Hageman v. Colvin
Filing
19
MEMORANDUM AND ORDER...IT IS HEREBY ORDERED that the final decision of the Commissioner is affirmed, and plaintiff's Complaint is dismissed with prejudice. A separate Judgment in accordance with this Memorandum and Order is entered this same date. Signed by Magistrate Judge Noelle C. Collins on 9/30/2014. (NEB)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF MISSOURI
NORTHERN DIVISION
LINDA K. HAGEMAN,
Plaintiff,
v.
CAROLYN W. COLVIN, Acting
Commissioner of Social Security,
Defendant.
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No. 2:13CV79 NCC
MEMORANDUM AND ORDER
This is an action under 42 U.S.C. § 405(g) for judicial review of the
Commissioner’s final decision denying Linda K. Hageman’s application for
disability insurance benefits under Title II of the Social Security Act, 42 U.S.C. §§
401, et seq. All matters are pending before the undersigned United States
Magistrate Judge, with consent of the parties, pursuant to 28 U.S.C. § 636(c).
Because the Commissioner’s final decision is supported by substantial evidence on
the record as a whole, it is affirmed.
I. Procedural History
Plaintiff Linda K. Hageman applied for disability insurance benefits (DIB)
on November 18, 2008, claiming that she became disabled on August 6, 2008,
because of back pain, breathing problems, leg and ankle pain, depression, and
anxiety. (Tr. 293-99, 359.)1 On January 8, 2009, the Social Security
Administration (SSA) denied plaintiff’s claim for benefits. (Tr. 148, 169-73.)
Upon plaintiff’s request, a hearing was held before an administrative law judge
(ALJ) on September 23, 2009, at which plaintiff and a vocational expert testified.
(Tr. 91-119.) On September 24, 2009, the ALJ issued a decision denying
plaintiff’s claim for benefits, finding plaintiff able to perform her past relevant
work as a candle maker and machine operator. (Tr. 149-58.) On April 7, 2011, the
Appeals Council remanded the matter to an ALJ with instruction to evaluate the
treating source’s opinion in accordance with the Regulations; further consider and
explain plaintiff’s maximum residual functional capacity (RFC); further evaluate
plaintiff’s ability to perform her past relevant work; and obtain supplemental
evidence from a vocational expert if necessary. The ALJ was also instructed to
consider plaintiff’s claim for benefits in combination with a subsequent application
for benefits that had been filed by plaintiff in March 2010. (Tr. 162-64.)2
Upon remand, a hearing was held before an ALJ on October 18, 2011, at
which plaintiff and a vocational expert testified. (Tr. 47-90.) A supplemental
1
Plaintiff also filed an application for supplemental security income (SSI), but that application
was denied and not processed further because the agency determined that plaintiff’s
nonexcludable resources exceeded Title XVI’s limitations. (Tr. 300-02, 338.)
2
Plaintiff filed a subsequent application for SSI on March 15, 2010 (Tr. 321-28), and for DIB on
May 17, 2010 (Tr. 329-30). As with plaintiff’s first application for SSI, this subsequent
application was denied and not processed further because the agency determined that plaintiff’s
nonexcludable resources exceeded Title XVI’s limitations. (Tr. 337.)
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hearing was held on February 8, 2012, relating to plaintiff’s request to crossexamine a consulting physician. (Tr. 27-46.) On April 23, 2012, the ALJ issued a
decision denying plaintiff’s claim for benefits, finding plaintiff able to perform
other work as it exists in significant numbers in the national economy. (Tr. 11-20.)
On July 3, 2013, the Appeals Council denied plaintiff’s request for review of the
ALJ's decision. (Tr. 1-5.) The ALJ's determination of April 23, 2012, thus stands
as the final decision of the Commissioner. 42 U.S.C. § 405(g).
In the instant action for judicial review, plaintiff claims that the ALJ’s
decision is not supported by substantial evidence on the record as a whole, arguing
that the ALJ failed to develop the record by not permitting plaintiff to crossexamine the consulting physician in this case. Plaintiff also contends that the ALJ
failed to accord proper weight to the opinion of her treating physician, Dr. Beckert.
Plaintiff also claims that the RFC assessment failed to include limitations caused
by her severe impairment of somatic dysfunction. Finally, plaintiff claims that the
ALJ failed to accord proper weight to third-party statements regarding their
observations of plaintiff’s functioning. Plaintiff requests that the matter be
reversed and remanded to the Commissioner for an award of benefits or for further
proceedings.
Because the ALJ committed no legal error and substantial evidence on the
record as a whole supports his decision, the Commissioner’s final decision that
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plaintiff was not disabled is affirmed.
II. Relevant Testimonial Evidence Before the ALJ
A.
Hearing Held September 23, 2009
At the administrative hearing on September 23, 2009, plaintiff testified in
response to questions posed by the ALJ and counsel.
At the time of the hearing, plaintiff was thirty-four years of age. Plaintiff
completed high school. (Tr. 97.)
Plaintiff’s Work History Report shows her to have worked as a dietary aide
in a nursing home from January 2001 to February 2005. From October 2005 to
July 2006, plaintiff worked as a candle maker. From September 2006 to July 2008,
plaintiff worked as a cook at a restaurant. From October 2007 to August 2008,
plaintiff worked as a laborer at an auto parts manufacturer. (Tr. 367.)
Plaintiff testified that she has severe pain constantly between the shoulder
blades and in the lower back for which she takes Oxycodone two or three times a
day. Plaintiff testified that she also takes Flexeril. Plaintiff testified that she
experiences no side effects from her medications. Plaintiff testified that her
treating physician has advised that her pain is caused by being twisted or crooked.
(Tr. 101-03, 109, 115-16.)
Plaintiff testified that she experiences headaches and associated nausea three
or four times a week and that such headaches last three hours and sometimes days.
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Plaintiff testified that she also experiences light sensitivity with these headaches
and that she takes Oxycodone for them. (Tr. 108.)
Plaintiff testified that she has breathing problems as a residual effect of a
collapsed lung and broken ribs she sustained from an automobile accident. (Tr.
103.)
Plaintiff testified that she also has anger issues for which she takes Xanax.
Plaintiff testified that she sometimes does not want to be around people. Plaintiff
testified that she has had anger issues her entire life and needed medication to
“mellow [her] out.” Plaintiff testified that she has not sought or received any
psychiatric help. (Tr. 110-11.)
As to her exertional abilities, plaintiff testified that she can sit for thirty
minutes before needing to stand or lie down, and can stand for thirty minutes
before needing to sit or lie down. Plaintiff testified that she can walk about one
block before needing to sit or lie down. Plaintiff testified that she can lift about
five pounds. Plaintiff testified that she can bend and squat but cannot stoop. (Tr.
111-12.)
