); see also Sempowich
v. Tactile Sys. Tech., Inc., 19 F.4th 643, 654 (4th Cir. 2021) (holding that a reasonable
factfinder could find that a protected activity brought about adverse actions where adverse
actions were not “gradual” and did not begin “well before” the protected activity).
Second, unlike in Barbour, where the plaintiff was “repeated[ly] and obsessive[ly]
question[ed]” about her lawsuit, Barnhill never alleges that anyone at the DEA ever asked
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her about the EEO proceeding or that she was ever coerced into discussing it with anyone
at the DEA. Cf. Barbour, 105 F.4th at 593.
Nor is this case like Holloway. There, the plaintiff's employer “exclaimed” that they
were aware of the plaintiff's EEO complaint and implied they would interfere with the
proceedings by stating they “would be involved.” See Holloway, 32 F.4th at 300. Here,
Barnhill never alleges that anyone at the DEA told her that they would be tampering with
her EEO proceeding. Cf. id.
Third, unlike the plaintiff in Barbour, Barnhill’s complaint is riddled with
allegations of discrimination and misconduct on her part that caused contemporaneous
responses from the DEA, both before and after the initiation of her EEO proceeding.
Therefore, to the extent that there were any suggestive events that occurred between her
protected activity and alleged adverse employment actions, Barnhill can hardly establish
more than a remote and tenuous connection between them, if any. For these reasons,
Barbour and its affiliated cases cannot help Barnhill.
Barnhill nevertheless argues that she can establish causation, including through the
“cat’s paw” theory. She cannot.
In Hill v. Lockheed Martin Logistics Management, Inc., 354 F.3d 277 (4th Cir.
2004), the court explained that, in certain rare instances, the discriminatory animus of an
employee can be imputed onto the employer to establish causation—known as the “cat’s
paw” theory. See 354 F.3d at 290–91 (en banc). To satisfy the cat’s paw theory at the
motion to dismiss stage, a plaintiff must plead that a coworker harboring discriminatory
animus toward her exercised authority over an adverse employment action that the plaintiff
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suffered such that the colleague should be viewed as the “actual decisionmaker” principally
responsible for the adverse action. See id; see also e.g., Roberts v. Gestamp W. Virginia,
LLC, 45 F.4th 726, 739 (4th Cir. 2022) (theory unsatisfied where a subordinate employee
harboring discriminatory animus lacked decision-making authority, irrespective of them
substantially influencing the decisionmaker); Balas v. Huntington Ingalls Indus., Inc., 711
F.3d 401, 410–11 (4th Cir. 2013) (theory unsatisfied where a discriminating employee
substantially influenced the actual decisionmaker, but was not principally responsible for
the decision); Crockett v. Mission Hosp., Inc., 717 F.3d 348, 356 (4th Cir. 2013) (theory
unsatisfied where a problematic supervisor had no role in the adverse action the plaintiff
suffered); Worden v. SunTrust Banks, Inc., 549 F.3d 334, 343 (4th Cir. 2008) (theory
unsatisfied where the complained of employee was not even involved in discussions
pertaining to the adverse action the plaintiff suffered, let alone in charge of making the
decision).
In Bandy v. City of Salem, Virginia, 59 F.4th 705 (4th Cir. 2023), the court provided
guidance regarding a plaintiff’s burden when she attempts to satisfy Hill’s standard through
a decision-making committee, as opposed to an individual. See Bandy, 59 F.4th at 705.
The court recognized that a plaintiff could satisfy Hill’s standard where committee
members exercising authority over an adverse action the plaintiff suffered acted together
in making the decision. See id. at 708, 710–11. Nevertheless, the court still required the
plaintiff to show that the committee members harbored discriminatory animus toward
them, as opposed to merely implementing an action adverse toward the plaintiff. See id. at
711–12.
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Regarding the promotion denials, Barnhill cannot make use of the cat’s paw theory
because she failed to plausibly allege that Brown or any Board member possessing
discriminatory animus toward her was the “actual decisionmaker” over the adverse
employment actions she suffered. See Hill, 354 F.3d at 290–91. Nor did Barnhill plausibly
allege that the Board members collectively harbored discriminatory animus toward her.
See Bandy, 59 F.4th at 711–12.
