Rivera v. Commissioner of Social Security Administration
Filing
18
Memorandum Opinion and Order affirming decision of the Commissioner. Magistrate Judge Vernelis K. Armstrong on 12/10/12. (B,CJ)
IN THE UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF OHIO
WESTERN DIVISION
Angel Rivera,
:
:
:
:
:
:
:
:
Plaintiff,
v.
Commissioner of Social Security,
Defendant,
Case No. 1:12 CV 865
MEMORANDUM
AND ORDER
I. INTRODUCTION
Plaintiff Angel Rivera (“Plaintiff”) seeks judicial review, pursuant to 42 U.S.C. § 405(g) of
Defendant Commissioner’s (“Defendant” or “Commissioner”) final determination denying his claim
for Disability Insurance Benefits (“DIB”) and Supplemental Security Income (“SSI”) under Titles II
and XVI, respectively, of the Social Security Act, 42 U.S.C. §§§ 416(i), 423, and 1381 (Docket No. 1).
Pending are the parties’ Briefs on the Merits (Docket Nos. 15 and 17). For the reasons that follow, the
decision of the Commissioner is affirmed.
1
II. PROCEDURAL BACKGROUND
On December 9, 2008, Plaintiff filed an application for a period of DIB under Title II of the
Social Security Act, 42 U.S.C. §§ 416(i) and 423 (Docket No. 10, p. 95 of 395). On that same day,
Plaintiff filed an application for SSI under Title XVI of the Social Security Act, 42 U.S.C. § 1381
(Docket No. 10, p. 97 of 395). In his application, Plaintiff alleged a period of disability beginning
August 11, 2008 (Docket No. 10, pp. 95, 97 of 395). Plaintiff’s claims were denied initially on March
25, 2009 (Docket No. 10, pp. 67-76 of 395), and upon reconsideration on June 29, 2009 (Docket No.
10, pp. 80-88 of 395). Plaintiff thereafter filed a timely written request for a hearing on September 28,
2009 (Docket No. 10, p. 89 of 395).
On December 10, 2010, Plaintiff appeared with counsel for a hearing before Administrative
Law Judge Kenneth B. Terry (“ALJ Terry”) (Docket No. 10, pp. 37-62 of 395). Also appearing at the
hearing was an impartial Vocational Expert (“VE”) (Docket No. 10, p. 39 of 395). ALJ Terry found
Plaintiff to have a severe combination of chronic obstructive pulmonary disease (“COPD”), diabetes
mellitus, obesity, emphysema, asthma, and sleep apnea, with an onset date of August 11, 2008 (Docket
No. 10, p. 25 of 395).
Despite these limitations, ALJ Terry determined, based on all the evidence presented, that
Plaintiff had not been disabled within the meaning of the Social Security Act at any time from the
alleged onset date through the date of his decision (Docket No. 10, p. 32 of 295). ALJ Terry found
Plaintiff had the residual functional capacity to perform a range of light work with the following
limitations:
1.
2.
Limited to positions where English is not required.
Must avoid concentrated exposure to respiratory irritants, dust, fumes, or
temperature extremes.
(Docket No. 10, p. 25 of 395). ALJ Terry found Plaintiff retained the ability to: (1) lift and/or carry and
2
push and/or pull twenty pounds occasionally and ten pounds frequently; (2) sit for six hours at a time
up to a total of eight hours during an eight-hour workday; and (3) stand and/or walk for two hours at a
time up to a total of six hours during an eight-hour workday (Docket No. 10, p. 25 of 395).
Additionally, ALJ Terry found Plaintiff capable of performing his past relevant work as a food
assembler (Docket No. 10, p. 30 of 395). Plaintiff’s request for benefits was therefore denied (Docket
No. 10, p. 32, of 395).
On April 10, 2012, Plaintiff filed a Complaint in the Northern District of Ohio, Eastern
Division, seeking judicial review of his denial of DIB and SSI (Docket No. 1). In his pleading, Plaintiff
alleged the ALJ’s decision was not supported by substantial evidence with regard to either: (1) meeting
the criteria of § 3.03 of the Listed Impairments; or (2) Plaintiff’s residual functional capacity (Docket
No. 15). Plaintiff also alleged that the ALJ erred by relying on VE testimony that directly conflicted
with the Dictionary of Occupational Titles (“DOT”), for which no explanation was provided (Docket
No. 15). Defendant filed its Answer on July 2, 2012 (Docket No. 9).
III. FACTUAL BACKGROUND
A.
THE ADMINISTRATIVE HEARING
An administrative hearing convened on December 10, 2010 (Docket No. 10, p. 37 of 395).
Plaintiff, represented by counsel Samuel Ruhe, appeared and testified (Docket No. 10, pp. 45-51 of
395).1 Also present and testifying was VE Bruce Holderead (“Mr. Holderead”) (Docket No. 10, pp. 5261 of 395).
1
Given Plaintiff’s limited English-speaking capabilities, his answers were provided to
the ALJ through the use of a Spanish interpreter (Docket No. 10, p. 39 of 395).
3
1.
PLAINTIFF’S TESTIMONY
At the time of the hearing, Plaintiff was a forty-seven-year old married man who resided with
his wife and twelve-year old daughter (Docket No. 10, p. 50 of 395). Plaintiff testified that his wife
was also on disability (Docket No. 10, pp. 50-51 of 395). Prior to his disability, Plaintiff held a variety
of jobs, his most recent employment being a machine operator for Park Ohio (Docket No. 10, p. 50 of
395). Plaintiff testified that he last worked on August 11, 2008 (Docket No. 10, p. 50 of 395), and that
he subsequently received unemployment benefits, which had run out shortly before the administrative
hearing (Docket No. 10, p. 51 of 395).
