                      REVISED March 13, 2017

        IN THE UNITED STATES COURT OF APPEALS
                 FOR THE FIFTH CIRCUIT
                                                               United States Court of Appeals
                                                                        Fifth Circuit

                                                                      FILED
                                No. 16-30625                      March 8, 2017
                                                                 Lyle W. Cayce
PANAGIOTA HEATH, also known as Penney Heath,                          Clerk


            Plaintiff - Appellant

v.

BOARD OF SUPERVISORS FOR THE SOUTHERN UNIVERSITY AND
AGRICULTURAL AND MECHANICAL COLLEGE; MOSTAFA ELAASAR,
in his official and personal capacities,

            Defendants - Appellees




                Appeal from the United States District Court
                   for the Eastern District of Louisiana


Before DAVIS, CLEMENT, and COSTA, Circuit Judges.
GREGG COSTA, Circuit Judge:
      Panagiota Heath is a math professor at Southern University’s New
Orleans campus. When Mostafa Elaasar became her supervisor in 2003, she
alleges he began a campaign of harassment that continued through the filing
of this lawsuit a decade later. She seeks to hold the school liable for the
harassment under Title VII and Elaasar individually responsible under
section 1983.
                                 No. 16-30625
      Although Heath’s allegations cover a substantial period of time, the trial
court believed it could only consider the conduct occurring within 300 days of
Heath’s filing of a complaint with the EEOC for the Title VII claims and within
one year of filing the lawsuit for the section 1983 claims. Looking only at the
conduct occurring during that narrow timeframe, the magistrate judge granted
summary judgment in favor of the Defendants. The principal question in this
appeal is whether the continuing violation doctrine required consideration of a
lengthier period of time in evaluating the merit of Heath’s claims. Answering
that question requires us to assess the impact of the Supreme Court’s decision
in National R.R. Passenger Corp. v. Morgan, 536 U.S. 101 (2002), on earlier
continuing violation decisions from this court.
                                       I.
      Taking the facts in the light most favorable to Heath as we must at the
summary judgment stage, once Elaasar became chairman of the College of
Natural Sciences in 2003, he began to interfere with Heath’s classes. Among
other things, this took the form of rewriting exams and coercing a student to
make a complaint against her. Elaasar denied Heath’s request for a sabbatical
in 2008, telling her he did not believe she was capable of writing a book.
Sometime in 2009, Elaasar told Heath to “stop misbehaving.”            Another
professor reported that Elaasar had said that Heath was excluded from
meetings because she “talk[ed] too much for a woman.”
      Heath filed a lawsuit in state court in 2009 asserting sex discrimination
and other claims but the suit was dismissed when Heath stopped pursuing it.
Sometime after Heath filed the state lawsuit, another female faculty member
emailed Heath regarding a “new culture” in the math department under
Elaasar, with people, “mostly males,” who have “been known to be dominating
to women.” The email stated that, “[i]f you are a strong liberal woman,” in
sciences and mathematics, “then your job is going to be tough.”        Another
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university employee wrote a letter to the administration expressing concern
that Heath was being “railroaded” as the result of “cultural and gender biases.”
Heath complained to Southern about Elaasar’s conduct, but the university did
not respond.
      Heath’s physician recommended a sabbatical due to significant job
related stresses and associated health problems. Elaasar and a higher-ranking
university official approved Heath’s request for leave for the 2010-2011
academic year.
      According to Heath, when she returned in fall 2011, so did Elaasar’s
harassment. Elaasar refused to allow her to participate in any committees,
would not allow her to teach online courses or in the tutoring lab, would not
permit her to write grants for the department, would not allow her to teach
advanced classes, and isolated her from departmental business by meeting
privately with other instructors. He refused to acknowledge her when she
asked to speak in departmental meetings, and if she did speak, he cut her off.
Students corroborate Heath’s contentions, describing Elaasar’s treatment of
her in the classroom as “unprofessional, unwelcoming, and even aggressive;”
he “belittled or otherwise spoke down when speaking to Dr. Heath, and also
when speaking about her to students when she was not present.” He “would
usually attempt to physically intimidate her as well as to disrespect her.” His
“barbaric” treatment displayed “open hatred and contempt” for Heath. As a
result, more than 200 students signed a petition asking the university to
change Heath’s working environment to be “non-hostile” and “non-harassing.”
Heath made multiple complaints about Elaasar’s behavior to Southern in fall
2012. There is no indication that Southern responded.
      In early 2013, Heath filed a charge with the EEOC alleging a hostile
work environment based on sex as well as retaliation for her state court
lawsuit. The charge did not mention discrimination on the basis of race,
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religion, or national origin, though this lawsuit alleges that the harassment is
also attributable to those factors. Heath is of Greek descent and a practicing
member of the Greek Orthodox Church. In support of her claims that the
harassment was also based on her national origin and religion, she recounts,
among other things, Elaasar telling her that he was a “radical Muslim” and
that one day Muslims would “rise and kill all the Christians.”
       After the EEOC issued a right-to-sue letter, Heath filed this case making
those Title VII allegations of a hostile work environment predicated on sex,
race, religion, and national origin.               The complaint relies on the same
allegations to bring a section 1983 harassment claim against Elaasar. Finally,
it asserts that the university retaliated against Heath in response to her state
lawsuit.
       A magistrate judge, hearing the case by consent, granted summary
judgment on all claims in favor of Defendants. She concluded that: (1) Heath
did not exhaust her Title VII claims based on race, religion, or national origin;
(2) the court could not consider most of the harassing conduct Heath relied on
because it occurred outside the statute of limitations (300 days before the filing
of her EEOC charge for the Title VII claim, 1 and one year before the filing of
her lawsuit for the 1983 claim); (3) considering only Defendants’ conduct
within that window of time, Heath had not presented adequate evidence to
support a hostile work environment claim; and (4) Heath had not shown that
any adverse employment actions during the relevant time period were in
retaliation for her state court suit.



