Curry v. Commissioner of Social Security
Filing
23
Memorandum Opinion and Order. The Commissioner's final decision is reversed and remanded for proceedings consistent with this opinion. Magistrate Judge Nancy A. Vecchiarelli on 10/24/2013. (G,W)
IN THE UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF OHIO
EASTERN DIVISION
JAY A. CURRY,
Plaintiff,
v.
CAROLYN W. COLVIN,
Acting Commissioner of Social
Security,
)
)
)
)
)
)
)
)
)
)
CASE NO. 4:13-CV-00312
MAGISTRATE JUDGE
VECCHIARELLI
MEMORANDUM OPINION AND
ORDER
Defendant.
Plaintiff, Jay A. Curry (“Plaintiff”), challenges the final decision of Defendant,
Carolyn W. Colvin, Acting Commissioner of Social Security (“Commissioner”),1 denying
his application for Disability Insurance Benefits (“DIB”) under Title II of the Social
Security Act (“Act”), 42 U.S.C. § 423, and Supplemental Security Income (“SSI”) under
Title XVI of the Act, 42 U.S.C. §§ 423 and 1381(a). This Court has jurisdiction pursuant
to 42 U.S.C. § 405(g). This case is before the undersigned United States Magistrate
Judge pursuant to the consent of the parties entered under the authority of 28 U.S.C. §
636(c)(2). For the reasons set forth below, the Commissioner’s final decision is
REVERSED and REMANDED for proceedings consistent with this opinion.
I.
PROCEDURAL HISTORY
In January and February 2010, Plaintiff filed applications for DIB and SSI.
(Transcript (“Tr.”) 20.) In both applications, Plaintiff alleged disability beginning October
1
On February 14, 2013, Carolyn W. Colvin became Acting Commissioner
of Social Security. She is automatically substituted as the defendant in
this case pursuant to Rule 25(d) of the Federal Rules of Civil Procedure.
5, 2009.2 (Id.) These applications were denied at the initial and reconsideration levels
of administrative review. (Tr. 99, 108, 120, 127.) On December 1, 2011, an ALJ held
an administrative hearing. (Tr. 43.) Plaintiff participated in the hearing, was
represented by counsel, and testified. (Id.) A vocational expert (“VE”) also participated
and testified. (Id.) On March 23, 2012, the ALJ found Plaintiff not disabled. (Tr. 17.)
On June 28, 2012, the Appeals Council declined to review the ALJ’s decision, and the
ALJ’s decision became the Commissioner’s final decision. (Tr. 1.) On February 12,
2013, after receiving an extension of time to institute a civil action, Plaintiff filed a
complaint challenging the Commissioner’s final decision. (Tr. 7, Doc. No. 1.) The
parties have completed briefing in this case. (Doc. Nos. 17, 21, 22.)
Plaintiff asserts the following assignments of error: (1) the ALJ’s analysis of
whether Plaintiff’s impairments met or medically equaled the Listings was not supported
by substantial evidence; (2) the ALJ violated the treating physician rule by giving less
than controlling weight to the opinions of treating physicians Drs. Keaton and Mandel;
and (3) the ALJ erred by giving great weight to the opinions of state consultative
examiners Drs. McCloud and Waddell.
II.
A.
EVIDENCE
Personal and Vocational Evidence
Plaintiff was born on March 21, 1960, and was 49-years-old on his alleged
disability onset date. (Tr. 30.) He had at least a high school education and was able to
2
At his administrative hearing, Plaintiff requested an amended onset date
of May 18, 2009. (Tr. 81.) In her decision, the ALJ refers to October 5,
2009, as the alleged onset date. (Tr. 22.)
2
communicate in English. (Tr. 31.) He had past relevant work as an electrician. (Tr.
30.)
B.
Medical Evidence
1.
Evidence of Physical Limitations
a.
Medical Reports
On October 5, 2009, Plaintiff was involved in a motor vehicle accident. (Tr. 732.)
He sustained multiple fractures and underwent an open reduction and internal fixation of
the second metetarsal of the right foot, surgical repair of a right patella fracture and
tendon, and surgical repair of a left ankle fracture. (Tr. 683, 686, 732.) Ten days later,
Plaintiff was discharged from the hospital to a nursing facility with instructions to follow
up with neurosurgery for his transverse process fractures, to follow up with orthopedics
for suture removal, and to follow up with the trauma service as needed. (Tr. 733.)
On October 15, 2009, Plaintiff was admitted to Parma Community General
Hospital to begin strengthening, gait training, and activities of daily living (“ADL”)
retraining. (Tr. 815.) When admitted, Plaintiff’s pain was “out of control,” particularly
the pain in his back which was exacerbated by a transverse fracture of his lumbar spine.
(Id.) At the time of his discharge on October 30, 2009, he was tolerating passive range
of motion with the right knee and could ambulate 50 feet four times with some contact
guard assistance (i.e., with the physical therapist having one or two hands on Plaintiff)
and non-weight bearing on the right lower extremity. (Id.)
From November 3, 2009, through December 12, 2009, Plaintiff participated in inhome therapy for his decreased gait, strength, balance, and range of motion in his right
3
ankle and toes. (Tr. 884-898.) On November 6, 2009, Plaintiff was able to ambulate
with a walker and perform simple activities of daily living and change positions with
moderate assistance. (Tr. 877.) On November 10, 2009, five weeks after his surgery,
James D. Solmen, M.D., Plaintiff’s orthopedic surgeon, prescribed an air cast boot. (Tr.
1004.) In December 2009, Plaintiff still had pain and a slight limp, but was doing well
with weight bearing on his right lower extremity. (Tr. 887.) On December 23, 2009,
Thomas A. Joseph, M.D., reported that Plaintiff was “actually doing quite well for being
only 2 months out from a patellar tendon repair.” (Tr. 1002.) Dr. Joseph wrote Plaintiff
a prescription for Vicodin and Arthrotec but advised him to obtain future prescriptions
from his primary care physician because he was seeing multiple physicians at that time.
(Id.) On that same day, Dr. Solmen noted that Plaintiff was “pretty much pain free while
in the boot walker” but noticed more pain when he had taken the boot off for a couple of
days. (Tr. 1003.) Dr. Solmen began weaning Plaintiff out of the boot and into a shoe,
noting that he would benefit from orthotics to help support the midfoot. (Id.)
On January 11, 2010, Plaintiff reported 6 out of 10 pain in his right knee and right
foot and continued problems with ambulation for which Vicodin was prescribed. (Tr.
1028.) On January 20, 2010, he went to the emergency room for right knee pain
following a fall. (Tr. 932-934.) At an appointment on January 25, 2010, Plaintiff
reported increased right knee pain. (Tr. 1027.)
On February 10, 2010, Plaintiff reported that he had stopped his physical therapy
because it was not helping. (Tr. 1025.) He also reported increased pain in his right hip.
(Id.) In late February, Dr. Solmen noted that Plaintiff’s arch support provided significant
pain relief for his right foot. (Tr. 1001.) Plaintiff had occasional pain related to
4
increased weight-bearing activities. (Id.) An examination showed that his right foot
incision was well-healed, no edema or swelling existed, and his sensation was intact.
(Id.) His ankle had a full range of motion and full muscle strength. (Tr. 1001.) Drs.
Joseph and Solmen instructed Plaintiff to continue with his physical therapy, home
exercise program, orthotics, and patellar mobilization. (Tr. 1000-1001.)
In early March 2010, Plaintiff presented to William A. Seeds, an orthopedist,
reporting right hip pain. (Tr. 1044.) Plaintiff indicated that he had been using a cane.
(Id.) Dr. Seeds noted pain to palpation of the greater trochanter and reduced abduction
secondary to pain. (Tr. 1045.) Plaintiff had a full range of motion in his joints, bones,
and muscles and no instability. (Id.) X-Rays of Plaintiff’s hip joint appeared normal.
