Court Opinion

ID: 9782203
Source: CourtListenerOpinion
Date Created: 2023-08-30 18:06:55.949464+00
Date Added: 2024-06-11T12:15:12.677412
License: Public Domain

Bridget Romeka v. RadAmerica II, LLC, et al., No. 16, September Term, 2022. Opinion
by Gould, J.

HEALTH CARE WORKER WHISTLEBLOWER PROTECTION ACT –
CAUSATION

The Supreme Court of Maryland held that to prevail under the Health Care Worker
Whistleblower Protection Act, a plaintiff (1) must prove that but for the protected
disclosure, the employer would not have taken the adverse personnel action, and (2) may
establish but-for causation through the analytical framework established in McDonnell
Douglas Corp. v. Green, 411 U.S. 792 (1973).

HEALTH CARE WORKER WHISTLEBLOWER PROTECTION ACT –
SUMMARY JUDGMENT

The Supreme Court of Maryland held that, in a claim of retaliatory firing under the Health
Care Worker Whistleblower Protection Act, where a defendant establishes, through a
motion for summary judgment filed pursuant to Maryland Rule 2-501 and supported by an
affidavit or facts in the record, that there is no genuine dispute as to any material fact that
a plaintiff was fired for reasons unrelated to an alleged protected disclosure and plaintiff
fails to respond with an affidavit or written statement under oath or to identify any
information in the record that establishes a genuine dispute of material fact as to whether
defendant’s stated reasons for the termination were pretextual, summary judgment is
properly granted in defendant’s favor.
Circuit Court for Baltimore City
Case No.: 24-C-19-002767
Argued: January 6, 2023

                                                                       IN THE SUPREME COURT

                                                                            OF MARYLAND*

                                                                                  No. 16

                                                                          September Term, 2022
                                                                ______________________________________

                                                                          BRIDGET ROMEKA

                                                                                    v.

                                                                       RADAMERICA II, LLC, et al.
                                                                ______________________________________

                                                                     Fader, C.J.,
                                                                     Watts,
                                                                     Hotten,
                                                                     Booth,
                                                                     Gould,
                                                                     Eaves,
                                                                     McDonald, Robert N. (Senior Judge,
                                                                            Specially Assigned),

                                                                                  JJ.
                                                                ______________________________________

                                                                           Opinion by Gould, J.
                                                                ______________________________________
Pursuant to the Maryland Uniform Electronic Legal Materials
Act (§§ 10-1601 et seq. of the State Government Article) this
document is authentic.
                                                                     Filed: August 30, 2023
                  2023-08-30
                  13:40-04:00

Gregory Hilton, Clerk

* At the November 8, 2022 general election, the voters of Maryland ratified a constitutional
amendment changing the name of the Court of Appeals to the Supreme Court of Maryland.
The name change took effect on December 14, 2022.
      This case arises from the termination of employment of petitioner Bridget Romeka

by respondents RadAmerica II, LLC (“RadAmerica”), MedStar Health, Inc. (“MedStar”),

and Helixcare Medical Group, LLC (“Helixcare,” and together with RadAmerica and

MedStar, “Employer”). Ms. Romeka alleged that her termination violated the Maryland

Health Care Worker Whistleblower Protection Act (the “HCWWPA” or the “Act”), Md.

Code Ann., Health Occ. (“HO”) §§ 1-501 through 1-506 (1981, 2021 Repl. Vol.), a

statutory scheme that protects employees in healthcare settings against adverse

employment consequences from raising health and safety concerns in the workplace.

      The circuit court granted Employer’s motion for summary judgment, finding that

the undisputed facts established that Employer terminated Ms. Romeka on other, non-

pretextual grounds. The Appellate Court of Maryland1 affirmed in a reported decision.

Romeka v. RadAmerica II, LLC, 254 Md. App. 414 (2022).

      We granted Ms. Romeka’s petition for a writ of certiorari. Romeka v. RadAmerica

II, LLC, 481 Md. 1 (2022). Ms. Romeka presents two questions for our review:

   1. Did the lower court err by requiring a plaintiff with a retaliation claim under
      the HCWWPA to show that protected conduct was the but-for cause of the
      challenged personnel action?

   2. Did the lower courts err in awarding summary judgment to the employer,
      despite genuine disputes of material fact, on the ground that Ms. Romeka
      could not establish her retaliation claim as a matter of law?

      1
         At the November 8, 2022 general election, the voters of Maryland ratified a
constitutional amendment changing the name of the Court of Special Appeals of Maryland
to the Appellate Court of Maryland, and the name of the Court of Appeals to the Supreme
Court of Maryland. The name changes took effect on December 14, 2022.
         We answer both questions in the negative and affirm the judgment of the Appellate

Court.

                   FACTUAL AND PROCEDURAL BACKGROUND

         RadAmerica is a wholly owned subsidiary of MedStar. RadAmerica contracted

with Mercy Medical Center, Inc. (“Mercy”), to supply Mercy with medical physicists and

radiation therapists for its Radiation Oncology Center (the “ROC”).          In the ROC,

RadAmerica employees worked with Mercy’s physicians and employees.                In 2001,

RadAmerica hired Ms. Romeka as a radiation therapist and promoted her to Chief

Radiation Therapist in October 2003.2 As Chief Radiation Therapist, she supervised three

radiation therapists at the ROC: Scott Blackburn, Fabjola Cangonji, and Heather Gilliam.

         Ms. Romeka’s direct supervisor was Christopher Osik, the Technical Director of

RadAmerica who oversaw radiation therapy services at the ROC and six other offices. Mr.