       1 In states like Louisiana that have “an entity with the authority to grant or seek relief
with respect to the alleged unlawful practice, an employee who initially files a grievance with
that agency must file the charge with the EEOC within 300 days of the employment practice;”
in states without such an entity, an employee must file within 180 days. Morgan, 536 U.S.
at 109 (applying 42 U.S.C. § 2000e-5(e)(1)).

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      On appeal, Heath does not challenge the dismissal of her Title VII claims
based on race, religion, or national origin. That leaves for our consideration
whether the district court erred by dismissing Heath’s Title VII claims for sex-
based hostile work environment and retaliation, and her hostile work
environment claim under section 1983 that covers various forms of
discrimination.
                                        II.
                                        A.
      The EEOC filed an amicus brief because it believes the magistrate judge
neglected Supreme Court guidance on application of the continuing violation
doctrine. That doctrine provides that when a plaintiff alleges a hostile work
environment claim, “as long as an employee files her complaint while at least
one act which comprises the hostile work environment claim is still timely, ‘the
entire time period of the hostile environment may be considered by a court for
the purpose of determining liability.’” Hartz v. Adm’rs. of Tulane Educ. Fund,
275 F. App’x 281, 289 (5th Cir. 2008) (quoting National R.R. Passenger Corp.
v. Morgan, 536 U.S. 101, 117 (2002)).
      In refusing to treat Heath’s hostile work environment claims as
continuing violations, the magistrate judge relied on the following three factors
we considered prior to the Supreme Court’s decision in Morgan: (1) whether
the alleged acts involve the same type of discrimination, tending to connect
them in a continuing violation; (2) whether the alleged acts are recurring or
more in the nature of an isolated work assignment or incident; and (3) whether
the act has the degree of permanence which should trigger an employee’s
awareness of and duty to assert his or her rights. Celestine v. Petroleos de
Venezuella SA, 266 F.3d 343, 352 (5th Cir. 2001) (Celestine I). Following pre-
Morgan case law that deemed the third factor to be “perhaps of most
importance,” Huckabay v. Moore, 142 F.3d 233, 239 (5th Cir. 1998) (quoting
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Berry v. Bd. of Sup’rs of L.S.U., 715 F.2d 971, 981 (5th Cir. 1983)), the
magistrate judge held there was no continuing violation based entirely on its
finding that “the resumption of [Elaasar’s] behavior after [Heath’s] return from
her sabbatical should have alerted Heath to act to protect her rights” in 2011,
well before she filed her EEOC complaint in 2013.
       The magistrate judge did not consider Morgan.                       That decision
distinguishes discrete acts that form the basis of traditional discrimination
claims from continuing conduct that forms the basis of hostile work
environment claims.        Claims alleging discrete acts are not subject to the
continuing violation doctrine; hostile workplace claims are.                        Hostile
environment claims are “continuing” because they involve repeated conduct, so
the “unlawful employment practice” cannot be said to occur on any particular
day. Morgan, 536 U.S. at 115–17. As long as “an act contributing to the claim
occurs within the filing period, the entire time period of the hostile
environment may be considered by a court for the purposes of determining
liability.” Id. 2 As one circuit has helpfully described Morgan’s reasoning, a