Barnhill did allege that the DEA’s EEO officer is a non-voting member of the Board
and knew about her EEO proceeding, and that the DEA’s deputy administrator is a voting
member of the Board and is informed of all EEO proceedings. She also alleged that Brown
possessed discriminatory animus toward her, told Board members about her EEO
proceeding, and encouraged them to vote against her. She further alleged that Board
members spoke amongst each other about the EEO proceeding.
However, ruling in Barnhill’s favor would require assuming that someone with both
principal authority and discriminatory animus decided not to select Barnhill for the
promotions, without the complaint leading to such an inference. As a result, Barnhill’s
allegations do not “rise above” mere “speculation,” Coleman, 626 F.3d at 191, and her
Title VII retaliation claims based on her promotion denials fail.
As to the five-day suspension, Barnhill never alleged that the relevant
decisionmaker possessed any discriminatory animus. See Hill, 354 F.3d at 290–91. The
suspension was imposed by Germanowski, the DEA’s deciding official, after the FAD
revealed that Barnhill had discriminated against Lee. Nowhere in Barnhill’s complaint did
she allege that Germanowski possessed discriminatory animus toward her or that he
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discriminated against her in any way. Thus, while Germanowski was the sole
decisionmaker over the suspension, Barnhill’s failure to allege discrimination on his part
eliminates any pathway for establishing causation as to this adverse action. Therefore,
Barnhill’s Title VII retaliation claim related to her five-day suspension also fails. 8
For these reasons, we affirm the dismissal of Barnhill’s Title VII race and gender
discrimination claims, as well as her Title VII retaliation claims related to the promotion
denials and the five-day suspension imposed after the FAD.
II.
The district court resolved the remaining claims on summary judgment under Fed.
R. Civ. P. 56(a), including the retaliation claims related to the management review and
temporary duty reassignment, as well as the hostile work environment claim. We now
address these claims and, likewise, affirm.
8
Barnhill also argues that the suspension was the DEA’s first opportunity to retaliate
against her. See Price v. Thompson, 380 F.3d 209, 213 (4th Cir. 2004) (“[T]he employer’s
knowledge coupled with an adverse action taken at the first opportunity satisfies the causal
connection element of the prima facie case.”). First, this argument is contradicted by
Barnhill’s own assertion that the management review, temporary duty assignment, and
promotion denials—which all predated the five-day suspension—were retaliatory acts as
well. This differs from Barbour, where the plaintiff pled that the denial of her application
was the first time the defendants could have retaliated against her, and the defendants asked
the court to infer that they could have retaliated against the plaintiff sooner had they been
inclined to do so. See Barbour, 105 F.4th at 594–97. Second, the fact that Barnhill never
alleged that Germanowski—the individual who imposed the suspension—knew of her
EEO proceeding or harbored any discriminatory animus toward her further renders this
argument unviable. Third, this court has already held that the first opportunity doctrine is
“specific to the failure-to-hire context”; therefore, it cannot apply to Barnhill’s five-day
suspension. See Penley v. McDowell Cnty. Bd. of Educ., 876 F.3d 646, 657 (4th Cir. 2017).
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A.
During discovery, the factual record was developed. 9 Discovery revealed that
complaints about Barnhill’s discriminatory conduct and harsh managerial style began
trickling in less than two years into Barnhill’s tenure as group supervisor. In February
2012, Diversion Investigator Kelli Geary sent Shepherd a detailed letter explaining how
Barnhill “targeted” her with “constant criticism” such that she was “afraid” to do her job.
J.A. 204. Lee, whom Barnhill had complained about to Shepherd, also alleged that Barnhill
“scolded” her incessantly, J.A. 208, scrutinized her work harder than others, denied her a
promotion, and told other employees that she wanted her to quit. J.A. 207–08.
Furthermore, Barnhill’s own affidavit revealed that Downing’s issues with her did not arise
out of thin air, as her complaint suggests. Rather, Barnhill herself stated that Downing
took issue with her mishandling of a diversion case and that he believed she could not be
trusted.