Osik’s manager was Dr. Coleman Rosen, RadAmerica’s Vice President of Technology

Management. Dr. Fritz Lerma was RadAmerica’s Chief Medical Physicist for the ROC.

He was responsible for maintaining the calibration of the equipment in the ROC for

stereotactic radiosurgery (“SRS”) treatments.

         Dr. Maria Jacobs was the medical director of the radiation oncology unit at Mercy.

Dr. Jacobs planned and oversaw all radiation therapy treatments administered at the ROC

and, in that capacity, worked with Ms. Romeka.

         2
       Ms. Romeka stated that she was promoted in 2003; RadAmerica stated that she
was promoted in 2002. This factual dispute is not material to the motion for summary
judgment.
                                             2
       Radiation treatment was delivered at the ROC by a machine manufactured by

Varian, Inc. (“Varian”), called the TrueBeam. The TrueBeam was used to provide SRS

treatments to patients with cancer in the head, neck, lung, breast, prostate, and liver. The

TrueBeam had three essential parts: (1) the linear accelerator; (2) the imaging system; and

(3) the treatment couch.

       Before treating a patient, the radiation therapist was required to make sure the

necessary documents were in the patient’s chart, which was kept in an electronic medical

record (“EMR”). Such documents included a written consent form signed by the patient,

a physician, and a witness. The radiation therapist was not permitted to deliver radiation

treatment to the patient without a completed and scanned consent form.

                                   Initial Investigations

       On May 2, 2018, after learning of two problems related to Ms. Romeka’s job

performance, Dr. Rosen and Mr. Osik began investigating Ms. Romeka’s conduct. The

first problem came to light when, in April 2018, a routine peer review of randomly selected

EMRs of ROC patients revealed that a patient had received treatment even though the EMR

file lacked a completed and signed consent form. Ms. Romeka had administered the

treatment in that case. After she was confronted about the missing document, she accessed

the patient’s EMR, and, without consulting anyone, falsely marked “Y” (Yes) in the

patient’s first weekly chart check, indicating that the consent form had been signed and

scanned into the EMR before treatment began. She also backdated the patient’s first

weekly chart assessment and marked it as complete.

                                             3
       Shortly after she accessed the patient’s EMR, Ms. Romeka notified Dr. Jacobs that

she had administered treatment to a patient without the requisite consent form in the

patient’s EMR. When Mr. Osik later learned of this, he requested that Ms. Romeka submit

a report in MedStar’s patient safety event system, which Ms. Romeka did. No consent

form was ever found.

       The second problem arose from a complaint from a radiation therapist on Ms.

Romeka’s team, Mr. Blackburn. On May 1, Mr. Blackburn complained to Mr. Osik about

Ms. Romeka’s treatment of him and the rest of the team. According to Mr. Blackburn, Ms.

Romeka was bullying the radiation therapists, failing to train them, and blaming her

mistakes on other people. He also claimed that she did not understand the “basic concepts

of radiation treatment” and was disrespectful to the ROC medical staff. Mr. Blackburn

said that all three radiation therapists under Ms. Romeka’s supervision were prepared to

resign unless she was removed as their supervisor.

       On May 2, Dr. Rosen and Mr. Osik interviewed the two other radiation therapists

as well as Dr. Jacobs, Dr. Lerma, and Ms. Romeka. According to Dr. Rosen’s notes, the

two other radiation therapists confirmed that they were “willing to resign rather than put

up with [Ms. Romeka] any longer.” Other co-workers gave similar criticisms of Ms.

Romeka’s conduct to Dr. Rosen and Mr. Osik.

       Dr. Jacobs also complained to Mr. Osik about Ms. Romeka’s job performance,

describing her work as sloppy and rushed. Dr. Jacobs stated that, for the past two years,

Ms. Romeka had been “antagonistic.” She described Ms. Romeka as “displaying signs of

paranoia,” “toxic,” “slopp[y]”, “rush[ed],” and “disrespectful.” She also expressed concern

                                            4
about Ms. Romeka’s handling of the missing patient consent form and indicated that she

thought that Ms. Romeka had not taken the problem seriously enough. Dr. Jacobs also

recounted incidents of Ms. Romeka’s poor job performance and altercations with co-

workers. She asked for Ms. Romeka to be removed from her staff. Mr. Osik described his

interview with Dr. Jacobs as having set in motion Ms. Romeka’s termination.

       When Dr. Lerma was interviewed by Dr. Rosen, he said that he had been

questioning Ms. Romeka’s competency as a radiation therapist. He recounted that he once

had to intervene after Ms. Romeka had set up the TrueBeam in a way that could have

harmed a patient. According to Dr. Lerma, Ms. Romeka “did not know what she was

doing,” was rude to staff and physicians, was “difficult to speak with, always in a hurry,

and [did] not wish to engage in conversation.” When Ms. Romeka was interviewed by Dr.

Rosen, she acknowledged that she had yelled at nurses in the ROC.

       On May 10, Dr. Rosen and Mr. Osik decided that Ms. Romeka should be terminated

and that a lesser form of discipline, such as a transfer to another facility, was not an option

because she had falsified medical records.

       As a subsidiary of MedStar, RadAmerica followed MedStar’s personnel policies,

which required an independent investigation by MedStar’s human resources (“HR”)

department to confirm a decision to terminate an employee. Accordingly, on May 10, Dr.

Rosen contacted Wendy Greer of MedStar’s HR department. He told her about his

investigation and asked her to perform her own. Dr. Rosen testified in his deposition that

“prior to HR getting involved, [he] and Mr. Osik were already leaning in the direction of

termination, but [he] needed HR to get involved to confirm that decision.” Ms. Greer stated

                                              5
in an affidavit that “[t]he decision to terminate Ms. Romeka had been made by Dr. Rosen

and Mr. Osik on May 10, 2018.”

