Runkle v. Gonzales

391 F. Supp. 2d 210, 2005 U.S. Dist. LEXIS 22219, 2005 WL 2431265
CourtDistrict Court, District of Columbia
DecidedSeptember 28, 2005
DocketCivil Action 04-0714 (RMU)
StatusPublished
Cited by54 cases

This text of 391 F. Supp. 2d 210 (Runkle v. Gonzales) is published on Counsel Stack Legal Research, covering District Court, District of Columbia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Runkle v. Gonzales, 391 F. Supp. 2d 210, 2005 U.S. Dist. LEXIS 22219, 2005 WL 2431265 (D.D.C. 2005).

Opinion

MEMORANDUM OPINION

URBINA, District Judge.

Granting in Part and Denying in Part the Defendants’ Motion to Dismiss

I. INTRODUCTION

This matter comes before the court on the defendants’ motion to dismiss. 1 The defendants urge the court to dismiss each of the plaintiffs eight counts in his amended complaint for either a failure to state a claim under Federal Rule of Civil Procedure 12(b)(6) or for lack of subject jurisdiction under Federal Rule of Civil Procedure 12(b)(1). For the reasons discussed in this memorandum opinion, the court grants the defendants’ motion to dismiss for failure to state a claim as to Counts I-IV, wherein plaintiff alleges sex and reprisal discrimination in violation of Title VII of the Civil Rights Act of 1964. The court also grants the defendants’ motion to dismiss for lack of subject matter jurisdiction as to Count VI, which alleges a violation of the Whistleblower Protection Act; Count VII, which sets forth the plaintiffs allegation of his First Amendment right to free speech violation; and to the portion of Count VIII alleging a violation of the Health Insurance Portability and Accountability Act. The court denies the defendants’ motion to dismiss for failure to state a claim as to Count V, in which the plaintiff alleges he endured a hostile work environment in violation of Title VII, and lastly, the court declines to dismiss the portion of Count VIII alleging a violation of the Privacy Act.

II. BACKGROUND

The facts of this case are complex, spanning several years and involving many actors. For simplification, the court summarizes the facts in this section and revisits them in more detail when necessary to fully develop its analysis.

The plaintiff, a Supervisory Special Agent with the Federal Bureau of Investi *217 gation (“FBI”), began suffering from obsessive-compulsive disorder (“OCD”) and depression sometime in April 1997. By March 1999, the plaintiff had successfully dealt with his OCD and depression challenges. Am. Compl. ¶ 27.

On June 12, 2001, the plaintiff filed the first of three administrative charges against his employer. Id. ¶29. In this first charge, the plaintiff alleged that he was discriminated against based on his sex in three ways. First, he claimed that the May 29, 2001 letter (the “Findings Letter”) from the Adjudication Unit of the FBI’s Office of Professional Responsibility (“FBIOPR”) setting forth findings that his conduct toward two coworkers violated FBI policies demonstrated that (1) allegations he made concerning a female FBI employee were not referred to FBI-OPR for investigation and (2) allegations he submitted to FBI-OPR were not accepted for investigation. 2 Id. ¶29a. Second, he alleged that his supervisors promised him a permanent assignment, but that as of July 30, 2001, they had not given him that assignment. Id. ¶ 29b. Third, he alleged that when two female FBI employees, Supervisory Special Agent Terri Royster and Special Agent Rebecca Granger, made allegations against him, those allegations were investigated, while his allegations against those agents were not investigated. Id. ¶¶ 29c, 54c. The FBI determined that the plaintiff had not suffered discrimination and dismissed the charge. The plaintiff appealed this decision to the Equal Employment Opportunity Commission (“EEOC”), which rejected the appeal on March 25, 2004. Id. ¶ 30.

On September 12, 2002, the plaintiff filed his second administrative charge. This time he alleged sex discrimination and discrimination based on reprisal for his having filed the first administrative charge. Id. ¶ 34. He alleged five bases for this charge. First, he reiterated the allegation from his first administrative charge that FBI-OPR investigated Roy-ster and Granger’s allegations but ignored his allegations against them. He added, however, that FBI employee Barbara Branham should be investigated for allegedly copying a postcard addressed to him and forwarding that copy to FBI-OPR. 3 Id. ¶ 34a. Second, the plaintiff alleged that on September 22, 1999, Assistant FBI Director Jeffrey Higginbotham filed charges against him that were made by a female FBI agent, but that Higginbotham did not file charges that the plaintiff had made against a male agent, even after the plaintiff had discussed those charges with Higginbotham. Id. ¶ 34b. Third, the plaintiff alleged that although he had been required to sign a “no-contact” agreement on September 24, 1999, after a female employee had complained about him, employees whom the plaintiff had complained about where not required to sign similar agreements. Id. ¶ 34c. Fourth, the plaintiff alleged that FBI-OPR opened another investigation against him (the first having resulted in the Findings Letter) based on allegations made by FBI Deputy Assistant Director Thomas Locke in May 2002; Locke, the plaintiff claimed, was motivated *218 by reprisal for being made to provide a sworn statement during the investigation of the plaintiffs first administrative charge. 4 Id. ¶ 34d. Fifth, the plaintiff alleged that John Louden, former Acting FBI Assistant Director and Former Section Chief of the FBI’s Training Division, had recommended that disciplinary action be taken against the plaintiff on unspecified “prohibited motives.” Id. ¶ 34e. The FBI dismissed the plaintiffs second administrative charge, and, again, the EEOC denied the plaintiffs appeal, on March 17, 2004. Id. ¶ 37.

Meanwhile, the plaintiff began raising complaints about a perceived threat to his personal safety on the job. Specifically, in April 2002, he reported to the FBI Director’s Office, through the FBI ombudsman, 5 that he was concerned for his safety whenever he had to be at the FBI Training Academy in Quantico, Virginia because of “implicit threats” of “physical confrontations with armed agents” working there. Id. ¶ 32. In June 2002, he reported the same safety concerns to the FBI Administrative Services Division, and then again in October 2004 to Grant Ashley, Assistant Director of the FBI’s Criminal Investigation Division. Ashley was part of the plaintiffs chain of command. Id. ¶ 38.

Following these disclosures, the plaintiff received a letter dated November 15, 2002 (the “Farrar Letter”), from defendant Sheri Farrar, Former Assistant Director of the FBI. The letter, according to the plaintiff, ordered him to stop pursuing the safety concerns he had been raising or face punishment. Id. ¶ 38a. Defendant Mark Bullock, Former FBI Deputy Assistant Director and Former Assistant Director, delivered the letter to the plaintiff and admonished him to comply with it. Id. ¶ 38b.

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Bluebook (online)
391 F. Supp. 2d 210, 2005 U.S. Dist. LEXIS 22219, 2005 WL 2431265, Counsel Stack Legal Research, https://law.counselstack.com/opinion/runkle-v-gonzales-dcd-2005.