Discovery also revealed that on October 12, 2015, Shepherd emailed a draft of
Barnhill’s annual performance review to his assistant. But this draft was incomplete,
lacking an overall rating, official rating comments, or a signature. As stated in the
complaint, on October 27, Shepherd sent Barnhill a revised performance rating, which was
much more critical of her performance. Shepherd explained that the initial version was
merely a “shell” containing information from previous years. J.A. 778. The initial draft
9
Unless otherwise stated, the facts alleged in the complaint were corroborated
during discovery.
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was thus an unfinalized document, immaterial to Shepherd’s assessment of Barnhill’s
performance throughout 2015. Id.
Separately, around this time, Anthony Lemons began serving as acting assistant
special agent in charge in place of Shepherd. 10 Upon assuming this role, Lemons, too, was
bombarded with complaints about Barnhill from Conner, Hawthorne, and Lee. On
different occasions, Barnhill’s subordinates complained to Lemons about her “targeting
and harassment.” J.A. 330. They said they were “distraught” and “contemplating leaving
their positions” if things did not change. Id.
On October 7, 2015, Lemons reported these complaints to Brown and requested that
a management review be conducted “as soon as possible” to address the “major morale
issues” in Barnhill’s group. Id. On November 17, in accordance with Lemons’ request,
Brown launched a management review of Barnhill and her group.
In light of the management review, Brown relieved Barnhill of her supervisory
duties and issued her a “Temporary Duty Reassignment” to the New Orleans Division
Office just three days later, on November 20. J.A. 90, 496. Brown’s letter to Barnhill
confirmed that the reassignment required weekly travel and overnight stays in New
Orleans. Brown did, however, make clear that the reassignment was not intended to be
punitive; rather, it was implemented to “allow the time for the completion of the recent
management review, and . . . time to determine what, if any, actions [the DEA] w[ould] be
taking as a result of the review.” J.A. 496. Barnhill was reimbursed for all her travel
10
The record does not provide the precise date on which Lemons entered this role.
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expenses. The reassignment remained in place until February 2016, a month prior to what
Barnhill’s complaint suggests.
The management review was finalized on January 12, 2016, and it elaborated on
Barnhill’s discriminatory conduct and behavior in great detail. Specifically, it summarized
the thirteen interviews the DEA conducted and the twenty-one documents it discovered
during the investigative process. The review confirmed that Barnhill had created a
“caustic, repressive, and obstructionist work environment,” and that “[e]very single person
interviewed” who was supervised by Barnhill stated that she “engaged in vindictive,
intimidating, and/or unprofessional conduct.” J.A. 352. It also unveiled Barnhill’s specific
targeting of female subordinates and her refusal to provide adequate training for new
employees. The review recommended, among other things, that Barnhill be removed from
her supervisory position in Little Rock and undergo extensive professional training.
The FAD itself also provided additional context beyond what Barnhill had stated in
her complaint. The FAD exposed that Barnhill had discriminated against Lee on the basis
of her race and sex for years. It concluded that Barnhill engaged in “pervasive harassment”
and subjected Lee to a “hostile and abusive” work environment. J.A. 610. The FAD relied
in part on the management review, which found that Barnhill “targeted new Diversion
Group employees and bullied and intimidated them to maintain control.” J.A. 602. And
based on the FAD, Germanowski did impose a five-day suspension on Barnhill and
required her to participate in supplemental training on discrimination.
B.
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Based on the factual development during discovery, the district court disposed of
the remaining claims on summary judgment under Fed. R. Civ. P. 56(a)—the retaliation
claims based on the management review and temporary duty reassignment, and the hostile
work environment claim. See generally Barnhill v. Garland, No. 1:21-cv-1377-AJT-WEF,
2023 WL 4873641 (E.D. Va. July 31, 2023). As to the management review, the court
determined that record evidence confirmed that the review was initiated by Lemons, whom
Barnhill never alleged discriminated against her. See id. at *3–4.
As for the temporary duty reassignment, the court ruled that even if it assumed that
Brown, who imposed the reassignment, possessed discriminatory animus toward Barnhill,
it could not conclude that the reassignment was implemented for illegitimate reasons. See
id. at *4–6. Considering the large number of complaints made against Barnhill, the
initiation of the management review, and Brown’s detailed letter explaining why the
reassignment was imposed, the court found that no genuine issue of material fact existed
regarding the purpose of the reassignment. See id. at *4–6. The court concluded that the
reassignment was clearly imposed “to limit any potential conflicts that might arise if
Barnhill were in the office while the management review was underway.” Id. at *4.