(Tr. 1046.) Dr. Seeds opined that Plaintiff had trochanteric tendonitis and injected
Plaintiff’s greater trochanter with DepoMedrol. (Id.) He also prescribed physical
therapy for right hip strengthening. (Tr. 1043.) On March 29, 2010, Dr. Seeds noted
that Plaintiff had significant crepitus of the patellofemoral joint with catching of the knee
and medial joint pain consistent with a positive McMurray’s test and meniscal pathology
all secondary to his previous trauma. (Tr. 1122.) Dr. Seeds also noted decreased knee
flexion and loss of range of motion of the metatarsal phalangeal joint. (Tr. 1122-1123.)
Dr. Seeds’ impressions included “significant trauma from an MVA to the Right Lower
extremity with previous patellar surgery and metatarsal surgery” and “signs and
symptoms consistent with Lisfranc injury of the foot and patellofemoral articular and
medial articular meniscal pathology.” (Tr. 1123.) Dr. Seeds ordered an MRI of the right
foot and knee. (Id.) Plaintiff returned to Dr. Seeds in April 2010. (Tr. 1118.) He had
some swelling and ecchymosis of the foot, but his incisions were in tact and he had no
5
active drainage, a full range of motion, no instability, and full muscle tone and strength.
(Tr. 1119.)
Plaintiff also saw Marc Berkowitz, DPM, in late March 2010. (Tr. 1156.) Plaintiff
reporting having been ambulating with pain and the assistance of a cane following the
operation he underwent three days after his motor vehicle accident. (Id.) Plaintiff had
been experiencing increasing pain and discomfort that limited his ability to wear closetoed shoes, ambulate without pain, and perform his daily activities. (Tr. 1113.) Dr.
Berkowitz diagnosed a hallux rigidus (right foot) and painful hardware (right). (Tr.
1156.) On April 6, 2010, Dr. Berkowitz surgically removed a screw from Plaintiff’s right
foot and implanted a new prosthetic toe replacement. (Tr. 1113-1115, 1155.)
On May 13, 2010, Plaintiff presented to Jeffrey Brodsky, D.O., with complaints of
knee pain. (Tr. 1252.) Plaintiff told Dr. Brodsky that his knee gives out and causes
pain. (Id.) Dr. Brodsky noted tenderness over the medial joint space, a positive
McMurray’s test for medial joint space discomfort, and a well-healed incision inferior to
the patella. (Id.) He recommended Plaintiff use a cane and undergo arthroscopic
surgery as well as begin physical therapy for his back and neck. (Id.) On May 19,
2010, Dr. Brodsky performed an arthroscopy of the right knee and a partial lateral
meniscectomy. (Tr. 1249.) An examination of the suprapatellar pouch revealed no
significant pathology; the articular surface of the patella was intact; the lateral
compartment showed rim tears; and the anterior cruciate ligament and medical
compartment were intact. (Id.)
Plaintiff went to the emergency room on June 9, 2010, after a fall exacerbated his
back and right knee pain. (Tr. 1315.) Imaging showed multiple fractures of the patella
6
with either edema or hemorrhage and bone spurs at L4-L5. (Tr. 1325-1327.) Shortly
after his June 2010 fall, Plaintiff reported to Robert Kakish, D.O. (Tr. 1332.) Dr. Kakish
noted numbness radiating from the neck down the left arm, mild limitation in flexion in
the right knee, and tenderness at the base of the toes of Plaintiff’s right foot. (Tr. 1333.)
Dr. Kakish assessed right knee pain secondary to a sprain on top of Plaintiff’s
arthroscopic knee surgery, right foot pain, chronic lumbar pain, and a history of
depression. (Id.) Dr. Kakish prescribed Flexeril and Vicodin for Plaintiff’s pain. (Id.) On
November 2, 2010, Dr. Kakish opined that Plaintiff “has multiple chronic pain issues,
which significantly limit[] his ability to do any type of physical work. I do not believe
[Plaintiff] would be employable to do any type of physical job.” (Tr. 1464.)
In July 2010, Michael Retino, M.D., examined Plaintiff. (Tr. 1361-1362.) Dr.
Retino’s exam revealed atrophy of Plaintiff’s right quad and calf muscles, “quite a bit” of
patellar crepitus, and catching sensation. (Tr. 1361.) Dr. Retino noted that Plaintiff’s
knee would be “problematic . . . from this point on” and recommended aggressive
rehabilitation. (Tr. 1362.) At a physical therapy consultation on August 5, 2010, Plaintiff
expressed difficulty standing for long periods, walking long distances, squatting, lifting,
and climbing ladders. (Tr. 1363.) After two sessions, Plaintiff cancelled his physical
therapy due to increasing pain. (Tr. 1392.)
Plaintiff returned to Dr. Retino on September 24, 2010, with continuing knee pain
and muscle atrophy. (Tr. 1446.) Following an MRI of Plaintiff’s right knee, Dr. Retino
opined that Plaintiff had advanced posttraumatic arthritis of the patellofemoral joint. (Tr.
1445.) Plaintiff underwent right knee arthroscopic surgery in December 2010. (Tr.
1389.) One month after surgery, Dr. Retino noted that Plaintiff had a full range of
7
motion, but he had generalized patellofemoral and median compartment irritation with
palpation and maneuvers. (Tr. 1443.) Dr. Retino gave Plaintiff a cortisone injection,
which did not help with his knee pain. (Tr. 1442-1443.) At that time, Plaintiff reported
being miserable and wanting to proceed with a knee replacement. (Tr. 1442.) In March
2011, Dr. Retino began treating Plaintiff with Orthovisc injections and prescribed
Vicodin. (Tr. 1439-1441.)
In April 2011, Plaintiff saw David R. Mandel, M.D., a rheumatologist, and
reported morning stiffness in his wrists, elbows, and shoulders. (Tr. 1470, 1477.)
Plaintiff had no effusion or swelling but had some tenderness in his hips and lower legs
and a reduced range of motion in his right knee. (Tr. 1471, 1477.) Dr. Mandel
observed four out of five muscle strength in the right lower extremity and five out of five
in the left lower extremity with intact sensation and reflexes. (Tr. 1477.) Dr. Mandel
administered a corticosteriod injection and ordered laboratory tests to rule out
rheumatoid arthritis and other systemic diseases. (Tr. 1472.) He also stated that he
would use fibromyalgia as a “working diagnosis.” (Id.)
After appointments with Plaintiff on April 7, 2011, and May 19, 2011, Dr. Mandel
completed an Arthritis Residual Functional Capacity Questionnaire. (Tr. 1536-1538.)
Dr. Mandel opined that Plaintiff was capable of doing low stress jobs and that his
medications caused dizziness, drowsiness, and hallucinations. (Tr. 1537.) He indicated
that Plaintiff could stand and/or walk for less than two hours in an eight-hour workday;
sit for about two hours in an eight-hour workday; needed to walk every ninety minutes
for two minutes at a time; and required unscheduled breaks every three hours for fifteen
minutes. (Id.) Dr. Mandel reported that Plaintiff required a cane and could only lift on
8
an occasional basis and up to twenty pounds. (Tr. 1538.) He also opined that Plaintiff
would miss work more than four times per month. (Id.)
In November 2011, Gary J. Most, D.P.M., completed a Medical Source
Statement Regarding Leg/Foot Impairment(s) and opined that Plaintiff could stand/walk
for less than two hours in an eight-hour workday. (Tr. 1593.) Dr. Most further opined
that Plaintiff could only stand for 15 to 30 minutes at a time. (Id.) He also noted that
Plaintiff could not walk a block at a reasonable pace on rough or uneven surfaces, could
not walk enough to shop or bank, and could not climb a few steps at a reasonable pace
with the use of a single handrail. (Id.) Dr. Most rated Plaintiff’s pain as “extreme,” which
was defined as a major limitation with no useful ability to function (48% on task in an
eight-hour workday). (Id.)
b.
State Agency Reports
In April 2010, W. Jerry McCloud, M.D., reviewed the medical evidence of record
and opined that Plaintiff retained the ability to occasionally lift and/or carry twenty
pounds; frequently lift and/or carry ten pounds; stand and/or walk for about six hours in
an eight-hour workday; sit for about six hours in an eight-hour workday; and could
occasionally perform postural activities except that he could not climb ladders, ropes, or
scaffolds. (Tr. 1158-1164.) Non-examining state agency physician Bradley J. Lewis,
M.D., reviewed Plaintiff’s record and affirmed Dr. McCloud’s assessment. (Tr. 1387.)