Plaintiff suffers from a combination of impairments, including COPD and diabetes. With
regard to his diabetes, Plaintiff testified that he was diagnosed with the disease in 2005 and was
currently taking two types of insulin plus a pill to regulate his symptoms (Docket No. 10, p. 49 of 395).
Plaintiff claimed the diabetes medications were ineffective (Docket No. 10, p. 49 of 395). Plaintiff’s
blood sugar was, in his own words, “totally out of control,” with his sugar levels often ranging from
280 to 300 (Docket No. 10, p. 46 of 395). When his blood sugar is high, Plaintiff stated that he loses
his vision and starts shaking (Docket No. 10, p. 46 of 395). When it is low, Plaintiff blacks out (Docket
No. 10, p. 46 of 395). Plaintiff also testified that he experiences numbness and tingling in his hands
and feet on a daily basis as well as fatigue when his blood sugar is uncontrolled (Docket No. 10, pp.
46-47 of 395). Plaintiff stated that his uncontrolled diabetes also affects his breathing, making it more
difficult (Docket No. 10, p. 47 of 395).
Plaintiff’s breathing difficulties also began in 2005 (Docket No. 10, p. 45 of 395). According to
Plaintiff, his COPD has gradually gotten worse, to the point that, three weeks prior to the
administrative hearing, Plaintiff began using oxygen twenty-four hours a day (Docket No. 10, p. 45 of
4
395). Plaintiff testified that he has to sleep in his living room because he cannot climb the stairs to the
bedroom (Docket No. 10, pp. 45-46 of 395). Plaintiff stated that he requires assistance to tie his shoes
and shower (Docket No. 10, p. 46 of 395). He also indicated that his breathing difficulties wake him up
at night, usually every thirty to forty minutes (Docket No. 10, p. 47 of 395).
When asked about his daily activities, Plaintiff indicated that he does nothing during the day
and stated that when he needed something, he had to request help (Docket No. 10, p. 50 of 395).
Plaintiff testified that he could walk no more than ten to fifteen steps without stopping and that he only
leaves his house to go to his appointments (Docket No. 10, pp. 47-48 of 395). Plaintiff indicated that
he would even become short of breath when he was sitting or laying down (Docket No. 10, p. 48 of
395).
In addition to the insulin and constant oxygen use, Plaintiff testified that he was also on
medication for his blood pressure and emphysema (Docket No. 10, p. 49 of 395).
2.
VOCATIONAL EXPERT TESTIMONY
Having familiarized himself with Plaintiff’s file and vocational background prior to the
hearing, the VE testified that Plaintiff had several positions that could be considered prior
employment: (1) roofing helper, light and unskilled DOT 869.687-026; (2) tractor-trailer moving van
driver helper, medium and semiskilled DOT 904.687-010; (3) food assembler, light and semiskilled
DOT 319.484-010; and (4) machine feeder, light and unskilled DOT 699.686-010 (Docket No. 10, p.
54 of 395).2 The VE indicated that there was no transferability of skills from any of these jobs (Docket
No. 10, p. 55 of 395).
2
It should be noted that these exertional levels correspond with how Plaintiff performed
the job, not how the job was normally performed in the national economy.
5
ALJ Terry then posed the first of four hypothetical questions:
Assume a 47-year-old individual with a high school education with inability to speak
English. Assume that person was capable of performing light work with ability to lift
and/or carry and push/pull ten pounds frequently, [twenty] pounds occasionally, sit for six
hours at a time during the total eight hours per work day, with ability to stand and/or walk
a total of six hours throughout a normal eight-hour work day. No limitations regarding
climbing, balancing, stooping, kneeling, crouching and no limitation regarding
manipulation with no environmental limitations. No mental limitations other than the fact
that he can’t speak English. Would that person be able to perform any of those jobs that we
mentioned earlier?
(Docket No. 10, pp. 55-56 of 395). Taking into account these limitations, the VE testified Plaintiff
could return to the food assembler job as performed in the national economy as well as the machine
feeder position at the level at which Plaintiff previously performed (Docket No. 10, p. 56 of 395). The
VE also indicated that there were other jobs that such an individual could perform including, but not
limited to: (1) cleaner, housekeeping, listed under DOT 323.687-014, for which there are 370,000 jobs
nationally and 3,000 in the State of Ohio; (2) production assembler, listed under DOT 706.687-010, for
which there are 250,000 jobs nationally and 3,000 in the State of Ohio; (3) electrical accessories
assembler, listed under DOT 729.687-010, for which there are 50,000 jobs nationally and 700 in the
State of Ohio (Docket No. 10, p. 56 of 395).
ALJ Terry then posed his second hypothetical:
[A]ssume that the person has the same educational background, the same work history,
with an inability to speak English, but is limited to sedentary work with the inability to lift
and/or carry more than ten pounds occasionally, with the inability to stand or walk for more
than two hours per eight-hour work day, sit for approximately six hours out of a work day,
with the inability to . . . perform activities in temperature extremes . . . [a]nd no
concentrated exposure to dust, fumes, respiratory irritants. Would this individual be able
to perform any of the past jobs you identified in past work?
