Court Opinion

ID: 6226735
Source: CourtListenerOpinion
Date Created: 2022-02-17 14:01:48.249592+00
Date Added: 2024-06-11T08:57:40.731041
License: Public Domain

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             DISTRICT OF COLUMBIA COURT OF APPEALS

                                 No. 19-CV-567

                      MARGIE E. ROBERTSON, APPELLANT,

                                       V.

                    DISTRICT OF COLUMBIA, et al., APPELLEES.

                         Appeal from the Superior Court
                          of the District of Columbia
                               (CAB-005617-18)

                      (Hon. John M. Campbell, Trial Judge)

(Submitted September 24, 2020                         Decided February 17, 2022)

      Margie E. Robertson, pro se.

       Karl A. Racine, Attorney General for the District of Columbia, Loren L.
AliKhan, Solicitor General, Carl J. Schifferle, Acting Deputy Solicitor General at
the time of submission, and Jacqueline R. Bechara, Assistant Attorney General at
the time of submission, were on the brief for appellees.

      Before GLICKMAN, THOMPSON *, and DEAHL, Associate Judges.

      *
        Judge Thompson was an Associate Judge of the court at the time of
submission. Although her term expired on September 4, 2021, she will continue to
serve as an Associate Judge until her successor is appointed and qualifies. See
D.C. Code § 11-1502 (2012 Repl.). She was appointed on October 4, 2021, to
perform judicial duties as a Senior Judge. See D.C. Code § 11-1504(b)(3) (2012
Repl.). She will begin her service as a Senior Judge on a date to be determined
after her successor is appointed and qualifies.
                                                                     (continued…)
                                          2

      THOMPSON, Associate Judge: In July 2017, while she was a probationary

employee     of   the   District   of   Columbia   Courts   (the   “D.C.   Courts”),

plaintiff/appellant Margie E. Robertson was terminated from her position as a

supervisor in the Superior Court’s Warrants and Special Proceedings Division.

She responded by filing suit against defendants/appellees the District of Columbia,

the D.C. Courts, and D.C. Courts’ employees Daniel Cipullo, Yvonne Martinez-

Vega, Belinda Carr, Alicia Shepard, Anne Wicks, James McGinley, and Tiffany

Adams-Moore. Her Amended Complaint alleged inter alia (1) that she was subject

to discrimination, retaliation, and, ultimately, termination based on her race

(African-American), gender, age (60+), and dark skin, all in violation of the

District of Columbia Human Rights Act of 1977 (the “DCHRA”) 1; (2) that her

termination violated Title VII of the Civil Rights Act of 1964 (“Title VII”) 2; (3)

that the defendants defamed her and inflicted emotional distress through statements

about her they made to potential employers and former coworkers; (4) that she was

wrongfully terminated in violation of public policy; and (5) that defendants

conspired to terminate her employment. In this appeal, she contends that the

(…continued)
      1
          See D.C Code §§ 2-1401.01 to 2-1431.08 (2016 Repl. & 2021 Supp.).
      2
          See 42 U.S.C §§ 2000e to 2000e-l7.
                                        3

Superior Court erred in granting defendants’ motion to dismiss. 3 For the reasons

that follow, we affirm the judgment of the Superior Court, including its

determination that the DCHRA affords appellant no remedy for the claims she has

raised.

                                        I.

      Appellant alleges that beginning in March 2017, defendant Carr, the

Superior Court’s Branch Chief of Special Proceedings, began to pressure appellant

to intimidate and bully her own staff, and that when appellant refused, Carr began

to bully her. Appellant, who had been employed by the D.C. Courts for only seven

months at the time, responded by filing an internal Equal Employment Opportunity

(“EEO”) complaint with defendant Adams-Moore, the D.C. Courts EEO Officer.

Appellant amended her internal complaint on July 24, 2017, to add allegations

against defendant Cipullo, then-Director of the Superior Court Criminal Division;

defendant Martinez-Vega, Deputy Director of the Criminal Division, and

defendant Shepard, Branch Chief. Three days later, appellant received an email

      3
          The Amended Complaint also alleged a violation of the Age
Discrimination in Employment Act of 1967, 29 U.S.C. §§ 62l to 634 (the
“ADEA”) and asserted a breach of contract claim, but appellant has not assigned as
error the dismissal of those claims.
                                         4

from defendant Cipullo transmitting a letter informing her that she was terminated.

The termination notice stated that appellant had failed to demonstrate satisfactory

performance during her probationary period. Thereafter, appellant filed complaints

with the federal Equal Employment Opportunity Commission (the “EEOC”) and

with the District of Columbia Office of Human Rights (“OHR”). By letter dated

October 12, 2017, she received from the EEOC a notice dismissing her complaint

and notifying her of her right to file suit under the statutes enforced by the EEOC

(including Title VII and the ADEA). OHR dismissed her complaint for lack of

jurisdiction on March 20, 2018. Appellant filed her lawsuit on August 7, 2018. 4

      Ruling on defendants’ motion to dismiss, the Superior Court determined that

the Amended Complaint failed to state a claim upon which relief could be granted.

