Glover v. Astrue
Filing
16
DECISION AND ORDER denying 5 Motion for Judgment on the Pleadings; granting 7 Motion for Judgment on the Pleadings. This matter is remanded to the Commissioner for a new hearing consistent with this Decision and Order, pursuant to 42 U.S.C. § 405(g), sentence four. Signed by Hon. Charles J. Siragusa on 10/28/11. (KAP)
UNITED STATES DISTRICT COURT
WESTERN DISTRICT OF NEW YORK
_______________________________________
MICHELLE GLOVER,
Plaintiff
DECISION AND ORDER
-vs10-CV-6392 CJS
MICHAEL J. ASTRUE,
Commissioner of Social Security,
Defendant.
________________________________________
APPEARANCES
For the Plaintiff:
Kenneth R. Hiller, Esq.
Ida Comerford, Esq.
Law Offices of Kenneth Hiller
6000 North Bailey Avenue, Suite 1A
Amherst, New York 14226
For the Defendant:
Jane B. Wolfe, A.U.S.A.
Kathryn L. Smith, A.U.S.A.
John J. Field, A.U.S.A.
United States Attorney’s Office
100 State Street, Room 500
Rochester, New York 14614
INTRODUCTION
This is an action brought pursuant to 42 U.S.C. § 405(g) to review the final
determination of the Commissioner of Social Security (“Commissioner” or “Defendant”),
which denied the application of Michelle Glover (“Plaintiff”) for supplemental security
income (“SSI”) disability benefits. Now before the Court is Defendant’s motion [#5] for
judgment on the pleadings and Plaintiff’s cross-motion [#7] for judgment on the
pleadings. For the reasons that follow, Plaintiff’s motion is granted, Defendant’s motion
1
is denied, and this matter is remanded for further administrative proceedings.
PROCEDURAL HISTORY
The procedural history of this action was accurately set forth in Defendant’s brief
as follows: “Plaintiff protectively filed for SSI benefits on December 27, 2006, and was
denied (T. 11, 38-41, 88-91, 121).11 A hearing before administrative law judge (ALJ)
Wallace Tannenbaum was held on July 23, 2009 (T. 19-37, 42). On August 10, 2009,
the ALJ issued a decision denying Plaintiff’s claim (T. 8-18). The ALJ’s decision became
the final decision of the Commissioner when the Appeals Council denied Plaintiff’s
request for review on November 20, 2009 (T. 1-7, 85-86).” Def. Memo of Law [#5-1] at 12.
VOCATIONAL HISTORY
Plaintiff was thirty-six years old at the time of the hearing before the ALJ. (22).
Plaintiff had earned a GED diploma and completed at least two years of college. (36)
She also earned an associate’s degree or certificate in medical transcription after the
onset of her alleged disability. (355) Plaintiff has worked as “[an] assembly line worker,
cashier, cook and telemarket[er].” (56) Plaintiff’s earning history, covering the years
1988 to 2009, indicates that she had income of $13,000.00, $16,000.00, and
$14,000.00, in 1996, 1997, and 1998, respectively. (92) In several other years, she
earned only a few thousand dollars or less. (Id.) She has no reported income for the
following years: 1993, 2001-2003, and 2006-2009. In 2002, Plaintiff applied for Social
Security Disability, for unspecified reasons, and was denied. (123) In 1995, Plaintiff
1
Unless otherwise noted, all citations are to pages of the adm inistrative record.
2
worked as a grocery store cashier. (103). This work required her to stand primarily, and
to lift less than ten pounds. (130) Between 1995 and 1998, she worked on an assembly
line making cameras. (Id.). This work required her to sit and stand twelve hours per day,
and to frequently lift 25 pounds, and occasionally up to 50 pounds. (104, 129) On June
25, 1998, Plaintiff injured her shoulder while working on the camera assembly line. (56)
The following year, she earned slightly less than $4,000.00 doing unspecified work. (92)
In 2004 Plaintiff earned approximately $800 working part-time as a telemarketer, which
required her to sit and lift less than ten pounds. (24, 92, 103, 132) In 2005, Plaintiff
earned approximately $300 doing unspecified work. (92)
Since 1998, Plaintiff has claimed to be unable to work due to a variety of ailments
including pain in her neck, back, shoulders, and wrists, as well as migraine headaches,
asthma, and depression. (56) As noted above, in 2004 Plaintiff worked briefly as
telemarketer part time, which involved sitting at a desk and making telephone calls. (24)
Plaintiff stated that such part-time work bothered her neck, back, and wrists, and that she
had to stand up and walk frequently because she could not sit for long periods of time.