                            Other Job Performance Problems

         On both May 10 and 11, Dr. Lerma witnessed Ms. Romeka engage in conduct that

he thought created patient safety issues. Ms. Romeka had been rushing SRS treatments

and moving parts of the TrueBeam in a way that compromised patient safety. Dr. Lerma

testified that he told Ms. Romeka that “she was not delivering safe radiosurgery

treatments.” He sent an email to Dr. Rosen which stated: “This new situation is a signaling

at a significant safety risk. As chief physicist, I am writing to request to remove Ms.

Romeka from treating on the [TrueBeam] until this can be further investigated as to the

root cause of why she is rushing treatments.”

         On May 14, Dr. Rosen forwarded Dr. Lerma’s email to the President of

RadAmerica, David Spearman. Dr. Rosen informed Mr. Spearman that he and Dr. Lerma

had spoken in the morning and that Dr. Lerma would be meeting with Ms. Greer later that

day. Separately, Dr. Lerma asked Dr. Jacobs whether he could bar Ms. Romeka from

participating in treatment if he thought that was necessary. She authorized Dr. Lerma to

do so.

         On May 16, another issue surfaced regarding Ms. Romeka’s previous falsified

medical record. Mr. Osik learned that the Patient Safety Event Report about the incident

that Ms. Romeka had submitted at his request was inaccurate. Although the patient had

started radiation treatment on April 9, Ms. Romeka incorrectly noted in the report that the

patient had started treatment on April 30. Ms. Romeka’s report also did not reflect the fact

                                             6
that the patient had finished an entire course of radiation treatment without the requisite

consent form. Further, she named Dr. Jacobs as the only “[i]nvolved [p]arty,” although

she, as the treating therapist, was the principal “[i]nvolved [p]arty.” Mr. Osik emailed this

information to Dr. Rosen and stated that this “was another example of [Ms. Romeka]’s

sloppiness and not taking responsibility as a leader.”

                                    HR’s Investigation

       On May 14, Ms. Greer interviewed Ms. Romeka and seven of Ms. Romeka’s co-

workers. The interviews corroborated the accounts of Ms. Romeka’s behavior at work:

people described her as argumentative, disorganized, rushed, unsafe, nasty, and

incompetent. According to Ms. Greer, Dr. Lerma described Ms. Romeka as “constantly

rushing, seem[ing] anxious, fidgeting with equipment, not calm,” and that she “left [things]

undone a lot.” Dr. Lerma was concerned about her job performance and described the

incidents that occurred on May 10 and 11 that he believed created patient safety issues. In

addition, Ms. Greer learned from Dr. Jacobs that Ms. Romeka had falsified a medical

record.

       When Ms. Greer interviewed Ms. Romeka, Ms. Romeka told her that she “always

gets consent to treat ahead of time.” During her later deposition in this case, Ms. Romeka

also denied that she did anything wrong on May 10 and 11.

       On May 16, with her investigation completed, Ms. Greer concluded that

RadAmerica should terminate Ms. Romeka “based on her conduct, performance, and

behavior.” She notified Mr. Spearman of that conclusion at some point between May 16

and 18.

                                             7
                             Alleged Protected Disclosure

      On May 15, while the investigation and termination processes were proceeding

apace, Mr. Blackburn was treating a patient with the TrueBeam when he discovered that

the motor in the treatment couch was not working. He “manually rotate[d] the couch to

move the patient into the proper position for treatment” and noted that “[t]he treatment

couch was not difficult to move and rotated smoothly and carefully.” He reported the

problem to Dr. Lerma and to Rod White, a Varian employee.              Mr. White ordered

replacement parts for the treatment couch, but delivery was delayed.

      On May 16, Ms. Romeka manually rotated the TrueBeam couch while treating a

patient. She did not raise a safety concern about either Mr. Blackburn’s manual rotation

of the treatment couch on May 15 or her manual rotation on May 16. However, she told

Mr. Osik that she injured her hip while manually moving the couch. She testified that she

did not raise a patient safety concern when she manually moved the couch because the

movement was not significant.

      On May 17, two patients with brain tumors were scheduled for SRS treatments with

the TrueBeam in the early afternoon. In the morning, Ms. Romeka raised concerns to Dr.

Lerma about administering SRS treatments “with a broken couch.” She mentioned the

safety concerns to Dr. Jacobs and expected the treatments to be cancelled. A Varian

engineer explained to Dr. Lerma that SRS treatments could be performed safely on patients

by manually rotating the TrueBeam’s treatment couch. Dr. Lerma communicated that

information to Dr. Jacobs, who decided that they would go forward with the SRS

treatments. Dr. Lerma told Dr. Jacobs that he was planning to perform the two treatments

                                            8
without Ms. Romeka. According to Dr. Lerma, Dr. Jacobs approved of this decision. Dr.

Lerma explained in his deposition that Dr. Jacobs’s authorization to exclude Ms. Romeka

had “nothing to do with the [TrueBeam] couch.” Dr. Lerma told Ms. Romeka that she

would not be participating in the treatments.

       Ms. Romeka contacted Dr. Jacobs and Dr. Rosen and asked why she was excluded

from the two treatments. She told Dr. Jacobs that she did not “think pushing the couch for

an SRS treatment [was] a good idea.” Although she had been told that she would not be

participating in the treatment, Ms. Romeka tried to enter the treatment room. Dr. Lerma

blocked her from entering, but Ms. Romeka observed the procedure from the control room

just outside the treatment room.

