Court Opinion

ID: 5175894
Source: CourtListenerOpinion
Date Created: 2022-01-04 19:01:06.284394+00
Date Added: 2024-06-11T08:26:18.426577
License: Public Domain

UNITED STATES DISTRICT COURT
                              FOR THE DISTRICT OF COLUMBIA

 JABARI STAFFORD,

                         Plaintiff,

                         v.                            Case No. 18-cv-2789 (CRC)

 THE GEORGE WASHINGTON
 UNIVERSITY,

                         Defendant.

                                      MEMORANDUM OPINION

       Plaintiff Jabari Stafford alleges that he was a victim of racial abuse by coaches and

teammates during his three-and-a-half years as a varsity tennis player at George Washington

University (“GWU” or “the University”). Stafford also claims that the University was

deliberately indifferent to the racial hostility he experienced, in violation of Title VI of the Civil

Rights Act of 1964, 42 U.S.C. § 2000d. Before the Court is GWU’s motion for summary

judgment. As explained below, the Court concludes that GWU is entitled to summary judgment

because Stafford’s Title VI claim is entirely barred by the applicable statute of limitations—the

one-year limitations period in the District of Columbia Human Rights Act. The Court

acknowledges, however, that its statute of limitations holding is a novel one; courts in this

district have up to now applied the three-year limitations period from D.C.’s general personal

injury law to Title VI claims. In recognition of that fact, and for the benefit of the parties and

any reviewing court, the Court also indicates, at the conclusion of its Opinion, how it would view

the summary judgment record under a three-year statute of limitations.

                                                   1
 I.    Background

       A. Factual background

       Plaintiff Jabari Stafford, who is African American, joined the GWU men’s tennis team in

the fall of 2014. Def. SMF ¶¶ 1, 13–15.1 According to Stafford, shortly after the start of his

freshman season, several of his teammates began using what he refers to as “racial rhetoric”:

calling him the n-word or using it in his presence, referring to him as a “monkey,” asking about

whether his ancestors had been enslaved, and posting memes using the n-word to social media.

See Pl. SMF ¶¶ 17–18; Def. Mot. Summ. J., Ex. 2 at 46:1–5 (Jabari Stafford Dep.). Stafford’s

statement of disputed fact does not pinpoint the timing of such incidents, and evidence in the

record likewise does not always provide a clear timeline. See Pl. SMF ¶ 17 (placing incidents

generally in Stafford’s freshman and sophomore years); Def. Ex. 2 at 51:20–22 (explaining only

that teammates made such comments “throughout [his] tenure at GW”). Stafford emphasized in

deposition testimony, however, that this kind of “[r]acial rhetoric” began in “the very beginning

of his freshman year,” and that he quicky complained about it to the head coach at the time, Greg

Munoz. Def. Ex. 2 at 48:19–50:21. Stafford claims that Munoz did nothing in response—and

instead participated in and encouraged the mistreatment Stafford faced. See Pl. SMF ¶¶ 32–40.

       1
          The Court draws these facts from the defendant’s Statements of Material Facts Not in
Dispute (“Def. SMF”), ECF No. 78-1, and the plaintiff’s competing Statement of Genuine Issues
(“Pl. SMF”), ECF No. 82, as well as other evidentiary exhibits filed by the parties as necessary.
The Court notes that the plaintiff’s Statement of Material Facts does not generally satisfy the
requirements of Local Rule 7(h)(1), which requires the non-moving party to directly
“controvert[]” the facts identified by the moving party. See LCvR 7(h)(1); see also Cauthen v.
District of Columbia, 459 F. Supp. 3d 134, 137 n.1 (D.D.C. 2020). That deficiency has made it
more difficult for the Court to assess the summary judgment record. Nevertheless, exercising the
discretion granted to it by the local rules, the Court chooses not to treat any of the assertions in
GWU’s Statement of Material Facts as conceded. See Arrington v. United States, 473 F.3d 329,
335 (D.C. Cir. 2006) (noting that rule “permits, but does not require,” district court to treat facts
as conceded).

                                                 2
In Stafford’s telling, Munoz and other coaching staff singled out him and other players of color

because of their race and American nationality in several separate incidents that year. Id. ¶¶ 4–

16.

       Things first came to a head in January 2015—the middle of Stafford’s freshman year—

when he was suspended from the tennis team following an altercation with a teammate. See Def.

SMF ¶ 32; Pl. SMF ¶ 26. In his statement of facts, Stafford claims that, at the time, his “only

confrontations with teammates consisted of him voicing his objections to their racist remarks.”

Pl. SMF ¶ 26. But the cited portions of the record do not substantiate that allegation. See Def.

Ex. 2 at 45:15–46:14 (recounting complaint of racism to Coach Munoz and altercation with

teammate, but never claiming that fights with teammates had been limited to objections to racist

remarks). And a January 18, 2015, email from Munoz to Stafford lists several other reasons for

the suspension, including his “anger control” and “profanity issues,” his lack of “pride” in the

University, a failure to “support teammates,” and an incident in which Stafford “disrespect[ed]”

an assistant coach and failed to apologize. Def. SMF ¶ 33; Def. Mot. Summ. J., Ex. 16.

       After the suspension, Stafford and his father, Tom, met with Coach Munoz and Nicole

Early, the administrator for the tennis team in GWU’s Athletics Department. See Def. SMF

¶¶ 34–36; Pl. SMF ¶ 43. The parties’ accounts of this meeting differ substantially. Stafford and

his father both testified that, during this conversation, they told Early and Munoz about “the

racial rhetoric that was going on,” including “the names, the harassment, [and] the hostility.”

See Pl. SMF ¶ 44; Def. Ex. 2 at 120:13–121:19; Def. Mot. Summ. J., Ex. 6 at 41:10–42:11 (Tom

Stafford Dep.) (recounting discussions of “unlevel playing field” and “race in America”). In

Jabari’s view, the two “ignored” his report. Def. Ex. 2 at 120:21–22. GWU, by contrast, insists

that the meeting focused solely on “the non-discriminatory reasons” for Stafford’s suspension.

                                                 3
See Def. SMF ¶ 36; Def. Mot. Summ. J., Ex. 20 at 15 (GWU interrogatory responses). Notably,

Early did not recall any discussion of racism. Rather, she remembered Stafford’s father alleging

his son was treated differently than other players who engaged in similarly disruptive and

disrespectful behavior, but did not remember him tying this treatment to Jabari’s “race.” Def.

Mot. Summ. J., Ex. 7 at 49:3–11 (Early Dep.). The parties have pointed to no evidence in the

record that either Early or Munoz took steps to address any racial harassment on the tennis team

after this meeting. A month later, Stafford was reinstated to the team. Def. SMF ¶¶ 40–41.

       Stafford’s teammates’ use of racial slurs purportedly continued through the end of his

freshman year and into his sophomore season. For example, Stafford testified in his deposition

that shortly after his reinstatement, one player yelled the n-word “so loud that pretty much

everybody could hear it” while the two were in a hotel room for a tournament. Def. Ex. 2 at

52:20–53:11. At some point that spring, another player loudly called an opposing player a “f—

porch monkey,” while another referred to Stafford as “an ape.” Id. at 54:6–11, 55:9–22; see also

Pl. SMF ¶¶ 17, 20. Stafford recalled that, after one such incident, Munoz claimed that the

teammate didn’t “really mean it” and instructed Stafford to “shut up” and not “worry about it.”

Def. Ex. 2 at 54:11–15; see also Pl. SMF ¶¶ 34–35. It is undisputed that Stafford did not again

report any harassment on account of his race by his teammates or Munoz to others at the

University during his freshman year. See Def. SMF ¶ 53; Pl. SMF ¶ 46.

       But the parties do dispute whether Stafford put the University on notice about any

mistreatment during his sophomore year—a period when, he says, the racist language by his

teammates and coaches continued. See, e.g., Def. Ex. 2 at 63:2–64:12 (noting altercation with

teammate during spring of sophomore year); id. at 199:17–200:9 (recalling statement by Coach

                                                 4
Munoz). Stafford recalls at least three reports to GWU officials, as well as evidence in the

record that, he says, demonstrates that the University had heard his complaints.

        First, Stafford testified that he complained to Coach Munoz about “racial discrimination”

by his teammates in the fall of 2015. Def. SMF ¶ 60; Def. Ex. 2 at 59:9–15.

        Second, Stafford’s father recalled speaking about racial harassment on the team with

Michael Tapscott, the Director of GWU’s Multicultural Student Services Center, at some point

that same year. See Pl. SMF ¶¶ 47–48; Def. Ex. 6 at 55:13–56:12 (recounting discussions of the

experience of a “kid of color” on a largely white team); see also Def. SMF ¶¶ 61, 66; Def. Mot.

Summ. J., Ex. 34 at 14:24–15:2, 20:13–19, 33:4–16 (Tapscott Dep.). Tapscott’s memories of his

interactions with the Staffords differ sharply. Tapscott testified that the elder Stafford’s

complaints focused entirely on how much playing time Jabari had received—not race. Def. SMF

¶¶ 66–67. Tapscott likewise reported that he separately spoke with Jabari, and in that

conversation Jabari mentioned “derogatory comments” by fellow tennis players, but did not

“specifically” tie them to issues of race. Id. ¶ 62. At the end of their conversations, Tapscott

encouraged both Jabari and his father to reach out to Nicole Early, the administrator in the

Athletics Department with whom the two had met the previous school year. Id. ¶¶ 63, 68.

According to Tapscott, Jabari did not respond to any follow-up messages. Def. Ex. 34 at 29:10–

30:4.

        Third, Stafford points to a January 2016 email exchange between two Athletics

Department administrators—Early and Ed Scott, a Senior Associate Athletics Director—that, in

his view, suggests the University was aware of ongoing discrimination. See Pl. Opp’n to Def.

Mot. Summ J. (“Pl. Opp’n”) at 7, 17–18. In that email, Early advised Scott of a “disciplinary

issue with Jabari Stafford,” and warned that Stafford’s father would “likely get involved” and

                                                  5
“suggest that Jabari is being discriminated against.” Pl. Opp’n, Ex. L. Stafford construes this

email as a response to his father’s complaints about racism the previous semester, including to

Tapscott. Pl. Opp’n at 7. The University rejoins that the email cannot be read to show Early

knew about any actual claims of racial discrimination. Def. Reply at 12.