As noted above, appellant challenges all aspects of the court’s ruling except for its

dismissal of her ADEA and breach of contract claims. Below, we address each

portion of the Superior Court’s rationale for dismissal. Our review of the Superior

      4
         In her reply brief, appellant asserts that her Amended Complaint was
primarily about retaliation, and she emphasizes the “temporal proximity” between
her protected activity (i.e., her having expanded the scope of her internal EEO
complaint) and her termination, as well as the absence of any “legitimate mentions
of performance issues” prior to her filing (and thereafter amending) her internal
complaint.
                                        5

Court’s ruling granting defendants’ motion to dismiss is de novo. Grimes v.

District of Columbia, 89 A.3d 107, 112 (D.C. 2014).

                                        II.

      A.

      In dismissing appellant’s DCHRA discrimination and retaliation claims, the

Superior Court found that it is “established law” that the DCHRA is inapplicable to

employees of the D.C. Courts. The court relied on Mapp v. District of Columbia,

993 F. Supp. 2d 26, 28 (D.D.C. 2014) (holding that the broad power the DCHRA

gives District of Columbia executive agencies to remedy discrimination in all

aspects of employment “fatally conflicts” with the 1970 District of Columbia Court

Reorganization Act (the “Court Reorganization Act” 5) and the 1973 District of

Columbia Home Rule Act (the “Home Rule Act” 6)); see also Cornish v. District of

Columbia, 67 F. Supp. 3d 345, 366 (D.D.C. 2014) (agreeing that “[t]he D.C. City

      5
          Pub. L. No. 91-358, Title I, 84 Stat. 473, codified at D.C. Code § 11-101
et seq. (2012 Repl.).
      6
        Pub. L. 93-198, 87 Stat. 774, codified at D.C. Code § 1-201.01 et seq.
(2016 Repl.).
                                         6

Council may not regulate matters covered by the Reorganization Act, which

expressly reserves management of personnel policies to the [D.C. Courts] Joint

Committee [on Judicial Administration,]” quoting Mapp, 993 F. Supp. 2d at 28

(internal quotation marks omitted)). 7

      This court has not previously addressed whether the DCHRA applies to the

D.C. Courts. Considering that issue for the first time in this case, we hold that it

does not, i.e., that the DCHRA does not provide an employment-discrimination

remedy for D.C. Courts employees.

      As the courts did in Mapp and Cornish, we begin our analysis with the

language of the Court Reorganization Act and the Home Rule Act. The Court

Reorganization Act established the District of Columbia Court of Appeals and the

Superior Court of the District of Columbia as components of “a wholly separate

court system designed primarily to concern itself with local law and to serve as a

      7
         Mapp was a former probation officer for the Superior Court who alleged
multiple counts of employment discrimination in violation of the DCHRA. Mapp,
993 F. Supp. 2d at 27. Cornish asserted causes of action for hostile work
environment and disparate treatment based on personal appearance in violation of
the DCHRA, based on allegations about her treatment during her tenure as a
program specialist in the Superior Court’s Paternity and Child Support Branch.
Cornish, 67 F. Supp. 3d at 348-49, 364.
                                          7

local court system for a large metropolitan area.” Palmore v. United States, 411

U.S. 389, 408 (1973). The Court Reorganization Act also established the Joint

Committee on Judicial Administration (the “Joint Committee”), conferring on it

“responsibility within the District of Columbia court system for . . . [g]eneral

personnel policies, including those for recruitment, removal, compensation, and

training” and for “other policies and practices of the District of Columbia court

system.”     D.C. Code § 11-1701(b)(1), (9).       The Reorganization Act further

specified that “[a]ppointments and removals of court personnel shall not be subject

to the laws, rules, and limitations applicable to District of Columbia employees.”

D.C. Code § 11-1725(b). As we have previously observed, “[t]hese provisions,

among others, manifest Congress’s overall intent to vest ‘final authority’ over the

operations of the D.C. Courts in the Chief Judges and the Joint Committee.”

Martin v. District of Columbia Courts, 753 A.2d 987, 992 (D.C. 2000).

      In enacting the Home Rule Act, Congress mandated that the District of

Columbia court system “shall continue as provided under the . . . Court

Reorganization Act,” “subject to . . . [D.C. Code] § 1-206.02(a)(4).” 8 D.C. Code §

1-207.18(a).    Section 1-206.02(a)(4) states that the Council of the District of

Columbia (the “Council”) “shall have no authority to . . .             [e]nact any act,

      8
          Section 1-206.02 is entitled “Limitations on the Council.”
                                          8

resolution, or rule with respect to any provision of Title 11 (relating to organization

and jurisdiction of the District of Columbia courts).”