(34)2
ACTIVITIES OF DAILY LIVING
At the hearing before the ALJ, Plaintiff testified that she has “chronic pain,”
involving both shoulders and wrists, “cervical spasms” in her neck, and “lower back
spasms.” (24-25) Plaintiff testified that her oldest child, who is fifteen years old, performs
cooking and cleaning, while Plaintiff supervises her. (28) Plaintiff indicated that the only
2
Plaintiff’s representative m aintained that Plaintiff was fired from this job because she could not sit
and hold her head in one position. (58)
3
cooking she performs is with a microwave oven. (Id.) Plaintiff testified that she is able to
drive. Plaintiff indicated that she socializes with family and friends and listens to the
radio. (Id.) Plaintiff stated that she can only lift “three to four pounds,” and that she
cannot lift a gallon of milk. (30)3 Plaintiff further stated that she sees her children off to
school in the morning, and takes a three-hour nap most days, because her medications
make her feel tired. (32-33) In a Social Security Administration form, Plaintiff described
her daily activities as follows: “Get the kids off to school. Go to therapy pool,
acupuncture. Come home, sleep until kids get home. Make microwave food and help as
much with homework. [sic] Go back to sleep.” (140) Plaintiff testified that she feels
depressed because there are many things she can no longer do. (35)
MEDICAL EVIDENCE
Plaintiff’s medical history was summarized in the parties’ submissions and need
not be repeated here in its entirety. It is sufficient for purposes of this Decision and
Order to note the following facts. Plaintiff’s medical problems include surgery on both
shoulders for impingement problems, carpal tunnel syndrome, back and neck pain,
migraine headaches, asthma, and depression. Plaintiff’s primary care doctor, Geoffrey
Williams, M.D. (“Williams”), has prescribed a wide variety of medications for Plaintiff,
including Vicodin, Oxycontin, Zolof, Flexeril, and Celebrex. (117)
In February 2002, Allen Pettee, M.D. (“Pettee”) performed neurologic testing,
which was essentially normal, except for mild neurologic abnormality due to carpal tunnel
syndrome. Pettee indicated that Plaintiff was complaining of numbness, tingling, and
3
As discussed further below, a few m onths prior to the hearing, Plaintiff told her doctor that she
could lift up to ten pounds. (265).
4
pain in her hands. (192) Pettee reported that his testing showed only mild carpal tunnel
syndrome, which did not suggest any need for urgent surgical intervention. (194) Pettee
further observed that an MRI performed in April 2000 showed no radiculopathy in the
cervical spine. (192) In April 2002, Pettee performed further testing and found that
Plaintiff’s condition was unchanged. (195-196) At that time, Pettee observed that
Plaintiff had full strength and full hand and arm power. (195) Regarding Plaintiff’s
complaint of neck pain, Pettee indicated that Plaintiff had “cervicogenic pain [which was]
not discogenic in nature.” (197)
On July 1, 2002, Robert Little, Jr., M.D. (“Little”), a treating othopedist, stated, in
connection with a worker’s compensation claim, that Plaintiff had 22.5% loss of use of
her right arm/shoulder. (199)
On May 12, 2003, Michael Kuttner, Ph.D. (“Kuttner”) gave Plaintiff a Behavioral
Medicine Evaluation, for purposes of pain management. (200-202) Plaintiff told Kuttner
that she experienced daily constant pain down the back of her head and spine. Kuttner
observed that Plaintiff was “quite irritable” and “displayed a great deal of pain behavior.”
(200) Kuttner indicated that Plaintiff was “more somaticalll/illness focused” and “slightly
more depressed” than most patients. Kuttern stated that Plaintiff appeared to fall within
a “dysfunctional subgroup” of patients, who
have difficulty in managing their pain due to a higher than normal fear of
the effects of activity on inducing pain and a lower than normal expectation
of their ability to manage those pain effects. She reports high levels of pain
severity, but moderate amounts of interference from that pain in her life.
She reports a low level of sense control over life events and a low level of
affective distress. She reports moderate social supports. She reports low
levels of punitive responses from her environment, and obtains a great deal
of reinforcement for pain behavior. She reports engaging in a great deal of
distraction and a moderately high level of general activity.
5
(201). Kuttner concluded that Plaintiff could benefit from relaxation training with
biofeedback, sensory alteration techniques, and cognitive therapy to reduce her somatic
preoccupation with her pain and related depression. (201)
On May 4, 2006, Plaintiff had MRI testing on her cervical spine and lumbar spine.
(157-158). The cervical spine MRI was normal. (157). The lumbar spine MRI showed
mild degenerative disc disease at L5-S1, with a small disc bulge, and no evidence of
spinal stenosis or significant foraminal narrowing. (158).
On or about September 5, 2006, Williams completed a report indicating that
Plaintiff had the following problems: bilateral carpal tunnel, ceviogenia [sic] neck and
shoulder pain, repetitive motor disorder of the right upper extremity, right rotator cuff tear,
major depression, GERD, asthma, and migraine headaches. (161) Williams stated that
Plaintiff could sit for sixty minutes at a time and stand for fifteen minutes, and that she
had no mental limitations. (161) Williams further stated that Plaintiff had the following
physical limitations: no repetitive motions with hands/arms, no use of arms/hands above
her head, and no lifting over ten pounds. (162).
On March 23 2007, Plaintiff was given a psychiatric evaluation by consultative
examiner Christine Ransom, Ph.D. (“Ransom”). Plaintiff reportedly told Ransom that her
depression was somewhat improved on medication, but that she frequently experienced
crying, irritability and low engergy. (163-164) Plaintiff’s affect was moderately depressed,
but her attention and concentration, memory, and cognitive functioning were all good.