       Both Dr. Jacobs and Dr. Lerma were in the treatment room for both SRS treatments.

Ms. Romeka claimed that she noticed the first patient move out of position during the SRS

treatment and requested a confirmatory computed tomography (“CT”) image to ensure the

radiation had been accurately delivered, but her request was ignored. Dr. Lerma reported

that the manual movement of the couch was “smooth” and that the patient did not move

during the treatment. Dr. Jacobs corroborated Dr. Lerma’s account. The other people in

the room did not see the patient move and did not recall Ms. Romeka saying that she saw

the patient move. Mr. Blackburn testified that he did not see either patient move during

treatment.

       Ms. Romeka testified that she told Dr. Jacobs—Mercy’s employee—that she would

file a grievance “about what I just witnessed in the clinic.” Ms. Romeka testified that Mr.

Osik told her he would speak with Dr. Rosen and get back to her about the process for

                                                9
filing a grievance. Mr. Osik acknowledged that Ms. Romeka said she wanted to file a

grievance, but in his subsequent email to Dr. Rosen, he reported only that she was upset at

the way Dr. Lerma was treating her. Dr. Rosen recalled receiving no information about

Ms. Romeka’s intent to file a grievance.

       Later that day, Mr. Osik texted Ms. Romeka that he and Dr. Rosen would meet with

her on Monday, May 21, at 9:00 a.m. Ms. Romeka thought—mistakenly, as she would

find out—that the meeting was to discuss the process for filing a grievance.

                                    The Termination

       The final decision to terminate an employee of RadAmerica rested with

RadAmerica’s president, Mr. Spearman. Mr. Spearman and Dr. Rosen discussed the fact

that Ms. Romeka had falsified medical records. The record reflects that at some point

between May 16 and May 18, Mr. Spearman authorized Dr. Rosen to terminate Ms.

Romeka. Reviewing the facts in the light most favorable to Ms. Romeka, we assume that

this authorization was not given until at least the morning of May 18, after Ms. Romeka

informed Mr. Osik of her intention to file a grievance. The record reveals no evidence that

either Mr. Spearman, Dr. Rosen, or Ms. Greer knew about Ms. Romeka’s complaint

regarding the SRS treatments on May 17.

       On May 18, Dr. Rosen told Mr. Osik to proceed with the paperwork for Ms.

Romeka’s termination. Mr. Osik prepared the paperwork and provided it to Ms. Greer just

before 4:00 p.m. that same day. Mr. Osik also told Mr. Blackburn that, starting on Monday,

May 21, Mr. Blackburn would be the acting Chief Radiation Therapist.

                                            10
      On Sunday, May 20, Ms. Greer approved the paperwork for terminating Ms.

Romeka.

      On Monday morning, Mr. Osik and Dr. Rosen met with Ms. Romeka and terminated

her. Ms. Romeka was given a notice that listed the Concern/Issue as “Unsatisfactory

Performance” and identified five specific issues: (1) “Lack of communication Patient

Safety”; (2) “Disrespectful of staff and physicians”; (3) “Lack of integrity”; (4)

“Unsatisfactory Performance”; and (5) “Integrity/Falsification of Medical Record.”

                               The Circuit Court Action

      On May 8, 2019, Ms. Romeka filed a lawsuit in the Circuit Court for Baltimore

City. She amended the complaint twice. Ms. Romeka alleged that Employer unlawfully

terminated her employment in retaliation for making a protected disclosure under the

HCWWPA.

      Employer moved for summary judgment on two grounds: (1) Ms. Romeka failed to

make a protected disclosure in writing; and (2) Employer had already decided to terminate

her before the two SRS treatments on May 17 and terminated her for reasons having

nothing to do with the allegedly protected disclosure.     Ms. Romeka countered that

Employer’s stated reasons were merely pretextual and that she was unlawfully terminated

in retaliation for complaining about the two SRS treatments on May 17.

      After hearing oral argument, the circuit court granted Employer’s motion. The court

reasoned that Employer “ha[d] demonstrated without dispute that [it was], in fact, in

process of terminating Ms. Romeka for reasons other than any conceivable complaint about

                                           11
patient health or safety because it preceded in time any possible such complaint.” The

court explained:

       [E]ven if I were to resolve the factual disputes in favor of the plaintiff for the
       fact that she did make a complaint, and that that was her purpose in
       challenging her exclusion from the treatment room on the afternoon of May
       17th, even if I were to indulge her in the possibility that a jury could believe
       her on that point, it would not amount to causation overcoming what the
       defendants were already doing in terms of their investigation and their
       consideration of her status as an employee.

                              The Appellate Court’s Decision

       On April 27, 2022, the Appellate Court affirmed the circuit court’s decision.

Romeka v. RadAmerica II, LLC, 254 Md. App. 414 (2022). In a thorough and well-

reasoned opinion, the Appellate Court held that the evidentiary framework established in

McDonnell Douglas Corp. v. Green, 411 U.S. 792 (1973), applied to Ms. Romeka’s claim,

that the Act required but-for causation to prove liability, and that the uncontroverted

evidence established that Ms. Romeka’s termination had nothing to do with her alleged

protected disclosure. Romeka, 254 Md. App. at 453, 455-56, 464.

                                       DISCUSSION

                                               I

       We begin by addressing the standard of proof for causation under the HCWWPA.

As this is a matter of statutory construction, we review the circuit court’s decision without

deference.   Harvey v. Marshall, 389 Md. 243, 257 (2005) (questions of statutory

interpretation are legal issues reviewed de novo by appellate courts).

