MEMORANDUM OPINION
Plaintiff Melvin Porter brings this action against his employer, the United States Agency for International Development (“Agency”), under Title VII of the Civil Rights Act of 1964, 42 U.S.C. §§ 2000e-3(a), 16(a) (2000) (“Title VII”), alleging that the Agency engaged in discriminatory employment practices against him based upon his race and gender, as well as retaliatory employment practices based on his participation in protected activity, i.e., his 2001 lawsuit against the defendant for illegal employment practices under Title VII and related Equal Employment Opportunity (“EEO”) activity. This matter is now before the Court on the defendant’s motion for summary judgment, Defendant’s Motion for Summary Judgment (“Def.’s Mot.”), which the plaintiff opposes, Opposition of Plaintiff Melvin C. Porter to Defendant’s Motion for Summary Judgment (“Pl.’s Opp’n”). 1 For the following reasons, the Court must award summary judgment to the Agency.
I. BACKGROUND
Viewing the evidence in the light most favorable to the plaintiff, the facts underlying this lawsuit are the following.
The plaintiff, an African-American male, was employed in the Agency’s Office of Human Resources from 1985 to 1995, until being transferred to the Agency’s Bureau of Policy and Program Coordination where *210 he was assigned when this case was filed. Second Amended Complaint (“Second Am. Compl.”) ¶¶ 6, 8. The plaintiff joined the Agency in 1985 as a GS-13 grade level employee, and was elevated to the, GS-14 grade level after two years; however, since 1987, his pay grade level has not been increased. Id. ¶ 8.
Since 1988, the plaintiff alleges that the Agency’s acts of discrimination and retaliation have stymied his advancement. And, between 1988 and 1991, the plaintiff filed four EEO complaints alleging that the Agency committed various discriminatory and retaliatory acts against him based upon his race and gender, and in response to his complaints against the Agency. Id. ¶¶ 9-10. The Agency settled the plaintiffs first round of complaints in 1992, awarding him monetary damages, a retroactive temporary promotion, training, and attorneys’ fees. Id. ¶ 10. Following the settlement, the plaintiff filed three additional EEO complaints over the next several years against the Agency, again alleging discrimination and retaliation. Id. ¶ 11. In 1995, the Agency settled the plaintiffs second round of complaints, agreeing to transfer him from the Office of Human Resources to the Bureau for Policy and Program Coordination, as well as awarding him additional “compensatory damages, a revised performance appraisal, a retroactive merit increase and performance award, and attorneys’ fees.” Id.
In 2000, the plaintiff, frustrated that he still had not been promoted to the GS-15 level, sought additional relief in this Court. Id. ¶ 13; see generally Complaint (“Compl.”), Porter v. U.S. Agency for Int’l Dev. (“Porter I”), Civ. No. 00-1954 (D.D.C. Aug. 11, 2000); First Amended Complaint (“Am. Compl.”), Porter I (D.D.C. May 2, 2001). On June 5, 2002, a jury in that case found for the plaintiff on two of the six counts of his amended complaint, specifically finding that the defendant had engaged in “retaliation in connection with the [djefendant’s decision[s] not to select [the plaintiff]” for two positions for which he applied in 1998. Jury Verdict at 2, Porter I (D.D.C. June 5, 2002). The plaintiff requested and the Court entered a judgment in his favor, which, among other things, forbid the Agency from engaging in any further retaliation against the plaintiff. Judgment at 2, Porter I (D.D.C. Feb. 3, 2003); Memorandum & Order at 1-2, Porter I (D.D.C. Feb. 3, 2003).
After receiving the partially favorable jury verdict in Porter I and the issuances of an accompanying order from the Court which forbid the Agency from retaliating against him, on June 24, 2003, in post-trial proceedings, the plaintiff filed a motion requesting that the Agency show cause why it should not be found in violation of the Court’s 2003 order enjoining the Agency from retaliating against him based on what the plaintiff characterized as “two adverse employment actions.” Plaintiffs Memorandum in Support of His Motion for an Order to Show Cause Why Defendant Should Not be Held in Contempt and Authorizing Plaintiff to Take Discovery (“PL’s Show Cause Mem.”) at 2, Porter I (D.D.C. June 24, 2003). Namely, that the plaintiff claimed that the Agency’s decision not to grant him a 2001 performance bonus and his receipt of a “Needs Improvement” assessment for his 2002 performance amounted to retaliation. Id. While the Court granted the motion to the extent that it compelled the Agency to respond, Order, Porter I (D.D.C. June 27, 2003), after reviewing the evidentiary support offered by both parties, the Court discharged the show cause order on the merits and denied the plaintiffs request to conduct discovery with regards to the two purported adverse employment actions, Order ¶ 2, Porter I (D.D.C. Nov. 25, 2003); see also Order at 1, Porter I (D.D.C. May 25, 2005).
*211 Meanwhile, throughout the pendency of Porter I, the plaintiff continued to apply for GS-15 grade level positions for which he was not selected by the Agency. Second Am. Compl. ¶¶ 15-22. He now challenges those actions of the Agency alleging that he was denied the promotions for discriminatory and retaliatory reasons. Specifically, the plaintiff contends that several days after he initiated Porter I, he applied for a Supervisory Labor Relations Specialist position at the GS-15 grade level. Id. ¶ 15. And in 2001, while Porter I was still pending, the plaintiff also applied for an Administrative Officer position at the GS-15 grade level, id. ¶ 18, as well as a Deputy Chief position in the Personnel Operations Division at the GS-15 grade level, id. ¶ 21. In each case, the Agency did not select the plaintiff for the positions. Id. ¶¶ 15-22.
On August 24, 2004, the plaintiff instituted this action under Title VII alleging that, with respect to these non-selections, as well as other employment actions, the Agency engaged in discriminatory employment practices because of the plaintiffs race and gender, and retaliatory employment practices due to the plaintiffs participation in a protected activity, i e., his 2001 lawsuit against the defendant and related EEO complaints. See Compl. ¶1¶ 22-30; see also Second Am. Compl. ¶¶ 29-63. In addition, the plaintiff asserts the following claims arising from four additional incidents of alleged discrimination and retaliation: (1) the denial of a performance bonus award for the work he performed in 2001, despite his overall rating of “Excellent,” 2 id. ¶ 24; (2) his supervisor’s “Needs Improvement” evaluation in February 2003, with respect to his 2002 job performance, id. ¶ 25; (3) the mid-year “borderline unacceptable” oral assessment he received with respect to his 2003 job performance, id. ¶ 27; and (4) his receipt of an interim “Unacceptable” assessment in September 2004, with respect to his 2004 job performance, id. ¶ 28.
On July 21, 2006, the defendant filed a motion for summary judgment pursuant to Federal Rule of Civil Procedure 56 stating that there are no genuine issues of material facts in this case, and the defendant is entitled to judgment as a matter of law. Def.’s Mot. at 1. Specifically, the defendant contends: (1) as to Counts I-VI of the second amended complaint, 3 which challenge the Agency’s promotion decisions, each claim should be dismissed because the individuals selected were more qualified for the positions than was the plaintiff, Memorandum of Points and Authorities in Support of Defendant’s Motion for Summary Judgment (“Def.’s Mem.”) at 2; (2) Counts III, IV, VII, IX, and X should be dismissed because the plaintiff failed to exhaust his administrative remedies as to these claims, id. at 2, 4, 7-9, 22-24; (3) Counts VII-XIV, which challenge the Agency’s “denial of a bonus award and certain performance appraisals,” should be dismissed because they are “unmeritori *212 ous,” and allege “nothing more than personality disputes, complaints about management style or the normal trials and tribulations of any workplace,” id. at 2; and (4) Counts VII-XIV are barred by res judicata, id. at 3-4.
In response, the plaintiff contends that summary judgment is improper because: (1) as to each claim he has made out a prima facie case that the defendant’s actions amounted to unlawful discrimination or retaliation based on his race or gender, or in response to his prior protected activity, and any non-discriminatory or non-retaliatory reasons offered by the Agency for its decisions not to select him are merely pretextual, Pl.’s Opp’n at 14, 16, 22, 26, 33, 54; (2) the existence of genuine issues of material fact regarding whether his performance rating was an adverse employment action precludes summary judgment, id. at 31; (3) the acts alleged in his Counts VII-XIV relate to events that occurred after the verdict in Porter I was rendered and therefore are not barred by res judicata as they “were not pled, litigated or adjudicated” in Porter I, id. at 14; and (4) he has exhausted his administrative remedies with respect to Counts III, IV, and X, 4 id. at 52, 68.