As to the hostile work environment claim, the court determined that Barnhill’s
failure to show that any relevant decisionmaker possessed discriminatory animus toward
her, or a connection between her EEO proceeding and the adverse actions, belied her claim.
See id. at *4. The court concluded that the allegations on which the hostile work
environment claim were based were “simply too trivial or generalized to constitute either
an adverse action or severe and pervasive harassment.” Id. at *4 n.4.
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C.
This court reviews a district court’s grant of summary judgment under Fed. R. Civ.
P. 56(a) de novo. Anderson v. Westinghouse Savannah River Co., 406 F.3d 248, 259 (4th
Cir. 2005). Summary judgment is appropriate when the record demonstrates “that there is
no genuine dispute as to any material fact and the movant is entitled to judgment as a matter
of law.” Fed. R. Civ. P. 56(a). Although the nonmoving party is entitled to all reasonable,
non-speculative inferences drawn in her favor, such inferences must be justifiable from the
evidence, and the nonmoving party must present “significantly probative”—not “merely
colorable”—evidence in her favor. Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 249,
254 (1986). Like Barnhill’s dismissed Title VII retaliation claims, her failure to prove
causation defeats her Title VII retaliation claims rooted in her management review and
temporary duty reassignment.
i.
Barnhill’s claim based on the management review fails because discovery revealed
that the management review was initiated by Lemons. On the one hand, temporal
proximity weighs in Barnhill’s favor because the management review was initiated less
than a month after the EEO proceeding was initiated. See Roberts, 998 F.3d at 127
(explaining that the inference of causation does not begin to weaken until two months have
passed between the protected activity and adverse action). But the lack of evidence that
Lemons knew of the EEO proceeding before initiating the management review forecloses
temporal proximity as a pathway to establishing causation. See id. at 124–27 (explaining
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that irrespective of temporal proximity, a plaintiff must show that a relevant decisionmaker
knew of their protected activity at the time of the adverse action to establish causation).
Secondly, Barbour’s principles cannot help Barnhill because neither the complaint
nor the record contains any suggestive intervening events between the initiation of the EEO
proceeding and when Lemons called for the management review. See Barbour, 105 F.4th
at 593–94, 597 (explaining that suggestive intervening events can bridge a prohibitively
long temporal gap and establish causation). Lastly, like Germanowski, there is no
indication that Lemons ever possessed any discriminatory animus toward Barnhill.
Barnhill contends that we can reach a different conclusion if we find that Brown
initiated the management review. She argues that if we view the record this way, causation
could be established via temporal proximity because Brown began the management review
within two months of learning of the EEO proceeding. See Roberts, 998 F.3d at 127. But
the record unambiguously reveals otherwise. The management review, as well as both
Brown and Lemons, assert that the review only came about because of Lemons’ directive
to initiate it. Indeed, when he ordered the review, Lemons was Barnhill’s direct supervisor
and therefore responsible for overseeing her leadership of the group she managed in Little
Rock. And after receiving complaints from three of Barnhill’s subordinates, Lemons did
what most responsible supervisors would under the circumstances: he requested that an
investigation into the allegations take place. We therefore decline Barnhill’s invitation to
construe the record in an erroneous fashion and affirm the district court’s grant of summary
judgment as to Barnhill’s Title VII retaliation claim based on the management review.
ii.
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The temporary duty reassignment is more complicated. Under the burden shifting
framework articulated by the Supreme Court in McDonnell Douglas Corp. v. Green, 411
U.S. 792 (1973), once a plaintiff makes a prima facie showing of a retaliation claim, the
burden shifts to the employer to offer a legitimate, nonretaliatory reason for their adverse
action. See Palmer v. Liberty Univ., Inc., 72 F.4th 52, 63 (4th Cir. 2023) (quoting Guessous
v. Fairview Prop. Invs., LLC, 828 F.3d 208, 216 (4th Cir. 2016)); Decoster v. Becerra, 119
F.4th 332, 342–43 (4th Cir. 2024). If the employer meets this burden, “the burden then
shifts back to the . . . [employee] to prove by a preponderance of the evidence” that the
employer’s purported reason is pretext for intentional retaliation. See Palmer, 72 F.4th at
63.