As to her daily activities, plaintiff testified that she tries to do as little as
possible because of her back pain. Plaintiff testified that doing dishes, laundry,
and other household chores “kills her back[.]” Plaintiff testified that she is able to
do the chores but experiences pain while doing so, especially with stooping,
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bending, and lifting. (Tr. 104.) Plaintiff testified that her husband helps with the
chores, grocery shopping, and caring for their animals. Plaintiff testified that she
works harder at home than she did as a candle maker. Plaintiff testified that she
could probably perform her work as a candle maker but that she would need to take
her pain medication. (Tr. 105-06.) Plaintiff testified that she sleeps throughout the
day because she has little energy. Plaintiff testified that she occasionally stays in
bed for three or four days. (Tr. 109-11.)
B.
Hearing Held on October 18, 2011
1.
Plaintiff’s Testimony
At the hearing on October 18, 2011, plaintiff testified in response to
questions posed by the ALJ and counsel.
At the time of the hearing, plaintiff was thirty-six years of age. Plaintiff is
married and has no children. (Tr. 53-54.)
Plaintiff testified that she left her last job in August 2008 because “it was too
much on [her] back.” (Tr. 60.) Plaintiff testified that she did not have insurance or
Medicaid assistance at that time but recently obtained medical insurance through
her husband. (Tr. 61.)
Plaintiff testified that her current impairments are related to injuries she
sustained in an automobile accident in 2005, and specifically, broken ribs, a
collapsed lung, broken nose, torn spleen, and broken bones in the back. (Tr. 71-6-
72.) Plaintiff testified that she currently has breathing issues but receives no
treatment. (Tr. 72-73.)
Plaintiff testified that she has severe and constant pain between her shoulder
blades and in her lower back. Plaintiff testified that the pain is unbearable and that
she has had such pain since 2005. (Tr. 64.) Plaintiff testified that she continues to
take Oxycodone, Xanax, and Flexeril and has never had an MRI or treatment from
an orthopedic surgeon or neurologist. (Tr. 61.) Plaintiff testified that she
experiences no side effects from her medications. (Tr. 65.)
Plaintiff testified that she also continues to have headaches two or three
times a week, and that such headaches last from thirty minutes to eight hours.
Plaintiff testified that she takes pain medication for the headaches and lies down or
sits in a dark room. Plaintiff testified that she has experienced these headaches
since 2005. (Tr. 62-63.)
Plaintiff testified that she has seen her treating physician, Dr. Beckert, since
she was twenty-five years of age and currently sees him once a month. (Tr. 71.)
As to her exertional abilities, plaintiff testified that she is “up and down” all
day and usually needs to keep moving. Plaintiff testified that she can sit for about
twenty minutes at one time and can sit for a total of four hours in an eight-hour
day. Likewise, plaintiff testified that she can stand for about twenty minutes at one
time and can stand for a total of four hours in an eight-hour day. (Tr. 67-68.)
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Plaintiff testified that she must alternate positions between sitting and standing.
Plaintiff testified that she can walk a couple of blocks. Plaintiff testified that she
can lift about five pounds. Plaintiff testified that she cannot bend, stoop, or squat
without pain. (Tr. 68-69.)
As to her daily activities, plaintiff testified that she tries to do housework to
the extent she can but does not lift heavy loads of laundry or sacks of dog food as
she used to. (Tr. 66.) Plaintiff testified that she tries to keep the house clean by
picking up, doing the dishes, and other everyday “normal stuff.” (Tr. 74.) Plaintiff
testified that her husband and other family members help her. Plaintiff testified
that she otherwise tries to relax throughout the day. (Tr. 66-67.) Plaintiff testified
that she has interrupted sleep because of her back pain, and that her energy level
has decreased. Plaintiff testified that she takes afternoon naps a couple of times a
week. (Tr. 64-66.)
2.
Testimony of Vocational Expert
Dr. John F. McGowan, a vocational expert, testified at the hearing in
response to questions posed by the ALJ and counsel.
Dr. McGowan classified plaintiff’s past work as a nurse’s aide as medium
and semi-skilled; as a fast food worker as light and having an SVP level of 2; as a
cook as light to medium and having an SVP level of 3; as a food service worker
/dietary aide and sales clerk/retail worker as light and having an SVP level of 3;
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and as a machine operator as medium and having an SVP level of 3. (Tr. 77-78.)
The ALJ asked Dr. McGowan to assume an individual under the age of 50
with a twelfth grade education and plaintiff’s past work history. The ALJ further
asked Dr. McGowan to assume that the person was able to lift and carry twenty
pounds occasionally and ten pounds frequently; stand and walk for a total of six
hours in an eight-hour workday; sit for a total of six hours in an eight-hour
workday; and would need to change positions for a minute or two every hour. (Tr.
79-80.) The ALJ asked Dr. McGowan to further assume the individual to be
limited to “[n]o ladders, ropes or scaffolds; occasionally balancing, kneeling,
stooping, crouching and crawling; no concentrated exposure to extreme heat or
extreme cold or extreme humidity. . . . No whole body vibration.” (Tr. 80.) Dr.
McGowan testified that such a person could perform some of plaintiff’s past work
as a machine operator. (Tr. 80-81.) Dr. McGowan testified that such a person
could also perform work as a wire wrapping machine operator, with 4,500 such
jobs existing in the State of Missouri and 90,000 nationally. (Tr. 83.)
The ALJ then asked Dr. McGowan to assume the same individual but that
the individual was limited to a total of four hours of standing/walking in an eighthour day and a total of four hours sitting in an eight-hour day. Dr. McGowan
testified that such a person could perform work as a hospital products assembler, of
which 1,500 such jobs exist in the State of Missouri and 26,400 nationally; and a
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shrink wrap operator, of which 1,000 such jobs exist in the State of Missouri and
31,200 nationally. (Tr. 83-84.)
The ALJ then asked Dr. McGowan to assume the person needed to change
position for a minute or two every twenty minutes. Dr. McGowan testified that
whether such a person could perform work depended upon the employee’s
relationship with her supervisor and whether they were a good and fast worker.
(Tr. 84-85.)
Finally, the ALJ asked Dr. McGowan to assume the person to be able to
occasionally lift a maximum of ten pounds; sit for a total of six hours in an eighthour day; stand and walk for a total of two hours in an eight-hour day; and be
limited to “no ladders, ropes or scaffolds; occasional balance, kneel, crouch, crawl,
stoop; no concentrated exposure to extreme heat, cold or humidity; no whole-body
vibration and no concentrated exposure to pulmonary irritants.” (Tr. 85.)3 The
ALJ asked Dr. McGowan to also assume that the person would have to change
positions for a minute or two every hour. (Tr. 86.) Dr. McGowan testified that
such a person could perform work as an electronics assembler, of which 5,000 such
jobs exist in the State of Missouri and 472,800 nationally; optical goods assembler,
of which 1,160 such jobs exist in the State of Missouri and 68,600 nationally; and
3
Dr. McGowan testified that adding the “pulmonary irritants” restriction to the first few
hypotheticals would not change his answers given in response thereto. (Tr. 85-86.)
