Sanchez v. Colvin
Filing
26
MEMORANDUM AND ORDER granting in part and denying in part 18 Motion for Judgment on the Pleadings; granting in part and denying in part 20 Motion for Judgment on the Pleadings. For the reasons set forth in the attached Memorandum and Order, De fendant's motion for judgment on the pleadings is granted in part and denied in part. Plaintiff's cross motion for judgment on the pleadings is granted in part and denied in part. The Court finds that the ALJ erred by failing to properly assess whether, given Plaintiff's limitations, there were jobs in significant numbers available during the time period from May 1, 1992 through the end of 1998. The Commissioner's decision is vacated and this action is remanded for computation of benefits. The Clerk of Court is directed to close this case. Ordered by Judge Margo K. Brodie on 7/14/2015. (Krause, Aimee)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF NEW YORK
---------------------------------------------------------------JOSE SANCHEZ,
Plaintiff,
MEMORANDUM & ORDER
14-CV-1008 (MKB)
v.
CAROLYN W. COLVIN
Acting Commissioner, Social Security
Administration,
Defendant.
---------------------------------------------------------------MARGO K. BRODIE, United States District Judge:
Plaintiff Jose Sanchez commenced the above-captioned action seeking review pursuant to
42 U.S.C. 405(g) and 1383(c)(3), and an order vacating the decision by the Commissioner of
Social Security (“the Commissioner”) denying Plaintiff’s claim for Social Security disability
insurance and Supplemental Security income benefits. Defendant moves for judgment on the
pleadings pursuant to Rule 12(c) of the Federal Rules of Civil Procedure, claiming that the
decision of the Administrative Law Judge Lori Romeo (the “ALJ”) is supported by substantial
evidence and should be affirmed. (Comm’r Mem. in Support of Mot. for Judgment on the
Pleadings (“Comm’r Mem.”), Docket Entry No. 19.) Plaintiff cross-moves for judgment on the
pleadings, arguing that the ALJ’s determination that there were sufficient jobs in the national
economy that Plaintiff could perform was not supported by substantial evidence in the record.
(Pl. Mem. in Support of Cross-Mot. for Judgment on the Pleadings (“Pl. Mem.”), Docket Entry
No. 21.) Plaintiff argues that remand for the sole purposes of calculation of benefits is the
appropriate remedy. (Pl. Mem. 16.) The Court heard oral argument on July 7, 2015. For the
reasons set forth below, Defendant’s motion for judgment on the pleadings is granted in part and
denied in part. Plaintiff’s cross-motion for judgment on the pleadings is granted in part and
denied in part.
I.
Background
Plaintiff is a 56 year-old man with an eleventh grade education. (R. 81, 92.) Plaintiff
initially filed for disability benefits on March 2, 1983, claiming that he became eligible for
benefits due to injuries from a motor vehicle accident that occurred on the Long Island
Expressway, (R. 359–60), with an onset date of September 22, 1982, (R. 486). Plaintiff has little
to no use of his left arm, suffers from asthma, seizures and foot pain, and experiences depression.
(R. 85–86, 487–88, 498.) Prior to the accident, Plaintiff was an unskilled worker.
a.
Procedural background
This case has a long and complex procedural history, recounted briefly here to the extent
necessary to decide the instant motions. Plaintiff initially applied for Social Security Disability
Insurance Benefits (“SSD”) and Supplemental Security Income Disability Benefits (“SSI”) from
the Social Security Administration (“SSA”) on March 2, 1983. (R. 572.) The SSA denied
Plaintiff’s application, and Plaintiff subsequently filed seven additional applications for SSI
between 1986 and 1994, all of which were initially denied and denied on reconsideration. (R.
571–72.) On February 7, 1995, Plaintiff sought to reopen his case pursuant to the settlement
agreement in Stieberger v. Sullivan, 801 F. Supp. 1079 (S.D.N.Y. 1992), for review and
adjudication of his SSD and SSI applications from May 1, 1992 onward. 1 (R. 498.) After
1
Stieberger v. Sullivan, 801 F. Supp. 1079 (S.D.N.Y. 1999), modifying 729 F. Supp.
1376 (S.D.N.Y. 1999) involved a settlement agreement in a class action lawsuit, pursuant to
which certain class members with claims for disability benefits that were denied after October 1,
1981 were able to reopen their claims for de novo review by the SSA. (See Sanchez v. Astrue,
No. 07-CV-4887, slip op. at 1 n.1 (E.D.N.Y. Apr. 20, 2010), available at R. 498–502; see also R.
483.)
2
reopening, Plaintiff’s claims were denied both in the first instance and on reconsideration, on
March 2, 2000. (R. 50–51.) On March 26, 2000, Plaintiff requested a hearing before an
Administrative Law Judge. (R. 20.) On December 4, 2002 and January 22, 2003, Plaintiff,
represented by counsel, appeared and testified before Administrative Law Judge Eileen Burleson
(“ALJ Burleson”). (R. 329–68.) On July 2, 2003 ALJ Burleson found that Plaintiff was disabled
within the meaning of the Social Security Act beginning on February 4, 2000. (R. 16–32.) ALJ
Burleson granted Plaintiff’s application for SSI as of February 4, 2000, but denied Plaintiff’s
claim for SSD. 2 (R. 21.) The Appeals Council denied review on August 20, 2004, (R. 6–7), and,
in 2004, Plaintiff appealed to the district court for the first time, see Sanchez v. Comm’r of Soc.
Sec., No. 04-CV-4594 (E.D.N.Y. filed Oct. 19, 2004).
By Stipulation and Order endorsed on February 14, 2005, the action was remanded for
further administrative proceedings. See id. On June 28, 2005, the Appeals Council affirmed the
finding that Plaintiff had been disabled since February 4, 2000, and vacated ALJ Burleson’s
determination as to the question of his disability prior to that date. (R. 392.) The Appeals
Council found that the record reflected that Plaintiff’s arm was injured prior to February 4, 2000,
and directed the Administrative Law Judge to give further consideration to the severity of
Plaintiff’s condition for the period prior to February 4, 2000. (R. 393.) A supplemental hearing
was held on January 19, 2006. (R. 421–70.) On February 24, 2006, Administrative Law Judge
2
SSD benefits are unavailable unless the claimant was disabled at the time he met
insured status requirements. See Karabinas v. Colvin, 16 F. Supp. 2d 206, 213 (W.D.N.Y. 2014)
(citing 42 U.S.C. § 423(c), 20 C.F.R. §§ 404.130, 404.315(a) for SSD insured status
requirements); Baron v. Astrue, No. 11 CIV. 4262, 2013 WL 1245455, at *17 (S.D.N.Y. Mar. 4,
2013) (“[A] claimant must ‘demonstrate that she was disabled as of the date on which she was
last insured.’” (quoting Behling v. Comm’r of Soc. Sec., 369 F. App’x 292, 294 (2d Cir. 2010)))
report and recommendation adopted, 2013 WL 1364138 (S.D.N.Y. Mar. 26, 2013). According
to the September 25, 2012 ALJ decision, Plaintiff met the disability insured status requirements
for SSD through March 31, 1986. (R. 483, 486.)
3
Vecchio (“ALJ Vecchio”) denied Plaintiff’s claim for the period of May 1, 1992 through
February 3, 2000, the period in review, finding that he was capable of light work and that there
were light and sedentary jobs that existed in the national economy that Plaintiff could perform.
(R. 377–88.) On September 1, 2007, the Appeals Council denied review of Plaintiff’s appeal,
making the February 24, 2006 decision the final decision of the Commissioner. (R. 369–70.) In
2007, Plaintiff appealed to the district court for a second time, and, on April 20, 2010, the action
was remanded because the court determined ALJ Vecchio’s decision was not supported by
substantial evidence. (R. 498–502.)
The Appeals Council vacated the February 24, 2006 decision and remanded the case to
Administrative Law Judge Romeo (“ALJ Romeo”) on May 17, 2010, for proceedings consistent
with the district court’s April 20, 2010 decision. (R. 503–05.) A second supplemental hearing
was held on December 12, 2011, concerning the period of May 1, 1992 through February 3,
2000. (R. 618–71.) Following an exchange of interrogatories with a vocational expert, (R. 591,
596–601, 616–17, 494–95), on September 25, 2012, the ALJ denied Plaintiff’s application, (R.
