                           UNITED STATES OF AMERICA
                        MERIT SYSTEMS PROTECTION BOARD


     ORVILLE W. J. LAYTON,                           DOCKET NUMBER
                    Appellant,                       SF-1221-14-0805-W-1

                  v.

     DEPARTMENT OF THE AIR FORCE,                    DATE: December 9, 2015
                 Agency.



             THIS FINAL ORDER IS NONPRECEDENTIAL 1

           Orville W. J. Layton, Eagle River, Alaska, pro se.

           Lindsay Collins and Velma C. Gay, Joint Base Andrews, Maryland, for
             the agency.


                                           BEFORE

                              Susan Tsui Grundmann, Chairman
                                 Mark A. Robbins, Member


                                       FINAL ORDER

¶1         The appellant has filed a petition for review of the initial decision, which
     denied his request for corrective action in an individual right of action (IRA)
     appeal under the Whistleblower Protection Act of 1989 (WPA) as amended.
     Generally, we grant petitions such as this one only when: the initial decision


     1
        A nonprecedential order is one that the Board has determined does not add
     significantly to the body of MSPB case law. Parties may cite nonprecedential orders,
     but such orders have no precedential value; the Board and administrative judges are not
     required to follow or distinguish them in any future decisions. In contrast, a
     precedential decision issued as an Opinion and Order has been identified by the Board
     as significantly contributing to the Board’s case law. See 5 C.F.R. § 1201.117(c).
                                                                                       2

     contains erroneous findings of material fact; the initial decision is based on an
     erroneous interpretation of statute or regulation or the erroneous application of
     the law to the facts of the case; the administrative judge’s rulings during either
     the course of the appeal or the initial decision were not consistent with required
     procedures or involved an abuse of discretion, and the resulting error affected the
     outcome of the case; or new and material evidence or legal argument is available
     that, despite the petitioner’s due diligence, was not available when the record
     closed. See title 5 of the Code of Federal Regulations, section 1201.115 (5 C.F.R.
     § 1201.115). After fully considering the filings in this appeal, we conclude that
     the petitioner has not established any basis under section 1201.115 for granting
     the petition for review. Therefore, we DENY the petition for review. Except as
     expressly MODIFIED by this Final Order to find that the appellant made a
     protected disclosure under 5 U.S.C. § 2302(b)(8) concerning Colorado State
     University (CSU), participated in protected activity pursuant to 5 U.S.C.
     § 2302(b)(9)(C), and proved that his protected disclosures and protected activity
     were a contributing factor in the agency’s actions, we AFFIRM the initial
     decision and find that the agency proved by clear and convincing evidence that it
     would     have   taken   the   personnel    actions   in   the   absence   of   the
     protected disclosures.

                                      BACKGROUND
¶2        The appellant is an attorney working in the office of the Staff Judge
     Advocate (SJA) for the 673 Air Base Wing at Joint Base Elmendorf-Richardson
     (JBER).    Initial Appeal File (IAF), Tab 1 at 2.     He contends that the agency
     relieved him of most of his duties as an environmental law attorney and issued
     him a letter of reprimand in reprisal for his protected whistleblowing activity. Id.
     at 8-10. The appellant alleges that he made two whistleblowing disclosures to his
     supervisor on March 26, 2014, and that he was reassigned 2 days later. Id. at 8.
     First, the appellant disclosed process deficiencies and noncompliance with
                                                                                               3

     procedures governing a controlled burn fire 2 that was to be conducted on the
     installation and that may have endangered the public. Id. Second, the appellant
     disclosed that he believed an improper relationship existed between JBER’s Civil
     Engineering Squadron Environmental Section (CE) and CSU. Id. The appellant
     alleges that for several months prior to these disclosures he had raised concerns
     that CSU’s services had been improperly procured and CSU employees were
     performing inherently governmental functions to his first-level and second-level
     supervisors and various other members of the installation’s management.                  Id.
     at 8-9.
¶3         On March 31, 2014, the appellant filed a complaint with the Office of
     Inspector General (OIG) for the 673 Air Base Wing alleging, in part, that the
     installation’s Wildland Fire Program Manager was a CSU contractor performing
     an inherently governmental function, and that flaws in the process for planning
     the controlled burn increased the risk of an accident. Id., Exhibit (Ex.) 2 at 2, 7.
     On April 6, 2014, the appellant filed a complaint with the Office of Special
     Counsel (OSC) stating that he had been reassigned following a conversation
     during which he informed his first-level supervisor of a series of regulatory and
     statutory violations in planning the controlled burn fire. IAF, Tab 8 at 8, Tab 1,
     Ex. 3.    In his OSC complaint, the appellant also states that he informed his
     first-level supervisor that he was concerned that failure to follow regulatory
     guidance for planning the controlled burns could jeopardize public safety and if
     immediate action was not taken to remedy the situation he would report it to the
     Inspector General.      IAF, Tab 1, Ex. 3.      The appellant’s OSC complaint was
     accepted for investigation for possible violations of 5 U.S.C. § 2302(b)(8)
     and 5 U.S.C. § 2302(b)(9). Id., Ex. 6.