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photo finisher, of which 1,690 such jobs exist in the State of Missouri and 144,000
nationally. Dr. McGowan testified that a person would be unable to perform such
work if she was limited to occasional pushing, pulling, and reaching. (Tr. 87-88.)
Dr. McGowan testified that the jobs identified would limit a person to one missed
day of work every month. (Tr. 88-89.)
III. Medical Evidence Before the ALJ
Plaintiff visited Dr. J. Beckert, D.O., on November 28, 2005, with
complaints of pain related to cystitis. Plaintiff was given an antibiotic. (Tr. 610.)
In January 2006, plaintiff was diagnosed as having a kidney infection as
diagnosed by urinalysis and back pain. Plaintiff developed pelvic pain in February
2006 for which she was prescribed Darvocet, which proved to be ineffective. It
was ultimately determined that plaintiff suffered recurrent pelvic inflammatory
disease. (Tr. 595-611.)
On May 1, 2006, Dr. Beckert prescribed Darvocet for plaintiff. (Tr. 594.)
Plaintiff visited Dr. Beckert on May 30, 2006, with complaints related to
tracheobronchitis and pharyngitis. No other complaints were noted. (Tr. 591.)
On August 29, 2006, plaintiff was prescribed Darvocet. (Tr. 591.)
Plaintiff visited Dr. Beckert on September 9, 2006, with complaints related
to tracheobronchitis and pharyngitis. No other complaints were noted. (Tr. 591.)
Plaintiff visited Dr. Matthew Cormier, D.O., on January 4, 2007, with
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complaints of chronic back pain after having been involved in a motor vehicle
accident in February 2005. Plaintiff reported that Darvocet did not help as much as
Percocet or Roxicet, which she had obtained from her mother. Tenderness to
palpation was noted about the thoracic spine. The lumbar spine was noted to be
bent to the side at L3, L4, and L5. Dr. Cormier diagnosed plaintiff with chronic
pain and somatic dysfunction of the thoracic and lumbar areas. Soft tissue and
high-velocity/low amplitude thrusts were performed to the thoracic and lumbar
areas. Plaintiff was prescribed Cymbalta and was started on a trial of Skelaxin.
(Tr. 590.)
X-rays taken of the thoracic and lumbar spine on January 6, 2007, in
response to plaintiff’s complaints of chronic upper and low back pain showed
minimal reduction in vertebral height at T8 or T9, mild spondylosis of the mid and
lower thoracic spine and lower lumbar spine, and no definite sign of acute fracture.
(Tr. 525.)
Plaintiff visited Dr. Beckert on June 19, 2007, who noted plaintiff to have
been in a severe motor vehicle accident in February 2005 and that she currently
experienced significant pain and discomfort involving her back. Dr. Beckert
arranged for plaintiff to have an orthopedic consultation. Hydrocodone was
prescribed. (Tr. 589.)
On September 4, 2007, plaintiff complained to Dr. Beckert that she
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continued to have a lot of pain. Plaintiff reported that Percocet worked better than
Hydrocodone, and Dr. Beckert prescribed Percocet.4 Dr. Beckert determined to
continue plaintiff on the current program and advised plaintiff that she may need to
see an orthopedist if her condition did not improve. Plaintiff’s prognosis was
noted to be guarded. (Tr. 589.)
Chest x-rays taken September 13, 2007, in response to plaintiff’s complaints
of rib pain and left-sided pain showed prior multiple left rib trauma, healed; no
acute rib fractures; and no acute cardiopulmonary disease. (Tr. 527.)
Plaintiff visited Dr. Beckert on September 14, 2007, with complaints of
significant pain and discomfort in her back. Osteopathic manipulative treatment
(OMT) was administered to the dorsal and cervical lumbar area with fair results.
An injection of Decadron/Medrol was also administered, and plaintiff was
prescribed Motrin for discomfort. (Tr. 535.)
On February 4, 2008, Dr. Beckert refilled a Percocet prescription for
plaintiff’s chronic back pain. Dr. Beckert noted plaintiff’s condition to be stable
and satisfactory. Plaintiff was instructed to follow up regularly. (Tr. 537.)
Plaintiff returned to Dr. Beckert on March 18, 2008, with complaints
4
With her Brief in Support of the Complaint, plaintiff attached a pharmaceutical description of
Percocet setting out that the medication contains a combination of acetaminophen and
Oxycodone. (See Pltf.’s Brief, Doc. #14 at pp. 22-25.) Plaintiff submits this information to
support her argument that she was regularly taking Percocet as demonstrated by her prescription
records. (Id. at p. 9; Tr. 499-511, 513.)
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relating to allergies. On March 24, plaintiff visited Dr. Beckert with complaints
related to tracheobronchitis and pharyngitis. (Tr. 536.)
Plaintiff visited Dr. Beckert on August 29, 2008, who noted plaintiff to have
persistent, unrelenting back pain. Dr. Beckert noted plaintiff to take Oxycodone on
an intermittent basis for the pain and in fact did not take the medication very often.
A refill of the medication was given. Dr. Beckert also noted plaintiff to have some
anger management problems in that she becomes easily upset. Xanax was
prescribed. (Tr. 534.)
On November 3, 2008, plaintiff underwent OMT with Dr. Beckert with
satisfactory results. Plaintiff left the office in stable condition. Plaintiff was
diagnosed with acute somatic dysfunction, and her prescriptions for Oxycodone
and Xanax were refilled. (Tr. 534.)
Plaintiff was admitted to the emergency room at Keokuk Area Hospital on
December 3, 2008, after being involved in a motor vehicle accident. Plaintiff’s
history of depression and previous involvement in a motor vehicle accident in 2005
was noted. Plaintiff was treated for a contusion to the left shin and was released.
(Tr. 552-55.)
Plaintiff followed up with Dr. Beckert on December 8, 2008, and reported
having pain and discomfort involving the dorsal and cervical area from the recent
accident. Plaintiff reported continued muscle soreness and tenderness but denied
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any current significant pain. Plaintiff requested a muscle relaxer and was
prescribed Flexeril. (Tr. 563, 581.) On December 23, plaintiff’s prescriptions for
Oxycodone, Flexeril, and Xanax were refilled. (Tr. 563.)
Plaintiff was admitted to the emergency room at Keokuk Area Hospital on
February 3, 2009, with complaints of having increased back pain since the
December 2008 accident. Examination showed muscle spasm about the back.
Plaintiff showed no guarding of the back at any time. CT scans of the lumbosacral
and thoracic spine showed minor arthritic or degenerative changes with minor
dextrocurvature. Plaintiff was diagnosed with chronic low to mid back pain, was
given ibuprofen, and was instructed to follow up with her family practitioner or
with an orthopedist. (Tr. 556-60, 564-79.)