       Finally, Stafford testified to another discussion with Athletics Department administrators

in March 2016, during his sophomore year, shortly after Coach Munoz left GWU and Torrie

Browning took over as interim head coach. Def. SMF ¶ 69; Def. Ex. 2 at 196:5–18. That month,

Stafford requested a meeting with Early to discuss why Browning had left him out of a

tournament lineup. Def. SMF ¶¶ 70–71; Def. Ex. 2 at 203:5–206:4. At that meeting, Stafford

recalled, he informed Early about the “racial rhetoric and . . . racial discrimination” he had been

“forced to endure” under both Munoz and Browning. Def. Ex. 2 at 211:19–212:13; see also Def.

SMF ¶ 71. Again, the University’s account of this conversation differs. According to Early,

Stafford’s complaints centered entirely on his desire for more playing time—not any racial

discrimination he’d experienced. Def. Ex. 7 at 152:23–154:16. Given these divergent retellings

of the March 2016 meeting, it is unsurprising that the parties also disagree about the import of

what happened next. In Stafford’s telling, Early responded inadequately to reports of ongoing

racial harassment: Rather than take any concrete action to address racism on the team, she only

encouraged Stafford to wait for the arrival of a new coach the next fall. See Def. Ex. 2 at

196:13–18; Pl. Opp’n at 19. In the University’s telling, however, Early’s next steps were

entirely appropriate: To address his complaints about playing time, Early set up a meeting with

Stafford, his father, and Browning to discuss her lineup decisions and his playing style. Def.

SMF ¶¶ 76–80; Def. Ex. 7 at 153:9–154:3; Def. Ex. 2 at 206:19–207:10. The University

emphasizes that, in his deposition, Stafford conceded he had been “satisfied” with Early’s

                                                 6
response. See Def. SMF ¶ 72; Def. Ex. 2 at 196:19–197:2. Stafford likewise recalled that, after

these meetings, he believed that “the racial culture was going to change,” and that he had been

given the go ahead to sit out team events and “focus on [his] academics” for the rest of the

semester. Def. Ex. 2 at 196:21–22, 226:15–18.

       At the start of his junior year, in September 2016, Stafford instead learned that he was no

longer on the team’s roster. Def. SMF ¶¶ 84, 96. Frustrated by the coaching staff’s

explanation—that they thought he had quit the team the previous spring—Stafford and his father

contacted several GWU employees: Early, the tennis team administrator; Tapscott, the

Multicultural Student Services Center director; Helen Cannaday Saulny, the Associate Provost

for Diversity, Equity, and Community Engagement; and Patrick Nero, the University Director of

Athletics and Recreation. See id. ¶¶ 8, 83–90, 110; Def. Ex. 6 at 239:4–241:15. That October,

the Staffords met with Saulny and Scott, a Senior Associate Athletics Director. Def. SMF ¶¶ 95,

106–07. At that meeting, Stafford and his father reported widespread use of “racial epithets” by

tennis team members, who, they said, were “trying to get [Jabari] kicked of[f] the team.” Id.

¶ 106. During this meeting and in email exchanges beforehand, several administrators provided

the Staffords with information on how Jabari could make an official report via GWU’s student

grievance procedures—the mechanism in the University’s handbook for addressing incidents of

racial bias. See id. ¶¶ 97, 103–04, 106; Def. Mot. Summ. J., Ex. 43 at 3 (email from Ed Scott);

Def. Mot. Summ. J., Ex. 5 at 114:3–11 (Saulny Dep.) (discussing conversation with Tom

Stafford about complaint process). Stafford has conceded that he never lodged any official

grievance report during his time at GWU. Def. SMF ¶ 108; Pl. SMF ¶ 46; Def. Ex. 2 at 123:9–

19.

                                                 7
       As a result of these meetings, the new tennis coach, David Macpherson, agreed to admit

Stafford back onto the team roster following a “skills assessment.” Def. SMF ¶¶ 111–12.

Stafford rejoined the team that December. Id. ¶ 112.

       Yet, Stafford says the pattern of harassment continued. At two points the following

spring, Stafford recalls, he told Macpherson that he still faced mistreatment by his teammates on

account of his race. Def. SMF ¶ 123; Def. Ex. 2 at 262:19–264:3. The details of the complaints

remain unclear. Indeed, Stafford at one point testified that he did not directly “link” his

complaints to his “race.” Def. SMF ¶ 123; Def. Ex. 2 at 262:22–263:1. But he elsewhere

remembered telling Macpherson that his teammates were “plotting against” him, “taunting” him,

and “racially discriminating against” him. Def. SMF ¶ 123; Def. Ex. 2 at 271:3–7. According to

Stafford, Macpherson reassured him that everything would be “dealt with,” but never acted to

rein in other players’ use of racial epithets. Def. Ex. 2 at 271:11–15. This conversation—in the

spring of 2017—is the latest point in the record that Stafford reports speaking directly with any

coach or Athletics Department administrator about racial harassment.

       Stafford’s interactions with his teammates during his senior year—beginning in the fall of

2017—do not feature heavily in his briefing. See Pl. Opp’n at 10–11 (identifying incidents after

his return to the team in 2016, but never specifically tying any to his senior year). But at the

summary judgment hearing, Stafford drew the Court’s attention to deposition testimony that he

contends would support a finding that the harassment continued into his senior year and that

GWU coaches knew about it. See Mot. Hr’g Rough Tr. at 30:9–32:6. In that excerpt, Stafford

testified that “during [his] junior year, but also during [his] senior year,” one teammate “was

always yelling out” racial epithets in the team van while an assistant couch was “present.” Def.

Ex. 2 at 274:8–14.

                                                  8
         By the middle of that year, Stafford’s position at GWU was precarious. His grades,

though never high, had fallen over the course of the previous year. See Def. Mot. Summ. J., Ex.

28. Stafford attributes this academic decline to the racism he allegedly experienced on the tennis

team: Because “everything had intensified so much,” he “couldn’t focus and . . . wanted to

spend time thinking about” how “to cope with the things that were happening.” Def. Ex. 2 at

283:1–8; see also id. at 289:2–6. GWU points instead to Stafford’s longstanding challenges

succeeding in school, dating back to high school and continuing in his very first semester at the

University. See, e.g., Def. SMF ¶¶ 2–7, 19–26. Stafford’s academic struggles—including two

consecutive semesters with a term GPA below 2.0—soon triggered action on the part of the

University. See Def. Mot. Summ. J., Exs. 28, 62. In January 2018, GWU informed Stafford that

he would be suspended under standard University regulations governing academic performance.

Def. SMF ¶ 128; Def. Ex. 62.

         Soon thereafter, Stafford met with one of his academic advisors, Ellen Woodbridge, to

discuss his anticipated appeal of GWU’s suspension decision. Def. SMF ¶ 135. In that meeting,

Stafford claims to have again reported experiencing racism at the hands of his teammates. Id.

He remembered telling Woodbridge that this harassment had contributed to his academic

struggles, but testified that she instructed him “not to talk about those issues.” Id.; Def. Ex. 2 at

291:16–293:21. Instead, Stafford’s appeal letter mentioned “issues relati[ng] to . . . focus and

attention span,” his “poor[] . . . handl[ing]” of his role as a student-athlete, and “marital problems

between [his] parents.” Def. SMF ¶ 133; Def. Mot. Summ. J., Ex. 66 at 4–5. The University

denied Stafford’s appeal. Def. SMF ¶ 137. Although Stafford could have later applied for

readmission, Def. Ex. 62, he did not attempt to return to finish his degree at GWU, Def. SMF

¶ 138.

                                                  9
       B. Procedural history

       Stafford filed suit on November 26, 2018, bringing a variety of federal and D.C.-law

discrimination claims against GWU; two coaches, Munoz and Macpherson; two Athletics

Department administrators, Early and Nero; and several unnamed former tennis teammates. See

Compl. ¶¶ 1, 5–10. After GWU and Early moved to dismiss the complaint, this Court narrowed

the scope of Stafford’s claims considerably. See Stafford v. George Washington Univ., No. 18-

cv-2789, 2019 WL 2373332 (D.D.C. June 5, 2019). A single federal claim against GWU

remains: that the University’s deliberate indifference to racial harassment by teammates and

coaches contributed to a hostile educational environment, in violation of Title VI of the Civil

Rights Act of 1964, 42 U.S.C. § 2000d.2 See id. at *11–17. The Court gave Stafford leave to

amend his complaint to more specifically plead this hostile-environment claim, and scheduled

discovery. See id. at *22; Scheduling Order of July 31, 2019; Second Am. Compl. ¶¶ 120–24,

ECF No. 41. At the close of discovery, GWU moved for summary judgment on the remaining

Title VI claim.3 That motion is now ripe.

       2
         In its opinion on GWU’s motion to dismiss, the Court suggested that the heart of
Stafford’s remaining Title VI claim was peer harassment, since much of what he had
“document[ed] concern[ed] racial abuse and antagonism by his teammates rather than the
University and its employees.” See Stafford, 2019 WL 2373332, at *11. The Court now reads
the allegations in Stafford’s Second Amended Complaint to encompass both student-on-student
harassment and coach-on-student harassment, most notably by Coach Munoz. See, e.g., Second
Am. Compl. ¶ 28 (alleging “bullying . . . of the non-white tennis players” by Munoz). The Court
notes that the standards for liability may generally differ for the two sources of harassment. Cf.
Davis v. Monroe Cnty. Bd. of Educ., 526 U.S. 629, 653 (1999) (explaining that “[p]eer
harassment . . . is less likely to” “breach Title IX’s guarantee of equal access to educational
benefits” than is “teacher-student harassment”). Whatever differences exist, the Court does not
find them relevant to its resolution of the claims at this stage.
       3
         In its motion, GWU describes a discovery dispute over allegations that Stafford “had
bribed and intimidated several witnesses.” Def. Mem. in Supp. of Mot. Summ. J. at 15. The
Court has already appropriately sanctioned the plaintiff for any misconduct, including by

                                                10
 II.   Legal Standards

       The Court must grant summary judgment where “the movant shows that there is no

genuine dispute as to any material fact and the movant is entitled to judgment as a matter of

law.” Fed. R. Civ. P. 56(a). As the moving party, GWU bears the initial burden of

demonstrating the “absence of a genuine issue of material fact.” Celotex Corp. v. Catrett, 477

U.S. 317, 323 (1986); Fed. R. Civ. P. 56(c)(1). In determining the existence of a genuine dispute

of material fact, the Court must “view the facts and draw reasonable inferences in the light most

favorable to the party opposing the summary judgment motion.” Scott v. Harris, 550 U.S. 372,

378 (2007) (internal quotation marks and alteration omitted). The non-moving party may not,

however, rely on “mere allegations” or conclusory statements to defeat a motion for summary

judgment. Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 248 (1986); Greene v. Dalton, 164

F.3d 671, 675 (D.C. Cir. 1999).