     2
       A “controlled burn” is the deliberate start of a fire to reduce fuel or create fire breaks
     in an effort to reduce the potential for large, uncontrolled forest fires. IAF, Tab 6 at 5.
     The terms “controlled burn,” “proscribed burn,” and “prescribed burn” are used
     interchangeably by the parties and the administrative judge. See, e.g., IAF, Tab 1 at 9,
     Tab 47 at 3.
                                                                                       4

¶4        On April 30, 2014, the appellant filed a complaint with the Department of
     Defense (DOD) OIG, which he also sent to a member of Congress, alleging that
     the U.S. Army and JBER were using CSU as the sole source for maintenance,
     construction, and personal services contracts, and CSU was performing inherently
     governmental functions. Id., Ex. 4. In this complaint, the appellant states that he
     first became aware of “the peculiar relationship” between U.S. Army Alaska and
     CSU in 2003. Id. at 8. After prior notice and an opportunity to respond, the
     appellant received a letter of reprimand on June 24, 2014, for failing to follow his
     supervisor’s instruction to copy him on all real estate and administrative law
     email correspondence. IAF, Tab 1, Ex. 5 at 5-7.
¶5        The administrative judge found that the Board has jurisdiction over the
     appellant’s IRA appeal and, after holding a hearing on the merits, issued an initial
     decision finding that only the disclosures concerning the controlled burn fires met
     the definition of protected disclosures.     IAF, Tab 47, Initial Decision (ID)
     at 20-26. The administrative judge further found that the agency showed by clear
     and convincing evidence that it would have reassigned the appellant and issued
     him a letter of reprimand in the absence of this disclosure. ID at 26-34.
¶6        The appellant has filed a petition for review arguing that the administrative
     judge erroneously concluded that his disclosures concerning CSU were not
     protected, failed to consider all of the evidence in finding that the agency met its
     burden by clear and convincing evidence, abused his discretion by denying the
     appellant’s motion to compel discovery, issued arbitrary rulings on the
     admissibility of witnesses and evidence, and considered sua sponte irrelevant
     information pertaining to the appellant’s prior IRA appeal. Petition for Review
     (PFR) File, Tab 1. The agency has filed a response opposing the petition for
     review.   PFR File, Tab 3.     The appellant has filed a reply to the agency’s
     response. PFR File, Tab 4.
                                                                                     5

                     DISCUSSION OF ARGUMENTS ON REVIEW
     The appellant has proven by preponderant evidence that his disclosures
     concerning the controlled burn fires and CSU are protected disclosures
     under 5 U.S.C. § 2302(b)(8).
¶7        In reviewing the merits of an IRA appeal based on an allegation of
     whistleblower reprisal, the Board must examine whether the appellant proved by
     preponderant evidence that he engaged in whistleblowing activity by making a
     protected disclosure under 5 U.S.C. § 2302(b)(8), and that such whistleblowing
     activity was a contributing factor in an agency personnel action; if so, the Board
     must order corrective action unless the agency established by clear and
     convincing evidence that it would have taken the same personnel action in the
     absence   of   the     disclosures.    Chavez    v.   Department    of   Veterans
     Affairs, 120 M.S.P.R. 285, ¶ 17 (2013). An individual making a disclosure may
     be protected from retaliation for whistleblowing based on his reasonable belief
     that his disclosure evidenced one or more of the categories of wrongdoing listed
     in 5 U.S.C. § 2302(b)(8), even when his belief is mistaken. See Drake v. Agency
     for International Development, 543 F.3d 1377, 1382 (Fed. Cir. 2008). The test
     for determining whether an employee’s belief regarding the disclosed matter is
     reasonable is whether a disinterested observer with knowledge of the essential
     facts known to and readily ascertainable by the employee could reasonably
     conclude that the actions of the agency evidence the wrongdoing disclosed.
     Lachance v. White, 174 F.3d 1378, 1381 (Fed. Cir. 1999). We agree with the
     administrative judge’s finding that the appellant’s disclosures concerning the
     controlled burns disclosed matters that a reasonable person in his position would
     have believed evidenced a substantial and specific danger to public health or
     safety. ID at 22-24.
¶8        The administrative judge found that the appellant’s disclosures of an
     improper relationship between CE and CSU were not protected disclosures
     because a reasonable person could not have reached this conclusion based on the
     facts known to and readily ascertainable by the appellant.     ID at 24-26.   We
                                                                                          6

      disagree, and we modify the initial decision to reflect that the appellant made a
      protected disclosure concerning CSU.
¶9          The appellant’s disclosures regarding CSU are twofold. First, he alleges the
      cooperative agreement with CSU was not subject to the required competition, and
      state and Federal entities had not been given the right of first refusal, as required
      by the policy of the DOD on cooperative agreements under the Sikes Act. 3 PFR
      File, Tab 1 at 14-15. Second, he contends that the use of CSU contract labor
      violated Federal and agency regulations because CSU contractors performed
      inherently governmental functions. Id. at 14.
¶10         We agree with the administrative judge that the appellant failed to prove
      that he reasonably believed that his disclosure regarding the procurement of
      CSU’s services evidenced a category of wrongdoing listed in 5 U.S.C.
      § 2302(b)(8). The appellant claims that he was told by CE that both the Bureau
      of Land Management and Anchorage Soil and Water Conservation District were
      approached and could not provide the needed support.          IAF, Tab 6 at 4.     He
      requested to see documents showing that these entities were unable to provide
      natural resources management support, but was not provided the requested
      documents. Id., Ex. A at 90. Based on the appellant’s own description of facts,
      he possessed insufficient information to reasonably conclude that state and
      Federal entities were not given the right of first refusal.        The documentary
      evidence also indicates reasonable disagreements about how to apply DOD’s
      relatively new policy on cooperative agreements under the Sikes Act.               Id.
      at 36-46, 116-18.
¶11         However, we find that the appellant’s disclosure regarding the use of CSU
      contract labor was protected. The appellant has cited to a number of what he
      states are “controlling federal and agency regulations,” which he believes the