       Ms. Romeka argues for a “contributing factor” standard of causation under the

HCWWPA. She contends that the Act requires a plaintiff to prove only that the adverse

                                              12
personnel action was motivated by the plaintiff’s protected conduct. She argues that the

Appellate Court erred in relying upon University of Texas Southwestern Medical Center v.

Nassar, 570 U.S. 338 (2013), which held that a but-for causation standard applies to

retaliation claims under Title VII of the Civil Rights Act of 1964 (“Title VII”), 42 U.S.C.

§ 2000e. She also claims support in other federal whistleblower statutes as well as

whistleblower statutes from other states.3

       Ms. Romeka argues that the General Assembly used the word “reprisal” instead of

“retaliation” or “discrimination” to distinguish the HCWWPA from Title VII (which uses

only the word “discrimination”) and to align the HCWWPA with other state whistleblower

statutes and wrongful discharge actions. Further, Ms. Romeka argues that the General

Assembly used the word “reprisal” in section 1-502 to reflect that the statute would have

“a different scope than Title VII.” Thus, she contends, the HCWWPA imposes only a

contributing factor causation standard.

       Employer, in contrast, argues that the plain language of the HCWWPA imposes a

but-for causation standard. Employer contends that Maryland has adopted the McDonnell

       3
         In support of her argument, Ms. Romeka cites to 49 U.S.C. § 42121 (b)(2)(B)(i),
which provides whistleblower protection for employees disclosing air safety information,
and 18 U.S.C. § 1514A, which provides whistleblower protection under the Sarbanes-
Oxley Act for employees of publicly traded companies, as well as Morgan v. Dep’t of
Energy, 424 F.3d 1271, 1273 (Fed. Cir. 2005), and Feldman v. L. Enf’t Assocs. Corp., 752
F.3d 339, 344-45 (4th Cir. 2014). However, as Employer points out, the Whistleblower
Protection Act, discussed in Morgan, and the Sarbanes-Oxley Act, discussed in Feldman,
apply the contributing factor standard only at the prima facie stage. Similarly, under 49
U.S.C. § 42121, the contributing factor standard is applied only at the prima facie stage.
Greatwide Dedicated Transp. II, LLC v. United States Dep’t of Lab., 72 F.4th 544, 553–
54 (4th Cir. 2023).
                                             13
Douglas burden-shifting framework for employment claims, that the motivating or

contributing factor standard applies only at the prima facie stage of the analysis, and that

the but-for causation standard applies at the pretext stage. Employer maintains that the

Appellate Court correctly applied the plain language of the HCWWPA and the burden-

shifting framework established in McDonnell Douglas.

                                              A

       Our “primary goal in interpreting statutory language is to discern the legislative

purpose, the ends to be accomplished, or the evils to be remedied by the statutory provision

under scrutiny.” Lockshin v. Semsker, 412 Md. 257, 274 (2010). In doing so, we first look

to the plain language of the statute. Id. at 275; Mayor of Oakland v. Mayor of Mountain

Lake Park, 392 Md. 301, 316 (2006). “If the language of the statute is unambiguous and

clearly consistent with the statute’s apparent purpose, our inquiry as to legislative intent

ends ordinarily and we apply the statute as written, without resort to other rules of

construction.” Lockshin, 412 Md. at 275. We do not read provisions of a statute in a

vacuum, but rather view the relevant provisions in the context “of the statutory scheme to

which it belongs, considering the purpose, aim, or policy of the Legislature in enacting the

statute.” Id. at 276. If the statute is ambiguous, we search for legislative intent in other

sources, including legislative history. Id.

                                              14
                                          B

       Enacted in 2002, the primary purpose of the HCWWPA was to advance public

health and safety by protecting whistleblowing health care workers from retaliation by their

employers. Romeka, 254 Md. App. at 455. After defining certain basic terms in section

1-501, the Act gets right to the point in section 1-502 by prohibiting covered employers

from taking certain adverse personnel actions against covered employees.

       Specifically, section 1-502 provides:

       [A]n employer may not take or refuse to take any personnel action as reprisal
       against an employee because the employee: (1) Discloses or threatens to
       disclose to a supervisor or board an activity, policy, or practice of the
       employer that is in violation of a law, rule, or regulation; (2) Provides
       information to or testifies before any public body conducting an
       investigation, hearing, or inquiry into any violation of a law, rule, or
       regulation by the employer; or (3) Objects to or refuses to participate in any
       activity, policy, or practice in violation of a law, rule, or regulation.

(Emphasis added). The Act also provides, under section 1-506, that: “In any action

brought under this subtitle, it is a defense that the personnel action was based on grounds

other than the employee’s exercise of any rights protected under this subtitle.”

       Construed together, sections 1-502 and 1-506 are unambiguous on the standard of

causation. Let’s start with section 1-502. The opening clause provides that an employer’s

personnel action or inaction may not be taken “as reprisal” for an employee’s protected

disclosure. Although “reprisal” is not defined in the statute, “we may consider dictionary

definitions to ascertain a word’s common understanding.” Crawford v. Cnty. Council of

Prince George’s Cnty., 482 Md. 680, 698 (2023) (citing Berry v. Queen, 469 Md. 674,

688-90 (2020)). In 2002, the year the HCWWPA was enacted, the Merriam-Webster

                                               15
dictionary defined “reprisal” as “a retaliatory act[.]”        Reprisal, Merriam-Webster

Dictionary (10th ed. 2002). Similarly, the edition of Black’s Law Dictionary then in effect

defined “reprisal” as “any action taken by one person either in spite or as a retaliation for

an assumed or real wrong by another.” Reprisal, Black’s Law Dictionary (6th ed. 1990).