(Docket No. 10 pp. 57-58 of 395). VE Holderead indicated that an individual with these limitations
could not return to any of Plaintiff’s past work (Docket No. 10, p. 58 of 395). However, the VE
6
testified that there would be other work that such an individual could perform including, but not
limited to: (1) final assembler, listed under DOT 713.687-018, for which there are 30,000 jobs in the
State of Ohio and 350 in northeast Ohio; (2) touch-up screen printed circuit board assembler, listed
under DOT 726.684-110, for which there are 50,000 jobs nationally and 750 in northeast Ohio; and (3)
film touch-up inspector, listed under DOT 726.684-050, for which there are 50,000 jobs in the national
economy and 700 in northeast Ohio (Docket No. 10, p. 58 of 395).
In his third hypothetical, ALJ Terry posed the following:
. . . assume the same hypothetical individual as in hypothetical one which was one of the
light, but with the limitations precluding more than concentrated . . . exposure to
temperature extremes and . . . with no exposure . . . to fumes, dust and respiratory irritants.
Would they be able to do the past relevant work?
(Docket No. 10, pp. 58-59 of 395). The VE indicated that such an individual would only be able to
perform Plaintiff’s prior food assembler job but could perform all the other jobs as previously
described (Docket No. 10, p. 59 of 395).
ALJ Terry then posed his fourth and final hypothetical:
Limited to sedentary as described in hypothetical number two. Lifting, carrying, pushing,
pulling no more than ten pounds occasionally; standing and walking only two hours per
eight-hour day; with the same environmental limitations in hypo two; no concentrated
exposure to respiratory irritants or temperature extremes. Add with the need to take
multiple breaks during the work day to rest, approximately being off job task for [thirty]
minutes at a time, two times a day. Would that individual be able to perform any of those
jobs identified?
(Docket No. 10, p. 59 of 395). VE Holderead answered in the negative, stating that there would be no
jobs for such an individual (Docket No. 10, p. 59 of 395). Furthermore, the VE stated that there would
be no other work for this individual either (Docket No. 10, p. 60 of 395).
On cross-examination, Plaintiff’s counsel posed the following question to the VE:
. . . building off of the second hypothetical, that the sedentary with the no temperature
7
extremes, no concentrated exposure to dust, fumes, respiratory irritant. If, in addition to
that, the individual was only able to stand and walk for one-half hour during the day and
was limited to walking about [fifteen] to [twenty] steps when they were on their feet.
(Docket No. 10, p. 60 of 395). The VE responded that there would be no work for such an individual
(Docket No. 10, p. 60 of 395).
B.
MEDICAL RECORDS
Plaintiff’s medical records regarding his diabetes date back to February 5, 2007, when Plaintiff
was seen by Maryann Woods, CNP (“Ms. Woods”) (Docket No. 10, p. 210 of 395). Plaintiff reported
exercising for thirty minutes on most days but admitted to not counting carbohydrates as previously
ordered (Docket No. 10, pp. 210-11 of 395). On March 19, 2007, Plaintiff saw Dr. Moises AuronGomez, M.D. (“Dr. Auron-Gomez”) complaining of knee, ankle, and hand pain that worsened with
activity (Docket No. 10, p. 205 of 395). Plaintiff reported having one recent episode of hypoglycemia
and indicated that he was exercising fifteen minutes per day and following a diabetic diet (Docket No.
10, pp. 205-06 of 395). Plaintiff reported similar compliance with his diet and exercise plan during an
appointment with Dr. Auron-Gomez on June 25, 2007 (Docket No. 10, p. 197 of 395). During an
appointment with Dr. Mariah Schumacher (“Dr. Schumacher”), it was determined that Plaintiff likely
suffered from glaucoma as a result of his diabetes (Docket No. 10, p. 231 of 395).
On March 12, 2009, Dr. Eulogio Sioson, M.D. (“Dr. Sioson”) performed a one-time disability
evaluation of Plaintiff (Docket No. 10, p. 249 of 395). In addition to pulmonary ailments, Dr. Sioson
confirmed that Plaintiff suffered from diabetes (Docket No. 10, p. 249 of 395). According to Dr.
Sioson, Plaintiff’s blood sugar levels ranged from 96 to 230 and Plaintiff suffered from blurry vision
and increased thirst at all times (Docket No. 10, p. 249 of 395). On January 2, 2010, Plaintiff was seen
by Dr. Joy Marshall, M.D. (“Dr. Marshall”), who diagnosed Plaintiff with “uncontrolled diabetes”
8
(Docket No. 10, p. 390 of 395). By October 28, 2010, Dr. Marshall reported that Plaintiff had “very
out of control diabetes,” with Plaintiff’s blood sugar level often between 200 and 300 (Docket No. 10,
p. 287 of 395). During that visit, Plaintiff admitted to not taking his insulin as often as he should, for
fear that he would run out and not have the financial capability of refilling the prescription (Docket
No. 10, p. 287 of 395). On November 22, 2010, Dr. Marshall told Plaintiff that he needed to get his
sugar level to below 150 on a regular basis (Docket No. 10, p. 387 of 395). By December 17, 2010, Dr.
Marshall determined that Plaintiff was “chasing” his sugars, meaning that he was taking his insulin
depending on what his blood sugar level was after he ate (Docket No. 10, p. 383 of 395). Dr. Marshall
advised against this tactic and stated that Plaintiff was used “to living with his insulin too high”
(Docket No. 10, pp. 383-84 of 395).
