Appendix to Part 1630 - Interpretive Guidance on Title I of the Americans With Disabilities Act
29:4.1.4.1.20.0.26.17.7 :
Appendix to Part 1630 - Interpretive Guidance on Title I of the
Americans With Disabilities Act Introduction
The Americans with Disabilities Act (ADA) is a landmark piece of
civil rights legislation signed into law on July 26, 1990, and
amended effective January 1, 2009. See 42 U.S.C. 12101 et
seq., as amended. In passing the ADA, Congress recognized that
“discrimination against individuals with disabilities continues to
be a serious and pervasive social problem” and that the “continuing
existence of unfair and unnecessary discrimination and prejudice
denies people with disabilities the opportunity to compete on an
equal basis and to pursue those opportunities for which our free
society is justifiably famous, and costs the United States billions
of dollars in unnecessary expenses resulting from dependency and
nonproductivity.” 42 U.S.C. 12101(a)(2), (8). Discrimination on the
basis of disability persists in critical areas such as housing,
public accommodations, education, transportation, communication,
recreation, institutionalization, health services, voting, access
to public services, and employment. 42 U.S.C. 12101(a)(3).
Accordingly, the ADA prohibits discrimination in a wide range of
areas, including employment, public services, and public
accommodations.
Title I of the ADA prohibits disability-based discrimination in
employment. The Equal Employment Opportunity Commission (the
Commission or the EEOC) is responsible for enforcement of title I
(and parts of title V) of the ADA. Pursuant to the ADA as amended,
the EEOC is expressly granted the authority and is expected to
amend these regulations. 42 U.S.C. 12205a. Under title I of the
ADA, covered entities may not discriminate against qualified
individuals on the basis of disability in regard to job application
procedures, the hiring, advancement or discharge of employees,
employee compensation, job training, or other terms, conditions,
and privileges of employment. 42 U.S.C. 12112(a). For these
purposes, “discriminate” includes (1) limiting, segregating, or
classifying a job applicant or employee in a way that adversely
affects the opportunities or status of the applicant or employee;
(2) participating in a contractual or other arrangement or
relationship that has the effect of subjecting a covered entity's
qualified applicants or employees to discrimination; (3) utilizing
standards, criteria, or other methods of administration that have
the effect of discrimination on the basis of disability; (4) not
making reasonable accommodation to the known physical or mental
limitations of an otherwise qualified individual with a disability,
unless the covered entity can demonstrate that the accommodation
would impose an undue hardship on the operation of the business of
the covered entity; (5) denying employment opportunities to a job
applicant or employee who is otherwise qualified, if such denial is
based on the need to make reasonable accommodation; (6) using
qualification standards, employment tests or other selection
criteria that screen out or tend to screen out an individual with a
disability or a class of individuals with disabilities unless the
standard, test or other selection criterion is shown to be job
related for the position in question and is consistent with
business necessity; and (7) subjecting applicants or employees to
prohibited medical inquiries or examinations. See 42 U.S.C.
12112(b), (d).
As with other civil rights laws, individuals seeking protection
under these anti-discrimination provisions of the ADA generally
must allege and prove that they are members of the “protected
class.” 1 Under the ADA, this typically means they have to show
that they meet the statutory definition of “disability.” 2008 House
Judiciary Committee Report at 5. However, “Congress did not intend
for the threshold question of disability to be used as a means of
excluding individuals from coverage.” Id.
1 Claims of improper disability-related inquiries or medical
examinations, improper disclosure of confidential medical
information, or retaliation may be brought by any applicant or
employee, not just individuals with disabilities. See, e.g.,
Cossette v. Minnesota Power & Light, 188 F.3d 964,
969-70 (8th Cir. 1999); Fredenburg v. Contra Costa County
Dep't of Health Servs., 172 F.3d 1176, 1182 (9th Cir. 1999);
Griffin v. Steeltek, Inc., 160 F.3d 591, 594 (10th
Cir. 1998). Likewise, a nondisabled applicant or employee may
challenge an employment action that is based on the disability of
an individual with whom the applicant or employee is known to have
a relationship or association. See 42 U.S.C. 12112(b)(4).
In the original ADA, Congress defined “disability” as (1) a
physical or mental impairment that substantially limits one or more
major life activities of an individual; (2) a record of such an
impairment; or (3) being regarded as having such an impairment. 42
U.S.C. 12202(2). Congress patterned these three parts of the
definition of disability - the “actual,” “record of,” and “regarded
as” prongs - after the definition of “handicap” found in the
Rehabilitation Act of 1973. 2008 House Judiciary Committee Report
at 6. By doing so, Congress intended that the relevant case law
developed under the Rehabilitation Act would be generally
applicable to the term “disability” as used in the ADA. H.R. Rep.
No. 485 part 3, 101st Cong., 2d Sess. 27 (1990) (1990 House
Judiciary Report or House Judiciary Report); See also S. Rep. No.
116, 101st Cong., 1st Sess. 21 (1989) (1989 Senate Report or Senate
Report); H.R. Rep. No. 485 part 2, 101st Cong., 2d Sess. 50 (1990)
(1990 House Labor Report or House Labor Report). Congress expected
that the definition of disability and related terms, such as
“substantially limits” and “major life activity,” would be
interpreted under the ADA “consistently with how courts had applied
the definition of a handicapped individual under the Rehabilitation
Act” - i.e., expansively and in favor of broad coverage. ADA
Amendments Act of 2008 (ADAAA or Amendments Act) at section
2(a)(1)-(8) and (b)(1)-(6) (Findings and Purposes); See also Senate
Statement of the Managers to Accompany S. 3406 (2008 Senate
Statement of Managers) at 3 (“When Congress passed the ADA in 1990,
it adopted the functional definition of disability from section 504
of the Rehabilitation Act of 1973, in part, because after 17 years
of development through case law the requirements of the definition
were well understood. Within this framework, with its generous and
inclusive definition of disability, courts treated the
determination of disability as a threshold issue but focused
primarily on whether unlawful discrimination had occurred.”); 2008
House Judiciary Committee Report at 6 & n.6 (noting that courts had
interpreted this Rehabilitation Act definition “broadly to include
persons with a wide range of physical and mental impairments”).
That expectation was not fulfilled. ADAAA section 2(a)(3). The
holdings of several Supreme Court cases sharply narrowed the broad
scope of protection Congress originally intended under the ADA,
thus eliminating protection for many individuals whom Congress
intended to protect. Id. For example, in Sutton v. United
Air Lines, Inc., 527 U.S. 471 (1999), the Court ruled that
whether an impairment substantially limits a major life activity is
to be determined with reference to the ameliorative effects of
mitigating measures. In Sutton, the Court also adopted a
restrictive reading of the meaning of being “regarded as” disabled
under the ADA's definition of disability. Subsequently, in
Toyota Motor Mfg., Ky., Inc. v. Williams, 534 U.S.
184 (2002), the Court held that the terms “substantially” and
“major” in the definition of disability “need to be interpreted
strictly to create a demanding standard for qualifying as disabled”
under the ADA, and that to be substantially limited in performing a
major life activity under the ADA, “an individual must have an
impairment that prevents or severely restricts the individual from
doing activities that are of central importance to most people's
daily lives.”
As a result of these Supreme Court decisions, lower courts ruled
in numerous cases that individuals with a range of substantially
limiting impairments were not individuals with disabilities, and
thus not protected by the ADA. See 2008 Senate Statement of
Managers at 3 (“After the Court's decisions in Sutton that
impairments must be considered in their mitigated state and in
Toyota that there must be a demanding standard for
qualifying as disabled, lower courts more often found that an
individual's impairment did not constitute a disability. As a
result, in too many cases, courts would never reach the question
whether discrimination had occurred.”). Congress concluded that
these rulings imposed a greater degree of limitation and expressed
a higher standard than it had originally intended, and coupled with
the EEOC's 1991 ADA regulations which had defined the term
“substantially limits” as “significantly restricted,” unduly
precluded many individuals from being covered under the ADA. Id.
(“[t]hus, some 18 years later we are faced with a situation in
which physical or mental impairments that would previously have
been found to constitute disabilities are not considered
disabilities under the Supreme Court's narrower standard” and
“[t]he resulting court decisions contribute to a legal environment
in which individuals must demonstrate an inappropriately high
degree of functional limitation in order to be protected from
discrimination under the ADA”).
Consequently, Congress amended the ADA with the Americans with
Disabilities Act Amendments Act of 2008. The ADAAA was signed into
law on September 25, 2008, and became effective on January 1, 2009.
This legislation is the product of extensive bipartisan efforts,
and the culmination of collaboration and coordination between
legislators and stakeholders, including representatives of the
disability, business, and education communities. See Statement of
Representatives Hoyer and Sensenbrenner, 154 Cong. Rec. H8294-96
(daily ed. Sept. 17, 2008) (Hoyer-Sensenbrenner Congressional
Record Statement); Senate Statement of Managers at 1. The express
purposes of the ADAAA are, among other things:
(1) To carry out the ADA's objectives of providing “a clear and
comprehensive national mandate for the elimination of
discrimination” and “clear, strong, consistent, enforceable
standards addressing discrimination” by reinstating a broad scope
of protection under the ADA;
(2) To reject the requirement enunciated in Sutton and
its companion cases that whether an impairment substantially limits
a major life activity is to be determined with reference to the
ameliorative effects of mitigating measures;
(3) To reject the Supreme Court's reasoning in Sutton
with regard to coverage under the third prong of the definition of
disability and to reinstate the reasoning of the Supreme Court in
School Board of Nassau County v. Arline, 480 U.S. 273
(1987), which set forth a broad view of the third prong of the
definition of handicap under the Rehabilitation Act of 1973;
(4) To reject the standards enunciated by the Supreme Court in
Toyota that the terms “substantially” and “major” in the
definition of disability under the ADA “need to be interpreted
strictly to create a demanding standard for qualifying as
disabled,” and that to be substantially limited in performing a
major life activity under the ADA “an individual must have an
impairment that prevents or severely restricts the individual from
doing activities that are of central importance to most people's
daily lives”;
(5) To convey congressional intent that the standard created by
the Supreme Court in Toyota for “substantially limits,” and
applied by lower courts in numerous decisions, has created an
inappropriately high level of limitation necessary to obtain
coverage under the ADA;
(6) To convey that it is the intent of Congress that the primary
object of attention in cases brought under the ADA should be
whether entities covered under the ADA have complied with their
obligations, and to convey that the question of whether an
individual's impairment is a disability under the ADA should not
demand extensive analysis; and
(7) To express Congress' expectation that the EEOC will revise
that portion of its current regulations that defines the term
“substantially limits” as “significantly restricted” to be
consistent with the ADA as amended.
ADAAA section 2(b). The findings and purposes of the ADAAA
“give[] clear guidance to the courts and * * * [are] intend[ed] to
be applied appropriately and consistently.” 2008 Senate Statement
of Managers at 5.
The EEOC has amended its regulations to reflect the ADAAA's
findings and purposes. The Commission believes that it is essential
also to amend its appendix to the original regulations at the same
time, and to reissue this interpretive guidance as amended
concurrently with the issuance of the amended regulations. This
will help to ensure that individuals with disabilities understand
their rights, and to facilitate and encourage compliance by covered
entities under this part.
Accordingly, this amended appendix addresses the major
provisions of this part and explains the major concepts related to
disability-based employment discrimination. This appendix
represents the Commission's interpretation of the issues addressed
within it, and the Commission will be guided by this appendix when
resolving charges of employment discrimination.
Note on Certain Terminology Used
The ADA, the EEOC's ADA regulations, and this appendix use the
term “disabilities” rather than the term “handicaps” which was
originally used in the Rehabilitation Act of 1973, 29 U.S.C.
701-796. Substantively, these terms are equivalent. As originally
noted by the House Committee on the Judiciary, “[t]he use of the
term ‘disabilities' instead of the term ‘handicaps' reflects the
desire of the Committee to use the most current terminology. It
reflects the preference of persons with disabilities to use that
term rather than ‘handicapped' as used in previous laws, such as
the Rehabilitation Act of 1973 * * *.” 1990 House Judiciary Report
at 26-27; See also 1989 Senate Report at 21; 1990 House Labor
Report at 50-51.
In addition, consistent with the Amendments Act, revisions have
been made to the regulations and this appendix to refer to
“individual with a disability” and “qualified individual” as
separate terms, and to change the prohibition on discrimination to
“on the basis of disability” instead of prohibiting discrimination
against a qualified individual “with a disability because of the
disability of such individual.” “This ensures that the emphasis in
questions of disability discrimination is properly on the critical
inquiry of whether a qualified person has been discriminated
against on the basis of disability, and not unduly focused on the
preliminary question of whether a particular person is a ‘person
with a disability.’ ” 2008 Senate Statement of Managers at 11.
The use of the term “Americans” in the title of the ADA, in the
EEOC's regulations, or in this appendix as amended is not intended
to imply that the ADA only applies to United States citizens.
Rather, the ADA protects all qualified individuals with
disabilities, regardless of their citizenship status or
nationality, from discrimination by a covered entity.
Finally, the terms “employer” and “employer or other covered
entity” are used interchangeably throughout this appendix to refer
to all covered entities subject to the employment provisions of the
ADA.
Section 1630.1 Purpose, Applicability and Construction Section
1630.1(a) Purpose
The express purposes of the ADA as amended are to provide a
clear and comprehensive national mandate for the elimination of
discrimination against individuals with disabilities; to provide
clear, strong, consistent, enforceable standards addressing
discrimination against individuals with disabilities; to ensure
that the Federal Government plays a central role in enforcing the
standards articulated in the ADA on behalf of individuals with
disabilities; and to invoke the sweep of congressional authority to
address the major areas of discrimination faced day-to-day by
people with disabilities. 42 U.S.C. 12101(b). The EEOC's ADA
regulations are intended to implement these Congressional purposes
in simple and straightforward terms.
Section 1630.1(b) Applicability
The EEOC's ADA regulations as amended apply to all “covered
entities” as defined at § 1630.2(b). The ADA defines “covered
entities” to mean an employer, employment agency, labor
organization, or joint labor-management committee. 42 U.S.C.
12111(2). All covered entities are subject to the ADA's rules
prohibiting discrimination. 42 U.S.C. 12112.
Section 1630.1(c) Construction
The ADA must be construed as amended. The primary purpose of the
Amendments Act was to make it easier for people with disabilities
to obtain protection under the ADA. See Joint Hoyer-Sensenbrenner
Statement on the Origins of the ADA Restoration Act of 2008, H.R.
3195 (reviewing provisions of H.R. 3195 as revised following
negotiations between representatives of the disability and business
communities) (Joint Hoyer-Sensenbrenner Statement) at 2.
Accordingly, under the ADA as amended and the EEOC's regulations,
the definition of “disability” “shall be construed in favor of
broad coverage of individuals under [the ADA], to the maximum
extent permitted by the terms of [the ADA].” 42 U.S.C. 12102(4)(A);
See also 2008 Senate Statement of Managers at 3 (“The ADA
Amendments Act * * * reiterates that Congress intends that the
scope of the [ADA] be broad and inclusive.”). This construction is
also intended to reinforce the general rule that civil rights
statutes must be broadly construed to achieve their remedial
purpose. Id. at 2; See also 2008 House Judiciary Committee Report
at 19 (this rule of construction “directs courts to construe the
definition of ‘disability' broadly to advance the ADA's remedial
purposes” and thus “brings treatment of the ADA's definition of
disability in line with treatment of other civil rights laws, which
should be construed broadly to effectuate their remedial
purposes”).
The ADAAA and the EEOC's regulations also make clear that the
primary object of attention in cases brought under the ADA should
be whether entities covered under the ADA have complied with their
obligations, not whether the individual meets the definition of
disability. ADAAA section 2(b)(5). This means, for example,
examining whether an employer has discriminated against an
employee, including whether an employer has fulfilled its
obligations with respect to providing a “reasonable accommodation”
to an individual with a disability; or whether an employee has met
his or her responsibilities under the ADA with respect to engaging
in the reasonable accommodation “interactive process.” See also
2008 Senate Statement of Managers at 4 (“[L]ower court cases have
too often turned solely on the question of whether the plaintiff is
an individual with a disability rather than the merits of
discrimination claims, such as whether adverse decisions were
impermissibly made by the employer on the basis of disability,
reasonable accommodations were denied, or qualification standards
were unlawfully discriminatory.”); 2008 House Judiciary Committee
Report at 6 (“An individual who does not qualify as disabled * * *
does not meet th[e] threshold question of coverage in the protected
class and is therefore not permitted to attempt to prove his or her
claim of discriminatory treatment.”).
Further, the question of whether an individual has a disability
under this part “should not demand extensive analysis.” ADAAA
section 2(b)(5). See also House Education and Labor Committee
Report at 9 (“The Committee intends that the establishment of
coverage under the ADA should not be overly complex nor difficult.
* * *”).
In addition, unless expressly stated otherwise, the standards
applied in the ADA are intended to provide at least as much
protection as the standards applied under the Rehabilitation Act of
1973.
The ADA does not preempt any Federal law, or any State or local
law, that grants to individuals with disabilities protection
greater than or equivalent to that provided by the ADA. This means
that the existence of a lesser standard of protection to
individuals with disabilities under the ADA will not provide a
defense to failing to meet a higher standard under another law.
Thus, for example, title I of the ADA would not be a defense to
failing to prepare and maintain an affirmative action program under
section 503 of the Rehabilitation Act. On the other hand, the
existence of a lesser standard under another law will not provide a
defense to failing to meet a higher standard under the ADA. See
1990 House Labor Report at 135; 1990 House Judiciary Report at
69-70.
This also means that an individual with a disability could
choose to pursue claims under a State discrimination or tort law
that does not confer greater substantive rights, or even confers
fewer substantive rights, if the potential available remedies would
be greater than those available under the ADA and this part. The
ADA does not restrict an individual with a disability from pursuing
such claims in addition to charges brought under this part. 1990
House Judiciary Report at 69-70.
The ADA does not automatically preempt medical standards or
safety requirements established by Federal law or regulations. It
does not preempt State, county, or local laws, ordinances or
regulations that are consistent with this part and designed to
protect the public health from individuals who pose a direct threat
to the health or safety of others that cannot be eliminated or
reduced by reasonable accommodation. However, the ADA does preempt
inconsistent requirements established by State or local law for
safety or security sensitive positions. See 1989 Senate Report at
27; 1990 House Labor Report at 57.
An employer allegedly in violation of this part cannot
successfully defend its actions by relying on the obligation to
comply with the requirements of any State or local law that imposes
prohibitions or limitations on the eligibility of individuals with
disabilities who are qualified to practice any occupation or
profession. For example, suppose a municipality has an ordinance
that prohibits individuals with tuberculosis from teaching school
children. If an individual with dormant tuberculosis challenges a
private school's refusal to hire him or her on the basis of the
tuberculosis, the private school would not be able to rely on the
city ordinance as a defense under the ADA.
Paragraph (c)(3) is consistent with language added to section
501 of the ADA by the ADA Amendments Act. It makes clear that
nothing in this part is intended to alter the determination of
eligibility for benefits under state workers' compensation laws or
Federal and State disability benefit programs. State workers'
compensation laws and Federal disability benefit programs, such as
programs that provide payments to veterans with service-connected
disabilities and the Social Security Disability Insurance program,
have fundamentally different purposes than title I of the ADA.
Section 1630.2 Definitions Sections 1630.2(a)-(f) Commission,
Covered Entity, etc.
The definitions section of part 1630 includes several terms that
are identical, or almost identical, to the terms found in title VII
of the Civil Rights Act of 1964. Among these terms are
“Commission,” “Person,” “State,” and “Employer.” These terms are to
be given the same meaning under the ADA that they are given under
title VII. In general, the term “employee” has the same meaning
that it is given under title VII. However, the ADA's definition of
“employee” does not contain an exception, as does title VII, for
elected officials and their personal staffs. It should further be
noted that all State and local governments are covered by title II
of the ADA whether or not they are also covered by this part. Title
II, which is enforced by the Department of Justice, became
effective on January 26, 1992. See 28 CFR part 35.
The term “covered entity” is not found in title VII. However,
the title VII definitions of the entities included in the term
“covered entity” (e.g., employer, employment agency, labor
organization, etc.) are applicable to the ADA.
Section 1630.2(g) Disability
In addition to the term “covered entity,” there are several
other terms that are unique to the ADA as amended. The first of
these is the term “disability.” “This definition is of critical
importance because as a threshold issue it determines whether an
individual is covered by the ADA.” 2008 Senate Statement of
Managers at 6.
In the original ADA, “Congress sought to protect anyone who
experiences discrimination because of a current, past, or perceived
disability.” 2008 Senate Statement of Managers at 6. Accordingly,
the definition of the term “disability” is divided into three
prongs: An individual is considered to have a “disability” if that
individual (1) has a physical or mental impairment that
substantially limits one or more of that person's major life
activities (the “actual disability” prong); (2) has a record of
such an impairment (the “record of” prong); or (3) is regarded by
the covered entity as an individual with a disability as defined in
§ 1630.2(l) (the “regarded as” prong). The ADAAA retained the basic
structure and terms of the original definition of disability.
However, the Amendments Act altered the interpretation and
application of this critical statutory term in fundamental ways.
See 2008 Senate Statement of Managers at 1 (“The bill maintains the
ADA's inherently functional definition of disability” but
“clarifies and expands the definition's meaning and
application.”).
As noted above, the primary purpose of the ADAAA is to make it
easier for people with disabilities to obtain protection under the
ADA. See Joint Hoyer-Sensenbrenner Statement at 2. Accordingly, the
ADAAA provides rules of construction regarding the definition of
disability. Consistent with the congressional intent to reinstate a
broad scope of protection under the ADA, the ADAAA's rules of
construction require that the definition of “disability” “shall be
construed in favor of broad coverage of individuals under [the
ADA], to the maximum extent permitted by the terms of [the ADA].”
42 U.S.C. 12102(4)(A). The legislative history of the ADAAA is
replete with references emphasizing this principle. See Joint
Hoyer-Sensenbrenner Statement at 2 (“[The bill] establishes that
the definition of disability must be interpreted broadly to achieve
the remedial purposes of the ADA”); 2008 Senate Statement of
Managers at 1 (the ADAAA's purpose is to “enhance the protections
of the [ADA]” by “expanding the definition, and by rejecting
several opinions of the United States Supreme Court that have had
the effect of restricting the meaning and application of the
definition of disability”); id. (stressing the importance of
removing barriers “to construing and applying the definition of
disability more generously”); id. at 4 (“The managers have
introduced the [ADAAA] to restore the proper balance and
application of the ADA by clarifying and broadening the definition
of disability, and to increase eligibility for the protections of
the ADA.”); id. (“It is our expectation that because the bill makes
the definition of disability more generous, some people who were
not covered before will now be covered.”); id. (warning that “the
definition of disability should not be unduly used as a tool for
excluding individuals from the ADA's protections”); id. (this
principle “sends a clear signal of our intent that the courts must
interpret the definition of disability broadly rather than
stringently”); 2008 House Judiciary Committee Report at 5 (“The
purpose of the bill is to restore protection for the broad range of
individuals with disabilities as originally envisioned by Congress
by responding to the Supreme Court's narrow interpretation of the
definition of disability.”).