Thus, a retaliatory action is an action that is taken in response to something. Common

sense tells us that an action is not a response to something if the action would have been

taken if that something had never occurred. Accordingly, the word reprisal requires but-

for causation.

       Our interpretation of reprisal is bolstered by the word “because” in section 1-502.

In 2002, Merriam-Webster defined “because” as “for the reason that: since[.]” Because,

Merriam-Webster Dictionary. The word “because” causally links the personnel action to

the employee’s protected conduct which, in tandem with “reprisal,” reinforces the but-for

causation standard embedded in the HCWWPA.

       Section 1-506 also imposes a but-for causation standard. As stated therein: “In any

action brought under this subtitle, it is a defense that the personnel action was based on

grounds other than the employee’s exercise of any rights protected under this subtitle.” HO

§ 1-506. This means that even if the plaintiff engaged in the protected conduct, the

employer still prevails if it proves it would have taken the same action in the absence of

the employee’s protected conduct. By adding this defense, the General Assembly baked

the but-for causation standard directly into the statute.

                                              16
                                             C

       Although the Act tells us what the employee must prove to establish causation under

the HCWWPA, it doesn’t tell us how a plaintiff can clear the “but-for” hurdle. Rarely do

employers raise their hand and admit to making an adverse employment decision in

retaliation for an employee’s statutorily protected conduct. Foster v. Univ. of Md.-E.

Shore, 787 F.3d 243, 249 n.6 (4th Cir. 2015). More often, a plaintiff will have to stitch

together a mosaic of circumstantial evidence to demonstrate a causal connection between

the personnel action and protected conduct. See id. But if the HCWWPA requires a

plaintiff to prove but-for causation, how then could a circumstantial case showing merely

a causal connection carry the day? And how can the employee satisfy the but-for causation

standard if the employer terminated the employee for multiple reasons, only one of which

was to unlawfully retaliate?

       The answer lies in the three-step burden-shifting framework established in

McDonnell Douglas. To establish a prima facie claim of unlawful retaliation under

McDonnell Douglas, the plaintiff must present evidence showing: (1) “she engaged in

protected activity,” (2) the “employer took adverse action against her,” and (3) “a causal

relationship existed between the protected activity and the adverse employment activity.”

Foster, 787 F.3d at 250 (quoting Price v. Thompson, 380 F.3d 209, 212 (4th Cir. 2004)

(cleaned up)). The plaintiff need not demonstrate but-for causation in her prima facie case;

she needs to show only that the protected disclosure contributed in some way to the adverse

employment action. Id. If the plaintiff makes this initial showing, the burden shifts to the

defendant to produce evidence of a legitimate, nondiscriminatory reason for the adverse

                                            17
employment action. Id. If the defendant makes that showing, the burden shifts back to the

plaintiff to show that the employer’s stated reason for the adverse employment action was

not the actual reason, but instead was a pretext for retaliation. Id.

       In Foster, the Fourth Circuit concluded that, in the context of a claim of unlawful

retaliation, the McDonnell Douglas framework “already incorporates a but-for causation

analysis.” Id. at 249. We agree. If a plaintiff shows the causal connection (a lower burden

than but-for) at the prima facie stage and the defendant cannot articulate a legitimate reason

for the employment decision, then a jury has a sufficient basis to find, through the process

of elimination, that the employer would not have taken the adverse action but for the

protected activity. In that respect, a plaintiff who clears the contributing factor hurdle may

very well establish but-for causation.

       On the other hand, if the plaintiff makes a prima facie case with evidence of a causal

connection, and the employer can show a legitimate reason for the employment action, the

plaintiff is given the opportunity to show that the employer’s proffered reason is a pretext.

If the plaintiff proves that the reason is a pretext for retaliation, then she has established

but-for causation by showing that the action would not have been taken in the absence of

her protected conduct.

       As the court stated in Foster, “[i]f a plaintiff can show that she was fired under

suspicious circumstances and that her employer lied about its reasons for firing her, the

factfinder may infer that the employer’s undisclosed retaliatory animus was the actual

cause of her termination.” 787 F.3d at 250. The McDonnell Douglas framework, therefore,

                                              18
provides plaintiffs with a mechanism to satisfy the but-for causation standard through

circumstantial evidence.

       This Court’s opinion in Department of Natural Resources v. Heller is instructive.

391 Md. 148 (2006). Heller involved a retaliation claim under Maryland’s whistleblower

statute applicable to the executive branch of Maryland’s government (the “Executive

Branch Whistleblower Act”), as stated in the State Personnel and Pensions Article of the

Maryland Annotated Code (“SPP”) §§ 5-301 to 5-314 (1993, 2015 Repl. Vol.). The

Executive Branch Whistleblower Act protects covered employees against adverse

personnel actions as a “reprisal” for making protected disclosures. SPP § 5-305. Further,

section 5-302(b) “does not prohibit a personnel action that would have been taken

regardless of a disclosure of information.” Thus, the Executive Branch Whistleblower Act,

like the one at issue here, requires but-for causation.

       In Heller, an Administrative Law Judge (the “ALJ”) found that the employee had

not established that he made a protected disclosure. 391 Md. at 151-52. The circuit court

affirmed the decision of the ALJ. Id. at 163. The Appellate Court of Maryland reversed

and, inter alia, held that the ALJ incorrectly ruled that the employee’s disclosures were not

protected. Id. This Court, however, reversed the Appellate Court.