II. STANDARD OF REVIEW
To grant a motion for summary judgment under Rule 56(c), this Court must find that “the pleadings, the discovery and disclosure materials on file, and any affidavits show that there is no genuine issue as to any material fact and that the movant is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56(c). When ruling on a motion for summary judgment, the Court must view the evidence in the light most favorable to the non-moving party.
Bayer v. U.S. Dep’t of Treasury,
III. LEGAL ANALYSIS
A. Exhaustion of Administrative Remedies
A plaintiff who fails to exhaust the administrative remedies available to him in pursing a claim of discrimination or
*213
retaliation, and who is not otherwise excused from doing so, may not seek relief from a United States district court on those claims under Title VII.
Brown v. Gen. Servs. Admin.,
As to Counts III and IV, which relate to the plaintiffs claims concerning the Agency’s selection of an Administrative Officer in its Global Bureau in May 2001, the defendant maintains that the plaintiff “first contacted the [AJgency concerning the Global Position selection on June 13, 2001,” a date which exceeded the forty-five day window within which he had to file a timely administrative complaint. Def.’s Mem. at 9. In support of its argument, the defendant contends that the forty-five day period commenced on April 25, 2001. Id. The plaintiffs second amended complaint, however, states that the alleged discrimination asserted in Counts III and IV occurred in “May 2001,” Second Am. Compl. ¶ 18, and the plaintiffs statement of undisputed material facts clarifies that it was specifically on May 28, 2001, when the Agency selected another candidate for the Administrative Officer position, Plaintiffs Rule 7.1(h) Statement in Response to Defendant’s Statement of Undisputed Material Facts (“Pl.’s Facts Statement”) ¶ 186. Thus, the plaintiff contends that his administrative claim was filed timely.
The question, therefore, is whether April 25, 2001, or May 28, 2001, was the date when the 45-day time period began to run. The plaintiff argues that although the Administrative Officer position at issue was classified as GS-15 on April 25, 2001, PL’s Facts Statement ¶ 185, it was the awarding of that position to another candidate, and thus the denial of the position to the plaintiff on May 28, 2001, that amounted to discrimination and retaliation about which he is complaining, Second Am. Compl. ¶¶ 35, 38. Because the Court must consider the facts in the light most favorable to the plaintiff, and the plaintiff contends that May 28, 2001, is the operative date when the forty-five day time period commenced, the Court finds that the plaintiffs June 13, 2001 administrative complaint was filed within the required time frame, and that the plaintiff has therefore exhausted his administrative remedies with respect to Counts III and IV.
As to Count X, which concerns the plaintiffs challenge to his 2002 “Needs *214 Improvement” performance assessment, the defendant contends that while the plaintiff initially suspected that he was the subject of retaliation in early 2002, he did not file an administrative complaint until October 4, 2002. Def.’s Mem. at 23. The plaintiff seemingly contends that “[o]n February 21, 2003, the Agency discriminated against [him]” when it provided him with the 2002 “Needs Improvement” performance evaluation. Second Am. Compl. ¶ 25. This evaluation was rendered after the plaintiff filed his November 2002 EEO complaint against the Agency based on his supervisor’s refusal to award him a bonus. Pl.’s Facts Statement ¶ 70. Therefore, while that EEO complaint did not contest his 2002 “Needs Improvement” performance rating, Pl.’s Facts Statement, Exhibit (“Ex.”) 32 (Individual Complaint Form for Employment Discrimination) at 2, the plaintiff maintains that “in early March 2003, [he] contacted an EEO counselor regarding [his] claim [concerning his 2002 ‘Needs Improvement’ performance rating]” and sought to amend the November 2002 complaint to include that allegation, Pl.’s Opp’n at 52; Pl.’s Facts Statement, Ex. 49 (E-mail from Melvin Porter to David Grim (Mar. 10, 2003)). Specifically, the plaintiff states that “[o]n March 10, 2003, [he] e-mailed an EEO Counselor, asking that his challenge to the 2002 Needs Improvement Assessment be added to his challenge of the bonus denial, which had been pending since October 2002[sic].” Pl.’s Opp’n at 52. In addition, the plaintiff maintains that the questionnaire provided to the plaintiffs supervisor regarding the plaintiffs November 22, 2002 administrative complaint included questions concerning his 2002 Needs Improvement Assessment. Pl.’s Facts Statement, Ex. 50 (Affidavit of Barbara Turner) at 1. Therefore, in reading the facts in the light most favorable to the plaintiff, the Court must find that the plaintiff has not failed to exhaust his remedies with respect to his 2002 Needs Improvement assessment, as alleged in Count X of his second amended complaint, because he constructively amended his November 2002 EEO complaint to include a claim with respect to the 2002 assessment. 6
B. Res Judicata
“Res judicata
bars a claim when there has been a final judgment on the merits in a prior suit involving the same parties or their privies and the same cause of action.”
Polsby v. Thompson,
“The four factors that must exist for
res judicata
to apply are (1) an identity of parties in both suits; (2) a judgment rendered by a court of competent jurisdiction; (3) a final judgment on the merits; and (4) the same cause of action in both suits.”
Polsby,
The defendant contends that it is entitled to judgment as a matter of law on Counts VIII, X, XII, and XIV of the plaintiffs second amended complaint (ie. the plaintiffs retaliation claims with respect to his 2001 bonus, his 2002 year-end performance assessment, his 2003 mid-year performance assessment, and his 2004 interim performance assessment) because the allegations contained within these Counts were litigated in Porter I. 7 Def.’s Mem. at 21-22. The defendant maintains that the member of this Court who presided over Porter I rendered a final judgment on those matters in post-judgment proceedings. Id. The plaintiff responds that Porter I “did not encompass any of the claims asserted in this case,” and because the allegations of retaliation that he makes here “were not pled, litigated, or adjudicated by judge or jury in the earlier case,” res judicata does not bar him from bringing them in this action. Pl.’s Opp’n at 15. The Court agrees with the defendant as to Counts VIII and X, but disagrees that res judicata bars Counts XII and XIV.
Two preliminary matters are beyond dispute: the parties in this lawsuit are identical to those in
Porter I,
and this Court, a court of competent jurisdiction, presided in that litigation, which was resolved by a final judgment on the merits.
See, e.g., Porter I,
Without running afoul of the doctrine of
res judicata,
there is no question that the
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plaintiff may advance any retaliation claims which arose from events subsequent to the Court’s judgment in
Porter I,
so long as those claims were not covered by the factual allegations upon which the judgment was based.
See Joshi v. Prof'l Health Servs., Inc.,
Part of the relief that the plaintiff sought in
Porter I
included injunctive relief forbidding the Agency from retaliating against him. Judgment at 2,
Porter I
(D.D.C. Feb. 3, 2003); Memorandum at 1-2,
Porter I
(D.D.C. Feb. 3, 2003). The Court awarded the plaintiff this relief following a favorable jury verdict on two counts of his complaint. Judgment at 2,
Porter I
(D.D.C. Feb. 3, 2003). Seeking to enforce this injunctive relief, the plaintiff fully briefed and offered documentary evidence to support his allegations that the Agency retaliated against him when it denied him a 2001 performance bonus and gave him a “Needs Improvement” performance rating for 2002. Pl.’s Show Cause Mem. at 1-2,
Porter I
(D.D.C. June 24, 2003). The Agency opposed the motion and offered voluminous evidentiary support of its own position.
See
Defendant’s Response to Order to Show Cause at 1,
Porter I,
I find no evidence of contempt in the record before me. [The plaintiff] was not entitled to a performance award for 2001 when only 35% of those eligible were given such awards (and when 17 of 25 employees who had received “excellent” performance ratings did not receive awards). Nor was he entitled to an “excellent” performance rating in 2002, from a new supervisor, working in a changed organization, especially when he “actively and deliberatively avoided supervisory feedback.”
Memorandum & Order ¶ 2, Porter I (D.D.C. Nov. 25, 2003). In a second order, which addressed the plaintiffs request for permission to conduct discovery regarding the alleged retaliation, the same member of this Court reiterated:
The most startling assertion of the motion — that “Barbara Turner has brazenly approached Agency employees in an attempt to obtain information that Ms. Turner could — as described in her own words — ‘use against’ Mr. Porter,” ... turns out to be supported only by Mr. Porter’s declaration about something said to him about something Ms. Turner *217 allegedly said nearly two years ago. What Mr. Porter calls “fresh evidence of the Agency’s retaliatory motivations and actions,” ... is also uncorroborated hearsay ... The injunction [prohibiting the Agency from retaliating against the plaintiff] does not make [the plaintiffs] position a sinecure, or guarantee that he will receive superior performance evaluations or promotions, or forbid anyone to say anything negative about him.