(165) Ransom indicated that Plaintiff’s depression prognosis was “fair to good with more
intensive treatment.” (166) Ransom stated that Plaintiff could follow simple instructions,
perform simple tasks independently, maintain concentration and attention for simple
6
tasks, learn new tasks, and maintain a “simple regular schedule,” but would have
“moderate difficulty” performing complex tasks and dealing with stress. (165)
On March 23, 2007, Plaintiff was examined by internist Brij Sinha, M.D. (“Sinha”),
a consultative examiner. (167-171) Pulmonary function testing showed a “very severe
restriction.” (169) Overwise, though, Sinha’s exam was essentially normal. For example,
Sinha reported the following: no cervical spine spasm or pain, full flexion and rotary
movement in lumbar spine, negative straight leg raising test, full range of movement in
left shoulder, full strength in upper and lower extremities, and full grip strength and
dexterity in hands bilaterally. (169-170) Sinha concluded that Plaintiff had mild to
moderate restriction on heavy lifting and use of shoulders and neck, with no other
limitations except avoiding respiratory irritants. (170)
On March 27, 2007, Williams saw Plaintiff for a “workers comp visit.” (226-227)
Plaintiff reportedly told Williams that her pain was “8 out of 10 in her neck, and 7 out of
10 in her lower back.” (226) Williams stated that Plaintiff had “3+ grip strength” in her
right hand and “4/5 grip strength” in her left hand. Williams further reported that her
“straight leg raise is 45 degrees on the right and 50 degrees on the left.” (226). Williams
renewed Plaintiff’s prescription for hydrocodone acetaminophen. (Id.) The same day,
Williams completed a residual functional capacity assessment report. (211-222) In that
regard, Williams indicated that Plaintiff’s symptoms were “unchanged over past 5 years.”
(212) Williams left most of the form report blank, although he noted that Plaintiff was
“tearful throughout today’s visit - citing tension over continued review of her [disability]
case.” (217) Williams further stated: “The patient has had no changes in work related
restrictions. I consider her condition permanent at this point.” (221)
7
On May 1, 2007, a Social Security Administration medical consultant, M. Apacible
(“Apacible”), completed a Psychiatric Review Technique form, which indicated that
Plaintiff would have moderate difficulty in performing complex tasks and dealing with
stress,” but that she could follow and understand simple directions and perform simple
tasks. (246) Apacible also noted that Plaintiff was moderately limited in her ability to
complete a normal workday and workweek without interruptions from psychologicallybased symptoms and to perform at a consistent pace. (245). Overall, though, Apacible
stated that Plaintiff’s “psychiatric difficulties do not prevent work in which she would have
simple tasks.” (246)
On May 8, 2007, Williams completed one of his most extensive office notes
describing Plaintiff’s condition. He stated:
SUBJECTIVE: Dating back to 6-25-98, she developed pain in the back of
her head particularly left side which moves up the scalp and is become
chronic. She reports a 3 out of 10 consistent pain in that area. The relief
that she gets this [sic] from Vicodin Skelaxin. At time when she uses those
medications her pain can go down to a two out of 10. She reports that she
always has this pain even when at rest since the date of her injury. She
does report that when she stands or [is] under stress that this makes her
cervalgia pain worse. She has had a side effect of Flexeril and is unable to
take it because of diarrhea that occurs with its use. She reports that all
days are bad. She needs to use and [sic] narcotic Vicodin every day to
manage this pain. And there is no period of time in which she can be
comfortable at work with this level of discomfort.
Objective: Her exam is consistent with previous exams. She is tender over
the trapezius as it inserts into the back of her head on both sides and down
to both shoulders. There is no swelling redness or physical changes that I
can observe.
***
I feel because of the constant need for the narcotics and the worsening
under tension situations at work, that she is unemployable because of this.
She has tried to work on various phone lines since developing this injury
8
but has been unsuccessful even and [sic] as little as 3 to 4 days of working
4 hours per day.
(280)
On May 8, 2007, Williams completed a headache residual functional capacity
questionnaire, in which he concluded that based on Plaintiff’s subjective complaints, she
suffers from two types of headaches – migraine headaches and cervicogenic headaches,
with the latter producing constant pain. (256). As for frequency, Williams stated that “all
days are bad,” and added: “I don’t believe that she will be able to work because of the
pain she is in.” (259). When asked what tests he conducted, Williams wrote: “No
additional tests are available to assess pain as this is subjective.” (261)
On August 10, 2007, following an office visit by Plaintiff, Williams wrote: “Her
symptoms remain the same. These have been stable now for over 10 years. I have
again completed the forms related to her disability. She still is not to lift above her head
nor lift greater tan 10 pounds.” (277) On September 25, 2007, Williams reported that
Plaintiff complained of “nine out of ten” pain when she did not take her medication. (271)
He stated: “She reports stinging sharp pain that goes up her neck from her left shoulder
and down her arms. [S]he at times can also get pain down into her right arm.” (Id.)
Williams did not conduct any testing, stating: “As all of her symptoms are subjective and
have not changed in pattern or severity no additional exam is done today.” (Id.) On
October 25, 2007, Williams reported that Plaintiff was requesting another prescription of
Vicodin, which he provided. (268) Williams observed that Plaintiff’s neck was “tender,”
but had a full range of motion. (Id.)
On January 11, 2008, during an office visit, Plaintiff told Williams that her neck
9
pain was “9 out of 10" without narcotic pain relievers, and that with medication it was “4
to 5.” (265) Plaintiff also told Williams that she was able to lift her new baby, which
reportedly weighed ten pounds. (Id.) (“Her baby weighs approximately 10 pounds in right
[sic] and this weight is about as much as she can manage lifting without increasing
discomfort.”) On February 14, 2008, Williams saw Plaintiff, at which time she asked to
be placed back on oxycontin. In that regard, she stated that she was still experiencing “8
out of 10 pain in her neck.” (263) Williams “explained the difficulty with narcotics and
accommodation to current dosing,” and placed Plaintiff back on oxycontin, because he
felt that twice a day dosing would be easier for her to manage. (Id.)