      3
        The Sikes Act, 16 U.S.C. § 670, provides for a cooperative effort by the agency with
      the DOD and with state agencies to promote the proper development, maintenance, and
      conservation of wildlife, fish, and game on military installations.
                                                                                             7

      administrative judge failed to consider. PFR File, Tab 1 at 13. Included in these
      regulations is a general prohibition against contractors performing inherently
      governmental functions. 48 C.F.R. § 7.503. The appellant states that, according
      to Air Force Instruction 32-7064, natural resources management is an inherently
      governmental function.          PFR File, Tab 1 at 14.    This instruction specifically
      states that activities that require the exercise of discretion in making decisions
      regarding natural resources management and disposition of government-owned
      natural resources are inherently governmental functions.         IAF, Tab 36, Ex. G5
      at 53.     While the same instruction states that the agency can use cooperative
      agreements      for   natural    resources   program     management    assistance    and
      implementation, id. at 46, an appellant need only have a reasonable belief that
      his disclosure evidenced a category of wrongdoing under section 2302(b)(8), see
      Lachance, 174 F.3d at 1381.
¶12            Under the circumstances in this case, we find that the appellant established
      that he reasonably believed that his disclosure evidenced a violation of a law,
      rule, or regulation. The record is clear that CSU participated in managing and
      implementing the natural resources management program for the installation.
      Based on the record evidence, we find that the appellant proved that he had a
      reasonable belief that CSU contractors were performing inherently government
      functions through their involvement in natural resources management, in violation
      of Federal and agency regulations. 4



      4
        In finding that the appellant’s disclosures concerning CSU were not protected, the
      administrative judge emphasized that the agency was not a party to the agreement with
      CSU. ID at 26. The Army Corps of Engineers manages the agreement on behalf of the
      entire DOD. IAF, Tab 6, Ex. A at 59. When he first made this disclosure, the appellant
      had not seen the terms of the cooperative agreement with CSU. We do not, however,
      find this to be dispositive in determining whether the appellant’s disclosures concerning
      CSU were protected. The appellant has provided sufficient evidence and argument to
      prove that he had a reasonable belief that the contracting of CSU labor constituted a
      violation of law, rule, or regulation.
                                                                                                  8

      The appellant’s complaint to the DOD OIG is protected activity under 5 U.S.C.
      § 2302(b)(9)(C).
¶13         Following the enactment of the Whistleblower Protection Enhancement Act,
      which became effective on December 27, 2012, an appellant also may file an IRA
      appeal with the Board concerning alleged reprisal based on protected activity as
      defined    by 5 U.S.C.    § 2302(b)(9)(A)(i),      (B),    (C),   and     (D).        Rebstock
      Consolidation v. Department of Homeland Security, 122 M.S.P.R. 661, ¶ 5
      (2015). Disclosing information to the Inspector General of an agency is protected
      activity under 5 U.S.C. § 2302(b)(9)(C). Because the appellant’s complaint to the
      OIG for the 673 Air Base Wing concerned the controlled burn fires, and are
      protected disclosures under 5 U.S.C. § 2302(b)(8), they are not also protected
      activity   under     5 U.S.C.      § 2302(b)(9).          See     Special        Counsel    v.
      Hathaway, 49 M.S.P.R. 595, 612 (1991) (finding that disclosures that fall within
      the   scope   of   5 U.S.C.     § 2302(b)(8)   are not    covered       also     by   5 U.S.C.
      § 2302(b)(9)), aff’d, 981 F.2d 1237 (Fed. Cir. 1992). The appellant’s complaint
      to the DOD OIG concerning CSU did not contain protected disclosures
      under 5 U.S.C. § 2302(b)(8), as discussed supra ¶¶ 7-10, however, we find that
      this complaint is protected activity under 5 U.S.C. § 2302(b)(9)(C).                       See
      Hathaway, 49 M.S.P.R. at 612 n.20 (stating that 5 U.S.C. § 2302(b)(9) protects
      all disclosures to the Inspector General made in accordance with applicable
      provisions of law).       The OSC investigated potential violations of both
      section 2302(b)(8) and section 2302(b)(9). IAF, Tab 6, Ex. A at 234. Therefore,
      we modify the initial decision to include a finding that the appellant participated
      in protected activity pursuant 5 U.S.C. § 2302(b)(9)(C) by filing a complaint with
      the DOD OIG.
      The appellant has proven that his protected disclosures and protected activity
      were a contributing factor in the agency’s actions by satisfying the
      knowledge-timing test.
¶14         To prevail in his reprisal claim, the appellant must prove by preponderant
      evidence that his protected disclosures or activity were a contributing factor in a
                                                                                        9