480–95.) The Appeals Council refused to review the action on October 16, 2013. (R. 474–77.)
Plaintiff filed the instant action on February 18, 2014, claiming that ALJ Romeo’s decision as to
the period from May 1, 1992 through February 3, 2000 is not supported by substantial evidence.
b.
December 4, 2002 and January 22, 2003 hearings
ALJ Burleson held hearings on December 4, 2002 and January 22, 2003. (R. 328–68.)
Plaintiff’s testimony commenced on December 4, 2002 and continued on January 22, 2003, with
the assistance of a Spanish interpreter. (R. 331, 355.) At the January 22, 2003 hearing,
vocational expert Edna Clarke also testified. (R. 331.)
4
i.
Plaintiff’s testimony
Plaintiff was born on November 19, 1958 in Puerto Rico, and has lived in New York
since 1970. (R. 357.) He last worked in 1982, making sculptures and statues with mold and
casting for a large company. (R. 335.) The heaviest statue or part of statue that Plaintiff had to
carry in his job was approximately fifty pounds. (R. 549.)
Plaintiff testified that he was in a motor vehicle accident on September 22, 1982, as he
was riding in a car on the Long Island Expressway on his way to work. (R. 358–60.) Plaintiff
was transported to the hospital, where he remained for two weeks before he signed himself out
and checked in to Lutheran Hospital. (R. 360–61.) At Lutheran, Plaintiff underwent surgery.
(R. 361.) According to Plaintiff, the accident caused injury to his head and his hand, and he
began to have seizures and asthma. (R. 360.) He also eventually needed surgery on his feet.
(Id.) Plaintiff has not worked since the accident. (R. 335.)
At the time, Plaintiff lived with his mother, brother and nephew. (R. 334.) He testified
that his mother takes care of the cooking, and that he does none of the shopping, cleaning, or
“anything of that nature.” (R. 337.) Plaintiff spent the majority of his time at home, reading
magazines and watching television. (Id.) His mother hired a car service for him to attend
doctors’ appointments at Long Island College Hospital every two weeks. (R. 337–38.) Plaintiff
testified that he began receiving treatment from Long Island College Hospital in the 1990s. (R.
361.) He continued to go to his doctors’ appointments regularly, with a seizure specialist, a foot
specialist, and a “regular” doctor, and to take Dilantin to control his seizures. (R. 365, 338.)
Plaintiff complained of seizures, chronic asthma, “a problem in [his] feet” and his “dead
[left] arm.” (R. 340.) According to the testimony, Plaintiff had seizures often, but could not
recall the last time he had a seizure. (R. 339.) When one occurred he would typically lay on the
5
floor and his mother would help him get to the emergency room. (R. 339–40.) Plaintiff testified
that he had recently had an asthma attack, and that he would occasionally have to go to the
emergency room for the asthma. (R. 340–41.) He also could not lift his arm because “the nerve
that goes down to the arm” was “cut off” in his car accident, leaving him with no strength or use
of the arm. (R. 341–42.) Plaintiff had surgery in his feet for bunions, and was unable to walk
more than two blocks at one time. (R. 341, 343.) He walked with a cane, which occupied his
right arm so he was unable to carry anything and walk at the same time. (R. 341–42.) He also
testified that the accident caused him pain in his lower back, preventing him from sitting more
than thirty minutes at a time. (R. 544–45.)
ii.
Vocational expert’s testimony
Edna Clarke testified at the hearing as the vocational expert. (R. 548.) Dr. Clarke
described Plaintiff’s work as a mold maker as medium work, in accordance with Plaintiff’s
description of how he performed the job. (R. 350.) All agreed that Plaintiff had no past relevant
work experience in the last fifteen years. (Id.) ALJ Burleson described a hypothetical person to
Clarke, based on the same age, education and work experience as Plaintiff. (R. 350–51.) The
hypothetical involved an individual with the following description:
He would be limited to a sedentary level work. He would further
be limited to working in a non polluted with fumes, dust, gases
environment. He needs to avoid physical activity with his left
upper extremity and he needs safety precautions. In other words,
he cannot operate machinery or he cannot work at heights.
(R. 351.) Clarke could not identify any job that would fit into the limitations provided in the
hypothetical. (Id.)
c.
January 19, 2006 hearing
On January 19, 2006, following appeal to and remand from the district court and remand
6
from the Appeals Counsel, ALJ Vecchio held a supplemental hearing to determine whether from
the period of May 1, 1992 through February 3, 2000, Plaintiff was disabled within the meaning
of the Act. (R. 423.) Plaintiff, medical expert Dr. Harold Renacke, and vocational expert
Miriam Greene 3 all testified. (R. 424.)
i.
Plaintiff’s testimony
At the time of the hearing, Plaintiff continued to live with his mother, brother and
nephew. (R. 426–27.) He was still not working, and testified that he had been out of work
during the period of May 1, 1992 through February 3, 2000. (R. 427.) When asked what kept
him from being able to work, Plaintiff responded that in his left arm, “all [the] nerves got cut in
the car accident [and were] destroyed.” (Id.) Plaintiff testified that he had surgery to repair his
arm, but the doctor informed him that it was going to stay “like that” for life because the nerves
in the arm were destroyed. (Id.)
Plaintiff also testified that he suffered from depression and needed surgery on his feet.
(R. 428–29.) From May 1, 1992 through February 3, 2000, he was not able to walk outside
because he could not find properly fitting shoes given the “big bone coming out of [his] foot.”
(R. 441.) He could not walk for an hour at a time, and could only stand “sometimes.” (Id.) He
testified that he could only lift five to ten pounds with his right arm without losing his balance.
(R. 442.)
Plaintiff recalled that his seizures could “happen any time,” and in October of 1991, they
caused him to fall out of bed and cut his chin. (R. 450.) Plaintiff was drinking at the time. (Id.)
He gave up alcohol in 1996 and started taking Dilantin, and he did not have seizures frequently
after that. (R. 451.) Plaintiff would also suffer asthma attacks every two to three months. (R.
3
Ms. Greene was identified in the transcript as “Marion Greene.” (See R. 424.)
7
452.)
Plaintiff testified that prior to his work as a molder and caster, he operated a silk screen
press. (R. 445.) He would carry one five-gallon paint can each day to the screen. (R. 445–46.)
He did this for approximately two years. (R. 446.) Prior to that, he worked as a t-shirt screen
printer, for about two to three years, and prior to that he was a pizza delivery person. (R. 446–
47.)
ii.
Medical expert’s testimony
Dr. Harold Renacke, a board-certified doctor of internal medicine, reviewed the exhibits
admitted into evidence at the hearing and testified as a medical expert. (R. 430.) At the time of
his testimony, Dr. Renacke had not examined Plaintiff. (Id.) He observed that Plaintiff was
examined on September 22, 1987 for an injury involving his upper left extremity, sustained on
September 22, 1982 when his vehicle was struck by another. (R. 431.) Dr. Renacke testified
that, at the time of the examination in 1987, Plaintiff had a history of paralysis in his left upper
extremity, but reported no history of seizures as of that date. (R. 431–32.) After reviewing the
findings from the September 22, 1987 examination, Dr. Renacke concluded that a palsy of the
brachial plexus would result in weakness and near- paralysis of Plaintiff’s deltoid muscle, but
noted that there was no comment about any problem with the use of Plaintiff’s fingers or left
hand. (R. 432–33.) Dr. Renacke also noted that Plaintiff was treated at Long Island College
Hospital from 1994 through November 8, 2002 and diagnosed with “post-traumatic left arm
neuropathy,” bronchial asthma and seizure disorder. (R. 433–34.) He observed that the
problems with Plaintiff’s feet were not originally mentioned following the motor vehicle
accident, and appeared to have developed later. (R. 434.)