On February 22, 2008, Williams completed a residual functional capacity
assessment form for Plaintiff’s social security representative. (292-295) Most of the form
is left blank. Williams indicated that Plaintiff’s condition was “cervicalgia chronic neck
pain,” which produced symptoms of shoulder pain, neck pain, wrist pain/numbness, and
depression. (292) Williams stated that Plaintiff could not lift more than ten pounds, could
not lift above the shoulders, and could not lift repetitively. (Id.) Williams indicated that
Plaintiff’s pain would “constantly” interfere with her attention and concentration at work.
(293) However, when asked to quantify Plaintiff’s ability to do certain things, such as sit
or stand, Williams wrote: “I defer to specialist [illegible].” (Id.)
On March 6, 2008, Williams reported that Plaintiff was experiencing less pain after
switching from hydrocodone to Oxycontin: “She finds that her pain is almost resolved on
this new medication regimen. Infrequently has she ever reported that the pain has fallen
below even a 4-5 level with her previous pain treatment regimen.” (338) Williams further
indicated that he considered Plaintiff “partially disabled”: “The patient’s pain complaints
10
have been stable for many years she has a permanent partial disability.” (Id.) Williams
also stated that he had “negotiated” with Plaintiff concerning her pain medication: “I’ve
negotiated with her that she will remain on this pain medication regimen over the long
term and that I expected [sic] eventually she will start experiencing more pain and she
[sic] accommodates to this dose I recommend that the medication does not be
increased.” [sic] (Id.)
In or about July 2008, Plaintiff switched from seeing Williams to seeing Stephen
Judge, M.D. (“Judge”). On July 18, 2008, Judge saw Plaintiff for the first time (“This is
my first visit with Michelle”), and noted that she complained of tenderness in her right
wrist, and tenderness in both shoulders, with marked decreased range of motion in the
right shoulder. (298) Referring to Williams’s treatment, Judge stated: “It sounds as
though the basic approach has been one of pain control.” (Id.) On August 18, 2008, one
month into the treatment relationship, Judge completed a residual functional capacity
assessment form for Plaintiff. (301-302) Judge reported that Plaintiff was “very limited” in
her ability to stand, and “moderately” limited in her ability to sit and walk, but he did not
explain why. (301) When asked to describe which work activities were contraindicated,
Judge wrote: “Unchanged. Minimal use of arms/hands – very limited in any repetitive
motion of upper extremities.” (302)
On September 24, 2008, Michael Stanton, M.D. (“Stanton”) performed nerve
conduction testing on Plaintiff, at Judge’s request. (310-311) Specifically, such testing
was in response to Plaintiff’s continued complaints of tingling, numbness, and swelling in
her hands. Upon examination, Stanton observed that Plaintiff had full strength
throughout her upper extremities. (310) (“Normal bulk and 5/5 strength throughout the
11
upper extremities.”). Stanton found evidence of mild neuropathy in the left wrist, but no
evidence of neuropathy in the right wrist. (Id.)
On September 30, 2008, Matthew Tomaino, M.D. (“Tomaino”), whom Plaintiff was
seeing in preparation for surgery on her left shoulder to relieve an impingement, noted:
“Her clinical exam continues to demonstrate a painful arc above 90 degrees, but
reasonable strength.” (309) In or about January 2009, Tomaino performed
decompression surgery on Plaintiff’s left shoulder. On March 20, 2009, Tomaino
observed that Plaintiff had better range of movement in the left arm and shoulder: “[S]he
is elevating her arm to about 135 degrees and rotating it quite nicely.” (345) Tomaino did
not envision that Plaintiff would be permanently disabled to her shoulder: “I am keeping
her on total disability, but when she returns in six weeks we may be able to release her to
some kind of limited duty.” (Id.) In May 2009, Tomaino observed that Plaintiff was still
complaining of pain, that was “a bit out of proportion to where she should be right now.”
(346) He further stated: “Her prognosis is very good. She just had a minor partial tear
and significant bursitis.” (347)
On June 5, 2009, Plaintiff was examined by Rajbala Thakur, M.D. (“Thakur”) at
Strong Hospital Pain Treatment Center. (351-353) Plaintiff told Thakur that her pain was
9 out of 10. (351) Thakur performed physical and neurological examinations that were
essentially normal, including negative straight leg testing. (352) Notably, Thakur
observed, “the patient appeared to have significant allodyma4 on every area that was
examined. Mere touch and light palpation was painful over a large body surface area.”
4
Presum ably he m eant allodynia, which is “pain resulting from a stim ulus (as a light touch of the
skin) which would not norm ally provoke pain.” Merriam W ebster Online Medical Dictionary,
12
(352) Thakur diagnosed the following as likely:
1. Fibromyalgia. 2. Underlying psychiatric comorbidities; 3.Aberrant drug
taking behavior. 4. Strong concern for opioid diversion/addiction as the
patient’s answers about her medication shortage seemed questionable
(180 pills in approximately 2 weeks) She initially insisted that she does not
take more than 6 pills/day, then said she needs to take more due to
increased pain. She denied ever taking close to 12/day, [but] that is how
much she would take to run out of 180 pills in two weeks.