      personnel action. 5 U.S.C. § 1221(e)(1). One way to establish this criterion is
      the knowledge-timing test, under which an employee submits evidence showing
      that the official taking the personnel action knew of the disclosure or activity and
      that the personnel action occurred within a period of time such that a reasonable
      person could conclude that the disclosure or activity was a contributing factor in
      the   personnel    action.     Id.;    Wadhwa     v.   Department     of   Veterans
      Affairs, 110 M.S.P.R. 615, ¶ 12, aff’d, 353 F. App’x 435 (Fed. Cir. 2009).
¶15         The initial decision states that the appellant made a protected disclosure to
      his first-level supervisor on March 26, 2014, and was reassigned 2 days later. ID
      at 26. The initial decision also states that the appellant’s first-level supervisor
      issued the letter of reprimand less than 3 months after this disclosure. ID at 27.
      The appellant filed a complaint with the DOD OIG on April 30, 2014, IAF, Tab 1,
      Ex. 4, which was after the reassignment, but less than 2 months before the letter
      of reprimand was proposed, IAF, Tab 6, Ex. A at 215-16.
¶16         The initial decision never expressly finds that the close proximity in time
      between the appellant’s protected disclosures and activity to the agency’s actions
      satisfies the knowledge-timing test.     The initial decision does state that the
      appellant failed to adequately support his assertion that his whistleblowing
      disclosures were a contributing factor in the agency’s decision to reassign and
      reprimand him. ID at 30-31. Once the knowledge-timing test has been met, an
      administrative judge must find that the appellant has shown that his
      whistleblowing was a contributing factor in the personnel action at issue, even if
      after a complete analysis of all the evidence a reasonable factfinder could not
      conclude that the appellant’s whistleblowing was a contributing factor. Carey v.
      Department of Veterans Affairs, 93 M.S.P.R. 676, ¶ 13 (2003). We modify the
      initial decision to find that the appellant has proven that his whistleblowing
      disclosures and protected activity were a contributing factor in the agency’s
      actions reassigning him and issuing the letter of reprimand because he has
      satisfied the knowledge-timing test.
                                                                                      10

      The agency has proven, by clear and convincing evidence, that it would have
      reassigned and reprimanded the appellant absent his protected disclosures and
      protected activity.
¶17         The Board will order corrective action in an IRA appeal if an appellant
      shows, by preponderant evidence, that he engaged in whistleblowing and that the
      whistleblowing was a contributing factor in the decision to take a personnel
      action unless the agency shows by clear and convincing evidence that it would
      have taken the personnel action even absent the whistleblowing. 5 U.S.C.
      § 1221(e)(2); Wadhwa, 110 M.S.P.R. 615, ¶ 14. Clear and convincing evidence is
      that measure or degree of proof that produces in the mind of the trier of fact a
      firm belief as to the allegations sought to be established; it is a higher standard
      than preponderant evidence. 5 C.F.R. § 1209.4(e). In determining whether the
      agency has shown by clear and convincing evidence that it would have taken the
      same personnel action in the absence of the whistleblowing, the Board considers
      the strength of the agency’s evidence in support of its personnel action, the
      strength of any motive to retaliate on the part of the agency officials who were
      involved in the decision, and any evidence that the agency takes similar actions
      against employees who are not whistleblowers, but who are otherwise similarly
      situated.     Carr v. Social Security Administration, 185 F.3d 1318, 1323 (Fed.
      Cir. 1999).
¶18         Citing to the standard articulated in Whitmore v. Department of
      Labor, 680 F.3d 1353 (Fed. Cir. 2012), the appellant argues that the
      administrative judge failed to consider extensive evidence substantiating his
      whistleblower retaliation claim and rebutting the agency’s evidence that it would
      have taken the same actions against him absent his protected disclosures. PFR
      File, Tab 1 at 6, 12-13, Tab 4 at 5. In Whitmore, the court held that evidence only
      clearly and convincingly supports a conclusion when it does so in the aggregate
      considering all the pertinent evidence in the record, and despite the evidence that
      fairly detracts from that conclusion.   Whitmore, 680 F.3d at 1368.     The court
                                                                                      11