       The Court explained:
       2

     The following scenarios illustrate our point: (1) Acts on days 1–400 create a
     hostile work environment. The employee files the charge on day 401. Can the
     employee recover for that part of the hostile work environment that occurred
     in the first 100 days? (2) Acts contribute to a hostile environment on days 1–
     100 and on day 401, but there are no acts between days 101–400. Can the act
     occurring on day 401 pull the other acts in for the purposes of liability? In
     truth, all other things being equal, there is little difference between the two
     scenarios as a hostile environment constitutes one “unlawful employment
     practice” and it does not matter whether nothing occurred within the
     intervening 301 days so long as each act is part of the whole. Nor, if sufficient
     activity occurred by day 100 to make out a claim, does it matter that the
     employee knows on that day that an actionable claim happened; on day 401 all
     incidents are still part of the same claim. On the other hand, if an act on day
     401 had no relation to the acts between days 1–100, or for some other reason,
     such as certain intervening action by the employer, was no longer part of the
     same hostile environment claim, then the employee cannot recover for the
     previous acts, at least not by reference to the day 401 act.
Morgan, 536 U.S. at 118.
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plaintiff’s hostile environment claim “is based on the cumulative effect of a
thousand cuts, rather than on any particular action taken by the defendant,”
so “the filing clock cannot begin running with the first act, because at that
point the plaintiff has no claim; nor can a claim expire as to that first act,
because the full course of conduct is the actionable infringement.” O’Connor v.
City of Newark, 440 F.3d 125, 128 (3d Cir. 2006).
        Most notably, Morgan rejected the view of circuits like ours that had held
“the plaintiff may not base a suit on individual acts that occurred outside the
statute of limitations unless it would have been unreasonable to expect the
plaintiff to sue before the statute ran on such conduct.” Morgan, 536 U.S. at
117–18; see also id. at 107 (noting that the Seventh and Fifth Circuits had
adopted similar tests); and 117 n. 11 (rejecting the Seventh Circuit’s test).
That now discarded view, which was reflected in Celestine I, was the basis for
not treating Heath’s harassment claim as a continuing violation. 3
        We have not expressly recognized that Morgan overruled the portion of
Celestine I on which the magistrate judge relied. But see Rogers v. Pearland
Indep. Sch. Dist., 827 F.3d 403, 407 n.9 (5th Cir. 2016) (noting Morgan
abrogated Celestine I in part). Indeed, we have noted that most of Celestine I
“remains good law.” Celestine v. Petroleos De Venezuela SA, 108 F. App’x 180,
185 (5th Cir. 2004) (Celestine II). Celestine II, however, turns on the plaintiff’s
failure to identify specific acts of harassment, and does not quote or apply
Celestine I’s third factor that focuses on when a plaintiff was on notice to file
suit.