Dr. Renacke reviewed the status of each of Plaintiff’s other impairments in the relevant
8
time period. He testified that Plaintiff’s January 27, 1994 admission to Long Island College
Hospital appeared to coincide with heavy drinking on Plaintiff’s part, and noted that the
electroencephalogram (“EEG”) examination at the time was “somewhat abnormal, but not
abnormal for a seizure disorder.” (R. 437.) He also testified that subsequent EEGs performed
within the timeframe showed “electroform spikes.” (Id.) He opined that the seizures were well
controlled by medication. (R. 437–38.) Dr. Renacke also testified that there was no record of
emergency room visits or hospitalization for Plaintiff’s bronchial asthma. (R. 438.) The records
indicated complaints and wheezing, but Dr. Renacke characterized the asthma as “mild to
moderate.” (Id.) Dr. Renacke also noted a February 24, 2003 psychiatric examination by Dr.
Renee Davis, who concluded that Plaintiff had “an adjustment disorder whereas [sic] depression
[and] he had alcohol dependence in remission.” (R. 439.) Under the circumstances, Plaintiff
would be able to function in a work setting. (Id.)
When asked if Plaintiff’s condition met any of the listings set forth in the Social Security
Regulations, Dr. Renacke testified that it did not. (R. 439–40.) He testified that the record was
insufficient to determine whether Plaintiff was unable to walk or stand for an hour at a time
during the relevant time period, given his foot problems. (R. 440.) There was one note dated
December 29, 2000 that indicated Plaintiff had a “collasity” in his right lower extremity which
made it painful for him to walk. (R. 447.)
iii. Vocational expert’s testimony
Vocational expert Miriam Greene described Plaintiff’s work as a molder and caster as
medium, semi-skilled work with an SVP 4 level of three, given that Plaintiff was working with
4
“SVP stands for ‘specific vocational preparation,’ and refers to the amount of time it
takes an individual to learn to do a given job.” Urena-Perez v. Astrue, No. 06-CV-2589, 2009
9
metals. (R. 454–55.) She described Plaintiff’s work as a silk-screen operator as light work with
an SVP level of three, and his job as a delivery person as light work with an SVP level of two.
(R. 456.) Greene testified that Plaintiff could not perform his past relevant work as he performed
it, nor as it was generally performed in the national economy. (R. 458.) ALJ Vecchio then
described a hypothetical person to Green, based on the same age, education and work experience
as the Plaintiff. (Id.) The hypothetical involved the following description:
Assume I find this Claimant capable of work in the exertional level
of light during the period in question. Assume I find the following
exertional limitations. The Claimant can lift up to 20 pounds with
[h]is right arm which is his dominant arm. . . . Claimant has no
practical use of his left arm. Assume the Claimant’s . . . ability to
walk and stand is limited to 20 minutes at a time. [Also] assume
the following non-exertional limitations . . . [:] internal relatively
dust and allergen free environment.
(Id.) Greene testified that, based on the above assumptions, the hypothetical individual could
perform some “security positions where a person would be at a desk checking people’s
credentials when they enter an area.” (R. 459.) This job, a “surveillance system monitor” or
“[g]ate guard” was listed as sedentary at an SVP level of two. (R. 459–60.) Greene also testified
that 1000 jobs of that kind existed in the region, given the assumed impairments, and noted that
the numbers given were for government service, “but indeed there are additional jobs for private
industry that use surveillance system monitors for building security purposes.” (R. 460.) A
quarter of a million jobs existed in the national economy. (Id.) Greene further testified that 5000
general security guard jobs in the region, and 100,000 jobs in the nation, could be performed
with only the use of one dominant hand. (R. 462.) On cross-examination by Plaintiff’s attorney,
WL 1726217, at *20 n.43 (S.D.N.Y. Jan. 6, 2009) (quoting Jeffrey Scott Wolfe & Lisa B.
Proszek, Social Security Disability and the Legal Profession 163 (2002)), report and
recommendation adopted as modified, No. 06-CV-2589, 2009 WL 1726212 (S.D.N.Y. June 18,
2009).
10
Greene admitted that an individual in a security guard or surveillance monitor position might
lose his position if he suffered a seizure on the job. (R. 464–65.)
d.
December 12, 2011 hearing
Following a second appeal to and remand from the district court and remand from the
Appeals Council, the ALJ (ALJ Romeo) held a second supplemental hearing, to reconcile the
inconsistencies in Vocational Expert Greene’s testimony with the definitions of surveillance
systems monitor and security guard as they are defined in the Dictionary of Occupational Titles
(“DOT”), which definition (1) does not include private positions, (2) requires frequent exposure
to weather, and (3) requires the use of both arms. (R. 499–502, 505.) At the hearing, the ALJ
heard testimony from Plaintiff and from vocational expert Andrew Vaughn. (R. 621.)
i.
Plaintiff’s testimony
Plaintiff testified that a car accident in 1982 left him with nerve damage in his left arm,
and that, to date, he could not lift it. (R. 628.) He also sustained a cut on his head, and suffered
memory problems following the accident. (Id.) Following the accident, he had headaches,
which required medication, and began to suffer from seizures, which require Dilantin. (R. 631.)
Plaintiff testified that the seizures make him afraid to go anywhere by himself. (R. 629.)
Plaintiff also testified to having asthma, which causes breathing problems so severe that he
cannot take the train. (R. 629.)
ii.
Vocational expert’s testimony
Andrew Vaughn, a vocational expert, was presented with the following hypothetical,
assuming an individual with the same age, education and work history as Plaintiff:
Assume further that the individual, during the period from May 1st
of 1992 to February 3rd of 2000 could do light work except the
individual could use their right dominant arm to lift and carry 20
pounds occasionally and 10 pounds frequently; and can use their
11
right hand to perform both gross and fine manipulations . . .
without any limitations. However, they had no functional use of
their left arm. Assume further that this hypothetical individual can
sit six out of eight; stand or walk up to six out of eight hours; but
should not stand or walk continuously for more than 20 minutes at
a time. The hypothetical individual is further limited to work in
which he would not be exposed to concentrated levels of dust,
fumes, odors, allergens because of asthma; and must avoid
unprotected heights or moving machinery because of seizure . . . .
(R. 634.) Vaughn testified that “surveillance system monitor would be an acceptable position
with these limitations in mind.” (R. 636.) He indicated that the job could be done with only one
hand, (id.), and that it was available as a job in the private sector, with duties “consistent” with
those described for the government sector position, (R. 637–38). Vaugh was not able to say
specifically how having functional use of only one arm would reduce the number of jobs
available, and noted that “getting past the interview process with noted limitations” might be an
issue. (R. 638.) Vaughn testified that, at the time of the hearing, there were 79,000 surveillance
system monitor jobs in the national economy and 1100 in the region. (R. 639.) He did not have
numbers available for the period of May 1, 1992 through February 3, 2000. (Id.)
Vaughn also testified as to other jobs. He determined that security guard was not an
appropriate position for the hypothetical individual described above. (R. 640.) However, two
sedentary jobs were available: order clerk, which had 211,000 jobs in the national economy and
6000 jobs in the region at the time of the hearing, (R. 642); and call out operator or creditor
authorizer, which had 53,000 jobs in the national economy and 2000 jobs in the region at the
time of the hearing, (R. 644). Vaughn did not have job numbers available for the period at issue.
(R. 643–44.) When questioned as to whether the order clerk and call-out operator or credit
authorizer jobs could be performed with one hand, Vaughn indicated that it would be possible
provided there was hands-free phone technology, which was available in 1992. (R. 646–47.) At
the conclusion of the hearing, Vaughn agreed to obtain job numbers for 1992 through 2000. (R.
12
669.)
iii. Supplemental correspondence with vocational experts
On January 17, 2012, Vaughn wrote a letter to the ALJ informing her that he was unable
to provide employment numbers for her hypotheticals prior to 1999. (R. 591.) Vaughn informed
the ALJ that he enlisted the assistance of Andrew Pasternak, another vocational expert with years
of experience and “numerous contacts/resources” to try to find employment numbers back to
1992, but was unable to do so. (Id.) The ALJ sought and received consent from Plaintiff to
solicit testimony from Pasternak through interrogatories. (R. 592, 594–95.)