(353) Thakur further indicated that Plaintiff “would benefit from a referral to a chemical
dependency psychiatrist,” though it is unclear whether his report prompted any such
referral. (Id.)
On May 12, 2009, Plaintiff was seen by Karl Michalko, M.D. (“Michalko”), an
orthopedist. Plaintiff reportedly gave Michalko the following information: “In 2004 she
spent two to three months trying to work as a telemarketer but reports she was unable
to tolerate the working [illegible]. She then went to school to be a medical
transcriptionist. She reports she completed that degree but then found the work to be
too repetitive and could not perform that.” (355). On June 18, 2009, following surgery
for DeQuervain’s tenosynovitis, Michalko indicated that Plaintiff would likely be able to
return to some type of work: “She does not have a job to return to yet we do anticipate
at our next evaluation in 4 to 6 weeks that she would be suitable to return to some form
of employment.” (360)5
STANDARDS OF LAW
42 U.S.C. § 405(g) states, in relevant part, that “[t]he findings of the
5
Michalko had previously indicated, prior to surgery, that in his opinion, the likelihood of Plaintiff
being able to return to any “m eaningful form of em ploym ent” was “quite low.” (356). Michalko did not
specify what types of em ploym ent he would consider to be m eaningful.
13
Commissioner of Social security as to any fact, if supported by substantial evidence,
shall be conclusive.” The issue to be determined by this Court is whether the
Commissioner’s conclusions “are supported by substantial evidence in the record as a
whole or are based on an erroneous legal standard.” Schaal v. Apfel, 134 F.3d 496,
501 (2d Cir. 1998). Substantial evidence is defined as “more than a mere scintilla. It
means such relevant evidence as a reasonable mind might accept as adequate to
support a conclusion.” Id.
For purposes of the Social Security Act, disability is the “inability to engage in
any substantial gainful activity by reason of any medically determinable physical or
mental impairment which can be expected to last for a continuous period of not less
than 12 months.” 42 U.S.C. § 423(d)(1)(A); Schaal, 134 F.3d at 501.
The SSA has promulgated administrative regulations for determining when a
claimant meets this definition. First, the SSA considers whether the claimant is
currently engaged in substantial gainful employment. If not, then the SSA
considers whether the claimant has a “severe impairment” that significantly limits
the “ability to do basic work activities. If the claimant does suffer such an
impairment, then the SSA determines whether this impairment is one of those
listed in Appendix 1 of the regulations. If the claimant’s impairment is one of
those listed, the SSA will presume the claimant to be disabled. If the impairment
is not so listed, then the SSA must determine whether the claimant possesses
the “residual functional capacity” to perform his or her past relevant work.
Finally, if the claimant is unable to perform his or her past relevant work, then the
burden shifts to the SSA to prove that the claimant is capable of performing “any
other work.”
Schaal, 134 F.3d at 501 (Citations omitted). At step five of the five-step analysis above,
the Commissioner may carry his burden by resorting to the Medical Vocational
Guidelines or “grids” found at 20 C.F.R. Pt. 404, Subpart P, Appendix 2. Pratts v.
Chater, 94 F.3d 34, 38-39 (2d Cir. 1996)(citation omitted); see also, SSR 83-10 (Stating
14
that in the grids, “the only impairment-caused limitations considered in each rule are
exertional limitations.”) However, if a claimant has nonexertional impairments which
“significantly limit the range of work permitted by his exertional limitations,” then the
Commissioner cannot rely upon the grids, and instead “must introduce the testimony of
a vocational expert [“(VE”)](or other similar evidence) that jobs exist in the economy
which claimant can obtain or perform.”6 Pratts v. Chater, 94 F.3d at 39; see also, 20
C.F.R. § 416.969a(d).7
Under the regulations, a treating physician’s opinion is entitled to controlling
weight, provided that it is well-supported in the record:
If we find that a treating source’s opinion on the issue(s) of the nature and
severity of your impairment(s) is well-supported by medically acceptable
clinical and laboratory diagnostic techniques and is not inconsistent with
the other substantial evidence in your case record, we will give it
controlling weight.
20 C.F.R. § 416.927(d)(2); 20 C.F.R. § 404.1527(d)(2). However, “[w]hen other
substantial evidence in the record conflicts with the treating physician's opinion . . . that
opinion will not be deemed controlling. And the less consistent that opinion is with the
record as a whole, the less weight it will be given.” Snell v. Apfel, 177 F.3d 128, 133 (2d
6
“Exertional lim itations” are those which affect an applicant’s ability to m eet the strength dem ands
of jobs, such as sitting, standing, walking, lifting, carrying, pushing, and pulling. 20 C.F.R. § 416.969a(a).
“Non-exertional lim itations” are those which affect an applicant’s ability to m eet job dem ands other than
strength dem ands, such as anxiety, depression, inability to concentrate, inability to understand, inability to
rem em ber, inability to tolerate dust or fum es, as well as m anipulative or postural lim itations, such as the
inability to reach, handle, stoop, clim b, crawl, or crouch. 20 C.F.R. 416.969a(c).