Plaintiff also suffers from pulmonary issues, namely COPD and obstructive sleep apnea. On
July 29, 2008, Dr. Basem Haddad, M.D. (“Dr. Haddad”) agreed with Plaintiff’s suspected diagnosis of
COPD (Docket No. 10, pp. 247-48 of 395). Dr. Haddad recommended Plaintiff undergo a Pulmonary
Function Test (“PFT”) to confirm the diagnosis and determine the degree of reversibility with
bronchodilators (Docket No. 10, p. 248 of 395). Plaintiff underwent the PFT on August 4, 2008
(Docket No. 10, p. 244 of 395). Results of the testing showed that Plaintiff suffered from a severe
degree of obstructive lung disease with the presence of air trapping (Docket No. 10, p. 244 of 395). On
March 12, 2009, Dr. Sioson agreed with this diagnosis (Docket No. 10, p. 250 of 395). However, in
contrast to Dr. Haddad’s findings nearly one year earlier, Dr. Sioson found Plaintiff’s COPD to be
significantly improved with use of a brochodilator (Docket No. 10, pp. 250, 256 of 395).
In 2010, Plaintiff made two trips to the Lutheran Hospital Emergency Room, both times
complaining of shortness of breath (Docket No. 10, pp. 299, 313 of 395). Both times, Emergency
9
Room staff found Plaintiff’s lungs to be clear and Plaintiff was discharged (Docket No. 10, pp. 301,
315 of 395). Plaintiff was also treated by Dr. Marshall for his COPD several times in 2010 (Docket
No. 10, pp. 287, 302, 383, 387, 390, 393 of 395). Dr. Marshall generally found Plaintiff to be short of
breath but with clear lungs without wheezing or rhonchi (Docket No. 10, pp. 387, 393 of 395). On
Plaintiff’s last visit to Dr. Marshall, he came into the office on oxygen (Docket No. 10, p. 383 of 395).
The remainder of Plaintiff’s medical record is centered upon numerous visits with Dr. Laurence
Bilfield, M.D. (“Dr. Bilfield”), who treated Plaintiff for bilateral carpal tunnel syndrome (Docket No.
10, pp. 357-59, 361-70, 373-82 of 395) and ongoing right knee pain and discomfort (Docket No. 10,
pp. 340-42, 344-45, 349-51, 352-57, 358 of 395). Plaintiff was diagnosed with carpal tunnel syndrome
in both hands and had surgery done on his left hand in February 2011 and on his right in May 2011
(Docket No. 10, p. 357 of 395).
Plaintiff first began complaining of right knee pain and discomfort on August 17, 2011 (Docket
No. 10, p. 358 of 395). On August 31, 2011, Plaintiff rated this pain a ten out of a possible ten and was
sent for an MRI (Docket No. 10, pp. 352-53 of 395). Plaintiff underwent this MRI on September 9,
2011 (Docket No. 10, p. 355 of 395). This scan showed that Plaintiff’s ligaments, menisci, cartilage
and tendons were intact (Docket No. 10, pp. 355-56 of 395). Plaintiff was diagnosed with minimal
degenerative chrondal changes (Docket No. 10, p. 356 of 395). On September 14, 2011, Plaintiff was
still complaining of right knee pain and opted to undergo surgical arthroscopy (Docket No. 10, p. 349
of 395). Plaintiff had this procedure in mid-September 2011, and was prescribed anti-inflammatories
and physical therapy thereafter (Docket No. 10, pp. 340-41, 344 of 395).
C.
EVALUATIONS
On March 24, 2009, Plaintiff underwent a Physical Residual Functional Capacity Assessment
10
evaluation with stage agency physician Dr. Nick Albert, M.D. (“Dr. Albert”) (Docket No. 10, pp. 26269 of 395). Dr. Albert determined that Plaintiff could: (1) lift and/or carry twenty pounds occasionally;
(2) lift and/or carry ten pounds frequently; (3) stand and/or walk for a total of six hours in an eighthour workday; (4) sit for a total of six hours in an eight-hour workday; and (5) engage in unlimited
pushing and/or pulling (Docket No. 10, p. 263 of 395). Plaintiff had no postural, manipulative, visual,
or communicative limitations (Docket No. 10, pp. 264-66 of 395). Dr. Albert recommended that
Plaintiff avoid even moderate exposure to extreme cold and heat, humidity, and fumes, odors, dusts,
gases, and poor ventilation (Docket No. 10, p. 266 of 395). On June 26, 2009, state agency physician
Dr. Willa Caldwell, M.D. (“Dr. Caldwell”) agreed with Dr. Albert’s assessment (Docket No. 10, p.
271 of 395).
IV. STANDARD OF DISABILITY
The Commissioner's regulations governing the evaluation of disability for DIB and SSI are
identical for purposes of this case, and are found at 20 C.F.R. §§ 404.1520 and 416.920. Colvin v.
Barnhart, 475 F.3d 727, 730 (6th Cir. 2007). DIB and SSI are available only for those who have a
“disability.” 42 U.S.C. § 423(a), (d); see also 20 C.F.R. § 416.920. “Disability” is defined as the
“inability to engage in any substantial gainful activity by reason of any medically determinable
physical or mental impairment which can be expected to result in death or which has lasted or can be
expected to last for a continuous period of not less than 12 months.” Colvin, 475 F.3d at 730 (citing 42
U.S.C. § 423(d)(1)(A)) (definition used in the DIB context); see also 20 C.F.R. § 416.905(a) (same
definition used in the SSI context).