Further, as the purposes section of the ADAAA explicitly
cautions, the “primary object of attention” in cases brought under
the ADA should be whether entities covered under the ADA have
complied with their obligations. As noted above, this means, for
example, examining whether an employer has discriminated against an
employee, including whether an employer has fulfilled its
obligations with respect to providing a “reasonable accommodation”
to an individual with a disability; or whether an employee has met
his or her responsibilities under the ADA with respect to engaging
in the reasonable accommodation “interactive process.” ADAAA
section 2(b)(5); See also 2008 Senate Statement of Managers at 4
(“[L]ower court cases have too often turned solely on the question
of whether the plaintiff is an individual with a disability rather
than the merits of discrimination claims, such as whether adverse
decisions were impermissibly made by the employer on the basis of
disability, reasonable accommodations were denied, or qualification
standards were unlawfully discriminatory.”); 2008 House Judiciary
Committee Report (criticizing pre-ADAAA court decisions which
“prevented individuals that Congress unquestionably intended to
cover from ever getting a chance to prove their case”).
Accordingly, the threshold coverage question of whether an
individual's impairment is a disability under the ADA “should not
demand extensive analysis.” ADAAA section 2(b)(5).
Section 1630.2(g)(2) provides that an individual may establish
coverage under any one or more (or all three) of the prongs in the
definition of disability. However, to be an individual with a
disability, an individual is only required to satisfy one
prong.
As § 1630.2(g)(3) indicates, in many cases it may be unnecessary
for an individual to resort to coverage under the “actual
disability” or “record of” prongs. Where the need for a reasonable
accommodation is not at issue - for example, where there is no
question that the individual is “qualified” without a reasonable
accommodation and is not seeking or has not sought a reasonable
accommodation - it would not be necessary to determine whether the
individual is substantially limited in a major life activity (under
the actual disability prong) or has a record of a substantially
limiting impairment (under the record of prong). Such claims could
be evaluated solely under the “regarded as” prong of the
definition. In fact, Congress expected the first and second prongs
of the definition of disability “to be used only by people who are
affirmatively seeking reasonable accommodations * * *” and that
“[a]ny individual who has been discriminated against because of an
impairment - short of being granted a reasonable accommodation * *
* - should be bringing a claim under the third prong of the
definition which will require no showing with regard to the
severity of his or her impairment.” Joint Hoyer-Sensenbrenner
Statement at 4. An individual may choose, however, to proceed under
the “actual disability” and/or “record of” prong regardless of
whether the individual is challenging a covered entity's failure to
make reasonable accommodation or requires a reasonable
accommodation.
To fully understand the meaning of the term “disability,” it is
also necessary to understand what is meant by the terms “physical
or mental impairment,” “major life activity,” “substantially
limits,” “record of,” and “regarded as.” Each of these terms is
discussed below.
Section 1630.2(h) Physical or Mental Impairment
Neither the original ADA nor the ADAAA provides a definition for
the terms “physical or mental impairment.” However, the legislative
history of the Amendments Act notes that Congress “expect[s] that
the current regulatory definition of these terms, as promulgated by
agencies such as the U.S. Equal Employment Opportunity Commission
(EEOC), the Department of Justice (DOJ) and the Department of
Education Office of Civil Rights (DOE OCR) will not change.” 2008
Senate Statement of Managers at 6. The definition of “physical or
mental impairment” in the EEOC's regulations remains based on the
definition of the term “physical or mental impairment” found in the
regulations implementing section 504 of the Rehabilitation Act at
34 CFR part 104. However, the definition in EEOC's regulations adds
additional body systems to those provided in the section 504
regulations and makes clear that the list is non-exhaustive.
It is important to distinguish between conditions that are
impairments and physical, psychological, environmental, cultural,
and economic characteristics that are not impairments. The
definition of the term “impairment” does not include physical
characteristics such as eye color, hair color, left-handedness, or
height, weight, or muscle tone that are within “normal” range and
are not the result of a physiological disorder. The definition,
likewise, does not include characteristic predisposition to illness
or disease. Other conditions, such as pregnancy, that are not the
result of a physiological disorder are also not impairments.
However, a pregnancy-related impairment that substantially limits a
major life activity is a disability under the first prong of the
definition. Alternatively, a pregnancy-related impairment may
constitute a “record of” a substantially limiting impairment,” or
may be covered under the “regarded as” prong if it is the basis for
a prohibited employment action and is not “transitory and
minor.”
The definition of an impairment also does not include common
personality traits such as poor judgment or a quick temper where
these are not symptoms of a mental or psychological disorder.
Environmental, cultural, or economic disadvantages such as poverty,
lack of education, or a prison record are not impairments. Advanced
age, in and of itself, is also not an impairment. However, various
medical conditions commonly associated with age, such as hearing
loss, osteoporosis, or arthritis would constitute impairments
within the meaning of this part. See 1989 Senate Report at 22-23;
1990 House Labor Report at 51-52; 1990 House Judiciary Report at
28-29.
Section 1630.2(i) Major Life Activities
The ADAAA provided significant new guidance and clarification on
the subject of “major life activities.” As the legislative history
of the Amendments Act explains, Congress anticipated that
protection under the ADA would now extend to a wider range of
cases, in part as a result of the expansion of the category of
major life activities. See 2008 Senate Statement of Managers at 8
n.17.
For purposes of clarity, the Amendments Act provides an
illustrative list of major life activities, including caring for
oneself, performing manual tasks, seeing, hearing, eating,
sleeping, walking, standing, lifting, bending, speaking, breathing,
learning, reading, concentrating, thinking, communicating, and
working. The ADA Amendments expressly made this statutory list of
examples of major life activities non-exhaustive, and the
regulations include sitting, reaching, and interacting with others
as additional examples. Many of these major life activities listed
in the ADA Amendments Act and the regulations already had been
included in the EEOC's 1991 now-superseded regulations implementing
title I of the ADA and in sub-regulatory documents, and already
were recognized by the courts.
The ADA as amended also explicitly defines “major life
activities” to include the operation of “major bodily functions.”
This was an important addition to the statute. This clarification
was needed to ensure that the impact of an impairment on the
operation of a major bodily function would not be overlooked or
wrongly dismissed as falling outside the definition of “major life
activities” under the ADA. 2008 House Judiciary Committee Report at
16; See also 2008 Senate Statement of Managers at 8 (“for the first
time [in the ADAAA], the category of ‘major life activities' is
defined to include the operation of major bodily functions, thus
better addressing chronic impairments that can be substantially
limiting”).
The regulations include all of those major bodily functions
identified in the ADA Amendments Act's non-exhaustive list of
examples and add a number of others that are consistent with the
body systems listed in the regulations' definition of “impairment”
(at § 1630.2(h)) and with the U.S. Department of Labor's
nondiscrimination and equal employment opportunity regulations
implementing section 188 of the Workforce Investment Act of 1998,
29 U.S.C. 2801, et seq. Thus, special sense organs, skin,
genitourinary, cardiovascular, hemic, lymphatic, and
musculoskeletal functions are major bodily functions not included
in the statutory list of examples but included in §
1630.2(i)(1)(ii). The Commission has added these examples to
further illustrate the non-exhaustive list of major life
activities, including major bodily functions, and to emphasize that
the concept of major life activities is to be interpreted broadly
consistent with the Amendments Act. The regulations also provide
that the operation of a major bodily function may include the
operation of an individual organ within a body system. This would
include, for example, the operation of the kidney, liver, pancreas,
or other organs.
The link between particular impairments and various major bodily
functions should not be difficult to identify. Because impairments,
by definition, affect the functioning of body systems, they will
generally affect major bodily functions. For example, cancer
affects an individual's normal cell growth; diabetes affects the
operation of the pancreas and also the function of the endocrine
system; and Human Immunodeficiency Virus (HIV) infection affects
the immune system. Likewise, sickle cell disease affects the
functions of the hemic system, lymphedema affects lymphatic
functions, and rheumatoid arthritis affects musculoskeletal
functions.
In the legislative history of the ADAAA, Congress expressed its
expectation that the statutory expansion of “major life activities”
to include major bodily functions (along with other statutory
changes) would lead to more expansive coverage. See 2008 Senate
Statement of Managers at 8 n.17 (indicating that these changes will
make it easier for individuals to show that they are eligible for
the ADA's protections under the first prong of the definition of
disability). The House Education and Labor Committee explained that
the inclusion of major bodily functions would “affect cases such as
U.S. v. Happy Time Day Care Ctr. in which the courts
struggled to analyze whether the impact of HIV infection
substantially limits various major life activities of a
five-year-old child, and recognizing, among other things, that
‘there is something inherently illogical about inquiring whether' a
five-year-old's ability to procreate is substantially limited by
his HIV infection; Furnish v. SVI Sys., Inc, in which
the court found that an individual with cirrhosis of the liver
caused by Hepatitis B is not disabled because liver function -
unlike eating, working, or reproducing - ‘is not integral to one's
daily existence;' and Pimental v. Dartmouth-Hitchcock
Clinic, in which the court concluded that the plaintiff's stage
three breast cancer did not substantially limit her ability to care
for herself, sleep, or concentrate. The Committee expects that the
plaintiffs in each of these cases could establish a [substantial
limitation] on major bodily functions that would qualify them for
protection under the ADA.” 2008 House Education and Labor Committee
Report at 12.
The examples of major life activities (including major bodily
functions) in the ADAAA and the EEOC's regulations are illustrative
and non-exhaustive, and the absence of a particular life activity
or bodily function from the examples does not create a negative
implication as to whether an omitted activity or function
constitutes a major life activity under the statute. See 2008
Senate Statement of Managers at 8; See also 2008 House Committee on
Educ. and Labor Report at 11; 2008 House Judiciary Committee Report
at 17.
The Commission anticipates that courts will recognize other
major life activities, consistent with the ADA Amendments Act's
mandate to construe the definition of disability broadly. As a
result of the ADA Amendments Act's rejection of the holding in
Toyota Motor Mfg., Ky., Inc. v. Williams, 534 U.S.
184 (2002), whether an activity is a “major life activity” is not
determined by reference to whether it is of “central importance to
daily life.” See Toyota, 534 U.S. at 197 (defining “major life
activities” as activities that are of “central importance to most
people's daily lives”). Indeed, this holding was at odds with the
earlier Supreme Court decision of Bragdon v. Abbott,
524 U.S. 624 (1998), which held that a major life activity (in that
case, reproduction) does not have to have a “public, economic or
daily aspect.” Id. at 639.
Accordingly, the regulations provide that in determining other
examples of major life activities, the term “major” shall not be
interpreted strictly to create a demanding standard for disability.
Cf. 2008 Senate Statement of Managers at 7 (indicating that a
person is considered an individual with a disability for purposes
of the first prong when one or more of the individual's “important
life activities” are restricted) (citing 1989 Senate Report at 23).
The regulations also reject the notion that to be substantially
limited in performing a major life activity, an individual must
have an impairment that prevents or severely restricts the
individual from doing “activities that are of central importance to
most people's daily lives.” Id.; see also 2008 Senate Statement of
Managers at 5 n.12.
Thus, for example, lifting is a major life activity regardless
of whether an individual who claims to be substantially limited in
lifting actually performs activities of central importance to daily
life that require lifting. Similarly, the Commission anticipates
that the major life activity of performing manual tasks (which was
at issue in Toyota) could have many different
manifestations, such as performing tasks involving fine motor
coordination, or performing tasks involving grasping, hand
strength, or pressure. Such tasks need not constitute activities of
central importance to most people's daily lives, nor must an
individual show that he or she is substantially limited in
performing all manual tasks.
Section 1630.2(j) Substantially Limits
In any case involving coverage solely under the “regarded as”
prong of the definition of “disability” (e.g., cases where
reasonable accommodation is not at issue), it is not necessary to
determine whether an individual is “substantially limited” in any
major life activity. See 2008 Senate Statement of Managers at 10;
id. at 13 (“The functional limitation imposed by an impairment is
irrelevant to the third ‘regarded as' prong.”). Indeed, Congress
anticipated that the first and second prongs of the definition of
disability would “be used only by people who are affirmatively
seeking reasonable accommodations * * * ” and that “[a]ny
individual who has been discriminated against because of an
impairment - short of being granted a reasonable accommodation * *
* - should be bringing a claim under the third prong of the
definition which will require no showing with regard to the
severity of his or her impairment.” Joint Hoyer-Sensenbrenner
Statement at 4. Of course, an individual may choose, however, to
proceed under the “actual disability” and/or “record of” prong
regardless of whether the individual is challenging a covered
entity's failure to make reasonable accommodations or requires a
reasonable accommodation. The concept of “substantially limits” is
only relevant in cases involving coverage under the “actual
disability” or “record of” prong of the definition of disability.
Thus, the information below pertains to these cases only.
Section 1630.2(j)(1) Rules of Construction
It is clear in the text and legislative history of the ADAAA
that Congress concluded the courts had incorrectly construed
“substantially limits,” and disapproved of the EEOC's
now-superseded 1991 regulation defining the term to mean
“significantly restricts.” See 2008 Senate Statement of Managers at
6 (“We do not believe that the courts have correctly instituted the
level of coverage we intended to establish with the term
‘substantially limits' in the ADA” and “we believe that the level
of limitation, and the intensity of focus, applied by the Supreme
Court in Toyota goes beyond what we believe is the
appropriate standard to create coverage under this law.”). Congress
extensively deliberated over whether a new term other than
“substantially limits” should be adopted to denote the appropriate
functional limitation necessary under the first and second prongs
of the definition of disability. See 2008 Senate Statement of
Managers at 6-7. Ultimately, Congress affirmatively opted to retain
this term in the Amendments Act, rather than replace it. It
concluded that “adopting a new, undefined term that is subject to
widely disparate meanings is not the best way to achieve the goal
of ensuring consistent and appropriately broad coverage under this
Act.” Id. Instead, Congress determined “a better way * * * to
express [its] disapproval of Sutton and Toyota (along
with the current EEOC regulation) is to retain the words
‘substantially limits,' but clarify that it is not meant to be a
demanding standard.” Id. at 7. To achieve that goal, Congress set
forth detailed findings and purposes and “rules of construction” to
govern the interpretation and application of this concept going
forward. See ADAAA Sections 2-4; 42 U.S.C. 12102(4).
The Commission similarly considered whether to provide a new
definition of “substantially limits” in the regulation. Following
Congress's lead, however, the Commission ultimately concluded that
a new definition would inexorably lead to greater focus and
intensity of attention on the threshold issue of coverage than
intended by Congress. Therefore, the regulations simply provide
rules of construction that must be applied in determining whether
an impairment substantially limits (or substantially limited) a
major life activity. These are each discussed in greater detail
below.
Section 1630.2(j)(1)(i) Broad Construction; not a Demanding
Standard
Section 1630.2(j)(1)(i) states: “The term ‘substantially limits’
shall be construed broadly in favor of expansive coverage, to the
maximum extent permitted by the terms of the ADA. ‘Substantially
limits’ is not meant to be a demanding standard.”
Congress stated in the ADA Amendments Act that the definition of
disability “shall be construed in favor of broad coverage,” and
that “the term ‘substantially limits' shall be interpreted
consistently with the findings and purposes of the ADA Amendments
Act of 2008.” 42 U.S.C. 12101(4)(A)-(B), as amended. “This is a
textual provision that will legally guide the agencies and courts
in properly interpreting the term ‘substantially limits.’ ”
Hoyer-Sensenbrenner Congressional Record Statement at H8295. As
Congress noted in the legislative history of the ADAAA, “[t]o be
clear, the purposes section conveys our intent to clarify not only
that ‘substantially limits’ should be measured by a lower standard
than that used in Toyota, but also that the definition of
disability should not be unduly used as a tool for excluding
individuals from the ADA's protections.” 2008 Senate Statement of
Managers at 5 (also stating that “[t]his rule of construction,
together with the rule of construction providing that the
definition of disability shall be construed in favor of broad
coverage of individuals sends a clear signal of our intent that the
courts must interpret the definition of disability broadly rather
than stringently”). Put most succinctly, “substantially limits” “is
not meant to be a demanding standard.” 2008 Senate Statement of
Managers at 7.
Section 1630.2(j)(1)(ii) Significant or Severe Restriction Not
Required; Nonetheless, Not Every Impairment Is Substantially
Limiting
Section 1630.2(j)(1)(ii) states: “An impairment is a disability
within the meaning of this section if it substantially limits the
ability of an individual to perform a major life activity as
compared to most people in the general population. An impairment
need not prevent, or significantly or severely restrict, the
individual from performing a major life activity in order to be
considered substantially limiting. Nonetheless, not every
impairment will constitute a ‘disability’ within the meaning of
this section.”
In keeping with the instruction that the term “substantially
limits” is not meant to be a demanding standard, the regulations
provide that an impairment is a disability if it substantially
limits the ability of an individual to perform a major life
activity as compared to most people in the general population.
However, to be substantially limited in performing a major life
activity an individual need not have an impairment that prevents or
significantly or severely restricts the individual from performing
a major life activity. See 2008 Senate Statement of Managers at 2,
6-8 & n.14; 2008 House Committee on Educ. and Labor Report at 9-10
(“While the limitation imposed by an impairment must be important,
it need not rise to the level of severely restricting or
significantly restricting the ability to perform a major life
activity to qualify as a disability.”); 2008 House Judiciary
Committee Report at 16 (similarly requiring an “important”
limitation). The level of limitation required is “substantial” as
compared to most people in the general population, which does not
require a significant or severe restriction. Multiple impairments
that combine to substantially limit one or more of an individual's
major life activities also constitute a disability. Nonetheless,
not every impairment will constitute a “disability” within the
meaning of this section. See 2008 Senate Statement of Managers at 4
(“We reaffirm that not every individual with a physical or mental
impairment is covered by the first prong of the definition of
disability in the ADA.”)
Section 1630.2(j)(1)(iii) Substantial Limitation Should Not Be
Primary Object of Attention; Extensive Analysis Not Needed
Section 1630.2(j)(1)(iii) states: “The primary object of
attention in cases brought under the ADA should be whether covered
entities have complied with their obligations, not whether an
individual's impairment substantially limits a major life activity.
Accordingly, the threshold issue of whether an impairment
‘substantially limits' a major life activity should not demand
extensive analysis.”
Congress retained the term “substantially limits” in part
because it was concerned that adoption of a new phrase - and the
resulting need for further judicial scrutiny and construction -
would not “help move the focus from the threshold issue of
disability to the primary issue of discrimination.” 2008 Senate
Statement of Managers at 7.
This was the primary problem Congress sought to solve in
enacting the ADAAA. It recognized that “clearing the initial
[disability] threshold is critical, as individuals who are excluded
from the definition ‘never have the opportunity to have their
condition evaluated in light of medical evidence and a
determination made as to whether they [are] ‘otherwise qualified.’
” 2008 House Judiciary Committee Report at 7; See also id.
(expressing concern that “[a]n individual who does not qualify as
disabled does not meet th[e] threshold question of coverage in the
protected class and is therefore not permitted to attempt to prove
his or her claim of discriminatory treatment”); 2008 Senate
Statement of Managers at 4 (criticizing pre-ADAAA lower court cases
that “too often turned solely on the question of whether the
plaintiff is an individual with a disability rather than the merits
of discrimination claims, such as whether adverse decisions were
impermissibly made by the employer on the basis of disability,
reasonable accommodations were denied, or qualification standards
were unlawfully discriminatory”).
Accordingly, the Amendments Act and the amended regulations make
plain that the emphasis in ADA cases now should be squarely on the
merits and not on the initial coverage question. The revised
regulations therefore provide that an impairment is a disability if
it substantially limits the ability of an individual to perform a
major life activity as compared to most people in the general
population and deletes the language to which Congress objected. The
Commission believes that this provides a useful framework in which
to analyze whether an impairment satisfies the definition of
disability. Further, this framework better reflects Congress's
expressed intent in the ADA Amendments Act that the definition of
the term “disability” shall be construed broadly, and is consistent
with statements in the Amendments Act's legislative history. See
2008 Senate Statement of Managers at 7 (stating that “adopting a
new, undefined term” and the “resulting need for further judicial
scrutiny and construction will not help move the focus from the
threshold issue of disability to the primary issue of
discrimination,” and finding that “ ‘substantially limits' as
construed consistently with the findings and purposes of this
legislation establishes an appropriate functionality test of
determining whether an individual has a disability” and that “using
the correct standard - one that is lower than the strict or
demanding standard created by the Supreme Court in Toyota -
will make the disability determination an appropriate threshold
issue but not an onerous burden for those seeking accommodations or
modifications”).
Consequently, this rule of construction makes clear that the
question of whether an impairment substantially limits a major life
activity should not demand extensive analysis. As the legislative
history explains, “[w]e expect that courts interpreting [the ADA]
will not demand such an extensive analysis over whether a person's
physical or mental impairment constitutes a disability.”
Hoyer-Sensenbrenner Congressional Record Statement at H8295; see
id. (“Our goal throughout this process has been to simplify that
analysis.”)
Section 1630.2(j)(1)(iv) Individualized Assessment Required, But
With Lower Standard Than Previously Applied
Section 1630.2(j)(1)(iv) states: “The determination of whether
an impairment substantially limits a major life activity requires
an individualized assessment. However, in making this assessment,
the term ‘substantially limits' shall be interpreted and applied to
require a degree of functional limitation that is lower than the
standard for ‘substantially limits' applied prior to the
ADAAA.”
By retaining the essential elements of the definition of
disability including the key term “substantially limits,” Congress
reaffirmed that not every individual with a physical or mental
impairment is covered by the first prong of the definition of
disability in the ADA. See 2008 Senate Statement of Managers at 4.
To be covered under the first prong of the definition, an
individual must establish that an impairment substantially limits a
major life activity. That has not changed - nor will the necessity
of making this determination on an individual basis. Id. However,
what the ADAAA changed is the standard required for making this
determination. Id. at 4-5.
The Amendments Act and the EEOC's regulations explicitly reject
the standard enunciated by the Supreme Court in Toyota Motor
Mfg., Ky., Inc. v. Williams, 534 U.S. 184 (2002), and
applied in the lower courts in numerous cases. See ADAAA section
2(b)(4). That previous standard created “an inappropriately high
level of limitation necessary to obtain coverage under the ADA.”
Id. at section 2(b)(5). The Amendments Act and the EEOC's
regulations reject the notion that “substantially limits” should be
interpreted strictly to create a demanding standard for qualifying
as disabled. Id. at section 2(b)(4). Instead, the ADAAA and these
regulations establish a degree of functional limitation required
for an impairment to constitute a disability that is consistent
with what Congress originally intended. 2008 Senate Statement of
Managers at 7. This will make the disability determination an
appropriate threshold issue but not an onerous burden for those
seeking to prove discrimination under the ADA. Id.