7
20 C.F.R. § 416.969(d) provides, in relevant part, that, “[w]hen the lim itations and restrictions
im posed by your im pairm ent(s) and related sym ptom s, such as pain, affect your ability to m eet both the
strength [exertional] and dem ands of jobs other than the strength dem ands [nonexertional], we consider
that you have a com bination of exertional and nonexertional lim itations or restrictions. . . . [W ]e will not
directly apply the rules in appendix 2 [the grids] unless there is a rule that directs a conclusion that you are
disabled based upon your strength lim itations; otherwise the rule provides a fram ework to guide our
decision.”
15
Cir. 1999)(citing 20 C.F.R. § 404.1527(d)(4)). Nevertheless,
[a]n ALJ who refuses to accord controlling weight to the medical opinion of
a treating physician must consider various ‘factors’ to determine how
much weight to give to the opinion. 20 C.F.R. § 404.1527(d)(2). Among
those factors are: (i) the frequency of examination and the length, nature
and extent of the treatment relationship; (ii) the evidence in support of the
treating physician's opinion; (iii) the consistency of the opinion with the
record as a whole; (iv) whether the opinion is from a specialist; and (v)
other factors brought to the Social Security Administration's attention that
tend to support or contradict the opinion. Id. The regulations also specify
that the Commissioner ‘will always give good reasons in [her] notice of
determination or decision for the weight [she] give[s] [claimant's] treating
source's opinion.’ Id.; accord 20 C.F.R. § 416.927(d)(2); see also Schaal,
134 F.3d at 503-504 (stating that the Commissioner must provide a
claimant with “good reasons” for the lack of weight attributed to a treating
physician's opinion).
Halloran v. Barnhart, 362 F.3d 28, 32 (2d Cir. 2004).
Administrative Law Judges are required to evaluate a claimant’s credibility
according to the factors set forth in 20 C.F.R. § 404.1529, which states in relevant part:
In determining whether you are disabled, we consider all your symptoms,
including pain, and the extent to which your symptoms can reasonably be
accepted as consistent with the objective medical evidence and other
evidence. By objective medical evidence, we mean medical signs and
laboratory findings as defined in § 404.1528 (b) and (c). By other
evidence, we mean the kinds of evidence described in §§ 404.1512(b) (2)
through (6) and 404.1513(b) (1), (4), and (5) and (e). These include
statements or reports from you, your treating or examining physician or
psychologist, and others about your medical history, diagnosis, prescribed
treatment, daily activities, efforts to work, and any other evidence showing
how your impairment(s) and any related symptoms affect your ability to
work. We will consider all of your statements about your symptoms, such
as pain, and any description you, your physician, your psychologist, or
other persons may provide about how the symptoms affect your activities
of daily living and your ability to work.
***
In evaluating the intensity and persistence of your symptoms, including
pain, we will consider all of the available evidence, including your medical
history, the medical signs and laboratory findings and statements about
how your symptoms affect you. (Section 404.1527 explains how we
consider opinions of your treating source and other medical opinions on
16
the existence and severity of your symptoms, such as pain.) We will then
determine the extent to which your alleged functional limitations and
restrictions due to pain or other symptoms can reasonably be accepted as
consistent with the medical signs and laboratory findings and other
evidence to decide how your symptoms affect your ability to work.
20 C.F.R. § 404.1529(a); 20 C.F.R. § 416.929(a). The regulation further states, in
relevant part:
Factors relevant to your symptoms, such as pain, which we will consider
include:
(i) Your daily activities;
(ii) The location, duration, frequency, and intensity of your pain or other
symptoms;
(iii) Precipitating and aggravating factors;
(iv) The type, dosage, effectiveness, and side effects of any medication
you take or have taken to alleviate your pain or other symptoms;
(v) Treatment, other than medication, you receive or have received for
relief of your pain or other symptoms;
(vi) Any measures you use or have used to relieve your pain or other
symptoms (e.g., lying flat on your back, standing for 15 to 20 minutes
every hour, sleeping on a board, etc.); and
(vii) Other factors concerning your functional limitations and restrictions
due to pain or other symptoms.
20 C.F.R. § 404.1529(c)(3); 20 C.F.R. § 416.929(c)(3).
THE HEARING AND ALJ’S DECISION
On March 25, 2008, Plaintiff’s representative wrote to the Social Security
Administration in support of Plaintiff’s claim and indicated that Plaintiff had the following
limitations: Able to lift 5-10 pounds, able to sit for sixty minutes at a time, moderately
limited in using hands and pushing/pulling, unable to perform repetitive work with
hands, and unable to use arms above her head. (55-59) Plaintiff’s representative also
appeared to indicate that, in addition to these limitations, Plaintiff was primarily disabled
due to migraine headaches, which caused her to have “all bad days.” (57)
On July 23, 2009, a hearing was held before the ALJ. On August 10, 2009, the
17
ALJ issued the decision that is the subject of this action. (11-18). At the first step of the
five-step sequential analysis described above, the ALJ found that Plaintiff had not
engaged in substantial gainful employment since December 27, 2006, the application
date. (13) As discussed further below, though, the ALJ noted that Plaintiff had not
actually engaged in substantial gainful employment since her shoulder injury in 1999.
(13) At the second step of the analysis, the ALJ found that Plaintiff had the following
severe impairments: “Bilateral Carpal Tunnel, Cerviogenia, Repetitive Motor D/O Rt
upper extremity, rotator cuff tear, Major depression, GERD, asthma, migraines.” (13).