Order at 1-2, Porter I (D.D.C. May 25, 2005).
Therefore, after having reviewed the record and the docket entries of the previous lawsuit brought by this plaintiff, this Court is convinced that the plaintiff received the equivalent of a final judgment on the merits of his retaliation claims concerning the 2001 bonus and his 2002 performance review. The record in Porter I reflects that the parties fully briefed and provided evidentiary support on the issue of whether those acts constituted retaliation, and a member of this Court weighed the factual evidence proffered and rendered a judgment on the merits of those matters. The plaintiff having been afforded the opportunity to litigate his retaliations claims as to the 2001 bonus and 2002 performance evaluation on the merits in his 2000 lawsuit against the defendant, and having received the equivalent of a final judgment on the merits rendered by a court of competent jurisdiction on these same claims he seeks to pursue in this case, the Court finds that Counts VIII and X are barred by the doctrine of res judicata. 8 However, because the plaintiff has not yet had the opportunity to pursue his claims of retaliation as to the later performance assessments — his 2003 mid-year performance assessment as alleged in Count XII, and his 2004 interim performance assessment as alleged in Count XIV — the Court cannot find that those claims are barred by res judicata.
C. Discrimination Based on Race and Gender
Title VII provides that “personnel actions affecting employees ... in executive agencies ... shall be made free from any discrimination based on race ... [or] sex.” 42 U.S.C. § 2000e-16(a). It also provides:
It shall be an unlawful employment practice for an employer to discriminate against any of his employees ... because [the employee] has opposed any practice made an unlawful employment practice by this subchapter, or because he has made a charge, testified, assisted, or participated in any manner in an investigation, proceeding, or hearing under this subchapter.
42 U.S.C. § 2000e-3(a).
Title VII is not absolute, however. The Supreme Court has stated:
Congress did not intend by Title VII, however, to guarantee a job to every person regardless of qualifications. In short, the Act does not command that any person be hired simply because he was formerly the subject of discrimination, or because he is a member of a minority group. Discriminatory preference for any group, minority or majority, is precisely and only what Congress has proscribed.
McDonnell Douglas Corp. v. Green,
Where, as here, the plaintiff has not proffered any direct evidence of intentional discrimination, his Title VII race and gender discrimination claims under Title VII are evaluated under the burden-shifting framework first articulated in
McDonnell Douglas.
9
(i) that he belongs to a racial minority; (ii) that he applied and was qualified for a job for which the employer was seeking applicants; (iii) that, despite his qualifications, he was rejected; and (iv) that, after his rejection, the position remained open and the employer continued to seek applicants from persons of complainant’s qualifications.
Id. However, where the plaintiff, as here, claims that his federal employer failed to promote him, the McDonnell Douglas test has been modified to require that
to make out a prima facie ease the plaintiff must show that [he] belongs to a protected group, that [he] was qualified for and applied for a promotion, that [he] was considered for and denied the promotion, and that other employees of similar qualifications who were not members of the protected group were indeed promoted at the time the plaintiffs request for promotion was denied.
Bundy v. Jackson,
“If the plaintiff establishes a prima facie case of discrimination, the burden shifts to the defendant employer to produce evidence that the plaintiff was
*219
rejected, or someone else was preferred, for a legitimate, nondiscriminatory reason.”
Jackson v. Gonzales,
When making promotions decisions, an “employer has discretion to choose among equally qualified candidates, provided the decision is not based upon unlawful criteria.”
Tex. Dep’t of Cmty. Affairs v. Burdine,
Here, the plaintiff, an African-American male, alleges that the defendant committed three acts of discrimination: (1) “by denying him a promotion on the basis of his race to the position of GS-15 Supervisory Labor Relations Specialist,” Second Am. Compl. ¶ 30 (Count I); (2) “by denying him a promotion on the basis of his race to the position of GS-15 Administrative Officer within the Agency’s Global Bureau,” id. ¶ 35 (Count III); and (3) “by denying him a promotion on the basis of his gender ... to the position of GS-15 Deputy Chief within the Agency’s Personnel Operations Division,” id. ¶ 40 (Count V, as amended by the plaintiffs consent to partial summary judgment, see PL’s Opp’n at 2). The Court will address each non-selection in turn.
1. The Supervisory Labor Relations Specialist Position
In Count I of his second amended complaint, the plaintiff alleges several days after he initiated Porter I, he applied for a GS-15 grade level Supervisory Labor Relations Specialist position. Second Am. Compl. ¶ 15. The plaintiff was not interviewed for the position, and he maintains that the Agency discriminated against him when it filled the position with another candidate, a Caucasian male, who the plaintiff alleges was not as qualified as he was for the position. Id. ¶¶ 16-17. The plaintiff maintains that when the selection decision was made he had more “management experience,” “extensive supervisory training,” and more experience working within the Agency than did the successful candidate. Id. ¶ 17.
The defendant contends that the plaintiff cannot maintain a Title VII discrimination claim as to the Supervisory Labor Relations Specialist position because he cannot demonstrate that he was better qualified for the position that required “Knowledge of the laws, regulations, theories, principles, practices, and techniques of employee and labor relations,” “discussions and negotiations with unions,” and *220 “represent[ation of] the Agency in negotiations and before administrative tribunals and to draft legal documents,” skills possessed by the attorney who was ultimately selected. Def.’s Mem. at 14-15 (internal quotation marks omitted); see also Pl.’s Facts Statement, Ex. 61 (U.S. Agency for International Development Vacancy Announcement (“Supervisory Labor Relations Specialist Vacancy Announcement”)) at 1. The defendant therefore maintains that the successful candidate was “significantly better qualified than [the plaintiff]” because the plaintiff, while experienced within the Agency and possessing supervisory experience, “was involved with negotiating only one contract or agreement during his career,” “wrote only one appeal, ... ha[d] never written a final agency decision during his career” or “an agency-level Foreign Service decision,” and had never “appeared before the Foreign Service Grievance Board,” all which were relevant qualifications for the position and expected tasks of the person selected for the position. Def.’s Mem. at 15-16.
As to his claim of racial discrimination related to the Supervisory Labor Relations Specialist position, the plaintiff has established “that [he] belongs to a protected group, [a racial minority,] that [he] ... applied for a promotion, ... and that [another] employee[ ] of similar qualifications who w[as] not [a] member[] of the protected group w[as] indeed promoted at the time the plaintiffs request for promotion was denied.”
Bundy,
It is questionable whether the plaintiff has shown that he was qualified for the position. While the plaintiff has an extensive professional background, including supervisory experience and educational training in business administration, PL’s Facts Statement, Ex. 2 (Resume of Melvin C. Porter), which are some of the qualifications that the Agency desired for the Supervisory Labor Relations Specialist position, and while the position did not require that the candidate have a law degree, PL’s Facts Statement, Ex. 61 (Supervisory Labor Relations Specialist Vacancy Announcement), many of the job functions of the position identified in the vacancy announcement involve law related tasks, skills which the plaintiff had little or no experience performing,
id.
However, despite the fact that the job description sought a candidate with some skills the plaintiff did not possess, the Court is sensitive to the minimal threshold a plaintiff must satisfy to establish a
prima facie
case of discrimination, and will therefore assume that the plaintiff has met that threshold.
Burdine,
The plaintiff having established his prima facie case, the Court must consider next the Agency’s proffered reason why it hired a Caucasian candidate rather than the plaintiff. The Agency asserts that it made its selection because the se-lectee was an attorney who “had practiced law for approximately ten years prior to his selection for the [position],” held a law degree from a prestigious law school, Def.’s Mem. at 15, and had experience performing legally related functions required of the position, see Pl.’s Facts Statement, Ex. 61 (Supervisory Labor Relations Specialist Vacancy Announcement). As to why the Agency did not select the plaintiff, it asserts that the plaintiff did not have a legal degree, had drafted only one appeal, never prepared a final agency decision during his career or wrote an agency-level Foreign Service decision, and had *221 never represented the Agency before the Foreign Service Grievance Board, all tasks which he would be required to do if he had been selected for the position. Def.’s Mem. at 15-16. In short, the Agency represents that it hired the other candidate because he had more experience doing the type of work called for by the position. Id. The Court finds this explanation qualifies as a lawful, nondiscriminatory rationale for the Agency’s decision not to select the plaintiff.