      The Mapp court relied on the foregoing provisions to conclude that, under

the “plain and unambiguous” statutory language, the Council “may not [including

through the DCHRA] regulate matters covered by the Reorganization Act, which

expressly reserves management of [D.C. Courts] personnel policies to the Joint

Committee[.]” 993 F. Supp. 2d at 28. The court reasoned that a holding that the

DCHRA applies to the D.C. Courts “would permit regulation of court personnel by

the Office and Commission on Human Rights” through their broad power under

D.C. Code § 2-1411.03 “to receive, review, investigate, and mediate employment

discrimination claims” and “to remedy discrimination in all aspects of

employment” in the District, and would “fatally conflict[]” with the Reorganization

and Home Rule Acts. Id. 9

      9
            The Mapp court specifically rejected the argument that § 1-
206.02(a)(4) merely “limits the prohibition on [C]ouncil action to regulations
regarding organization and jurisdiction” of the D.C. Courts, id. at 29, reasoning
that the argument “is defeated by the absence of any limiting language in the
[Home Rule] statute,” id. at 28. The court acknowledged that the prohibition in
§ 1-206.02(a)(4) refers in a parenthetical to Title 11 as “relating to organization
and jurisdiction of the District of Columbia courts[,]” but cited the holding of other
courts that “‘relating to’ parentheticals are ‘descriptive and not limiting.’” Id. at
29. We express no view as to whether the Mapp court’s analysis on this point is
correct.
                                         9

       We have no difficulty agreeing with the Mapp court that because the

DCHRA gives the Executive Branch “broad power [under the DCHRA] to remedy

discrimination,” Mapp, 993 F. Supp. 2d at 28, permitting D.C. Courts employees to

seek    remedies   for   alleged   employment-related     discrimination    through

administrative complaints filed with OHR would be inconsistent with the Joint

Committee’s plenary power with respect to court-system personnel policies and

practices. 10

       10
           And indeed neither the DCHRA nor OHR’s operating procedures make
any provision for an administrative complaint process or remedy with respect to
any personnel practices by the D.C. Courts. The statute provides for the Mayor to
make “[t]he final administrative determination” in matters involving administrative
complaints alleging violations of the DCHRA by “District of Columbia
government agencies, officials and employees.” D.C. Code § 2-1403.03(a). The
Commission on Human Rights — which the OHR website describes as “an agency
within [OHR] that adjudicates private sector discrimination complaints brought
under the [DCHRA]” — may order private-sector respondents to take “affirmative
action” to remedy unlawful discriminatory practices, “including but not limited to”
hiring, reinstating, or upgrading an employee who has been the victim of
discrimination. D.C. Code § 2-1403.03(a)(1)(A). By contrast, in dismissing
appellant’s administrative complaint, OHR explained that it “does not have
jurisdiction to accept or investigate complaints of discrimination against [the D.C.
Superior Court]”.         Its operating procedures state the same.               See
https://ohr.dc.gov/sites/default/files/dc/sites/ohr/publication/attachments/OHR%20
Standard%20Operating%20Procedures_October2017_FINAL.pdf;
https://perma.cc/E435-R3FW at 10 (last visited January 14, 2022).
                                         10

      This court has recognized the Council’s “inten[t] to allow the courts of this

jurisdiction to grant broader relief under the DCHRA than the OHR [i]s authorized

to grant” in resolving administrative complaints.        Arthur Young & Co. v.

Sutherland, 631 A.2d 354, 371 (D.C. 1993). Thus, the same issue presented by

OHR’s broad power to remediate DCHRA violations arises with respect to the

broad remedial powers of courts in this jurisdiction, which likewise could be

employed in a way that encroaches on the Joint Committee’s responsibility to

determine personnel policies and practices for the D.C. Courts. However, given

the “strong presumption . . . in favor of judicial reviewability” and our recognition

that “the general equitable jurisdiction of the Superior Court extends to challenges

by public employees of official decisions affecting their tenure,” Martin, 753 A.2d

at 991 (internal quotation marks omitted), we cannot easily conclude that an

employee of the D.C. Courts may not sue the D.C. Courts to seek redress for what

the employee alleges are the D.C. Courts’ violations of the DCHRA. 11

      11
          It also is not clear why a D.C. Courts employee’s suit against the D.C.
Courts alleging breach of contract, wrongful termination, or violation of a District
of Columbia law enacted for the protection of employees — any of which
presumably could implicate the Joint Committee’s plenary authority over D.C.
Courts’ personnel policies and practices — should be allowed, while an
employment-discrimination suit based on alleged violations of the DCHRA would
be inconsistent with the Joint Committee’s authority.
                                        11

      The Mapp court did not grapple with the issue of whether a judicial remedy

would be inconsistent with the Court Reorganization Act’s reservation of

“regulation of court personnel for the Joint Committee,” but concluded instead that

“[a]ny legislation concerning [D.C. Courts] personnel policies exceeds th[e]

boundaries [drawn by Congress].” 993 F. Supp. 2d at 29. 12 In other words, it

reasoned that the DCHRA simply “is inapplicable to employees of the D.C.