       In doing so, we discussed the McDonnell Douglas burden-shifting framework. In a

sentence embraced by Ms. Romeka, we said that “[a] whistleblower action by the employee

intended to overturn a personnel action also will succeed only if the employee shows by a

preponderance of the evidence that the protected disclosure was a ‘contributing factor’ in

the decision to take the personnel action.” Id. at 171. Ms. Romeka interprets this sentence

                                              19
as confirmation that a whistleblower need not climb the steep hill of but-for causation, but

instead need only satisfy a “contributing factor” standard. We disagree.

       In saying that a plaintiff will succeed only if she shows that the adverse employment

decision was a contributing factor, we weren’t holding that the statute imposed a

contributing factor causation standard, but rather identifying the initial hurdle that a

plaintiff must clear to succeed in such a claim. That is, every successful plaintiff must at

least satisfy the “contributing- factor” standard at the prima facie stage, and conversely, no

plaintiff who cannot satisfy the “contributing factor” standard will succeed. Indeed, just

two sentences after the one that Ms. Romeka quotes from in Heller, we explained that,

under the McDonnell Douglas framework, once the plaintiff makes the initial showing,

then “the employer will only escape liability by proving that the employer would have

taken the same personnel action in the absence of the protected disclosure.” Id. at 171. In

other words, in Heller, applying a whistleblower statute similar to the HCWWPA, this

Court explained how a plaintiff can establish but-for causation using the McDonnell

Douglas burden-shifting framework. Ms. Romeka’s reliance on Heller as authority for a

lower causation standard is misplaced.

       Nor do we agree with Ms. Romeka that a but-for causation standard undermines the

public policy behind the HCWWPA. As the Appellate Court aptly explained:

       Title VII and other anti-discrimination laws serve the broad, overarching
       purpose of rooting status-based discrimination out of the workplace (and
       other venues). This purpose cannot be achieved if discrimination is tolerated
       when it is even one motivation, among other motivations that are legitimate,
       for an adverse personnel action. The particularized purpose of the
       HCWWPA—to enhance safety in the health care sector by protecting health
       care workers from reprisal for protected disclosures—stands in contrast to

                                             20
       the general aim of antidiscrimination laws. The purpose of the Act will not
       be advanced unless retaliation for making a protected disclosure is the actual
       reason the employer took the personnel action against the employee.

Romeka, 254 Md. App. at 455.

       Accordingly, we hold that under the HCWWPA, a plaintiff must prove that, but for

the protected disclosure, the employer would not have taken the adverse personnel action.

We further hold, consistent with Heller, that a plaintiff can establish but-for causation

through the McDonnell Douglas analytical framework.

                                             II

       We now turn to whether the circuit court properly granted summary judgment to

Employer. As with our review of the statutes under the Act, we review the circuit court’s

decision without deference. Webb v. Giant of Md., LLC, 477 Md. 121, 135 (2021)

(summary judgment review is de novo).

       In our review, we determine (1) “whether a dispute of material fact exists,” and

(2) “whether the trial court was legally correct.” Frederick Rd. Ltd. P’ship v. Brown &

Sturm, 360 Md. 76, 93 (2000); see also Md. Rule 2-501(f). For the purposes of summary

judgment, a material fact is “a fact the resolution of which will somehow affect the outcome

of the case.” USA Cartage Leasing, LLC v. Baer, 202 Md. App. 138, 174 (2011), aff’d,

429 Md. 199 (2012) (quoting Barbre v. Pope, 402 Md. 157, 171-72 (2007)). “[W]e

independently review the record to determine whether the parties properly generated a

dispute of material fact and, if not, whether the moving party is entitled to judgment as a

matter of law.” Myers v. Kayhoe, 391 Md. 188, 203 (2006). We view the record “in the

light most favorable to the non-moving party and construe any reasonable inferences that

                                            21
may be drawn from the facts against the moving party.” Rhoads v. Sommer, 401 Md. 131,

148 (2007); Myers, 391 Md. at 203.

      Maryland Rule 2-501(b) requires the party opposing a properly supported summary

judgment motion to:

      (1) identify with particularity each material fact as to which it is contended
      that there is a genuine dispute and (2) as to each such fact, identify and attach
      the relevant portion of the specific document, discovery response, transcript
      of testimony (by page and line), or other statement under oath that
      demonstrates the dispute.

      Here, the summary judgment record consisted of, among other things, affidavits

from Mr. Blackburn, Ms. Cangonji, Ms. Greer, and radiation therapist Stacey Kerner;

excerpts from depositions of Dr. Lerma, Ms. Romeka, Dr. Jacobs, Mr. Osik, and Dr. Rosen;

and personnel records and contemporaneous notes of conversations taken by Mr. Osik, Dr.

Rosen, and Ms. Greer. These materials, taken in the light most favorable to Ms. Romeka,

established the following undisputed facts:

          1. From early to mid-May of 2018, Ms. Romeka’s employment conduct was
             twice investigated—first by Mr. Osik and Dr. Rosen, and second by Ms.
             Greer.

          2. Both investigations revealed that Ms. Romeka falsified a medical record.

          3. Both investigations revealed that Ms. Romeka mistreated co-workers. On
             May 10, both Mr. Osik and Dr. Rosen concluded that Ms. Romeka should be
             terminated, subject to confirmation by Medstar’s HR department.

          4. Pursuant to Medstar’s policy, on May 10, Dr. Rosen contacted Ms. Greer,
             who worked in Medstar’s HR department, about their desire to terminate Ms.
             Romeka. Ms. Greer told Dr. Rosen that she would conduct her own
             investigation “and would discuss getting approval to move forward with Ms.
             Romeka’s termination.”