        3The magistrate judge was not alone among trial courts in continuing to apply this
factor from Celestine I. See, e.g., Culotta v. Sodexo Remote Sites P’ship, 864 F. Supp. 2d 466,
471–72 (E.D. La. 2012); Safford v. St. Tammany Parish Fire Prot. Dist. No. 1, 2004 WL 32921,
at *5–*6 (E.D. La. Jan. 5, 2004). Because of that confusion, we address the question at some
length.
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                                       No. 16-30625
       Nor have our published post-Morgan decisions. 4 The test they apply for
assessing the viability of a continuing violation theory does not include the
factor considering whether the plaintiff should have filed her complaint earlier.
See, e.g., Pegram v. Honeywell, Inc., 361 F.3d 272, 279 (5th Cir. 2004) (noting
that Morgan “clarified the limits of the continuing violations doctrine,” and not
stating or applying a notice factor).              For example, Stewart v. Mississippi
Transport Commission, 586 F.3d 321 (5th Cir. 2009), identifies three limits on
the continuing violation doctrine: (1) the plaintiff must demonstrate that the
separate acts are related; (2) the violation must be continuing; intervening
action by the employer, among other things, will sever the acts that preceded
it from those subsequent to it; and (3) the doctrine may be tempered by the
court’s equitable powers, which must be exercised to “honor Title VII’s
remedial purpose without negating the particular purpose of the filing
requirement.” Id. at 328 (internal quotation marks and citation omitted).
There is no mention of whether an act outside the 300 day period “ha[s] the
degree of permanence which should trigger an employee’s awareness of and
duty to assert his or her rights.” Celestine I, 266 F.3d at 352. Other continuing