2.
Evidence of Mental Limitations
a.
Medical Reports
Plaintiff has a history of depression and substance abuse. In May 2009, he
9
reported to Ashtabula County Medical Center with thoughts of suicide after he “blew
[his] sobriety” and lost his job and a place to live. (Tr. 526.) Plaintiff was admitted and
tested positive for cocaine. (Tr. 519.) Upon release, he took twenty pills of Ultram and
smoked crack cocaine. (Tr. 513.) He returned to the emergency room and was
admitted to the intensive care unit for further evaluation. (Id.) At both visits, Plaintiff
treated with Daniel Keaton, M.D., who diagnosed major depression, moderate to
severe, and polysubstance abuse. (Tr. 488, 519.)
On June 23, 2009, Plaintiff saw Dr. Keaton for a psychiatric evaluation and
reported that he was entering a drug rehabilitation program. (Tr. 992, 995.) Plaintiff
had good grooming and hygiene, appeared pleasant and euthymic, had a full affect, and
described his mood as “really good.” (Tr. 993.) Dr. Keaton assessed major depression
(moderate recurrent without psychosis), polysubstance dependence in early full
remission, and chronic pain. (Id.) Dr. Keaton noted that Plaintiff manifested a low risk
of acute harm to himself or others and a moderate risk of harm on a chronic basis as
demonstrated by his history, biopsychosocial assessment, subjective and objective
presentation, and modifiable risk factor status. (Id.)
On July 30, 2009, Plaintiff told Dr. Keaton that he was experiencing increased
anxiety, poor energy, depressed mood, and loss of interest. (Tr. 987.) He denied any
significant exacerbation of depression. (Id.) Dr. Keaton reported that Plaintiff had good
grooming, hygiene, eye contact, and interaction. (Id.) Plaintiff had increased speech
and appeared fidgety, but his thought process was linear and organized, and his
thought content had frequent but mild depressive cognitions and mild to moderate
anxiety. (Id.) Dr. Keaton advised Plaintiff to return to him after completing rehabilitation
10
for his addictions. (Tr. 988.)
In August 2009, Plaintiff presented to the emergency room reporting acute
anxiety and intoxication after leaving his treatment facility. (Tr. 602.) He was admitted
to the hospital for six days. (Id.) Following his discharge, he followed up with Dr.
Keaton for major depression, anxiety, and polysubstance dependence. (Tr. 982.)
Plaintiff reported “psychological issues” including symptoms of “flashes” and “seeing
things that are not there.” (Id.) On examination, Plaintiff had good grooming, hygiene,
eye contact, and interaction. (Id.) His thought process was linear, organized, and
logical, and his thought content included mild and infrequent depressive cognitions and
anxiety. (Id.)
In October 2009, Plaintiff told Dr. Keaton that he had left rehabilitation because
his roommate threatened him. (Tr. 978.) He reported having been accepted into the
Substance Abuse Mental Illness Program (“SAMI”). (Tr. 670-671, 978.) On
examination, Dr. Keaton reported that Plaintiff had good grooming, hygiene, eye
contact, and interaction and a euthymic mood and full affect. (Tr. 978.) His thought
process was linear, organized, and logical; his thought content included infrequent and
mild depressive thoughts and anxiety; and he had good to fair insight and judgment.
(Id.)
Plaintiff returned to Dr. Keaton in December 2009 after he had been involved in a
motor vehicle accident. (Tr. 971.) He reported a tremendous amount of physical pain
and increased anxiety. (Id.) Dr. Keaton observed that Plaintiff appeared to cry at times
but produced no tears. (Id.) On examination, Plaintiff had good grooming, hygiene, eye
contact, and interaction. (Id.) His mood appeared calm to anxious to saddened and
11
tearful. (Id.) Plaintiff had a full affect and his speech was increased in quantity, but
otherwise normal. (Tr. 972.) His thought process was linear and organized. (Id.) His
thought content included depressive and anxious thoughts. (Id.) He had fair to good
insight and judgment. (Tr. 971-972.)
In January 2010, Plaintiff told Dr. Keaton that his depression medication was
working. (Tr. 968.) He told Dr. Keaton that he was experiencing anxiety from being
cited for OVI but was not suicidal. (Id.) His insight and judgment appeared good to fair.
(Tr. 969.) Dr. Keaton described Plaintiff’s mood and anxiety as “grossly stable with
some continued symptoms.” (Id.)
In February 2010, Plaintiff told Dr. Keaton that he was feeling pretty good and
was not depressed. (Tr. 963.) He stated that a felony charge related to his motor
vehicle accident had been dropped. (Id.) On examination, Plaintiff had good grooming,
hygiene, eye contact, and interaction. (Id.) Dr. Keaton noted that Plaintiff had abnormal
thought content and minor and infrequent depressive cognitions and anxious thoughts.
(Id.) He had good to fair insight and judgment and his mood and anxiety was “grossly
stable.” (Tr. 963, 964.)
In March 2010, Plaintiff returned to Dr. Keaton, denying exacerbation of
psychopathology and noting that his current medication regimen and counseling had
been beneficial. (Tr. 1109.) Dr. Keaton observed that Plaintiff limped and walked with
a cane but that his strength, tone, gait, and station were good to fair. (Id.) Plaintiff’s
thought content included situational depressive and anxious thoughts. (Id.)
On April 26, 2010, Plaintiff reported to the emergency room and was admitted
after alleging suicidal ideation following an altercation with his parents and loss of
12
housing. (Tr. 1169, 1193.) During a psychiatric evaluation, Plaintiff admitted that he
was sad but not depressed. (Tr. 1169.) He stated that he was not currently suicidal but
felt that he would quickly decompensate and become suicidal if he were to be
discharged and not have a place to stay. (Id.) He saw Dr. Keaton, who reported that
Plaintiff had good to fair grooming, hygiene, eye contact, and interaction. (Id.) Dr.
Keaton also noted that Plaintiff’s thought process was generally linear and organized
and his thought content included depressive cognitions, anxious thoughts, and suicidal
ideations. (Id.)
In June 2010, Plaintiff told Dr. Keaton that he had reconnected with a girl from
high school and was engaged. (Tr. 1353.) Plaintiff had good grooming, hygiene, eye
contact, and interaction. (Id.) He smiled and had “tears of joy” about his upcoming
marriage. (Id.) Plaintiff’s mood was euthymic and mildly anxious, his affect was full,
and his thought process was linear and organized. (Id.) His thought content included
situational depressive cognitions and baseline anxiety. (Id.) He had good to fair
judgment. (Id.)
In August 2010, Plaintiff told Dr. Keaton that he was happy. (Tr. 1551.) Plaintiff
had a covenant marriage with a woman and had joined a church. (Id.) He had good
grooming, hygiene, eye contact, and interaction, and his mood was “good” and “happy.”
(Id.) His thought process was linear and organized and his thought content included
“very minor and infrequent depressive thoughts and anxious thoughts.” (Tr. 1551.) Dr.
Keaton opined that Plaintiff’s mood and anxiety had improved and stabilized. (Tr.
1552.) Around that same time, Dr. Keaton completed a Mental Functional Capacity
Assessment for the Ohio Department of Jobs and Family Services. (Tr. 1368-1370.)
13
Dr. Keaton listed Plaintiff’s diagnoses as major depression and anxiety disorder. (Tr.
1370.) Dr. Keaton opined that Plaintiff was extremely limited in his ability to: maintain
attention and concentration for extended periods; perform activities within a schedule,
maintain regular attendance, and be punctual with customary tolerances; work in
coordination with or proximity to others without being distracted by them; complete a
normal workday and workweek without interruptions from psychologically based
symptoms and to perform at a consistent pace without an unreasonable number and
length of rest periods; interact appropriately with the general public; and travel in
unfamiliar places or use public transportation. (Tr. 1368.) Dr. Keaton also rendered the
following opinion:
From serial observations and mental status exams of [Plaintiff] in the
inpatient and outpatient setting, it is my opinion with reasonable
medical certainty that mental illness impairs his social and
occupational functioning. His mental illness impairs ability and
functional capacity to perform duties in the workplace, and
obtain/maintain gainful full-time employment. Further, it is my opinion,
while he may desire such employment, it is against medical advice;
employment would likely result in a further decompensation of mental
illness and pose a risk of harm to self or others.