The Commissioner uses a five-step sequential evaluation process to evaluate a DIB or SSI
claim. First, a claimant must demonstrate he is not engaged in “substantial gainful activity” at the time
11
he seeks disability benefits. Colvin, 475 F.3d at 730 (citing Abbott v. Sullivan, 905 F.2d 918, 923 (6th
Cir. 1990)). Second, a claimant must show he suffers from a “severe impairment.” Colvin, 475 F.3d at
730. A “severe impairment” is one which “significantly limits . . . physical or mental ability to do
basic work activities.” Id. (citing Abbott, 905 F. 2d at 923). At the third step, a claimant is presumed to
be disabled regardless of age, education, or work experience if he is not engaged in substantial gainful
activity, has a severe impairment that is expected to last for at least twelve months, and the impairment
meets the requirements of a “listed” impairment. Colvin, 475 F.3d at 730.
Prior to considering step four, the Commissioner must determine a claimant’s residual
functional capacity. 20 C.F.R. §§ 404.1520(e), 416.920(e). An individual’s residual functional capacity
is an administrative “assessment of [the claimant’s] physical and mental work abilities – what the
individual can or cannot do despite his or her limitations.” Converse v. Astrue, 2009 U.S. Dist. LEXIS
126214, *16 (S.D. Ohio 2009); see also 20 C.F.R. § 404.1545(a). It “is the individual’s maximum
remaining ability to do sustained work activities in an ordinary work setting on a regular and
continuing basis . . . A regular and continuing basis means 8 hours a day, for 5 days a week, or an
equivalent work schedule.” Converse, 2009 U.S. Dist. LEXIS 126214 at *17 (quoting SSR 96-8p, 1996
SSR LEXIS 5 (July 2, 1996) (emphasis in original) (internal citations omitted)).The Commissioner
must next determine whether the claimant has the residual functional capacity to perform the
requirements of his past relevant work. 20 C.F.R. §§ 404.1520(f), 416.920(f). If he does, the claimant
is not disabled.
Finally, even if the claimant’s impairment does prevent him from doing past relevant work, the
claimant will not be considered disabled if other work exists in the national economy that he can
perform. Colvin, 475 F.3d at 730 (citing Heston v. Comm’r of Soc. Sec., 245 F.3d 528, 534 (6th Cir.
12
2001) (internal citations omitted) (second alteration in original)). A dispositive finding by the
Commissioner at any point in the five-step process terminates the review. Colvin, 475 F.3d at 730
(citing 20 C.F.R. §§ 404.1520(a)(4), 416.920(a)(4)).
V. THE COMMISSIONER’S FINDINGS
After careful consideration of the disability standards and the entire record, ALJ Terry made
the following findings:
1.
Plaintiff meets the insured status requirements of the Social Security Act through March
31, 2013.
2
Plaintiff has not engaged in substantial gainful activity since August 11, 2008, the
application date.
3.
Plaintiff has the following severe impairments: chronic obstructive pulmonary
disease, diabetes mellitus, obesity, emphysema, asthma, and sleep apnea.
4.
Plaintiff does not have an impairment or combination of impairments that meets or
medically equals one of the listed impairments in 20 C.F.R. § 404, Subpart P,
Appendix 1.
5.
Plaintiff has the residual functional capacity to perform a range of light work.
Plaintiff is able to lift and/or carry and push and/or pull twenty pounds occasionally
and ten pounds frequently; sit for six hours at a time for a total of eight hours in an
eight-hour work day and stand and/or walk for two hours at a time for a total of six
hours in an eight-hour work day. There are no postural, environmental, or
manipulative limitations. Plaintiff is limited to positions where English is not
required. Plaintiff is to avoid concentrated exposure to respiratory irritants, dust,
fumes, and temperature extremes.
1.
Plaintiff is capable of performing his past relevant work as a food assembler since
this work does not require the performance of work-related activities precluded by
his residual functional capacity.
2.
Plaintiff has not been under a disability, as defined by the Social Security Act, since
August 11, 2008, the date the application was filed.
(Docket No. 10, pp. 23-32 of 395). ALJ Terry denied Plaintiff’s request for DIB and SSI benefits
(Docket No. 10, p. 32 of 395).
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VI. STANDARD OF REVIEW
This Court exercises jurisdiction over the final decision of the Commissioner pursuant to 42
U.S.C. § 405(g) and 42 U.S.C. § 1383(c)(3). McClanahan v. Comm’r of Soc. Sec., 474 F.3d 830, 83233 (6th Cir. 2006). In conducting judicial review, this Court must affirm the Commissioner's
conclusions unless the Commissioner failed to apply the correct legal standard or made findings of fact
that are unsupported by substantial evidence. Id. (citing Branham v. Gardner, 383 F.2d 614, 626-27
(6th Cir. 1967)). “The findings of the [Commissioner] as to any fact if supported by substantial
evidence shall be conclusive . . .” McClanahan, 474 F.3d at 833 (citing 42 U.S.C. § 405(g)).
“Substantial evidence is more than a scintilla of evidence but less than a preponderance and is such
relevant evidence as a reasonable mind might accept as adequate to support a conclusion.”