      further determined that it is error for the Board to not evaluate all the pertinent
      evidence in determining whether an element of a claim or defense has been
      proven adequately.    Id.   We have reviewed the entire record and find that it
      supports the administrative judge’s finding that the agency proved by clear and
      convincing evidence it would have taken the same actions absent the appellant’s
      protected disclosures and protected activity.
¶19         We agree with the administrative judge’s finding that the agency presented
      strong evidence in support of the appellant’s reassignment. ID at 27-30. The
      appellant argues that the administrative judge failed to consider the documentary
      evidence showing that immediately prior to his reassignment he went to great
      lengths to assist CE. PFR File, Tab 1 at 18-19. The appellant also argues that the
      administrative judge erred in finding credible his supervisors’ unsubstantiated
      claim that he was reassigned because of his poor relationship with senior CE
      personnel, which made it impossible for him to effectively serve as their legal
      advisor. Id. at 18. This is a mischaracterization of both the testimony and the
      initial decision.
¶20         The appellant’s first-level and second-level supervisors both testified that
      his reassignment became necessary when the appellant claimed that senior CE
      personnel were subjecting him to a hostile environment. Hearing Compact Disc
      (HCD). The appellant’s OSC complaint corroborates this testimony. In his OSC
      complaint, the appellant states that he informed his supervisor that he was being
      harassed by CE personnel after raising concerns about the controlled burns and
      their “unprofessional conduct was creating a hostile work environment, seriously
      effecting [his] work.” IAF, Tab 1, Ex. 3 at 1 (Narrative of Events). The fact that
      the appellant continued to work with CE on the controlled burn project is not
      disputed.    As explained by the administrative judge, there is considerable
      evidence in the record that the appellant’s interactions with senior members of the
      CE staff were at times contentious and had adversely affected his ability to serve
      as their legal advisor.     ID at 5-6, 10-11, 16, 19.   However, the appellant’s
                                                                                       12

      first-level supervisor was clear in his testimony that the poor relationship between
      the appellant and CE leadership, which had existed for years, was not the basis
      for the reassignment. HCD. The initial decision finds credible the appellant’s
      supervisors’ testimony that the reassignment became necessary only when the
      appellant alleged that he was being subjected to a hostile work environment. ID
      at 28-30.
¶21        The appellant asserts that the administrative judge erred in finding credible
      his supervisors’ testimony that reassigning the appellant was their “only option”
      for responding to his complaint of a hostile work environment because they had
      no authority over the CE staff. PFR File, Tab 1 at 19. This misstates both the
      initial decision and the hearing testimony.      The initial decision credits the
      appellant’s supervisors’ testimony that temporarily reassigning the appellant
      addressed his hostile work environment allegation while also benefitting the
      SJA’s office by having the appellant work in another area during a staffing
      shortage. ID at 17. The appellant appears to argue that, rather than responding to
      his hostile work environment allegations internally, the SJA’s office could have
      raised the issue with the installation commander, who had supervisory authority
      over both the SJA’s office and CE. PFR File, Tab 1 at 19. The record does not
      contain any evidence that harassment allegations made by similarly situated
      employees who were not whistleblowers were handled in this manner; therefore,
      we find that this argument is speculative.
¶22        The appellant notes that his performance evaluation prior to his
      reassignment concluded that he had fulfilled all job requirements, highlighted
      success in various endeavors with the CE staff, and included no reference to
      personality issues.   Id.    The record also includes the appellant’s first-level
      supervisor’s statement that he wanted to see improvement in the appellant’s
      relationship with CE, noting that there had been improvement “but there is still a
      great deal of friction.”    IAF, Tab 36, Exs. Q2-Q4.    Moreover, as stated supra
      ¶ 18, the agency has not cited to performance deficiencies as the reason for the
                                                                                         13

      appellant’s reassignment. The appellant’s first-level supervisor testified that he
      had no problems with the appellant’s legal conclusions. Rather, the testimony of
      the appellant’s first-level and second-level supervisors and documentary evidence
      make clear that the reassignment was precipitated by the appellant’s allegation
      that he was being subjected to a hostile work environment by senior members of
      the CE staff. HCD; IAF, Tab 1, Ex. 1.
¶23        The agency has presented strong evidence supporting the issuance of the
      reprimand.      The appellant admits that he failed to follow his supervisor’s
      instruction to copy him on two emails to clients concerning substantive legal
      issues, but he asserts that, since it only happened 2 times in 2 months, it was a
      trivial event that did not warrant a reprimand.       PFR File, Tab 1 at 19.      The
      appellant argues that the administrative judge failed to consider his written reply
      to the proposed reprimand. 5 Id. The administrative judge’s failure to mention all
      of the evidence of record does not mean that he did not consider it in reaching his
      decision. Diggs v. Department of Housing & Urban Development, 114 M.S.P.R.
      464, ¶ 8 (2010).     The initial decision reflects that the administrative judge
      thoroughly analyzed this issue. ID at 31-32. In his reply, the appellant admits
      that he failed to follow his supervisor’s instruction.     IAF, Tab 1, Ex. 5.     The
      appellant’s admitted failure to follow his supervisor’s instruction provides strong
      support for the issuance of the reprimand.          The WPA is not a shield for
      insubordinate conduct. Lachance, 174 F.3d at 1381.
¶24        The appellant argues that the administrative judge failed to question why
      the instruction to copy his supervisor on substantive legal advice was necessary
      for an attorney with his background and experience. PFR File, Tab 1 at 20. The
      appellant’s reply to the proposed reprimand makes a similar argument.            IAF,
      Tab 1, Ex. 5.     To support this argument, the appellant cites to his position