       4  A few post-Morgan unpublished cases apply Celestine I’s third factor. One case held
that the continuing violation doctrine did not apply because “a reasonably prudent person
similarly situated” would have been alerted to act to protect his or her rights earlier. Roberts
v. Unitrin Specialty Lines Ins. Co., 405 Fed. App’x 874, 877 (5th Cir. 2010) (quoting Glass v.
Petro–Tex Chem. Corp., 757 F.2d 1554, 1560–61 (5th Cir. 1985)). Another, applying Celestine
I, found the doctrine did not apply because prior comments were “likely to alert an employee
to the existence of a hostile work environment.” Butler v. MBNA Tech., Inc., 111 F. App’x
230, 234 (5th Cir. 2004); see also Mack v. John L. Wortham & Son, L.P., 541 F. App’x 348,
356 (5th Cir. 2013) (summarily noting that the court has considered “permanence” in
applying the continuing violation doctrine). These nonbinding decisions do not consider
whether Morgan overruled the earlier decisions on which they relied.
        Defendants point to another unpublished case that, in a footnote, cites pre-Morgan
cases, including Celestine I, concerning plaintiff’s notice. Watkins v. Recreation & Park
Comm’n for City of Baton Rouge, 594 Fed. App’x 838, 841 n.3 (5th Cir. 2014). But that case
does not hold that the continuing violation doctrine does not apply if acts have alerted a
plaintiff of the need to protect his or her rights; all of the incidents that supported the
plaintiff’s hostile work environment claim had occurred before the 300 day period began. Id.
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violation decisions have applied Stewart. See Ryals v. Am. Airlines, Inc., 553
F. App’x 402, 405 (5th Cir. 2014); Filer v. Donley, 690 F.3d 643, 647 (5th Cir.
2012); see also E.E.O.C. v. Rock-Tenn Servs. Co., 901 F. Supp. 2d 810, 823 (N.D.
Tex. 2012) (recognizing that Stewart makes clear that “the continuing violation
doctrine with respect to hostile work environment claims is more properly
addressed through a post-Morgan lens” than through Celestine I).
      We are not alone in recognizing that Morgan rejected the “on notice”
factor Celestine I had applied. Before Morgan, the Tenth Circuit had also
applied a three-part test for the continuing violation doctrine that included
“whether the nature of the violations should trigger an employee’s awareness
of the need to assert her rights.” Davidson v. Am. Online, Inc., 337 F.3d 1179,
1184 (10th Cir. 2003). Acknowledging that Morgan “expressly held that the
date on which a plaintiff becomes aware that he or she has an actionable Title
VII claim is of no regard in the context of determining the timeliness of a
hostile work environment claim,” the court held that “Morgan implicitly
overruled . . . Tenth Circuit cases” that had held to the contrary. Id. at 1185;
see also Boyer v. Cordant Techs., Inc., 316 F.3d 1137, 1139–40 (10th Cir. 2003).
      Like the Tenth Circuit, we therefore expressly recognize what our-post
Morgan test for the continuing violation doctrine has long implicitly
acknowledged: Morgan overruled our prior cases to the extent they held that
the continuing violation doctrine does not apply when an employee was or
should have been aware earlier of a duty to assert her rights. As the Supreme
Court explained, focusing on when harassment occurred, as opposed to when a
plaintiff knew of an ongoing violation, is consistent with the text of Title VII:
the statute “does not separate individual acts that are part of the hostile
environment claim from the whole for the purposes of timely filing and
liability.” Morgan, 536 U.S. at 117–18. It also furthers the statute’s purpose,
as it encourages employees to work with employers and to take advantage of
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other mechanisms for obtaining relief from ongoing harassment rather than
rushing to bring an EEOC charge and litigation. See id. at 119–20; Faragher
v. Boca Raton, 524 U.S. 775, 806 (1998). The magistrate judge therefore erred
in using this factor to prevent Heath from showing a continuing violation that
would enable her to support her harassment claim with conduct occurring
more than 300 days before she filed her EEOC charge.
                                        B.
      This discussion about the continuing violation doctrine is also relevant
to Heath’s section 1983 claims.        That cause of action offers Heath two
advantages over her Title VII claim.         First, it allows her to sue Elaasar
individually for creating a hostile work environment. Lauderdale v. Texas
Dep’t of Criminal Justice, Institutional Div., 512 F.3d 157, 165–166 (5th Cir.
2007) (recognizing hostile work environment claim under section 1983).
Second, she can prove the claim with harassment based not just on her sex,
but also her race, religion, and national origin as section 1983 does not have
the   exhaustion      requirement    that    eliminated   those   allegations   of
discrimination from her Title VII claim. The magistrate judge nonetheless