McClanahan, 474 F.3d at 833 (citing Besaw v. Sec’y of Health and Human Servs., 966 F.2d 1028,
1030 (6th Cir. 1992)). “The findings of the Commissioner are not subject to reversal merely because
there exists in the record substantial evidence to support a different conclusion . . . This is so because
there is a ‘zone of choice’ within which the Commissioner can act, without the fear of court
interference.” McClanahan, 474 F.3d at 833 (citing Buxton v. Halter, 246 F.3d 762, 772 (6th Cir.
2001) (citations omitted)).
VII. DISCUSSION
A.
PLAINTIFF’S ALLEGATIONS
In his Brief on the Merits, Plaintiff alleges the ALJ’s decision was not supported by substantial
evidence with regard to either: (1) Plaintiff’s meeting the criteria of § 3.02 of the Listed Impairments;
or (2) Plaintiff’s residual functional capacity (Docket No. 15). Plaintiff also alleges that the ALJ erred
by relying on VE testimony that directly conflicted with the DOT, for which no explanation was
14
provided (Docket No. 15).
B.
DEFENDANT’S RESPONSE
Defendant contends: (1) the ALJ correctly determined that Plaintiff’s combination of
impairments does not meet § 3.02 of the Listed Impairments, as required; (2) substantial evidence
supports the ALJ’s determination that Plaintiff can perform a range of light work; and (3) the VE
verified that his testimony was consistent with the DOT (Docket No. 17).
C.
DISCUSSION
1.
LISTED IMPAIRMENT
Plaintiff contends the ALJ erred by determining that Plaintiff’s pulmonary problems did not
meet the level required by the Social Security Administration in its Listed Impairments (Docket No.
15, p. 6 of 12). Specifically, Plaintiff alleges that nothing in Listing § 3.02(A) requires Plaintiff’s PFT
levels be checked both pre and post-bronchodilator treatment (Docket No. 15, p. 6 of 12). Plaintiff is
correct: nothing in § 3.02(A) requires a claimant to provide proof of his PFT levels both pre and postbronchodilator. 20 C.F.R. § 404, Subpart P, Appendix 1, § 3.02(A). However, as Defendant correctly
points out, such a requirement is listed in the introduction to Section 3.00 under paragraph E.
Section 3.00(E) specifically states:
Spirometry should be repeated after administration of an aerosolized brochodilator under
supervision of the testing personnel if the pre-bronchodilator FEV [1] value is less than 70
percent of the predicted normal value . . . If a bronchodilator is not administered, the reason
should be clearly stated in the report. Pulmonary function studies performed to assess
airflow obstruction without testing after bronchodilators cannot be used to assess levels of
impairment in the range that prevents any gainful work activity, unless the use of
bronchodilators is contraindicated.
20 C.F.R. § 404, Subpart P, Appendix 1, § 3.00(E) (emphasis added). Although nothing in the records
from Plaintiff’s August 27, 2009, PFT indicate that a bronchodilator was not administered, the records
15
do not indicate that a bronchodilator was administered, either (Docket No. 10, pp. 277-79 of 395).
Given that Plaintiff’s previous PFT, conducted by Dr. Sioson on March 13, 2009, specifically
indicated pre and post-bronchodilator levels (Docket No. 10, p. 256 of 395), it was reasonable for ALJ
Terry to assume that had bronchdilators been using during the August 2009 test, the results would so
indicate.
Under § 3.02(A), a claimant standing between sixty-four and sixty-five inches tall must have an
FEV[1] score of 1.25 or lower in order to meet Social Security Listed Impairment requirements. 20
C.F.R. § 404, Subpart P, Appendix 1, § 3.02(A). If a claimant’s FEV[1] level is less than seventy
percent (70%) of the predicted normal value, the claimant must undergo post-bronchodilator testing.
Plaintiff is sixty-five inches tall (Docket No. 10, p. 393 of 395). In August 2009, Plaintiff’s FEV[1]
score was 1.17, or thirty-four percent (34%) of the predicted normal value (Docket No. 10, p. 277 of
395). No bronchodilator was administered (Docket No. 10, pp. 277-79 of 395). No where in the PFT
results does the testing physician indicate why a bronchodilator was not administered (Docket No. 10,
pp. 277-79 of 395). This failure to administer a bronchodilator renders the August 2009 PFT inelligible
for purposes of determining Plaintiff’s level of impairment. Plaintiff’s first assignment of error is
without merit on this basis alone.
However, it is important to point out that Plaintiff’s August 2009 PFT fails for another reason
as well. Section 3.00(E) requires a claimant to undergo three forced expiratory maneuvers during the
course of a PFT. 20 C.F.R. § 404, Subpart P, Appendix 1, § 3.00(E). The paragraph specifically states,
“the reported one-second forced expiratory volume (FEV[1]) and forced vital capacity (FVC) should
represent the largest of at least three satisfactory forced expiratory maneuvers.” 20 C.F.R. § 404,
Subpart P, Appendix 1, § 3.00(E) (emphasis added). Plaintiff’s August 2009 PFT specifically states
16
that only one test maneuver was administered (Docket No. 10, p. 277 of 395). Therefore, the August
2009 PFT is ineligible for the purpose of determining Plaintiff’s level of impairment.
Because Plaintiff’s August 2009 PFT did not meet the requirements of § 3.02, the ALJ was
correct in finding that Plaintiff does not suffer from an impairment or combination of impairments that
meets or medically equals one of the Listed Impairments. Plaintiff’s first assignment of error is without
merit and the decision of the Commissioner must be affirmed.