The burden therefore shifts back to the plaintiff to demonstrate that the Agency’s rationale for its decision was a mere pretext, concealing a true discriminatory motive,
Jackson,
The plaintiff also argues that the Agency’s selecting official, Marilyn Marton, “ex
*222
ercised her unlawful animus towards” him through his non-selection. Pl.’s Opp’n at 54-55. Yet, the plaintiff offers no evidence from which the Court can find that his claim can survive summary judgment on that basis. Specifically, the plaintiff has not shown how it can be inferred that his race played any role in the Agency’s decision. Simply, the plaintiff has shown nothing more than when the Agency made its selection for the Supervisory Labor Relations position that it exercised its “discretion to choose among [presumably] equally qualified candidates,” which it is lawfully permitted to do.
Burdine,
2. The Administrative Officer Position
In Count III of his second amended complaint, the plaintiff alleges that in 2001, while Porter I was still pending, the Agency laterally transferred a Caucasian into the role of a GS-15 grade level Administrative Officer, a position for which the plaintiff alleges that he was more qualified. Second Am. Compl. ¶¶ 18-20. The Agency did not open the position to competition, id. ¶ 19, and the plaintiff contends that because he never “ha[d][the] opportunity to express his interest in [that] position” or compete for it, although he was qualified, that the lateral transfer was “illicit” and amounted to racial discrimination against him. PL’s Opp’n at 63.
The Agency maintains that it made the transfer because the individual who was reassigned was “ ‘absolutely outstanding’ ” based on “ ‘the quality of his thinking, how articulate he was, how broad based [he was] in his thinking, ... [as a] teacher and mentor ... to the staff,’ ” and he had a “long and distinguished career in the personnel field,” including his publications and “college-level teaching experience,” qualifications which the plaintiff did not possess. Def.’s Mem. at 13-14 (citation omitted).
As to proving his
prima facie
claim of racial discrimination with respect to the Administrative Officer position, the plaintiff has established that he is a member of a racial minority, a protected group, who desired a job that the Agency filled through the lateral transfer of another individual without utilizing the competitive process, which would have allowed him to compete for the position. While there is a question whether this position amounted to a “promotion” for the candidate selected for the position,
see Bundy,
The Court must next examine the Agency’s proffered rationale for why it made the selection decision it did. As noted, the Agency maintains that its transfer decision was based on the selectee’s “ ‘absolutely outstanding’ ” credentials, including a “long and distinguished career in the personnel field,” his publications, and “college-level teaching experience.” Def.’s Mem. at 13-14. The Agency also points to the fact that the transferee was already a grade level higher than the plaintiff when the transfer into the Administrative Officer position was made, making it a lateral transfer. Id. at 13. In essence, the Agen *223 cy argues that no one was denied a promotion. The Court finds that the Agency’s explanation amounts to a legitimate, non-discriminatory rationale for its decision.
In response, the plaintiff represents he was better qualified for the position than the transferred candidate based on his “six (6) years of experience as an Administrative Officer at the GS-14 grade level,” Second Am. Compl. ¶ 20, and “the GS-15 Administrative Officer position was a natural progression for a veteran GS-14 Administrative Officer such as [he was],” Pl.’s Opp’n at 65. These unsupported self-serving allegations alone are insufficient to carry the plaintiffs burden of showing that the Agency’s decision was a pretext for racial discrimination. The transferred candidate had served at GS-15 grade level for longer than the plaintiff had even been assigned to the Global Bureau. Def.’s Mem. at 13 (citing Second Am. Compl. ¶ 20). The plaintiffs greater experience serving as an Administrative Officer at a lower grade level than the transferred candidate is inadequate to demonstrate that the Agency concealed its true motive of making its decision not to open the position up to a competitive selection process based on the racial animus against him. The Agency was permitted to laterally transfer an employee pursuant to its internal policy 11 and the plaintiff has failed to produce any evidence to disturb the apparent propriety of that decision.
Accordingly, because the plaintiff has not rebutted the Agency’s proffered legitimate, non-discriminatory reason for its decision based on the evidence in the record, the Court must award summary judgment to the defendant on Count III of the amended complaint.
3. The Deputy Chief Position
In the remaining portion of the plaintiffs second amended complaint, which addresses a position for which the plaintiff was not selected (Count V), 12 he alleges that in 2001, while Porter I was still pending, he was an unsuccessful candidate for a GS-15 grade level Deputy Chief position in the Personnel Operations Division. Second Am. Compl. ¶ 21. Here, the plaintiff contends that he was not selected because the Agency discriminated against him based on his gender and chose an allegedly unqualified African-American female instead. Id. The plaintiff alleges that not only was he more qualified than the selectee, but that the individual selected did not possess the minimum qualifications for the position, ie., a bachelor’s degree. Pl.’s Opp’n at 61. He alleges that his supervisor, who did not select him earlier for the Supervisory Labor Relations Specialist position and had demonstrated “unlawful animus” against him, id. at 55, “in *224 fluenced” the selection decision for the Deputy Chief position, id. at 60.
The Agency contends that the plaintiff cannot maintain a Title VII discrimination claim as to the Deputy Chief position because the candidate hired was better qualified due to her “knowledge, skills, ... abilities,” and “leadership abilities.” Def.’s Mem. at 17-19. The Agency maintains that the candidate who was selected for the position had “over 84 years of experience in human resource management,” had been “acting in a position very similar to the [Deputy Chief] position at issue,” supervised three-to-four times the number of employees that the plaintiff supervised at any given time, was the plaintiffs supervisor for up to two years, and “ ‘demonstrated broader knowledge in both civil service and foreign service personnel operations and related rules, regulations and procedures which is critical to the functioning of the position’ ” than did the plaintiff during the interviews for the position. Id. at 18-19 (citation omitted). The Agency further contends that because “[it] applied the same standards to each applicant, using the same interview panel and questions,” it was “unlikely” than any discrimination occurred. Id. at 19.
As to this gender discrimination claim, the plaintiff again has the initial burden of proving by a preponderance of the evidence a
prima facie
case of discrimination. Concerning this burden, the plaintiff has established that he applied for a promotion for which he was not selected. Pl.’s Opp’n at 60. Yet, in this case, more is required. Where a male plaintiff claims gender discrimination, the traditional
McDonnell Douglas
test is applied differently because “ ‘there is nothing inherently suspicious’ ” about an employer’s decision to promote a qualified minority applicant, in this cáse, a woman.
Mastro v. Potomac Elec. Power Co.,
*225
Regarding the plaintiffs attempt to rebut the Agency’s explanation for its selection decision, the only aspects of the plaintiffs candidacy that he identifies as exceeding those of the selectee include his educational credentials and two years of “classification experience.” Pl.’s Opp’n at 61. Indeed, the plaintiff makes a great fuss over the fact that the selectee does not have a college degree, whereas he holds three degrees.
Id.
The plaintiff points out, and it is uncontested, that the job description for the Deputy Chief position states, under the category of education, that a “B.A./B.S. in personnel management, business administration or international business management is required!,] [and a] M.A./M.S. is desired.” Def.’s Mem., Ex. 32 (Position Description) at 6;
see
Pl.’s Opp’n at 61. The plaintiff glosses over the fact that, by the plain text of the description,
neither
he nor the hired candidate fulfills this criterion. While the plaintiff holds two “desired” master’s degrees, his bachelor’s degree was in
political science,
Pl.’s Facts Statement, Ex. 2 (Resume of Melvin C. Porter) at 1 (emphasis added), not “personnel management, business administration or international business management,” Def.’s Mem., Ex. 32. Therefore, the Court finds that the plaintiff merely exceeded the hired candidate in an area where neither candidate satisfied one of the actual designated qualification factors. And, in the absence of any suggestion that the Agency rendered its selection decision based on impermissible discrimination and “given the dynamic nature of the hiring process,” this Court will not “second-guess how an employer weighs particular factors in the hiring decision.”