Section 1630.2(j)(1)(v) Scientific, Medical, or Statistical
Analysis Not Required, But Permissible When Appropriate
Section 1630.2(j)(1)(v) states: “The comparison of an
individual's performance of a major life activity to the
performance of the same major life activity by most people in the
general population usually will not require scientific, medical, or
statistical analysis. Nothing in this paragraph is intended,
however, to prohibit the presentation of scientific, medical, or
statistical evidence to make such a comparison where
appropriate.”
The term “average person in the general population,” as the
basis of comparison for determining whether an individual's
impairment substantially limits a major life activity, has been
changed to “most people in the general population.” This revision
is not a substantive change in the concept, but rather is intended
to conform the language to the simpler and more straightforward
terminology used in the legislative history to the Amendments Act.
The comparison between the individual and “most people” need not be
exacting, and usually will not require scientific, medical, or
statistical analysis. Nothing in this subparagraph is intended,
however, to prohibit the presentation of scientific, medical, or
statistical evidence to make such a comparison where
appropriate.
The comparison to most people in the general population
continues to mean a comparison to other people in the general
population, not a comparison to those similarly situated. For
example, the ability of an individual with an amputated limb to
perform a major life activity is compared to other people in the
general population, not to other amputees. This does not mean that
disability cannot be shown where an impairment, such as a learning
disability, is clinically diagnosed based in part on a disparity
between an individual's aptitude and that individual's actual
versus expected achievement, taking into account the person's
chronological age, measured intelligence, and age-appropriate
education. Individuals diagnosed with dyslexia or other learning
disabilities will typically be substantially limited in performing
activities such as learning, reading, and thinking when compared to
most people in the general population, particularly when the
ameliorative effects of mitigating measures, including therapies,
learned behavioral or adaptive neurological modifications,
assistive devices (e.g., audio recordings, screen reading devices,
voice activated software), studying longer, or receiving more time
to take a test, are disregarded as required under the ADA
Amendments Act.
Section 1630.2(j)(1)(vi) Mitigating Measures
Section 1630.2(j)(1)(vi) states: “The determination of whether
an impairment substantially limits a major life activity shall be
made without regard to the ameliorative effects of mitigating
measures. However, the ameliorative effects of ordinary eyeglasses
or contact lenses shall be considered in determining whether an
impairment substantially limits a major life activity.”
The ameliorative effects of mitigating measures shall not be
considered in determining whether an impairment substantially
limits a major life activity. Thus, “[w]ith the exception of
ordinary eyeglasses and contact lenses, impairments must be
examined in their unmitigated state.” See 2008 Senate Statement of
Managers at 5.
This provision in the ADAAA and the EEOC's regulations “is
intended to eliminate the catch-22 that exist[ed] * * * where
individuals who are subjected to discrimination on the basis of
their disabilities [we]re frequently unable to invoke the ADA's
protections because they [we]re not considered people with
disabilities when the effects of their medication, medical
supplies, behavioral adaptations, or other interventions [we]re
considered.” Joint Hoyer-Sensenbrenner Statement at 2; See also
2008 Senate Statement of Managers at 9 (“This provision is intended
to eliminate the situation created under [prior] law in which
impairments that are mitigated [did] not constitute disabilities
but [were the basis for discrimination].”). To the extent cases
pre-dating the 2008 Amendments Act reasoned otherwise, they are
contrary to the law as amended. See 2008 House Judiciary Committee
Report at 9 & nn.25, 20-21 (citing, e.g., McClure v.
General Motors Corp., 75 F. App'x 983 (5th Cir. 2003) (court
held that individual with muscular dystrophy who, with the
mitigating measure of “adapting” how he performed manual tasks, had
successfully learned to live and work with his disability was
therefore not an individual with a disability); Orr v.
Wal-Mart Stores, Inc., 297 F.3d 720 (8th Cir. 2002) (court
held that Sutton v. United Air Lines, Inc., 527 U.S.
471 (1999), required consideration of the ameliorative effects of
plaintiff's careful regimen of medicine, exercise and diet, and
declined to consider impact of uncontrolled diabetes on plaintiff's
ability to see, speak, read, and walk); Gonzales v.
National Bd. of Med. Examiners, 225 F.3d 620 (6th Cir. 2000)
(where the court found that an individual with a diagnosed learning
disability was not substantially limited after considering the
impact of self-accommodations that allowed him to read and achieve
academic success); McMullin v. Ashcroft, 337 F. Supp.
2d 1281 (D. Wyo. 2004) (individual fired because of clinical
depression not protected because of the successful management of
the condition with medication for fifteen years); Eckhaus v.
Consol. Rail Corp., 2003 WL 23205042 (D.N.J. Dec. 24, 2003)
(individual fired because of a hearing impairment was not protected
because a hearing aid helped correct that impairment); Todd
v. Academy Corp., 57 F. Supp. 2d 448, 452 (S.D. Tex. 1999)
(court held that because medication reduced the frequency and
intensity of plaintiff's seizures, he was not disabled)).
An individual who, because of the use of a mitigating measure,
has experienced no limitations, or only minor limitations, related
to the impairment may still be an individual with a disability,
where there is evidence that in the absence of an effective
mitigating measure the individual's impairment would be
substantially limiting. For example, someone who began taking
medication for hypertension before experiencing substantial
limitations related to the impairment would still be an individual
with a disability if, without the medication, he or she would now
be substantially limited in functions of the cardiovascular or
circulatory system.
Evidence showing that an impairment would be substantially
limiting in the absence of the ameliorative effects of mitigating
measures could include evidence of limitations that a person
experienced prior to using a mitigating measure, evidence
concerning the expected course of a particular disorder absent
mitigating measures, or readily available and reliable information
of other types. However, we expect that consistent with the
Amendments Act's command (and the related rules of construction in
the regulations) that the definition of disability “should not
demand extensive analysis,” covered entities and courts will in
many instances be able to conclude that a substantial limitation
has been shown without resort to such evidence.
The Amendments Act provides an “illustrative but
non-comprehensive list of the types of mitigating measures that are
not to be considered.” See 2008 Senate Statement of Managers at 9.
Section 1630.2(j)(5) of the regulations includes all of those
mitigating measures listed in the ADA Amendments Act's illustrative
list of mitigating measures, including reasonable accommodations
(as applied under title I) or “auxiliary aids or services” (as
defined by 42 U.S.C. 12103(1) and applied under titles II and
III).
Since it would be impossible to guarantee comprehensiveness in a
finite list, the list of examples of mitigating measures provided
in the ADA and the regulations is non-exhaustive. See 2008 House
Judiciary Committee Report at 20. The absence of any particular
mitigating measure from the list in the regulations should not
convey a negative implication as to whether the measure is a
mitigating measure under the ADA. See 2008 Senate Statement of
Managers at 9.
For example, the fact that mitigating measures include
“reasonable accommodations” generally makes it unnecessary to
mention specific kinds of accommodations. Nevertheless, the use of
a service animal, job coach, or personal assistant on the job would
certainly be considered types of mitigating measures, as would the
use of any device that could be considered assistive technology,
and whether individuals who use these measures have disabilities
would be determined without reference to their ameliorative
effects. See 2008 House Judiciary Committee Report at 20; 2008
House Educ. & Labor Rep. at 15. Similarly, adaptive strategies that
might mitigate, or even allow an individual to otherwise avoid
performing particular major life activities, are mitigating
measures and also would not be considered in determining whether an
impairment is substantially limiting. Id.
The determination of whether or not an individual's impairment
substantially limits a major life activity is unaffected by whether
the individual chooses to forgo mitigating measures. For
individuals who do not use a mitigating measure (including for
example medication or reasonable accommodation that could alleviate
the effects of an impairment), the availability of such measures
has no bearing on whether the impairment substantially limits a
major life activity. The limitations posed by the impairment on the
individual and any negative (non-ameliorative) effects of
mitigating measures used determine whether an impairment is
substantially limiting. The origin of the impairment, whether its
effects can be mitigated, and any ameliorative effects of
mitigating measures in fact used may not be considered in
determining if the impairment is substantially limiting. However,
the use or non-use of mitigating measures, and any consequences
thereof, including any ameliorative and non-ameliorative effects,
may be relevant in determining whether the individual is qualified
or poses a direct threat to safety.
The ADA Amendments Act and the regulations state that “ordinary
eyeglasses or contact lenses” shall be considered in
determining whether someone has a disability. This is an exception
to the rule that the ameliorative effects of mitigating measures
are not to be taken into account. “The rationale behind this
exclusion is that the use of ordinary eyeglasses or contact lenses,
without more, is not significant enough to warrant protection under
the ADA.” Joint Hoyer-Sensenbrenner Statement at 2. Nevertheless,
as discussed in greater detail below at § 1630.10(b), if an
applicant or employee is faced with a qualification standard that
requires uncorrected vision (as the plaintiffs in the Sutton
case were), and the applicant or employee who is adversely affected
by the standard brings a challenge under the ADA, an employer will
be required to demonstrate that the qualification standard is job
related and consistent with business necessity. 2008 Senate
Statement of Managers at 9.
The ADAAA and the EEOC's regulations both define the term
“ordinary eyeglasses or contact lenses” as lenses that are
“intended to fully correct visual acuity or eliminate refractive
error.” So, if an individual with severe myopia uses eyeglasses or
contact lenses that are intended to fully correct visual acuity or
eliminate refractive error, they are ordinary eyeglasses or contact
lenses, and therefore any inquiry into whether such individual is
substantially limited in seeing or reading would be based on how
the individual sees or reads with the benefit of the eyeglasses or
contact lenses. Likewise, if the only visual loss an individual
experiences affects the ability to see well enough to read, and the
individual's ordinary reading glasses are intended to completely
correct for this visual loss, the ameliorative effects of using the
reading glasses must be considered in determining whether the
individual is substantially limited in seeing. Additionally,
eyeglasses or contact lenses that are the wrong prescription or an
outdated prescription may nevertheless be “ordinary” eyeglasses or
contact lenses, if a proper prescription would fully correct visual
acuity or eliminate refractive error.
Both the statute and the regulations distinguish “ordinary
eyeglasses or contact lenses” from “low vision devices,” which
function by magnifying, enhancing, or otherwise augmenting a visual
image, and which are not considered when determining whether
someone has a disability. The regulations do not establish a
specific level of visual acuity (e.g., 20/20) as the basis for
determining whether eyeglasses or contact lenses should be
considered “ordinary” eyeglasses or contact lenses. Whether lenses
fully correct visual acuity or eliminate refractive error is best
determined on a case-by-case basis, in light of current and
objective medical evidence. Moreover, someone who uses ordinary
eyeglasses or contact lenses is not automatically considered to be
outside the ADA's protection. Such an individual may demonstrate
that, even with the use of ordinary eyeglasses or contact lenses,
his vision is still substantially limited when compared to most
people.
Section 1630.2(j)(1)(vii) Impairments That Are Episodic or in
Remission
Section 1630.2(j)(1)(vii) states: “An impairment that is
episodic or in remission is a disability if it would substantially
limit a major life activity when active.”
An impairment that is episodic or in remission is a disability
if it would substantially limit a major life activity in its active
state. “This provision is intended to reject the reasoning of court
decisions concluding that certain individuals with certain
conditions - such as epilepsy or post traumatic stress disorder -
were not protected by the ADA because their conditions were
episodic or intermittent.” Joint Hoyer-Sensenbrenner Statement at
2-3. The legislative history provides: “This * * * rule of
construction thus rejects the reasoning of the courts in cases like
Todd v. Academy Corp. [57 F. Supp. 2d 448, 453 (S.D.
Tex. 1999)] where the court found that the plaintiff's epilepsy,
which resulted in short seizures during which the plaintiff was
unable to speak and experienced tremors, was not sufficiently
limiting, at least in part because those seizures occurred
episodically. It similarly rejects the results reached in cases
[such as Pimental v. Dartmouth-Hitchock Clinic, 236
F. Supp. 2d 177, 182-83 (D.N.H. 2002)] where the courts have
discounted the impact of an impairment [such as cancer] that may be
in remission as too short-lived to be substantially limiting. It is
thus expected that individuals with impairments that are episodic
or in remission (e.g., epilepsy, multiple sclerosis, cancer) will
be able to establish coverage if, when active, the impairment or
the manner in which it manifests (e.g., seizures) substantially
limits a major life activity.” 2008 House Judiciary Committee
Report at 19-20.
Other examples of impairments that may be episodic include, but
are not limited to, hypertension, diabetes, asthma, major
depressive disorder, bipolar disorder, and schizophrenia. See 2008
House Judiciary Committee Report at 19-20. The fact that the
periods during which an episodic impairment is active and
substantially limits a major life activity may be brief or occur
infrequently is no longer relevant to determining whether the
impairment substantially limits a major life activity. For example,
a person with post-traumatic stress disorder who experiences
intermittent flashbacks to traumatic events is substantially
limited in brain function and thinking.
Section 1630.2(j)(1)(viii) Substantial Limitation in Only One Major
Life Activity Required
Section 1630.2(j)(1)(viii) states: “An impairment that
substantially limits one major life activity need not substantially
limit other major life activities in order to be considered a
substantially limiting impairment.”
The ADAAA explicitly states that an impairment need only
substantially limit one major life activity to be considered a
disability under the ADA. See ADAAA Section 4(a); 42 U.S.C.
12102(4)(C). “This responds to and corrects those courts that have
required individuals to show that an impairment substantially
limits more than one life activity.” 2008 Senate Statement of
Managers at 8. In addition, this rule of construction is “intended
to clarify that the ability to perform one or more particular tasks
within a broad category of activities does not preclude coverage
under the ADA.” Id. To the extent cases pre-dating the
applicability of the 2008 Amendments Act reasoned otherwise, they
are contrary to the law as amended. Id. (citing Holt v.
Grand Lake Mental Health Ctr., Inc., 443 F. 3d 762 (10th
Cir. 2006) (holding an individual with cerebral palsy who could not
independently perform certain specified manual tasks was not
substantially limited in her ability to perform a “broad range” of
manual tasks)); See also 2008 House Judiciary Committee Report at
19 & n.52 (this legislatively corrects court decisions that, with
regard to the major life activity of performing manual tasks, “have
offset substantial limitation in the performance of some tasks with
the ability to perform others” (citing Holt)).
For example, an individual with diabetes is substantially
limited in endocrine function and thus an individual with a
disability under the first prong of the definition. He need not
also show that he is substantially limited in eating to qualify for
coverage under the first prong. An individual whose normal cell
growth is substantially limited due to lung cancer need not also
show that she is substantially limited in breathing or respiratory
function. And an individual with HIV infection is substantially
limited in the function of the immune system, and therefore is an
individual with a disability without regard to whether his or her
HIV infection substantially limits him or her in reproduction.
In addition, an individual whose impairment substantially limits
a major life activity need not additionally demonstrate a resulting
limitation in the ability to perform activities of central
importance to daily life in order to be considered an individual
with a disability under § 1630.2(g)(1)(i) or § 1630.2(g)(1)(ii), as
cases relying on the Supreme Court's decision in Toyota Motor
Mfg., Ky., Inc. v. Williams, 534 U.S. 184 (2002), had
held prior to the ADA Amendments Act.
Thus, for example, someone with an impairment resulting in a
20-pound lifting restriction that lasts or is expected to last for
several months is substantially limited in the major life activity
of lifting, and need not also show that he is unable to perform
activities of daily living that require lifting in order to be
considered substantially limited in lifting. Similarly, someone
with monocular vision whose depth perception or field of vision
would be substantially limited, with or without any compensatory
strategies the individual may have developed, need not also show
that he is unable to perform activities of central importance to
daily life that require seeing in order to be substantially limited
in seeing.
Section 1630.2(j)(1)(ix) Effects of an Impairment Lasting Fewer
Than Six Months Can Be Substantially Limiting
Section 1630.2(j)(1)(ix) states: “The six-month ‘transitory'
part of the ‘transitory and minor' exception to ‘regarded as'
coverage in § 1630.2(l) does not apply to the definition of
‘disability' under § 1630.2(g)(1)(i) or § 1630.2(g)(1)(ii). The
effects of an impairment lasting or expected to last fewer than six
months can be substantially limiting within the meaning of this
section.”
The regulations include a clear statement that the definition of
an impairment as transitory, that is, “lasting or expected to last
for six months or less,” only applies to the “regarded as” (third)
prong of the definition of “disability” as part of the “transitory
and minor” defense to “regarded as” coverage. It does not apply to
the first or second prong of the definition of disability. See
Joint Hoyer-Sensenbrenner Statement at 3 (“[T]here is no need for
the transitory and minor exception under the first two prongs
because it is clear from the statute and the legislative history
that a person can only bring a claim if the impairment
substantially limits one or more major life activities or the
individual has a record of an impairment that substantially limits
one or more major life activities.”).
Therefore, an impairment does not have to last for more than six
months in order to be considered substantially limiting under the
first or the second prong of the definition of disability. For
example, as noted above, if an individual has a back impairment
that results in a 20-pound lifting restriction that lasts for
several months, he is substantially limited in the major life
activity of lifting, and therefore covered under the first prong of
the definition of disability. At the same time, “[t]he duration of
an impairment is one factor that is relevant in determining whether
the impairment substantially limits a major life activity.
Impairments that last only for a short period of time are typically
not covered, although they may be covered if sufficiently severe.”
Joint Hoyer-Sensenbrenner Statement at 5.
Section 1630.2(j)(3) Predictable Assessments
As the regulations point out, disability is determined based on
an individualized assessment. There is no “per se” disability.
However, as recognized in the regulations, the individualized
assessment of some kinds of impairments will virtually always
result in a determination of disability. The inherent nature of
these types of medical conditions will in virtually all cases give
rise to a substantial limitation of a major life activity. Cf.
Heiko v. Columbo Savings Bank, F.S.B., 434 F.3d 249,
256 (4th Cir. 2006) (stating, even pre-ADAAA, that “certain
impairments are by their very nature substantially limiting: the
major life activity of seeing, for example, is always substantially
limited by blindness”). Therefore, with respect to these types of
impairments, the necessary individualized assessment should be
particularly simple and straightforward.
This result is the consequence of the combined effect of the
statutory changes to the definition of disability contained in the
Amendments Act and flows from application of the rules of
construction set forth in §§ 1630.2(j)(1)(i)-(ix) (including the
lower standard for “substantially limits”; the rule that major life
activities include major bodily functions; the principle that
impairments that are episodic or in remission are disabilities if
they would be substantially limiting when active; and the
requirement that the ameliorative effects of mitigating measures
(other than ordinary eyeglasses or contact lenses) must be
disregarded in assessing whether an individual has a
disability).
The regulations at § 1630.2(j)(3)(iii) provide examples of the
types of impairments that should easily be found to substantially
limit a major life activity. The legislative history states that
Congress modeled the ADA definition of disability on the definition
contained in the Rehabilitation Act, and said it wished to return
courts to the way they had construed that definition. See 2008
House Judiciary Committee Report at 6. Describing this goal, the
legislative history states that courts had interpreted the
Rehabilitation Act definition “broadly to include persons with a
wide range of physical and mental impairments such as epilepsy,
diabetes, multiple sclerosis, and intellectual and developmental
disabilities * * * even where a mitigating measure - like
medication or a hearing aid - might lessen their impact on the
individual.” Id.; See also id. at 9 (referring to individuals with
disabilities that had been covered under the Rehabilitation Act and
that Congress intended to include under the ADA - “people with
serious health conditions like epilepsy, diabetes, cancer, cerebral
palsy, multiple sclerosis, intellectual and developmental
disabilities”); id. at n.6 (citing cases also finding that cerebral
palsy, hearing impairments, mental retardation, heart disease, and
vision in only one eye were disabilities under the Rehabilitation
Act); id. at 10 (citing testimony from Rep. Steny H. Hoyer, one of
the original lead sponsors of the ADA in 1990, stating that “we
could not have fathomed that people with diabetes, epilepsy, heart
conditions, cancer, mental illnesses and other disabilities would
have their ADA claims denied because they would be considered too
functional to meet the definition of disability”); 2008 Senate
Statement of Managers at 3 (explaining that “we [we]re faced with a
situation in which physical or mental impairments that would
previously [under the Rehabilitation Act] have been found to
constitute disabilities [we]re not considered disabilities” and
citing individuals with impairments such as amputation,
intellectual disabilities, epilepsy, multiple sclerosis, diabetes,
muscular dystrophy, and cancer as examples).
Of course, the impairments listed in subparagraph
1630.2(j)(3)(iii) may substantially limit a variety of other major
life activities in addition to those listed in the regulation. For
example, mobility impairments requiring the use of a wheelchair
substantially limit the major life activity of walking. Diabetes
may substantially limit major life activities such as eating,
sleeping, and thinking. Major depressive disorder may substantially
limit major life activities such as thinking, concentrating,
sleeping, and interacting with others. Multiple sclerosis may
substantially limit major life activities such as walking, bending,
and lifting.
By using the term “brain function” to describe the system
affected by various mental impairments, the Commission is
expressing no view on the debate concerning whether mental
illnesses are caused by environmental or biological factors, but
rather intends the term to capture functions such as the ability of
the brain to regulate thought processes and emotions.
Section 1630.2(j)(4) Condition, Manner, or Duration
The regulations provide that facts such as the “condition,
manner, or duration” of an individual's performance of a major life
activity may be useful in determining whether an impairment results
in a substantial limitation. In the legislative history of the
ADAAA, Congress reiterated what it had said at the time of the
original ADA: “A person is considered an individual with a
disability for purposes of the first prong of the definition when
[one or more of] the individual's important life activities are
restricted as to the conditions, manner, or duration under which
they can be performed in comparison to most people.” 2008 Senate
Statement of Managers at 7 (citing 1989 Senate Report at 23).
According to Congress: “We particularly believe that this test,
which articulated an analysis that considered whether a person's
activities are limited in condition, duration and manner, is a
useful one. We reiterate that using the correct standard - one that
is lower than the strict or demanding standard created by the
Supreme Court in Toyota - will make the disability
determination an appropriate threshold issue but not an onerous
burden for those seeking accommodations * * *. At the same time,
plaintiffs should not be constrained from offering evidence needed
to establish that their impairment is substantially limiting.” 2008
Senate Statement of Managers at 7.
Consistent with the legislative history, an impairment may
substantially limit the “condition” or “manner” under which a major
life activity can be performed in a number of ways. For example,
the condition or manner under which a major life activity can be
performed may refer to the way an individual performs a major life
activity. Thus, the condition or manner under which a person with
an amputated hand performs manual tasks will likely be more
cumbersome than the way that someone with two hands would perform
the same tasks.