(Tr. 1369.)
On January 7, 2011, Dr. Keaton completed an Assessment of Ability to do WorkRelated Activities (Mental) and opined that Plaintiff had marked and extreme limitations in
functioning and would miss work at least three days per month. (Tr. 1425-1426.) Dr.
Keaton also opined that Plaintiff has been disabled since May 18, 2009. (Tr. 1426, 1534.)
Plaintiff returned to Dr. Keaton in March 2011, noting that he was not depressed or
suicidal but “not totally where I need to be.” (Tr. 1544.) Dr. Keaton reported good
grooming and hygiene, good eye contact and interaction, fair to good strength, tone, gait,
14
and station, and a linear and organized thought process. (Id.) His insight and judgment
appeared good to fair. (Id.) Dr. Keaton noted abnormal thought content, situational
depressive cognitions, and anxious thoughts. (Id.)
In June 2011, Plaintiff told Dr. Keaton that was going to become legally married. (Tr.
1541.) He noted that overall he was “doing well.” (Id.) Dr. Keaton reported that Plaintiff
had less depression and anxiety. (Id.) Plaintiff stated that he was working at his wife’s
business and feeling well overall. (Id.)
In August 2011, Plaintiff was admitted to the hospital after relapsing on crack
cocaine. (Tr. 1564.) At a September 2011 appointment with Dr. Keaton, Plaintiff reported
that he and his wife had recently been arrested following an incident of domestic violence.
(Tr. 1557.) Plaintiff told Dr. Keaton that at the time of the incident, he was taking a drug he
had purchased on the Internet that “acts like an opiate” and had consumed a twelve-pack
of beer. (Id.)
b.
State Agency Reports
John Waddell, Ph.D., reviewed Plaintiff’s record in April 2010. (Tr. 1140-1143.) Dr.
Waddell opined that Plaintiff appeared capable of understanding, remembering, and
following at least one and two step tasks; relating adequately to co-workers, supervisors,
and the public; and performing work activities in a setting with regular expectations and few
changes due to his reduced stress tolerance.
(Tr. 1142.)
State agency examiner
Catherine Flynn, PsyD., reviewed Plaintiff’s record and affirmed Dr. Waddell’s assessment.
(1358.)
C.
Hearing Testimony
15
1.
Plaintiff’s Hearing Testimony
At his hearing on December 1, 2011, Plaintiff appeared and testified as follows:
Plaintiff lived with his wife, who drove him to the hearing. (Tr. 47.) He did not have
a valid driver’s license; his license was suspended after he was charged with OVI following
his involvement in a head-on car accident on October 5, 2009. (Id.)
Plaintiff had a high school education and some training from a vocational school.
(Tr. 48.) He became an LPN nurse in 1992 but no longer has his nursing certification. (Id.)
He had also worked as an electrician. (Id.) At the time of the hearing, Plaintiff was in
recovery for alcohol abuse and had been sober for about six months. (Id.) He regularly
attended AA meetings and church. (Tr. 49.) He struggled with depression and found it
difficult to keep a job. (Tr. 57.)
Plaintiff could prepare meals, wash dishes, do laundry, take out the trash, and push
a cart in a store. (Tr. 49-50.) He had no problems grooming himself. (Tr. 50.) He played
the guitar, studied the Bible, used the Internet, and attended church twice a week. (Tr. 51.)
While his wife was at work during the day, Plaintiff would straighten up the house. (Tr. 52.)
“I can do small, little things for a little bit and then I have to sit down whenever it gets – you
know – I don’t push myself anymore.” (Id.) Plaintiff’s sleep was sporadic. (Tr. 54.)
Plaintiff had a C2-C3 herniated disc in his neck with extensive arthritis. (Tr. 59.) It
caused tension headaches and pain throughout his shoulder and down his arm. (Id.) He
severed his patella tendon and shattered his kneecap in a car accident. (Id.) He had about
five laproscopic surgeries and torn meniscus repair. (Id.) At the time of hearing, he felt he
was at the point where he required a knee replacement. (Id.) He shattered his right foot
in his October 5, 2009, car accident. (Id.) He had a partial toe joint replacement that failed.
16
(Tr. 60.) He had sciatic pain that ran through his right buttock and pain in his elbows due
to arthritis and the normal wear-and-tear of his body caused by his work in construction.
(Id.)
Plaintiff could not stand for long periods of time or sit in the same position for long
periods of time without becoming uncomfortable. (Tr. 60.) He could not walk long
distances because his knee and lower back would begin to hurt. (Id.) “To walk down to
the mailbox and back, by the time I get back, my right knee is really hurting bad.” (Tr. 61.)
Plaintiff could not lift heavy objects because of his right knee and lower back. (Id.) He
could comfortably carry a two or three pound bag of sugar. (Id.) He could not squat like
he used to when he worked as an electrician. (Tr. 62.) He could bend at the waist but
could not remain bent over without experiencing pain. (Id.) He sometimes had difficulty
reaching above his head. (Tr. 68.) He could open jars, use eating utensils, and write. (Tr.
69.) Following his car accident, he used a wheelchair, followed by a walker, and then a
cane beginning in June 2010. (Tr. 80.)
Plaintiff had been depressed since he was a child. (Tr. 63.) As a child, he
experienced abuse, abandonment, rejection, multiple fathers, and several relocations. (Id.)
Plaintiff’s antidepressant medications “seem to help.” (Id.) He stopped taking narcotic
pain medicine because it caused him to relapse and turned him into a “monster.” (Tr. 65.)
Plaintiff took medications for his depression and physical pain. (Tr. 64-67.) The only side
effects he experienced from his medications were drowsiness and mild shakiness. (Tr. 67.)
He experienced anxiety when being around large crowds, except when he attended church.
(Tr. 70.) He had experienced anxiety attacks in the past. (Id.) Dr. Keaton had been
Plaintiff’s treating psychiatrist since May 2009. (Tr. 71.) Plaintiff had gone to the hospital
17
for a mental impairment about three or four times since May 2009. (Tr. 72-73.)
2.
Vocational Expert’s Hearing Testimony
Nancy A. Borgeson, PhD, a vocational rehabilitation specialist, testified as a
vocational expert at Plaintiff’s hearing. (Tr. 73.) The ALJ asked the VE to assume an
individual with the same age, education, and employment background as Plaintiff. (Tr. 75.)
The hypothetical individual could lift and carry 20 pounds occasionally and 10 pounds
frequently. (Id.) The individual could stand and walk for six hours and sit for six hours, but
would require a sit/stand option every hour for about five minutes. (Id.) The individual
could reach in front and occasionally overhead. (Id.) The individual could handle, finger,
and feel. (Id.) The person could not be exposed to any hazardous conditions; would be
performing simple, routine tasks with simple, short instructions; would make simple, workrelated decisions; would have few workplace changes with minimal public contact and
superficial contact with co-workers and supervisors. (Tr. 76.)
The VE testified that the hypothetical individual described above would not be able
to perform Plaintiff’s past work. (Id.) The individual would be capable of performing the
following types of work: bench assembler at the light, unskilled level (5,000 jobs regionally
and 289,000 nationally); cleaner or housekeeper at the light level (2,500 jobs regionally and
1,000,000 nationally); and mail clerk (not in the post office) at the light, unskilled level
(1,400 jobs regionally and 139,000 nationally). (Id.)
The ALJ posed a second hypothetical to the VE, noting that the individual could lift
the same amounts as those in the first hypothetical, but could only stand and walk for two
hours out of an eight-hour day, could sit for six hours, and would require a sit/stand option.
(Tr. 76-77.) The other limitations stated in the first hypothetical would remain the same.