The record indicates that Brown instituted Barnhill’s reassignment to the New
Orleans office on November 20, 2015, just two weeks after learning of the EEO proceeding
on November 6, 2015. Thus, Barnhill has made out a prima facie case of retaliation under
Title VII because temporal proximity satisfies the causation prong of the analysis. See
Roberts, 998 F.3d at 124–27 (explaining that close temporal proximity between the
protected activity and the adverse action coupled with a relevant decisionmaker’s
knowledge of the protected activity at the time of the adverse action establishes causation).
However, the record shows that Brown had a legitimate reason for instituting the
reassignment, and so the retaliation claim grounded in the reassignment also fails. The
record reveals that Barnhill was given the reassignment in response to the management
review, which had begun three days prior. The objective behind the reassignment was to
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remove Barnhill from her group in Little Rock while it was being investigated to prevent
any intermeddling or unnecessary hostility.
Barnhill cannot prove that Brown’s reason for instituting the reassignment is pretext
for intentional retaliation. Barnhill points out that a management review was not initiated
when Shepherd requested it in June 2015, but was a couple of months after she commenced
her EEO proceeding. She further contends that the record does not show any misconduct
on her part between June 2015 and October 2015 that would justify the management
review. She also claims that there is a lack of evidence as to Lemons’ request for the
management review and that the review was mishandled in several ways, which indicates
that it was initiated on baseless grounds. Lastly, she argues that the temporary duty
reassignment lasting beyond the completion of the management review is evidence of
pretext.
Simply put, these contentions fall short of genuinely disputing the record’s
attestation that the DEA had legitimate, nonretaliatory reasons for instituting the
reassignment. See Adkins v. CSX Transp., Inc., 70 F.4th 785, 794 (4th Cir. 2023) (quoting
DeJarnette v. Corning Inc., 133 F.3d 293, 299 (4th Cir. 1998)) (“[W]hen an employer gives
a legitimate, nondiscriminatory reason for terminating an employee, it is not our province
to decide whether the reason was wise, fair, or even correct, so long as it was the genuine
reason for the employment decision.” (internal quotation marks omitted)). The problem
with all but one of Barnhill’s arguments is that they are directed at the validity of the
management review, not the temporary duty reassignment. But the two are separate from
one another. While it is true that the temporary duty reassignment came in response to the
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management review, it would have been imposed irrespective of whether the management
review found Barnhill guilty or innocent of the allegations against her. This is because the
temporary duty reassignment was not intended to punish Barnhill, but to prevent her from
having contact with members of her group while the management review was taking place.
And the need to keep Barnhill away from her group would have been apparent whether the
allegations against her were meritless or meritorious.
Barnhill’s other argument—that the temporary duty reassignment being extended
beyond the completion of the management review is evidence of pretext—is specious. If
there was ever any doubt as to whether Barnhill should have been separated from her group
when the management review was initiated, any such doubt was certainly removed once
the review was complete.
As previously stated, the management review detailed a “caustic, repressive, and
obstructionist work environment” in Barnhill’s group. J.A. 352. It revealed that each of
Barnhill’s subordinates were suffering from low morale, and that Barnhill engaged in
“vindictive, intimidating, and/or unprofessional conduct.” Id. It also exposed that she
specifically targeted female subordinates and refused to provide adequate training for new
employees. Therefore, after the management review was complete, the DEA had an even
greater reason for keeping Barnhill out of the Little Rock office and far away from her
group.
Furthermore, the reassignment lasting beyond the completion of the management
review aligns with what Brown told Barnhill when he issued the reassignment. Brown
informed Barnhill that the reassignment was not only in place to allow time for the
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management review to be completed, but also to give the DEA time to figure out the best
course of action once the results of the management review were released. See J.A. 90,
496 (articulating that the reassignment was implemented to “allow the time for the
completion of the recent management review, and . . . time to determine what, if any,
actions [the DEA] w[ould] be taking as a result of the review.”). It should therefore have
come as no surprise that the reassignment lasted until February 2016, as that was the same
month that the DEA decided where it wanted to transfer Barnhill after the results of the
management review were released. Because Barnhill cannot show that Brown’s reason for
implementing the temporary duty reassignment was pretextual, her retaliation claim related
to the reassignment fails.
iii.