Condition or manner may also describe how performance of a major
life activity affects the individual with an impairment. For
example, an individual whose impairment causes pain or fatigue that
most people would not experience when performing that major life
activity may be substantially limited. Thus, the condition or
manner under which someone with coronary artery disease performs
the major life activity of walking would be substantially limiting
if the individual experiences shortness of breath and fatigue when
walking distances that most people could walk without experiencing
such effects. Similarly, condition or manner may refer to the
extent to which a major life activity, including a major bodily
function, can be performed. For example, the condition or manner
under which a major bodily function can be performed may be
substantially limited when the impairment “causes the operation [of
the bodily function] to over-produce or under-produce in some
harmful fashion.” See 2008 House Judiciary Committee Report at
17.
“Duration” refers to the length of time an individual can
perform a major life activity or the length of time it takes an
individual to perform a major life activity, as compared to most
people in the general population. For example, a person whose back
or leg impairment precludes him or her from standing for more than
two hours without significant pain would be substantially limited
in standing, since most people can stand for more than two hours
without significant pain. However, a person who can walk for ten
miles continuously is not substantially limited in walking merely
because on the eleventh mile, he or she begins to experience pain
because most people would not be able to walk eleven miles without
experiencing some discomfort. See 2008 Senate Statement of Managers
at 7 (citing 1989 Senate Report at 23).
The regulations provide that in assessing substantial limitation
and considering facts such as condition, manner, or duration, the
non-ameliorative effects of mitigating measures may be considered.
Such “non-ameliorative effects” could include negative side effects
of medicine, burdens associated with following a particular
treatment regimen, and complications that arise from surgery, among
others. Of course, in many instances, it will not be necessary to
assess the negative impact of a mitigating measure in determining
that a particular impairment substantially limits a major life
activity. For example, someone with end-stage renal disease is
substantially limited in kidney function, and it thus is not
necessary to consider the burdens that dialysis treatment
imposes.
Condition, manner, or duration may also suggest the amount of
time or effort an individual has to expend when performing a major
life activity because of the effects of an impairment, even if the
individual is able to achieve the same or similar result as someone
without the impairment. For this reason, the regulations include
language which says that the outcome an individual with a
disability is able to achieve is not determinative of whether he or
she is substantially limited in a major life activity.
Thus, someone with a learning disability may achieve a high
level of academic success, but may nevertheless be substantially
limited in the major life activity of learning because of the
additional time or effort he or she must spend to read, write, or
learn compared to most people in the general population. As
Congress emphasized in passing the Amendments Act, “[w]hen
considering the condition, manner, or duration in which an
individual with a specific learning disability performs a major
life activity, it is critical to reject the assumption that an
individual who has performed well academically cannot be
substantially limited in activities such as learning, reading,
writing, thinking, or speaking.” 2008 Senate Statement of Managers
at 8. Congress noted that: “In particular, some courts have found
that students who have reached a high level of academic achievement
are not to be considered individuals with disabilities under the
ADA, as such individuals may have difficulty demonstrating
substantial limitation in the major life activities of learning or
reading relative to ‘most people.' When considering the condition,
manner or duration in which an individual with a specific learning
disability performs a major life activity, it is critical to reject
the assumption that an individual who performs well academically or
otherwise cannot be substantially limited in activities such as
learning, reading, writing, thinking, or speaking. As such, the
Committee rejects the findings in Price v. National Board
of Medical Examiners, Gonzales v. National Board of Medical
Examiners, and Wong v. Regents of University of
California. The Committee believes that the comparison of
individuals with specific learning disabilities to ‘most people' is
not problematic unto itself, but requires a careful analysis of the
method and manner in which an individual's impairment limits a
major life activity. For the majority of the population, the basic
mechanics of reading and writing do not pose extraordinary lifelong
challenges; rather, recognizing and forming letters and words are
effortless, unconscious, automatic processes. Because specific
learning disabilities are neurologically-based impairments, the
process of reading for an individual with a reading disability
(e.g. dyslexia) is word-by-word, and otherwise cumbersome, painful,
deliberate and slow - throughout life. The Committee expects that
individuals with specific learning disabilities that substantially
limit a major life activity will be better protected under the
amended Act.” 2008 House Educ. & Labor Rep. at 10-11.
It bears emphasizing that while it may be useful in appropriate
cases to consider facts such as condition, manner, or duration, it
is always necessary to consider and apply the rules of construction
in § 1630.2(j)(1)(i)-(ix) that set forth the elements of broad
coverage enacted by Congress. 2008 Senate Statement of Managers at
6. Accordingly, while the Commission's regulations retain the
concept of “condition, manner, or duration,” they no longer include
the additional list of “substantial limitation” factors contained
in the previous version of the regulations (i.e., the nature and
severity of the impairment, duration or expected duration of the
impairment, and actual or expected permanent or long-term impact of
or resulting from the impairment).
Finally, “condition, manner, or duration” are not intended to be
used as a rigid three-part standard that must be met to establish a
substantial limitation. “Condition, manner, or duration” are not
required “factors” that must be considered as a talismanic test.
Rather, in referring to “condition, manner, or duration,”
the regulations make clear that these are merely the types of facts
that may be considered in appropriate cases. To the extent such
aspects of limitation may be useful or relevant to show a
substantial limitation in a particular fact pattern, some or all of
them (and related facts) may be considered, but evidence relating
to each of these facts may not be necessary to establish
coverage.
At the same time, individuals seeking coverage under the first
or second prong of the definition of disability should not be
constrained from offering evidence needed to establish that their
impairment is substantially limiting. See 2008 Senate Statement of
Managers at 7. Of course, covered entities may defeat a showing of
“substantial limitation” by refuting whatever evidence the
individual seeking coverage has offered, or by offering evidence
that shows an impairment does not impose a substantial limitation
on a major life activity. However, a showing of substantial
limitation is not defeated by facts related to “condition, manner,
or duration” that are not pertinent to the substantial limitation
the individual has proffered.
Sections 1630.2(j)(5) and (6) Examples of Mitigating Measures;
Ordinary Eyeglasses or Contact Lenses
These provisions of the regulations provide numerous examples of
mitigating measures and the definition of “ordinary eyeglasses or
contact lenses.” These definitions have been more fully discussed
in the portions of this interpretive guidance concerning the rules
of construction in § 1630.2(j)(1).
Substantially Limited in Working
The Commission has removed from the text of the regulations a
discussion of the major life activity of working. This is
consistent with the fact that no other major life activity receives
special attention in the regulation, and with the fact that, in
light of the expanded definition of disability established by the
Amendments Act, this major life activity will be used in only very
targeted situations.
In most instances, an individual with a disability will be able
to establish coverage by showing substantial limitation of a major
life activity other than working; impairments that substantially
limit a person's ability to work usually substantially limit one or
more other major life activities. This will be particularly true in
light of the changes made by the ADA Amendments Act. See, e.g.,
Corley v. Dep't of Veterans Affairs ex rel Principi,
218 F. App'x. 727, 738 (10th Cir. 2007) (employee with seizure
disorder was not substantially limited in working because he was
not foreclosed from jobs involving driving, operating machinery,
childcare, military service, and other jobs; employee would now be
substantially limited in neurological function); Olds v.
United Parcel Serv., Inc., 127 F. App'x. 779, 782 (6th Cir.
2005) (employee with bone marrow cancer was not substantially
limited in working due to lifting restrictions caused by his
cancer; employee would now be substantially limited in normal cell
growth); Williams v. Philadelphia Hous. Auth. Police
Dep't, 380 F.3d 751, 763-64 (3d Cir. 2004) (issue of material
fact concerning whether police officer's major depression
substantially limited him in performing a class of jobs due to
restrictions on his ability to carry a firearm; officer would now
be substantially limited in brain function). 2
2 In addition, many cases previously analyzed in terms of
whether the plaintiff was “substantially limited in working” will
now be analyzed under the “regarded as” prong of the definition of
disability as revised by the Amendments Act. See, e.g.,
Cannon v. Levi Strauss & Co., 29 F. App'x. 331 (6th
Cir. 2002) (factory worker laid off due to her carpal tunnel
syndrome not regarded as substantially limited in working because
her job of sewing machine operator was not a “broad class of jobs”;
she would now be protected under the third prong because she was
fired because of her impairment, carpal tunnel syndrome);
Bridges v. City of Bossier, 92 F.3d 329 (5th Cir.
1996) (applicant not hired for firefighting job because of his mild
hemophilia not regarded as substantially limited in working;
applicant would now be protected under the third prong because he
was not hired because of his impairment, hemophilia).
In the rare cases where an individual has a need to demonstrate
that an impairment substantially limits him or her in working, the
individual can do so by showing that the impairment substantially
limits his or her ability to perform a class of jobs or broad range
of jobs in various classes as compared to most people having
comparable training, skills, and abilities. In keeping with the
findings and purposes of the Amendments Act, the determination of
coverage under the law should not require extensive and elaborate
assessment, and the EEOC and the courts are to apply a lower
standard in determining when an impairment substantially limits a
major life activity, including the major life activity of working,
than they applied prior to the Amendments Act. The Commission
believes that the courts, in applying an overly strict standard
with regard to “substantially limits” generally, have reached
conclusions with regard to what is necessary to demonstrate a
substantial limitation in the major life activity of working that
would be inconsistent with the changes now made by the Amendments
Act. Accordingly, as used in this section the terms “class of jobs”
and “broad range of jobs in various classes” will be applied in a
more straightforward and simple manner than they were applied by
the courts prior to the Amendments Act. 3
3 In analyzing working as a major life activity in the past,
some courts have imposed a complex and onerous standard that would
be inappropriate under the Amendments Act. See, e.g., Duncan
v. WMATA, 240 F.3d 1110, 1115 (DC Cir. 2001) (manual laborer
whose back injury prevented him from lifting more than 20 pounds
was not substantially limited in working because he did not present
evidence of the number and types of jobs available to him in the
Washington area; testimony concerning his inquiries and
applications for truck driving jobs that all required heavy lifting
was insufficient); Taylor v. Federal Express Corp.,
429 F.3d 461, 463-64 (4th Cir. 2005) (employee's impairment did not
substantially limit him in working because, even though evidence
showed that employee's injury disqualified him from working in
numerous jobs in his geographic region, it also showed that he
remained qualified for many other jobs). Under the Amendments Act,
the determination of whether a person is substantially limited in
working is more straightforward and simple than it was prior to the
Act.
Demonstrating a substantial limitation in performing the unique
aspects of a single specific job is not sufficient to establish
that a person is substantially limited in the major life activity
of working.
A class of jobs may be determined by reference to the nature of
the work that an individual is limited in performing (such as
commercial truck driving, assembly line jobs, food service jobs,
clerical jobs, or law enforcement jobs) or by reference to
job-related requirements that an individual is limited in meeting
(for example, jobs requiring repetitive bending, reaching, or
manual tasks, jobs requiring repetitive or heavy lifting, prolonged
sitting or standing, extensive walking, driving, or working under
conditions such as high temperatures or noise levels).
For example, if a person whose job requires heavy lifting
develops a disability that prevents him or her from lifting more
than fifty pounds and, consequently, from performing not only his
or her existing job but also other jobs that would similarly
require heavy lifting, that person would be substantially limited
in working because he or she is substantially limited in performing
the class of jobs that require heavy lifting.
Section 1630.2(k) Record of a Substantially Limiting Impairment
The second prong of the definition of “disability” provides that
an individual with a record of an impairment that substantially
limits or limited a major life activity is an individual with a
disability. The intent of this provision, in part, is to ensure
that people are not discriminated against because of a history of
disability. For example, the “record of” provision would protect an
individual who was treated for cancer ten years ago but who is now
deemed by a doctor to be free of cancer, from discrimination based
on that prior medical history. This provision also ensures that
individuals are not discriminated against because they have been
misclassified as disabled. For example, individuals misclassified
as having learning disabilities or intellectual disabilities
(formerly termed “mental retardation”) are protected from
discrimination on the basis of that erroneous classification.
Senate Report at 23; House Labor Report at 52-53; House Judiciary
Report at 29; 2008 House Judiciary Report at 7-8 & n.14. Similarly,
an employee who in the past was misdiagnosed with bipolar disorder
and hospitalized as the result of a temporary reaction to
medication she was taking has a record of a substantially limiting
impairment, even though she did not actually have bipolar
disorder.
This part of the definition is satisfied where evidence
establishes that an individual has had a substantially limiting
impairment. The impairment indicated in the record must be an
impairment that would substantially limit one or more of the
individual's major life activities. There are many types of records
that could potentially contain this information, including but not
limited to, education, medical, or employment records.
Such evidence that an individual has a past history of an
impairment that substantially limited a major life activity is all
that is necessary to establish coverage under the second prong. An
individual may have a “record of” a substantially limiting
impairment - and thus be protected under the “record of” prong of
the statute - even if a covered entity does not specifically know
about the relevant record. Of course, for the covered entity to be
liable for discrimination under title I of the ADA, the individual
with a “record of” a substantially limiting impairment must prove
that the covered entity discriminated on the basis of the record of
the disability.
The terms “substantially limits” and “major life activity” under
the second prong of the definition of “disability” are to be
construed in accordance with the same principles applicable under
the “actual disability” prong, as set forth in § 1630.2(j).
Individuals who are covered under the “record of” prong will
often be covered under the first prong of the definition of
disability as well. This is a consequence of the rule of
construction in the ADAAA and the regulations providing that an
individual with an impairment that is episodic or in remission can
be protected under the first prong if the impairment would be
substantially limiting when active. See 42 U.S.C. 12102(4)(D); §
1630.2(j)(1)(vii). Thus, an individual who has cancer that is
currently in remission is an individual with a disability under the
“actual disability” prong because he has an impairment that would
substantially limit normal cell growth when active. He is also
covered by the “record of” prong based on his history of having had
an impairment that substantially limited normal cell growth.
Finally, this section of the EEOC's regulations makes it clear
that an individual with a record of a disability is entitled to a
reasonable accommodation currently needed for limitations resulting
from or relating to the past substantially limiting impairment.
This conclusion, which has been the Commission's long-standing
position, is confirmed by language in the ADA Amendments Act
stating that individuals covered only under the “regarded as” prong
of the definition of disability are not entitled to reasonable
accommodation. See 42 U.S.C. 12201(h). By implication, this means
that individuals covered under the first or second prongs are
otherwise eligible for reasonable accommodations. See 2008 House
Judiciary Committee Report at 22 (“This makes clear that the duty
to accommodate . . . arises only when an individual establishes
coverage under the first or second prong of the definition.”).
Thus, as the regulations explain, an employee with an impairment
that previously substantially limited but no longer substantially
limits, a major life activity may need leave or a schedule change
to permit him or her to attend follow-up or “monitoring”
appointments from a health care provider.
Section 1630.2(l) Regarded as Substantially Limited in a Major Life
Activity
Coverage under the “regarded as” prong of the definition of
disability should not be difficult to establish. See 2008 House
Judiciary Committee Report at 17 (explaining that Congress never
expected or intended it would be a difficult standard to meet).
Under the third prong of the definition of disability, an
individual is “regarded as having such an impairment” if the
individual is subjected to an action prohibited by the ADA because
of an actual or perceived impairment that is not “transitory and
minor.”
This third prong of the definition of disability was originally
intended to express Congress's understanding that “unfounded
concerns, mistaken beliefs, fears, myths, or prejudice about
disabilities are often just as disabling as actual impairments, and
[its] corresponding desire to prohibit discrimination founded on
such perceptions.” 2008 Senate Statement of Managers at 9; 2008
House Judiciary Committee Report at 17 (same). In passing the
original ADA, Congress relied extensively on the reasoning of
School Board of Nassau County v. Arline 4 “that the
negative reactions of others are just as disabling as the actual
impact of an impairment.” 2008 Senate Statement of Managers at 9.
The ADAAA reiterates Congress's reliance on the broad views
enunciated in that decision, and Congress “believe[s] that courts
should continue to rely on this standard.” Id.
4 480 U.S. at 282-83.
Accordingly, the ADA Amendments Act broadened the application of
the “regarded as” prong of the definition of disability. 2008
Senate Statement of Managers at 9-10. In doing so, Congress
rejected court decisions that had required an individual to
establish that a covered entity perceived him or her to have an
impairment that substantially limited a major life activity. This
provision is designed to restore Congress's intent to allow
individuals to establish coverage under the “regarded as” prong by
showing that they were treated adversely because of an impairment,
without having to establish the covered entity's beliefs concerning
the severity of the impairment. Joint Hoyer-Sensenbrenner Statement
at 3.
Thus it is not necessary, as it was prior to the ADA Amendments
Act, for an individual to demonstrate that a covered entity
perceived him as substantially limited in the ability to perform a
major life activity in order for the individual to establish that
he or she is covered under the “regarded as” prong. Nor is it
necessary to demonstrate that the impairment relied on by a covered
entity is (in the case of an actual impairment) or would be (in the
case of a perceived impairment) substantially limiting for an
individual to be “regarded as having such an impairment.” In short,
to qualify for coverage under the “regarded as” prong, an
individual is not subject to any functional test. See 2008 Senate
Statement of Managers at 13 (“The functional limitation imposed by
an impairment is irrelevant to the third ‘regarded as' prong.”);
2008 House Judiciary Committee Report at 17 (that is, “the
individual is not required to show that the perceived impairment
limits performance of a major life activity”). The concepts of
“major life activities” and “substantial limitation” simply are not
relevant in evaluating whether an individual is “regarded as having
such an impairment.”
To illustrate how straightforward application of the “regarded
as” prong is, if an employer refused to hire an applicant because
of skin graft scars, the employer has regarded the applicant as an
individual with a disability. Similarly, if an employer terminates
an employee because he has cancer, the employer has regarded the
employee as an individual with a disability.
A “prohibited action” under the “regarded as” prong refers to an
action of the type that would be unlawful under the ADA (but for
any defenses to liability). Such prohibited actions include, but
are not limited to, refusal to hire, demotion, placement on
involuntary leave, termination, exclusion for failure to meet a
qualification standard, harassment, or denial of any other term,
condition, or privilege of employment.
Where an employer bases a prohibited employment action on an
actual or perceived impairment that is not “transitory and minor,”
the employer regards the individual as disabled, whether or not
myths, fears, or stereotypes about disability motivated the
employer's decision. Establishing that an individual is “regarded
as having such an impairment” does not, by itself, establish
liability. Liability is established only if an individual meets the
burden of proving that the covered entity discriminated unlawfully
within the meaning of section 102 of the ADA, 42 U.S.C. 12112.
Whether a covered entity can ultimately establish a defense to
liability is an inquiry separate from, and follows after, a
determination that an individual was regarded as having a
disability. Thus, for example, an employer who terminates an
employee with angina from a manufacturing job that requires the
employee to work around machinery, believing that the employee will
pose a safety risk to himself or others if he were suddenly to lose
consciousness, has regarded the individual as disabled. Whether the
employer has a defense (e.g., that the employee posed a direct
threat to himself or coworkers) is a separate inquiry.
The fact that the “regarded as” prong requires proof of
causation in order to show that a person is covered does not mean
that proving a “regarded as” claim is complex. While a person must
show, for both coverage under the “regarded as” prong and for
ultimate liability, that he or she was subjected to a prohibited
action because of an actual or perceived impairment, this showing
need only be made once. Thus, evidence that a covered entity took a
prohibited action because of an impairment will establish coverage
and will be relevant in establishing liability, although liability
may ultimately turn on whether the covered entity can establish a
defense.
As prescribed in the ADA Amendments Act, the regulations provide
an exception to coverage under the “regarded as” prong where the
impairment on which a prohibited action is based is both transitory
(having an actual or expected duration of six months or less) and
minor. The regulations make clear (at § 1630.2(l)(2) and §
1630.15(f)) that this exception is a defense to a claim of
discrimination. “Providing this exception responds to concerns
raised by employer organizations and is reasonable under the
‘regarded as' prong of the definition because individuals seeking
coverage under this prong need not meet the functional limitation
requirement contained in the first two prongs of the definition.”
2008 Senate Statement of Managers at 10; See also 2008 House
Judiciary Committee Report at 18 (explaining that “absent this
exception, the third prong of the definition would have covered
individuals who are regarded as having common ailments like the
cold or flu, and this exception responds to concerns raised by
members of the business community regarding potential abuse of this
provision and misapplication of resources on individuals with minor
ailments that last only a short period of time”). However, as an
exception to the general rule for broad coverage under the
“regarded as” prong, this limitation on coverage should be
construed narrowly. 2008 House Judiciary Committee Report at
18.
The relevant inquiry is whether the actual or perceived
impairment on which the employer's action was based is objectively
“transitory and minor,” not whether the employer claims it
subjectively believed the impairment was transitory and minor. For
example, an employer who terminates an employee whom it believes
has bipolar disorder cannot take advantage of this exception by
asserting that it believed the employee's impairment was transitory
and minor, since bipolar disorder is not objectively transitory and
minor. At the same time, an employer that terminated an employee
with an objectively “transitory and minor” hand wound, mistakenly
believing it to be symptomatic of HIV infection, will nevertheless
have “regarded” the employee as an individual with a disability,
since the covered entity took a prohibited employment action based
on a perceived impairment (HIV infection) that is not “transitory
and minor.”
An individual covered only under the “regarded as” prong is not
entitled to reasonable accommodation. 42 U.S.C. 12201(h). Thus, in
cases where reasonable accommodation is not at issue, the third
prong provides a more straightforward framework for analyzing
whether discrimination occurred. As Congress observed in enacting
the ADAAA: “[W]e expect [the first] prong of the definition to be
used only by people who are affirmatively seeking reasonable
accommodations or modifications. Any individual who has been
discriminated against because of an impairment - short of being
granted a reasonable accommodation or modification - should be
bringing a claim under the third prong of the definition which will
require no showing with regard to the severity of his or her
impairment.” Joint Hoyer-Sensenbrenner Statement at 6.
Section 1630.2(m) Qualified Individual
The ADA prohibits discrimination on the basis of disability
against a qualified individual. The determination of whether an
individual with a disability is “qualified” should be made in two
steps. The first step is to determine if the individual satisfies
the prerequisites for the position, such as possessing the
appropriate educational background, employment experience, skills,
licenses, etc. For example, the first step in determining whether
an accountant who is paraplegic is qualified for a certified public
accountant (CPA) position is to examine the individual's
credentials to determine whether the individual is a licensed CPA.
This is sometimes referred to in the Rehabilitation Act caselaw as
determining whether the individual is “otherwise qualified” for the
position. See Senate Report at 33; House Labor Report at 64-65.
(See § 1630.9 Not Making Reasonable Accommodation).
The second step is to determine whether or not the individual
can perform the essential functions of the position held or
desired, with or without reasonable accommodation. The purpose of
this second step is to ensure that individuals with disabilities
who can perform the essential functions of the position held or
desired are not denied employment opportunities because they are
not able to perforn marginal functions of the position. House Labor
Report at 55.
The determination of whether an individual with a disability is
qualified is to be made at the time of the employment decision.