held that the section 1983 claim encompassing these various forms of
discrimination failed after concluding that Heath was unable to establish a
continuing violation under section 1983 for the same reason she could not do
so under Title VII.
      The magistrate judge’s premise was correct. The continuing violation
doctrine applies the same to Title VII hostile work environment claims as it
does to such claims brought under section 1983. The statute of limitations for
section 1983 is supplied by state law, so Louisiana’s one year prescriptive
period applies. Wilson v. Garcia, 471 U.S. 261, 275 (1985); Pittman v. Conerly,
405 F. App’x 916, 918 (5th Cir. 2010). Tolling, which interrupts the statute of
limitations after it has begun to run, is also a matter of state law. See Johnson
                                        10
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v. Ry. Express Agency, Inc., 421 U.S. 454, 464 (1975). But accrual of a section
1983 claim, which determines when the statute of limitations begins to run, is
governed by federal common law. Montgomery v. Louisiana ex rel. Louisiana
Dep’t of Pub. Safety & Corr., 46 F. App’x 732 (5th Cir. 2002); see also Piotrowski
v. City of Houston, 237 F.3d 567, 576 (5th Cir. 2001). The continuing violation
doctrine is a federal common law doctrine governing accrual. Montgomery, 46
F. App’x at 732; see Boswell v. Claiborne Parish Det. Ctr., 629 F. App’x 580, 583
(5th Cir. 2015) (finding plaintiff had pleaded a continuing violation in a section
1983 denial of medical attention case).        Its availability in hostile work
environment claims stems from the nature of that claim, which as a “single
unlawful employment practice” accrues within the limitations period so long
as some of the continuous conduct occurred during that time. Morgan, 536
U.S. at 117–8.
      This recognition that Title VII continuing violation law applies with
equal force to section 1983 means the same error infected the limitations
analysis for Heath’s hostile workplace claims brought under both laws. Indeed,
Morgan’s “distinction between ‘continuing violations’ and ‘discrete acts’ is not
an artifact of Title VII, but is rather a generic feature of federal employment
law.” O’Connor, 440 F.3d at 128. A number of circuits therefore have applied
Morgan when determining whether a section 1983 claim alleges a continuing
violation. See id.; Sharpe v. Cureton, 319 F.3d 259, 267–68 (6th Cir. 2003);
Hildebrandt v. Ill. Dep’t of Natural Res., 347 F.3d 1014, 1036 (7th Cir. 2003);
Cherosky v. Henderson, 330 F.3d 1243, 1246 n.3 (9th Cir. 2003); see also
Burkley v. Corr. Healthcare Mgmt. Of Oklahoma, Inc., 141 F. App’x 714, 716
(10th Cir. 2005) (assuming without deciding that Morgan applies); Reyes v.
Weslaco Indep. Sch. Dist., 2007 WL 2538804, at *5 (S.D. Tex. Aug. 30, 2007)
(applying Morgan to section 1983 hostile work environment claim); cf. Shomo
v. City of New York, 579 F.3d 176, 182 (2d Cir. 2009) (finding that, under
                                       11
                                 No. 16-30625
Morgan, the continuing violation doctrine “can apply when a prisoner
challenges a series of acts that together comprise an Eighth Amendment claim
of deliberate indifference to serious medical needs”). The line Morgan drew
between discrete act claims and ongoing harassment claims means the latter,
but not the former, may qualify as continuing violations whether brought
under Title VII or section 1983. And in assessing whether the challenged
conduct amounts to a continuing violation, Morgan’s disclaiming of an “on
notice” inquiry should also apply to section 1983 hostile work environment
claims.
                                      C.
      We now determine whether Heath’s hostile work environment claims
involve a continuing violation, using the Stewart standard rather than our pre-
Morgan case law. In her brief, Heath asserts a continuing violation back to
2011 when she returned from her one-year leave.         The conduct that she
identifies from that point forward is related: as in Morgan, “the pre- and post-
limitations period incidents involved the same type of employment actions,
occurred relatively frequently, and were perpetrated by the same managers.”
536 U.S. at 120–21; see also Stewart, 586 F.3d at 329 (focusing on same
features). There is no evidence the university took any intervening act after
Heath returned from sabbatical that would have severed the continuing nature
of the acts.   Contrast Stewart, 586 F.3d at 329 (continuing violation was
severed when employer took “prompt remedial action to protect the claimant”
by reprimanding the harasser and reassigning the complainant from the
harasser’s supervision). And the Defendants have pointed to no equitable
consideration that should prevent the court from considering the full scope of
the continuing conduct. We thus conclude that Heath has alleged a continuing
course of conduct dating back to her return from leave in 2011.