Superior Court and the D.C. Court of Appeals.” Id. at 28 (“The D.C. City Council

may not regulate matters covered by the Reorganization Act, which expressly

reserves management of personnel policies to the Joint Committee and explicitly

exempts appointments and removals of court personnel from regulations generally

applicable to District employees.”). As the language of the foregoing parenthetical

shows, in reaching that conclusion, the Mapp court relied in part on the Court

Reorganization Act language codified at D.C. Code § 11-1725(b) that exempts

“[a]ppointments and removals of court personnel” from “laws, rules, and

limitations applicable to District of Columbia employees.” See 993 F. Supp. 2d at

28 (paraphrasing § 11-1725(b) and adding the modifier “generally” before

“applicable”).

      12
          See also Cornish, 67 F. Supp. 3d at 366; Council of the District of
Columbia v. Gray, 42 F. Supp. 3d 134, 140 n.2 (D.D.C. 2014) (interpreting D.C
Code § 1-206.02(a)(4) as prohibiting the Council from regulating the D.C. Courts),
vacated as moot, 2015 U.S. App. LEXIS 8881 (D.C. Cir. 2015).
                                       12

      We can agree that the DCHRA is a law applicable (or generally applicable)

to District of Columbia employees. But so, for example, is Title VII; yet, as the

Mapp court acknowledged, Title VII is applicable to D.C. Courts employees. Id. at

29. This leads us to conclude that insofar as the Mapp court’s reasoning that the

DCHRA “is inapplicable to employees of the [D.C. Courts]” was premised on the

exemption expressed in § 11-1725(b), 13 the Mapp court’s reasoning is not

persuasive.

      However, for purposes of our analysis here, what is instructive about the

Court Reorganization Act provision codified at § 11-1725(b) is that it mandates

that D.C. Courts employees are not generally to be considered “District of

Columbia employees” (even though the D.C. Courts is the District’s “local court

      13
            In Martin, we observed that a “noteworthy” result of the exemption
expressed in § 11-1725(b) is that the Comprehensive Merit Personnel Act (the
“CMPA”), which establishes personnel policies for most employees of the District
of Columbia government, “designedly does not apply to employees of the D.C.
Courts.” 753 A.2d at 993. At least arguably, the (explicitly mandated and
anticipated) CMPA or its predecessor merit personnel statute and the attendant
regulations were the law and rules Congress had in mind in enacting the exemption
expressed in § 11-1725(b). When Congress adopted the Court Reorganization Act,
it certainly did not have in mind the later-enacted (and Council-enacted) DCHRA.
                                         13

system” 14). What persuades us that D.C. Courts employees have no employment-

discrimination remedy under the DCHRA is the Council’s understanding, reflected

in statements it made when enacting the 2002 amendments to the DCHRA, that in

the area of employment, the universe of individuals to whom the DCHRA applies

includes, on the one hand, “District of Columbia employees,” and on the other

hand, their “private sector counterparts” (and no one else). See Committee of the

Whole, Report on Bill 14-132, “Human Rights Amendment Act of 2002” (April

16, 2002), at 5. The 2002 legislation amended the DCHRA to remedy the disparity

that “though their private sector counterparts do not have to, District of Columbia

employees must first exhaust all administrative remedies before proceeding to

court.”    Id.   The Council resolved this disparity “by allowing complaints by

District employees alleging discrimination by the District to be filed either

administratively or in Superior Court.” 15 Id. The Council found that the DCHRA

should afford “the right to elect one’s remedy.” Id. This legislative history

      14
           Palmore, 411 U.S. at 408.
      15
         The legislation, D.C. Law 14-189, § 2(h), added a new subsection (b) to
D.C. Code § 2-1403.03. See 49 D.C. Reg. 6523, 6524 (July 12, 2002). Section 2-
1403.03(b) reads: “A person claiming to be aggrieved by an unlawful
discriminatory practice on the part of District government agencies, officials, or
employees may elect to file an administrative complaint under the rules of
procedure established by the Mayor under this section or a civil action in a court of
competent jurisdiction under § 2-1403.16.”
                                        14

persuades us both that (1) the Council did not intend that the employment-

discrimination provisions of the DCHRA would apply to D.C. Courts employees

(who are neither District of Columbia employees nor private-sector employees),

and (2) it would be inconsistent with the Council’s intended “right to elect one’s

remedy” regulatory scheme to interpret the DCHRA as affording D.C. Courts

employees a DCHRA-lawsuit remedy for alleged employment discrimination

while, for the reasons discussed above, denying them access to an administrative

remedy through OHR. 16 We therefore conclude that, as a matter of Council intent,

the DCHRA simply does not afford any remedy to D.C. Courts employees (who,

the Court Reorganization Act establishes, are not District of Columbia employees).