This determination should be based on the capabilities of the
individual with a disability at the time of the employment
decision, and should not be based on speculation that the employee
may become unable in the future or may cause increased health
insurance premiums or workers compensation costs.
Section 1630.2(n) Essential Functions
The determination of which functions are essential may be
critical to the determination of whether or not the individual with
a disability is qualified. The essential functions are those
functions that the individual who holds the position must be able
to perform unaided or with the assistance of a reasonable
accommodation.
The inquiry into whether a particular function is essential
initially focuses on whether the employer actually requires
employees in the position to perform the functions that the
employer asserts are essential. For example, an employer may state
that typing is an essential function of a position. If, in fact,
the employer has never required any employee in that particular
position to type, this will be evidence that typing is not actually
an essential function of the position.
If the individual who holds the position is actually required to
perform the function the employer asserts is an essential function,
the inquiry will then center around whether removing the function
would fundamentally alter that position. This determination of
whether or not a particular function is essential will generally
include one or more of the following factors listed in part
1630.
The first factor is whether the position exists to perform a
particular function. For example, an individual may be hired to
proofread documents. The ability to proofread the documents would
then be an essential function, since this is the only reason the
position exists.
The second factor in determining whether a function is essential
is the number of other employees available to perform that job
function or among whom the performance of that job function can be
distributed. This may be a factor either because the total number
of available employees is low, or because of the fluctuating
demands of the business operation. For example, if an employer has
a relatively small number of available employees for the volume of
work to be performed, it may be necessary that each employee
perform a multitude of different functions. Therefore, the
performance of those functions by each employee becomes more
critical and the options for reorganizing the work become more
limited. In such a situation, functions that might not be essential
if there were a larger staff may become essential because the staff
size is small compared to the volume of work that has to be done.
See Treadwell v. Alexander, 707 F.2d 473 (11th Cir.
1983).
A similar situation might occur in a larger work force if the
workflow follows a cycle of heavy demand for labor intensive work
followed by low demand periods. This type of workflow might also
make the performance of each function during the peak periods more
critical and might limit the employer's flexibility in reorganizing
operating procedures. See Dexler v. Tisch, 660 F.
Supp. 1418 (D. Conn. 1987).
The third factor is the degree of expertise or skill required to
perform the function. In certain professions and highly skilled
positions the employee is hired for his or her expertise or ability
to perform the particular function. In such a situation, the
performance of that specialized task would be an essential
function.
Whether a particular function is essential is a factual
determination that must be made on a case by case basis. In
determining whether or not a particular function is essential, all
relevant evidence should be considered. Part 1630 lists various
types of evidence, such as an established job description, that
should be considered in determining whether a particular function
is essential. Since the list is not exhaustive, other relevant
evidence may also be presented. Greater weight will not be granted
to the types of evidence included on the list than to the types of
evidence not listed.
Although part 1630 does not require employers to develop or
maintain job descriptions, written job descriptions prepared before
advertising or interviewing applicants for the job, as well as the
employer's judgment as to what functions are essential are among
the relevant evidence to be considered in determining whether a
particular function is essential. The terms of a collective
bargaining agreement are also relevant to the determination of
whether a particular function is essential. The work experience of
past employees in the job or of current employees in similar jobs
is likewise relevant to the determination of whether a particular
function is essential. See H.R. Conf. Rep. No. 101-596, 101st
Cong., 2d Sess. 58 (1990) [hereinafter Conference Report]; House
Judiciary Report at 33-34. See also Hall v. U.S. Postal
Service, 857 F.2d 1073 (6th Cir. 1988).
The time spent performing the particular function may also be an
indicator of whether that function is essential. For example, if an
employee spends the vast majority of his or her time working at a
cash register, this would be evidence that operating the cash
register is an essential function. The consequences of failing to
require the employee to perform the function may be another
indicator of whether a particular function is essential. For
example, although a firefighter may not regularly have to carry an
unconscious adult out of a burning building, the consequence of
failing to require the firefighter to be able to perform this
function would be serious.
It is important to note that the inquiry into essential
functions is not intended to second guess an employer's business
judgment with regard to production standards, whether qualitative
or quantitative, nor to require employers to lower such standards.
(See § 1630.10 Qualification Standards, Tests and Other Selection
Criteria). If an employer requires its typists to be able to
accurately type 75 words per minute, it will not be called upon to
explain why an inaccurate work product, or a typing speed of 65
words per minute, would not be adequate. Similarly, if a hotel
requires its service workers to thoroughly clean 16 rooms per day,
it will not have to explain why it requires thorough cleaning, or
why it chose a 16 room rather than a 10 room requirement. However,
if an employer does require accurate 75 word per minute typing or
the thorough cleaning of 16 rooms, it will have to show that it
actually imposes such requirements on its employees in fact, and
not simply on paper. It should also be noted that, if it is alleged
that the employer intentionally selected the particular level of
production to exclude individuals with disabilities, the employer
may have to offer a legitimate, nondiscriminatory reason for its
selection.
Section 1630.2(o) Reasonable Accommodation
An individual with a disability is considered “qualified” if the
individual can perform the essential functions of the position held
or desired with or without reasonable accommodation. A covered
entity is required, absent undue hardship, to provide reasonable
accommodation to an otherwise qualified individual with a
substantially limiting impairment or a “record of” such an
impairment. However, a covered entity is not required to provide an
accommodation to an individual who meets the definition of
disability solely under the “regarded as” prong.
The legislative history of the ADAAA makes clear that Congress
included this provision in response to various court decisions that
had held (pre-Amendments Act) that individuals who were covered
solely under the “regarded as” prong were eligible for reasonable
accommodations. In those cases, the plaintiffs had been found not
to be covered under the first prong of the definition of disability
“because of the overly stringent manner in which the courts had
been interpreting that prong.” 2008 Senate Statement of Managers at
11. The legislative history goes on to explain that “[b]ecause of
[Congress's] strong belief that accommodating individuals with
disabilities is a key goal of the ADA, some members [of Congress]
continue to have reservations about this provision.” Id. However,
Congress ultimately concluded that clarifying that individuals
covered solely under the “regarded as” prong are not entitled to
reasonable accommodations “is an acceptable compromise given our
strong expectation that such individuals would now be covered under
the first prong of the definition [of disability], properly
applied”). Further, individuals covered only under the third prong
still may bring discrimination claims (other than
failure-to-accommodate claims) under title I of the ADA. 2008
Senate Statement of Managers at 9-10.
In general, an accommodation is any change in the work
environment or in the way things are customarily done that enables
an individual with a disability to enjoy equal employment
opportunities. There are three categories of reasonable
accommodation. These are (1) accommodations that are required to
ensure equal opportunity in the application process; (2)
accommodations that enable the employer's employees with
disabilities to perform the essential functions of the position
held or desired; and (3) accommodations that enable the employer's
employees with disabilities to enjoy equal benefits and privileges
of employment as are enjoyed by employees without disabilities. It
should be noted that nothing in this part prohibits employers or
other covered entities from providing accommodations beyond those
required by this part.
Part 1630 lists the examples, specified in title I of the ADA,
of the most common types of accommodation that an employer or other
covered entity may be required to provide. There are any number of
other specific accommodations that may be appropriate for
particular situations but are not specifically mentioned in this
listing. This listing is not intended to be exhaustive of
accommodation possibilities. For example, other accommodations
could include permitting the use of accrued paid leave or providing
additional unpaid leave for necessary treatment, making employer
provided transportation accessible, and providing reserved parking
spaces. Providing personal assistants, such as a page turner for an
employee with no hands or a travel attendant to act as a sighted
guide to assist a blind employee on occasional business trips, may
also be a reasonable accommodation. Senate Report at 31; House
Labor Report at 62; House Judiciary Report at 39.
It may also be a reasonable accommodation to permit an
individual with a disability the opportunity to provide and utilize
equipment, aids or services that an employer is not required to
provide as a reasonable accommodation. For example, it would be a
reasonable accommodation for an employer to permit an individual
who is blind to use a guide dog at work, even though the employer
would not be required to provide a guide dog for the employee.
The accommodations included on the list of reasonable
accommodations are generally self explanatory. However, there are a
few that require further explanation. One of these is the
accommodation of making existing facilities used by employees
readily accessible to, and usable by, individuals with
disabilities. This accommodation includes both those areas that
must be accessible for the employee to perform essential job
functions, as well as non-work areas used by the employer's
employees for other purposes. For example, accessible break rooms,
lunch rooms, training rooms, restrooms etc., may be required as
reasonable accommodations.
Another of the potential accommodations listed is “job
restructuring.” An employer or other covered entity may restructure
a job by reallocating or redistributing nonessential, marginal job
functions. For example, an employer may have two jobs, each of
which entails the performance of a number of marginal functions.
The employer hires an individual with a disability who is able to
perform some of the marginal functions of each job but not all of
the marginal functions of either job. As an accommodation, the
employer may redistribute the marginal functions so that all of the
marginal functions that the individual with a disability can
perform are made a part of the position to be filled by the
individual with a disability. The remaining marginal functions that
the individual with a disability cannot perform would then be
transferred to the other position. See Senate Report at 31; House
Labor Report at 62.
An employer or other covered entity is not required to
reallocate essential functions. The essential functions are by
definition those that the individual who holds the job would have
to perform, with or without reasonable accommodation, in order to
be considered qualified for the position. For example, suppose a
security guard position requires the individual who holds the job
to inspect identification cards. An employer would not have to
provide an individual who is legally blind with an assistant to
look at the identification cards for the legally blind employee. In
this situation the assistant would be performing the job for the
individual with a disability rather than assisting the individual
to perform the job. See Coleman v. Darden, 595 F.2d
533 (10th Cir. 1979).
An employer or other covered entity may also restructure a job
by altering when and/or how an essential function is performed. For
example, an essential function customarily performed in the early
morning hours may be rescheduled until later in the day as a
reasonable accommodation to a disability that precludes performance
of the function at the customary hour. Likewise, as a reasonable
accommodation, an employee with a disability that inhibits the
ability to write, may be permitted to computerize records that were
customarily maintained manually.
Reassignment to a vacant position is also listed as a potential
reasonable accommodation. In general, reassignment should be
considered only when accommodation within the individual's current
position would pose an undue hardship. Reassignment is not
available to applicants. An applicant for a position must be
qualified for, and be able to perform the essential functions of,
the position sought with or without reasonable accommodation.
Reassignment may not be used to limit, segregate, or otherwise
discriminate against employees with disabilities by forcing
reassignments to undesirable positions or to designated offices or
facilities. Employers should reassign the individual to an
equivalent position, in terms of pay, status, etc., if the
individual is qualified, and if the position is vacant within a
reasonable amount of time. A “reasonable amount of time” should be
determined in light of the totality of the circumstances. As an
example, suppose there is no vacant position available at the time
that an individual with a disability requests reassignment as a
reasonable accommodation. The employer, however, knows that an
equivalent position for which the individual is qualified, will
become vacant next week. Under these circumstances, the employer
should reassign the individual to the position when it becomes
available.
An employer may reassign an individual to a lower graded
position if there are no accommodations that would enable the
employee to remain in the current position and there are no vacant
equivalent positions for which the individual is qualified with or
without reasonable accommodation. An employer, however, is not
required to maintain the reassigned individual with a disability at
the salary of the higher graded position if it does not so maintain
reassigned employees who are not disabled. It should also be noted
that an employer is not required to promote an individual with a
disability as an accommodation. See Senate Report at 31-32; House
Labor Report at 63.
The determination of which accommodation is appropriate in a
particular situation involves a process in which the employer and
employee identify the precise limitations imposed by the disability
and explore potential accommodations that would overcome those
limitations. This process is discussed more fully in § 1630.9 Not
Making Reasonable Accommodation.
Section 1630.2(p) Undue Hardship
An employer or other covered entity is not required to provide
an accommodation that will impose an undue hardship on the
operation of the employer's or other covered entity's business. The
term “undue hardship” means significant difficulty or expense in,
or resulting from, the provision of the accommodation. The “undue
hardship” provision takes into account the financial realities of
the particular employer or other covered entity. However, the
concept of undue hardship is not limited to financial difficulty.
“Undue hardship” refers to any accommodation that would be unduly
costly, extensive, substantial, or disruptive, or that would
fundamentally alter the nature or operation of the business. See
Senate Report at 35; House Labor Report at 67.
For example, suppose an individual with a disabling visual
impairment that makes it extremely difficult to see in dim lighting
applies for a position as a waiter in a nightclub and requests that
the club be brightly lit as a reasonable accommodation. Although
the individual may be able to perform the job in bright lighting,
the nightclub will probably be able to demonstrate that that
particular accommodation, though inexpensive, would impose an undue
hardship if the bright lighting would destroy the ambience of the
nightclub and/or make it difficult for the customers to see the
stage show. The fact that that particular accommodation poses an
undue hardship, however, only means that the employer is not
required to provide that accommodation. If there is another
accommodation that will not create an undue hardship, the employer
would be required to provide the alternative accommodation.
An employer's claim that the cost of a particular accommodation
will impose an undue hardship will be analyzed in light of the
factors outlined in part 1630. In part, this analysis requires a
determination of whose financial resources should be considered in
deciding whether the accommodation is unduly costly. In some cases
the financial resources of the employer or other covered entity in
its entirety should be considered in determining whether the cost
of an accommodation poses an undue hardship. In other cases,
consideration of the financial resources of the employer or other
covered entity as a whole may be inappropriate because it may not
give an accurate picture of the financial resources available to
the particular facility that will actually be required to provide
the accommodation. See House Labor Report at 68-69; House Judiciary
Report at 40-41; see also Conference Report at 56-57.
If the employer or other covered entity asserts that only the
financial resources of the facility where the individual will be
employed should be considered, part 1630 requires a factual
determination of the relationship between the employer or other
covered entity and the facility that will provide the
accommodation. As an example, suppose that an independently owned
fast food franchise that receives no money from the franchisor
refuses to hire an individual with a hearing impairment because it
asserts that it would be an undue hardship to provide an
interpreter to enable the individual to participate in monthly
staff meetings. Since the financial relationship between the
franchisor and the franchise is limited to payment of an annual
franchise fee, only the financial resources of the franchise would
be considered in determining whether or not providing the
accommodation would be an undue hardship. See House Labor Report at
68; House Judiciary Report at 40.
If the employer or other covered entity can show that the cost
of the accommodation would impose an undue hardship, it would still
be required to provide the accommodation if the funding is
available from another source, e.g., a State vocational
rehabilitation agency, or if Federal, State or local tax deductions
or tax credits are available to offset the cost of the
accommodation. If the employer or other covered entity receives, or
is eligible to receive, monies from an external source that would
pay the entire cost of the accommodation, it cannot claim cost as
an undue hardship. In the absence of such funding, the individual
with a disability requesting the accommodation should be given the
option of providing the accommodation or of paying that portion of
the cost which constitutes the undue hardship on the operation of
the business. To the extent that such monies pay or would pay for
only part of the cost of the accommodation, only that portion of
the cost of the accommodation that could not be recovered - the
final net cost to the entity - may be considered in determining
undue hardship. (See § 1630.9 Not Making Reasonable Accommodation).
See Senate Report at 36; House Labor Report at 69.
Section 1630.2(r) Direct Threat
An employer may require, as a qualification standard, that an
individual not pose a direct threat to the health or safety of
himself/herself or others. Like any other qualification standard,
such a standard must apply to all applicants or employees and not
just to individuals with disabilities. If, however, an individual
poses a direct threat as a result of a disability, the employer
must determine whether a reasonable accommodation would either
eliminate the risk or reduce it to an acceptable level. If no
accommodation exists that would either eliminate or reduce the
risk, the employer may refuse to hire an applicant or may discharge
an employee who poses a direct threat.
An employer, however, is not permitted to deny an employment
opportunity to an individual with a disability merely because of a
slightly increased risk. The risk can only be considered when it
poses a significant risk, i.e., high probability, of
substantial harm; a speculative or remote risk is insufficient. See
Senate Report at 27; House Report Labor Report at 56-57; House
Judiciary Report at 45.
Determining whether an individual poses a significant risk of
substantial harm to others must be made on a case by case basis.
The employer should identify the specific risk posed by the
individual. For individuals with mental or emotional disabilities,
the employer must identify the specific behavior on the part of the
individual that would pose the direct threat. For individuals with
physical disabilities, the employer must identify the aspect of the
disability that would pose the direct threat. The employer should
then consider the four factors listed in part 1630:
(1) The duration of the risk;
(2) The nature and severity of the potential harm;
(3) The likelihood that the potential harm will occur; and
(4) The imminence of the potential harm.
Such consideration must rely on objective, factual evidence -
not on subjective perceptions, irrational fears, patronizing
attitudes, or stereotypes - about the nature or effect of a
particular disability, or of disability generally. See Senate
Report at 27; House Labor Report at 56-57; House Judiciary Report
at 45-46. See also Strathie v. Department of
Transportation, 716 F.2d 227 (3d Cir. 1983). Relevant evidence
may include input from the individual with a disability, the
experience of the individual with a disability in previous similar
positions, and opinions of medical doctors, rehabilitation
counselors, or physical therapists who have expertise in the
disability involved and/or direct knowledge of the individual with
the disability.
An employer is also permitted to require that an individual not
pose a direct threat of harm to his or her own safety or health. If
performing the particular functions of a job would result in a high
probability of substantial harm to the individual, the employer
could reject or discharge the individual unless a reasonable
accommodation that would not cause an undue hardship would avert
the harm. For example, an employer would not be required to hire an
individual, disabled by narcolepsy, who frequently and unexpectedly
loses consciousness for a carpentry job the essential functions of
which require the use of power saws and other dangerous equipment,
where no accommodation exists that will reduce or eliminate the
risk.
The assessment that there exists a high probability of
substantial harm to the individual, like the assessment that there
exists a high probability of substantial harm to others, must be
strictly based on valid medical analyses and/or on other objective
evidence. This determination must be based on individualized
factual data, using the factors discussed above, rather than on
stereotypic or patronizing assumptions and must consider potential
reasonable accommodations. Generalized fears about risks from the
employment environment, such as exacerbation of the disability
caused by stress, cannot be used by an employer to disqualify an
individual with a disability. For example, a law firm could not
reject an applicant with a history of disabling mental illness
based on a generalized fear that the stress of trying to make
partner might trigger a relapse of the individual's mental illness.
Nor can generalized fears about risks to individuals with
disabilities in the event of an evacuation or other emergency be
used by an employer to disqualify an individual with a disability.
See Senate Report at 56; House Labor Report at 73-74; House
Judiciary Report at 45. See also Mantolete v. Bolger,
767 F.2d 1416 (9th Cir. 1985); Bentivegna v. U.S.
Department of Labor, 694 F.2d 619 (9th Cir.1982).
Section 1630.3 Exceptions to the Definitions of “Disability” and
“Qualified Individual with a Disability” Section 1630.3 (a) through
(c) Illegal Use of Drugs
Part 1630 provides that an individual currently engaging in the
illegal use of drugs is not an individual with a disability for
purposes of this part when the employer or other covered entity
acts on the basis of such use. Illegal use of drugs refers both to
the use of unlawful drugs, such as cocaine, and to the unlawful use
of prescription drugs.
Employers, for example, may discharge or deny employment to
persons who illegally use drugs, on the basis of such use, without
fear of being held liable for discrimination. The term “currently
engaging” is not intended to be limited to the use of drugs on the
day of, or within a matter of days or weeks before, the employment
action in question. Rather, the provision is intended to apply to
the illegal use of drugs that has occurred recently enough to
indicate that the individual is actively engaged in such conduct.
See Conference Report at 64.
Individuals who are erroneously perceived as engaging in the
illegal use of drugs, but are not in fact illegally using drugs are
not excluded from the definitions of the terms “disability” and
“qualified individual with a disability.” Individuals who are no
longer illegally using drugs and who have either been rehabilitated
successfully or are in the process of completing a rehabilitation
program are, likewise, not excluded from the definitions of those
terms. The term “rehabilitation program” refers to both in-patient
and out-patient programs, as well as to appropriate employee
assistance programs, professionally recognized self-help programs,
such as Narcotics Anonymous, or other programs that provide
professional (not necessarily medical) assistance and counseling
for individuals who illegally use drugs. See Conference Report at
64; see also House Labor Report at 77; House Judiciary Report at
47.
It should be noted that this provision simply provides that
certain individuals are not excluded from the definitions of
“disability” and “qualified individual with a disability.”
Consequently, such individuals are still required to establish that
they satisfy the requirements of these definitions in order to be
protected by the ADA and this part. An individual erroneously
regarded as illegally using drugs, for example, would have to show
that he or she was regarded as a drug addict in order to
demonstrate that he or she meets the definition of “disability” as
defined in this part.
Employers are entitled to seek reasonable assurances that no
illegal use of drugs is occurring or has occurred recently enough
so that continuing use is a real and ongoing problem. The
reasonable assurances that employers may ask applicants or
employees to provide include evidence that the individual is
participating in a drug treatment program and/or evidence, such as
drug test results, to show that the individual is not currently
engaging in the illegal use of drugs. An employer, such as a law
enforcement agency, may also be able to impose a qualification
standard that excludes individuals with a history of illegal use of
drugs if it can show that the standard is job-related and
consistent with business necessity. (See § 1630.10 Qualification
Standards, Tests and Other Selection Criteria) See Conference
Report at 64.
Section 1630.4 Discrimination Prohibited
Paragraph (a) of this provision prohibits discrimination on the
basis of disability against a qualified individual in all aspects
of the employment relationship. The range of employment decisions
covered by this nondiscrimination mandate is to be construed in a
manner consistent with the regulations implementing section 504 of
the Rehabilitation Act of 1973.
Paragraph (b) makes it clear that the language “on the basis of
disability” is not intended to create a cause of action for an
individual without a disability who claims that someone with a
disability was treated more favorably (disparate treatment), or was
provided a reasonable accommodation that an individual without a
disability was not provided. See 2008 House Judiciary Committee
Report at 21 (this provision “prohibits reverse discrimination
claims by disallowing claims based on the lack of disability”).
Additionally, the ADA and this part do not affect laws that may
require the affirmative recruitment or hiring of individuals with
disabilities, or any voluntary affirmative action employers may
undertake on behalf of individuals with disabilities. However, part
1630 is not intended to limit the ability of covered entities to
choose and maintain a qualified workforce. Employers can continue
to use criteria that are job related and consistent with business
necessity to select qualified employees, and can continue to hire
employees who can perform the essential functions of the job.