Plaintiff returned to Dr. Beckert on August 4, 2009, for a disability physical
and for medication refills. In his treatment note, Dr. Beckert wrote:
We did a physical exam today, my clinical impression is that the
patient’s overall condition has continued to deteriorate. I feel that in
all likelihood her condition will not improve, she has had this
condition since 2005 basically from her MVA and has not improved.
My clinical impression #1: She is not going to improve, has had
consultations in the past and I feel the disability will continue for an
indefinite period of time and I feel [that] she is not going to improve.
(Tr. 563.) Plaintiff’s prescriptions for Oxycodone, Xanax, and Flexeril were
refilled that same date. (Id.)
On August 5, 2009, Dr. Beckert completed a Medical Source Statement
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(MSS) in which he opined that plaintiff could occasionally lift and carry ten
pounds and frequently lift and carry less than ten pounds; stand and/or walk for a
total of less than two hours in an eight-hour workday; must periodically alternate
between sitting and standing to relieve pain or discomfort; and was limited in
pushing and/or pulling with her upper extremities. Dr. Beckert further opined that
plaintiff could frequently climb, balance, kneel, crouch, and crawl, and could
occasionally stoop. Dr. Beckert further opined that plaintiff was limited in her
ability to reach in all directions. Finally, Dr. Beckert opined that plaintiff had
environmental limitations with humidity/wetness, hazards, fumes, odors,
chemicals, and gases; but had no limitations with temperature extremes, noise,
dust, or vibration. Although asked, Dr. Beckert did not provide any medical or
clinical findings to support these conclusions. Dr. Beckert reported that plaintiff
began experiencing these limitations on February 20, 2005. (Tr. 629-32.)
Plaintiff returned to Dr. Beckert on January 5, 2010, who noted plaintiff to
continue to have persistent chronic back pain. Plaintiff reported that she does not
take her pain medication with any degree of regularity and that she only takes it
“when she has to.” Dr. Beckert noted plaintiff to be doing fairly well. It was again
discussed that plaintiff may possibly need a back consultation, but it was noted that
plaintiff could not afford a consultation because of lack of insurance. Plaintiff’s
prescriptions for Oxycodone, Xanax, and Flexeril were refilled. (Tr. 652.)
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On February 5, 2010, Dr. Beckert noted plaintiff to continue to be doing
fairly well. Dr. Beckert advised plaintiff not to take more than four Oxycodone a
day. Dr. Beckert advised plaintiff to seek further consultation and an MRI for her
back pain as soon as she has insurance. Plaintiff’s medications were refilled. (Tr.
652.) Plaintiff’s medications were refilled again on March 8. (Tr. 651.)
Plaintiff visited Dr. Beckert on April 9, 2010, who noted plaintiff’s overall
condition to remain essentially unchanged with continued complaints of back pain
and discomfort as well as generalized anxiety. Plaintiff’s medications were
refilled. (Tr. 700.)
Plaintiff returned to Dr. Beckert on May 7, 2010, with continued complaints.
Dr. Beckert determined to continue plaintiff on the current management program
and noted specifically that he would not increase the dosage of pain medication
given plaintiff’s age and that she was taking enough narcotic pain medication. Dr.
Beckert stated that “if anything we may consider reducing the dose.” Plaintiff’s
medications were refilled. (Tr. 699.)
On May 10, 2010, Dr. Paula Kresser, a psychological consultant with
disability determinations, completed a Psychiatric Review Technique Form in
which she opined that plaintiff’s anxiety impairment was not severe and caused no
functional limitations. (Tr. 664-74.)
On May 11, 2010, plaintiff underwent a consultative physical examination
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for disability determinations for her reported complaints of back pain, allergies,
and anger/anxiety. (Tr. 676-83.) Dr. Gregory Henry noted plaintiff to be pleasant
and in “absolutely no distress.” (Tr. 679.) Plaintiff reported that she was able to
complete activities of daily living but that she had a persistent ache in her back that
required the regular use of narcotics, muscle relaxers, and anti-anger medications.
Examination showed plaintiff to be cooperative and to have a normal affect.
Plaintiff’s upper extremities were symmetric and showed no atrophy. Plaintiff had
full grip strength and upper extremity strength. No weakness was noted about the
lower extremities. No neuromuscular deficits were noted. No restriction or
compromise in joint motion was noted. Plaintiff’s seated posture was noted to be
normal. Plaintiff had limited range of motion with extension of the lumbar spine.
Slight limitation of motion was noted with flexion and extension of the cervical
spine. Dr. Henry concluded that plaintiff had a normal physical examination
without absolute objective findings, and that plaintiff demonstrated normal
capabilities throughout. (Tr. 676-83.) Dr. Henry opined that plaintiff
“demonstrates the ability to perform work-related functions involving sitting,
standing, walking, lifting, carrying, and handling objects without significant
impairment. . . . Based on observation, I would see no contraindication to working
minimally in the light to low-medium demand range.” (Tr. 680.)
On June 9, 2010, Dr. Beckert refilled plaintiff’s prescriptions for
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Oxycodone, Xanax, and Flexeril, noting plaintiff to be doing fairly well and to be
at least in stable condition. Plaintiff’s prognosis was noted to be guarded. (Tr.
698-99.) On July 9, Dr. Beckert noted plaintiff to be stable and satisfactory.
Plaintiff was continued on her current treatment regimen. (Tr. 698.) On August 6,
Dr. Beckert refilled plaintiff’s medications but noted the possibility of reducing the
dosage of Percocet. (Tr. 697-98.) On September 13, Dr. Beckert noted plaintiff’s
overall condition to be essentially unchanged. (Tr. 697.)
Plaintiff returned to Dr. Beckert on January 15, 2011, who noted her overall
condition to be stable and satisfactory. Dr. Beckert discussed the possibility of
referring plaintiff to the University of Missouri for assessment of her back
condition. Dr. Beckert reported that “whether or not there will be any further
change is difficult to determine.” (Tr. 696.) Plaintiff’s medications were refilled.
(Tr. 697.) Plaintiff’s medications were again refilled on February 11 and March
11. (Tr. 694-95.)
Plaintiff returned to Dr. Beckert on April 11, 2011, who noted plaintiff to
have been evaluated and determined not to be a surgical candidate, and that
plaintiff’s condition would be managed conservatively. On May 16, Dr. Beckert
noted plaintiff’s overall condition to be satisfactory and stable, although plaintiff
complained of a lot of headaches and of chronic neck and back pain. Dr. Beckert
refilled plaintiff’s medications. (Tr. 693.) On June 24, Dr. Beckert noted that
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plaintiff would continue on her current treatment regimen. (Tr. 692.)
