Ward v. Commissioner of Social Security Administration
Filing
19
Memorandum Opinion and Order: The decision of the Commissioner of the Social Security Administration is affirmed; plaintiff's complaint is dismissed with prejudice (Related document 1 ). Signed by Magistrate Judge George J. Limbert on 12/12/13. (S,AA)
UNITED STATES DISTRICT COURT
NORTHERN DISTRICT OF OHIO
EASTERN DIVISION
BONNIE J. WARD,
Plaintiff,
v.
CAROLYN W. COLVIN1,
ACTING COMMISSIONER OF
SOCIAL SECURITY,
Defendant.
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CASE NO. 5:12CV2722
MAGISTRATE JUDGE GEORGE J.
LIMBERT
MEMORANDUM OPINION AND ORDER
Bonnie Ward (“Plaintiff”) seeks judicial review of the final decision of Carolyn W. Colvin
(“Defendant”), Acting Commissioner of the Social Security Administration (“SSA”), denying her
applications for Disability Insurance Benefits (“DIB”) and Supplemental Security Income (“SSI”).
ECF Dkt. #1. For the following reasons, the Commissioner’s decision is affirmed and Plaintiff’s
complaint is dismissed with prejudice:
I.
PROCEDURAL AND FACTUAL HISTORY
On March 25, 2009, Plaintiff applied for DIB and SSI, alleging disability beginning
February 2, 2007. ECF Dkt. #12 (“Tr.”) at 166-171.2 Plaintiff met the insured status requirements
of the Social Security Act through December 31, 2013 (“DLI”). Tr. at 22. The SSA denied
Plaintiff’s DIB and SSI applications initially and on reconsideration. Tr. at 92-95. Plaintiff
requested an administrative hearing, which was held on February 11, 2011. At the hearing, the ALJ
accepted the testimony of Plaintiff, who was accompanied by a non-attorney representative, and
Elena Kurtanich, a vocational expert (“V.E.”). Tr. at 70-96. Following the hearing, the ALJ issued
1
On February 14, 2013, Carolyn W. Colvin became the acting Commissioner of Social Security,
replacing Michael J. Astrue.
2
References to the administrative record in this case refer to the ECF docket number of the cited
document and the page number assigned to cited pleading by the ECF system, which can be found in the
search box at the top of the page on the ECF toolbar.
vocational and psychiatric interrogatories. Plaintiff requested that a second hearing be conducted
in order to challenge the responses to the interrogatories. A second hearing was conducted on July
25, 2011. Tr. at 44-69. At the hearing, a second ALJ accepted the testimony of Plaintiff and a second
V.E., George Starosta. Plaintiff was represented by counsel at the second hearing. On August 3,
2011, the ALJ issued a Decision denying benefits. Tr. at 25-37. Plaintiff filed a request for review,
which the Appeals Council denied on September 25, 2012. Tr. at 1.
On October 30, 2012, Plaintiff filed the instant suit seeking review of the Decision. ECF
Dkt. #1. On March 9, 2013, Plaintiff filed a brief on the merits. ECF Dkt. #16. On April 4, 2013,
Defendant filed a brief on the merits. ECF Dkt. #17. A reply brief was filed on April 9, 2013. ECF
Dkt. #18.
II.
SUMMARY OF RELEVANT PORTIONS OF THE ALJ’S DECISION
The ALJ determined that Plaintiff, who was fifty-four years of age on the alleged onset date
and fifty-eight years of age at the hearing, suffered from bipolar disorder, borderline personality
disorder, and low back strain, which qualified as severe impairments under 20 C.F.R. §§
404.1520(c) and 416.920(c). Tr. at 22. The ALJ further determined that Plaintiff did not have an
impairment or combination of impairments that met or medically equaled one of the impairments
listed in 20 C.F.R. Part 404, Subpart P, Appendix 1, 20 C.F.R. §§404.1520(d), 404.1525, 404.1526,
§416.920(d), 416.925 and 416.926 (“Listings”). Tr. at 23-24.
The ALJ found that Plaintiff had the residual functional capacity (“RFC”) to perform
medium work as defined in 20 C.F.R. §404.1567(c), except that she is limited to occupations that
require simple instructions and simple and routine tasks in a low stress environment, without
frequent changes in the work settings or processes, and that do not involve higher than average
production standards. The ALJ further found that Plaintiff is limited to occupations that involve no
more than occasional, superficial contact with members of the public, and coworkers. Tr. at 24.