Barnhill’s hostile work environment claim under Title VII was also disposed of on
summary judgment under Fed. R. Civ. P. 56(a). To succeed on such a claim a plaintiff
must show “ ‘(1) unwelcome conduct; (2) that is based on the plaintiff's [protected status];
(3) which is sufficiently severe or pervasive to alter her conditions of employment and to
create an abusive work environment; and (4) which is imputable to the employer.’ ”
Strothers, 895 F.3d at 328 (quoting Okoli v. City of Baltimore, 648 F.3d 216, 220 (4th Cir.
2011)). To satisfy the third element of the claim, a plaintiff must show that they were
placed in a “retaliatory hostile work environment . . . so severe or pervasive that it would
dissuade a reasonable worker from making or supporting a charge of discrimination.”
Laurent-Workman v. Wormuth, 54 F.4th 201, 217 (4th Cir. 2022) (emphasis added). This
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high burden cannot be satisfied by claims based on “petty slights or minor annoyances.”
Id. at 218 (quoting Burlington N. & Santa Fe Ry. Co. v. White, 548 U.S. 53, 68 (2006)).
In Laurent-Workman, the court held that the plaintiff had adequately pled the third
element of her hostile work environment claim by alleging that one of her supervisors
became even more hostile towards her after she complained to her supervisors about a
coworker’s blatantly racist comments. See id. at 207–09, 218. The supervisor’s acts of
hostility involved “a series of unpredictable management decisions and acts of sabotage.”
Id. at 218. They “ranged from erroneous reprimands to bogus denials of professional
training opportunities to the alteration of work product in a manner damaging to Laurent-
Workman's reputation, on top of additional meddling.” Id. The court held that any one of
these actions may not have been enough to satisfy the third element of the claim “when
considered in isolation,” but together, “the allegations t[old] a multi-act story of
undermining, gaslighting, and disruption[,]” which satisfied the element. Id.
Because any unwelcomed conduct that Barnhill suffered was limited and far from
abusive, she cannot satisfy the third element of the claim. The fundamental difference
between Laurent-Workman and this case is that here, every adverse action that Barnhill
complains about came in response to her own bad behavior—not her complaints about
others. Whether it be the exclusion from supervisor meetings, management review,
temporary duty reassignment, promotion denials, the five-day suspension, or the
complaints filed against her, Barnhill cannot point to a single action that did not stem from
her own behavior.
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In sum, the record demonstrates that Barnhill’s supervisors never instigated strife
between themselves and Barnhill but merely responded to Barnhill’s own behavior toward
her subordinates. Therefore, the acts were no different than ones “all employees
experience” when they are alleged to have engaged in misconduct as egregious as that
which Barnhill is linked to in this case. Id. at 218 (quoting Burlington N., 548 U.S. at 68).
III.
Barnhill sued for discrimination she claims she suffered while working at the DEA.
As to the claims that were dismissed, Barnhill failed to plead the necessary elements of her
claims. As for the remaining claims, the record shows that it was Barnhill’s own behavior
that gave rise to the adverse actions she experienced. For the foregoing reasons, the
decision of the district court is
AFFIRMED.
31
Plain English Summary
USCA4 Appeal: 23-1901 Doc: 52 Filed: 05/15/2025 Pg: 1 of 31 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
Key Points
01USCA4 Appeal: 23-1901 Doc: 52 Filed: 05/15/2025 Pg: 1 of 31 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
02(1:21-cv-01377-AJT-WEF) Argued: December 11, 2024 Decided: May 15, 2025 Before NIEMEYER, KING, and BENJAMIN, Circuit Judges.
03Judge Benjamin wrote the opinion, in which Judge Niemeyer and Judge King joined.
04ARGUED: Richard Randolph Renner, NOBLE LAW FIRM, PLLC, Raleigh, North Carolina, for Appellant.
Frequently Asked Questions
USCA4 Appeal: 23-1901 Doc: 52 Filed: 05/15/2025 Pg: 1 of 31 PUBLISHED UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT No.
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This case was decided on May 15, 2025.
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