Jackson,
Here, where the Agency insists that the criterion of education and classification experience alone were not determinative of its ultimate selection decision, but rather it weighed the “relative qualifications of the candidates, ‘[this Court] must assume that a reasonable juror who might disagree with the employer’s decisions], but would find the question close, would not usually infer discrimination on the basis of a comparison of qualifications alone.’ ”
Jackson,
Despite the plaintiffs argument to the contrary, the question of the two candidates’ qualifications is close. Therefore, it does not appear that the plaintiff was “significantly better qualified for the job” than was the successful candidate, see id. at 707, or even actually better qualified. The plaintiff has not countered the Agency’s identification of numerous weaknesses in his own credentials, or cast doubt upon the proffered strengths of the successful candidate’s credentials. The Agency maintains that the African-American female who was selected “had, as of July 3, 2001, *226 over 34 years of experience in human resource management regarding the civil service rules and regulations,” Def.’s Mem. at 18, while the plaintiff had roughly half that level of experience, Second Am. Compl. ¶8. The Agency also maintains that the successful candidate had been with the Agency longer than the plaintiff, had experience “acting in a position very similar to the ... deputy position at issue in this case” for over a decade, had supervised up to twenty-five employees as compared to the plaintiffs supervision of nine employees, and, in fact, had been the plaintiffs supervisor for almost two years. Def.’s Mem. at 18-19. Moreover, the Agency represents that “[during the successful candidate’s] tenure at [the Agency], [her] various positions ... included [four years as] Chief of the Staffing Branch ... and [three years as a] Senior Policy Analyst.” Id. at 18. In comparison, during his tenure with the Agency, and prior to his current Administrative Officer position, the plaintiff had been a Supervisory Personnel Management Specialist for three years, a non-consecutive tenure of approximately two years as the Deputy Chief of the Recruitment Division, and Acting Chief of the Recruitment Division for ten months. Pl.’s Facts Statement, Ex. 2 (Resume of Melvin C. Porter) at 2. On this record, the plaintiff has not demonstrated a marked difference between his and the successful candidate’s supervisory and management experience.
Further, the Agency states that the successful candidate had “developed personnel-related policies” in several areas, and “performed better in the interview than [the plaintiff] because her responses to questions ‘demonstrated broader knowledge in both civil service and foreign service personnel operations and related rules, regulations and procedures which is critical to the function of the position [for which she was ultimately selected].’ ” Def.’s Mem. at 18 (citation omitted). The Agency adds, and the plaintiff has not shown otherwise, that all the candidates for the Deputy Chief position were held to “the same standards ... using the same interview panel and questions,” and the candidate ultimately selected was chosen based on “her skills and abilities, her outstanding performance, her unparalleled institutional knowledge, and because, unlike [the plaintiff], she had held a similar position before and more recently had been acting in the position on a temporary basis.”
Id.
at 19. Indeed, the sum total of the evidence that the plaintiff has offered in his attempt to rebut the Agency’s representations concerning why he was not selected are the three degrees he has acquired, whereas the successful candidate had no degree, and his two “years of position classification experience, [while the person selected had none,] ... [noting that he had] served as Chief of the Classification Branch for [another government agency,] the Small Business Administration^]” roughly fifteen years earlier. Pl.’s Opp’n at 61; PL’s Facts Statement, Ex. 2 (Resume of Melvin C. Porter) at 3. The Court must decline to second-guess the Agency’s business decisions upon a record such as the one before it,
see, e.g., Stewart v. Ashcroft,
Similarly, the Court cannot find that the Agency’s rationale for its selection decision was a mere pretext for its true motive of gender discrimination. The plaintiffs con-clusory allegations to the contrary are alone simply too tenuous to raise a genuine issue of material fact that must be presented to a jury. Accordingly, the Court must *227 award summary judgment to the Agency on the gender discrimination aspect of Count V of the plaintiffs second amended complaint.
D. Retaliation
Just as with claims for illegal discrimination, the Court must employ the
McDonnell Douglas
burden-shifting test to the plaintiffs claims for retaliation.
Vickers,
Further, for an act of alleged retaliation to be actionable, it must be an act that would “ ‘dissuade[ ] a reasonable worker from making or supporting a charge of discrimination.’ ”
Burlington N. & Santa Fe Ry. Co. v. White,
Just as with the application of the
McDonnell Douglas
test to discrimination claims based on race and gender, once the plaintiff has made this
prima facie
showing of prohibited retaliation, the Agency must then proffer “some legitimate, nondiscriminatory
[i.e.,
non-retaliatory] reason’ for its actions.”
Vickers,
The plaintiff has asserted five counts of retaliation that remain unresolved. 13 These claims include his assertions that the defendant unlawfully retaliated against him (1) by “denying [him a] promotion to *228 the position of GS-15 Supervisory Labor Relations Specialist,” Second Am. Compl. ¶33 (Count II); (2) by “denying [him a] promotion to the position of GS-15 Administrative Officer within the Agency’s Global Bureau,” id. ¶ 38 (Count IV); (3) by “denying [him a] promotion to the position of GS-15 Deputy Chief within the Agency’s Personnel Operations Division,” id. ¶43 (Count VI); (4) by “issuing [him] an adverse [mid-year] performance assessment in July 2003,” id. ¶ 58 (Count XII); and (5) by “issuing [him] an adverse interim performance assessment in September 2004,” id. ¶ 63 (Count XIV). The plaintiff alleges that the statutorily protected activity that preceded his retaliation claims was his first Title VII lawsuit, Porter I, Pl.’s Opp’n at 4-5, as well as his “numerous administrative grievances and EEO claims against the Agency” that preceded the filing of that lawsuit, Second Am. Compl. ¶¶ 32, 37, 42, 57, 62, and his EEO complaint filed after the resolution of his lawsuit in November 2002, Pl.’s Opp’n at 32.
1. The Supervisory Labor Relations Specialist Position
In Count II of his second amended complaint, the plaintiff alleges that on August 29, 2000, the Agency retaliated against him because of his prior protected activity, the initiation of Porter I earlier that month, when it laterally transferred a Caucasian into the position of Supervisory Labor Relations Specialist. Pl.’s Opp’n at 11. The plaintiff contends that the “temporal proximity” of his non-selection with the initiation of his lawsuit, both within the same month, raises a genuine issue of material fact as to this retaliation claim, precluding summary judgment for the defendant. Id. at 55-56.
The Agency responds that the plaintiff cannot maintain this claim for retaliation because its selection decision was made for a legitimate, non-retaliatory reason — because the successful candidate’s skills were more commensurate with the position than were the plaintiffs. Def.’s Mem. at 14-15. In addition, the Agency maintains that because it held all candidates to the same standards, any retaliation in the selection process was “unlikely,” as all candidates were impacted by the weight it attributed to the various skills in the same manner. Id. at 16. The Agency also points to the fact that it revisited the vacancy announcement prior to the plaintiff having expressed any interest in that position, so its revision of that announcement is immaterial and does not warrant any inference that the Agency acted with any specific animus toward the plaintiff. Id. at 17.
The plaintiff rejoins that the Agency’s actions demonstrate its pretexual motives because “[he] was markedly better qualified than [the successful candidate] for the Supervisory Labor Relations position,” PL’s Opp’n at 58, and “the Agency violated established policies and proeedures[ ] to the benefit of [that candidate] and the detriment of [the plaintiff]” by deempha-sizing supervisory skills when it revised the vacancy announcement, id. at 56. Specifically, the plaintiff contends that the Agency deliberately revised the job description for the position to exclude someone with his qualifications, and that “[a] factfinder could conclude that supervisory experience was not reflected” in the job description “to the detriment of [the plaintiff] who had vast supervisory experience.” 14 Id. at 56-58. The plaintiff also *229 maintains that the Agency “deliberately sought only non-status employees in order to avoid selecting [the plaintiff].” Id. at 58.
Mindful of the fact that the
prima facie
showing of retaliation is not meant to be an “onerous” one,
Burdine,
In addressing the plaintiffs discrimination claim with respect to this position, the Court has already set forth what it deems to be the Agency’s legitimate, non-retaliatory rationale for its selection of the successful Caucasian candidate for this position — the successful candidate had better tailored qualifications for the position.
See
Def.’s Mem. at 15-16. Specifically, the Agency states that it made its selection because the successful candidate was an attorney who “had practiced law for approximately ten years prior to his selection for the [position],” held a law degree from a prestigious law school,
id.
at 15, and had experience performing the legally related functions that comprise the duties of the position,
see
PL’s Facts Statement, Ex. 61 (Supervisory Labor Relations Specialist Vacancy Notice) at 1. On the other hand, the Agency maintains that the plaintiff did not have a legal degree, had drafted only one appeal, never prepared a final agency decision during his career or drafted an agency-level Foreign Service decision, and had never represented the Agency before the Foreign Service Grievance Board, all tasks which he would be required to perform if he had been selected for the position. Def.’s Mem. at 15-16. Although the successful candidate may have had less supervisory experience and tenure at the Agency than the plaintiff, the Agency deemed those factors to be less important.