18
(Tr. 77.) The VE testified that the hypothetical individual could perform the following work
at the sedentary, unskilled level: assembler, such as in the optical industry (2,000 jobs
regionally and 150,000 nationally); inspector, such as a table worker (5,000 jobs regionally
and 473,000 nationally); and general office clerk, such as a charge account clerk (2,100
jobs regionally and 220,000 nationally). (Id.)
The VE opined that an individual who would be absent from work at least three times
per month would not be able to sustain competitive employment. (Tr. 78.) The VE also
testified that an individual who was off-task 18% of the workday would be incapable of
sustaining full-time work. (Tr. 82.) In response to questioning by Plaintiff’s counsel, the VE
testified that an individual would be incapable of performing any of the previously identified
jobs if the individual needed to a hold a cane in his right hand to ambulate. (Tr. 78-79.)
III.
STANDARD FOR DISABILITY
A claimant is entitled to receive benefits under the Social Security Act when he
establishes disability within the meaning of the Act. 20 C.F.R. § 416.905; Kirk v. Sec’y of
Health & Human Servs., 667 F.2d 524 (6th Cir. 1981). A claimant is considered disabled
when he cannot perform “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.” 20 C.F.R. § 416.905(a).
The Commissioner reaches a determination as to whether a claimant is disabled by
way of a five-stage process. 20 C.F.R. §§ 404.1520(a)(4) and 416.920(a)(4); Abbott v.
Sullivan, 905 F.2d 918, 923 (6th Cir. 1990). First, the claimant must demonstrate that he
is not currently engaged in “substantial gainful activity” at the time he seeks disability
19
benefits. 20 C.F.R. §§ 404.1520(b) and 416.920(b). Second, the claimant must show that
he suffers from a “severe impairment” in order to warrant a finding of disability. 20 C.F.R.
§§ 404.1520(c) and 416.920(c). A “severe impairment” is one that “significantly limits . .
. physical or mental ability to do basic work activities.” Abbot, 905 F.2d at 923. Third, if the
claimant is not performing substantial gainful activity, has a severe impairment that is
expected to last for at least twelve months, and the impairment meets a listed impairment,
the claimant is presumed to be disabled regardless of age, education, or work experience.
20 C.F.R. §§ 404.1520(d) and 416.920(d). Fourth, if the claimant’s impairment does not
prevent him from doing his past relevant work, the claimant is not disabled. 20 C.F.R. §§
404.1520(e)-(f) and 416.920(e)-(f). For the fifth and final step, even if the claimant’s
impairment does prevent him from doing his past relevant work, if other work exists in the
national economy that the claimant can perform, the claimant is not disabled. 20 C.F.R.
§§ 404.1520(g), 404.1560(c), and 416.920(g).
IV.
SUMMARY OF COMMISSIONER’S DECISION
The ALJ made the following findings of fact and conclusions of law:
1.
Plaintiff meets the insured status requirements of the Social Security
Act through June 30, 2012.
2.
Plaintiff has not engaged in substantial gainful activity since October
5, 2009, the alleged onset date.
3.
Plaintiff has the following severe impairments: major depression,
anxiety, polysubstance dependence, degenerative disc disease of the
lumbar and cervical spine, and degenerative joint disease of the right
knee and right great toe.
4.
Plaintiff does not have an impairment or combination of impairments
that meets or medically equals the severity of one of the listed
impairments in 20 CFR Part 404, Subpart P, Appendix 1.
20
5.
After careful consideration of the entire record, the undersigned finds
that Plaintiff has the residual functional capacity to perform light work
as defined in 20 CFR 404.1567(b) and 416.967(b), specifically that he
lift and carry 20 pounds occasionally and 10 pounds frequently, he
can stand, walk, and sit for six of eight hours. In addition:
•
He must have the option to sit or stand every hour for
five minutes.
•
He can occasionally climb stairs and ramps.
•
He can occasionally bend and balance, and can never
kneel or crawl.
•
He can reach in front, and can occasionally reach
overhead.
•
He can handle, finger, and feel.
•
He must not be exposed to hazardous conditions.
•
He can perform simple routine tasks, with simple short
instructions, making simple work related decisions,
having few workplace changes, with minimal
(occasional) public contact, and superficial contact with
co-workers and supervisors.
6.
Plaintiff is unable to perform any past relevant work.
7.
Plaintiff was born on March 21, 1960, and was 49 years old, which is
defined as a younger individual age 18-49, on the alleged disability
onset date. Plaintiff subsequently changed age category to closely
approaching advanced age.
8.
Plaintiff has at least a high school education and is able to
communicate in English.
.....
10.
Considering Plaintiff’s age, education, work experience, and residual
functional capacity, there are jobs that exist in significant numbers in
the national economy that he can perform.
11.
Plaintiff has not been under a disability, as defined in the Act, from
October 5, 2009, through the date of this decision.
12.
Plaintiff’s substance abuse is an issue that is not material to the
decision in this matter.
(Tr. 22-32.)
V.
LAW & ANALYSIS
21
A.
Standard of Review
Judicial review of the Commissioner’s decision is limited to determining whether
the Commissioner's decision is supported by substantial evidence and was made
pursuant to proper legal standards. Ealy v. Comm’r of Soc. Sec., 594 F.3d 504, 512
(6th Cir. 2010). Review must be based on the record as a whole. Heston v. Comm’r of
Soc. Sec., 245 F.3d 528, 535 (6th Cir. 2001). The court may look into any evidence in
the record to determine if the ALJ’s decision is supported by substantial evidence,
regardless of whether it has actually been cited by the ALJ. Id. However, the court
does not review the evidence de novo, make credibility determinations, or weigh the
evidence. Brainard v. Sec’y of Health & Human Servs., 889 F.2d 679, 681 (6th Cir.
1989).
The Commissioner’s conclusions must be affirmed absent a determination that
the ALJ failed to apply the correct legal standards or made findings of fact unsupported
by substantial evidence in the record. White v. Comm’r of Soc. Sec., 572 F.3d 272, 281
(6th Cir. 2009). 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. Brainard, 889 F.2d at 681. A decision supported by
substantial evidence will not be overturned even though substantial evidence supports
the opposite conclusion. Ealy, 594 F.3d at 512.
B.
Plaintiff’s Assignments of Error
1.
Whether the ALJ’s Analysis of Whether Plaintiff’s Impairments
Met or Medically Equaled the Listings was Supported by
Substantial Evidence.
22
Plaintiff argues that substantial evidence does not support the ALJ’s conclusion
at step three of the sequential analysis, and that the ALJ did not fully evaluate this
issue. Specifically, Plaintiff argues that evidence in the record demonstrates that he
satisfies the requirements of Listing 1.02(A), and the ALJ erred in failing to analyze that
Listing in denying his application. The Commissioner responds that substantial evidence
supports the ALJ’s conclusion at step three, because two state agency physicians
opined that Plaintiff did not meet or equal a Listing, Plaintiff never raised the issue of
meeting or equaling Listing 1.02(A) at his hearing, and the ALJ’s decision demonstrates
that the ALJ did not believe Plaintiff met the Listing. For the reasons discussed below,
Plaintiff’s arguments are well taken.
At the third step of the sequential analysis, an applicant will be found disabled if
his impairment meets or equals one of the impairments contained in the Listing of
Impairments (“Listings”). 20 C.F.R. § 404.1525(a). A claimant must satisfy all of a
Listing’s criteria in order to be found disabled on that basis. 20 C.F.R. § 404.1525(c)(3).
Listing 1.02(A) sets forth the criteria for major dysfunction of a joint due to any cause.