      We hasten to add, however, echoing the Mapp and Cornish courts’

observations, that any concern that the “District’s courts would escape

anti-discrimination regulation is diminished by the fact that local courts remain

      16
          “While the action of a later Council usually does not provide definitive
evidence of the intent underlying the action of a former Council,” the rationale for
an amendment may support an interpretation regarding the Council’s original
intent. Coleman v. Cumis Ins. Soc., 558 A.2d 1169, 1172-173 (D.C. 1989)
(citations omitted). To borrow language from the Supreme Court, if the Council
did not intend to create a DCHRA remedy for D.C. Courts employees to obtain
redress for employment discrimination, “a cause of action [for them under the
DCHRA] does not exist and [this court] may not create one, no matter how
desirable that might be as a policy matter, or how compatible with the [goals of]
the statute.” Alexander v. Sandoval, 532 U.S. 275, 286-87 (2001).
                                         15

subject to Title VII[.]” 17 Mapp, 993 F. Supp. 2d at 29; Cornish, 67 F. Supp. 3d at

366. We also note that for federal employees, Title VII “provides the exclusive

remedy for claims of federal workplace discrimination on the basis of membership

      17
         See 42 U.S.C. § 2000e-2(a)(1) (providing that “[i]t shall be an unlawful
employment practice for an employer . . . to fail or refuse to hire or to discharge
any individual, or otherwise to discriminate against any individual with respect to
his compensation, terms, conditions, or privileges of employment, because of such
individual’s race, color, religion, sex, or national origin”).

       Appellant alleged discrimination not only on the basis of race and sex but
also on the basis that she is dark-skinned; her complaint refers to this as
discrimination based on “personal appearance,” which is a prohibited basis of
discrimination under the DCHRA but not under Title VII. However, the DCHRA
prohibition against discrimination on the basis of “personal appearance” is a
prohibition against discrimination based on “the outward appearance of any
person, irrespective of sex, with regard to bodily condition or characteristics,
manner or style of dress, and manner or style of personal grooming, including, but
not limited to, hair style and beards.” D.C. Code § 2-1401.02(22). Discrimination
on the basis of dark skin would seem to constitute discrimination on the basis of
color or race. Cf. Howard v. District of Columbia Pub. Sch., 501 F. Supp. 2d 116,
121 n.15 (D.D.C. 2007) (“Title VII claims based on color have been interpreted by
the courts as relating to the complexion of one’s skin.”). Color and race are
prohibited bases of discrimination under both Title VII and the DCHRA. See 42
U.S.C. § 2000e-2(a)(1) and D.C. Code § 2-1402.11(a). In addition, retaliation for
having opposed discrimination on any of the prohibited bases is an unlawful
practice under both Title VII and the DCHRA. See 42 U.S.C. § 2000e-3(a) (“It
shall be an unlawful employment practice for an employer to discriminate against
any of his employees . . . because he has opposed any practice made an unlawful
employment practice by this title.”) and D.C. Code § 2-1402.61(a) (“It shall be an
unlawful discriminatory practice to coerce, threaten, retaliate against, or interfere
with any person in the exercise or enjoyment of, or on account of having exercised
or enjoyed, or on account of having aided or encouraged any other person in the
exercise or enjoyment of any right granted or protected under this chapter.”).
                                        16

in classes protected by Title VII.” 18 Because D.C. Courts non-judicial employees

“shall be treated as employees of the Federal Government” for some (limited but

significant) purposes, D.C. Code § 11-1726(b)(1), it is neither untoward nor

incongruous that D.C. Courts employees, like federal employees, are foreclosed

from pursuing employment-discrimination claims through city or state anti-

discrimination or human rights laws. 19 Finally, we note in addition that Policy No.