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The ALJ ultimately concluded that, although Plaintiff could no longer perform her past work
as a payroll clerk and data entry person3, there were jobs that existed in significant numbers in the
national economy that Plaintiff can perform, including the representative occupations of industrial
cleaner, auto detailer, and dishwasher. Tr. at 31. As a consequence, the ALJ found that Plaintiff had
not been under a disability as defined in the SSA and was not entitled to benefits.
III.
STEPS TO EVALUATE ENTITLEMENT TO SOCIAL SECURITY BENEFITS
An ALJ must proceed through the required sequential steps for evaluating entitlement to
benefits. These steps are:
1.
An individual who is working and engaging in substantial gainful activity
will not be found to be “disabled” regardless of medical findings (20 C.F.R.
§§ 404.1520(b) and 416.920(b) (1992));
2.
An individual who does not have a “severe impairment” will not be found to
be “disabled” (20 C.F.R. §§ 404.1520(c) and 416.920(c) (1992));
3.
If an individual is not working and is suffering from a severe impairment
which meets the duration requirement, see 20 C.F.R. § 404.1509 and
416.909 (1992), and which meets or is equivalent to a listed impairment in
20 C.F.R. Pt. 404, Subpt. P, App. 1, a finding of disabled will be made
without consideration of vocational factors (20 C.F.R. §§ 404.1520(d) and
416.920(d) (1992));
4.
If an individual is capable of performing the kind of work he or she has done
in the past, a finding of “not disabled” must be made (20 C.F.R. §§
404.1520(e) and 416.920(e) (1992));
5.
If an individual’s impairment is so severe as to preclude the performance of
the kind of work he or she has done in the past, other factors including age,
education, past work experience and residual functional capacity must be
considered to determine if other work can be performed (20 C.F.R. §§
404.1520(f) and 416.920(f) (1992)).
Hogg v. Sullivan, 987 F.2d 328, 332 (6th Cir. 1992). The claimant has the burden to go forward
with the evidence in the first four steps and the Commissioner has the burden in the fifth step. Moon
v. Sullivan, 923 F.2d 1175, 1181 (6th Cir. 1990).
3
Between 1988 and 2007, Plaintiff worked full time as an automated time reporter and payroll clerk
at a phone company. At the hearings, Plaintiff indicated that she was included in a 2007 “downsizing” of the
company due to her ongoing attendance problems. She characterized the layoff as a blessing because she was
no longer capable of performing full-time work according to her testimony at the second hearing. Tr. at 48.
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IV.
STANDARD OF REVIEW
Under the Social Security Act, the ALJ weighs the evidence, resolves any conflicts, and
makes a determination of disability. This Court’s review of such a determination is limited in scope
by § 205 of the Act, which states that the “findings of the Commissioner of Social Security as to any
fact, if supported by substantial evidence, shall be conclusive.” 42 U.S.C. § 405(g). Therefore, this
Court’s scope of review is limited to determining whether substantial evidence supports the findings
of the Commissioner and whether the Commissioner applied the correct legal standards. Abbott v.
Sullivan, 905 F.2d 918, 922 (6th Cir. 1990).
The substantial-evidence standard requires the Court to affirm the Commissioner’s findings
if they are supported by “such relevant evidence as a reasonable mind might accept as adequate to
support a conclusion.” Cole v. Astrue, 661 F.3d 931, 937, citing Richardson v. Perales, 402 U.S.
389, 401, 91 S.Ct. 1420, 28 L.Ed.2d 842 (1971) (citation omitted). An ALJ’s failure to follow
agency rules and regulations “denotes a lack of substantial evidence, even where the conclusion of
the ALJ may be justified based upon the record.” Cole, supra, citing Blakely v. Comm’r of Soc. Sec.,
581 F.3d 399, 407 (6th Cir.2009) (citations omitted). The Court cannot reverse the decision of an
ALJ, even if substantial evidence exists in the record that would have supported an opposite
conclusion, so long as substantial evidence supports the ALJ’s conclusion. Walters v. Comm’r of
Soc. Sec., 127 F.3d 525, 528 (6th Cir.1997).
V.
ANALYSIS
Plaintiff advances a two separate but related arguments in this appeal. Plaintiff contends that
the ALJ erred in assigning little weight to the opinions of two treating physicians, Scott Mabee,
M.D. and Thomas Robb, D.O., and Plaintiff’s counselor, Robert Waldsmith. In addition, Plaintiff
argues that, as a result of giving little weight to opinions of Drs. Mabee and Robb and Mr.
Waldsmith, the ALJ failed to meet his burden at Step Five. Plaintiff asserts that the ALJ should
have included their respective conclusions that Plaintiff would be absent two or more days per
month and would be off task at least twenty percent of the time in his hypothetical questions to the
VE.