      5
        The initial decision cites to the appellant’s response to the proposed reprimand. ID
      at 14. Therefore, we assume by “reply” the appellant is referring to the document
      entitled “response to the decision to issue a reprimand.” IAF, Tab 1, Ex. 5 at 8-9.
                                                                                           14

      description, which states that an attorney in his position is expected to operate
      with a great deal of independence and autonomy. PFR File, Tab 1 at 20; IAF,
      Tab 36, Ex. Q1. The appellant’s first-level and second-level supervisors testified
      that the instruction was necessary so that they were aware of legal advice the
      appellant had provided if they were asked questions when the appellant was
      unavailable. HCD.       Specifically, “higher headquarters” had asked them about
      advice the appellant had given while he was on leave for several days and they
      felt “blind-sided” by this. HCD (testimony of second-level supervisor). Wanting
      to avoid that situation in the future, they asked the appellant to copy his
      supervisor on substantive legal advice. Id. The administrative judge found this
      testimony credible. ID at 32-33.
¶25            The mere fact that the appellant disagreed with the instruction is not a
      justification for his failure to follow it. 6          See Cooke v. U.S. Postal
      Service, 67 M.S.P.R. 401, 407-08 (explaining that an employee does not have the
      unfettered right to disregard an instruction because there is reason to believe it
      is not proper), aff’d, 73 F.3d 380 (Fed. Cir. 1995) (Table). The administrative
      judge found incredible the appellant’s testimony that he was confused by the
      instruction based in part on his observation of the appellant’s demeanor.            ID
      at 32.      The Board must defer to an administrative judge’s credibility
      determinations when they are based, explicitly or implicitly, on the observation of
      the demeanor of witnesses testifying at a hearing; the Board may overturn such
      determinations only when it has “sufficiently sound” reasons for doing so. Haebe
      v. Department of Justice, 288 F.3d 1288, 1301 (Fed. Cir. 2002) . The appellant’s
      admitted failure to follow his supervisor’s instruction is strong evidence in
      support of issuing the letter of reprimand.



      6
        Although there may be instances where an employee may be justified in not following
      a supervisory instruction, such as where the directive is illegal or obeying it could be
      dangerous, those circumstances are not present here.
                                                                                        15

¶26         The second Carr factor is the strength of the motive to retaliate. In this
      case, in addition to the bases relied on by the administrative judge in reaching
      this same conclusion, ID at 33, we find that the appellant’s supervisor had little
      motive to retaliate because he was not the subject of the appellant’s disclosure or
      protected activity. The appellant’s disclosures and protected activity concerned
      allegations of wrongdoing by CE.           Both the appellant’s first-level and
      second-level supervisors testified they had no authority over the CE staff. As
      found by the administrative judge, to the extent that members of the CE staff had
      a stronger motive to retaliate, it is undisputed that they did not make the decision
      to reassign the appellant or issue him the reprimand. Id.
¶27         The appellant alleges that his first-level supervisor was motivated to
      retaliate because the appellant disclosed his supervisor’s violations of the
      American Bar Association (ABA) Model Rules of Professional Conduct. IAF,
      Tab 36, Ex. F-2; PFR File, Tab 1 at 18. However, this disclosure was not raised
      in the appellant’s OSC complaint. IAF, Tab 1, Ex. 3. To exhaust his remedy
      with OSC, an appellant must inform OSC of the precise ground of his charged of
      whistleblowing. Tucker v. Department of Health & Human Services, 73 M.S.P.R.
      278, 283 (1997). The basis for determining the nature of an appellant’s charges
      of whistleblowing to OSC is the statement he made in his OSC complaint seeking
      corrective action and not any subsequent characterization of his whistleblowing in
      his appeal to the Board.       Id. (citing Serrao v. Merit Systems Protection
      Board, 95 F.3d 1569, 1577 (Fed. Cir. 1996)). The Board lacks jurisdiction to
      consider the appellant’s claim that he was retaliated against for disclosing that his
      supervisor violated the ABA Model Rules of Professional Conduct because that
      claim was not contained in his OSC complaint.
¶28         It does not appear that the agency entered any evidence into the record
      establishing that it takes similar actions against employees who are not
      whistleblowers, but who are otherwise similarly situated, which is the third Carr
      factor.   The agency’s failure to present evidence that it took similar actions
                                                                                      16

      against employees who were not whistleblowers, but who were otherwise
      similarly situated to the appellant, could support a finding that the agency failed
      to prove by clear and convincing evidence that it would have taken the same
      action against the appellant in the absence of his protected disclosure.
      Chambers v. Department of the Interior, 116 M.S.P.R. 17, ¶ 70 (2011) (relying in
      part on the fact that the agency is in control of the records that could document
      whether similar personnel actions have been taken in other cases). The Board
      does not view the Carr factors as discrete elements, each of which the agency
      must prove by clear and convincing evidence, but will weigh the factors together
      to determine whether the evidence is clear and convincing as a whole.          See
      Mithen v. Department of Veterans Affairs, 122 M.S.P.R. 489, ¶ 36 (2015). Given
      the weakness of the appellant’s supervisors’ motive to retaliate and the strength
      of the agency’s reasons for reassigning the appellant and issuing the reprimand,
      we find that the lack of evidence regarding similarly situated employees who
      are not whistleblowers does not undermine the clear and convincing evidence
      supporting the agency’s actions. Id.
      The administrative judge did not abuse his discretion in rulings on discovery, the
      admissibility of evidence, or the witnesses approved to testify at the hearing.
¶29        The appellant argues that the administrative judge abused his discretion by
      denying his motions to compel discovery. PFR File, Tab 1 at 20-22. Discovery
      is the process by which a party may obtain relevant information from another
      party to an appeal. 5 C.F.R. § 1201.72(a). Any motion to compel discovery must
      be filed with the administrative judge within 10 days of the date of service of
      objections or, if no response is received, within 10 days after the time limit for
      response has expired. 5 C.F.R. § 1201.73(d)(3). According to the appellant, he
      served initial discovery requests on October 2, 2014. IAF, Tab 28 at 11. Based
      on the administrative judge’s order, IAF, Tab 2 at 2-3, the agency’s responses to
      the appellant’s discovery requests were due on October 22, 2014, and any
      subsequent motion to compel discovery was due 10 days later on November 3,
                                                                                       17