At step three of the five-step analysis, the ALJ found that Plaintiff did not have a listed
impairment. (13). In concluding that Plaintiff’s depression did not meet the
requirements for a listed impairment, the ALJ noted that such impairment caused
Plaintiff to have “mild restriction” in her daily activities, with no difficulty in social
functioning, moderate difficulty with regard to concentration, persistence or pace, and
no limitation on attention or concentration. (14). At step four of the five-step analysis,
the ALJ found that Plaintiff had the residual functional capacity (“RFC”) “to perform the
full range of sedentary work as defined in 20 C.F.R. § 416.967(a)8 with the following
non-exertional limitations: no more than occasional pushing, pulling, bending, or use of
stairs and claimant should avoid pollen, dust, respiratory irritants, extreme change of
8
This regulation states:
(a) Sedentary work. Sedentary work involves lifting no m ore than 10 pounds at a tim e and
occasionally lifting or carrying articles like docket files, ledgers, and sm all tools. Although
a sedentary job is defined as one which involves sitting, a certain am ount of walking and
standing is often necessary in carrying out job duties. Jobs are sedentary if walking and
standing are required occasionally and other sedentary criteria are m et.
20 C.F.R.
§ 416.967(a) (W est 2011).
18
temperature, and extreme humidity.” (14). Significantly, in this regard, the ALJ found
that Plaintiff had no limits on her ability to sit, stand, or walk. In making this RFC
determination, the ALJ gave “little weight” to the opinions of Williams and Judge, who
are both treating physicians. On the other hand, the ALJ gave “substantial weight” to
the opinions of Ransom and Sinha, who are consulting physicians who each examined
Plaintiff once.
Moreover, in making this RFC determination the ALJ made certain negative
findings concerning Plaintiff’s credibility. For example, the ALJ suggested several times
that Plaintiff had apparently lied at the hearing concerning the number of children that
she had. (15) (“At the hearing, claimant testified that she has three children ages 7, 9
and 13. Claimant failed to disclose that she recently had a baby which she cares for at
home.”); (16) (“Claimant reported to Dr. Ransom that she . . . spends time with her
three children. The undersigned finds inconsistency in that claimant’s treating physician
notes that she has a baby born on about December 2007 which she cares for[.]”); (17)
(“”Dr. Williams’ records also reflect that claimant had a baby approximately on
December 1, 2007. Claimant has omitted this information throughout the remainder of
this record and even testified at the hearing that she had 3 children ages 7, 9 and 13.”).
However, as Defendant now concedes, the ALJ was clearly incorrect on this point,
since Plaintiff testified at the hearing that she had four children:
Q. With whom do you live at the present time?
A. Myself and four children.
Q. How old are the children?
19
A. 15, 11, 9, and 1 years of age.
Q. Do the older children go to school?
A. Yes.
(22). The ALJ apparently also seems to have suggested that Plaintiff was being
dishonest about her ability to drive a car, and in that regard he wrote: “Claimant testified
at the hearing that she has a drivers license but does not drive. In her function report,
claimant states she does drive and travels by driving a car when she goes out.” (15).
Plaintiff’s two statements, though, are not inconsistent, since, while she did previously
indicate that she had a car, at the hearing she testified that she did not drive because
she no longer had a car. (28) Moreover, she was not asked whether she could drive,
just whether she did drive. Therefore, it does not appear that Plaintiff was being
misleading concerning her ability to drive.
Based on this residual functional capacity determination, the ALJ found that
Plaintiff was able to perform her “past relevant work as a telemarketer.” (18). As noted
earlier, Plaintiff had worked briefly as a part-time telemarketer in 2004, but stopped due
to her claimed physical limitations. Nevertheless, because the ALJ found that Plaintiff
could perform her past relevant work, he found that she was not disabled, and he
therefore did not continue on to the fifth and final step of the sequential analysis.
ANALYSIS
The Court finds that the ALJ’s decision contains certain errors which require that
this case be remanded for further administrative proceedings. At the outset, the ALJ
erred by finding that Plaintiff could perform her past relevant work as a telemarketer,
20
because he also found, earlier in his decision, that Plaintiff’s work as a telemarketer
was not substantial gainful activity. In that regard, to qualify as “past relevant work,”
work must qualify as “substantial gainful activity.” See, 20 C.F.R. § 404.1560(b)(1)
(“Past relevant work is work that you have done within the past 15 years, that was
substantial gainful activity, and that lasted long enough for you to learn to do it.”); see
also, Hignite v. Shalala, 25 F.3d 1057, 1994 WL 235558 at *1 (10th Cir. Jun. 2, 1994)
(unpublished, table) (“Among other requirements, past relevant work must be
substantial gainful employment. 20 C.F.R. 416.965(a); Jozefowicz v. Heckler, 811 F.2d
1352, 1355 (10th Cir.1987).”).9 Accordingly, on remand, the ALJ must determine
whether Plaintiff can perform any of her past work that fits this definition, and that was
sedentary.10 If not, the ALJ must proceed to step five of the sequential analysis.