                                              22
          5. Ms. Greer began her investigation on May 14 and interviewed eight
             individuals, including Ms. Romeka’s close co-workers and Ms. Romeka.

          6. Ms. Greer concluded her investigation on May 16 and “confirmed that Ms.
             Romeka should be terminated based on her conduct, performance, and
             behavior.”

          7. On May 17, Ms. Romeka made the disclosure to Mr. Osik regarding her
             concerns about patient safety with the manual movement of the TrueBeam
             and her intention to file a grievance.

          8. Ms. Greer informed Mr. Spearman, RadAmerica’s president, of her
             conclusion that Ms. Romeka should be terminated. Viewing the evidence in
             the light most favorable to Ms. Romeka, Mr. Spearman, who had final
             authority to terminate employees, decided on the morning of May 18 to
             terminate Ms. Romeka and authorized Dr. Rosen to proceed.

          9. Neither Ms. Greer, Dr. Rosen, nor Mr. Spearman was aware of Ms.
             Romeka’s May 17 complaint when Mr. Spearman made the final decision to
             terminate her.

       Ms. Romeka argues that the foregoing facts rest on the credibility of the witnesses.

For example, she contends that key points on this timeline were established in Ms. Greer’s

affidavit, which Ms. Romeka discounts as having been “produced in the context of this

litigation, not at the time the events therein described occurred.” She argues that a jury

could credit “emails and other evidence in the record” over Ms. Greer’s account of the

events. And she points to various emails that, she contends, “cast[] doubt on Ms. Greer’s

timeline of events.”

       Under Rule 2-501, however, supporting affidavits to summary judgment motions

are typically prepared and signed in the context of litigation. To contest Ms. Greer’s

affidavit, Ms. Romeka must come forward with evidence that calls into question Ms.

Greer’s version of events. See Myers, 391 Md. at 203. This she did not do.

                                            23
       The emails Ms. Romeka references do not generate a genuine dispute with any of

the above facts. For example, Ms. Romeka points to an email from Dr. Lerma to Dr. Rosen

on May 11, in which he asked that Ms. Romeka be removed only “from treating on the

[linear accelerator] until this can be further investigated as to the root cause.” Ms. Romeka

argues that this email does not “establish, nor even imply, that Dr. Lerma intended to

terminate Ms. Romeka.” But this is of no moment. Dr. Lerma was not one of the decision-

makers.

       Ms. Romeka also points to Dr. Rosen’s deposition testimony that, after speaking

with Dr. Jacobs, he concluded that it was “clear that we needed to pursue some type of

mitigation.” As Ms. Romeka sees it, that testimony, combined with her assertion that

RadAmerica’s practice was to transfer, not fire, problematic employees, creates an issue of

fact as to whether RadAmerica decided to terminate her for reasons other than her safety

complaint. However, immediately after that testimony, Dr. Rosen explained that Dr.

Jacobs had “asked that [Ms. Romeka] be removed,” as was Dr. Jacobs’s right under

RadAmerica’s contract with Mercy. Dr. Rosen further explained that he had considered

transferring Ms. Romeka but decided against it because she had falsified medical records,

leaving Employer’s “hands []tied” and “with no other alternative but to terminate.”

       Ms. Romeka acknowledges that there is no evidence that Mr. Osik informed Dr.

Rosen or Mr. Spearman about her safety complaint. She claims that Mr. Osik, who had a

significant role in the decision to terminate her, “frustrat[ed] the handling of Ms. Romeka’s

complaint at every turn, while simultaneously driving her termination.”           Thus, she

concludes, “a reasonable trier of fact [could] find that RadAmerica through Mr. Osik, did

                                             24
indeed retaliate against Ms. Romeka.” The logic of this argument is difficult to follow, but

Ms. Romeka seems to be arguing that Mr. Osik retaliated against her for making a protected

disclosure by ensuring that those who were deciding her fate—Dr. Rosen and Mr.

Spearman—made their decision without any knowledge of her complaint. How this

argument helps Ms. Romeka’s cause eludes us. It seems obvious that by not telling Dr.

Rosen and Mr. Spearman about her complaint, Mr. Osik protected Ms. Romeka against the

possibility that an impermissible consideration would factor into the decision to terminate

her.

       In sum, Employer supported its summary judgment motion with undisputed

evidence that, without knowledge of Ms. Romeka’s alleged protected disclosure, Dr. Rosen

recommended to Mr. Spearman that they terminate Ms. Romeka because two

investigations revealed that, among other performance problems, she had falsified a

medical record and mistreated staff. Employer also demonstrated that Mr. Spearman had

the final say in the termination decision and that he too was not informed about her

allegedly protected disclosure. Because Ms. Romeka failed to generate a genuine dispute

as to either fact, Employer was entitled to summary judgment as a matter of law pursuant

to section 1-506 of the HCWWPA.

                                     CONCLUSION

       For the foregoing reasons, we hold: (1) a claim under the HCWWPA requires proof

of but-for causation; (2) a plaintiff may avail herself of the burden-shifting framework

established by McDonnell Douglas to prove but-for causation; (3) Ms. Romeka failed to

genuinely dispute Employer’s evidence that she was terminated for reasons unrelated to

                                            25
her alleged protected disclosure; and (4) the circuit court correctly determined that

Employer was entitled to judgment as a matter of law.

      Accordingly, we affirm the judgment of the Appellate Court of Maryland.

                                               JUDGMENT OF THE APPELLATE
                                               COURT      OF   MARYLAND
                                               AFFIRMED. COSTS TO BE PAID
                                               BY PETITIONER.

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