On July 22, 2011, Dr. Beckert’s office advised counsel that there had been
no change and no improvement in plaintiff’s condition since Dr. Beckert
completed the MSS in August 2009. (Tr. 685.)
Between July 30 and November 29, 2011, plaintiff visited Dr. Beckert on
five occasions for medication refills. On each occasion, plaintiff’s condition was
noted to be stable and Dr. Beckert continued plaintiff on the same treatment
regimen. (Tr. 709-10, 712.)
IV. Third Party Correspondence
On January 26, 2009, Sherry L. Baxter, plaintiff’s mother, wrote to the SSA
and reported that plaintiff cannot work because of her back condition. Ms. Baxter
wrote that plaintiff is constantly in pain and that she had observed plaintiff cry out
in pain when trying to brush her hair. Ms. Baxter reported that plaintiff cannot
walk too far or sit or stand very long because of her pain. Ms. Baxter reported that
plaintiff can lift three to five pounds. Ms. Baxter reported that plaintiff cannot
reach up, lie down, or stand to pull up her pants because of her pain. Ms. Baxter
reported that plaintiff is not rude or mean but is always stressed because she cannot
do what she wants. (Tr. 411-13.)
On January 27, 2009, Amber Leinhart, plaintiff’s sister-in-law, wrote to the
SSA and reported that plaintiff cannot work because her back does not stay in
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place and her broken ribs will not heal. Ms. Leinhart reported that plaintiff cannot
move around or lie down when she is in pain. Ms. Leinhart reported that plaintiff
can walk for an hour or less, and can sit or stand for thirty minutes or less. Ms.
Leinhart reported that plaintiff can lift five pounds with one hand and ten pounds
with both hands. Ms. Leinhart reported that plaintiff has difficulty reaching above
her shoulder to brush and/or clean her hair. Ms. Leinhart reported that plaintiff
cannot do household chores such as washing dishes, sweeping, vacuuming, or
reaching to dust because of the pain associated with her condition. Ms. Leinhart
reported that she has never observed plaintiff to interact inappropriately with the
public. Ms. Leinhart reported plaintiff to be stressed since she can no longer do
many things. Ms. Leinhart reported that plaintiff sometimes has difficulty
remembering instructions because she is preoccupied with her pain. (Tr. 415-17.)
On March 26, 2010, Brian Hageman, plaintiff’s husband, completed a Third
Party Function Report for the SSA in which he reported that plaintiff does as little
as possible throughout the day. Mr. Hageman reported that plaintiff has difficulty
bending, which results in her having trouble with bathing and getting dressed. Mr.
Hageman reported that plaintiff prepares meals that consist primarily of frozen
pizza or frozen dinners. Mr. Hageman reported that plaintiff does some cleaning,
laundry, and dishes but needs to take breaks. Mr. Hageman reported that plaintiff
drives and can go out alone. Mr. Hageman also reported that plaintiff shops in
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stores, but that it takes hours for her to do so. Mr. Hageman reported that he
usually does the shopping. Mr. Hageman reported that plaintiff watches television,
visits with people daily, and has no problems getting along with others. Mr.
Hageman reported that plaintiff’s condition affects her ability to lift, sit, climb
stairs, squat, kneel, bend, stand, reach, and walk. Mr. Hageman reported that
plaintiff can walk one block and needs to rest for twenty minutes before resuming.
Mr. Hageman reported that plaintiff can pay attention for a long time, complete
tasks, and follow written and spoken instructions very well. Mr. Hageman
reported that plaintiff handles stress well, as well as changes in routine. (Tr. 45764.)
V. The ALJ's Decision
The ALJ found plaintiff to meet the insured status requirements of the Social
Security Act through December 31, 2013. The ALJ found plaintiff not to have
engaged in substantial gainful activity since August 6, 2008, the alleged onset date
of disability. The ALJ found plaintiff’s degenerative disc disease of the thoracic
and lumbar spine, somatic dysfunction, and history of collapsed lung to be severe
impairments, but that such impairments, either singly or in combination, did not
meet or medically equal an impairment listed in 20 C.F.R. Part 404, Subpart P,
Appendix 1. (Tr. 11-14.) The ALJ found plaintiff to have the RFC to perform
light work, except that she
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needs to change position for 1-2 minutes every hour. She is unable to
climb ladders, ropes, and scaffolds. She must avoid concentrated
exposure to extremes of heat, cold, or humidity as well as
concentrated exposure to pulmonary irritants and whole body
vibration. She can only occasionally balance, stoop, kneel, crouch,
and crawl.
(Tr. 14.) The ALJ determined that plaintiff was unable to perform any past
relevant work. Considering plaintiff’s age, education, work experience, and RFC,
the ALJ determined that vocational expert testimony supported a finding that
plaintiff could perform other work as it exists in significant numbers in the national
economy, and specifically, wire wrap machine operator, hospital products
assembler, and shrink wrap operator. The ALJ thus found plaintiff not to be under
a disability from August 6, 2008, through the date of the decision. (Tr. 18-20.)
VI. Discussion
To be eligible for DIB under the Social Security Act, plaintiff must prove
that she is disabled. Pearsall v. Massanari, 274 F.3d 1211, 1217 (8th Cir. 2001);
Baker v. Secretary of Health & Human Servs., 955 F.2d 552, 555 (8th Cir. 1992).
The Social Security Act defines disability as the "inability to engage in any
substantial gainful activity by reason of any medically determinable physical or
mental impairment which can be expected to result in death or which has lasted or
can be expected to last for a continuous period of not less than 12 months." 42
U.S.C. § 423(d)(1)(A). An individual will be declared disabled "only if [her]
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physical or mental impairment or impairments are of such severity that [she] is not
only unable to do [her] previous work but cannot, considering [her] age, education,
and work experience, engage in any other kind of substantial gainful work which
exists in the national economy." 42 U.S.C. § 423(d)(2)(A).
To determine whether a claimant is disabled, the Commissioner engages in a
five-step evaluation process. See 20 C.F.R. § 404.1520; Bowen v. Yuckert, 482
U.S. 137, 140-42 (1987). The Commissioner begins by deciding whether the
claimant is engaged in substantial gainful activity. If the claimant is working,
disability benefits are denied. Next, the Commissioner decides whether the
claimant has a “severe” impairment or combination of impairments, meaning that
which significantly limits her ability to do basic work activities. If the claimant's
impairment(s) is not severe, then she is not disabled. The Commissioner then
determines whether claimant's impairment(s) meets or equals one of the
impairments listed in 20 C.F.R., Subpart P, Appendix 1. If claimant's
impairment(s) is equivalent to one of the listed impairments, she is conclusively
disabled. At the fourth step, the Commissioner establishes whether the claimant
can perform her past relevant work. If so, the claimant is not disabled. Finally, the
Commissioner evaluates various factors to determine whether the claimant is
capable of performing any other work in the economy. If not, the claimant is
declared disabled and becomes entitled to disability benefits.