2.
RESIDUAL FUNCTIONAL CAPACITY
In his second claim, Plaintiff alleges the ALJ erred when he determined Plaintiff was capable
of performing a range of “light” work (Docket No. 15, p. 7 of 12). To properly determine a claimant’s
ability to work and the corresponding level at which that work may be performed, the ALJ must
determine the claimant’s residual functional capacity. Webb v. Comm’r of Soc. Sec., 368 F.3d 629, 633
(6th Cir. 2004). According to Social Security Regulations, residual functional capacity is designed to
describe the claimant’s physical and mental work abilities. Id. Residual functional capacity is an
administrative “assessment of [the claimant’s] physical and mental work abilities – what the individual
can or cannot do despite his or her limitations.” Converse v. Astrue, 2009 U.S. Dist. LEXIS 126214,
*16 (S.D. Ohio 2009); see also 20 C.F.R. § 404.1545(a). Residual functional capacity “is the
individual’s maximum remaining ability to do sustained work activities in an ordinary work setting on
a regular and continuing basis . . . A regular and continuing basis means 8 hours a day, for 5 days a
week, or an equivalent work schedule.” Converse, 2009 U.S. Dist. LEXIS 126214 at *17 (quoting SSR
96-8p, 1996 SSR LEXIS 5 (July 2, 1996) (emphasis in original) (internal citations omitted)).
To determine a claimant’s residual functional capacity, the Commissioner will make an
assessment based on all relevant medical and other evidence. 20 C.F.R. § 20.1545(a)(3). Before
17
making a final determination a claimant is not disabled, the Commissioner bears the responsibility of
developing the claimant’s complete medical history. 20 C.F.R. § 20.1545(a)(3). The Commissioner
“will consider any statements about what [a claimant] can still do that have been provided by medical
sources, whether or not they are based on formal medical examinations. [The Commissioner] will also
consider descriptions and observations of [a claimant’s] limitations from [his] impairment(s), including
limitations that result from [his] symptoms, such as pain, provided by [claimant], [his] family,
neighbors, friends, or other persons.” 20 C.F.R. § 20.1545(a)(3). Responsibility for deciding residual
functional capacity rests with the ALJ when cases are decided at an administrative hearing. Webb, 368
F.3d at 633.
In the present case, ALJ Terry found, upon consideration of the entire record, that Plaintiff had
the residual functional capacity to perform light work as defined in 20 C.F.R. §§ 404.1567(b) and
416.967(b) (Docket No. 10, p. 26 of 395). The ALJ determined that Plaintiff
is able to lift and/or carry and push and/or pull [twenty] pounds occasionally and [ten]
pounds frequently; sit for six hours at a time [for] a total of eight hours in an eight hour
work day; and stand and/or walk for two hours at a time [for] a total of six hours in an eight
hour work day. There are no postural, environmental, or manipulative limitations. The
claimant is limited to positions where English is not required. Further, the claimant is to
avoid . . . concentrated exposure to respiratory irritants, dust, . . . fumes . . . and
temperature extremes.
(Docket No. 10, p. 26 of 395).
The ALJ based his residual functional capacity determination upon several factors. First, ALJ
Terry cited to the fact that Plaintiff’s symptoms are not as severe as he alleges (Docket No. 10, p. 27 of
395).
Not only did Plaintiff’s August 2009 PFT fail to satisfy the listing level, discussed supra, his
symptoms actually improved with bronchodilation, as evidenced by the following chart:
18
FEV 1
August 4, 2008
March 12, 2009
August 27, 2009
Pre
1.39
1.18
1.17
FVC
Post
1.47
1.67
Pre
3.02
3.13
2.28
Post
3.34
3.75
Furthermore, Plaintiff asserts only two recent hospitalizations related to his breathing difficulties, one
in February 2010 (Docket No.10, p. 313 of 395) and one in October 2010 (Docket No. 10, p. 299 of
395). Both times hospital staff deemed Plaintiff to be in only “mild distress” (Docket No. 10, pp. 294,
318 of 395). Both times, Plaintiff received nebulizer treatments and gained satisfactory 100% oxygen
blood gas saturation after only one treatment (Docket No. 10, pp. 321-22, 335 of 395).
Second, ALJ Terry noted that none of Plaintiff’s treating physicians, Drs. Bilfield, Marshall,
Haddad, or Auron-Gomez, placed any limitation whatsoever on Plaintiff’s ability to work (Docket No.
10, pp. 193-395 of 395). In fact, the only physician to restrict Plaintiff’s ability to work in some
manner was the state agency consultant, Dr. Albert (Docket No. 10, pp. 262-69 of 395). In Plaintiff’s
initial Disability Report he indicated that his previous employer sent him to a company doctor who
ordered Plaintiff to stop working (Docket No. 10, p. 147 of 395). In his Disability Report appeal,
Plaintiff claimed that his doctor told him he could no longer work (Docket No. 10, p. 169 of 395).
However, Plaintiff provides no proof of these orders. By his own admission, Plaintiff does not have
difficulty with using his hands, standing, kneeling, seeing, squatting, hearing, sitting, reaching or
talking (Docket No. 10, p. 142 of 395).