0400(I) of the D.C. Courts Comprehensive Personnel Policies (“CPP”) adopted by

the Joint Committee precisely tracks the DCHRA provision listing the prohibited

bases of employment discrimination, thereby affording protection from invidious

employment discrimination. 20

      18
         Moore v. Carson, 775 F. App’x 2, 2 (D.C. Cir. 2019); see also, e.g.,
Howard v. Pritzker, 775 F.3d 430, 432 (D.C. Cir. 2015) (“In Title VII, Congress
enacted ‘an exclusive, pre-emptive administrative and judicial scheme for the
redress of federal employment discrimination.’” (quoting Brown v. Gen. Servs.
Admin., 425 U.S. 820, 829 (1976))); Chennareddy v. Bowsher, 935 F.2d 315, 318
(D.C. Cir. 1991) (“[T]he ADEA provides the exclusive remedy for a federal
employee who claims age discrimination.”).
      19
          See Pretlow v. Garrison, 420 F. App’x 798, 801 (10th Cir. 2011)
(explaining that federal employee’s exclusive remedy for complaints of
discrimination and associated retaliatory conduct was provided by Title VII and
that claims under state anti-discrimination law were precluded); Rivera v. Heyman,
157 F.3d 101, 105 (2d Cir. 1998) (agreeing that federal employee could not sue
under the Human Rights Laws of the State and City of New York because “Title
VII provides the sole remedy for federal employees alleging employment
discrimination”).
      20
        Compare CPP Policy No. 400(I) (“It is the policy of the District of
Columbia Courts to provide equal employment opportunity for all persons; to
                                                                      (continued…)
                                         17

      To sum up, we conclude that D.C. Courts employees have no remedy under

the DCHRA for employment discrimination, and we therefore uphold the Superior

Court’s ruling dismissing appellant’s DCHRA discrimination and retaliation

claims.

(…continued)
prohibit discrimination in employment on account of race, color, religion, national
origin, sex, age, marital status, personal appearance, sexual orientation, gender
identity or expression, family responsibilities, genetic information, disability,
matriculation, political affiliation, status as a victim or family member of a victim
of domestic violence, a sexual offense, or stalking, or credit information of any
individual[.]”) with the DCHRA section codified at D.C. Code § 2-1402.11(a)
(prohibiting employment discrimination based on actual or perceived “race, color,
religion, national origin, sex, age, marital status, personal appearance, sexual
orientation, gender identity or expression, family responsibilities, genetic
information, disability, matriculation, political affiliation, status as a victim or
family member of a victim of domestic violence, a sexual offense, or stalking, or
credit information of any individual”). Thus, the Cornish court’s observation that
the D.C. Courts personnel policies “include[] similar language to the DCHRA
about prohibiting discrimination,” 67 F. Supp. 3d at 367, is something of an
understatement.

       Appellant’s complaint did not assert a violation of the CPP, and this appeal
does not raise the issue of whether a D.C. Courts employee may sue to recover
damages (the relief appellant seeks) for an alleged violation of Policy No. 400(I).
Accordingly, we express no opinion as to that question. But see Martin, 753 A.2d
at 993-94 (holding that although no section of the CPP provides for judicial
review, the procedures specified in the CPP are binding regulations and are
enforceable through judicial review); Cornish, 67 F. Supp. 3d at 367 (concluding
that nothing in sections of the CPP “grants an employee the right to sue the District
or the D.C. Courts for monetary damages based on alleged employment
discrimination”).
                                         18

      B.

      The Superior Court dismissed appellant’s Title VII claim (as well as her

ADEA claim) as time-barred because appellant failed to file suit within ninety days

from the date when she received notice from the EEOC of her right to file. See 42

U.S.C. §§ 2000e-5(f)(1) and 2000e-16(c) and 29 U.S.C. § 626(e). Appellant’s

EEOC right-to-sue notice was dated October 12, 2017, but she did not file her

complaint until August 7, 2018, which the Superior Court aptly observed was

“well beyond the filing period.”     We therefore uphold the dismissal of these

claims.

      C.

      The Superior Court found that the Amended Complaint failed to allege facts

that could support a claim for defamation. The statements about which appellant

complains were (1) alleged statements by defendants to appellant’s former

coworkers that appellant was not permitted to return to the workplace during

business hours and (2) alleged statements to prospective employers that appellant

was terminated for failure to perform.
                                         19

      To prove a claim of defamation, a plaintiff must show that (1) the defendant

made a false and defamatory statement concerning the plaintiff; (2) the defendant

published the statement without privilege to a third party; (3) the defendant’s fault

in publishing the statement amounted to at least negligence; and (4) publication of

the statement caused the plaintiff special harm or the statement was actionable as a

matter of law irrespective of special harm. See Carter v. Hahn, 821 A.2d 890, 893

(D.C. 2003). In this jurisdiction, “one who in the regular course of business is

asked by a prospective employer . . . for information concerning a person, is

entitled to the defense of qualified privilege if his reply would otherwise be

regarded as defamatory.” Smith v. District of Columbia, 399 A.2d 213, 220 (D.C.

1979) (quoting Collins v. Brown, 268 F. Supp. 198, 200 (D.D.C., 1967)); see also

Edwards v. James Stewart & Co., 160 F.2d 935, 936 (D.C. Cir. 1947) (concluding

that former employer’s letter to a prospective employer, stating that the former

employee’s “services were not satisfactory,” was a privileged communication).