Id.
Based on the Agency’s proffered reason for the plaintiffs non-selection, the burden shifts back to the plaintiff to show why the that reason was false and amounted to an attempt by the Agency to conceal its true retaliatory motivation.
Weber,
The plaintiff has failed to meet this burden, having neglected to show how the Agency’s proffered reason for its decision was falsely offered, and that it was designed to cloak its true retaliatory motive. Temporal proximity of the Agency’s selection decision and the plaintiffs earlier lawsuit, while it supports the finding of a
prima facie
case, is not, without more, proof enough to show that the Agency acted with retaliatory intent.
See Patterson v. Johnson,
The plaintiff has also put forth no evidence to cause the Court to question the Agency’s contention that all candidates for the position were considered on the same basis as the plaintiff, see Def.’s Mem. at 16, or that the explanation about the revised position description is designed to somehow conceal the true responsibilities of that position, which the plaintiff contends were primarily supervisory, Pl.’s Opp’n at 56-57. Finally, as already discussed above in addressing the plaintiffs discrimination claim as to the selection decision for the position, the plaintiff has offered insufficient evidence to demonstrate that he was significantly more qualified than the successful candidate. Therefore, because the plaintiff has ultimately failed to create a reasonable inference that the Agency’s rationale that the successful candidate was better qualified for the job masked its ulterior and nefarious retaliatory motive against the plaintiff, the Court must award summary judgment to the Agency on Count II of the second amended complaint.
2. The Administrative Officer Position
In Count IV of his second amended complaint, the plaintiff alleges that in May 2001, the Agency retaliated against him due to his participation in protected activity, again the litigation of Porter I, when it laterally transferred a Caucasian employee into the position of Administrative Officer. Pl.’s Opp’n at 11. The plaintiff alleges that the hiring official demonstrated “unlawful animus towards [him]” by laterally transferring the other employee who was already in a GS-15 grade level position, instead of opening the position to the competitive process for a position that was “a natural progression for a veteran GS-14 Administrative Officer such as [himself].” Pl.’s Opp’n at 62, 65.
The Agency contends that the plaintiff has not established his prima facie case and therefore cannot maintain a Title VII retaliation claim as to his non-selection for the Administrative Officer position because: (1) he cannot show that he was the victim of any adverse action considering that the Agency “had discretion to laterally transfer [the Caucasian employee] into any open position at the same grade level,” Def.’s Mem. at 10-11 & n. 3, Ex. 19 (ADS § 418.5.8(g) (2001)); (2) the plaintiff “was not eligible for that position as a lateral reassignment,” and, in fact, the Agency official who made the reassignment “did not consider any GS-14 employees^ the plaintiffs grade level at that time,] for the position,” Def.’s Mem. at 9; (3) the plaintiff “never expressed any interest in the position” when the lateral transfer was made, id.; (4) the plaintiffs argument that he would have been a competitive candidate for the position because his “qualifications do not make him so starkly better qualified than [the transferred candidate]” is based on nothing other than mere speculation, id. at 13; and (5) the plaintiff has not established causation because he challenges an employment decision that occurred prior to the Agency official’s awareness of the plaintiffs prior protected activity- — -the Porter I litigation, id. at 31-32; Reply to Plaintiffs Opposition to Defendant’s Motion for Summary *231 Judgment (“Def.’s Reply”) at 5-6. The Agency further contends that even if the plaintiff has established a prima facie case, it laterally transferred the individual selected because he was better suited for the Administrator Officer position, Def.’s Mem. at 13-14, and therefore the plaintiff cannot maintain this retaliation claim. 15
It is beyond dispute that the plaintiffs EEO activity and previous lawsuit alleging Title VII violations amount to statutorily protected activities, 42 U.S.C. § 2000e-3(a) (prohibiting discrimination against an employee because he “opposed any practice made an unlawful employment practice by this subchapter, or because he has made a charge, testified, assisted, or participated in any manner in an investigation, proceeding, or hearing under this subchapter”), and therefore the defendant challenges the plaintiffs ability to establish the remaining two elements of his prima facie case- — -that there was an adverse personnel action and causation. Def.’s Mem. at 9-11, 31-32. Because the Court is satisfied that causation is not the element that poses a barrier to the plaintiffs prima facie case, it will dispose first of that issue before discussing whether the Agency’s lateral transfer of another employee caused him to sustain an adverse personnel action.
In assessing whether the causation component of the plaintiffs
prima facie
case has been satisfied, evidence of the temporal proximity between purported protected activity and the challenged personnel action, as well as the Agency’s awareness of the plaintiffs protected activity, are relevant factors that should be considered by the Court.
See Clark County Sch. Dist.,
It is with the adverse employment action element of the plaintiffs
prima fade
case that difficulty for the plaintiff arises. First, the Agency’s decision not to utilize the competition process was authorized by the Agency’s internal policy.
16
See
Def.’s Mem., Ex. 19 (ADS § 418.5.8(g) (2001)). However, although authorized, such a decision could be actionable as an adverse employment action if it was “tantamount to refusing to promote [the plaintiff].”
Cones v. Shalala,
A second problem for the plaintiff is the requirement that to maintain this claim, the plaintiff must show that he did what he could to express interest in the position at the time the position was available.
Id.
at 518 (citing
EEOC v. Metal Serv. Co.,
Even assuming that the plaintiff has established a prima facie case, he still falls short of adequately rebutting the Agency’s legitimate, non-retaliatory reason for its lateral transfer decision. The Agency has explained that it non-competitively transferred an existing GS-15 grade level employee into the position based on its assessment of his “exceptional credentials and demonstrated excellence in his previous positions.” Def.’s Mem. at 14. For the reasons already articulated in the Court’s analysis of why the plaintiff cannot maintain a claim of racial discrimination with respect to his non-selection for this position, the plaintiff has similarly not established that the Agency’s transfer process was an improper pretext for retaliation. The plaintiffs contention that his six years experience in a similar position at the GS-14 grade level, which was a lower grade level than the level held by the transferred candidate, and that a promotion would have been “a natural progression” for his career, Pl.’s Opp’n at 65, rendered him more qualified than the person who was transferred, are inadequate for the Court to infer that the Agency’s implementation of an authorized lateral transfer was utilized for the purpose of retaliating against the plaintiff. Accordingly, the Court must grant summary judgment to the Agency on Count IV of the plaintiffs second amended complaint.
3. The Deputy Chief Position
In Count VI of his second amended complaint, the plaintiff alleges that in October 2001, the Agency retaliated against him for his participation in prior protected activity, again the litigation of *234 Porter I, when it selected an African-American female for the position of Deputy Chief during the pendency of the Porter I litigation. 19 Pl.’s Opp’n at 11. The plaintiff asserts that the defendant’s explanation for its selection decision is pretextual because the successful candidate was not qualified for the position since she did not have a .college degree, an expressed qualification for the position, id. at 61, while he held three degrees when the selection was made, PL’s Facts Statement, Ex. 2 (Resume of Melvin C. Porter). The Agency proffers that it selected the successful candidate based on her credentials, supervisory experience, and her “long and distinguished career at the [A]gency” and not for a retaliatory reason. Def.’s Mem. at 18. The Agency contends that “there is little or no evidence that the decision makers focused on, or even recognized th[e] fact” that the successful candidate did not have a college degree. Def.’s Reply at 10.
As a starting point for the Court’s analysis of the sustainability of this claim, it reiterates the finding made concerning the plaintiffs gender discrimination claim regarding this same position and likewise concludes that the plaintiff has satisfied his burden to establish a
prima facie
case of retaliation as to the Deputy Chief position. Namely, that the Agency hired a female for the position instead of the plaintiff, which was an adverse employment action, during the pendency of
Porter I,
which is a statutorily protected activity, one month after his supervisor was deposed in
Porter I,
which is sufficiently close in time to reasonably infer a causal connection between the two events.
Vickers,
Yet, as the Court explained with respect to the plaintiffs gender discrimination claim concerning the selection decision for the Deputy Chief position, neither the successful candidate nor the plaintiff met the express requirements outlined in the education section of the vacancy announcement for the position.