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                                No. 16-30625
                                      D.
      Because the magistrate judge’s analysis of Heath’s hostile work
environment claims was dependent on her decision not to evaluate the full
scope of the allegedly harassing conduct, we will remand for it to do so in the
first instance. See Price v. Digital Equip. Corp., 846 F.2d 1026, 1028–29 (5th
Cir. 1988) (reversing and remanding summary judgment that turned on the
wrong statute of limitations). That analysis will include determining whether
Heath meets the summary judgment standard for showing that the
harassment occurring over the broader period was on account of her sex (for
the Title VII claim) and was severe or pervasive.
      To assist that inquiry, we note that in determining that Heath had not
shown that harassing conduct during the shorter period was based on her sex,
the court erred in placing great weight on evidence that another female faculty
member did not experience similar discrimination.         There “is no token
exception to anti-discrimination law.” Diaz v. Kraft Foods Global, Inc., 653
F.3d 582, 587–88 (7th Cir. 2011); see also Walther v. Lone Star Gas Co., 952
F.2d 119, 123 (5th Cir. 1992). Title VII focuses on “the protection of the
individual employee, rather than the protection of the minority group as a
whole.” Connecticut v. Teal, 457 U.S. 440, 453–54 (1982). It does not “give an
employer license to discriminate against some employees on the basis of race
or sex merely because he favorably treats other members of the employees’
group.” Id. at 455; see also City of Los Angeles, Dep’t of Water and Power v.
Manhart, 435 U.S. 702, 708–09 (1978); Brown v. Henderson, 257 F.3d 246, 252
(2d Cir. 2001). Indeed, Title VII “would have little force if an employer could
defeat a claim of discrimination by treating a single member of the protected
class in accordance with the law.” Diaz, 653 F.3d at 587. Evidence that
Defendants favorably treated another female faculty member might be
relevant for a jury to consider on the ultimate question of discrimination, but
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                                       No. 16-30625
it is not dispositive at the summary judgment stage to warrant judgment for
the employer as a matter of law. See id.
                                            III.
       We affirm, however, the magistrate judge’s dismissal of Heath’s Title VII
retaliation claim. Although Heath’s complaint can be read to allege a claim of
a hostile work environment based on retaliation, 5 the magistrate judge’s
summary judgment ruling treated the retaliation claim as one based on
discrete acts. Heath does not challenge that characterization on appeal, so we
must treat it the same way. Such a retaliation claim based on discrete acts
cannot rely on a continuing violation theory. Morgan, 536 U.S. at 105, 113;
Hamic v. Harris Cty. W.C. & I.D. No. 36, 184 F. App’x 442, 447 (5th Cir. 2006).
So the earliest discrete acts of retaliation on which Heath can rely must have
occurred within the 300 days before she complained to the EEOC.
       That prevents Heath from showing the causal connection between her
protected activity and any adverse employment action that is necessary to
make out a prima facie case of retaliation. Porter v. Houma Terrebonne Hous.
Auth. Bd. of Comm’rs, 810 F.3d 940, 945 (5th Cir. 2015).                     The temporal
proximity of those events is the only way to show causation that was considered
by the trial court or advanced by Heath. The gap in time is far too long to carry
that burden without other evidence of causation. The protected activity is
Heath’s filing of the state lawsuit in 2009. 6 Given the limitations period, any
adverse employment action must have occurred on June 5, 2012 or later. That
three year period is not the “very close in time” connection we require “to



       5  We have not recognized a retaliatory hostile work environment cause of action. See
Bryan v. Chertoff, 217 F. App’x 289, 293 (5th Cir. 2007). Twelve circuits have. Id. at 293 n.3
(collecting cases); Gowski v. Peake, 682 F.3d 1299, 1311 (11th Cir. 2012) (collecting cases).
        6 Heath now suggests she was retaliated against for other ways in which she objected

to unlawful practices, including writing to the vice chancellor of academic affairs. Heath did
not assert this argument in the district court and it therefore is forfeited.
                                             14
                                No. 16-30625
establish causation by timing alone.” Porter, 810 F.3d at 945; see, e.g., Raggs
v. Miss. Power & Light Co., 278 F.3d 463, 471–72 (5th Cir. 2002) (holding that
gap of five months was not enough).
      The dismissal of Heath’s retaliation claim is therefore affirmed.
                                      ***
      The judgment is AFFIRMED IN PART and REVERSED IN PART. The
case is REMANDED for further proceedings.




                                      15