Where (as here) the existence of such a privilege is apparent from the face of the

complaint, to state a claim and withstand a motion to dismiss, the complaint must

“plead facts which, if true, would demonstrate that defendants had lost the

privilege by making statements with actual malice.” Issaenko v. Univ. of Minn., 57

F. Supp. 3d 985, 1033 (D. Minn. 2014) (citing Elkharwily v. Mayo Holding Co.,
                                         20

955 F. Supp. 2d 988, 999-1000 (D. Minn. 2013)); see also Mosrie v. Trussell, 467

A.2d 475, 477 (D.C. 1983) (“[T]he defense [of qualified privilege] is lost by the

showing of malice.”); Hargrow v. Long, 760 F. Supp. 1, 3 (D.D.C. 1989) (stating

that privilege can be overcome if the plaintiff shows that the statements were

“knowingly false [] or made in bad faith or reckless disregard of the truth”).

         The Superior Court dismissed appellant’s defamation claims on the ground

that the alleged statements were not false. The court reasoned that the first of the

alleged statements accurately restated what appellant was told in the termination

notice, i.e., that as a former employee, she was allowed to retrieve personal items

from the court building and to return D.C. Courts property only outside of office

hours.     The court also found that the alleged statements implied nothing

defamatory, but instead reflected “a standard and predictable aspect of workplace

policy in an organization concerned about security.”         Regarding the alleged

statements to prospective employers, the court noted that they accurately reflected

the statement in the termination notice that appellant was terminated for “failure to

demonstrate satisfactory performance.” The record supports the Superior Court’s

analysis on these points.
                                         21

      Moreover, as numerous courts have held, “mere allegations of unsatisfactory

job performance do not generally rise to the level of defamation per se.” Mann v.

Heckler & Koch Def., Inc., 639 F. Supp. 2d 619, 635 (E.D. Va. 2009) (quoting

McBride v. City of Roanoke Redevelopment & Housing, 871 F. Supp. 885, 892

(W.D. Va. 1994); see also, e.g., ITT Rayonier, Inc. v. McLaney, 420 S.E.2d 610,

613 (Ga. App. 1992) (although supervisor asserted that the plaintiff’s job

performance was unsatisfactory, the expression of that opinion did not constitute

an actionable defamation). Further, although appellant alleges that the statements

to prospective employers were pretextual and made with knowledge that the stated

rationale of “failure to demonstrate satisfactory performance” was untrue, her

Amended Complaint does not identify who allegedly conveyed the information in

question to the prospective employers, and does not allege that those particular

individuals knew what appellant claims were the actual (retaliatory) reasons for her

termination.   Rather, the Amended Complaint refers vaguely to “Defendants’

negative comments” and asserts that unspecified “Defendants have reportedly told

prospective employers who called for a reference that Plaintiff was terminated for

performance.” 21 In short, the complaint does not “plead facts which, if true, would

      21
          Cf. Stencel v. Augat Wiring Sys., 173 F. Supp. 2d 669, 681 (E.D. Mich.
2001) (dismissing defamation claim against corporation and concluding that it was
not pled with sufficient detail where the plaintiff failed to name as defendant(s) any
individual person(s) who made the allegedly defamatory statement).
                                           22

demonstrate that defendants . . . lost the privilege” by making statements with bad

faith, malice, or reckless disregard of the truth. Issaenko, 57 F. Supp. 3d at 1033.

For these reasons, too, we agree that appellant failed to plead facts sufficient for a

plausible claim of defamation. See Clampitt v. American Univ., 957 A.2d 23, 29

(D.C. 2008) (explaining that to withstand a motion to dismiss, a complaint’s

“[f]actual allegations must be enough to raise a right to relief above the speculative

level” (quoting Bell Atl. Corp. v. Twombly, 550 U.S. 544, 555 (2007)).

         For the foregoing reasons, we uphold the dismissal of appellant’s defamation

claim.

         D.

         We likewise uphold the court’s dismissal of appellant’s intentional infliction

of emotional distress (“IIED”) claim. To state a claim for IIED, a plaintiff must

prove (1) extreme and outrageous conduct by the defendant that (2) intentionally or

recklessly (3) caused the plaintiff severe emotional distress. See Kotsch v. District

of Columbia, 924 A.2d 1040, 1045 (D.C. 2007). To be “extreme and outrageous,”

conduct must be “so outrageous in character, and so extreme in degree, as to go

beyond all possible bounds of decency, and to be regarded as atrocious, and utterly
                                        23

intolerable in a civilized community.” Kerrigan v. Britches of Georgetowne, Inc.,

705 A.2d 624, 628 (D.C. 1997) (internal quotation marks omitted) (quoting

Bernstein v. Fernandez, 649 A.2d 1064, 1075 (D.C. 1991)).

      The Superior Court found that appellant had alleged no facts that satisfy that

demanding standard; it reasoned that it is customary for prospective employers to

inquire about a prospective employee’s work performance, and that a bare

statement that appellant failed to demonstrate satisfactory performance was neither

extreme nor outrageous. The court also found that appellant alleged nothing in the

Amended Complaint to support a finding that she suffered severe emotional

distress. We agree. 22

      E.