See 20 C.F.R. Pt. 404, Subpt. 404, App. 1, 1.02. Plaintiff contends that he satisfies the
requirements of section (A) of Listing 1.02, which states:
Major dysfunction of a joint(s) (due to any cause): Characterized
by gross anatomical deformity (e.g., subluxation, contracture,
bony or fibrous ankylosis, instability) and chronic joint pain and
stiffness with signs of limitation of motion or other abnormal
motion of the affected joint(s), and findings on appropriate
medically acceptable imaging of joint space narrowing, bony
destruction, or ankylosis of the affected joint(s). With:
A. Involvement of one major peripheral weight-bearing joint (i.e.,
hip, knee, or ankle), resulting in inability to ambulate effectively,
23
as defined in 1.00B2b.3
20 C.F.R. Pt. 404, Subpt. 404, App. 1, 1.02(A).
Here, the ALJ concluded at step two of her analysis that Plaintiff’s degenerative
joint disease of the right knee and right great toe is a severe impairment. (Tr. 22.) In
her third-step analysis, the ALJ stated that she considered Listings 1.04, 12.04, 12.06,
and 12.09 and determined that Plaintiff did not have an impairment that met or equaled
3
20 C.F.R. Pt. 404, Subpt. 404, App. 1, 1.00(B)(2)(b), provides:
(1) Definition. Inability to ambulate effectively means an
extreme limitation of the ability to walk; i.e., an impairment(s)
that interferes very seriously with the individual's ability to
independently initiate, sustain, or complete activities.
Ineffective ambulation is defined generally as having
insufficient lower extremity functioning (see 1.00J) to permit
independent ambulation without the use of a hand-held
assistive device(s) that limits the functioning of both upper
extremities. (Listing 1.05C is an exception to this general
definition because the individual has the use of only one upper
extremity due to amputation of a hand.)
(2) To ambulate effectively, individuals must be capable of
sustaining a reasonable walking pace over a sufficient distance
to be able to carry out activities of daily living. They must have
the ability to travel without companion assistance to and from
a place of employment or school. Therefore, examples of
ineffective ambulation include, but are not limited to, the
inability to walk without the use of a walker, two crutches or two
canes, the inability to walk a block at a reasonable pace on
rough or uneven surfaces, the inability to use standard public
transportation, the inability to carry out routine ambulatory
activities, such as shopping and banking, and the inability to
climb a few steps at a reasonable pace with the use of a single
hand rail. The ability to walk independently about one's home
without the use of assistive devices does not, in and of itself,
constitute effective ambulation.
24
a listing.4 (Tr. 23-24.) The ALJ did not mention Listing 1.02(A). (Id.) Plaintiff argues
that the ALJ’s failure to even mention this Listing rendered her step three findings to be
without support in substantial evidence.
Plaintiff relies on the Sixth Circuit’s decision in Reynolds v. Comm’r of Soc. Sec.,
424 F. App’x 411 (6th Cir. 2011), to support his argument. In that case, the ALJ
determined, at step two of the sequential analysis, that the claimant had the severe
impairments of back pain and adjustment disorder. At step three of the analysis, the
ALJ made a general conclusion that the claimant’s impairments did not satisfy the
criteria for any listing in Section 1.00, which addresses musculoskeletal conditions, or in
Section 12.00, which addresses mental impairments. Thereafter, although the ALJ
continued to discuss the criteria for Listing 12.04 in detail, the ALJ did not address any
specific listing in Section 1.00.
The Sixth Circuit determined that the ALJ had erred in failing to analyze whether
the claimant’s back impairment satisfied the criteria for any of the Listings in Section
1.00. Id. at 416 (“Ultimately, the ALJ erred by failing to analyze [the claimant’s] physical
condition in relation to the Listed Impairments. Put simply, he skipped an entire step of
the necessary analysis.”). According to the Sixth Circuit, the ALJ’s failure to do so
deprived the court of the ability to conduct a meaningful review of his decision:
In short, the ALJ needed to actually evaluate the evidence,
compare it to Section 1.00 of the Listing, and give an
explained conclusion, in order to facilitate meaningful judicial
review. Without it, it is impossible to say that the ALJ’s
decision at Step Three was supported by substantial
4
Listing 1.04 addresses disorders of the spine and listings 12.04, 12.06,
and 12.09 relate to mental impairments.
25
evidence.
Id.
In Reynolds, the ALJ generally concluded, in the first paragraph of his analysis,
that Plaintiff’s impairments did not satisfy the criteria of Listing 1.00 or Listing 12.00, and
then proceeded to analyze the criteria of only Listing 12.04, without any further
discussion of Listing 1.00. Here, the ALJ did not go as far as even mentioning Listing
1.02, even after concluding in her step two analysis that Plaintiff had the severe
impairment of degenerative joint disease of the right knee and right great toe. Thus, the
ALJ’s failure to discuss Listing 1.02 altogether is even more problematic than the
conclusory third-step analysis that the court rejected in Reynolds. Application of
Reynolds to this case results in the conclusion that the ALJ erred in failing to address
whether Plaintiff’s degenerative joint disease satisfied the criteria of Listing 1.02, which
governs major dysfunction of a joint(s). See Shea v. Astrue, No. 1:11-CV-1076, 2012
WL 967088 (N.D. Ohio Feb. 13, 2012) (Burke, M.J.) (“Without more than a conclusory
statement regarding [the plaintiff’s] physical impairments, the Court is deprived of the
opportunity to provide meaningful judicial review and cannot determine whether the
ALJ’s conclusion is supported by substantial evidence.”)
To the extent the Commissioner asserts that the medical evidence does not
support a finding that Plaintiff satisfies Listing 1.02(A), and that the ALJ discussed – at
other points in her decision – evidence that precluded the application of the Listing,
those arguments are not well taken. While the Commissioner is correct in noting that
the ALJ discussed medical evidence in her step four analysis relating to Plaintiff’s lower
extremity conditions (Tr. 25-27, 29), absent some analysis from the ALJ regarding
26
those medical observations and their relation to the criteria of Listing 1.02(A), this Court
cannot meaningfully determine whether substantial evidence supports the ALJ’s
conclusion that Plaintiff’s right lower extremity conditions did not satisfy that Listing.
See, e.g., Davis v. Comm’r of Soc. Sec., 5:12 CV 2577, 2013 WL 3884188 (N.D. Ohio
July 26, 2013) (Gwin, J.) (remanding where the ALJ provided no discussion of medical
records regarding the plaintiff’s MS and their relation to Listing 11.09(A)); Grohoske v.
Comm'r of Soc. Sec., 3:11 CV 410, 2012 WL 2931400, *3, n.53 (N.D. Ohio July 18,
2012) (Baughman, M.J.) (remanding, noting that “the ALJ’s discussions at step four
were not so extensive as to provide sufficient evidence of [the plaintiff’s] impairments in
light of the listing as to permit a court to conclude from other parts of the ALJ’s opinion
that the listings were not met.”) For the foregoing reasons, Plaintiff’s first assignment of
error presents an adequate basis for remand.
2.
Whether the ALJ Violated the Treating Physician Rule by
Giving Less than Controlling Weight to Treating Sources.
Plaintiff argues that the ALJ violated the treating physician rule with respect to
Drs. Keaton and Mandel. Specifically, Plaintiff challenges the ALJ’s decision to assign
less than controlling weight to their opinions, arguing that the ALJ did not provide an
adequate basis for discounting the opinions. The Commissioner responds that the ALJ
gave good reasons for giving little weight to the opinions of Drs. Keaton and Mandel.
Plaintiff’s argument is without merit.
“An ALJ must give the opinion of a treating source controlling weight if he finds
the opinion ‘well-supported by medically acceptable clinical and laboratory diagnostic
techniques’ and ‘not inconsistent with the other substantial evidence in the case
27
record.’” Wilson v. Comm'r of Soc. Sec., 378 F.3d 541, 544 (6th Cir. 2004) (quoting 20
C.F.R. § 404.1527(d)(2)) (internal quotes omitted). If an ALJ decides to give a treating
source’s opinion less than controlling weight, he must give “good reasons” for doing so
that are sufficiently specific to make clear to any subsequent reviewers the weight given
to the treating physician’s opinion and the reasons for that weight. See Wilson, 378
F.3d at 544 (quoting S.S.R. 96-2p, 1996 WL 374188, at *5 (S.S.A.)). This “clear
elaboration requirement” is “imposed explicitly by the regulations,” Bowie v. Comm’r of
Soc. Sec., 539 F.3d 395, 400 (6th Cir. 2008), and its purpose is to “let claimants
understand the disposition of their cases” and to allow for “meaningful review” of the
ALJ’s decision, Wilson, 378 F.3d at 544 (internal quotation marks omitted). Where an
ALJ fails to explain his reasons for assigning a treating physician’s opinion less than
controlling weight, the error is not harmless and the appropriate remedy is remand. Id.