On April 24, 2012, the ALJ sent Pasternak a vocational interrogatory listing 24 specific
questions related to Pasternak’s qualifications and professional opinion regarding the jobs
available during the period in question. (R. 596–601.) She posed the following hypothetical to
Pasternak, assuming an individual of Plaintiff’s age, education and work experience:
Assume further that the individual during the period from May 1
1992 to Feb 3 2000, could do light work — except: although the
individual could use their right dominant arm to lift and carry 20
lbs occasionally and 10 lbs frequently and can use their right hand
to perform both gross and fine manipulation . . . without any
limitations they had no functional use of their left arm. Assume
further that this individual can sit 6 hours out of an 8 hour day;
stand or walk up to 6 hours in an 8 hour day but should not stand
or walk continuously for more than 20 minutes at a time. The
individual is further limited to work in which he would not be
exposed to concentrated levels of dust, fumes, odors, allergens
because of asthma and must avoid unprotected heights or moving
machinery because of seizures.
(R. 598.) Pasternak marked “yes” when asked if the hypothetical individual could perform the
job of surveillance system monitor, and “no” to the question of whether the job of surveillance
system monitor requires the use of both hands. (R. 604.) When asked if the number of jobs as
surveillance system monitor would be reduced because the individual only has functional use of
one hand, he marked “no” and added “not significantly.” (Id.) Pasternak acknowledged that
13
surveillance system monitor is listed as a government job in the DOT, but said that based on his
“39 years of experience as a vocational rehabilitation counselor, including on-site job analysis,”
there were private sector surveillance system monitor jobs. (R. 604–05.) He affirmed that the
requirements of a private sector surveillance system monitor position were the same as the
government position. (R. 605.) He also affirmed that an individual with the hypothetical
limitations could perform the positions of order clerk, DOT 209.567-104 and/or credit
authorizer/call-out operator, DOT 237.367-014. (Id.) When asked “[i]f the positions of order
clerk . . . credit authorizer/call out operator . . . or surveillance system monitor . . . are not
available to the hypothetical individual, could the individual perform any unskilled occupations,”
Pasternak marked “yes.” (R. 606.)
As an attachment to the interrogatory, Pasternak included a letter clarifying his responses
to several questions regarding the number of jobs available to the hypothetical individual for the
period May 1, 1992 through February 3, 2000. (R. 608–09.) According to the letter, statistics
for the occupations were only archived and available for the years 1999 and 2000, and not for
any earlier year. (R. 608.) Pasternak wrote that “[w]hile it might be possible to try to project
backwards to the years in question, in my opinion as a Vocational Expert this would be highly
speculative and the veracity of such numbers could be in question.” (R. 608.) He did, however,
note that in 1999 there were 3500 surveillance system monitor jobs locally and 54,400
nationally, and in 2000 there were 4021 locally and 55,200 nationally. (Id.) Similarly, in 1999
there were 10,780 order clerk jobs locally and 376,430 nationally, and in 2000 there were 8270
locally and 351,580 nationally. (Id.) In 1999, there were 2570 call-out operator jobs locally and
82,900 nationally, and in 2000, there were 2760 locally and 82,890 nationally. (Id.)
In response to a question asking him to explain his findings to the extent they conflict
14
with the DOT, Pasternak explained that pushing a control button and using a telephone does not
require the use of both hands. (Id.) He concluded, based on his experience, that all three jobs
can be performed with one dominant hand. (Id.)
e.
Medical evidence
Below, the Court briefly recounts the medical evidence provided for the period of May 1,
1992 through February 3, 2000, which is the only period at issue in the instant action.
i.
Dr. Harold A. Schechter
On August 14, 1996, Dr. Harold A. Schechter, an internist in New York, examined
Plaintiff and reviewed his medical records. (R. 176–77.) Dr. Schechter noted that Plaintiff
sustained a left arm brachial plexus injury following a motor vehicle accident in September
1982. (R. 176.) Plaintiff underwent an operation for brachial plexus nerve repair at Lutheran
Hospital in 1983, but complained that his left arm was still weak and “nonfunctional.” 5 (Id.)
Plaintiff stated that he developed a seizure disorder following the accident. (Id.) Plaintiff also
complained of “low back disorder,” frequent headaches, and chronic anxiety following the
accident. (Id.) Dr. Schechter noted that Plaintiff was hospitalized at Long Island College
Hospital in February of 1996 for a seizure disorder. (Id.)
Dr. Schechter’s examination revealed several “well healed” lacerations on Plaintiff’s
scalp and surgical scars present in his neck area. (R. 177.) Plaintiff exhibited a “dull affect” and
“poor memory with difficulty concentrating.” (Id.) There was marked weakness in his upper
left extremity with muscle atrophy and decreased left arm biceps reflex. (Id.) Plaintiff
complained of pain in his neck, spine and left shoulder on motion. (Id.) Dr. Schechter
5
A different record, from Long Island College Hospital, indicates that Plaintiff had
brachial plexus surgery in 1982. (R. 237.)
15
concluded that following Plaintiff’s motor vehicle accident, he sustained a “permanent left
brachial plexus injury,” and “post traumatic seizure disorder with mild organic mental
syndrome,” as well as “chronic lumbosacral derangement. (Id.) Dr. Schechter concluded that
Plaintiff was permanently disabled from his usual occupation. (Id.)
ii.
Long Island College Hospital
Plaintiff sought treatment at Long Island College Hospital, starting on January 27, 1994,
when Plaintiff was hospitalized following a seizure he had at home. The records provided show
several follow-up appointments with various physicians at Long Island College Hospital,
continuing through 1999.
1.
January – February 1994 admission to hospital for seizure
disorder
On January 27, 1994, Plaintiff was admitted to Long Island College Hospital after having
a seizure at home. (R. 106.) The examining physician diagnosed Plaintiff with alcohol-related
seizures, noting that he had a history of seizure disorder since 1982, and had last taken Dilantin,
his seizure medication, six months prior. (R. 108.) The physician prescribed Thiamine, Librium,
and Valium. (Id.) He recommended routine calcium, magnesium and liver enzymes. (Id.) On
January 28, 1994, Dr. Peddanua noted on the “patient’s progress record” that Plaintiff had
received intravenous Valium, Thiamine, Librium and Dilantin. (R. 109.) Dr. Peddanua ordered
potassium supplements and “Dilantin therapeutic.” (Id.) That same day, the attending physician
noted that Plaintiff was “agitated,” “shaky” and “diaphoretic.” (R. 111.) Plaintiff was referred
to psychiatry by Dr. Al Sayed Beder. (R. 116.) The “consultation report” indicated that Plaintiff
was restless, tremulous, confused and irritable. (Id.) On January 29, 1994, the attending
physician noted that Plaintiff “had an episode of seizure while in the ER.” (R. 112.) Later that
day, it was noted that “psych consult appreciated.” (Id.) On January 30, 1994, at a psychiatry
16
follow-up, the examining physician noted that Plaintiff was anxious and needed to be reoriented
by staff.
Plaintiff underwent a computed tomography (“CT”) scan, EEG and chest X-ray. (R. 106,
113.) A report from the Department of Radiology indicated that, on images of Plaintiff’s chest,
there was “resorption of both distal clavicles suggestive of hyperparathyroidism,” rheumatoid
arthritis and osteolysis due to trauma, as well as “Hillsachs deformity” of the right “humeral
head.” (R. 119.) A CT scan of Plaintiff’s brain indicated a “moderate diffuse cerebral atrophy
with mild superimposed element of hydrocephalus,” as well as acute sinusitis. (R. 120.) On
February 3, 1994, Dr. Marlon Seliger reviewed the results of the EEG, which was performed on
Plaintiff while Plaintiff was awake, drowsy, and asleep. (R. 105.) Dr. Seliger’s interpretation of
the EEG results was that they were abnormal. (Id.) He also noted that, at the time, Plaintiff had
a history of seizures and alcohol abuse, and was taking Dilantin, Librium, and Thiamine. (Id.)