The Amendments Act modified title I's nondiscrimination
provision to replace the prohibition on discrimination “against a
qualified individual with a disability because of the disability of
such individual” with a prohibition on discrimination “against a
qualified individual on the basis of disability.” As the
legislative history of the ADAAA explains: “[T]he bill modifies the
ADA to conform to the structure of Title VII and other civil rights
laws by requiring an individual to demonstrate discrimination ‘on
the basis of disability' rather than discrimination ‘against an
individual with a disability' because of the individual's
disability. We hope this will be an important signal to both
lawyers and courts to spend less time and energy on the minutia of
an individual's impairment, and more time and energy on the merits
of the case - including whether discrimination occurred because of
the disability, whether an individual was qualified for a job or
eligible for a service, and whether a reasonable accommodation or
modification was called for under the law.” Joint
Hoyer-Sensenbrenner Statement at 4; See also 2008 House Judiciary
Report at 21 (“This change harmonizes the ADA with other civil
rights laws by focusing on whether a person who has been
discriminated against has proven that the discrimination was based
on a personal characteristic (disability), not on whether he or she
has proven that the characteristic exists.”).
Section 1630.5 Limiting, Segregating and Classifying
This provision and the several provisions that follow describe
various specific forms of discrimination that are included within
the general prohibition of § 1630.4. The capabilities of qualified
individuals must be determined on an individualized, case by case
basis. Covered entities are also prohibited from segregating
qualified employees into separate work areas or into separate lines
of advancement on the basis of their disabilities.
Thus, for example, it would be a violation of this part for an
employer to limit the duties of an employee with a disability based
on a presumption of what is best for an individual with such a
disability, or on a presumption about the abilities of an
individual with such a disability. It would be a violation of this
part for an employer to adopt a separate track of job promotion or
progression for employees with disabilities based on a presumption
that employees with disabilities are uninterested in, or incapable
of, performing particular jobs. Similarly, it would be a violation
for an employer to assign or reassign (as a reasonable
accommodation) employees with disabilities to one particular office
or installation, or to require that employees with disabilities
only use particular employer provided non-work facilities such as
segregated break-rooms, lunch rooms, or lounges. It would also be a
violation of this part to deny employment to an applicant or
employee with a disability based on generalized fears about the
safety of an individual with such a disability, or based on
generalized assumptions about the absenteeism rate of an individual
with such a disability.
In addition, it should also be noted that this part is intended
to require that employees with disabilities be accorded equal
access to whatever health insurance coverage the employer provides
to other employees. This part does not, however, affect
pre-existing condition clauses included in health insurance
policies offered by employers. Consequently, employers may continue
to offer policies that contain such clauses, even if they adversely
affect individuals with disabilities, so long as the clauses are
not used as a subterfuge to evade the purposes of this part.
So, for example, it would be permissible for an employer to
offer an insurance policy that limits coverage for certain
procedures or treatments to a specified number per year. Thus, if a
health insurance plan provided coverage for five blood transfusions
a year to all covered employees, it would not be discriminatory to
offer this plan simply because a hemophiliac employee may require
more than five blood transfusions annually. However, it would not
be permissible to limit or deny the hemophiliac employee coverage
for other procedures, such as heart surgery or the setting of a
broken leg, even though the plan would not have to provide coverage
for the additional blood transfusions that may be involved in these
procedures. Likewise, limits may be placed on reimbursements for
certain procedures or on the types of drugs or procedures covered
(e.g. limits on the number of permitted X-rays or non-coverage of
experimental drugs or procedures), but that limitation must be
applied equally to individuals with and without disabilities. See
Senate Report at 28-29; House Labor Report at 58-59; House
Judiciary Report at 36.
Leave policies or benefit plans that are uniformly applied do
not violate this part simply because they do not address the
special needs of every individual with a disability. Thus, for
example, an employer that reduces the number of paid sick leave
days that it will provide to all employees, or reduces the amount
of medical insurance coverage that it will provide to all
employees, is not in violation of this part, even if the benefits
reduction has an impact on employees with disabilities in need of
greater sick leave and medical coverage. Benefits reductions
adopted for discriminatory reasons are in violation of this part.
See Alexander v. Choate, 469 U.S. 287 (1985). See
Senate Report at 85; House Labor Report at 137. (See also, the
discussion at § 1630.16(f) Health Insurance, Life Insurance, and
Other Benefit Plans).
Section 1630.6 Contractual or Other Arrangements
An employer or other covered entity may not do through a
contractual or other relationship what it is prohibited from doing
directly. This provision does not affect the determination of
whether or not one is a “covered entity” or “employer” as defined
in § 1630.2.
This provision only applies to situations where an employer or
other covered entity has entered into a contractual relationship
that has the effect of discriminating against its own employees or
applicants with disabilities. Accordingly, it would be a violation
for an employer to participate in a contractual relationship that
results in discrimination against the employer's employees with
disabilities in hiring, training, promotion, or in any other aspect
of the employment relationship. This provision applies whether or
not the employer or other covered entity intended for the
contractual relationship to have the discriminatory effect.
Part 1630 notes that this provision applies to parties on either
side of the contractual or other relationship. This is intended to
highlight that an employer whose employees provide services to
others, like an employer whose employees receive services, must
ensure that those employees are not discriminated against on the
basis of disability. For example, a copier company whose service
representative is a dwarf could be required to provide a stepstool,
as a reasonable accommodation, to enable him to perform the
necessary repairs. However, the employer would not be required, as
a reasonable accommodation, to make structural changes to its
customer's inaccessible premises.
The existence of the contractual relationship adds no new
obligations under part 1630. The employer, therefore, is not liable
through the contractual arrangement for any discrimination by the
contractor against the contractors own employees or applicants,
although the contractor, as an employer, may be liable for such
discrimination.
An employer or other covered entity, on the other hand, cannot
evade the obligations imposed by this part by engaging in a
contractual or other relationship. For example, an employer cannot
avoid its responsibility to make reasonable accommodation subject
to the undue hardship limitation through a contractual arrangement.
See Conference Report at 59; House Labor Report at 59-61; House
Judiciary Report at 36-37.
To illustrate, assume that an employer is seeking to contract
with a company to provide training for its employees. Any
responsibilities of reasonable accommodation applicable to the
employer in providing the training remain with that employer even
if it contracts with another company for this service. Thus, if the
training company were planning to conduct the training at an
inaccessible location, thereby making it impossible for an employee
who uses a wheelchair to attend, the employer would have a duty to
make reasonable accommodation unless to do so would impose an undue
hardship. Under these circumstances, appropriate accommodations
might include (1) having the training company identify accessible
training sites and relocate the training program; (2) having the
training company make the training site accessible; (3) directly
making the training site accessible or providing the training
company with the means by which to make the site accessible; (4)
identifying and contracting with another training company that uses
accessible sites; or (5) any other accommodation that would result
in making the training available to the employee.
As another illustration, assume that instead of contracting with
a training company, the employer contracts with a hotel to host a
conference for its employees. The employer will have a duty to
ascertain and ensure the accessibility of the hotel and its
conference facilities. To fulfill this obligation the employer
could, for example, inspect the hotel first-hand or ask a local
disability group to inspect the hotel. Alternatively, the employer
could ensure that the contract with the hotel specifies it will
provide accessible guest rooms for those who need them and that all
rooms to be used for the conference, including exhibit and meeting
rooms, are accessible. If the hotel breaches this accessibility
provision, the hotel may be liable to the employer, under a non-ADA
breach of contract theory, for the cost of any accommodation needed
to provide access to the hotel and conference, and for any other
costs accrued by the employer. (In addition, the hotel may also be
independently liable under title III of the ADA). However, this
would not relieve the employer of its responsibility under this
part nor shield it from charges of discrimination by its own
employees. See House Labor Report at 40; House Judiciary Report at
37.
Section 1630.8 Relationship or Association With an Individual With
a Disability
This provision is intended to protect any qualified individual,
whether or not that individual has a disability, from
discrimination because that person is known to have an association
or relationship with an individual who has a known disability. This
protection is not limited to those who have a familial relationship
with an individual with a disability.
To illustrate the scope of this provision, assume that a
qualified applicant without a disability applies for a job and
discloses to the employer that his or her spouse has a disability.
The employer thereupon declines to hire the applicant because the
employer believes that the applicant would have to miss work or
frequently leave work early in order to care for the spouse. Such a
refusal to hire would be prohibited by this provision. Similarly,
this provision would prohibit an employer from discharging an
employee because the employee does volunteer work with people who
have AIDS, and the employer fears that the employee may contract
the disease.
This provision also applies to other benefits and privileges of
employment. For example, an employer that provides health insurance
benefits to its employees for their dependents may not reduce the
level of those benefits to an employee simply because that employee
has a dependent with a disability. This is true even if the
provision of such benefits would result in increased health
insurance costs for the employer.
It should be noted, however, that an employer need not provide
the applicant or employee without a disability with a reasonable
accommodation because that duty only applies to qualified
applicants or employees with disabilities. Thus, for example, an
employee would not be entitled to a modified work schedule as an
accommodation to enable the employee to care for a spouse with a
disability. See Senate Report at 30; House Labor Report at 61-62;
House Judiciary Report at 38-39.
Section 1630.9 Not Making Reasonable Accommodation
The obligation to make reasonable accommodation is a form of
non-discrimination. It applies to all employment decisions and to
the job application process. This obligation does not extend to the
provision of adjustments or modifications that are primarily for
the personal benefit of the individual with a disability. Thus, if
an adjustment or modification is job-related, e.g.,
specifically assists the individual in performing the duties of a
particular job, it will be considered a type of reasonable
accommodation. On the other hand, if an adjustment or modification
assists the individual throughout his or her daily activities, on
and off the job, it will be considered a personal item that the
employer is not required to provide. Accordingly, an employer would
generally not be required to provide an employee with a disability
with a prosthetic limb, wheelchair, or eyeglasses. Nor would an
employer have to provide as an accommodation any amenity or
convenience that is not job-related, such as a private hot plate,
hot pot or refrigerator that is not provided to employees without
disabilities. See Senate Report at 31; House Labor Report at
62.
It should be noted, however, that the provision of such items
may be required as a reasonable accommodation where such items are
specifically designed or required to meet job-related rather than
personal needs. An employer, for example, may have to provide an
individual with a disabling visual impairment with eyeglasses
specifically designed to enable the individual to use the office
computer monitors, but that are not otherwise needed by the
individual outside of the office.
The term “supported employment,” which has been applied to a
wide variety of programs to assist individuals with severe
disabilities in both competitive and non-competitive employment, is
not synonymous with reasonable accommodation. Examples of supported
employment include modified training materials, restructuring
essential functions to enable an individual to perform a job, or
hiring an outside professional (“job coach”) to assist in job
training. Whether a particular form of assistance would be required
as a reasonable accommodation must be determined on an
individualized, case by case basis without regard to whether that
assistance is referred to as “supported employment.” For example,
an employer, under certain circumstances, may be required to
provide modified training materials or a temporary “job coach” to
assist in the training of an individual with a disability as a
reasonable accommodation. However, an employer would not be
required to restructure the essential functions of a position to
fit the skills of an individual with a disability who is not
otherwise qualified to perform the position, as is done in certain
supported employment programs. See 34 CFR part 363. It should be
noted that it would not be a violation of this part for an employer
to provide any of these personal modifications or adjustments, or
to engage in supported employment or similar rehabilitative
programs.
The obligation to make reasonable accommodation applies to all
services and programs provided in connection with employment, and
to all non-work facilities provided or maintained by an employer
for use by its employees. Accordingly, the obligation to
accommodate is applicable to employer sponsored placement or
counseling services, and to employer provided cafeterias, lounges,
gymnasiums, auditoriums, transportation and the like.
The reasonable accommodation requirement is best understood as a
means by which barriers to the equal employment opportunity of an
individual with a disability are removed or alleviated. These
barriers may, for example, be physical or structural obstacles that
inhibit or prevent the access of an individual with a disability to
job sites, facilities or equipment. Or they may be rigid work
schedules that permit no flexibility as to when work is performed
or when breaks may be taken, or inflexible job procedures that
unduly limit the modes of communication that are used on the job,
or the way in which particular tasks are accomplished.
The term “otherwise qualified” is intended to make clear that
the obligation to make reasonable accommodation is owed only to an
individual with a disability who is qualified within the meaning of
§ 1630.2(m) in that he or she satisfies all the skill, experience,
education and other job-related selection criteria. An individual
with a disability is “otherwise qualified,” in other words, if he
or she is qualified for a job, except that, because of the
disability, he or she needs a reasonable accommodation to be able
to perform the job's essential functions.
For example, if a law firm requires that all incoming lawyers
have graduated from an accredited law school and have passed the
bar examination, the law firm need not provide an accommodation to
an individual with a visual impairment who has not met these
selection criteria. That individual is not entitled to a reasonable
accommodation because the individual is not “otherwise qualified”
for the position.
On the other hand, if the individual has graduated from an
accredited law school and passed the bar examination, the
individual would be “otherwise qualified.” The law firm would thus
be required to provide a reasonable accommodation, such as a
machine that magnifies print, to enable the individual to perform
the essential functions of the attorney position, unless the
necessary accommodation would impose an undue hardship on the law
firm. See Senate Report at 33-34; House Labor Report at 64-65.
The reasonable accommodation that is required by this part
should provide the individual with a disability with an equal
employment opportunity. Equal employment opportunity means an
opportunity to attain the same level of performance, or to enjoy
the same level of benefits and privileges of employment as are
available to the average similarly situated employee without a
disability. Thus, for example, an accommodation made to assist an
employee with a disability in the performance of his or her job
must be adequate to enable the individual to perform the essential
functions of the relevant position. The accommodation, however,
does not have to be the “best” accommodation possible, so long as
it is sufficient to meet the job-related needs of the individual
being accommodated. Accordingly, an employer would not have to
provide an employee disabled by a back impairment with a
state-of-the art mechanical lifting device if it provided the
employee with a less expensive or more readily available device
that enabled the employee to perform the essential functions of the
job. See Senate Report at 35; House Labor Report at 66; see also
Carter v. Bennett, 840 F.2d 63 (DC Cir. 1988).
Employers are obligated to make reasonable accommodation only to
the physical or mental limitations resulting from the disability of
an individual with a disability that is known to the employer.
Thus, an employer would not be expected to accommodate disabilities
of which it is unaware. If an employee with a known disability is
having difficulty performing his or her job, an employer may
inquire whether the employee is in need of a reasonable
accommodation. In general, however, it is the responsibility of the
individual with a disability to inform the employer that an
accommodation is needed. When the need for an accommodation is not
obvious, an employer, before providing a reasonable accommodation,
may require that the individual with a disability provide
documentation of the need for accommodation.
See Senate Report at 34; House Labor Report at 65.
Process of Determining the Appropriate Reasonable Accommodation
Once an individual with a disability has requested provision of
a reasonable accommodation, the employer must make a reasonable
effort to determine the appropriate accommodation. The appropriate
reasonable accommodation is best determined through a flexible,
interactive process that involves both the employer and the
individual with a disability. Although this process is described
below in terms of accommodations that enable the individual with a
disability to perform the essential functions of the position held
or desired, it is equally applicable to accommodations involving
the job application process, and to accommodations that enable the
individual with a disability to enjoy equal benefits and privileges
of employment. See Senate Report at 34-35; House Labor Report at
65-67.
When an individual with a disability has requested a reasonable
accommodation to assist in the performance of a job, the employer,
using a problem solving approach, should:
(1) Analyze the particular job involved and determine its
purpose and essential functions;
(2) Consult with the individual with a disability to ascertain
the precise job-related limitations imposed by the individual's
disability and how those limitations could be overcome with a
reasonable accommodation;
(3) In consultation with the individual to be accommodated,
identify potential accommodations and assess the effectiveness each
would have in enabling the individual to perform the essential
functions of the position; and
(4) Consider the preference of the individual to be accommodated
and select and implement the accommodation that is most appropriate
for both the employee and the employer.
In many instances, the appropriate reasonable accommodation may
be so obvious to either or both the employer and the individual
with a disability that it may not be necessary to proceed in this
step-by-step fashion. For example, if an employee who uses a
wheelchair requests that his or her desk be placed on blocks to
elevate the desktop above the arms of the wheelchair and the
employer complies, an appropriate accommodation has been requested,
identified, and provided without either the employee or employer
being aware of having engaged in any sort of “reasonable
accommodation process.”
However, in some instances neither the individual requesting the
accommodation nor the employer can readily identify the appropriate
accommodation. For example, the individual needing the
accommodation may not know enough about the equipment used by the
employer or the exact nature of the work site to suggest an
appropriate accommodation. Likewise, the employer may not know
enough about the individual's disability or the limitations that
disability would impose on the performance of the job to suggest an
appropriate accommodation. Under such circumstances, it may be
necessary for the employer to initiate a more defined problem
solving process, such as the step-by-step process described above,
as part of its reasonable effort to identify the appropriate
reasonable accommodation.
This process requires the individual assessment of both the
particular job at issue, and the specific physical or mental
limitations of the particular individual in need of reasonable
accommodation. With regard to assessment of the job, “individual
assessment” means analyzing the actual job duties and determining
the true purpose or object of the job. Such an assessment is
necessary to ascertain which job functions are the essential
functions that an accommodation must enable an individual with a
disability to perform.
After assessing the relevant job, the employer, in consultation
with the individual requesting the accommodation, should make an
assessment of the specific limitations imposed by the disability on
the individual's performance of the job's essential functions. This
assessment will make it possible to ascertain the precise barrier
to the employment opportunity which, in turn, will make it possible
to determine the accommodation(s) that could alleviate or remove
that barrier.
If consultation with the individual in need of the accommodation
still does not reveal potential appropriate accommodations, then
the employer, as part of this process, may find that technical
assistance is helpful in determining how to accommodate the
particular individual in the specific situation. Such assistance
could be sought from the Commission, from State or local
rehabilitation agencies, or from disability constituent
organizations. It should be noted, however, that, as provided in §
1630.9(c) of this part, the failure to obtain or receive technical
assistance from the Federal agencies that administer the ADA will
not excuse the employer from its reasonable accommodation
obligation.
Once potential accommodations have been identified, the employer
should assess the effectiveness of each potential accommodation in
assisting the individual in need of the accommodation in the
performance of the essential functions of the position. If more
than one of these accommodations will enable the individual to
perform the essential functions or if the individual would prefer
to provide his or her own accommodation, the preference of the
individual with a disability should be given primary consideration.
However, the employer providing the accommodation has the ultimate
discretion to choose between effective accommodations, and may
choose the less expensive accommodation or the accommodation that
is easier for it to provide. It should also be noted that the
individual's willingness to provide his or her own accommodation
does not relieve the employer of the duty to provide the
accommodation should the individual for any reason be unable or
unwilling to continue to provide the accommodation.
Reasonable Accommodation Process Illustrated
The following example illustrates the informal reasonable
accommodation process. Suppose a Sack Handler position requires
that the employee pick up fifty pound sacks and carry them from the
company loading dock to the storage room, and that a sack handler
who is disabled by a back impairment requests a reasonable
accommodation. Upon receiving the request, the employer analyzes
the Sack Handler job and determines that the essential function and
purpose of the job is not the requirement that the job holder
physically lift and carry the sacks, but the requirement that the
job holder cause the sack to move from the loading dock to the
storage room.
The employer then meets with the sack handler to ascertain
precisely the barrier posed by the individual's specific disability
to the performance of the job's essential function of relocating
the sacks. At this meeting the employer learns that the individual
can, in fact, lift the sacks to waist level, but is prevented by
his or her disability from carrying the sacks from the loading dock
to the storage room. The employer and the individual agree that any
of a number of potential accommodations, such as the provision of a
dolly, hand truck, or cart, could enable the individual to
transport the sacks that he or she has lifted.
Upon further consideration, however, it is determined that the
provision of a cart is not a feasible effective option. No carts
are currently available at the company, and those that can be
purchased by the company are the wrong shape to hold many of the
bulky and irregularly shaped sacks that must be moved. Both the
dolly and the hand truck, on the other hand, appear to be effective
options. Both are readily available to the company, and either will
enable the individual to relocate the sacks that he or she has
lifted. The sack handler indicates his or her preference for the
dolly. In consideration of this expressed preference, and because
the employer feels that the dolly will allow the individual to move
more sacks at a time and so be more efficient than would a hand
truck, the employer ultimately provides the sack handler with a
dolly in fulfillment of the obligation to make reasonable
accommodation.
Section 1630.9(b)
This provision states that an employer or other covered entity
cannot prefer or select a qualified individual without a disability
over an equally qualified individual with a disability merely
because the individual with a disability will require a reasonable
accommodation. In other words, an individual's need for an
accommodation cannot enter into the employer's or other covered
entity's decision regarding hiring, discharge, promotion, or other
similar employment decisions, unless the accommodation would impose
an undue hardship on the employer. See House Labor Report at
70.
Section 1630.9(d)
The purpose of this provision is to clarify that an employer or
other covered entity may not compel an individual with a disability
to accept an accommodation, where that accommodation is neither
requested nor needed by the individual. However, if a necessary
reasonable accommodation is refused, the individual may not be
considered qualified. For example, an individual with a visual
impairment that restricts his or her field of vision but who is
able to read unaided would not be required to accept a reader as an
accommodation. However, if the individual were not able to read
unaided and reading was an essential function of the job, the
individual would not be qualified for the job if he or she refused
a reasonable accommodation that would enable him or her to read.
See Senate Report at 34; House Labor Report at 65; House Judiciary
Report at 71-72.
Section 1630.9(e)
The purpose of this provision is to incorporate the
clarification made in the ADA Amendments Act of 2008 that an
individual is not entitled to reasonable accommodation under the
ADA if the individual is only covered under the “regarded as” prong
of the definition of “individual with a disability.” However, if
the individual is covered under both the “regarded as” prong and
one or both of the other two prongs of the definition of
disability, the ordinary rules concerning the provision of
reasonable accommodation apply.
Section 1630.10 Qualification Standards, Tests, and Other Selection
Criteria Section 1630.10(a) - In General
The purpose of this provision is to ensure that individuals with
disabilities are not excluded from job opportunities unless they
are actually unable to do the job. It is to ensure that there is a
fit between job criteria and an applicant's (or employee's) actual
ability to do the job. Accordingly, job criteria that even
unintentionally screen out, or tend to screen out, an individual
with a disability or a class of individuals with disabilities
because of their disability may not be used unless the employer
demonstrates that those criteria, as used by the employer, are job
related for the position to which they are being applied and are
consistent with business necessity. The concept of “business
necessity” has the same meaning as the concept of “business
necessity” under section 504 of the Rehabilitation Act of 1973.
Selection criteria that exclude, or tend to exclude, an
individual with a disability or a class of individuals with
disabilities because of their disability but do not concern an
essential function of the job would not be consistent with business
necessity.
The use of selection criteria that are related to an essential
function of the job may be consistent with business necessity.
However, selection criteria that are related to an essential
function of the job may not be used to exclude an individual with a
disability if that individual could satisfy the criteria with the
provision of a reasonable accommodation. Experience under a similar
provision of the regulations implementing section 504 of the
Rehabilitation Act indicates that challenges to selection criteria
are, in fact, often resolved by reasonable accommodation.
This provision is applicable to all types of selection criteria,
including safety requirements, vision or hearing requirements,
walking requirements, lifting requirements, and employment tests.