Third, the ALJ chose to discount the testimony of Plaintiff, citing credibility issues, namely
Plaintiff’s non-compliance with treatment recommendations (Docket No. 10, pp. 27-29 of 395). A
review of the record confirms ALJ Terry’s conclusions. Although Plaintiff claimed, in October 2010,
that he stopped taking his medications for fear of running out and not being able to afford a refill,
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Plaintiff was fully employed and insured in July 2008, when Dr. Haddad noted Plaintiff’s poor
compliance with treatment (Docket No. 10, p. 247 of 395). Plaintiff has also failed to lose weight,
despite numerous recommendations to do so (Docket No. 10, pp. 208, 390 of 295).3
ALJ Terry also made note of Plaintiff’s receipt of unemployment benefits (Docket No. 10, p.
29 of 395). According to Plaintiff, he began receiving unemployment benefits in 2008 and continued to
receive them until just before the administrative hearing (Docket No. 10, p. 51 of 395). When asked by
the ALJ, Plaintiff stated that he was aware that, in order to receive unemployment benefits, he had to
certify that he was able to work (Docket No. 10, p. 51 of 395). Plaintiff indicated that when he first
began accepting unemployment benefits, he was in “better shape” (Docket No. 10, pp. 29, 51 of 395).
This Magistrate agrees with the ALJ: by receiving unemployment benefits during his alleged
period of disability, Plaintiff felt that he was capable of working and in fact reported that he was
looking for work (Docket No. 10, p. 29 of 395). This fact casts doubt over Plaintiff’s current claims
that he has not been able to work since August 2008. Even if, as Plaintiff alleges, his symptoms have
recently gotten worse, Plaintiff likely has not experienced a disability, as defined by the Social
Security Regulations, for the required twelve-month period of time. For example, according to
Plaintiff, he only required oxygen on a full-time basis since November 2010, only three weeks prior to
the administrative hearing (Docket No. 10, p. 45 of 395). For these reasons, Plaintiff’s second
assignment of error is without merit and the decision of the Commissioner must be affirmed.
VE TESTIMONY
3.
Plaintiff alleges that the ALJ erred by relying on testimony from the VE that conflicted with the
3
In Plaintiff’s earliest submitted medical record, dated February 5, 2007, Plaintiff
weighed 228 pounds (Docket No. 10, p. 210 of 395). By September 21, 2011, Plaintiff weighed
235 pounds (Docket No. 10, p. 347 of 395).
20
DOT (Docket No. 15, p. 9 of 12). Specifically, Plaintiff claims that the VE’s testimony that Plaintiff
could perform jobs with a specific vocational preparation (“SVP”) skill level of two or three directly
conflicts with Plaintiff’s testimony that he does not speak English (Docket No. 15, pp. 9-10 of 12).
SVP is “the amount of lapsed time required by a typical worker to learn the techniques, acquire the
information, and develop the facility needed for average performance in a specific job-worker
situation.” Dictionary of Occupational Titles, 4th Edition. An SVP of one requires a worker to “speak
simple sentences, using normal word order, and present and past tenses.” Id. An SVP of two requires a
worker to “speak clearly and distinctly with appropriate pauses and emphasis, correct pronunciation,
variations in word order, using present, perfect, and future tenses.” Id. An SVP of three requires a
worker to “speak before an audience with poise, voice control, and confidence, using correct English
and well-modulated voice.” Id. Plaintiff claims that, since he does not speak English, it is impossible
for him to qualify for a job with an SVP of two or three (Docket No. 15, p. 10 of 12).
According to Social Security Regulations,
Occupational evidence provided by a VE . . . generally should be consistent with the
occupational information supplied by the DOT. When there is an apparent unresolved
conflict between VE . . . evidence and the DOT, the adjudicator must elicit a reasonable
explanation for the conflict before relying on the VE . . . evidence to support a
determination or decision about whether the claimant is disabled. At the hearings level, as
part of the adjudicator’s duty to fully develop the record, the adjudicator will inquire, on
the record, as to whether or not there is such consistency.
SSR No. 00-4p, 2000 SSR LEXIS 8 (Dec. 4, 2000). ALJ Terry specifically asked the VE if his
testimony was consistent with the DOT during the administrative hearing, to which the VE responded
in the affirmative (Docket No. 10, p. 55 of 395). As a precaution, ALJ Terry then sent the VE a request
for a statement, as well as a series of interrogatories, confirming the VE’s consistency with the DOT
after the administrative hearing (Docket No. 10, p. 186 of 395). The VE again stated that his testimony
21
and responses to the ALJ’s hypothetical questions were consistent with the DOT (Docket No. 10, p.
187 of 395).
Prior to submitting a request for a statement to the VE following the administrative hearing,
ALJ Terry requested permission and consent from Plaintiff’s attorney (Docket No. 10, pp. 191-92 of
395). The ALJ’s letter to Plaintiff’s counsel specifically stated “[i]f I do not receive a response from
you within 10 days of the date you receive the vocational expert’s response, I will assume that you do
not wish to respond and that you do not contest the entry of his response into the evidence” (Docket
No. 10, p. 192 of 395). A review of the record reveals no objection by Plaintiff’s counsel. Therefore,
Plaintiff’s third assignment of error is without merit and the Commissioner’s decision must be
affirmed.
VIII. CONCLUSION
For the foregoing reasons, the decision of the Commissioner is affirmed.
/s/Vernelis K. Armstrong
United States Magistrate Judge
Date: December 10, 2012
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