       Title VI provides that “[n]o person in the United States shall, on the ground of race . . . be

excluded from participation in, be denied the benefits of, or be subjected to discrimination under

any program or activity receiving Federal financial assistance.” 42 U.S.C. § 2000d. Under Title

VI, as under other federal antidiscrimination statutes, federally funded institutions may be liable

for intentional discrimination if they have been “deliberately indifferent” to known acts of

harassment that give rise to a hostile educational environment. See Davis v. Monroe Cnty. Bd.

of Educ., 526 U.S. 629, 643 (1999) (Title IX sexual harassment claim); see also Fennell v.

Marion Indep. Sch. Dist., 804 F.3d 398, 408 (5th Cir. 2015) (Title VI racial harassment claim).

The D.C. Circuit has yet to consider the appropriate framework for evaluating a Title VI racially

excluding any potentially tainted evidence from use at summary judgment. See Status Hr’g Tr.
at 8:23–9:5, ECF No. 77.

                                                11
hostile environment claim arising from either peer or teacher harassment. But several other

federal circuits have applied the Supreme Court’s approach from the Title IX context, as laid out

in Davis, to claims of deliberate indifference to racial discrimination. See, e.g., Fennell, 804

F.3d at 408–09; Blunt v. Lower Merion Sch. Dist., 767 F.3d 247, 272–73 (3d Cir. 2014); Bryant

v. Indep. Sch. Dist. No. I-38 of Garvin Cnty., Okl., 334 F.3d 928, 934 (10th Cir. 2003).

       Although the exact elements of such a hostile environment claim differ across circuits,

courts tend to require that an educational institution: “(1) had actual knowledge of, and (2) was

deliberately indifferent to (3) harassment that was so severe, pervasive and objectively offensive

that it (4) deprived the victim of access to the educational benefits or opportunities provided by

the school.” Bryant, 334 F.3d at 934. As in the Title IX context, plaintiffs must also show that

the institution had sufficient “control over the harasser and environment” to be able to take

remedial action. See Fennell, 894 F.3d at 408. To satisfy the actual knowledge element, a

plaintiff must establish that an “appropriate person”—one who “at a minimum has authority to

address the alleged discrimination and to institute corrective measures on the [institution’s]

behalf”—had actual notice of the alleged misconduct. Gebser v. Lago Vista Indep. Sch. Dist.,

524 U.S. 274, 290 (1998) (setting out standard in Title IX context); see also Zeno v. Pine Plains

Cent. Sch. Dist., 702 F.3d 655, 665–66 (2d Cir. 2012) (applying Gebser to Title VI context).

       Courts have likewise clarified that the deliberate indifference prong of this test sets a

“high bar for plaintiffs to recover.” Prasad v. George Washington Univ., 390 F. Supp. 3d 1, 25

(D.D.C. 2019) (quoting Stiles ex rel. D.S. v. Grainger Cnty., Tenn., 819 F.3d 834, 848 (6th Cir.

2016)). As the Supreme Court has explained, institutions “are deemed ‘deliberately indifferent’

to acts of . . . harassment only where [their] response to the harassment or lack thereof is clearly

unreasonable in light of the known circumstances.” Davis, 526 U.S. at 648. “This means that

                                                 12
‘courts should refrain from second-guessing the disciplinary decisions made by school

administrators,’ and . . . that a court can, ‘[i]n an appropriate case, . . . identify a response as not

clearly unreasonable as a matter of law’ and, on that basis, enter summary judgment in favor of

the school.” Cavalier v. Cath. Univ. of Am., 513 F. Supp. 3d 30, 50 (D.D.C. 2021) (“Cavalier

II”) (quoting Davis, 426 U.S. at 648, 649) (internal citation omitted).

  III. Analysis

        The operative complaint recounts Stafford’s experiences at GWU and seeks recovery

under Title VI for events dating back to his freshman year, in the fall of 2014. See Second Am.

Compl. ¶¶ 24, 118. In its motion for summary judgment, GWU contends that much of this claim

is barred by a one-year statute of limitations. See Def. Mem. in Supp. of Mot. Summ. J. (“Def.

MSJ”) at 18–20. It further argues that any remaining discrimination claim within the limitations

period must fail, as no reasonable jury could find GWU liable on the summary judgment record.

Id. Stafford opposes, urging the court to adopt a longer statute of limitations and find that, under

that limitations period, his claim survives summary judgment. See Pl. Opp’n at 13–19.

        GWU has the better of this argument. Although the Court has not located any precedent

so holding, the appropriate statute of limitations for Title VI claims brought in this district—

borrowed from the most analogous state law—comes from the District of Columbia’s

antidiscrimination statute, the D.C. Human Rights Act (“DCHRA”). Under that shorter

limitations period, Stafford’s claim fails at summary judgment because he has not established

that he notified an appropriate person of any ongoing discrimination during the statutory period.

The Court recognizes that its statute-of-limitations holding differs from the conclusion reached

by other courts in this district and several federal circuits, which have applied the limitations

rules from states’ general personal injury law to Title VI claims. But, as the Court will explain,

                                                   13
recent case law in this district and the District of Columbia Court of Appeals, addressing the

analogous remedial regime in the federal Rehabilitation Act, warrants a reevaluation of that

conclusion here.

       Still, given the novelty of its holding and for the ease of any further review of this

decision, the Court also indicates how it would rule at summary judgment, should D.C.’s three-

year statute of limitations for personal injury claims apply. Under that longer limitations period,

the Court would find GWU has satisfied its burden at summary judgment as to only a portion of

Stafford’s claim. As to his junior and senior years, GWU has demonstrated that its response to

any complaints of racial harassment was not “clearly unreasonable” as a matter of law. But

genuine disputes of material fact exist as to whether Stafford adequately put the University on

notice about the harassment he claims to have faced in his freshman and sophomore years. The

legal sufficiency of GWU’s response—or lack thereof—thus cannot be evaluated at this juncture.

Accordingly, under a longer statute of limitations, the Court would only grant GWU partial

summary judgment, and would allow this truncated claim to reach a jury.

       A. Application of a one-year statute of limitations

               1. Relevant time limitation

       Because Title VI contains no express statute of limitations, the Supreme Court has

instructed courts to “borrow” one from “the most closely analogous . . . state law.” DelCostello

v. Int’l Bhd. of Teamsters, 462 U.S. 151, 158 (1983); Proctor v. District of Columbia, 74 F.

Supp. 3d 436, 457 (D.D.C. 2014). In this district, courts have typically borrowed D.C.’s three-

year statute of limitations for general personal injury claims for Title VI cases. See, e.g.,

Richards v. Duke Univ., 480 F. Supp. 2d 222, 237–38 (D.D.C. 2007). But at the motion to

dismiss stage here, the Court opined that the one-year limitations period from the DCHRA may

                                                 14
be more appropriate, citing case law from the D.C. Court of Appeals and this Court addressing

the same question for claims under the federal Rehabilitation Act. See Stafford, 2019 WL

2373332, at *7–8 (citing Jaiyeola v. District of Columbia, 40 A.3d 356, 365–67 (D.C. 2012) and

Congress v. District of Columbia, 324 F. Supp. 3d 164, 171–73 (D.D.C. 2018)). Still, the Court

noted that the statute of limitations is an affirmative defense, and that GWU had, at that point,

only asked for application of a three-year limitations period. Id. at *8. The Court therefore

declined to apply the DCHRA’s shorter limitations period at that juncture. Id.

       In its answer and summary judgment briefing, GWU now asserts a one-year statute of

limitations as an affirmative defense. See Answer at Affirmative Defense ¶ 15, ECF No. 34;

Def. MSJ at 18–20. Stafford’s opposition brief does not engage with the merits of applying the

shorter limitations period, arguing only that the “Court has already held that a three-year statute

of limitations applies.” Pl. Opp’n at 13. And at oral argument, Stafford’s counsel refused to

“conced[e]” the statute of limitations issue, but likewise offered little affirmative argument as to

why the Court should use a three-year limitations period. See Mot. Hr’g Rough Tr. at 26:23–

27:10. Because GWU has now raised the defense, the Court will fully consider which statute of

limitations is most appropriate: the one-year period in the DCHRA, or the three-year period for

general personal injury claims in the District of Columbia.

       At the outset, the Court finds it has the authority to take up this question once again,

notwithstanding any litigation at the motion-to-dismiss stage. In its prior opinion, the Court did

not, as Stafford suggests, hold that a three-year limitations period applied. Rather, the Court

used the three-year limitations period because GWU asked it to do so—even while suggesting

that it was “probably incorrect.” Stafford, 2019 WL 2373332, at *8.

                                                 15
        Nor does GWU’s past advocacy for a three-year limitations period preclude it—or the

Court—from revisiting the analysis laid out in the prior opinion. As GWU correctly notes, the

statute of limitations is not a defense that can be waived by failure to raise it in a pre-answer

motion to dismiss under Rule 12 of the Federal Rules of Civil Procedure. See Nattah v. Bush,

770 F. Supp. 2d 193, 208 (D.D.C. 2011) (explaining that, because they are based on failure to

state a claim, limitations defenses need only be raised in a responsive pleading); Perry v.

Sullivan, 207 F.3d 379, 383 (7th Cir. 2000) (holding party “did not waive his statute of

limitations defense by waiting to file it until after the 12(b)(6) motions had run their course”).

        Of course, GWU did more than just fail to raise the one-year statute of limitations in its

motion to dismiss; it affirmatively argued that a three-year limit applied. See Def. Mem. in

Supp. of Mot. Dismiss at 10–11, ECF No. 4-1. That type of change in position is governed not

by waiver, but by the doctrine of judicial estoppel, which precludes a party who “assumes a

certain position in a legal proceeding, and succeeds in maintaining that position,” from later

assuming “a contrary position.” New Hampshire v. Maine, 532 U.S. 742, 749 (2001). Although

the Supreme Court has set out no “exhaustive formula for determining the applicability of

judicial estoppel,” id. at 751, it has identified “three key factors”:

        (1) whether the party’s later position is ‘clearly inconsistent’ with its earlier
        position; (2) ‘whether the party has succeeded in persuading a court to accept that
        party’s earlier position, so that judicial acceptance of an inconsistent position in a
        later proceeding would create the perception that either the first or the second
        court was misled’; and (3) ‘whether the party seeking to assert an inconsistent
        position would derive an unfair advantage or impose an unfair detriment on the
        opposing party if not estopped.’