The ALJ did not err in assigning little weight to the opinion of Dr. Keaton, as she
provided “good reasons” for doing so. The ALJ explained, “[w]hile Dr. Keaton is a long
time treating psychiatrist, his own treating notes during the adjudicated period contradict
these opinions.” (Tr. 28.) The ALJ supported this finding with specific examples from
Plaintiff’s record. (Tr. 28-29.) For example, she specifically addressed Dr. Keaton’s
August 2010 opinion concerning Plaintiff’s ability to function. (Tr. 28, 1368-1369.) As
the ALJ pointed out, Dr. Keaton opined that Plaintiff had several extreme limitations and
that his mental illness impairs his ability to be gainfully employed. (Tr. 28, 1369.) That
same month, however, Plaintiff had told Dr. Keaton that his mood was “good” and
“happy” and that he had entered into a covenant marriage with a woman and joined a
church. (Tr. 28, 1551.) On examination by Dr. Keaton, Plaintiff had good grooming,
28
hygiene, eye contact, and interaction, his thought process was linear and organized,
and his thought content included “very minor and infrequent depressive thoughts and
anxious thoughts.” (Id.) Dr. Keaton opined that Plaintiff’s mood and anxiety had
improved and stabilized. (Tr. 28, 1552.) As the ALJ pointed out, “[t]his is flatly
contradictory to an opinion that the claimant is extremely impaired in his abilities to
relate to others or maintain concentration.” (Tr. 28.)
In addition to Plaintiff’s August 2010 examination by Dr. Keaton, the ALJ found
Dr. Keaton’s January 2011 opinion unreliable. (Tr. 28, 1425-1426.) On January 7,
2011, Dr. Keaton opined that Plaintiff was extremely limited in his ability to maintain
attention, sustain a routine without special supervision, respond appropriately to coworkers and supervisors, and behave in an emotionally stable manner, and that he
would be absent from work three times per month. (Id.) The ALJ found it odd that,
despite the extreme limitations Dr. Keaton noted and Plaintiff’s long history of drug
seeking behavior and relapse into cocaine and alcohol during the adjudicated period,
Dr. Keaton nonetheless opined that Plaintiff would be able to manage benefits in his
own best interests. (Tr. 28-29,1426.) According to the ALJ, this is further evidence that
“Dr. Keaton’s insight into the claimant’s functioning is unreliable.” (Tr. 29.)
Additionally, in assigning less than controlling weight to Dr. Keaton’s opinion, the
ALJ considered several treatment records from Dr. Keaton that did not support the
severity of limitations he had identified. (Tr. 27-28.) During examinations between
January 2010 and March 2011, Plaintiff often had good to fair grooming, hygiene, eye
contact, and interaction. (Tr. 962, 969, 1109, 1353, 1544, 1549, 1551.) Plaintiff’s mood
had been okay and calm (Tr. 1551), pleasant and smiling (Tr. 963), and euthymic (Tr.
29
1544, 1549). Plaintiff generally had a full affect (Tr. 969, 1109, 1353, 1549, 1551), and
when it was restricted, he still had good mood reactivity (Tr. 1544). His speech was
increased in quantity, but otherwise normal. (Tr. 963, 969, 1109, 1353, 1549, 1551.)
Plaintiff’s thought process was linear and organized, and his insight and judgment
appeared to be good to fair. (Tr. 963, 969, 1109, 1353, 1544, 1551, 1549.) Thus, as
the ALJ explained, the evidence surrounding Dr. Keaton’s opinion does not support the
extreme limitations he identified. (Tr. 28.) By explaining how Dr. Keaton’s opinions
were inconsistent with the rest of the record, the ALJ met her burden of offering good
reasons to support her decision to assign less than controlling weight to Dr. Keaton.5
The ALJ also offered good reasons for assigning little weight to Dr. Mandel’s
opinion that Plaintiff cannot stand or walk for more than two hours and would be absent
from work more than four times a month.6 (Tr. 29, 1536-1538.) In giving this opinion
5
Although the ALJ did not give controlling weight to Dr. Keaton’s opinions,
she nonetheless accounted for Plaintiff’s mental impairments in the RFC,
limiting him to simple routine tasks with simple short instructions, making
simple work-related decisions, having few workplace changes with only
occasional public contact and superficial contact with co-workers and
supervisors. (Tr. 24.)
6
Plaintiff assumes, without explaining, that Dr. Mandel is a treating source
and thus the ALJ was required to give “good reasons” for assigning his
opinion less than controlling weight. The Commissioner does not
challenge Plaintiff’s assumption. The ALJ, however, did not make it clear
whether she considered Dr. Mandel a treating source, and this Court has
serious doubts that a physician who treats a claimant on only two
occasions is a treating source. A treating source is defined as “your own
physician, psychologist, or other acceptable medical source who provides
you, or has provided you, with medical treatment or evaluation and who
has, or has had, an ongoing treatment relationship with you.” 20 C.F.R. §
404.1502. Generally, an ongoing treatment relationship exists when the
patient sees or has seen the treating source with a frequency consistent
with accepted medical practice for the type of evaluation required for the
30
less than controlling weight, the ALJ explained that Dr. Mandel’s opinion was based on
a limited treatment relationship and missing notes. (Tr. 29.) As the ALJ observed, Dr.
Mandel saw Plaintiff on only two occasions, and the findings from only one of those
visits are contained in the record. (Tr. 29, 1470-1472, 1477.) The ALJ noted, “[t]he
limited findings on exam, such as tenderness and 4/5 strength in the left leg” do not
support Dr. Mandel’s opinion that Plaintiff could stand or walk for no more than two
hours and would miss work four times per month. (Tr. 29.) Moreover, the ALJ
explained that while Dr. Mandel gave an impression of either fibromyalgia or an arthritis
condition, “[a]bsent findings to support one of those diagnoses, this opinion is based on
symptoms, and not medically determinable impairments.” (Id.) Given Dr. Mandel’s
limited contact with Plaintiff and the lack of treatment notes available to the ALJ when
deciding Plaintiff’s case, the ALJ did not err by giving little weight to Dr. Mandel’s
opinion. For the foregoing reasons, remand is not appropriate on this issue.
3.
Whether the ALJ Erred by Giving Great Weight to State
Consultative Examiners.
Plaintiff argues that the ALJ erred by giving great weight to non-examining state
medical condition at issue. Id. Whether Dr. Mandel is one of Plaintiff’s
treating sources by virtue of examining him on two occasions within a
short period of time (April 7, 2011, and May 9, 2011) is a close question.
(Tr. 1536.) Moreover, it is a question that the ALJ did not decide and that
neither party addressed. Given that neither Plaintiff nor Defendant has
cited to significant evidence in the record for this Court to make a proper
determination regarding Dr. Mandel’s relationship with Plaintiff, we will
assume, but not decide, for purposes of the analysis that Dr. Mandel is
one of Plaintiff’s treating sources.
31
agency physician and psychologist Drs. McCloud and Waddell, respectively. Plaintiff
relies on Blakley v. Comm’r of Soc. Sec., 581 F.3d 399 (6th Cir. 2009), where the Sixth
Circuit held that the ALJ’s decision to accord greater weight to state agency physicians
over the plaintiff’s treating sources was reversible error, because the consultants’
opinions were based on an incomplete case record. Plaintiff also relies on Stacey v.
Comm’r of Soc. Sec., 451 Fed.Appx. 517 (6th Cir. 2011). There, the ALJ adopted the
opinion of a state agency physician who did not review an examining physician’s
assessment of the plaintiff’s physical capabilities before preparing his report. Id. at 520.