On February 1, 1994, Plaintiff underwent a neurological evaluation with Dr. Nsima-Jbuy.
(R. 117–18.) The physician noted “mild ct [sic] facial,” atrophy, wasting and weakness of the
trapezius due to trauma, and weaker motor skills due to trauma. (R. 118.) On February 4, 1994,
none of the examining physicians noted seizure activity, and one noted that Plaintiff would start
a full dose of Tegretol after tapering off Dilantin. (R. 114.) Plaintiff was ambulating with a slow
and steady gait, and no injury was noted. (Id.) Plaintiff was discharged on February 5, 1994
with no further seizure activity noted. (R. 106, 115.)
2.
Other medical evidence relating to Plaintiff’s seizure disorder
On May 19, 1998 and September 15, 1998, Plaintiff had follow up appointments at Long
Island College Hospital at which he reported no seizure activity and continued use of Dilantin.
(R. 131–33.) On September 17, 1998, Dr. Seliger interpreted a follow-up EEG performed on
17
Plaintiff while Plaintiff was awake and drowsy. Dr. Seliger noted that the results were abnormal
and “indicative of an epileptiform potential.” (R. 130.)
On December 30, 1998, February 16, 1999, May 18, 1999, August 31, 1999, and
November 30, 1999, Plaintiff had several follow up appointments at Long Island College
Hospital regarding his seizure disorder. The doctors noted no seizures and that Plaintiff
continued using Dilantin. (R. 125–28, 139–40, 297–300.) On May 18, 1999, Dr. Seliger noted
that Plaintiff was being treated for epilepsy at the Long Island College Hospital Clinic. (R. 185.)
On February 2, 2000, Dr. P. Ahora noted that Plaintiff had been seen at Long Island College
Hospital medical clinic since 1996 for seizure disorder, asthma, and paralysis of the left arm. (R.
182.)
3.
Medical evidence relating to Plaintiff’s other physical
impairments
On October 22, 1997, Dr. King’Asia noted that Plaintiff was under the care of Long
Island College Hospital for bronchial asthma, seizure disorder, and “allergic rhinitis” from 1992
through 1997. (R. 194.)
On May 5, 1998, Dr. A. Sinha noted that Plaintiff was being treated at Long Island
College Hospital for left arm weakness due to trauma, seizure disorder and asthma. (R. 195.)
On May 27, 1998, Plaintiff presented at the Long Island College Hospital medical clinic. (R.
141.) Notes from the visit indicate Plaintiff’s history of seizures and treatment with Dilantin, his
history of asthma and asthma medications, and his “s/p neck” since 1982, which resulted from a
car accident and caused Plaintiff “weakness” since 1982. (Id.)
In January of 1999, Plaintiff underwent surgery for the “hypertrophic” scar on his face,
and had follow up appointments on January 15, January 22, February 12, March 5, April 9, May
7, June 4, July 9 and October 1, 1999. (R. 311–19.)
18
On February 24, 1999, Plaintiff presented at Long Island College Hospital with cold-like
symptoms. (R. 283.) The examining physician noted Plaintiff’s history of seizures and asthma,
and noted the scar on the left side of his neck from past surgery. (Id.) Plaintiff was diagnosed
with “well controlled” seizures and remained on Dilantin, asthma, and an upper respiratory
infection. (Id.) His asthma medication was increased and he was given a cough suppressant.
(Id.)
On March 12, 1999 and July 14, 1999, Plaintiff saw Dr. P. Ahora, who noted Plaintiff’s
history of seizures and asthma, and residual left arm weakness. (R. 136–38, 280–82.) Dr. P.
Ahora also verified that Plaintiff was following up at the clinic for seizures and asthma and had
suffered from left arm weakness since 1982. (R. 196.) Dr. P. Ahora saw Plaintiff again on
November 12, 1999. (R. 88, 134–35, 277–78.) He noted that Plaintiff presented with a history
of seizure disorder, though he reported no seizures for the past five years, and trauma in 1983,
and noted that Plaintiff complained of pain in his foot. (R. 134, 277.) There was no swelling or
chills from fever. (Id.)
On November 12, 1999, Dr. Thazin Saw of Long Island College Hospital noted that
Plaintiff “is unable to work because of paralysis of left arm since 1982. He also suffers from
seizures disorder and asthma.” (R. 183, 193.) In a similar note dated December 1, 1999, Dr.
Seliger noted that Plaintiff has “severe weakness of the left arm due to an injury” which “is
permanent.” (R. 186.) On February 29, 2000, Dr. Seliger wrote a letter indicating that Plaintiff
“has severe left arm weakness due to an injury. This is permanent. He also is treated for seizure,
high cholesterol, and asthma.” (R. 184.)
iii. Kings-M.D. Medical Services
On February 4, 2000, Plaintiff saw Dr. Babu Joseph at Kings-M.D. Medical Services.
19
(R. 142–51.) Dr. Joseph noted that Plaintiff was treated for seizures at Long Island College
Hospital in 1994 through 1996. (R. 143.) Plaintiff complained that he had three seizure attacks
in the six months preceding the examination, the last of which was two weeks prior. (R. 142.)
Upon examination, Dr. Joseph observed that Plaintiff had difficulty dressing and undressing and
getting on and off the examination table. (Id.) He noted an old scar on the left side of the neck
and skull, though the neck was “supple, with no masses.” (Id.)
Plaintiff had “marked weakness” in the upper left extremity, and muscular wasting in the
left deltoid muscle, left arm and forearm. (R. 144.) Plaintiff’s fine and coarse finger dexterity
were “affected” in the left hand, and he was unable to flex or supinate his left forearm. (Id.) Dr.
Joseph noted that the weakness of the upper left extremity was “secondary to motor vehicle
accident.” (Id.) He also diagnosed Plaintiff with chest pain, bronchial asthma, seizure disorder
and nervous disorder. (Id.) Plaintiff’s walking was restricted due to exertional “dyspnea
secondary to bronchial asthma,” and carrying and lifting heavy objects was “[s]everely restricted
due to marked weakness of the left upper extremity and exertional dyspnea secondary to
bronchial asthma.” (R. 145.) Plaintiff was not restricted from standing and sitting. (Id.) He was
prohibited from working near heavy machinery and driving a car due to his history of seizure
disorder. (R. 415.)
f.
The ALJ’s September 25, 2012 decision
The ALJ conducted the five-step sequential analysis as required by the Social Security
Administration under the authority of the Social Security Act (the “Act”). At the first step, the
ALJ noted that Plaintiff has not engaged in substantial gainful activity since September 22, 1982.
(R. 486.) The ALJ next found that during the period from May 1, 1992 through February 3,
2000, the Plaintiff had severe impairments, including weakness of the left upper extremity
20
secondary to a motor vehicle accidence, bronchial asthma, and seizure disorder. (Id.)
Acknowledging the findings from Long Island College Hospital, including the findings of Drs.
Seliger, Schecter and Joseph, the ALJ determined that the impairments were severe during the
period because they caused significant limitations on Plaintiff’s physical ability to do basic work
activities. (R. 487.) The ALJ also determined that there was insufficient clinical documentation
to support a finding of a severe impairment based on Plaintiff’s foot pain or alleged mental or
psychiatric condition. (R. 487–88.) Third, the ALJ determined that the impairments did not
equal the severity of the impairments listed in 20 CFR Part 404, Subpart P, Appendix 1, during
the period at issue. (R. 488.) The ALJ noted that “particular consideration” was paid to Listings
1.02, 3.03, and 11.14, but rejected each. (R. 488–89.)
Thus, the ALJ examined Plaintiff’s residual functional capacity (“RFC”) and determined
that, from the period May 1, 1992 through February 3, 2000, Plaintiff was capable of light work.
(R. 489.) Specifically, the ALJ found that Plaintiff could lift and carry up to 20 pounds
occasionally and up to 10 pounds frequently with his right, dominant arm and could perform
both gross and fine manipulation with the right hand, but had no functional use of the left arm.