Temple Univ. Hosp., Inc. v. NLRB, 929 F.3d 729, 733 (D.C. Cir. 2019) (quoting New

Hampshire v. Maine, 532 U.S. at 750–51). While GWU’s position on the statute of limitations

has changed, its two arguments do not cut directly against each other in the way the doctrine of

                                                  16
judicial estoppel is meant to discourage. Nor did GWU ever convince the Court to accept, or

Stafford to rely on, its past position. To the contrary, the court made a conscious choice to apply

the longer limitations period in its prior opinion. That decision, if anything, benefited the

plaintiff and forced GWU to continue to litigate a potentially stale claim. Because GWU’s past

failure to raise a shorter limitations period appears to result at most from an “unthinking . . .

blunder,” not any “cold manipulation,” Davis v. District of Columbia, 925 F.3d 1240, 1256 (D.C.

Cir. 2019), the Court sees no reason to hold GWU to its past position here.

         Turning to the merits of the limitations question, the Court agrees with GWU, as well as

the analysis in its prior opinion, that the one-year statute of limitations in the DCHRA is the most

appropriate choice for Title VI claims in the District of Columbia. The Court recognizes that, in

the past, courts in this and other districts have applied the limitations period for general personal

injury suits—which in D.C. is three years—to claims arising under Title VI and many other

federal antidiscrimination laws. See, e.g., Richards, 480 F. Supp. 2d at 237–38 (Title VI and

Title IX); Doe v. Se. Univ., 732 F. Supp. 7, 8–9 (D.D.C. 1990) (Rehabilitation Act); see also,

e.g., Monroe v. Columbia Coll. Chi., 990 F.3d 1098, 1100 (7th Cir. 2021); Sewell v. Monroe

City Sch. Bd., 974 F.3d 577, 583 (5th Cir. 2020); Egerdahl v. Hibbing Cmty. Coll., 72 F.3d 615,

618 (8th Cir. 1995); Baker v. Bd. of Regents of State of Kan., 991 F.2d 628, 630–32 (10th Cir.

1993).

         But courts in this district have started to rethink this approach, at least for disability

discrimination laws such as the Rehabilitation Act and the Americans with Disabilities Act

(“ADA”). The turning point was the District of Columbia Court of Appeals’ 2012 opinion in

Jaiyeola v. District of Columbia, which reasoned persuasively that the Rehabilitation Act was

much more analogous to the DCHRA than it was to D.C.’s generic personal injury law. See 40

                                                    17
A.3d at 366–67. In that opinion, the D.C. Court of Appeals recognized that the DCHRA was

broader in scope than the Rehabilitation Act—tackling discrimination on bases such as race and

gender, too. Id. at 366. But it nevertheless concluded that the Rehabilitation Act was still more

closely akin to this “state anti-discrimination statute” than it was to generic personal injury

claims, which “need not—and, indeed, typically do not—seek to remedy discrimination at all[.]”

Id. at 365, 367. Because the characterization of a federal claim is a matter of federal law, Wilson

v. Garcia, 471 U.S. 261, 269–70 (1985), this Court is not bound by the holding or reasoning of

Jaiyeola. But federal courts in this Circuit generally defer to the D.C. Court of Appeals on

matters of District law—such as interpreting the DCHRA and personal injury law. See Williams

v. Martinez, 586 F.3d 995, 1001 (D.C. Cir. 2009). Giving such deference, and recognizing the

persuasiveness of the Jaiyeola opinion, several courts in this district, including this one, have

held that the DCHRA’s one-year limitations period applies to claims brought under the

Rehabilitation Act and other federal disability-discrimination laws. See, e.g., Congress, 324 F.

Supp. 3d at 171–73; Pappas v. District of Columbia, 513 F. Supp. 3d 64, 82 (D.D.C. 2021)

(gathering cases applying DCHRA limitations period to Rehabilitation Act claims); Arthur v.

D.C. Hous. Auth., No. 18-cv-2037, 2020 WL 1821111, at *6 (D.D.C. Apr. 11, 2020) (applying

same to ADA).

       Until now, no court has extended this reasoning to Title VI or any other federal

antidiscrimination statute outside the disability context. But the Court sees good reason to do so,

as Jaiyeola’s reasoning holds no less force in the case of laws prohibiting racial discrimination.

As with the Rehabilitation Act, Title VI and the DCHRA have a “shared purpose and ambitious

aims,” Jaiyeola, 40 A.3d at 367: Title VI seeks to ensure that “[n]o person shall, on the ground

of race, color, or national origin, be excluded from participation in, be denied the benefits of, or

                                                 18
be subjected to discrimination” in federally funded programs. 42 U.S.C. § 2000d; see also

Barnes v. Gorman, 536 U.S. 181, 185–86 (2002) (noting that “Title VI invokes Congress’s

power under the Spending Clause . . . to place conditions on the grant of federal funds”). The

DCHRA likewise seeks to secure an end “to discrimination for any reason other than that of

individual merit, including, but not limited to, discrimination by reason of race[.]” D.C. Code

§ 2-1401.01. Both are enforceable via private rights of action and provide for similar remedies.

See Alexander v. Sandoval, 532 U.S. 275, 279 (2001) (noting availability of injunctive relief and

damages under Title VI); D.C. Code § 2-1403.16 (providing for injunctive relief and damages,

among other remedies). Thus, although the DCHRA is in some ways broader than Title VI—

covering more bases for discrimination and extending beyond recipients of federal funding—

“these differences pale in comparison to the similarities.” Jaiyeola, 40 A.3d at 366.

       For several reasons, the Court is not convinced by contrary case law applying the general

personal injury limitations period to Title VI claims. First, no binding D.C. Circuit or Supreme

Court case law precludes the Court from rethinking the appropriate state-law analogue to Title

VI. Second, in most of the cases noted above, courts never considered the possibility that a

narrower state antidiscrimination statute might be a closer fit to Title VI than the state’s general

personal injury law. See, e.g., Monroe, 990 F.3d at 1099 (comparing with catchall limitations

period for civil claims); Baker, 991 F.2d at 631 (discussing only 42 U.S.C. §§ 1983 and 1981).

But see Egerdahl, 72 F.3d at 617–18 (rejecting application of limitations period in Minnesota

Human Rights Act). Third, the Court is not persuaded by the reasoning in many of those cases,

which only conclude that a Title VI claim is analogous to a generic personal injury claim by first

analogizing to federal civil rights claims under 42 U.S.C. § 1983. See, e.g., Egerdahl, 72 F.3d at

618. To be sure, the Supreme Court has instructed that § 1983 claims are subject to the

                                                 19
limitations period in each state’s general personal injury statute. Wilson, 471 U.S. at 276. But

whether claims under Title VI and claims under § 1983 are analogous is not the right question;

the Supreme Court has instructed courts engaging in this borrowing analysis to generally look to

similar state law, not federal law. Cf. DelCostello, 462 U.S. at 171–72 (outlining limited

circumstances where analogy to federal law may be appropriate).

       In addition, as the D.C. Court of Appeals explained in Jaiyeola, the different structures

and histories of § 1983 and later federal antidiscrimination laws suggest that they may not have

the same state-law analogue. See 40 A.3d at 365. Congress enacted § 1983 shortly after the

Civil War, “in response to the widespread deprivations of civil rights in the Southern States and

the inability or unwillingness of authorities in those States to protect those rights or punish

wrongdoers.” Felder v. Casey, 487 U.S. 131, 147 (1988). The resulting statute provides a broad

cause of action to recover against “the deprivation of any rights, privileges, or immunities

secured by the Constitution and laws” committed by those acting under color of state law. 42

U.S.C. § 1983 (emphasis added). With its “broad . . . language,” “high purposes,” and power to

“override certain kinds of state laws,” § 1983 “can have no precise counterpoint in state law.”

Wilson, 471 U.S. at 272 (internal citations omitted). It is a “uniquely federal remedy.” Jaiyeola,

40 A.3d at 365. The same is not true for Title VI. Enacted a century later as part of the Civil

Rights Act of 1964, Title VI was intended “to provide the Federal Government with the means of

assuring that its funds were not used to subsidize racial discrimination inconsistent with the

standards imposed by the Fourteenth and Fifth Amendments upon state and federal action.”

Regents of Univ. of Cal. v. Bakke, 438 U.S. 265, 330 (1978) (Brennan, J., concurring in part)

(describing introduction of bill in House of Representatives). That statute is thus targeted more

narrowly at discrimination “on the ground of race, color, or national origin” in federally funded

                                                 20
programs. 42 U.S.C. § 2000d. As outlined above, D.C.’s antidiscrimination statute comes with

an analogous set of ambitions, tools, and remedies.

       That leaves the final reason courts have cited for applying the statute of limitations for

general personal injury claims to Title VI: the preference for consistent treatment of federal civil

rights statutes. See Rozar v. Mullis, 85 F.3d 556, 561 (11th Cir. 1996). But if the trend in this

district holds, uniformity is no longer an option; Title VI will either be subject to the same statute

of limitations as § 1983 (three years) or the Rehabilitation Act (one year). Given that choice, the

Court sees good reason to harmonize its treatment of Title VI with the growing consensus in this

district with respect to the Rehabilitation Act. Congress modeled the remedial provisions in the

Rehabilitation Act directly on those in Title VI and presumed they would be interpreted

consistently. See Barnes, 536 U.S. at 185 (explaining that Congress directly tied the “remedies,

procedures, and rights” available under the Rehabilitation Act to those available in Title VI);

Nat’l Ass’n of the Deaf v. Trump, 486 F. Supp. 3d 45, 54 (D.D.C. 2020) (noting that Congress

modeled the Rehabilitation Act’s remedial section “on the language of section 601 of Title VI”).

Accordingly, the Court concludes that the DCHRA’s one-year statute of limitations applies to the

remaining Title VI claim in this case.4

               2. Application

       Because Stafford filed suit on November 26, 2018, the one-year limitations period covers

events on or after November 26, 2017—near the middle of his senior year. Applying that time

       4
          To be clear, this conclusion says nothing about the wisdom of the D.C. Council’s
decision to place a one-year limitations period on DCHRA claims or Congress’s decision not to
incorporate an express statute of limitations in Title VI. Those legislative choices work to the
disadvantage of the plaintiff in this case. However, adoption of the Court’s holding in other
jurisdictions might well result in a longer limitations period on Title VI claims depending on the
analogous state law at issue.

                                                 21
limit, GWU argues it is now entitled to summary judgment on Stafford’s Title VI claim because

he has not created a sufficient factual dispute about any acts of alleged deliberate indifference

from the fall of 2017 onwards. See Def. Reply at 3–8. The Court agrees.