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The decision of the Commissioner must be affirmed if it is supported by
substantial evidence on the record as a whole. 42 U.S.C. § 405(g); Richardson v.
Perales, 402 U.S. 389, 401 (1971); Estes v. Barnhart, 275 F.3d 722, 724 (8th Cir.
2002). Substantial evidence is less than a preponderance but enough that a
reasonable person would find it adequate to support the conclusion. Johnson v.
Apfel, 240 F.3d 1145, 1147 (8th Cir. 2001). This “substantial evidence test,”
however, is “more than a mere search of the record for evidence supporting the
Commissioner’s findings.” Coleman v. Astrue, 498 F.3d 767, 770 (8th Cir. 2007)
(internal quotation marks and citation omitted). “Substantial evidence on the
record as a whole . . . requires a more scrutinizing analysis.” Id. (internal quotation
marks and citations omitted).
To determine whether the Commissioner's decision is supported by
substantial evidence on the record as a whole, the Court must review the entire
administrative record and consider:
1.
The credibility findings made by the ALJ.
2.
The plaintiff's vocational factors.
3.
The medical evidence from treating and consulting physicians.
4.
The plaintiff's subjective complaints relating to exertional and
non-exertional activities and impairments.
5.
Any corroboration by third parties of the plaintiff's
impairments.
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6.
The testimony of vocational experts when required which is
based upon a proper hypothetical question which sets forth the
claimant's impairment.
Stewart v. Secretary of Health & Human Servs., 957 F.2d 581, 585-86 (8th Cir.
1992) (internal citations omitted). The Court must also consider any evidence
which fairly detracts from the Commissioner’s decision. Coleman, 498 F.3d at
770; Warburton v. Apfel, 188 F.3d 1047, 1050 (8th Cir. 1999). However, even
though two inconsistent conclusions may be drawn from the evidence, the
Commissioner's findings may still be supported by substantial evidence on the
record as a whole. Pearsall, 274 F.3d at 1217 (citing Young v. Apfel, 221 F.3d
1065, 1068 (8th Cir. 2000)). “[I]f there is substantial evidence on the record as a
whole, we must affirm the administrative decision, even if the record could also
have supported an opposite decision.” Weikert v. Sullivan, 977 F.2d 1249, 1252
(8th Cir. 1992) (internal quotation marks and citation omitted); see also Jones ex
rel. Morris v. Barnhart, 315 F.3d 974, 977 (8th Cir. 2003).
A.
Cross-Examination of Consulting Physician
Plaintiff underwent a consultative physical examination for disability
determinations in May 2010. At the October 2011 administrative hearing, plaintiff
testified that the consulting physician, Dr. Henry, did not physically touch her back
at any point during the examination. (Tr. 70-71.) Counsel requested that he be
permitted to cross-examine Dr. Henry, and such request was heard by the ALJ at a
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supplemental hearing on February 8, 2012. (Tr. 27-46.) Prior to this supplemental
hearing, counsel requested that the ALJ issue a subpoena to secure Dr. Henry’s
presence at the hearing. (See Pltf.’s Brief, Doc. #14 at pp. 17-18.) In his written
decision, the ALJ stated that there was no basis to subpoena Dr. Henry for crossexamination:
Basically, counsel argues, and had claimant testify, that Dr. Henry
refused to examine and palpate her back. However, Dr. Henry does
not say in his report that he did. Accordingly, there is no dispute of
fact that needs to be resolved. Counsel argues that Dr. Henry should
have palpated claimant’s back to test for spasm, etc. However, the
important fact is that he apparently did not because he obviously
believed in his professional opinion that there was no medical need to
do so. Because there is no reason to believe that he would testify
otherwise, there is little point in issuing a subpoena so that counsel
can argue a point with Dr. Henry that is not in question. More
importantly, none of this highlights any facts that the witness is
expected to prove. That is, counsel is arguing Dr. Henry should have
palpated the claimant’s spine, but he did not, so he would not be able
to testify about what signs he did and did not see on palpation, and
thus there are no facts that he would be expected to prove beyond
what he already put in his report.
(Tr. 18.) Plaintiff contends here that the ALJ failed in his duty to fully and fairly
develop the record by not allowing her the opportunity to cross-examine Dr.
Henry. Plaintiff argues that such cross-examination was necessary given that Dr.
Henry’s conclusion that plaintiff experienced little or no limitations – reached after
his one-time examination that involved no physical contact with plaintiff’s back –
was in stark contrast to the opinion of plaintiff’s treating physician who had
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examined her on a regular basis. Plaintiff contends that Dr. Henry’s motivation
and bias in reaching his conclusions were relevant and thus provided a proper basis
for cross-examination.
Procedural due process requires disability claimants to be afforded a full and
fair hearing. Hurd v. Astrue, 621 F.3d 734, 739 (8th Cir. 2010). Due process does
not, however, “afford social security claimants an absolute right to cross-examine
individuals who submit a report.” Passmore v. Astrue, 533 F.3d 658, 665 (8th Cir.
2008). Instead, the right to subpoena and cross-examine stems from the agency’s
regulations, which provides the ALJ discretion to issue a subpoena when
reasonably necessary for the full presentation of a case. Id. at 661-62 (citing
Richardson v. Perales, 402 U.S. 389 (1971); 20 C.F.R. § 404.950(d)(1)). For the
following reasons, the ALJ did not abuse his discretion here in determining not to
subpoena Dr. Henry for purposes of allowing plaintiff to cross-examine him.
As noted by the ALJ, there were no factual discrepancies or issues that
cross-examination would have resolved or proven given that there was no dispute
in the testimonial or medical evidence of record that Dr. Henry did not palpate
plaintiff’s back. 20 C.F.R. § 404.950(d)(2) (parties who wish to subpoena witness
must state the important facts that the witness is expected to prove); see also
Passamore, 533 F.3d at 666 (ALJ did not abuse discretion because claimant failed
to identify important facts that witness was expected to prove or explain why facts
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could not be proved without subpoena and cross-examination).
To the extent plaintiff argues that cross-examination would have disclosed
Dr. Henry’s bias or motivation to not conduct a full physical exam, the
undersigned notes that plaintiff failed to avail herself of the opportunity to
challenge Dr. Henry’s objectivity prior to the examination, as provided by the
Regulations. See 20 C.F.R. § 404.1519j (Commissioner will review claimant’s
objection that consultative medical source designated by the Commissioner lacks
objectivity). In such circumstances, the Eighth Circuit has held that an ALJ does
not abuse his discretion by denying a claimant’s request to cross-examine the
consulting physician. See Passmore, 533 F.3d at 666 (citing Hepp v. Astrue, 511
F.3d 798, 805 (8th Cir. 2008)). This is especially significant here, where plaintiff’s
counsel expressed trepidation at the September 2009 hearing regarding the
Commissioner’s potential selection of a consulting physician:
ATTY:
Your Honor, can I make a suggestion before I question
the witness? Given your - - and your understandable concern about
the physical evidence, I think it would [be] appropriate for me to
request an orthopedic CE. They actually - - the State - - they’ve got
two groups they send people to. There’s Medex in St. Louis, and then
there’s the Columbia Orthopaedic Group in Columbia.