(Id.) Further, the ALJ found that Plaintiff could sit up to six hours in an eight-hour work day and
could stand or walk up to six hours in an eight-hour work day, but could not do so continuously
for more than 20 minutes at a time. (Id.) In addition, Plaintiff was restricted to work that would
not entail exposure to concentrated levels of dust, fumes, odors and allergens, or require being
around unprotected heights or moving machinery. (Id.) The ALJ determined that the medical
evidence supported a finding that Plaintiff suffered wasting and atrophy in his left upper
extremity. (R. 490.) She determined, however, that Plaintiff’s seizure disorder was related to his
long history of alcoholism, and warranted no more restriction than that he not work around
21
unprotected heights and moving machinery. (Id.) She also observed that Plaintiff was not
hospitalized for his asthma, and that Dr. Khin Aung described it as “well controlled.” (Id.) The
ALJ further found that Plaintiff’s complaints of head and foot pain, as well as arm pain, were not
well documented for the period at issue. (Id.) In reaching the determination that Plaintiff
maintained the RFC to perform light work, the ALJ afforded little weight to the opinion of Dr.
Schechter and his conclusion that Plaintiff was permanently disabled. (R. 491.)
Next, the ALJ determined that Plaintiff could not perform his past relevant work as a cast
and mold maker. (R. 491–92.) At the fifth step in her analysis, the ALJ determined that Plaintiff
was 33 years old at the beginning of the period at issue and 41 years old at the end of it, and has
a limited education and no transferrable job skills. (R. 492.) She concluded that, given his age,
education and work experience, there were jobs that existed in significant numbers in the
national economy that Plaintiff could have performed during the relevant period. (R. 492.) The
ALJ relied on vocational expert Vaughn’s testimony that Plaintiff would have been able to
perform the jobs of surveillance system monitor, order clerk, and call-out operator or credit
authorizer. (R. 492–93.) Each had an SVP of 2, was unskilled and could be learned over a
period of no more than thirty days. (R. 493.)
The ALJ explained that while the description of these jobs typically requires the use of
both hands, each of them could be performed with one hand. (R. 493.) Specifically, the ALJ
recounted Vaughn’s testimony describing the three positions and under what circumstances each
could be performed with one hand. (Id.) The ALJ found that vocational expert Pasternak
corroborated Vaughn’s testimony in the interrogatories, and deferred to the experience and
training of the vocational experts, and concluded that each job could be performed with one
dominant hand. (R. 493–94.) The ALJ then concluded that each of the jobs existed in
22
significant numbers in the years 1999 and 2000. (R. 494.) As for the years 1992 through1998,
the ALJ concluded that at the hearing on January 19, 2006, Greene identified 1000 and 2500
surveillance system monitor jobs in the local and national economies, respectively, and
concluded that it was “reasonable to deduce, since her testimony occurred over six years ago,”
that those numbers were based on statistics which “stretched back further in time than Mr.
Pasternak’s statistics.” (R. 494–95.) The ALJ stated that it is “reasonable to conclude that [the
jobs] existed in significant numbers and did not suddenly materialize as of 1999 and 2000.” (R.
494.) Therefore, the ALJ determined that Plaintiff was not under a disability as defined in the
Act from the period of May 1, 1992 through February 3, 2000, and was not entitled to SSD or
SSI benefits. (R. 495.)
II. Discussion
a.
Standard of review
“In reviewing a final decision of the Commissioner, a district court must determine
whether the correct legal standards were applied and whether substantial evidence supports the
decision.” Butts v. Barnhart, 388 F.3d 377, 384 (2d Cir. 2004) as amended on reh’g in part, 416
F.3d 101 (2d Cir. 2005); see also Selian v. Astrue, 708 F.3d 409, 417 (2d Cir. 2013) (per curiam).
Substantial evidence requires “more than a mere scintilla.” McIntyre v. Colvin, 758 F.3d 146,
149 (2d Cir. 2014) (quoting Richardson v. Perales, 402 U.S. 389, 401 (1971)); Moran v. Astrue,
569 F.3d 108, 112 (2d Cir. 2009) (quoting Burgess v. Astrue, 537 F.3d 117, 127 (2d Cir. 2008)).
“It means such relevant evidence as a reasonable mind might accept as adequate to support a
conclusion.” Moran, 569 F.3d at 112 (citation omitted). Once an ALJ finds facts, the court “can
reject those facts only if a reasonable factfinder would have to conclude otherwise.” Brault v.
Soc. Sec. Admin., 683 F.3d 443, 448 (2d Cir. 2012) (citations and internal quotation marks
23
omitted). In deciding whether substantial evidence exists, the court “defer[s] to the
Commissioner’s resolution of conflicting evidence.” Cage v. Comm’r of Soc. Sec., 692 F.3d
118, 122 (2d Cir. 2012); McIntyre, 758 F.3d at 149 (“If evidence is susceptible to more than one
rational interpretation, the Commissioner’s conclusion must be upheld.”). The Commissioner’s
factual findings “must be given conclusive effect so long as they are supported by substantial
evidence.” Genier v. Astrue, 606 F.3d 46, 49 (2d Cir. 2010) (citation and internal quotations
omitted). If, however, the Commissioner’s decision is not supported by substantial evidence or
is based on legal error, a court may set aside the decision of the Commissioner. Box v. Colvin, 3
F. Supp. 3d 27, 41 (E.D.N.Y. 2014); see Balsamo v. Chater, 142 F.3d 75, 79 (2d Cir. 1998). “In
making such determinations, courts should be mindful that ‘[t]he Social Security Act is a
remedial statute which must be ‘liberally applied;’ its intent is inclusion rather than exclusion.’”
McCall v. Astrue, No. 05-CV-2042, 2008 WL 5378121, at *8 (S.D.N.Y. Dec. 23, 2008)
(alteration in original) (quoting Rivera v. Schweiker, 717 F.2d 719, 723 (2d Cir. 1983)).
b.
Availability of benefits
Federal disability insurance benefits are available to individuals who are “disabled”
within the meaning of the Act. To be eligible for disability benefits under the Act, the plaintiff
must establish his or her 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). The impairment must be of “such severity that he is not
only unable to do his previous work but cannot, considering his 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). The Commissioner has promulgated a five-step analysis
24
for evaluating disability claims. 20 C.F.R. § 404.1520. The Second Circuit has described the
steps as follows:
The first step of this process requires the [Commissioner] to
determine whether the claimant is presently employed. If the
claimant is not employed, the [Commissioner] then determines
whether the claimant has a “severe impairment” that limits her
capacity to work. If the claimant has such an impairment, the
[Commissioner] next considers whether the claimant has an
impairment that is listed in Appendix 1 of the regulations. When
the claimant has such an impairment, the [Commissioner] will find
the claimant disabled. However, if the claimant does not have a
listed impairment, the [Commissioner] must determine, under the
fourth step, whether the claimant possesses the residual functional
capacity to perform her past relevant work. Finally, if the claimant
is unable to perform her past relevant work, the [Commissioner]
determines whether the claimant is capable of performing any
other work. If the claimant satisfies her burden of proving the
requirements in the first four steps, the burden then shifts to the
[Commissioner] to prove in the fifth step that the claimant is
capable of working.
Kohler v. Astrue, 546 F.3d 260, 265 (2d Cir. 2008) (quoting Perez v. Chater, 77 F.3d 41, 46 (2d
Cir. 1996)).
c.
Analysis
Defendant moves for judgment on the pleadings, claiming that the Commissioner’s
decision is supported by substantial evidence and should be affirmed. Plaintiff cross-moves for
judgment on the pleadings, arguing that reversal is appropriate because, in step five, the ALJ
improperly relied on the testimony of Vaughn, Pasternak and Greene to determine that there
were jobs available in the national economy for the entire period of May 1, 1992 through
February 3, 2000. Plaintiff argues that the combined testimony of the vocational experts is
insufficient to meet the Commissioner’s burden of proof. Plaintiff further argues that remand for
the sole purpose of calculation of benefits is the appropriate remedy, given that Plaintiff’s
application has been pending for more than thirty years and the Commissioner has been unable
25
to sustain her burden.
i.