        As outlined above, for an institution receiving federal funding to be liable for deliberate

indifference to racial harassment, a plaintiff must establish, among other things, that an

“appropriate person” at the institution had actual notice of the alleged misconduct. Gebser, 524

U.S. at 290. To be an “appropriate person,” an individual must “at a minimum ha[ve] authority

to address the alleged discrimination and to institute corrective measures on the [fund]

recipient’s behalf.” Id. As the Supreme Court has explained, this rule ensures that institutions

will only be held liable for “official decision[s] . . . not to remedy the violation,” and not “for its

employees’ independent actions.” Id. at 290–91.

        In the factual record at summary judgment, there are only two potential incidents after

late November 2017 that could arguably give rise to deliberate indifference liability for GWU.

The first is Stafford’s efforts to appeal his academic suspension in January 2018.5 Shortly after

GWU notified Stafford of the suspension, he met with Ellen Woodbridge, his assigned academic

advisor from the Athletics Department. See Def. SMF ¶¶ 128, 135. According to Stafford,

during that conversation, he confided in Woodbridge about the “racial discrimination” and

        5
         Much of Stafford’s discussion of the appeal comes in a proposed surreply, which he has
asked the Court for leave to file. See Pl.’s Proposed Surreply at 3, ECF No. 88-2. The materials
included in this proposed filing—and in particular any effort to “correct the record” as to the
events of January 2018, see Pl.’s Mot. Leave to File at 1, ECF No. 88—do not satisfy the
standard for when such a supplemental response is warranted. See United States ex rel. Pogue v.
Diabetes Treatment Ctrs. of Am., Inc., 238 F. Supp. 2d 270, 276–77 (D.D.C. 2002) (noting
surreplies appropriate only to address “truly new” matters presented in reply briefs, not mere
“mischaracterization[s]”). Nevertheless, the Court has considered the evidence Stafford points to
and the arguments he makes, none of which alter the conclusions the Court reaches as to the
legal significance of this incident, as explained below.

                                                  22
“racial rhetoric” he had experienced on the tennis team, and asked whether he could include that

information in his appeal to the University. Id. ¶ 135; see also Def. Ex. 2 at 296:3–297:12.

       GWU challenges the credibility of Stafford’s account of his conversation with

Woodbridge, who apparently was not deposed. See, e.g., Def. Reply at 2 (questioning whether

conversation happened). But even assuming that Stafford made these statements, and that they

were sufficient to put Woodbridge on notice of the harassment Stafford says he faced, they did

not put GWU on notice because Woodbridge was not an appropriate person for the purposes of

Title VI. Stafford does not contest that Woodbridge’s only relevant role at the University was as

his assigned academic advisor. As such, she had no supervisory position within the Athletics

Department, and nothing suggests that she had the authority to institute corrective measures on

the tennis team, specifically. See Doe v. Edgewood Indep. Sch. Dist., 964 F.3d 351, 360 (5th

Cir. 2020) (“[T]o be an appropriate person . . . , the official must have authority to both repudiate

the conduct and eliminate the hostile environment.’” (internal quotation marks and alteration

omitted)); cf. Blue v. District of Columbia, 850 F. Supp. 2d 16, 34 (D.D.C. 2012) (deciding, in

context of teacher-student harassment under Title IX, that appropriate person is one in chain of

command who could “fire or discipline” offender). Nor can Stafford establish liability on

GWU’s part just because Woodbridge did not alert anyone with the power to take corrective

action about his complaints. As at least one federal circuit has observed, imposing liability for

an employee’s “fail[ure] to convey a report” of discrimination “would turn the deliberate-

indifference standard into vicarious liability”—something the Supreme Court explicitly “sought

to avoid.” Ross v. Univ. of Tulsa, 859 F.3d 1280, 1290 (10th Cir. 2017); see also Kesterson v.

Kent State Univ., 967 F.3d 519, 528 (6th Cir. 2020) (rejecting liability based only on

“employee’s ability to mitigate hardship or refer complaints”).

                                                 23
       The Court also rejects the only other potentially timely incident that Stafford points to as

a source of liability. At the summary judgment hearing, Stafford for the first time identified

testimony in his deposition that, sometime during his senior year, a teammate used racial epithets

while in the team van and in the presence of an assistant coach. See Mot. Hr’g Rough Tr. at

30:9–32:6 (discussing Def. Ex. 2. at 274:8–14). This argument comes too late. The summary

judgment process does not obligate courts to “sift through hundreds of pages of deposition” to

discover disputes of material fact. Jackson v. Finnegan, Henderson, Farabow, Garrett & Dunner,

101 F.3d 145, 151 (D.C. Cir. 1996). Rather, the local rules require parties opposing summary

judgment “to crystallize . . . the material facts and relevant portions of the record” in their

opposition filing—not at a later hearing. Id. (discussing predecessor to Local Civil Rule 7(h)).

Because Stafford failed to raise this argument at any time prior to the motion hearing, the Court

will not consider it now. See Physicians for Social Resp. v. Wheeler, 956 F.3d 634, 647 (D.C.

Cir. 2020) (“[G]enerally, arguments raised for the first time at oral argument are forfeited.”).

       The incomplete nature of the record on this issue only bolsters this waiver finding.

Because Stafford’s counsel did not raise the purported van incident in his competing Statement

of Material Facts or summary judgment briefing, the record is not sufficiently developed for the

Court to easily assess whether enough evidence exists for his Title VI claim to survive summary

judgment. Many key questions, both factual and legal, remain unaddressed by the parties,

including: what evidence would support a finding that this incident occurred; if it did occur,

whether it happened (or even could have happened) on or after November 26, 2017;6 what words

       6
          While the operative complaint generally alleges the harassment continued into the fall
of 2017, it also places this supposed van incident in Stafford’s junior year—not the fall of his
senior year. Compare Second Am. Compl. ¶ 107 (alleging continuing harassment in fall 2017)
with id. ¶¶ 102–03 (describing van incident as an example of effort to “undermine Plaintiff’s

                                                  24
were said and in what context; whether the assistant coach overheard the incident, and whether

doing so put him on notice of “severe and pervasive” abuse; and whether this particular assistant

coach was an “appropriate person” for the purposes of Title VI, such that he had authority to take

corrective action once he was put on notice. Had Stafford drawn the Court’s attention to this

testimony in a timely fashion, GWU would have had the opportunity to locate other evidence in

the record—or submit new evidence—that might have definitively resolved any one of these

dispositive issues in its favor. Cf. Robertson v. Am. Airlines, Inc., 239 F. Supp. 2d 5, 9 (D.D.C.

2002) (observing that an inadequate Rule 7(h) statement leaves the other side without “an

opportunity fairly to contest the . . . case” against it (quoting Burke v. Gould, 286 F.3d 513, 519

(D.C. Cir. 2002))). Because none of this appropriate back and forth occurred, the Court is left

only to speculate whether Stafford’s brief testimony suffices to create a dispute of material fact.7

That is not how summary judgment is supposed to work.

       Stafford nevertheless contends that his claim is saved by the “continuing violation”

doctrine, which allows recovery even for untimely acts giving rise to liability if they are part of

an “ongoing pattern of harassment.” Cavalier v. Cath. Univ. of Am., 306 F. Supp. 3d 9, 43–44

(D.D.C. 2018) (“Cavalier I”) (applying doctrine to Title IX deliberate indifference claim); see

also Nat’l R.R. Passenger Corp. v. Morgan, 536 U.S. 101, 115–18 (2002). The Court agrees that

the continuing violation doctrine can apply to claims arising out of a pattern of deliberate

reinstatement during the Spring 2017 semester”). The allegations in the operative complaint that
are tagged to his senior year—none of which were mentioned at summary judgment—do not
support a claim that any responsible University official was aware of and indifferent to racial
harassment after November 26, 2017. See id. ¶¶ 108–10.
       7
         Stafford’s limited testimony on this point is also particularly weak evidence that any
van incident occurred within the statutory period. There, he stated only that another player was
“always yelling out” racial epithets “during [his] junior year, but also during [his] senior year” in
the presence of various coaching staff. See Def. Ex. 2 at 274:8–12.

                                                 25
indifference to ongoing harassment, as such hostile environment claims by “[t]heir very nature

involve[] repeated conduct.” Morgan, 536 U.S. at 115. But the Supreme Court has clarified that,

for the doctrine to apply, a plaintiff still must identify an “act that is part of the hostile . . .

environment” within the limitations period. Id. at 118.

        As the Court has just concluded, Stafford has not identified any such act within the

statutory period. His meeting with Ellen Woodbridge is the sole occasion he has cited within the

statutory period where he notified anyone at GWU about any harassment he faced. It is therefore

the only incident where the University could have acted with deliberate indifference in the face

of such knowledge. But, as just explained, Woodbridge’s knowledge cannot be imputed to

GWU. Because no act that is part of the hostile environment occurred within the one-year

limitations period, Stafford’s Title VI claim is entirely barred by the statute of limitations.8

        B. Application of three-year statute of limitations

        In the remaining sections of this Memorandum Opinion, the Court signals what

conclusion it would reach on GWU’s summary judgment motion, were it to use the three-year

statute of limitations typically applied to Title VI claims. The Court does so because the D.C.

Circuit has not yet weighed in on the developing statute-of-limitations jurisprudence in this

district, and because no other court has yet extended this rationale to Title VI claims. The

following analysis is therefore offered only to provide guidance to the parties and any reviewing

        8
         Stafford has not argued his deliberate indifference claim would remain viable so long
as, within the statute of limitations, the University failed to take action on his older complaints.
Nor has he claimed that ongoing harassment during the statutory period would suffice. But such
arguments would not save his stale deliberate indifference claim in any case. As the Ninth
Circuit has observed, a contrary approach would allow a plaintiff to recover so long as he
continued to not receive a “desired remedy” within the statutory period—an approach that would
“render[] the statute of limitations a virtual nullity.” Stanley v. Trustees of Cal. State Univ., 433
F.3d 1129, 1137 (9th Cir. 2006).

                                                    26
court as to the underlying merits of the claim, should a longer limitations period ever be applied.9

Under that longer limitations period, the decision would be a close one. But the Court would

ultimately hold that GWU has not fully met its burden, and that a portion of Stafford’s hostile

environment claim would survive summary judgment. As explained below, genuine issues of

material fact exist as to the University’s responses to Stafford’s stated reports of racial

harassment during his freshman and sophomore years.

               1. Relevant time limitation

       The Court again starts by considering the impact of the statute of limitations. Because

Stafford filed suit on November 26, 2018, a three-year statute of limitations would run back to

November 26, 2015—the middle of Stafford’s sophomore year. But once again, the continuing

violation doctrine may allow Stafford to recover even for older acts, so long as they are part of

the same pattern of misconduct giving rise to a hostile environment. See Morgan, 536 U.S. at

116–18. As the Court has already explained, the continuing violation doctrine applies to a Title

VI deliberate indifference claim. See supra Part III.A.2; Stafford, 2019 WL 2373332, at *15.