To be honest with you, Columbia Orthopaedic Group in
Columbia has never seen a disabled person in their lives, but Medex
really does do a fair, balanced job. I mean, they don’t - - again,
they’re not shills.
(Tr. 106.) In addition, the record shows counsel to have had concerns regarding
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the objectivity of Dr. Henry specifically, as expressed in an October 2011 letter to
the ALJ wherein counsel cites Dr. Henry’s reputation of rendering opinions
unfavorable to injured persons. (Tr. 495-96.)
Because plaintiff did not challenge the objectivity of the consulting
physician prior to her examination–despite counsel’s concerns relating thereto, and
failed to identify important facts that would be proven by cross-examining Dr.
Henry, she has failed to establish that her cross-examination of Dr. Henry was
reasonably necessary for the full presentation of her case. The ALJ therefore did
not abuse his discretion by failing to subpoena Dr. Henry and provide plaintiff an
opportunity to cross-examine him. Passmore, 533 F.3d at 666.
B.
Weight Accorded to Dr. Beckert’s Opinion
In his written decision, the ALJ accorded some weight to Dr. Beckert’s
opinion expressed in his August 2009 MSS and as reaffirmed in his July 2011
statement. Plaintiff contends that Dr. Beckert’s opinion is entitled to controlling
weight inasmuch as there is no contradictory evidence in the record and the
opinion satisfies the factors to be considered in determining the weight accorded to
medical opinions. For the following reasons, the ALJ did not err in his
consideration of Dr. Beckert’s opinion.
In evaluating opinion evidence, the Regulations require the ALJ to explain
in the decision the weight given to any opinions from treating sources, non-treating
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sources, and non-examining sources. See 20 C.F.R. § 404.1527(e)(2)(ii). The
Regulations require that more weight be given to the opinions of treating
physicians than other sources. 20 C.F.R. § 404.1527(c)(2). A treating physician's
assessment of the nature and severity of a claimant's impairments should be given
controlling weight if the opinion is well supported by medically acceptable clinical
and laboratory diagnostic techniques and is not inconsistent with other substantial
evidence in the record. Id.; see also Forehand v. Barnhart, 364 F.3d 984, 986 (8th
Cir. 2004). This is so because a treating physician has the best opportunity to
observe and evaluate a claimant's condition,
since these sources are likely to be the medical professionals most
able to provide a detailed, longitudinal picture of [a claimant's]
medical impairment(s) and may bring a unique perspective to the
medical evidence that cannot be obtained from the objective medical
findings alone or from reports of individual examinations, such as
consultative examinations or brief hospitalizations.
20 C.F.R. § 404.1527(c)(2).
When a treating physician's opinion is not given controlling weight, the
Commissioner must look to various factors in determining what weight to accord
the opinion. 20 C.F.R. § 404.1527(c)(2). Such factors include the length of the
treatment relationship and the frequency of examination, the nature and extent of
the treatment relationship, whether the treating physician provides support for his
findings, whether other evidence in the record is consistent with the treating
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physician's findings, and the treating physician's area of specialty. Id. The
Regulations further provide that the Commissioner “will always give good reasons
in [the] notice of determination or decision for the weight [given to the] treating
source's opinion.” Id.
Here, the reasons given by the ALJ to accord Dr. Beckert’s opinion less than
controlling weight are supported by substantial evidence on the record as a whole.
As such, the Court defers to the ALJ’s determination.
First, the ALJ noted that Dr. Beckert’s opinion that plaintiff was limited to
standing or walking for a total of two hours in an eight-hour workday was contrary
to plaintiff’s testimony. Indeed, plaintiff testified that she could engage in such
activity for a total of four hours. See Goff v. Barnhart, 421 F.3d 785, 790 (8th Cir.
2005) (ALJ properly discounted treating physician’s opinion where claimant
testified that she regularly engaged in activities that exceeded opined limitations);
Tellez v. Barnhart, 403 F.3d 953, 956 (8th Cir. 2005) (substantial evidence
supported ALJ’s decision to discount treating physician’s opinion given that
claimant’s actual behavior was clearly at odds with limitations described by the
medical source). Cf. Baldwin v. Barnhart, 349 F.3d 549, 557 (2003) (exertional
restrictions in RFC consistent with claimant’s testimony as to such). The ALJ also
noted that Dr. Beckert’s opinion that plaintiff was limited in her ability to reach,
push, and pull enjoyed no support in the medical records and, further, that no
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medical reason was given for this limitation. See Hogan v. Apfel, 239 F.3d 958,
961 (8th Cir. 2001) (where limitations set out in a treating physician’s assessment
“stand alone” and were “never mentioned in [the physician’s] numerous records or
treatment” nor supported by “any objective testing or reasoning,” ALJ’s decision
to discount treating physician’s statement is not error). See also 20 C.F.R. §
404.1527(c)(3) (“The better an explanation a source provides for an opinion, the
more weight we will give that opinion.”).
The ALJ also noted that Dr. Beckert’s statement that plaintiff’s condition
continued to deteriorate and would never improve was inconsistent with his
treatment notes that repeatedly showed plaintiff’s condition to be stable and
required no change to her medication or treatment regimen. In addition, the record
shows Dr. Beckert to have in fact considered a reduction in the dosage of
plaintiff’s pain medication, to have repeatedly found plaintiff’s condition to be
“satisfactory,” and to have noted plaintiff not to regularly take her pain medication.
In view of this contrary evidence from Dr. Beckert’s own treatment notes, the ALJ
did not err in discounting Dr. Beckert’s statement that plaintiff’s condition was
deteriorating. See Owen v. Astrue, 551 F.3d 792, 799 (8th Cir. 2008).
A review of the ALJ’s decision shows him to have evaluated all of the
evidence of record and to have provided good reasons for the weight he accorded
Dr. Beckert’s opinion. For the reasons set out above, substantial evidence on the
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record as whole supports the ALJ’s determination as to the weight he accorded Dr.
Beckert’s opinion in this case and the Court will not disturb the determination.
C.
Consideration of Somatic Dysfunction
Plaintiff claims that, despite finding plaintiff’s somatic dysfunction to be a
severe impairment, the ALJ failed to include in the RFC assessment any functional
limitations caused thereby. Plaintiff claims that the ALJ erred by failing to
properly consider this “nonexertional mental impairment” as demonstrated by his
failure to evaluate this mental impairment under Listing § 12.07, which governs
somatoform disorders. (Pltf.’s Brief, Doc. #14 at pp. 11-12.) For the following
reasons, plaintiff’s argument is misplaced.