See
Def.’s Mem., Ex. 32 (Position Description). Moreover, the evidence does not establish that the Agency considered the candidates’ educational deficiencies in the final analysis, but rather focused on the nature of their experience and the quality of their performance while employed by the Agency as the factors that formed the basis for its selection decision. Def.’s Reply at 10-11. Thus, the legitimate, non-retaliatory explanation the Agency provided for its selection of the successful candidate was that she was better suited for the position.
Id.
In the absence of more persuasive evidence of retaliation in the record, the Court will not question the weight the Agency allocated to the various factors it considered or read an impermissible retaliatory motive into that decision.
Jackson,
4. The Plaintiffs 2003 Mid-Year Performance and 2004 Interim Performance Assessments 20
In Counts XII and XIV of the plaintiff’s second amended complaint, he challenges his 2003 mid-year performance assessment and his 2004 interim performance assessment respectively. Specifically, in Count XII, he alleges that the Agency retaliated against him by giving him a mid-year assessment in July 2003 of “borderline unacceptable” performance due to his prior protected activity, the Porter I litigation and his EEO activity. Pl.’s Opp’n at 9-10. The plaintiff contends that his supervisor’s rationale for this negative assessment of his performance was based on her false representation that the plaintiff “fail[ed] to complete work in a timely fashion.” Id. at 9-10, 48-50. The plaintiff alleges that the supervisor knew about the Porter I litigation, as well as his November 2002 EEO complaint, evidenced by the fact she submitted an affidavit and an addendum to this submission only several days prior to rendering her negative performance assessment. ' Id. at 32-33. In addition, the plaintiff alleges that the oral assessment was delivered to him in the presence of a senior manager, although the meeting should have included only the plaintiff and one supervisor. Id. at 10, 30.
Similarly, in Count XIV of his second amended complaint, the plaintiff alleges that in September 2004, the Agency retaliated against him for his participation in the identical prior protected activity when his supervisor provided him with a “Notice of Unacceptable Performance” (“Notice”), id. at 10, without offering, as he opines was also the case for the 2003 mid-year performance assessment, “a single legitimate business reason” for the evaluation, id. at 48. The plaintiff contends that the Notice “pertained to his ‘Executive Support’ work objective, and focused specifically on [the supervisor’s] allegations that [he] did not complete tasks in a timely fashion,” which he contends “were wholly without basis.” Id. at 48. The plaintiff also contends that “the Notice was accompanied by a Performance Improvement Plan, which entailed a concrete threat of demotion, termination, reassignment or withholding of within grade increases.” Id. at 11. As with his 2003 mid-year assessment, the plaintiff contends the Agency’s rationale for the negative 2004 interim assessment was without merit. Namely, he alleges that the Notice was “rife with misstatements of fact,” including allegations of non-existent “ ‘cost overruns’ ” and *236 unfounded criticism of his “role in the Agency award process,” which were “placed in [his] personnel file.” Id. at 10-11. The plaintiff alleges that the Notice “foreshadowed [his] ‘Needs Improvement’ final evaluation [he] received ... followed by a loss of a bonus.” Id. at 30-31. The plaintiff contends that both of these assessments amounted to adverse employment actions because they “ ‘well might’ dissuade a reasonable worker from making or supporting a charge of discrimination,” “render[ed][him] significantly more vulnerable to an involuntary demotion or separation from the Agency,” and resulted in him being “denied eligibility for a bonus and for a promotion.” Id. at 29-30.
The Agency responds that the plaintiff cannot maintain claims of retaliation based on his 2003 mid-year and 2004 interim assessments because “poor performance evaluations are generally not adverse employment actions for purposes of establishing a
prima facie
case of discrimination or retaliation where, as here, the ratingfs] do[] not affect an employee’s grade or salary or have other materially adverse consequences.” Def.’s Mem. at 26-27 (citing
Russell v. Principi,
As to the issue of causation, the plaintiff initiated
Porter I
in August 2000. Compl.,
Porter I
(D.D.C. Aug. 11, 2000). After a trial on the merits and some post-trial proceedings that were resolved adversely to the plaintiff, the District of Columbia Circuit rendered its decision on the plaintiffs appeal in
Porter I
on July 1, 2005, affirming the District Court judgment. Judgment,
Porter I
(D.C.Cir. July 1, 2005). As the Court discussed earlier in its analysis of whether the plaintiff could maintain his retaliation claim based on his non-selection for the Administrative Officer position, because the litigation in
Porter I
was still in progress when the plaintiff received the two mid-year and interim job performance assessments complained of here, the Court finds that the temporal proximity element of the plaintiffs
prima facie
case is satisfied.
See, e.g., Casole,
However, neither the plaintiffs 2003 mid-year nor his 2004 interim assessment is the type of personnel action that would objectively deter a reasonable employee from making a claim of discrimination,
Burlington,
On the other hand, the 2004 interim assessment was written and, according to the plaintiff, placed in his personnel file. Pl.’s Opp’n at 11. The plaintiff also contends that both his mid-year 2003 and interim 2004 assessments contributed to subsequent year-end assessments and further negative consequences. Pl.’s Opp’n at 10 (“[T]his [July 2003] rating, which is usually accompanied by a Performance Improvement Plan,
laid the foundation
for an
annual
‘Needs Improvement’ rating ... at the end of 2003.” (emphasis added));
id.
at 11 (“As foreshadowed by this [September 2004] Notice of Unacceptable Performance, Mr. Porter received a ‘Needs Improvement’
final
evaluation in 2004,
followed by
a loss of a bonus and continued ineligibility for a promotion.” (emphasis added)). Moreover, unlike his 2003 midyear oral assessment, the plaintiff claims his 2004 “Notice of Unacceptable Performance” coincided with “a Performance Improvement Plan, which entailed a concrete threat of demotion, termination, reassignment or withholding of within grade increases.” PL’s Opp’n at 11. Yet, as the Agency points out, “[t]he 2004 performance plan is not a part of the claims in this case,” Def.’s Reply at 14, and indeed, it is the actual assessment that the plaintiff now contests. And, assessments that contain “job-related constructive criticism, which ‘can prompt an employee to improve [the employee’s] performance’ ” are not actionable as adverse actions unless a plaintiff can show that they are linked “to financial harms;” meaning that the assessment “could affect [the employee’s] position, grade level, salary, or promotion opportunities.”
Baloch v. Kempthorne,
Specifically, the plaintiff has not shown how the mid-year and interim performance assessments could not have been remedied by improved performance that presumably would have averted any financial harm or other negative , employment consequences prior to his year-end evaluations.
See Russell,
The plaintiff also alleges that the presence of a second superior when his 2003 mid-year assessment was provided to him was improper and amounted to an adverse employment action. PL’s Opp’n at 10. However, the record is devoid of any internal “Agency policy,” id., or other such authority from which the Court could find that the presence of more than one of the plaintiffs superiors at a meeting to discuss his job performance was improper. And the Court fails to see how the simple presence of two supervisors, instead of one, somehow rendered the meeting anything other than “private.” Id. In any event, the presence of the additional supervisor did not amount to an adverse employment action. Thus, the Court must award summary judgment to the Agency on Counts XII and XIV of the plaintiffs second amended complaint.
IV. CONCLUSION
For all of the reasons set forth above, Counts VII, IX, XI, and XIII, as well as on the race discrimination claim asserted in Count V are dismissed with the plaintiffs consent. In addition, the Court must grant summary judgment to the Agency on the merits with respect to all of the remaining counts of the second amended complaint. 21
Notes
. The defendant filed a reply to the plaintiff's opposition, Reply to Plaintiff's Opposition to Defendant’s Motion for Summary Judgment (“Def.'s Reply”), which the Court has also considered in resolving this motion.
. The ratings scale ranks performances from one through five, with one representing "Unacceptable,'' two representing “Need Improvement,” three representing "Effective,” four representing "Excellent,” and five representing "Exceptional.” Second Am. Compl. ¶¶ 25, 28.
. The defendant contends that Counts I-VII of the plaintiff's Second Amended Complaint pertain to the Agency's promotion decisions and the remaining claims, Counts VIII-XIV, pertain to the Agency’s "alleged denial of a bonus award and certain performance appraisals.” Memorandum of Points and Authorities in Support of Defendant’s Motion for Summary Judgment ("Def.'s Mem.”) at 1-2. It appears, however, that Count VII asserts a Title VII claim against the Agency for allegedly "denying [the plaintiff] a performance bonus award,” Second Am. Compl. V 45, and should be grouped with the latter category of claims, not the former.