The Court therefore must decide two ancillary questions about the application of this doctrine:

Does the continuing violation apply to any of Stafford’s Title VI claim, in particular? And if it

does, how much out-of-time conduct can the Court consider?

       As to the first question, the Court reiterates that, for the continuing violation doctrine to

apply, there must be an act giving rise to liability within the limitations period. See Morgan, 536

U.S. at 118. To establish deliberate indifference, Stafford must demonstrate that, within the

       9
        GWU’s statute of limitations defense is not jurisdictional. See Day v. McDonough, 547
U.S. 198, 205 (2006). Thus, the Court’s conclusion in Part III.A.1 does not preclude it from
weighing in on these claims or issues.

                                                  27
statutory period, the university “(1) had actual knowledge of, and (2) was deliberately indifferent

to (3) harassment that was so severe, pervasive and objectively offensive that it (4) deprived

[him] of access to the educational benefits or opportunities provided by the school.” Bryant, 334

F.3d at 934. The relevant question, then, is whether Stafford has satisfied each of these elements

as to at least one incident after November 2015, thus justifying application of the continuing

violation doctrine. As the Court will explain in more detail below, see Part III.B.2, he has. To

take just the latter part of his sophomore year as an example, Stafford (1) testified to specific

incidents of harassment, see, e.g., Def. Ex. 2 at 63:2–64:12; (2) insisted that he informed an

Athletics Department official, Nicole Early, of the harassment he faced, see id. at 211:15–

212:13; (3) contended that Early did nothing in response—only encouraging him to wait for

turnover in coach leadership, see id. at 196:13–18; and (4) suggested that the stress he faced on

account of the unaddressed harassment caused his academic struggles, ultimately leading to his

departure from the University, see id. at 283:1–8, 289:2–6. Of course, many of these elements

remain hotly contested. And there is little, if any, evidence in the record to corroborate

Stafford’s unilateral version of events. As detailed below, however, the Court would hold that

GWU has not met its summary judgment burden for at least some claim within the longer

statutory period.

       As to the second question, the Court concludes that the continuing violation doctrine

allows it to look back to the entire pattern of alleged deliberate indifference by the University,

which forms part of the same hostile environment claim. GWU contests this approach. In its

view, the continuing violation doctrine only allows the Court to consider discrete acts of racial

harassment from before the limitations period, and would not let it impose liability for older

actions (or inaction) by GWU that constitute deliberate indifference. See Def. Reply at 5–6.

                                                 28
       The Court disagrees. GWU’s proposed limitation ignores the function of the continuing

violation doctrine. As the Supreme Court explained in Morgan, when evaluating a hostile work

environment claim, because “the incidents constituting a hostile . . . environment are part of one

unlawful . . . practice,” the continuing violation doctrine allows a court to hold a defendant

“liable for all acts that are part of this single claim.” 536 U.S. at 118 (emphasis added). Morgan

treats all elements of that underlying claim (there, severe or pervasive harassment and a basis for

employer liability) together, see Davis v. Coastal Int’l Sec., Inc., 275 F.3d 1119, 1122–23 (D.C.

Cir. 2002) (listing elements of Title VII hostile environment claim); it does not support the sort

of parsing of elements GWU proposes. At least one federal circuit has specifically applied this

reasoning to a Title VI hostile environment claim. In Sewell v. Monroe City School Board, the

Fifth Circuit held that a Title VI harassment claim survived a motion to dismiss, despite a

potential statute of limitations problem, because “some acts contributing to a hostile environment

allegedly took place within the prescription period.” 974 F.3d at 584. The court did not hold

that only some of the claim’s elements could be satisfied by events before the limitations period.

To the contrary, it found an unheeded report to a school superintendent months before the

limitations period began helped satisfy the “actual knowledge” and “deliberate indifference”

elements. See id. at 581, 585.

       The Court also, unlike GWU, reads Judge Moss’s 2018 opinion in Cavalier v. Catholic

University of America to support this formulation of the continuing violation doctrine. See 306

F. Supp. 3d at 43–44. There, another court in this district held that the continuing violation

doctrine applied to a Title IX deliberate indifference claim. Id. In so doing, that court

specifically noted that, at least at the motion to dismiss stage, “the alleged series of actions, and

inactions, ‘exhibit[ed] the relationship necessary to be considered part of the same actionable

                                                  29
hostile environment claim.’” Id. (quoting Baird v. Gotbaum, 662 F.3d 1246, 1251–52 (D.C. Cir.

2011)). In the context of a Title IX claim, a court’s mention of “inaction” necessarily refers to

allegations of deliberate indifference on the part of the university. Cavalier I did not suggest that

such allegations were limited to events within the limitations period.10

       The sole case offered by GWU does not support its contrary approach to the continuing

violation doctrine. The University cites Kollaritsch v. Michigan State University Board of

Trustees, 944 F.3d 613, 623 (6th Cir. 2019), for the proposition that a private cause of action

against a school for deliberate indifference to student-on-student harassment has two

components—“actionable” harassment and “a deliberate-indifference intentional tort by the

school.” See Def. Reply at 5–6. That proposition, though true, says nothing about which of

these elements courts can consider when defining a federally funded institution’s continuing

violation of Title VI. As Sewell and Cavalier I indicate, courts make no distinction.

       Thus, if the Court were to apply a longer statute of limitations, it would also consider the

entirety of Stafford’s claim that the University was repeatedly indifferent to his reports of

ongoing racial harassment from his earliest time at GWU. In particular, the Court would

examine all of the University’s allegedly inadequate responses and non-responses to Stafford’s

complaints, starting in his freshman year.

       10
          GWU tries to distinguish Cavalier I by asserting that the claimed indifference here,
unlike the acts of the defendant there, were discrete events, not “part of the same unlawful []
practice.” Def. Reply at 6–7 n.3. The Court does not find the allegations in the two cases to be
particularly distinguishable. In each, the plaintiff claimed that a “[u]niversity engaged in an
ongoing violation of” their federal civil rights obligations via a pattern of “actions” or
“inactions” sufficiently related “to be considered part of the same actionable hostile environment
claim.” Cavalier I, 306 F. Supp. 3d at 42, 43–44 (internal quotation marks omitted).

                                                 30
               2. Application

       On the present record, the Court would conclude that, under a longer, three-year statute

of limitations, GWU has satisfied its burden at summary judgment as to a portion of Stafford’s

claim, focusing on any reports of harassment and the school’s response in the fall of his junior

year going forward. By contrast, the Court would conclude that some claim arising out of the

University’s conduct before then—particularly in the winter of Stafford’s freshman year and

throughout his sophomore year—could reach a jury, as genuine disputes of material fact exist as

to key elements of the University’s liability. As a result, were the Court to apply this longer

statute of limitations, it would deny in part GWU’s motion for summary judgment.

       The Court begins by addressing several elements of a Title VI claim that appear

undisputed here. First, GWU does not contest that the University had sufficient “control” over

any harassers and the “environment” on the tennis team to be able to take remedial action. See

Fennell, 894 F.3d at 408. Second, GWU seems to have dropped its contention, since the motion

to dismiss, that Stafford’s allegations and evidence would not support a jury finding that the

harassment he faced was severe, pervasive, and objectively offensive. This was a wise choice.

Stafford has now substantiated his allegations, through his own testimony and that of at least one

fellow teammate, that the use of racial epithets, directed at or used around him, was prevalent

throughout periods of his tenure at GWU. See, e.g., Pl. SMF ¶¶ 17, 25 (describing testimony of

Stafford and teammate Blake Morton); see also Def. Ex. 2 at 50:19–58:20; Pl. Opp’n, Ex. E

(depicting Facebook meme using the n-word). As this Court previously observed, “repeatedly

being referred to by one’s peers by the most noxious racial epithet in the contemporary American

lexicon, and being shamed and humiliated on the basis of one’s race is harassment far beyond

normal schoolyard teasing and bullying,” and satisfies the harassment element of a Title VI

                                                31
hostile environment claim. See Stafford, 2019 WL 2373332, at *16 (quoting Fennell, 804 F.3d

at 409) (internal quotation marks and alterations omitted).

       The Court next concludes that Stafford would be able to reach a jury on the causation

element of Title VI: that any unchecked severe and pervasive harassment he faced had a

“concrete, negative effect” on his “ability to receive an education.”11 Davis, 526 U.S. at 654.

GWU argues that no reasonable jury could find that the ongoing harassment Stafford faced

caused his poor academic performance and ultimate suspension from the University. To that

end, it has introduced numerous records related to Stafford’s academic history, both in high

school and at GWU, demonstrating that he had long been academically challenged and

unmotivated. See Def. MSJ at 30–32; see also, e.g., Def. SMF ¶¶ 2–7, 19–26, 44–50, 55–58,

124–29. Stafford, for his part, has repeatedly attributed his academic difficulties, in some way,

to the distraction of his ongoing harassment. See, e.g., Pl. SMF ¶ 51; Def. Ex. 2 at 103:13–

104:6, 217:8–218:18, 283:1–8.

       The Court does not find it impossible, on the current record, for a rational jury to

conclude that unchecked racial harassment deprived Stafford of access to the educational

       11
          Some courts have added a second causation element, which ties the institution’s
indifference to future harassment. The exact formulations of the element differ. Some courts
require a showing of actual “further actionable harassment,” while others ask only that the
indifference made the plaintiffs “vulnerable to future harassment.” Compare Kollaritsch, 944
F.3d at 622–23 (applying former) with Cavalier II, 513 F. Supp. 3d 30, 52 (D.D.C. 2021)
(applying latter); Zeno, 702 F.3d at 666 (applying latter). The Court sees no need to wade into
this debate, as it would reach the same outcome no matter what—if any—future harm standard
applies. As explained below, Stafford’s only viable deliberate indifference claim would center
on the University’s inaction during his freshman and sophomore years. Because Stafford has
also introduced evidence that the harassment allegedly continued at least through his junior year,
see Pl. Opp’n at 10, he would satisfy any element concerning future harm.

                                                32
benefits offered at GWU.12 Though Stafford struggled academically in high school, Def. Mot.