“Somatic dysfunction” is a term of art used in the field of osteopathy and is
defined as the “[i]mpaired or altered function of related components of the somatic
(body framework) system: skeletal, arthrodial and myofascial structures, and their
related vascular, lymphatic, and neural elements.” American Ass’n of Colleges of
Osteopathic Med. (AACOM), Glossary of Osteopathic Terminology 53 (rev. Nov.
2011). “Somatic dysfunction is treatable using osteopathic manipulative
treatment.” Id. In contrast, somatoform disorder is a mental impairment whereby
an individual experiences “[p]hysical symptoms for which there are no
demonstrable organic findings or known physiological mechanisms.” 20 C.F.R.
Part 404, Subpart P, Appendix 1, § 12.07.
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Here, plaintiff’s treating physician, a doctor of osteopathy, diagnosed
plaintiff with “somatic dysfunction” and treated her with osteopathic manipulative
treatment. There is no evidence in the record that plaintiff was ever diagnosed
with somatoform disorder or was suspected of suffering from this mental
impairment. Accordingly, the ALJ did not err by failing to include in his RFC
assessment any limitations caused by a mental impairment from which plaintiff did
not suffer. Instead, a review of the RFC assessment shows the ALJ to have
included significant exertional and non-exertional limitations attributed to
plaintiff’s pain that she experienced as a result of her severe impairments,
including the physical impairment of somatic dysfunction.
D.
Third-Party Statements
In his written decision, the ALJ acknowledged the statements written by
plaintiff’s mother and sister-in-law and determined to accord them little weight
inasmuch as they were lay opinions and described limitations that were
inconsistent with the medical evidence of record. (Tr. 18.) Because these reasons
are supported by substantial evidence on the record as a whole, they cannot be
disturbed. Ostronski v. Chater, 94 F.3d 413, 419 (8th Cir. 1996) (ALJ properly
discounted third party statements that conflicted with medical evidence and were
given by persons not qualified to render an opinion on capacity to work).
Although the ALJ did not specifically address Mr. Hageman’s Third Party
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Function Report, a review of the report shows the statements therein to primarily
be a recitation of plaintiff’s subjective allegations, which the ALJ found not to be
credible. Where an ALJ properly discredits a claimant’s complaints of disabling
symptoms, he is equally empowered to reject the cumulative testimony of the
claimant’s relatives and acquaintances. Black v. Apfel, 143 F.3d 383, 387 (8th Cir.
1998) (citing Ostronski, 94 F.3d at 419). For the following reasons, the ALJ
properly rejected plaintiff’s subjective complaints and therefore had a proper basis
upon which to likewise reject Mr. Hageman’s statements.
First, the ALJ noted the medical evidence of record not to support plaintiff’s
complaints of disabling pain, specifically noting the diagnostic testing to show
only mild or minor conditions. See Steed v. Astrue, 524 F.3d 872, 875 (8th Cir.
2008) (diagnosis tempered by the words “mild” or “minimal”). The ALJ also
noted that plaintiff did not take her pain medication regularly and only when she
had to. Taking pain medication only as needed “could create doubt in a reasonable
adjudicator’s mind with regard to [a claimant’s] testimony about the extent of her
pain.” Curran-Kicksey v. Barnhart, 315 F.3d 964, 969 (8th Cir. 2003). The ALJ
also noted that Dr. Beckert repeatedly observed plaintiff’s condition to be stable
and that he initiated very few changes to her treatment regimen, if any, and indeed
considered lowering plaintiff’s dosage of pain medication. See Roth v. Shalala, 45
F.3d 279, 282 (8th Cir. 1995) (impairments that are controllable or amenable to
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treatment do not support a finding of disability). The ALJ also noted that, despite
plaintiff’s claim that she had experienced her disabling symptoms since 2005, she
continued to work with such symptoms, no medical evidence showed that her
condition worsened at the time she stopped working, and she did not seek regular
treatment for her disabling condition until 2010. E.g., Goff, 421 F.3d at 792-93
(fact that claimant worked with impairment relevant to credibility determination);
Brockman v. Sullivan, 987 F.2d 1344, 1347 (8th Cir. 1993) (not seeking regular
treatment inconsistent with complaints of disabling pain). In addition, the ALJ
noted that plaintiff’s treatment consisted only of routine office visits with her
primary care physician for medication refills with no treatment provided by a
specialist. See Black, 143 F.3d at 386-87 (conservative course of treatment
inconsistent with complaints of debilitating pain).
A review of the ALJ’s decision shows that, in a manner consistent with and
as required by Polaski v. Heckler, 739 F.2d 1320 (8th Cir. 1984) (subsequent
history omitted), the ALJ considered plaintiff’s subjective complaints on the basis
of the entire record and set out numerous inconsistencies that detracted from her
credibility. Because these same inconsistencies discredit the statements made by
the lay witnesses proffered by plaintiff, the ALJ did not err in rejecting these third
party statements. Black, 143 F.3d at 387. The failure to refer specifically to the
statements made by plaintiff’s husband does not alter this result. Cf. Lorenzen v.
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Chater, 71 F.3d 316, 318 (8th Cir. 1995) (failure to cite specific reasons to
discredit third party statement not error where such statement would be discredited
by the same evidence that discredited claimant’s own testimony). An arguable
deficiency in opinion-writing technique does not require an ALJ’s finding to be set
aside when the deficiency has no bearing on the outcome. Hepp v. Astrue, 511
F.3d 798, 806 (8th Cir. 2008).
Accordingly, because the ALJ’s credibility determination is supported by
good reasons and substantial evidence, it is entitled to deference by this Court.
Goff, 421 F.3d at 793; Vester v. Barnhart, 416 F.3d 886, 889 (8th Cir. 2005).
VII. Conclusion
For the reasons set out above on the claims raised by plaintiff on this appeal,
the ALJ’s determination that plaintiff was not disabled from August 6, 2008,
through the date of the decision is supported by substantial evidence on the record
as a whole, and plaintiff’s claims of error should be denied. Inasmuch as there is
substantial evidence to support the Commissioner's decision, this Court may not
reverse the decision merely because substantial evidence exists in the record that
would have supported a contrary outcome or because another court could have
decided the case differently. Gowell v. Apfel, 242 F.3d 793, 796 (8th Cir. 2001);
see also Buckner v. Astrue, 646 F.3d 549, 556 (8th Cir. 2011).
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Therefore,
IT IS HEREBY ORDERED that the final decision of the Commissioner is
affirmed, and plaintiff’s Complaint is dismissed with prejudice.
A separate Judgment in accordance with this Memorandum and Order is
entered this same date.
/s/Noelle C. Collins
UNITED STATES MAGISTRATE JUDGE
Dated this 30th day of September, 2014.
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