      2014, see 5 C.F.R. § 1201.73(d).       The appellant filed a motion to compel
      discovery on November 14, 2014.        IAF, Tab 19.    The appellant’s motion to
      compel discovery was denied as untimely. IAF, Tabs 23, 27.
¶30        The appellant argued below that he did not timely file his motion to compel
      because, based on the dates set in the acknowledgment order, it was due prior to
      the administrative judge’s ruling on jurisdiction and would have been
      “premature.” IAF, Tab 25 at 6-7. We do not agree. We also do not agree with
      the appellant’s argument that based on the administrative judge’s ruling, a party
      would be forced to file a motion to compel discovery at the first indication of
      nonresponsiveness or lose his opportunity for discovery. PFR File, Tab 1 at 23.
      The acknowledgment order stated that the parties could request that the
      administrative judge waive the time limits for discovery set forth at 5 C.F.R.
      § 1201.73(d). IAF, Tab 2 at 3. The appellant could have requested an extension
      of the discovery deadlines pending a ruling on jurisdiction. He also could have
      requested additional time to attempt to resolve the discovery dispute from the
      administrative judge prior to the expiration of the deadline to file a motion to
      compel. He did neither. We find no abuse of discretion in the administrative
      judge enforcing the discovery time limits in the absence of a request for an
      extension by the appellant.
¶31        The appellant also argues that the administrative judge’s rulings on the
      witnesses approved to testify at the hearing were arbitrary.      PFR File, Tab 1
      at 24-28.   The administrative judge conditioned approval of witnesses on
      certification from the parties that they had discussed or attempted to discuss the
      anticipated testimony with the requested witnesses.      IAF, Tab 40 at 3, Tab 42
      at 1. The appellant did not comply with the administrative judge’s order. IAF,
      Tab 42 at 1. It is well settled that an administrative judge has broad discretion to
      control the course of the hearing before him.         Lopes v. Department of the
      Navy, 119 M.S.P.R. 106, ¶¶ 9-12 (2012).       Rulings regarding the exclusion of
      evidence are subject to review by the Board under an abuse of discretion
                                                                                     18

      standard. Id. We find no abuse of discretion by the administrative judge denying
      the appellant’s witnesses based on his failure to discuss their anticipated
      testimony in advance. Without talking to the witnesses the appellant could not
      confirm the accuracy of his proffers. The appellant may be suggesting that this
      requirement was difficult to comply with because witnesses were not available
      due to holidays. PFR File, Tab 1 at 27. However, there is no indication in the
      record that the appellant tried to comply with the order or requested an extension
      of time because the witnesses were unavailable. We find no abuse of discretion
      in the administrative judge denying the appellant’s request for witnesses when he
      failed to comply with the order to discuss the anticipated testimony with the
      witnesses.     See Franco v. U.S. Postal Service, 27 M.S.P.R. 322, 325 (1985)
      (finding that an administrative judge has wide discretion to exclude witnesses
      where it has not been shown that their testimony would be relevant, material,
      and nonrepetitious).
¶32        The appellant claims that the administrative judge failed to consider
      substantial documentary evidence he presented supporting his claim. PFR File,
      Tab 1 at 11.    Citing to Whitmore, the appellant argues that the administrative
      judge erred by not allowing him to “go over” the more than 1,600 pages of
      documentary evidence in the record during the hearing and not independently
      considering this evidence in rendering his decision. PFR File, Tab 1 at 12-13.
      The appellant has not shown that the administrative judge failed to consider these
      documents. As stated above, the administrative judge’s failure to mention all of
      the evidence of record does not mean that he did not consider it in reaching his
      decision. Diggs, 114 M.S.P.R. 464, ¶ 8.
¶33        An administrative judge has the authority to regulate the course of a
      hearing. 5 C.F.R. § 1201.41(b)(6). During the hearing, the administrative judge
      allowed both parties to ask witnesses questions about the documentary evidence
      in the record, but consistently ruled that reading or recapping the content of
      documents already in the record was unnecessary. We find no abuse of discretion
                                                                                         19