      Appellant’s wrongful termination claim was also properly dismissed. She

was still a probationary employee at the time of her termination and thus was an at-

will employee who could be discharged “at any time and for any reason, or for no

      22
          See also Ray v. Reich, No. 93-5294, 1994 WL 148105, at *1 (D.C. Cir.
Apr. 13, 1994) (per curiam) (“[A]s Title VII provides the exclusive remedy for
federal employees asserting discrimination claims, [appellant’s] claim[] for
intentional infliction of emotional distress . . . w[as] properly dismissed.”).
                                         24

reason at all.” Adams v. George W. Cochran & Co., 597 A.2d 28, 30 (D.C. 1991).

There is, as the Superior Court recognized, a narrow exception to the at-will-

employee doctrine that applies where an at-will employee is terminated for refusal

to violate the law, or where the termination violates public policy. See id. at 32.

Appellant did not allege that she was terminated for refusal to violate the law. As

for her claim that her termination was discriminatory and retaliatory and thus

against public policy, that claim was not cognizable. As we have explained, where

there is “a specific, statutory cause of action to enforce” a public policy (such as a

policy against workplace discrimination and against retaliation based on invocation

of rights under the antidiscrimination statute), this court will “defer to the

legislature’s prerogatives and . . . decline to recognize a novel, competing cause of

action for wrongful discharge at common law.” Carter v. District of Columbia,

980 A.2d 1217, 1226 (D.C. 2009). Thus, the fact that appellant could have timely

pursued her rights under the public policies that are embodied in Title VII 23 and the

ADEA means that she may not pursue a claim for termination in violation of

public policy based on the same factual allegations she asserted in support of her

Title VII and ADEA claims. See Nolting v. National Capital Group, Inc., 621

A.2d 1387, 1390 (D.C. 1993) (“[W]e do not think [the ‘very narrow’ public policy

      23
          See, e.g., 42 U.S.C. § 2000e-3(a) (prohibiting retaliation for complaining
of Title VII violation).
                                         25

exception] can be invoked where the very statute creating the relied-upon public

policy already contains a specific and significant remedy for the party aggrieved by

its violation.”); see also, e.g., Kassem v. Washington Hosp. Ctr., 513 F.3d 251,

255 (D.C. Cir. 2008) (upholding dismissal of wrongful-discharge claim because

“the District’s own common law extinguishes [such a claim] when the statute

giving rise to the public policy at issue contains an alternative remedy”); Jones v.

District of Columbia Water & Sewer Auth., 943 F. Supp. 2d 90, 96 (D.D.C. 2013)

(“To the extent that Jones asserts a cause of action that rests on a public policy

already advanced by Title VII, the DCHRA, or the District’s Whistleblower

Protection Act, for example, [a public-policy exception] claim would

fail.”); Stevens v. Sodexo, Inc., 846 F. Supp. 2d 119, 126 (D.D.C. 2012) (The

public-policy exception must rest on “a statute or regulation that does not provide

its own remedy.”); Carson v. Giant Food, Inc., 187 F. Supp. 2d 462, 483 (D. Md.

2002) (rejecting public-policy exception where remedy already exists under Title

VII).

        F.

        Finally, the Superior Court dismissed appellant’s conspiracy claim on the

ground that the defendants constitute a single entity, such that, as a matter of law,
                                          26

there could be no agreement among them establishing a conspiracy. See, e.g.,

Hamilton v. District of Columbia, 720 F. Supp. 2d 102, 109 (D.D.C. 2010)

(explaining that when D.C. government officials act within the scope of their

employment, they are considered members of a single entity); McMillian v.

District of Columbia, 466 F. Supp. 2d 219, 223 (D.D.C. 2006) (noting that an

action for civil conspiracy does not encompass acts performed by a single entity,

and concluding that because the defendant District of Columbia government and its

officials constitute a single entity, the plaintiff’s allegations could not make out a

case for civil conspiracy).

      Appellant contends that her Amended Complaint sufficiently alleged that the

individual defendants agreed on a course of conduct that was not part of their

employment responsibilities.     We need not resolve that issue because, in our

jurisdiction, conspiracy is not an independent tort but depends upon the

establishment of some other tortious conduct by the defendants. See Saucier v.

Countrywide Home Loans, 64 A.3d 428, 446 (D.C. 2013) (“[[C]ivil] conspiracy is

not independently actionable; rather it is a means for establishing vicarious liability

for the underlying tort.”) (internal quotation marks omitted) (quoting Halberstam

v. Welch, 705 F.2d 472, 479 (D.C. Cir. 1983)). Because appellant’s other claims

fail for the reasons explained above, her conspiracy claim likewise fails.
                                  27

For all the foregoing reasons, the judgment of the Superior Court is

                                Affirmed.