Summ. J., Ex. 4 (noting overall 2.81 GPA in high school), high-school GPAs do not necessarily

reflect a student’s ability to succeed academically in college. And presumably, GWU would not

have admitted Stafford if it thought he were destined to fail. Still, Stafford’s grades did suffer

during his time at GWU. See Def. Ex. 28 (noting overall 2.28 GPA at GWU). While there could

be any number of explanations for that decline in academic performance, Stafford has testified

that one reason was the racial harassment he faced from his teammates, starting from his very

first weeks on campus. And, at least for his first two years at the University, Stafford’s grades

appeared to be lowest during a semester in which, as explained below, he testified to first

reporting racial harassment and receiving an inadequate response. See id. (noting significant

drop between Fall 2014 and Spring 2015 GPAs); Pl. SMF ¶¶ 43–44 (describing early 2015

discussion with Athletics Department administrator). While “a mere decline in grades” is not

enough to establish a claim under Title VI, such a change may “provide[] necessary evidence of

a potential link between [the plaintiff’s] education and [the] misconduct,” when considered in

light of the “persistence and severity” of the harassment. Davis, 526 U.S. at 652.

       12
           In his opposition brief, Stafford explains that he could conduct “expert discovery” to
further bolster his claim that the “hostile educational environment” impacted his “grade[s] and
mental health.” Pl. Opp’n at 16–17. GWU asks the Court to treat this offer as an effective
concession of the weakness of the current record. See Def. Reply at 21 n.8. The Court will not
do so, as expert testimony would not be necessary for Stafford to satisfy this element for
summary judgment purposes. Still, the Court rejects Stafford’s suggestion that the scheduling
order in this case—which deferred expert discovery until after summary judgment, see Minute
Order of Apr. 23, 2021—would offer an excuse for any failure of proof on this element. If
Stafford felt, after reading GWU’s brief, that expert discovery was, indeed, necessary to survive
summary judgment, he could have requested under Rule 56(d) that the Court defer ruling on the
motion or allow this additional discovery.

                                                 33
       And unlike the plaintiffs in several cases cited by GWU, Stafford has alleged—and

testified—that his “dropping grades” and “increased absenteeism” in class, C.S. v. Couch, 843 F.

Supp. 2d 894, 908–09 (N.D. Ind. 2011), were a product of the stress caused by his teammates’

abuse. Compare Def. Ex. 2 at 283:1–8 (“I really couldn’t focus in class anymore, because at that

point . . . everything had intensified so much.”) with Hawkins v. Sarasota Cnty. Sch. Bd., 322

F.3d 1279, 1289 (11th Cir. 2003) (holding that mere testimony that students were “upset” or

faked sick “falls short of demonstrating a systemic effect of denying equal access”); Gabrielle M.

v. Park Forest-Chicago Heights, Ill. Sch. Dist. 163, 315 F.3d 817, 823 (7th Cir. 2003) (finding no

evidence that student was denied access to education where “her grades remained steady” and

“her absenteeism . . . did not increase”); Simonetta v. Allegheny Coll., No. 20-cv-32, 2021 WL

927534, at *4 (W.D. Pa. Mar. 11, 2021) (noting that any decline in grades was temporary).

       The Court recognizes the significant evidence GWU puts forward highlighting the

potential weakness of Stafford’s causal claim. That evidence demonstrates Stafford has long

struggled academically, failed to take advantage of the academic-support resources the

University offered, and may have engaged in acts of academic dishonesty—including

plagiarism—from his earliest time at GWU. See, e.g., Def. SMF ¶¶ 3–7 (describing high school

difficulties); id. ¶¶ 19–26 (discussing freshman academic performance and plagiarism report).13

       13
           For several of the unfavorable facts GWU presents, the record also includes alternative
explanations that could strengthen the link between any harassment and Stafford’s academic
performance. For instance, GWU points out that Stafford has admitted that his participation in a
fraternity took a “toll” on his academics. Def. MSJ at 31 (citing Def. SMF ¶ 45). But Stafford
testified that he only joined this fraternity at the behest of then-Coach Munoz, who faulted him
for socially “distancing” himself from the teammates who were harassing him. See Pl. SMF
¶ 38; Def. Ex. 2 at 101:19–104:6. GWU also notes that Stafford did not mention “alleged racial
discrimination or harassment” in his academic appeal of his suspension in January 2018. See
Def. MSJ at 31–32. But again, the record contains an explanation for this omission. As even

                                                34
The Court agrees that, were this evidence to be presented to a jury, it very well might conclude

that the University’s deliberate indifference did not deprive Stafford of educational access. But

GWU has not established that no reasonable jury, looking at this evidence, could find that the

behavior on the tennis team “so undermine[d] and detract[ed] from the victim’s educational

experience” that Stafford had “effectively been denied access to [the] . . . resources and

opportunities” offered at GWU. Hawkins, 322 F.3d at 1289.

        The Court therefore turns to the two remaining elements: whether the University had

actual knowledge of any harassment, and whether its response, or lack thereof, was deliberately

indifferent. See id. at 1287 (“The deliberate indifference issue is intertwined with the question of

notice since whether the Board’s actions were clearly unreasonable must be measured by what

was known.”). On these elements, the strength of Stafford’s claim varies over time. Thus, under

a three-year statute of limitations, the Court would grant GWU only partial summary judgment.

                        a. Freshman Year

        Stafford recalled making two reports of racial harassment to GWU employees in his first

year as a student. First, Stafford testified that, shortly after the start of his freshman year, he told

then-Coach Greg Munoz about “racism by his teammate[s],” and that “Munoz immediately

retaliated against” him for that report. Pl. SMF ¶ 32. Second, Stafford recounted a discussion of

racism and harassment during a winter 2015 meeting with Munoz and Athletics Department

administrator Nicole Early. Id. ¶ 44. There is no evidence in the record that either Munoz or

Early responded to these complaints. The Court would conclude that Stafford’s reports to

GWU acknowledges, Stafford testified that an academic advisor discouraged him from including
any allegation of racism in his appeal. See Def. SMF ¶ 135.

                                                   35
Munoz could not support any finding of liability, but that a sufficient factual issue would

preclude it from granting summary judgment to GWU as to the potential report to Early.

       Stafford cannot premise any Title VI claim on a report of harassment to Munoz because

he has consistently described Munoz as a ringleader in the mistreatment he faced. Title VI does

not permit a damages recovery for deliberate indifference “based on principles of respondeat

superior or constructive notice.” Gebser, 524 U.S. at 285. Because a defendant’s “liability rests

on actual notice principles, . . . the knowledge of the wrongdoer himself is not pertinent to the

analysis.” Id. at 291. In both his summary judgment submissions and throughout the record,

Stafford has framed Munoz as a source of harassment. In his statement of genuine issues, for

instance, Stafford stated that Munoz directed “threats and harsh treatment” only at “non-White

and American tennis players” and consistently minimized incidents of racism by other players.

See Pl. SMF ¶¶ 9, 32–37. At one point in his deposition, Stafford also described the “racial

rhetoric” and “racial discrimination” he faced as part of an “environment that Munoz created.”

Def. Ex. 2 at 212:4–10. Because Munoz was an alleged wrongdoer, his knowledge of

discrimination was insufficient to constitute actual notice to GWU.

       The Court would reach a different conclusion with respect to Stafford’s report to Nicole

Early. GWU has not contested that Early is an “appropriate person” to whom Stafford could

raise complaints of harassment. The Court would hold that Early is such an appropriate person

because, as the team administrator, she had “authority to address the alleged discrimination and

to institute corrective measures on [GWU’s] behalf.” Gebser, 524 U.S. at 290; see Def. Ex. 7 at

23:7–12 (stating that team administrator had supervisory authority over coaches).

       The University quibbles instead with the sufficiency of the knowledge Early had. In

GWU’s view, Stafford’s report of “the racial rhetoric that was going on,” including “the names,

                                                 36
the harassment, the hostility” was not specific enough to give Early, and thus the University,

actual notice of any racially hostile environment. See Def. Reply at 9 (citing Def. Ex. 2 at

120:16–121:7). The Court does not share that view. In his deposition, Stafford testified that,

while meeting with Early in January 2015, he described to her, at a minimum, the racist name-

calling that his teammates had engaged in over the prior semester. See Def. Ex. 2 at 120:13–

121:19. Standing alone, that statement already includes more detail than the complaints other

courts have deemed insufficient. In several of the cases GWU cites, for instance, courts refused

to impose liability when a school failed to infer specific misconduct from general reports that a

claimant “wasn’t feeling comfortable” or was “bother[ed]” by a peer. See, e.g., Gabrielle M.,

315 F.3d at 823–24 (finding report that another student “began bothering” plaintiff insufficient to

put school on notice that behavior was sexual in nature); I.L. v. Hous. Indep. Sch. Dist., 776 F.

App’x 839, 844 (5th Cir. 2019) (holding “vague” testimony that family notified school district

that student “wasn’t feeling comfortable” not enough to support finding of actual knowledge).

Here, Stafford reported the nature and source of the harassment.

       Moreover, when read in context, Stafford’s testimony about his discussion with Early

suggests that he may, in fact, have provided more details about specific misconduct during that

conversation. At that point in his deposition, Stafford had just extensively described the

treatment he claims to have faced at GWU from a select number of students—the other dozen or

so members of the tennis team. His stated report—of “the names, the harassment, the

hostility”—is thus readily distinguishable from the claimed notice given in the main case GWU

relies on, Stiles ex rel. D.S. v. Grainger County, Tenn., 819 F.3d at 834. There, the Sixth Circuit

refused to credit a statement in a student’s affidavit that, at some unspecified point in his eighth-

grade year, he told teachers about bullying he had experienced from a variety of students over

                                                 37
the entire course of middle school. See id. at 843 n.5. Stafford’s testimony here, by contrast,

refers to a particular report of specific conduct by the small number of players on the tennis

team. Under these circumstances, the Court would not grant summary judgment to GWU on the

sole ground that Stafford’s retelling of his years-old conversation with Early involved too much

cross-referencing to and summarization of his other deposition testimony.

       As a result, the Court would conclude that Stafford’s testimony is sufficient to create a

genuine issue of material fact about whether, in January 2015, he gave Early actual notice of the

racially hostile environment he says he faced. Given this holding, the Court would likewise find

that there is a genuine issue of material fact as to the sufficiency of the University’s response.

After that meeting, there is no evidence in the record that Early took any steps to work with

Stafford, his coaches, or members of the tennis team to acknowledge or address any racial

harassment. If the factfinder were to accept Early’s account of the meeting and agree with GWU

that Stafford never made clear to Early the harassment he suffered, then this inaction would be

entirely understandable and have no legal significance. But if the finder of fact were to resolve

the disputed notice question in Stafford’s favor, the current record could support a finding of

deliberate indifference. A reasonable jury could conclude that doing nothing in the face of such

a report is clearly unreasonable. See Doe v. Pawtucket Sch. Dep’t, 969 F.3d 1, 9–10 (1st Cir.