      in the administrative judge’s ruling that witnesses should not read or recapitulate
      documents already in the record for the sake of judicial efficiency. Both parties
      were permitted to submit closing briefs after the hearing. IAF, Tabs 45-46. The
      appellant could have provided any additional explanation necessary about the
      documentary evidence in his closing brief.
¶34         The appellant alleges that the administrative judge erred when he sua sponte
      considered his prior IRA appeal.       PFR File, Tab 1 at 28.      In describing the
      appellant’s work history, the administrative judge noted that the appellant filed a
      prior IRA appeal against his former agency. ID at 2. The appellant asserts that
      neither party introduced evidence regarding this prior appeal into the record. PFR
      File, Tab 1 at 28.    An adjudicatory error that is not prejudicial to a party’s
      substantive rights provides no basis for reversal of an initial decision. Panter v.
      Department of the Air Force, 22 M.S.P.R. 281, 282 (1984). It does not appear
      that the administrative judge considered this prior appeal in rendering his
      decision, although the same administrative judge adjudicated both appeals and so
      presumably knew about it in that way.           Even if the administrative judge
      considered this appeal as background information, the appellant has not shown
      that he was harmed, except to assert that there was the “potential for unfair
      prejudice.”   PFR File, Tab 1 at 29.     The appellant has not shown that he was
      prejudiced by the inclusion of a reference to his prior appeal in the initial
      decision; therefore, this argument provides no basis for disturbing the initial
      decision. In any event, the appellant has failed to show that the administrative
      judge acted improperly.       See Wadhwa, 110 M.S.P.R. 615, ¶ 7 (finding it
      appropriate for the Board to take official notice of the appellant’s letter in a prior
      Board appeal and the Board’s finding in the earlier case that the appellant’s
      disclosures in that letter were protected).
¶35         We have considered all of the arguments the appellant has raised on review
      regarding the administrative judge’s credibility findings and findings of fact. We
      find that the appellant’s assertions, which constitute mere disagreement with the
                                                                                  20

administrative judge’s credibility determinations and factual findings, provide no
basis for disturbing the initial decision.      See Diggs, 114 M.S.P.R. 464, ¶ 8.
Because the agency has proven by clear and convincing evidence that it would
have reassigned the appellant and issued him a reprimand in the absence of his
protected disclosures and activity, we conclude that the appellant is not entitled to
corrective action.

                  NOTICE TO THE APPELLANT REGARDING
                     YOUR FURTHER REVIEW RIGHTS
      The initial decision, as supplemented by this Final Order, constitutes the
Board’s final decision in this matter. 5 C.F.R. § 1201.113. You have the right to
request review of this final decision by the U.S. Court of Appeals for the Federal
Circuit.
      The court must receive your request for review no later than 60 calendar
days after the date of this order.       See 5 U.S.C. § 7703(b)(1)(A) (as rev. eff.
Dec. 27, 2012). If you choose to file, be very careful to file on time. The court
has held that normally it does not have the authority to waive this statutory
deadline and that filings that do not comply with the deadline must be dismissed.
See Pinat v. Office of Personnel Management, 931 F.2d 1544 (Fed. Cir. 1991).
      If you want to request review of the Board’s decision concerning your
claims     of   prohibited   personnel   practices   under   5 U.S.C.   § 2302(b)(8),
(b)(9)(A)(i), (b)(9)(B), (b)(9)(C), or (b)(9)(D), but you do not want to challenge
the Board’s disposition of any other claims of prohibited personnel practices, you
may request review of this final decision by the U.S. Court of Appeals for the
Federal Circuit or any court of appeals of competent jurisdiction. The court of
appeals must receive your petition for review within 60 days after the date of this
order. See 5 U.S.C. § 7703(b)(1)(B) (as rev. eff. Dec. 27, 2012). If you choose
to file, be very careful to file on time. You may choose to request review of the
Board’s decision in the U.S. Court of Appeals for the Federal Circuit or any other
court of appeals of competent jurisdiction, but not both. Once you choose to seek
                                                                                 21

review in one court of appeals, you may be precluded from seeking review in any
other court.
      If you need further information about your right to appeal this decision to
court, you should refer to the Federal law that gives you this right. It is found in
title 5 of the United States Code, section 7703 (5 U.S.C. § 7703) (as rev. eff.
Dec. 27, 2012).     You may read this law as well as other sections of the
United States Code, at our website, http://www.mspb.gov/appeals/uscode.htm.
Additional information about the United States Court of Appeals for the Federal
Circuit is available at the court’s website, www.cafc.uscourts.gov. Of particular
relevance is the court’s “Guide for Pro Se Petitioners and Appellants,” which is
contained within the court’s Rules of Practice, and Forms 5, 6, and 11.
Additional information about other courts of appeals can be found at their
respective          websites,        which           can        be         accessed
through http://www.uscourts.gov/Court_Locator/CourtWebsites.aspx.
      If you are interested in securing pro bono representation for an appeal to the
U.S. Court of Appeals for the Federal Circuit, you may visit our website
at   http://www.mspb.gov/probono       for     information   regarding   pro   bono
representation for Merit Systems Protection Board appellants before the Federal
Circuit.     The Merit Systems Protection Board neither endorses the services
provided by any attorney nor warrants that any attorney will accept representation
in a given case.




FOR THE BOARD:                               ______________________________
                                             William D. Spencer
                                             Clerk of the Board
Washington, D.C.