Vocational expert testimony
Plaintiff argues that the ALJ’s determination at step five — that Plaintiff could perform
other jobs that existed in significant numbers in the national economy — was not supported by
substantial evidence. Plaintiff asserts that the testimony of vocational experts Pasternak and
Vaughn regarding the availability of jobs in 2011, 2000 and 1999 was insufficient to show the
availability of those jobs for the “entire relevant period.” Plaintiff further argues that the
testimony of vocational expert Greene at the 2006 hearing did not support a finding that the
named jobs existed in the period May 1, 1992 through February 3, 2000. Because these were
insufficient to provide a basis for a determination in the relevant period, Plaintiff contends that
the ALJ’s conclusion that the jobs must have existed during the time period is not based on
substantial evidence and must be reversed.
The Commissioner contends that the vocational expert testimony constituted substantial
evidence, and the ALJ properly reconciled the testimony of the vocational experts and
information contained in the DOT to determine that the Commissioner satisfied her burden of
proof at step five. The Commissioner further argues that “[t]he ALJ was not required to
specifically acquire employment numbers for each and every year of the period at issue,” and
that the testimony of Greene related to the whole of the period at issue. (Comm’r Mem. 15.)
In determining whether there is substantial evidence to support the ALJ’s findings, the
Court must examine the entire record, including any evidence from which conflicting inferences
can be drawn. Selian, 708 F.3d at 417. While it may be the case that the ALJ was not required
to specifically obtain employment numbers for each individual year of the period at issue, the
ALJ’s conclusion that jobs existed in significant numbers during the period at issue must be
26
based on some evidence beyond the ALJ’s own intuition or speculation. See Cosnyka v. Colvin,
576 F. App’x 43, 46 (2d Cir. 2014) (finding administrative law judge’s conclusion that there
were jobs the plaintiff could perform was not based on substantial evidence when vocational
expert’s testimony about what jobs were available turned on administrative law judge’s
determination that the plaintiff would have to take a six minute break every hour, which “was not
based on the record [which only stated plaintiff needed to be off-task for ten percent of the work
day] but was the result of the ALJ’s own surmise”); McCauley v. Astrue, No. 08-CV-0067, 2009
WL 4891760, at *6 (N.D.N.Y. Dec. 16, 2009) (adopting report and recommendation that rejected
suggestion of administrative law judge that the plaintiff’s limitations, as outlined by the treating
physician, were improving, noting the suggestion was “based upon mere conjecture by the ALJ,
rather than actual medical evidence or opinion”); see also Wilson v. Barnhart, 284 F.3d 1219,
1227 (11th Cir. 2002) (The administrative law judge’s findings in step five, as to which jobs a
claimant is able to perform must be “supported by substantial evidence, not mere intuition or
conjecture.”) (citation omitted). Furthermore, the ALJ is not permitted to substitute her own lay
opinion for that of an expert. Burgess, 537 F.3d at 131.
Here, the ALJ concluded that the combination of testimony from Greene, Vaughn and
Pasternak led to the “reasonable” conclusion that there was a significant number of jobs available
within Plaintiff’s restrictions in the relevant time period. (R. 494–95.) The ALJ determined that
it was “reasonable to deduce” that Greene’s testimony “stretched back further in time than Mr.
Pasternak’s statistics,” and that it was “reasonable to conclude that [the jobs] existed in
significant numbers and did not suddenly materialize as of 1999 and 2000.” (Id.) However,
there is no indication that this was in fact a “reasonable” conclusion, and the record indicates
otherwise. First, Pasternak wrote that, in his expert opinion, such backward projection, “would
27
be highly speculative and the veracity of such numbers could be in question.” (R. 608.) Second,
Clarke testified in the initial hearing in 2003 that there were no sedentary jobs available for an
individual with Plaintiff’s limitations, (R. 351), contrary to Vaughn’s testimony that Plaintiff
could perform the jobs of call-out operator/credit authorizer or order clerk, a discrepancy which
the ALJ did not address. Third, it is not clear from the record that Greene’s testimony related to
the period in question, and not merely “jobs that exist.” (Compare R. 424 (testimony of medical
expert was to be about condition “during the period in question” but testimony of vocational
expert was about “whether there’s any work you can perform”) and R. 459–60 (testifying about
“work that exists in the nation”) with R. 457–58 (presenting hypothetical to Greene assuming “I
find this Claimant capable of work in the exertional level of light during the period in question,”
asking whether he could perform his past relevant work).) Given that the evidence before the
ALJ was ambiguous and equivocal, it was improper for the ALJ to substitute her own opinion as
to whether there were jobs available within Plaintiff’s limitations for the period prior to 1999.
See Hensley v. Colvin, --- F. Supp. 3d ---, ---, 2015 WL 867656, at *5–6 (M.D. Fla. Mar. 2,
2015) (“Here, the vocational expert was not able to provide any more than a rough ‘guesstimate’
as to the relationship that the number of jobs available to plaintiff between 1990 and 1993 bore
to the number of jobs available in 2012. The Court declines to find this testimony constituted
substantial evidence.” (citing Wilson, 284 F.3d at 1227)); Belge v. Astrue, No. 09-CV-0529, 2010
WL 3824156, at *10 (M.D. Fla. Sept. 27, 2010) (remanding to determine the basis for the
vocational expert’s estimation that a one-third reduction of the number of jobs available at time
of hearing, in 2008, was appropriate calculation to determine the number of jobs available in
1998, noting that vocational expert testified it was difficult to “break down exactly” what the
numbers were for 1998, but that to reduce by one third “would be a fair estimate of the numbers
28
that may have been, you know, close”); Harmison v. Halter, 169 F. Supp. 2d 1066, 1072 (D.
Minn. 2001) (finding vocational expert’s testimony which indicated that it was “kind of iffy” or
“questionable” whether plaintiff would be able to function in certain positions provided
“sufficient doubt as to whether a person with plaintiff’s limitations would be able to perform jobs
existing in substantial numbers in the national economy” and concluding that there was not
substantial evidence to sustain the administrative law judge’s finding because the testimony was
“equivocal at best”).
Furthermore, to the extent the ALJ relied on Greene’s expert testimony, that testimony
was challenged on Plaintiff’s second appeal to the Eastern District of New York, because Greene
failed to explain the conflicts between her description of the job and the description that existed
in the DOT, and failed to identify where she obtained her information regarding the private
surveillance system monitor job. (See R. 501–02.) ALJ Vecchio’s decision was vacated because
of the insufficiency of Greene’s testimony, and as a result, Greene’s testimony alone would not
constitute substantial evidence. See Corbett v. Colvin, No. 12-CV-1294, 2014 WL 687991, at
*3–4 (M.D. Fla. Feb. 21, 2014) (rejecting step five finding when administrative law judge
determined forty percent reduction in current job numbers was appropriate to obtain numbers for
period in question based on population information, and vocational expert agreed, but “he did not
state where that ‘information’ came from, and there is no indication in the administrative
transcript or the Decision that the population information provided by the ALJ was accurate”).
The Commissioner relies on two cases to support her contention that the ALJ was
justified in relying on the opinions of the vocational experts, even though they did not provide
specific numbers of jobs available during the relevant time period. (Comm’r Mem. 15 (citing
Williams v. Colvin, No. 13-CV-180, 2014 WL 1681707, at *1 (D. Vt. Mar. 31, 2014) (adopting
29
report and recommendation) and LeBlanc v. Shalala, No. 93-CV-4337, 1994 WL 24937 (5th Cir.
1994) (per curiam) (unpublished table decision)).) The Commissioner’s reliance on Williams,
and the citing references provided, is misplaced. Williams concerned the extent to which a
vocational expert must identify the sources of his figures or supporting documentation to
substantiate his conclusion as to the number of jobs available in the national and regional
economy. See Williams, 2014 WL 1681707, at *13 (report and recommendation); see also
Brault v. Soc. Sec. Admin., 683 F.3d 443, 450 (2d Cir. 2012) (finding no error when the ALJ
accepted vocational expert testimony, given that he “identified the sources he generally
consulted to determine [the job numbers],” identified any conflict between his testimony and the
DOT, and advised the ALJ of the differences and basis for his opinion); Galiotti v. Astrue, 266 F.