2020) (finding allegation that school district “fail[ed] to take any action to stem the tide of”

misconduct plausibly satisfied deliberate indifference element at motion to dismiss stage);

Prasad, 390 F. Supp. 3d at 31 (describing cases where schools “ignored [the] plight” of a victim

or “made no effort whatsoever” to remedy violation).

                                                 38
                       b. Sophomore Year

       The Court reaches a similar set of conclusions with respect to the events of Stafford’s

sophomore year. There are three potential reports of racial harassment that school year.

       Stafford first claims he and his father complained to Coach Munoz about both harassment

by members of the tennis team and unequal treatment by coaching staff, including Munoz. See

Pl. Opp’n at 6; Def. SMF ¶ 60. But, as the Court has already explained, any report to Munoz—a

key wrongdoer in Stafford’s narrative—would not give the University actual knowledge of the

mistreatment for the purposes of Title VI. See Gebser, 524 U.S. at 291.

       Stafford next points to discussions he and his father had with Michael Tapscott, the

director of GWU’s Multicultural Student Services Center, in early fall of 2015. See Pl. Opp’n at

6–7. Considering the evidence in the record about these conversations, the Court would

conclude they cannot be a source of Title VI liability for GWU. As the University notes, there is

no evidence to contest Tapscott’s testimony that, in any one-on-one meeting with Jabari Stafford,

the issue of racism never came up. See Def. SMF ¶ 62. This conversation thus could not have

given GWU actual notice of a racially hostile environment. Nor could Tapscott’s actions during

and following his September 2015 conversation with Tom Stafford give rise to Title VI liability.

As has often been the case in this suit, the participants disagree about what was discussed. See

id. ¶ 67; Pl. SMF ¶ 47. But even if the Court accepts Tom Stafford’s version of events, GWU’s

response to this conversation could not amount to deliberate indifference. As the Supreme Court

has explained, an institution only engages in deliberate indifference when its actions are “clearly

unreasonable in light of the known circumstances.” Davis, 526 U.S. at 648 (emphasis added).

Here, the elder Stafford only recalled telling Tapscott “a little bit about what was going on” with

his son, and then discussing generally the experience of “being a kid of color” on a mostly white

                                                39
team. See Def. Ex. 6 at 56:3–12. After these conversations, Tapscott encouraged Jabari to meet

with Athletics Department administrator Early to discuss his concerns; reached out to Early

himself to discuss bullying on the team; and attempted to check in with Jabari several times.

Def. SMF ¶¶ 63–65, 68. In light of the at-best-vague report Stafford’s father made about the

nature of the problems Jabari faced, the Court would conclude that Tapscott’s response was not

unreasonable as a matter of law. See Hawkins, 322 F.3d at 1287 (explaining that whether

remedial actions “were clearly unreasonable must be measured by what was known”).

       Finally, Stafford asserts that his conversation with Nicole Early in the spring of 2016,

recounting the racially hostile environment under coaches Munoz and Browning, was sufficient

to trigger the University’s obligation to act. Here, as with the similar report in Stafford’s

freshman year, the Court agrees that a claim arising out of this conversation could survive

summary judgment. To begin, the parties again dispute whether this conversation focused on

racism. See Def. SMF ¶¶ 72–73. The Court would have to resolve this disagreement in

Stafford’s favor at this juncture. Scott, 550 U.S. at 378. Moreover, a jury could indeed find that

Stafford told Early about the “racial rhetoric and . . . racial discrimination” he had been “forced

to endure” under both Munoz and Browning. Def. Ex. 2 at 212:4–13. As it would for the similar

report a year earlier, the Court would reject GWU’s suggestion that any reasonable jury would

have to find this report too vague to impart actual knowledge. Once again, Stafford has

recounted a specific conversation where he described a longstanding pattern of harassment by a

particular group of students—fellow members of the tennis team. That is not the kind of

“extremely vague” report courts have rejected.14 See I.L., 776 F. App’x at 844.

       14
        In his briefing, Stafford also emphasizes an email Early sent to fellow Athletics
Department administrator Ed Scott in January 2016, warning that Stafford’s father might

                                                 40
       And if a jury found that Stafford adequately put Early on notice, it could likewise find

that her response on GWU’s behalf was deliberately indifferent. To be sure, deliberate

indifference is a high bar. Because the standard protects schools’ “flexibility” in administrative

matters, the Court must “refrain from second-guessing the . . . decisions made by school

administrators.” Davis, 526 U.S. at 648. Still, once put on notice, an official with authority to

remedy a violation cannot “refuse[] to take action.” Gebser, 524 U.S. at 290. And though the

test for liability “is not one of effectiveness by hindsight,” a school may also be liable where it

has continued to use a “known ‘ineffective practice.’” Prasad, 390 F. Supp. 3d at 27 (first

quoting Porto v. Town of Tewksbury, 488 F.3d 67, 74 (1st Cir. 2007) then quoting Stiles, 819

F.3d at 849–50). Here, Stafford has testified that, following his report of racial harassment, the

only steps Early took were to (1) set up a meeting with Coach Browning, where they discussed

only his position in the lineup; and (2) reassure him he’d have a fresh start with a new coach in

the fall. Def. SMF ¶¶ 72, 76–77. Were a jury to credit Stafford’s version of events—including

two separate reports, more than a year apart, of ongoing racial abuse on the tennis team—it could

conclude her response was clearly unreasonable. As a result, were the Court to reach the

question, it would conclude that the events arising out of Stafford’s claimed report to Early in his

sophomore year, too, cannot be resolved at summary judgment.

“suggest that Jabari is being discriminated against.” Pl. Ex. L. In Stafford’s telling, this email
separately creates a dispute of material fact about whether Early had actual knowledge of
ongoing discrimination. See Pl. Opp’n at 17–18. GWU disagrees. In its alternate reading, the
email indicates only that Early thought a complaint about some kind of discrimination—not
necessarily on the basis of race—might be forthcoming. See Def. Reply at 12. The Court agrees
with GWU that this email is not, by itself, proof that a clear report of discrimination had in fact
been made. But a reasonable jury could find it to be circumstantial evidence of Early’s
knowledge of a racial discrimination complaint—particularly when read in context with
Stafford’s allegation that he had complained to her about such discrimination the previous year.

                                                 41
                       c. Junior Year

       For a variety of reasons, however, the Court would reach the opposite conclusion as to

any potential Title VI claim arising out of the remainder of Stafford’s time at GWU. For each

remaining incident, either Stafford failed to put an appropriate person on notice or the

University’s response does not constitute deliberate indifference as a matter of law.

       First, no reasonable jury could find that the University was deliberately indifferent to

Stafford’s reports of racial harassment in the fall of 2016. That semester, in a series of phone

calls, emails, and a meeting with GWU administrators, several University officials encouraged

Stafford to use the University’s student grievance procedures to report incidents of racial bias

and discrimination, and provided him with information about how to do so. See Def. SMF ¶¶ 96,

104, 106. Yet, Stafford chose not to pursue any official report. See id. ¶ 108; Pl. SMF ¶ 46.

Other courts have specifically rejected deliberate indifference claims where a school has

“encourag[ed]” complainants “to secure protections available,” but the complainant has declined

to do so. Prasad, 390 F. Supp. 3d at 31; see also Roe v. St. Louis Univ., 746 F.3d 874, 883 (8th

Cir. 2014) (holding university not deliberately indifferent under Title IX where administrator

informed student of how to make a complaint and respected her decision not to report). Here,

crucially, it was Stafford who chose not to pursue a claim of racial bias further.

       Stafford may be right that the officials he spoke with had the “power to initiate an

investigation independent” of any formal grievance. See Pl. Opp’n at 19. But Title VI does not

give a claimant the “right to make particular remedial demands.” Davis, 526 U.S. at 648. Title

VI therefore imposed on GWU no obligation to pursue such an independent investigation once

Stafford dropped his complaint. See Fennell, 804 F.3d at 410–11 (explaining that “[o]fficials

may avoid liability under a deliberate indifference standard by responding reasonably to a risk of

                                                 42
harm,” and even “relatively weak responses to harassment” are not tantamount to intentional

discrimination).

       The University likewise could not be liable for any inaction surrounding the sole

remaining potential reports during Stafford’s junior year: two conversations, at some point

during the Spring 2017 semester, with Coach David Macpherson about “the racist acts of [his]

teammates.” See Pl. Opp’n at 10–11 & 11 n.2; Def. Ex. 2 at 262:22–263:17, 271:3–15. The

parties debate whether Macpherson, as head tennis coach at a large university program, is an

“appropriate person” whose actual knowledge of discrimination and failure to act could render

the University liable. See Def. MSJ at 28–30; Pl. Opp’n at 18. The Court need not resolve that

disagreement.

       Even if Macpherson were an appropriate person, Stafford’s accounts of these

conversations do not indicate that he put the new head coach on actual notice of any specific acts

of discrimination by his players. In particular, the Court finds Stafford’s recollection of his

conversations with Macpherson less specific than his retelling of his earlier meetings with

administrator Nicole Early. For instance, Stafford recounted one conversation with Macpherson

and another teammate where he apparently told Macpherson that he “thought racism was at play”

in his interactions with his teammates. Def. Ex. 2 at 263:6–22. But he did not offer any other

details, and at one point even conceded that he “didn’t link the conspiracy to [his] race” because,

in his view, the “whole context” of his allegations were “about race.” Id. at 262:22–263:7. The

same is true for a phone conversation Stafford and Macpherson apparently had in the spring of

2017. As to that call, Stafford only testified that he told his new coach his teammates were

“plotting,” “taunting” and “racially discriminating against” him. Id. at 271:6–10. Although the

Court has rejected GWU’s vagueness argument at other points, this description falls on the other

                                                 43
side of the line. No reasonable jury could find that such general allegations, which don’t even

gesture at specific incidents of name-calling or misconduct, gave Macpherson, and thus GWU,

actual notice of the nature of the problems Stafford faced on the tennis team.

                       d. Senior Year

       The Court finally reaches Stafford’s final year at GWU, starting in the fall of 2017. The

only potential event giving rise to liability here that the Court would consider is one already

discussed: Stafford’s academic suspension and subsequent appeal in January 2018. As the

Court has already explained, under any statute of limitations, the University cannot be liable for

deliberate indifference arising out of this incident because, even on Stafford’s telling, no

“appropriate person” was given actual knowledge of racial abuse. See Gebser, 524 U.S. at 290;

supra Part III.A.2.

 IV. Conclusion

       For the foregoing reasons, the Court will grant the Defendant’s Motion for Summary

Judgment. A separate Order shall accompany this memorandum opinion.

                                                              CHRISTOPHER R. COOPER
                                                              United States District Judge

Date: January 4, 2022

                                                 44