The Sixth Circuit remanded the case in part because the ALJ “gave ‘no indication’ that
he ‘at least considered’ that the state agency physician had not reviewed all of the
evidence in the record before giving his opinion significant weight.” Id. (citing Blakley,
581 F.3d at 409). When Blakely and Stacey are considered in light of their facts, the
cases are distinguishable.
In both of those cases, the ALJ failed to adequately explain the weight given to
treating and examining physicians. Here, the ALJ made it clear that she gave “great
weight” to the opinions of Drs. McCloud and Waddell.7 (Tr. 28.) In doing so, she did not
specifically indicate that she at least considered that Drs. McCloud and Waddell
rendered their opinions in April 2010, before treating physicians Drs. Keaton and
7
The ALJ indicated that Dr. McCloud’s April 27, 2010 opinion formed the
basis of the physical component of the ALJ’s RFC finding, and that Dr.
Waddell’s April 16, 2010 opinion formed the basis of the mental
component. (Tr. 28.)
32
Mandel8 completed their RFC assessments. (Id.) As explained above, however, the
ALJ provided justifiable reasons for giving less than controlling weight to the opinions of
Drs. Keaton and Mandel and did not attempt to circumvent the treating physician rule.
Thus, the overriding danger that existed in Blakely and Stacey – that the ALJ
discounted treating and examining source assessments without good reason and
instead relied on the opinions of consultants who did not review the entire record – is
not present under the facts of Plaintiff’s case.
Further, in Blakely, the consultative examiner, upon whose opinion the ALJ
relied, did not have a complete record before him; that is, he did not have nearly 300
pages of medical records that included not only assessments by treating sources, but
ongoing treatment records and notes from those treating sources. See Blakely, 581
F.3d at 409. Here, Plaintiff argues only that Drs. McCloud and Waddell did not consider
Dr. Keaton’s mental functional capacity assessment (Tr. 1368-1370), assessment of
ability to do work-related activities (mental) (Tr. 1425-1427), or letter to Plaintiff’s
counsel (Tr. 1534), or Dr. Mandel’s arthritis residual functional capacity assessment (Tr.
1536-1539). (Plaintiff’s Brief (“Pl.’s Br.”) at 25.) None of those records include medical
findings or treatment notes; rather, the records relate to Drs. Keaton and Mandel’s
opinions regarding Plaintiff’s residual functional capacity (“RFC”). Thus, Blakely is
distinguishable from the facts here, as this is not a case where the consultative
examiners failed to review hundreds of pages of medical records and treatment notes
8
As discussed in footnote 6, this Court is assuming, without deciding, that
Dr. Mandel qualifies as a treating source.
33
from treating sources. The Blakely Court held: “[B]ecause much of the over 300 pages
of medical evidence reflects ongoing treatment and notes by Blakley’s treating sources,
‘we require some indication that the ALJ at least considered these facts before giving
greater weight to an opinion that is not “based on a review of a complete case record.”’”
Blakely, 581 F.3d at 409 (emphasis added), citing Fisk v. Astrue, 253 Fed.Appx. 580,
585 (6th Cir. 2007) (quoting Soc. Sec. Rul. 96-p, 1996 WL 37410, at*3). This language
suggests that the Court’s main concern for requiring the ALJ to have at least considered
the state consultants’ reliance on an incomplete record was due to the volume and type
of records that the consultants failed to review. This is not a concern that is present
here.
Moreover, the Blakely Court found that the ALJ failed to properly evaluate the
medical opinions of the plaintiff’s treating physicians. Blakely, 581 F.3d at 407-408.
Here, the ALJ adequately explained why she gave less than controlling weight to the
opinions of Drs. Keaton and Mandel when deciding Plaintiff’s RFC. Importantly, the
final responsibility for deciding a claimant’s RFC or the application of vocational factors
is reserved to the Commissioner. See 20 C.F.R. § 404.1527(d)(2). Thus, given that
Drs. Keaton and Mandel, Drs. McCloud and Waddell, and the ALJ all consulted
Plaintiff’s treatment records before assessing his functional limitations, the fact that Drs.
McCloud and Waddell did not consult the treating sources’ opinions about Plaintiff’s
RFC is of no consequence. The ALJ had the responsibility of determining Plaintiff’s
RFC and considered the opinions of both treating sources and non-examining state
34
agency sources in doing so. As the ALJ here provided an adequate analysis of the
opinions of Plaintiff’s treating sources and articulated her reasons for assigning less
than controlling weight to their opinions, this Court is not faced with the concern that the
treating sources’ opinions were unfairly discounted or ignored altogether.
Unlike Blakely, the facts in Stacey are not fully developed and the opinion is
unpublished.9 Nonetheless, the instant case is distinguishable from Stacey for many of
the same reasons that it can be set apart from Blakely. In Stacey, not only did the ALJ
fail to indicate whether he “at least considered” that the state agency physician had not
reviewed all of the evidence in the record before giving his opinion significant weight,
the ALJ also failed to indicate what weight, if any, he gave to Dr. Randolph, an
examining source. Stacey, 451 Fed.Appx. at 519. The Court noted, “[w]e have no idea
whether the ALJ (1) discounted Dr. Randolph’s opinion for valid reasons, (2) discounted
Dr. Randolph’s opinion for invalid reasons or (3) simply ignored Dr. Randolph’s opinion
altogether in reaching his conclusion that [Plaintiff] has the residual functional capacity
to perform light work.” Id. The Court further explained: “Making matters worse (or at
least heightening the need for explanation) is that [the state agency physician], whose
opinion the ALJ accepted, apparently did not review Dr. Randolph’s assessment of
Stacey’s physical capabilities in preparing his report.” Id. at 520. Here, unlike Stacey,
9
Unpublished opinions carry no precedential weight, but often carry
“persuasive weight.” United States v. Webber, 208 F.3d 545, 551, n.3 (6th
Cir. 2000), citing Sheets v. Moore, 97 F.3d 164, 167 (6th Cir. 1996) (noting
that unpublished opinions carry no precedential weight and have no
binding effect on anyone other than the parties to the actions).
35
the ALJ adequately explained the weight she gave to Drs. Keaton and Waddell. While
the Court in Stacey remanded because it could not tell whether the ALJ rejected the
examining source’s opinion for legitimate or illegitimate reasons or failed to considered it
at all in assessing the plaintiff’s RFC, the ALJ in this case provided a thorough
assessment of Drs. Keaton and Mandel’s opinions. As a result, this Court – unlike the
Stacey Court – is in a position to conclude that the ALJ’s heavy reliance on state
agency sources is supported by substantial evidence notwithstanding the fact that they
did not consider subsequent RFC opinions from treating sources when rendering their
opinions.
In this Court’s view, both Blakely and Stacey stand on their own facts.10 Thus,
this Court will not remand Plaintiff’s case on the ground that the ALJ gave significant
weight to state agency physicians’ opinions when those physicians did not review the
RFC assessments of Plaintiff’s treating sources. Nonetheless, because Plaintiff’s first
assignment of error presents a basis for remanding this case, and because other courts
may view the holdings of Blakely and Stacey differently, the ALJ is hereby directed to
10
Plaintiff uses Blakely and Stacey to make the argument that consultative
examiners must always consider the RFC assessments of treating
sources when rendering their own opinions. The RFC opinions of treating
sources, however, are often rendered after a claimant’s case has been
heard and the medical records have been considered. Thus, to require
consultative examiners to have reviewed these opinions would be
impractical, unworkable, and inefficient. If courts strictly applied the
holdings of Blakely and Stacey suggested by Plaintiff without assessing
the cases’ unique facts, plaintiffs in future cases could routinely obtain an
RFC assessment from a treating source after the consultative examiner
reviews the record in a case and thereby undermine the opinions of the
consultative examiners.
36
indicate whether she considered what impact, if any, Drs. McCloud and Waddell’s
failure to review Drs. Keaton and Mandel’s subsequent assessments may have had on
her RFC determination.
VI.
CONCLUSION
For the foregoing reasons, the Commissioner’s final decision is REVERSED and
REMANDED for proceedings consistent with this opinion.
IT IS SO ORDERED.
s/ Nancy A. Vecchiarelli
U.S. Magistrate Judge
Date: October 24, 2013
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