. The plaintiff does not contest the defendant’s motion for summary judgment as to Counts VII, IX, XI, and XIII, and the portion of Count V which alleges racial discrimination. Pl.'s Opp'n at 2. As the basis for why judgment is proper on these counts, the defendant argues that the plaintiff has failed to exhaust his administrative remedies as to these claims. Def.’s Mem. at 7-9, 22-24. Accordingly, the Court will dismiss these claims under Federal Rule of Civil Procedure 12(b)(6) as failing to state claims upon which relief can be granted.
See Fox v. Am. Airlines, Inc.,
. Based on the plaintiff’s concession to the grant of summary judgment on Counts VII, IX, XI, and XIII, as well as the portion of Count V, which alleges racial discrimination, note 4, supra, the Court will not address the defendant’s arguments regarding the plaintiff's alleged failure to exhaust his administrative remedies with respect to any of these Counts.
. In addition, based on the Agency's investigation of the plaintiff's complaints, Pl.’s Facts Statement, Ex. 50 (Affidavit of Barbara Turner) at 1, and in the absence of any evidence in the record that, in response to the plaintiff’s seeking to amend his November 2002 EEO complaint with the new information, the Agency rejected the plaintiff's amendment or informed him that the would need to file a new complaint, see Pl.’s Opp'n at 52; PL’s Facts Statement, Ex. 49 (E-mail from Melvin Porter to David Grim (Mar. 10, 2003)), the Court cannot find that the Agency can now credibly argue that the plaintiff’s failure to file a formal administrative complaint precludes him from litigating these matters. See Brown v. Marsh, 111 F.2d 8, 16 (D.C.Cir.1985) (finding the doctrine of equitable estop-pel prevented the defendant from arguing that the plaintiff's “failure to timely consult an EEO counselor” barred the plaintiff's Title VII suit because ”[t]he Army ... led [the plaintiff] to believe that it was considering and investigating his complaints from the outset of this matter").
. The Court takes judicial notice of the court record in
Porter I,
as well as those excerpts extracted from the parties' filings in that case.
See
Fed.R.Evid. 201 (b)-(c) ("A court may take judicial notice, whether requested or not” of any fact that is "not subject to reasonable dispute in that it is either (1) generally known within the territorial jurisdiction of the trial court or (2) capable of accurate and ready determination by resort to sources whose accuracy cannot reasonably be questioned.”);
see, e.g., Coleman v. Burnett,
. The plaintiff had his one bite of the apple as to these claims. The plaintiff’s only avenue for relief as to the Court’s discharge of his show cause motion was to appeal, just as the plaintiff appealed other post-judgment orders in his earlier case. See Notice of Appeal, Porter I (D.D.C. Feb. 10, 2004). The plaintiff does not get to re-assert his claims in a second lawsuit simply because he disagrees with the Court’s finding that those acts did not amount to retaliation.
. "Direct evidence of discrimination is evidence that, if believed by the fact finder, proves the particular fact in question
without any need for inference.
Such evidence includes any statement or written document showing a discriminatory
motive on its face.” Lemmons v. Georgetown Univ. Hosp.,
. The plaintiff makes a great deal about the title of the position, including the descriptive term "Supervisory,” which in the plaintiff's view indicates greater need for supervisory skills over other skills. PL’s Opp’n at 56. But, as the description for the position explains, the Agency was also looking for more than just a supervisor in filling the position, see PL’s Facts Statement, Ex. 61 (Supervisory Labor Relations Specialist Vacancy Announcement), as it was looking for someone to manage labor relations; the same rationale it gave for selecting the candidate it choose. Def.’s Mem. at 15-16. The Court therefore cannot find that the position's title was determinative of the type of skills that the Agency needed and gives rise to an inference of impropriety as the plaintiff urges.
. The Agency policy is called the Automated Directives System ("ADS”). Def.’s Mem. at 10 n. 3. In 2001, the ADS provided in pertinent part:
Competition under the Merit Promotion procedures is not required for the following actions:
g) Promotion, reassignment, demotion, transfer, reinstatement, or detail to a position having promotion potential no greater than the potential of a position an employee currently holds or previously held on a permanent basis in the competitive service (or in another merit system with which OPM has an approved interchange agreement and which the employee did not lose because of performance or conduct reasons ....)
Def.'s Mem., Ex. 19 (ADS § 418.5.8(g) (2001)).
. As the Court has already noted, the plaintiff does not contest the defendant’s motion for summary judgment as it relates to the portion of Count V, which alleges racial discrimination. PL's Opp’n at 2.
. As explained above, the principle of res judicata prohibits the plaintiff from relitigat-ing any allegations of retaliation based on the defendant’s denial of a performance award to the plaintiff in 2001 (Count VIII), and the defendant’s issuance of an allegedly adverse performance assessment with respect to the plaintiff’s job performance for 2002 (Count X).
. The plaintiff attempts to buttress his argument for why the successful candidate was less qualified by quoting union representatives not employed by the Agency who had views on the successful candidate’s qualifications. Pl.’s Opp'n at 59-60. This proffer is highly irrelevant, as the plaintiff has not explained how their post hoc opinions are in any way germane to this lawsuit. Moreover, *229 the plaintiff does not explain how the bulk of what these individuals indicate would be admissible under the Federal Rules of Evidence.
. While the Agency urges that because the transferred candidate also had engaged in “prior EEO activity," it is "highly unlikely" that the Agency would have singled out the plaintiff to retaliate against him for the plaintiff's participation in statutorily protected activity, Def.’s Mem. at 14, the transferred candidate's activity appears to have been in the nature of an administrative/investigative participant in an EEO matter, not as a complainant who had filed a grievance, see Def.'s Mem., Ex. 33 (Aug. 26, 2001 Affidavit of Tim Winchell). Considering that an administrative or investigative role in an EEO proceeding is in no way comparable to the filing of an EEO complaint and a subsequent lawsuit, the logical connection between the two situations is unclear, and the Court will not address the matter further.
. See note 11, supra.
. The plaintiff goes so far as to suggest that knowledge of his interest in advancement to the Administrative Officer position should be constructively imposed on the Agency because the selecting official should have known that he was interested in advancing beyond his pay grade level to any GS-15 position. PL’s Opp'n at 64-65. The plaintiff's position finds no support in existing precedent, nor should it be afforded legal significance. Acceptance
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of his position would logically lend itself to the proposition that the plaintiff had or will in the future have constructively expressed an interest in acquiring any GS-15 position filed by the Agency during his tenure as a GS-14 level employee merely because of his continuing advancement aspirations.
Cf. Morgan v. Fed. Home Loan Mortgage Corp.,
. The plaintiff testified in his deposition that "he recalled — from reading the Agency’s Report of Investigation — an e-mail in which an[other] employee had expressed interest in either a GS-14 or GS-15 Administrative Officer position,” and even knew that that person served in that role on a temporary basis, prior to the Agency’s decision to fill the position permanently through the lateral transfer at issue. PL’s Opp'n at 64. The plaintiff now maintains, however, that because there is no evidence that "any other employee expressed interest in the permanent GS-15 Administrative Officer position,” as opposed to the temporary position, that his claim should not be defeated by the fact that he did not express interest in the position when it was available. Id. (emphasis added). Absent evidence that the plaintiff expressed any interest in the position, the Court is hesitant to construe the Agency’s decision to laterally staff the position as grounds to relieve the plaintiff of his burden to demonstrate that he expressed an interest in acquiring the position. And the plaintiff never expressed an interest in the position until after the position was filled on a permanent basis, see Pl.’s Opp'n at 62-64, even though either the temporary staffing of the position alone, or the e-mail in which another employee expressed an interest in filling the position, should have put the plaintiff on notice that the Agency might permanently fill the position.
. The plaintiff also asserts that because the Agency filled the Deputy Chief position twenty days after his supervisor was deposed in Porter I, and that same supervisor supervised the actual hiring official and concurred with that official’s decision, that material questions of fact exist as to the supervisor’s influence over the selection decision that precludes summary judgment on this claim. Pl.’s Opp'n at 60. To the contrary, absent any evidence proffered by the plaintiff that the supervisor exerted undue or improper influence over the decision, and did not merely just concur with the hiring official's decision, improper pressure based upon a retaliatory motive would require speculation and cannot reasonably be inferred from the evidence in the record.
. The Court will consider these two claims collectively based on their inherent similarities and the fact that they suffer from the same defect which forms the basis for the Court’s grant of summary judgment to the Agency on both claims.
. An Order consistent with the Court's ruling accompanies this Memorandum Opinion.