See 1989 Senate Report at 37-39; House Labor Report at 70-72; House
Judiciary Report at 42. As previously noted, however, it is not the
intent of this part to second guess an employer's business judgment
with regard to production standards. See § 1630.2(n) (Essential
Functions). Consequently, production standards will generally not
be subject to a challenge under this provision.
The Uniform Guidelines on Employee Selection Procedures (UGESP)
29 CFR part 1607 do not apply to the Rehabilitation Act and are
similarly inapplicable to this part.
Section 1630.10(b) - Qualification Standards and Tests Related to
Uncorrected Vision
This provision allows challenges to qualification standards
based on uncorrected vision, even where the person excluded by a
standard has fully corrected vision with ordinary eyeglasses or
contact lenses. An individual challenging a covered entity's
application of a qualification standard, test, or other criterion
based on uncorrected vision need not be a person with a disability.
In order to have standing to challenge such a standard, test, or
criterion, however, a person must be adversely affected by such
standard, test or criterion. The Commission also believes that such
individuals will usually be covered under the “regarded as” prong
of the definition of disability. Someone who wears eyeglasses or
contact lenses to correct vision will still have an impairment, and
a qualification standard that screens the individual out because of
the impairment by requiring a certain level of uncorrected vision
to perform a job will amount to an action prohibited by the ADA
based on an impairment. (See § 1630.2(l); appendix to §
1630.2(l).)
In either case, a covered entity may still defend a
qualification standard requiring a certain level of uncorrected
vision by showing that it is job related and consistent with
business necessity. For example, an applicant or employee with
uncorrected vision of 20/100 who wears glasses that fully correct
his vision may challenge a police department's qualification
standard that requires all officers to have uncorrected vision of
no less than 20/40 in one eye and 20/100 in the other, and visual
acuity of 20/20 in both eyes with correction. The department would
then have to establish that the standard is job related and
consistent with business necessity.
Section 1630.11 Administration of Tests
The intent of this provision is to further emphasize that
individuals with disabilities are not to be excluded from jobs that
they can actually perform merely because a disability prevents them
from taking a test, or negatively influences the results of a test,
that is a prerequisite to the job. Read together with the
reasonable accommodation requirement of section 1630.9, this
provision requires that employment tests be administered to
eligible applicants or employees with disabilities that impair
sensory, manual, or speaking skills in formats that do not require
the use of the impaired skill.
The employer or other covered entity is, generally, only
required to provide such reasonable accommodation if it knows,
prior to the administration of the test, that the individual is
disabled and that the disability impairs sensory, manual or
speaking skills. Thus, for example, it would be unlawful to
administer a written employment test to an individual who has
informed the employer, prior to the administration of the test,
that he is disabled with dyslexia and unable to read. In such a
case, as a reasonable accommodation and in accordance with this
provision, an alternative oral test should be administered to that
individual. By the same token, a written test may need to be
substituted for an oral test if the applicant taking the test is an
individual with a disability that impairs speaking skills or
impairs the processing of auditory information.
Occasionally, an individual with a disability may not realize,
prior to the administration of a test, that he or she will need an
accommodation to take that particular test. In such a situation,
the individual with a disability, upon becoming aware of the need
for an accommodation, must so inform the employer or other covered
entity. For example, suppose an individual with a disabling visual
impairment does not request an accommodation for a written
examination because he or she is usually able to take written tests
with the aid of his or her own specially designed lens. When the
test is distributed, the individual with a disability discovers
that the lens is insufficient to distinguish the words of the test
because of the unusually low color contrast between the paper and
the ink, the individual would be entitled, at that point, to
request an accommodation. The employer or other covered entity
would, thereupon, have to provide a test with higher contrast,
schedule a retest, or provide any other effective accommodation
unless to do so would impose an undue hardship.
Other alternative or accessible test modes or formats include
the administration of tests in large print or braille, or via a
reader or sign interpreter. Where it is not possible to test in an
alternative format, the employer may be required, as a reasonable
accommodation, to evaluate the skill to be tested in another manner
(e.g., through an interview, or through education license,
or work experience requirements). An employer may also be required,
as a reasonable accommodation, to allow more time to complete the
test. In addition, the employer's obligation to make reasonable
accommodation extends to ensuring that the test site is accessible.
(See § 1630.9 Not Making Reasonable Accommodation) See Senate
Report at 37-38; House Labor Report at 70-72; House Judiciary
Report at 42; see also Stutts v. Freeman, 694 F.2d
666 (11th Cir. 1983); Crane v. Dole, 617 F. Supp. 156
(D.D.C. 1985).
This provision does not require that an employer offer every
applicant his or her choice of test format. Rather, this provision
only requires that an employer provide, upon advance request,
alternative, accessible tests to individuals with disabilities that
impair sensory, manual, or speaking skills needed to take the
test.
This provision does not apply to employment tests that require
the use of sensory, manual, or speaking skills where the tests are
intended to measure those skills. Thus, an employer could require
that an applicant with dyslexia take a written test for a
particular position if the ability to read is the skill the test is
designed to measure. Similarly, an employer could require that an
applicant complete a test within established time frames if speed
were one of the skills for which the applicant was being tested.
However, the results of such a test could not be used to exclude an
individual with a disability unless the skill was necessary to
perform an essential function of the position and no reasonable
accommodation was available to enable the individual to perform
that function, or the necessary accommodation would impose an undue
hardship.
Section 1630.13 Prohibited Medical Examinations and Inquiries
Section 1630.13(a) Pre-employment Examination or Inquiry
This provision makes clear that an employer cannot inquire as to
whether an individual has a disability at the pre-offer stage of
the selection process. Nor can an employer inquire at the pre-offer
stage about an applicant's workers' compensation history.
Employers may ask questions that relate to the applicant's
ability to perform job-related functions. However, these questions
should not be phrased in terms of disability. An employer, for
example, may ask whether the applicant has a driver's license, if
driving is a job function, but may not ask whether the applicant
has a visual disability. Employers may ask about an applicant's
ability to perform both essential and marginal job functions.
Employers, though, may not refuse to hire an applicant with a
disability because the applicant's disability prevents him or her
from performing marginal functions. See Senate Report at 39; House
Labor Report at 72-73; House Judiciary Report at 42-43.
Section 1630.13(b) Examination or Inquiry of Employees
The purpose of this provision is to prevent the administration
to employees of medical tests or inquiries that do not serve a
legitimate business purpose. For example, if an employee suddenly
starts to use increased amounts of sick leave or starts to appear
sickly, an employer could not require that employee to be tested
for AIDS, HIV infection, or cancer unless the employer can
demonstrate that such testing is job-related and consistent with
business necessity. See Senate Report at 39; House Labor Report at
75; House Judiciary Report at 44.
Section 1630.14 Medical Examinations and Inquiries Specifically
Permitted Section 1630.14(a) Pre-employment Inquiry
Employers are permitted to make pre-employment inquiries into
the ability of an applicant to perform job-related functions. This
inquiry must be narrowly tailored. The employer may describe or
demonstrate the job function and inquire whether or not the
applicant can perform that function with or without reasonable
accommodation. For example, an employer may explain that the job
requires assembling small parts and ask if the individual will be
able to perform that function, with or without reasonable
accommodation. See Senate Report at 39; House Labor Report at 73;
House Judiciary Report at 43.
An employer may also ask an applicant to describe or to
demonstrate how, with or without reasonable accommodation, the
applicant will be able to perform job-related functions. Such a
request may be made of all applicants in the same job category
regardless of disability. Such a request may also be made of an
applicant whose known disability may interfere with or prevent the
performance of a job-related function, whether or not the employer
routinely makes such a request of all applicants in the job
category. For example, an employer may ask an individual with one
leg who applies for a position as a home washing machine repairman
to demonstrate or to explain how, with or without reasonable
accommodation, he would be able to transport himself and his tools
down basement stairs. However, the employer may not inquire as to
the nature or severity of the disability. Therefore, for example,
the employer cannot ask how the individual lost the leg or whether
the loss of the leg is indicative of an underlying impairment.
On the other hand, if the known disability of an applicant will
not interfere with or prevent the performance of a job-related
function, the employer may only request a description or
demonstration by the applicant if it routinely makes such a request
of all applicants in the same job category. So, for example, it
would not be permitted for an employer to request that an applicant
with one leg demonstrate his ability to assemble small parts while
seated at a table, if the employer does not routinely request that
all applicants provide such a demonstration.
An employer that requires an applicant with a disability to
demonstrate how he or she will perform a job-related function must
either provide the reasonable accommodation the applicant needs to
perform the function or permit the applicant to explain how, with
the accommodation, he or she will perform the function. If the
job-related function is not an essential function, the employer may
not exclude the applicant with a disability because of the
applicant's inability to perform that function. Rather, the
employer must, as a reasonable accommodation, either provide an
accommodation that will enable the individual to perform the
function, transfer the function to another position, or exchange
the function for one the applicant is able to perform.
An employer may not use an application form that lists a number
of potentially disabling impairments and ask the applicant to check
any of the impairments he or she may have. In addition, as noted
above, an employer may not ask how a particular individual became
disabled or the prognosis of the individual's disability. The
employer is also prohibited from asking how often the individual
will require leave for treatment or use leave as a result of
incapacitation because of the disability. However, the employer may
state the attendance requirements of the job and inquire whether
the applicant can meet them.
An employer is permitted to ask, on a test announcement or
application form, that individuals with disabilities who will
require a reasonable accommodation in order to take the test so
inform the employer within a reasonable established time period
prior to the administration of the test. The employer may also
request that documentation of the need for the accommodation
accompany the request. Requested accommodations may include
accessible testing sites, modified testing conditions and
accessible test formats. (See § 1630.11 Administration of
Tests).
Physical agility tests are not medical examinations and so may
be given at any point in the application or employment process.
Such tests must be given to all similarly situated applicants or
employees regardless of disability. If such tests screen out or
tend to screen out an individual with a disability or a class of
individuals with disabilities, the employer would have to
demonstrate that the test is job-related and consistent with
business necessity and that performance cannot be achieved with
reasonable accommodation. (See § 1630.9 Not Making Reasonable
Accommodation: Process of Determining the Appropriate Reasonable
Accommodation).
As previously noted, collecting information and inviting
individuals to identify themselves as individuals with disabilities
as required to satisfy the affirmative action requirements of
section 503 of the Rehabilitation Act is not restricted by this
part. (See § 1630.1 (b) and (c) Applicability and
Construction).
Section 1630.14(b) Employment Entrance Examination
An employer is permitted to require post-offer medical
examinations before the employee actually starts working. The
employer may condition the offer of employment on the results of
the examination, provided that all entering employees in the same
job category are subjected to such an examination, regardless of
disability, and that the confidentiality requirements specified in
this part are met.
This provision recognizes that in many industries, such as air
transportation or construction, applicants for certain positions
are chosen on the basis of many factors including physical and
psychological criteria, some of which may be identified as a result
of post-offer medical examinations given prior to entry on duty.
Only those employees who meet the employer's physical and
psychological criteria for the job, with or without reasonable
accommodation, will be qualified to receive confirmed offers of
employment and begin working.
Medical examinations permitted by this section are not required
to be job-related and consistent with business necessity. However,
if an employer withdraws an offer of employment because the medical
examination reveals that the employee does not satisfy certain
employment criteria, either the exclusionary criteria must not
screen out or tend to screen out an individual with a disability or
a class of individuals with disabilities, or they must be
job-related and consistent with business necessity. As part of the
showing that an exclusionary criteria is job-related and consistent
with business necessity, the employer must also demonstrate that
there is no reasonable accommodation that will enable the
individual with a disability to perform the essential functions of
the job. See Conference Report at 59-60; Senate Report at 39; House
Labor Report at 73-74; House Judiciary Report at 43.
As an example, suppose an employer makes a conditional offer of
employment to an applicant, and it is an essential function of the
job that the incumbent be available to work every day for the next
three months. An employment entrance examination then reveals that
the applicant has a disabling impairment that, according to
reasonable medical judgment that relies on the most current medical
knowledge, will require treatment that will render the applicant
unable to work for a portion of the three month period. Under these
circumstances, the employer would be able to withdraw the
employment offer without violating this part.
The information obtained in the course of a permitted entrance
examination or inquiry is to be treated as a confidential medical
record and may only be used in a manner not inconsistent with this
part. State workers' compensation laws are not preempted by the ADA
or this part. These laws require the collection of information from
individuals for State administrative purposes that do not conflict
with the ADA or this part. Consequently, employers or other covered
entities may submit information to State workers' compensation
offices or second injury funds in accordance with State workers'
compensation laws without violating this part.
Consistent with this section and with § 1630.16(f) of this part,
information obtained in the course of a permitted entrance
examination or inquiry may be used for insurance purposes described
in § 1630.16(f).
Section 1630.14(c) Examination of Employees
This provision permits employers to make inquiries or require
medical examinations (fitness for duty exams) when there is a need
to determine whether an employee is still able to perform the
essential functions of his or her job. The provision permits
employers or other covered entities to make inquiries or require
medical examinations necessary to the reasonable accommodation
process described in this part. This provision also permits
periodic physicals to determine fitness for duty or other medical
monitoring if such physicals or monitoring are required by medical
standards or requirements established by Federal, State, or local
law that are consistent with the ADA and this part (or in the case
of a Federal standard, with section 504 of the Rehabilitation Act)
in that they are job-related and consistent with business
necessity.
Such standards may include Federal safety regulations that
regulate bus and truck driver qualifications, as well as laws
establishing medical requirements for pilots or other air
transportation personnel. These standards also include health
standards promulgated pursuant to the Occupational Safety and
Health Act of 1970, the Federal Coal Mine Health and Safety Act of
1969, or other similar statutes that require that employees exposed
to certain toxic and hazardous substances be medically monitored at
specific intervals. See House Labor Report at 74-75.
The information obtained in the course of such examination or
inquiries is to be treated as a confidential medical record and may
only be used in a manner not inconsistent with this part.
Section 1630.14(d)(1): Health Program
Part 1630 permits voluntary medical examinations and inquiries,
including voluntary medical histories, as part of employee health
programs. These health programs include many wellness programs,
which often incorporate, for example: A health risk assessment
(HRA) consisting of a medical questionnaire, with or without
medical examinations, to determine risk factors; medical screening
for high blood pressure, cholesterol, or glucose; classes to help
employees stop smoking or lose weight; physical activities in which
employees can engage (such as walking or exercising daily);
coaching to help employees meet health goals; and/or the
administration of flu shots. Many employers offer wellness programs
as part of a group health plan as a means of improving overall
employee health with the goal of realizing lower health care costs.
Other employers offer wellness programs that are available to all
employees, regardless of whether they are in enrolled in a group
health plan, while some employers offer wellness programs but do
not sponsor a group health plan or group health insurance.
It is not sufficient for a covered entity merely to claim that
its collection of medical information is part of a wellness
program; the program, including any disability-related inquiries
and medical examinations that are part of such program, must be
reasonably designed to promote health or prevent disease. In order
to meet this standard, the program must have a reasonable chance of
improving the health of, or preventing disease in, participating
employees, and must not be overly burdensome, a subterfuge for
violating the ADA or other laws prohibiting employment
discrimination, or highly suspect in the method chosen to promote
health or prevent disease. Asking employees to complete a HRA
and/or undergo a biometric screening for the purpose of alerting
them to health risks of which they may have been unaware would meet
this standard, as would the use of aggregate information from HRAs
by an employer to design and offer health programs aimed at
specific conditions identified by the information collected. An
employer might conclude from aggregate information, for example,
that a significant number of its employees have diabetes or high
blood pressure and might design specific programs that would enable
employees to treat or manage these conditions. On the other hand,
collecting medical information on a health questionnaire without
providing employees meaningful follow-up information or advice,
such as providing feedback about specific risk factors or using
aggregate information to design programs or treat any specific
conditions, would not be reasonably designed to promote health or
prevent disease. Additionally, a program is not reasonably designed
to promote health or prevent disease if it imposes, as a condition
to obtaining a reward, an overly burdensome amount of time for
participation, requires unreasonably intrusive procedures, or
places significant costs related to medical examinations on
employees. A program also is not reasonably designed if it exists
mainly to shift costs from the covered entity to targeted employees
based on their health or simply to give an employer information to
estimate future health care costs.
Section 1630.14(d)(2): Definition of “Voluntary”
Section 1630.14(d)(2)(i) through (iii) of this part says that
participation in employee health programs that include
disability-related inquiries or medical examinations (such as
disability-related inquiries or medical examinations that are part
of a HRA) must be voluntary in order to comply with the ADA. This
means that covered entities may not require employees to
participate in such programs, may not deny employees access to
health coverage under any of their group health plans or particular
benefits packages within a group health plan for non-participation,
may not limit coverage under their health plans for such employees,
except to the extent the limitation (e.g., having to pay a
higher deductible) may be the result of forgoing a financial
incentive permissible under § 1630.14(d)(3), and may not take any
other adverse action against employees who choose not to answer
disability-related inquiries or undergo medical examinations.
Additionally, covered entities may not retaliate against, interfere
with, coerce, intimidate, or threaten employees within the meaning
of Section 503 of the ADA, codified at 42 U.S.C. 12203. For
example, an employer may not retaliate against an employee who
declines to participate in a health program or files a charge with
the EEOC concerning the program, may not coerce an employee into
participating in a health program or into giving the employer
access to medical information collected as part of the program, and
may not threaten an employee with discipline if the employee does
not participate in a health program. See 42 U.S.C.
12203(a),(b); 29 CFR 1630.12.
Section 1630.14(d)(2)(iv) of this part also states that for a
wellness program that includes disability-related inquiries or
medical examinations to be voluntary, an employer must provide
employees with a notice clearly explaining what medical information
will be obtained, how the medical information will be used, who
will receive the medical information, the restrictions on its
disclosure, and the methods the covered entity uses to prevent
improper disclosure of medical information.
Section 1630.14(d)(3): Limitations on Incentives
The ADA, interpreted in light of the Health Insurance
Portability and Accountability Act (HIPAA), as amended by the
Affordable Care Act, does not prohibit the use of incentives to
encourage participation in employee health programs, but it does
place limits on them. In general, the use of limited incentives
(which include both financial and in-kind incentives, such as
time-off awards, prizes, or other items of value) in a wellness
program will not render a wellness program involuntary. However,
the maximum allowable incentive for a participatory program that
involves asking disability-related questions or conducting medical
examinations (such as having employees complete a HRA) or for a
health-contingent program that requires participants to satisfy a
standard related to a health factor may not exceed: (i) 30 Percent
of the total cost of self-only coverage (including both the
employee's and employer's contribution) where participation in a
wellness program depends on enrollment in a particular health plan;
(ii) 30 percent of the total cost of self-only coverage when the
covered entity offers only one group health plan and participation
in a wellness program is offered to all employees regardless of
whether they are enrolled in the plan; (iii) 30 percent of the
total cost of the lowest cost self-only coverage under a major
medical group health plan where the covered entity offers more than
one group health plan but participation in the wellness program is
offered to employees whether or not they are enrolled in a
particular plan; or (iv) 30 percent of the cost to a 40-year-old
non-smoker of the second lowest cost Silver Plan (available under
the Affordable Care Act) in the location that the employer
identifies as its principal place of business, where the covered
entity does not offer a group health plan or group health insurance
coverage. The following examples illustrate how to calculate the
permissible incentive limits in each of these situations.
Where an employee participates in a wellness program that is
only offered to employees enrolled in a group health plan and the
total cost of self-only coverage under that plan is $6,000
annually, the maximum allowable incentive is $1,800 (30 percent of
$6,000). The same incentive would be available if this employer
offers only one group health plan and allowed employees to
participate in the wellness program regardless of whether they are
enrolled in the health plan. Suppose, however, an employer offers
three different group health plans with the total cost of self-only
coverage under its major medical group health plans ranging in cost
from $5,000 to $8,000 annually and wants to offer employees
incentives for participating in a wellness program that includes a
HRA and medical examination regardless of whether they are enrolled
in a particular health plan. In that case, the maximum allowable
incentive is $1,500 (30 percent of the total cost of the lowest
cost self-only coverage under a major medical group health plan).
Finally, if the employer does not offer health insurance but wants
to offer an incentive for employees to participate in a wellness
program that includes disability-related inquiries or medical
examinations, the maximum allowable incentive is 30 percent of what
it would cost a 40-year-old non-smoker to purchase the second
lowest cost Silver Plan on the federal or state health care
Exchange in the location that the employer identifies as its
principal place of business. Thus, if such a plan would cost
$4,000, the maximum allowable incentive would be $1,200.
Not all wellness programs require disability-related inquiries
or medical examinations in order to earn an incentive. Examples may
include attending nutrition, weight loss, or smoking cessation
classes. These types of programs are not subject to the ADA
incentive rules discussed here, although programs that qualify as
health-contingent programs (such as an activity-based program that
requires employees to exercise or walk) and that are part of a
group health plan are subject to HIPAA incentive limits.
Under the ADA, regardless of whether a wellness program includes
disability-related inquiries or medical examinations, reasonable
accommodations must be provided, absent undue hardship, to enable
employees with disabilities to earn whatever financial incentive an
employer or other covered entity offers. Providing a reasonable
alternative standard and notice to the employee of the availability
of a reasonable alternative under HIPAA and the Affordable Care Act
as part of a health-contingent program would generally fulfill a
covered entity's obligation to provide a reasonable accommodation
under the ADA. However, under the ADA, a covered entity would have
to provide a reasonable accommodation for a participatory program
even though HIPAA and the Affordable Care Act do not require such
programs to offer a reasonable alternative standard, and reasonable
alternative standards are not required at all if the program is not
part of a group health plan.
For example, an employer that offers employees a financial
incentive to attend a nutrition class, regardless of whether they
reach a healthy weight as a result, would have to provide a sign
language interpreter so that an employee who is deaf and who needs
an interpreter to understand the information communicated in the
class could earn the incentive, as long as providing the
interpreter would not result in undue hardship to the employer.
Similarly, an employer would, absent undue hardship, have to
provide written materials that are part of a wellness program in an
alternate format, such as in large print or on computer disk, for
someone with a vision impairment. An individual with a disability
also may need a reasonable accommodation to participate in a
wellness program that includes disability-related inquiries or
medical examinations, including a waiver of a generally applicable
requirement. For example, an employer that offers a reward for
completing a biometric screening that includes a blood draw would
have to provide an alternative test (or certification requirement)
so that an employee with a disability that makes drawing blood
dangerous can participate and earn the incentive.
Application of Section 1630.14(d)(3) to Smoking Cessation Programs
Regulations implementing the wellness provisions in HIPAA, as
amended by the Affordable Care Act, permit covered entities to
offer incentives as high as 50 percent of the total cost of
self-only coverage for tobacco-related wellness programs, such as
smoking cessation programs. As noted above, the incentive rules in
paragraph 1630.14(d)(3) apply only to employee health programs that
include disability-related inquiries or medical examinations. A
smoking cessation program that merely asks employees whether or not
they use tobacco (or whether or not they ceased using tobacco upon
completion of the program) is not an employee health program that
includes disability-related inquiries or medical examinations. The
incentive rules in § 1630.14(d)(3) would not apply to incentives a
covered entity could offer in connection with such a program.