App’x 66, 68 (2d Cir. 2008) (“The vocational expert identified the sources he generally
consulted to determine such figures. [Plaintiff] has not pointed to any applicable regulation or
decision of this Court requiring a vocational expert to identify with greater specificity the source
of his figures or to provide supporting documentation.”); see also Bayliss v. Barnhart, 427 F.3d
1211, 1218, 1218 n.4 (9th Cir. 2005) (denying Plaintiff’s argument that the Federal Rules of
Evidence, including expert testimony rules and case law, apply in administrative proceedings,
noting that a vocational expert’s recognized expertise provide the necessary foundation for his
testimony regarding the number of available jobs). Furthermore, LeBlanc involved a vocational
expert who specifically testified that the identified jobs existed in significant numbers, something
that Pasternak and Vaughn were unable to do. See LeBlanc, 1994 WL 24937, at *4 (“[Plaintiff]
does not point to any authority that requires a vocational expert to state specific numbers of jobs.
The expert testified that the jobs existed in significant numbers. This is substantial evidence
upon which the ALJ could make his finding.”).
30
In cases where, as here, the experts did not reach a conclusion as to the time period prior
to 1999, were unable to connect the number of jobs available in 1999 to those available earlier in
time, and indeed stated that any such conclusion would be based on mere speculation, it cannot
be said that there is substantial evidence to support the ALJ’s determination as it applies to the
period from May 1, 1992 through the end of 1998. As to the period from 1999 through February
4, 2000, the Court finds that the Commissioner’s decision was supported by substantial evidence.
ii.
Remand for calculation of benefits
Plaintiff contends that remand for the sole purpose of calculation of benefits is the
appropriate remedy in a case such as this one, where his application has been pending for more
than thirty years and “[t]here is no reason to believe that a remand would serve any useful
purpose if, after all these years and after consulting four vocational experts, the Commissioner
has not been able to meet her burden of proof.” (Pl. Mem. 16.) At oral argument, Defendant
argued that if the Court remands the case, the Court should remand for further administrative
proceedings and not for determination of benefits. Defendant conceded that a brief time limit,
such as 60 days, could be imposed upon the administrative proceedings, but argued that the
Commissioner should be given further opportunity to search the archives for relevant data.
Generally, when a court determines that the findings of the ALJ are not supported by
substantial evidence or the ALJ has applied an improper legal standard, remand is appropriate to
further develop the evidence in the record. Butts, 388 F.3d at 385–86; Baron v. Astrue, No. 11CV-4262, 2013 WL 1245455, at *19 (S.D.N.Y. Mar. 4, 2013) (“Remand is particularly
appropriate where further findings or explanation will clarify the rationale for the ALJ’s
decision.” (citing Pratts v. Chater, 94 F.3d 34, 39 (2d Cir. 1996))) report and recommendation
adopted, 2013 WL 1364138 (S.D.N.Y. Mar. 26, 2013).
31
However, if the court determines that a claimant has met his burden of showing disability
at the first four steps, and the Commissioner has failed to meet her burden of rebuttal, a court
may remand for further proceedings or may remand solely for calculation of benefits. Butts v.
Barnhart, 416 F.3d 101, 104 (2d Cir. 2005) (holding that because Commissioner failed to meet
her burden to provide vocational testimony about the availability of appropriate jobs, thus failing
to meet burden of rebuttal at the fifth step, it was not an abuse of discretion to remand for further
proceedings but noting that “order of a benefits calculation was hardly out of the question”);
Curry v. Apfel, 209 F.3d 117, 124 (2d Cir. 2000) (Where reversal is based solely on the
Commissioner’s failure to sustain his burden in the fifth step, “remand for the sole purpose of
calculating an award of benefits is mandated.” (citing Balsamo v. Chater, 142 F.3d 75, 82 (2d
Cir. 1998))), superseded by statute on other grounds, as recognized in Selian, 708 F.3d 409;
Parker v. Harris, 626 F.2d 225, 235 (2d Cir. 1980) (remand for calculation of benefits
appropriate where step five determination was not supported by vocational expert testimony,
noting “we have reversed and ordered that benefits be paid when the record provides persuasive
proof of disability and a remand for further evidentiary proceedings would serve no purpose”);
Fortier v. Astrue, No. 10-CV-1688, 2012 WL 3727178, at *17 (D. Conn. May 11, 2012)
(remanding for calculation of benefits when “the Court has the benefit of testimony from the
vocational expert that there are no jobs existing in significant numbers in the national economy
for someone with Plaintiff's limitations to perform”) report and recommendation adopted, No.
10-CV-1688 (D. Conn. May 29, 2012) (unpublished ruling and order); Huhta v. Barnhart, 328 F.
Supp. 2d 377, 387 (W.D.N.Y. 2004) (“The Commissioner has failed to meet her burden that
plaintiff can perform other work after December 10, 1996. Accordingly, a remand solely for the
calculation of benefits is warranted.”). This is particularly true in cases that have been pending
32
for long periods of time, though “delay alone is an insufficient basis on which to remand for
benefits.” Marble v. Barnhart, No. 04-CV-4899, 2006 WL 407551, at *3 (E.D.N.Y. Feb. 17,
2006) (quoting Bush v. Shalala, 94 F.3d 40, 46 (2d Cir. 1996)).
Plaintiff’s first application was filed more than thirty years ago, has been appealed to the
district court on three separate occasions, and has been the subject of four hearings before three
administrative law judges. There is little indication in the record that further testimony on the
matter would prove useful in determining whether jobs existed in significant numbers during the
period from May 1, 1992 through the end of 1998. 6 The Commissioner has conceded that
“because the period at issue ranges from fourteen to twenty-two years ago, accurate data
regarding the number of jobs available as surveillance system monitor, order clerk, and call-out
operator [are] not available as data for recent years or for the present [are].” (Comm’r Mem. 14.)
Because of the length of time the application has been pending and the indication that further
proceedings would be of limited use, the action is remanded solely for calculation of benefits as
to the period from May 1, 1992 through the end of 1998. See Curry, 209 F.3d at 124 (remanding
for calculation of benefits when application pending for more than six years, and further
evidentiary hearings and appeal could result in further delay); Balsamo, 142 F.3d at 82
(remanding four-year old application for calculation of benefits based on errors at step five);
Parker, 626 F.2d at 235 (remanding for calculation of benefits, noting that Appeals Council
declined review of claim because “[f]or the administrative law judge to obtain current vocational
testimony on jobs [that the plaintiff] could have performed on June 30, 1976 would not be
6
The Court notes that while, as Defendant argued, the ALJ is not required to obtain
employment numbers for every single year, because there is specific testimony from vocational
expert Pasternak that extrapolating backward would be speculative and, because there is no
evidence to connect the 1999 numbers to 1992, ALJ Romeo’s finding as to 1992 through 1998 is
not supported by substantial evidence.
33
inappropriate”); Marble, 2006 WL 407551, at *3 (remanding ten-year-old claim, noting that
“[t]hough it is within my discretion to give the Commissioner another chance to carry her
burden, I believe fairness requires that I decline to do so”); Huhta, 328 F. Supp. 2d at 387
(finding remand for calculation of benefits warranted when Commissioner failed to meet burden
at step five).
III. Conclusion
For the foregoing reasons, Defendant’s motion for judgment on the pleadings is granted
in part and denied in part. Plaintiff’s cross motion for judgment on the pleadings is granted in
part and denied in part. The Court finds that the ALJ erred by failing to properly assess whether,
given Plaintiff’s limitations, there were jobs in significant numbers available during the time
period from May 1, 1992 through the end of 1998. The Commissioner’s decision is vacated and
this action is remanded for computation of benefits. See 42 U.S.C. § 405(g); Curry, 209 F.3d at
124. The Clerk of Court is directed to close this case.
SO ORDERED:
s/ MKB
MARGO K. BRODIE
United States District Judge
Dated: July 14, 2015
Brooklyn, New York
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