The ALJ also made factual errors which affected his credibility determination, as
discussed earlier. Accordingly, on remand, the ALJ must reconsider his credibility
determination, in light of Plaintiff’s actual testimony. See, Genier v. Astrue, 606 F.3d 46,
50 (2d Cir. 2010) (“Because the ALJ's adverse credibility finding, which was crucial to
his rejection of Genier's claim, was based on a misreading of the evidence, it did not
comply with the ALJ's obligation to consider “all of the relevant medical and other
9
The boilerplate section of the ALJ’s decision recognizes this point. See ALJ’s Decision (12)
(“[T]he work m ust have lasted long enough for the claim ant to learn to do the job and have been SGA
[substantial gainful activity].”) The Court is aware that Plaintiff’s representative also incorrectly referred to
her telem arketing work as “past relevant work experience.” (56)
10
The ALJ found that Plaintiff was only capable of perform ing sedentary work. It does not appear
that any of Plaintiff’s work prior to her injury was sedentary.
21
evidence,” 20 C.F.R. § 404.1545(a)(3), and cannot stand.”).11
In addition, the Court finds that on remand the ALJ must develop the record
concerning an additional medical source that was identified at the hearing. Specifically,
at the hearing Plaintiff indicated that she was seeing a therapist, “Dr. Peter Sullivan,” for
depression. (35-36) The record does not contain any information concerning such a
therapist,12 and neither the ALJ nor Plaintiff’s representative followed-up on Plaintiff’s
testimony. Such failure to develop the record is apparently significant, since the ALJ
twice mentioned, in his decision, that Plaintiff had not sought outpatient mental health
treatment, and was only “receiving treatment for depression through her primary care
physician.” (14, 16) Accordingly, remand is appropriate for the ALJ to develop the
record on this point. See, Atkinson v. Barnhart, 87 Fed.Appx. 766, 2004 WL 206324 at
*3 (2d Cir. Feb. 3, 2004) (“We hold that the ALJ did not adequately fulfill his duty to
develop the record in this case. At the hearing, plaintiff clearly indicated that she was
being treated at both NYU and St. Luke's. The ALJ sought medical records from St.
Luke's from 1991 to the present, but made no similar request to NYU. The gap in the
record is particularly glaring because the ALJ based his conclusion that plaintiff did not
have a serious mental impairment on the fact that she had “never received psychiatric
treatment for her alleged depression” and had “never been prescribed anti-depressant
11
In addition to the m atters already discussed, the ALJ rem arked on the fact that Plaintiff had
apparently told Sinha that she “perform s all household activities,” and that such evidence is inconsistent
with what Plaintiff told her other doctors. (16) However, inasm uch as these hearings are non-adversarial
proceedings, and since Plaintiff has otherwise consistently indicated that she cannot perform such work,
the Court believes that the ALJ should have asked Plaintiff about Sinha’s report, and given her an
opportunity to indicate whether she actually m ade that statem ent. On rem and, the ALJ should clarify this
point.
12
The Court observes, however, that, according to the website of the University of Rochester
Medical Center, Peter Sullivan, LCSW , is em ployed there in the field of Outpatient Adult Psychiatry.
22
medication.” Yet plaintiff testified at the hearing that she was being treated by a
neuropsychiatrist, Dr. Alpo, and that Dr. Alpo prescribed Celexa, an antidepressant.
The ALJ should have sought an evaluation and treatment notes from Dr. Alpo before
concluding that plaintiff's mental impairment did not significantly affect her work-related
abilities.”).
Finally, on remand the ALJ should clarify his statement that, “[W]hile claimant
appears to have a legitimate impairment, her complaints of pain are not fully credible.”
(18) On this point, it appears that Plaintiff’s most disabling claimed impairments would
be “cerviogenia” and “migraine headaches.” The ALJ apparently accepts that Plaintiff
suffers from these conditions, though not to the extent that she claims. The Court is
unclear as to the medical basis for these diagnoses,13 and why, if Plaintiff in fact has
them, the ALJ believes that she is not experiencing the level of pain that she claims. In
this regard, there is no discussion of the possible psychological aspect of Plaintiff’s pain
that has been suggested by Kuttner (201) and Thakur (353), and how that is analyzed
under the Commissioner’s regulations. The ALJ’s decision also does not discuss
Plaintiff’s testimony that she takes three-hour naps most days, because of drowsiness
caused by her medications, consisting of pain relievers and muscle relaxers.14
Presumably, a vocational expert would indicate that someone who must take such naps
13
For exam ple, the Court understands Plaintiff’s MRI results to show no abnorm ality of the cervical
spine, and that Pettee’s neurologic testing showed norm al results. Nevertheless, Pettee indicated that
Plaintiff had “cervicogenic pain [which was] not discogenic in nature.” (197) Moreover, in his statem ent
discussing Plaintiff’s cerviogenic and m igraine headaches, W illiam s wrote: “No additional tests are
available to assess pain as this is subjective.” (261) The Court is unclear as to whether, in m aking these
diagnoses (cerviogenia and m igraine), doctors rely on objective findings, subjective com plaints, or both.
14
Thakur’s report suggests that Plaintiff is exceeding her dosage of pain m edication, which m ay
factor into this analysis.
23
would not be able to hold a job. On remand, the ALJ should address these issues and
develop the record further if necessary.
CONCLUSION
Defendant’s motion for judgment on the pleadings is denied, Plaintiff’s crossmotion for the same relief is granted, and this matter is remanded to the Commissioner
for a new hearing consistent with this Decision and Order, pursuant to 42 U.S.C. §
405(g), sentence four.
So Ordered.
Dated: Rochester, New York
October 28, 2011
ENTER:
/s/ Charles J. Siragusa
CHARLES J. SIRAGUSA
United States District Judge
24
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