Therefore, a covered entity would be permitted to offer incentives
as high as 50 percent of the cost of self-only coverage for that
smoking cessation program, pursuant to the regulations implementing
HIPAA, as amended by the Affordable Care Act, without implicating
the disability-related inquiries or medical examinations provision
of the ADA. The ADA nondiscrimination requirements, such as the
need to provide reasonable accommodations that provide employees
with disabilities equal access to benefits, would still apply.
By contrast, a biometric screening or other medical examination
that tests for the presence of nicotine or tobacco is a medical
examination. The ADA financial incentive rules discussed
supra would therefore apply to a wellness program that
included such a screening.
Section 1630.14(d)(4)(i) Through (v): Confidentiality
Paragraphs (d)(4)(i) and (ii) say that medical records developed
in the course of providing voluntary health services to employees,
including wellness programs, must be maintained in a confidential
manner and must not be used for any purpose in violation of this
part, such as limiting insurance eligibility. See House
Labor Report at 75; House Judiciary Report at 43-44. Further,
although an exception to confidentiality that tracks the language
of the ADA itself states that information gathered in the course of
providing employees with voluntary health services may be disclosed
to managers and supervisors in connection with necessary work
restrictions or accommodations, such an exception would rarely, if
ever, apply to medical information collected as part of a wellness
program, and sharing such information could be inconsistent with
the definition of an employee health program. In addition, as
described more fully below, certain disclosures that are permitted
for employee health programs generally may not be permissible under
the HIPAA Privacy Rule for wellness programs that are part of a
group health plan without the written authorization of the
individual.
Section 1630.14(d)(4)(iii) says that a covered entity only may
receive information collected as part of an employee health program
in aggregate form that does not disclose, and is not reasonably
likely to disclose, the identity of specific individuals except as
is necessary to administer the plan or as permitted by §
1630.14(d)(4)(i). Notably, both employers that sponsor employee
health programs and the employee health programs themselves (if
they are administered by the employer or qualify as the employer's
agent) are responsible for ensuring compliance with this
provision.
Where a wellness program is part of a group health plan, the
individually identifiable health information collected from or
created about participants as part of the wellness program is
protected health information (PHI) under the HIPAA Privacy,
Security, and Breach Notification Rules. (45 CFR parts 160 and
164.) The HIPAA Privacy, Security, and Breach Notification Rules
apply to HIPAA covered entities, which include group health plans,
and generally protect identifiable health information maintained by
or on behalf of such entities, by among other provisions, setting
limits and conditions on the uses and disclosures that may be made
of such information.
PHI is information, including demographic data that identifies
the individual or for which there is a reasonable basis to believe
it can be used to identify the individual (including, for example,
address, birth date, or social security number), and that relates
to: An individual's past, present, or future physical or mental
health or condition; the provision of health care to the
individual; or the past, present, or future payment for the
provision of health care to the individual. HIPAA covered entities
may not disclose PHI to an individual's employer except in limited
circumstances. For example, as discussed more fully below, an
employer that sponsors a group health plan may receive PHI to
administer the plan (without authorization of the individual), but
only if the employer certifies to the plan that it will safeguard
the information and not improperly use or share the information.
See Standards for Privacy of Individually Identifiable Health
Information (“Privacy Rule”), Public Law 104-191; 45 CFR part
160 and Part 164, Subparts A and E. However, there are no
restrictions on the use or disclosure of health information that
has been de-identified in accordance with the HIPAA Privacy Rule.
Individuals may file a complaint with HHS if they believe a health
plan fails to comply with privacy requirements and HHS may require
corrective action or impose civil money penalties for
noncompliance.
A wellness program that is part of a HIPAA covered entity likely
will be able to comply with its obligation under §
1630.14(d)(4)(iii) by complying with the HIPAA Privacy Rule. An
employer that is a health plan sponsor and receives individually
identifiable health information from or on behalf of the group
health plan, as permitted by HIPAA when the plan sponsor is
administering aspects of the plan, may generally satisfy its
requirement to comply with § 1630.14(d)(4)(iii) by certifying to
the group health plan, as provided by 45 CFR 164.504(f)(2)(ii),
that it will not use or disclose the information for purposes not
permitted by its plan documents and the Privacy Rule, such as for
employment purposes, and abiding by that certification. Further, if
an employer is not performing plan administration functions on
behalf of the group health plan, it may receive aggregate
information from the wellness program under § 1630.14(d)(4)(iii)
only so long as the information is de-identified in accordance with
the HIPAA Privacy Rule. In addition, disclosures of protected
health information from the wellness program may only be made in
accordance with the Privacy Rule. Thus, certain disclosures that
are otherwise permitted under § 1630.14(d)(4)(i) and (ii) for
employee health programs generally may not be permissible under the
Privacy Rule for wellness programs that are part of a group health
plan without the written authorization of the individual. For
example, the ADA allows disclosures of medical information when an
employee needs a reasonable accommodation or requires emergency
treatment at work.
Section 1630.14(d)(4)(iv) says that a covered entity may not
require an employee to agree to the sale, exchange, sharing,
transfer, or other disclosure of medical information (except to the
extent permitted by this part to carry out specific activities
related to the wellness program), or waive confidentiality
protections available under the ADA as a condition for
participating in a wellness program or receiving a wellness program
incentive.
Employers and wellness program providers must take steps to
protect the confidentiality of employee medical information
provided as part of an employee health program. Some of the
following steps may be required by law; others may be best
practices. It is critical to properly train all individuals who
handle medical information about the requirements of the ADA and,
as applicable, HIPAA's privacy, security, and breach requirements
and any other privacy laws. Employers and program providers should
have clear privacy policies and procedures related to the
collection, storage, and disclosure of medical information. On-line
systems and other technology should guard against unauthorized
access, such as through use of encryption for medical information
stored electronically. Breaches of confidentiality should be
reported to affected employees immediately and should be thoroughly
investigated. Employers should make clear that individuals
responsible for disclosures of confidential medical information
will be disciplined and should consider discontinuing relationships
with vendors responsible for breaches of confidentiality.
Individuals who handle medical information that is part of an
employee health program should not be responsible for making
decisions related to employment, such as hiring, termination, or
discipline. Use of a third-party vendor that maintains strict
confidentiality and data security procedures may reduce the risk
that medical information will be disclosed to individuals who make
employment decisions, particularly for employers whose
organizational structure makes it difficult to provide adequate
safeguards. If an employer uses a third-party vendor, it should be
familiar with the vendor's privacy policies for ensuring the
confidentiality of medical information. Employers that administer
their own wellness programs need adequate firewalls in place to
prevent unintended disclosure. If individuals who handle medical
information obtained through a wellness program do act as
decision-makers (which may be the case for a small employer that
administers its own wellness program), they may not use the
information to discriminate on the basis of disability in violation
of the ADA.
Section 1630.14(d)(5): Compliance With Other Employment
Nondiscrimination Laws
Section 1630.14(d)(5) clarifies that compliance with the
requirements of paragraph (d) of this section, including the limits
on incentives applicable under the ADA, does not mean that a
covered entity complies with other federal employment
nondiscrimination laws, such as Title VII of the Civil Rights Act
of 1964, 42 U.S.C. 2000e et seq., the Equal Pay Act of 1963,
29 U.S.C. 206(d), the Age Discrimination in Employment Act of 1967,
29 U.S.C. 621 et seq., Title II of the Genetic Information
Nondiscrimination Act of 2008, 42 U.S.C. 2000ff et seq., and
other sections of Title I of the ADA. Thus, even though an
employer's wellness program might comply with the incentive limits
set out in paragraph (d)(3), the employer would violate federal
nondiscrimination statutes if that program discriminates on the
basis of race, sex (including pregnancy, gender identity,
transgender status, and sexual orientation), color, religion,
national origin, or age. Additionally, if a wellness program
requirement (such as a particular blood pressure or glucose level
or body mass index) disproportionately affects individuals on the
basis of some protected characteristic, an employer may be able to
avoid a disparate impact claim by offering and providing a
reasonable alternative standard.
Section 1630.14(d)(6): Inapplicability of the ADA's Safe Harbor
Provision
Finally, section 1630.14(d)(6) states that the “safe harbor”
provision, set forth in section 501(c) of the ADA, 42 U.S.C.
12201(c), that allows insurers and benefit plans to classify,
underwrite, and administer risks, does not apply to wellness
programs, even if such programs are part of a covered entity's
health plan. The safe harbor permits insurers and employers (as
sponsors of health or other insurance benefits) to treat
individuals differently based on disability, but only where
justified according to accepted principles of risk classification
(some of which became unlawful subsequent to passage of the ADA).
See Senate Report at 85-86; House Education and Labor Report
at 137-38. It does not apply simply because a covered entity
asserts that it used information collected as part of a wellness
program to estimate, or to try to reduce, its risks or health care
costs.
Section 1630.15 Defenses
The section on defenses in part 1630 is not intended to be
exhaustive. However, it is intended to inform employers of some of
the potential defenses available to a charge of discrimination
under the ADA and this part.
Section 1630.15(a) Disparate Treatment Defenses
The “traditional” defense to a charge of disparate treatment
under title VII, as expressed in McDonnell Douglas Corp. v.
Green, 411 U.S. 792 (1973), Texas Department of Community
Affairs v. Burdine, 450 U.S. 248 (1981), and their
progeny, may be applicable to charges of disparate treatment
brought under the ADA. See Prewitt v. U.S. Postal
Service, 662 F.2d 292 (5th Cir. 1981). Disparate treatment
means, with respect to title I of the ADA, that an individual was
treated differently on the basis of his or her disability. For
example, disparate treatment has occurred where an employer
excludes an employee with a severe facial disfigurement from staff
meetings because the employer does not like to look at the
employee. The individual is being treated differently because of
the employer's attitude towards his or her perceived disability.
Disparate treatment has also occurred where an employer has a
policy of not hiring individuals with AIDS regardless of the
individuals' qualifications.
The crux of the defense to this type of charge is that the
individual was treated differently not because of his or her
disability but for a legitimate nondiscriminatory reason such as
poor performance unrelated to the individual's disability. The fact
that the individual's disability is not covered by the employer's
current insurance plan or would cause the employer's insurance
premiums or workers' compensation costs to increase, would not be a
legitimate nondiscriminatory reason justifying disparate treatment
of an individual with a disability. Senate Report at 85; House
Labor Report at 136 and House Judiciary Report at 70. The defense
of a legitimate nondiscriminatory reason is rebutted if the alleged
nondiscriminatory reason is shown to be pretextual.
Section 1630.15 (b) and (c) Disparate Impact Defenses
Disparate impact means, with respect to title I of the ADA and
this part, that uniformly applied criteria have an adverse impact
on an individual with a disability or a disproportionately negative
impact on a class of individuals with disabilities. Section
1630.15(b) clarifies that an employer may use selection criteria
that have such a disparate impact, i.e., that screen out or
tend to screen out an individual with a disability or a class of
individuals with disabilities only when they are job-related and
consistent with business necessity.
For example, an employer interviews two candidates for a
position, one of whom is blind. Both are equally qualified. The
employer decides that while it is not essential to the job it would
be convenient to have an employee who has a driver's license and so
could occasionally be asked to run errands by car. The employer
hires the individual who is sighted because this individual has a
driver's license. This is an example of a uniformly applied
criterion, having a driver's permit, that screens out an individual
who has a disability that makes it impossible to obtain a driver's
permit. The employer would, thus, have to show that this criterion
is job-related and consistent with business necessity. See House
Labor Report at 55.
However, even if the criterion is job-related and consistent
with business necessity, an employer could not exclude an
individual with a disability if the criterion could be met or job
performance accomplished with a reasonable accommodation. For
example, suppose an employer requires, as part of its application
process, an interview that is job-related and consistent with
business necessity. The employer would not be able to refuse to
hire a hearing impaired applicant because he or she could not be
interviewed. This is so because an interpreter could be provided as
a reasonable accommodation that would allow the individual to be
interviewed, and thus satisfy the selection criterion.
With regard to safety requirements that screen out or tend to
screen out an individual with a disability or a class of
individuals with disabilities, an employer must demonstrate that
the requirement, as applied to the individual, satisfies the
“direct threat” standard in § 1630.2(r) in order to show that the
requirement is job-related and consistent with business
necessity.
Section 1630.15(c) clarifies that there may be uniformly applied
standards, criteria and policies not relating to selection that may
also screen out or tend to screen out an individual with a
disability or a class of individuals with disabilities. Like
selection criteria that have a disparate impact, non-selection
criteria having such an impact may also have to be job-related and
consistent with business necessity, subject to consideration of
reasonable accommodation.
It should be noted, however, that some uniformly applied
employment policies or practices, such as leave policies, are not
subject to challenge under the adverse impact theory. “No-leave”
policies (e.g., no leave during the first six months of
employment) are likewise not subject to challenge under the adverse
impact theory. However, an employer, in spite of its “no-leave”
policy, may, in appropriate circumstances, have to consider the
provision of leave to an employee with a disability as a reasonable
accommodation, unless the provision of leave would impose an undue
hardship. See discussion at § 1630.5 Limiting, Segregating and
Classifying, and § 1630.10 Qualification Standards, Tests, and
Other Selection Criteria.
Section 1630.15(d) Defense To Not Making Reasonable Accommodation
An employer or other covered entity alleged to have
discriminated because it did not make a reasonable accommodation,
as required by this part, may offer as a defense that it would have
been an undue hardship to make the accommodation.
It should be noted, however, that an employer cannot simply
assert that a needed accommodation will cause it undue hardship, as
defined in § 1630.2(p), and thereupon be relieved of the duty to
provide accommodation. Rather, an employer will have to present
evidence and demonstrate that the accommodation will, in fact,
cause it undue hardship. Whether a particular accommodation will
impose an undue hardship for a particular employer is determined on
a case by case basis. Consequently, an accommodation that poses an
undue hardship for one employer at a particular time may not pose
an undue hardship for another employer, or even for the same
employer at another time. Likewise, an accommodation that poses an
undue hardship for one employer in a particular job setting, such
as a temporary construction worksite, may not pose an undue
hardship for another employer, or even for the same employer at a
permanent worksite. See House Judiciary Report at 42.
The concept of undue hardship that has evolved under section 504
of the Rehabilitation Act and is embodied in this part is unlike
the “undue hardship” defense associated with the provision of
religious accommodation under title VII of the Civil Rights Act of
1964. To demonstrate undue hardship pursuant to the ADA and this
part, an employer must show substantially more difficulty or
expense than would be needed to satisfy the “de minimis” title VII
standard of undue hardship. For example, to demonstrate that the
cost of an accommodation poses an undue hardship, an employer would
have to show that the cost is undue as compared to the employer's
budget. Simply comparing the cost of the accommodation to the
salary of the individual with a disability in need of the
accommodation will not suffice. Moreover, even if it is determined
that the cost of an accommodation would unduly burden an employer,
the employer cannot avoid making the accommodation if the
individual with a disability can arrange to cover that portion of
the cost that rises to the undue hardship level, or can otherwise
arrange to provide the accommodation. Under such circumstances, the
necessary accommodation would no longer pose an undue hardship. See
Senate Report at 36; House Labor Report at 68-69; House Judiciary
Report at 40-41.
Excessive cost is only one of several possible bases upon which
an employer might be able to demonstrate undue hardship.
Alternatively, for example, an employer could demonstrate that the
provision of a particular accommodation would be unduly disruptive
to its other employees or to the functioning of its business. The
terms of a collective bargaining agreement may be relevant to this
determination. By way of illustration, an employer would likely be
able to show undue hardship if the employer could show that the
requested accommodation of the upward adjustment of the business'
thermostat would result in it becoming unduly hot for its other
employees, or for its patrons or customers. The employer would thus
not have to provide this accommodation. However, if there were an
alternate accommodation that would not result in undue hardship,
the employer would have to provide that accommodation.
It should be noted, moreover, that the employer would not be
able to show undue hardship if the disruption to its employees were
the result of those employees fears or prejudices toward the
individual's disability and not the result of the provision of the
accommodation. Nor would the employer be able to demonstrate undue
hardship by showing that the provision of the accommodation has a
negative impact on the morale of its other employees but not on the
ability of these employees to perform their jobs.
Section 1630.15(e) Defense - Conflicting Federal Laws and
Regulations
There are several Federal laws and regulations that address
medical standards and safety requirements. If the alleged
discriminatory action was taken in compliance with another Federal
law or regulation, the employer may offer its obligation to comply
with the conflicting standard as a defense. The employer's defense
of a conflicting Federal requirement or regulation may be rebutted
by a showing of pretext, or by showing that the Federal standard
did not require the discriminatory action, or that there was a
nonexclusionary means to comply with the standard that would not
conflict with this part. See House Labor Report at 74.
Section 1630.15(f) Claims Based on Transitory and Minor Impairments
Under the “Regarded As” Prong
It may be a defense to a charge of discrimination where coverage
would be shown solely under the “regarded as” prong of the
definition of disability that the impairment is (in the case of an
actual impairment) or would be (in the case of a perceived
impairment) both transitory and minor. Section 1630.15(f)(1)
explains that an individual cannot be “regarded as having such an
impairment” if the impairment is both transitory (defined by the
ADAAA as lasting or expected to last less than six months) and
minor. Section 1630.15(f)(2) explains that the determination of
“transitory and minor” is made objectively. For example, an
individual who is denied a promotion because he has a minor back
injury would be “regarded as” an individual with a disability if
the back impairment lasted or was expected to last more than six
months. Although minor, the impairment is not transitory.
Similarly, if an employer discriminates against an employee based
on the employee's bipolar disorder (an impairment that is not
transitory and minor), the employee is “regarded as” having a
disability even if the employer subjectively believes that the
employee's disorder is transitory and minor.
Section 1630.16 Specific Activities Permitted Section 1630.16(a)
Religious Entities
Religious organizations are not exempt from title I of the ADA
or this part. A religious corporation, association, educational
institution, or society may give a preference in employment to
individuals of the particular religion, and may require that
applicants and employees conform to the religious tenets of the
organization. However, a religious organization may not
discriminate against an individual who satisfies the permitted
religious criteria because that individual is disabled. The
religious entity, in other words, is required to consider
individuals with disabilities who are qualified and who satisfy the
permitted religious criteria on an equal basis with qualified
individuals without disabilities who similarly satisfy the
religious criteria. See Senate Report at 42; House Labor Report at
76-77; House Judiciary Report at 46.
Section 1630.16(b) Regulation of Alcohol and Drugs
This provision permits employers to establish or comply with
certain standards regulating the use of drugs and alcohol in the
workplace. It also allows employers to hold alcoholics and persons
who engage in the illegal use of drugs to the same performance and
conduct standards to which it holds all of its other employees.
Individuals disabled by alcoholism are entitled to the same
protections accorded other individuals with disabilities under this
part. As noted above, individuals currently engaging in the illegal
use of drugs are not individuals with disabilities for purposes of
part 1630 when the employer acts on the basis of such use.
Section 1630.16(c) Drug Testing
This provision reflects title I's neutrality toward testing for
the illegal use of drugs. Such drug tests are neither encouraged,
authorized nor prohibited. The results of such drug tests may be
used as a basis for disciplinary action. Tests for the illegal use
of drugs are not considered medical examinations for purposes of
this part. If the results reveal information about an individual's
medical condition beyond whether the individual is currently
engaging in the illegal use of drugs, this additional information
is to be treated as a confidential medical record. For example, if
a test for the illegal use of drugs reveals the presence of a
controlled substance that has been lawfully prescribed for a
particular medical condition, this information is to be treated as
a confidential medical record. See House Labor Report at 79; House
Judiciary Report at 47.
Section 1630.16(e) Infectious and Communicable Diseases; Food
Handling Jobs
This provision addressing food handling jobs applies the “direct
threat” analysis to the particular situation of accommodating
individuals with infectious or communicable diseases that are
transmitted through the handling of food. The Department of Health
and Human Services is to prepare a list of infectious and
communicable diseases that are transmitted through the handling of
food. If an individual with a disability has one of the listed
diseases and works in or applies for a position in food handling,
the employer must determine whether there is a reasonable
accommodation that will eliminate the risk of transmitting the
disease through the handling of food. If there is an accommodation
that will not pose an undue hardship, and that will prevent the
transmission of the disease through the handling of food, the
employer must provide the accommodation to the individual. The
employer, under these circumstances, would not be permitted to
discriminate against the individual because of the need to provide
the reasonable accommodation and would be required to maintain the
individual in the food handling job.
If no such reasonable accommodation is possible, the employer
may refuse to assign, or to continue to assign the individual to a
position involving food handling. This means that if such an
individual is an applicant for a food handling position the
employer is not required to hire the individual. However, if the
individual is a current employee, the employer would be required to
consider the accommodation of reassignment to a vacant position not
involving food handling for which the individual is qualified.
Conference Report at 61-63. (See § 1630.2(r) Direct Threat).
Section 1630.16(f) Health Insurance, Life Insurance, and Other
Benefit Plans
This provision is a limited exemption that is only applicable to
those who establish, sponsor, observe or administer benefit plans,
such as health and life insurance plans. It does not apply to those
who establish, sponsor, observe or administer plans not involving
benefits, such as liability insurance plans.
The purpose of this provision is to permit the development and
administration of benefit plans in accordance with accepted
principles of risk assessment. This provision is not intended to
disrupt the current regulatory structure for self-insured
employers. These employers may establish, sponsor, observe, or
administer the terms of a bona fide benefit plan not subject to
State laws that regulate insurance. This provision is also not
intended to disrupt the current nature of insurance underwriting,
or current insurance industry practices in sales, underwriting,
pricing, administrative and other services, claims and similar
insurance related activities based on classification of risks as
regulated by the States.
The activities permitted by this provision do not violate part
1630 even if they result in limitations on individuals with
disabilities, provided that these activities are not used as a
subterfuge to evade the purposes of this part. Whether or not these
activities are being used as a subterfuge is to be determined
without regard to the date the insurance plan or employee benefit
plan was adopted.
However, an employer or other covered entity cannot deny an
individual with a disability who is qualified equal access to
insurance or subject an individual with a disability who is
qualified to different terms or conditions of insurance based on
disability alone, if the disability does not pose increased risks.
Part 1630 requires that decisions not based on risk classification
be made in conformity with non-discrimination requirements. See
Senate Report at 84-86; House Labor Report at 136-138; House
Judiciary Report at 70-71. See the discussion of § 1630.5 Limiting,
Segregating and Classifying.
[56 FR 35734, July 26, 1991, as amended at 65 FR 36327, June 8,
2000; 76 FR 17003, Mar. 25, 2011; 81 FR 31140, May 17, 2016]