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The earliest medical notes in the record relating to Plaintiff’s psychiatric problems are dated
December 11, 2001 to September 13, 2002. Plaintiff reported anxiety, depression, difficulty with
coworkers, and frustration with a recent romantic relationship. Bharat J. Shah, M.D., diagnosed
Plaintiff with Major Depressive Disorder, Recurrent, Severe with psychotic features and Bipolar
disorder. Tr. at 288. Dr. Shah’s notes reflect ongoing treatment, although the actual temporal
parameters of the treatment appear to extend prior to Dr. Shah’s first treatment notes. Dr. Shah
prescribed Trazadone 150 mg., Remeron 30 mg., and Effexor XR 75 mg. and encouraged Plaintiff
to continue supportive psychotherapy.
The next treatment notes, which are dated on April 24, 2007 (roughly two months after
Plaintiff’s alleged onset date), establish that Plaintiff was admitted to Saint Thomas Hospital on an
emergency basis because she was depressed and contemplating suicide. Tr. 294, 346. The discharge
summary indicates that Plaintiff had planned to take medications that would give her the courage
to slit her wrists. Tr. at 346. Plaintiff was noted to have a long history of depression and she
attributed her current relapse to the difficulties she had been experiencing with her mother as well
as her teenage granddaughter. At the time of admission, Plaintiff was prescribed Effexor 300 mg.,
Trazadone 25 mg., Provigil 200 mg., and Clonazepam .5 mg. Because medication had not
successfully treated Plaintiff’s problems in the past, Dr. Masood Babai recommended
electroconvulsive therapy (“ECT”). Tr. at 347. While in the hospital Plaintiff had a series of four
ECT treatments. Initially, her condition fluctuated, but then gradually began to stabilize, revealing
significant progress. She was discharged with instructions to consult a “Dr. Perrara” for continuing
care, and was prescribed Effexor XR 150 mg and Trazadone 100 mg.
Plaintiff was seen at Kaiser Permanente on May 21, 2007, where she reported having “an
extremely terrible time” following her ECT treatments and the modification of her medication. Tr.
at 366-368. At a June 6, 2007 appointment, Plaintiff told Lisa Friese, LISW, that although her bouts
with depression have lasted her entire adult life, she had kept them under control for the most part
until recently. Tr. at 363. Plaintiff blamed her current problems on her financial stresses from being
laid off from her job of eighteen years at a telephone company, a recent break up with a boyfriend,
and the tumultuous relationships that she has with her family. Ms. Friese observed that Plaintiff was
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bipolar and depressed, and assigned a Global Assessment of Functioning (“GAF”) score of forty.4
She recommended continuing treatment, with medications in addition to counseling, to stabilize
Plaintiff’s mood. Tr. at 365.
Plaintiff was again admitted on an emergency basis to Summa Health System on June 14,
2007, and was kept for evaluation for over a week. Tr. at 312-337. When she was first admitted,
Plaintiff described her disposition as feeling hopeless, suicidal, and depressed as result of a horrible
childhood. Tr. at 337. Following a psychiatric examination, Dr. Babai diagnosed Bipolar Disorder
(Mixed) with Anxiety and Paranoia, a Personality Disorder NOS and assigned a GAF of thirty.5 Tr.
at 313. After several days of monitoring and medication, Plaintiff was able to regain a normal sleep
schedule. Tr. at 334. However after a week, the medical notes characterize Plaintiff’s appearance
as disheveled and her hygiene as poor. Tr. at 328. Nonetheless, Plaintiff was released with
medications the following day with instructions to continue visiting the after-care group therapy
sessions. Tr. at 327.
Several days after being discharged, Plaintiff returned to Kaiser Permanente for a follow up
for her mood disorder. Tr. at 359-360. She reported that, after her hospitalization, she had been less
depressed and had no suicidal thoughts. Tr. at 359. She said her depression was at its highest in the
mornings and gradually waned throughout the day. Tr. at 359. She was encouraged to see her
psychiatrist the next week and instructed to continue with individual therapy sessions as needed. Tr.
at 360.
In August of 2007, Plaintiff reported that she was still depressed and still experienced
volatile mood swings, but that she was doing much better at managing her symptoms. Tr. at 357.
Specifically, she was less worried about her finances and she had been avoiding her mother and male
4
A GAF score of thirty one to forty indicates some impairment in reality testing or communication
(e.g., speech is at times illogical, obscure, or irrelevant) or major impairment in several areas, such as work
or school, family relations, judgment, thinking, or mood (e.g., avoiding friends, neglecting family, unable to
work).
5
A GAF score of twenty-one to thirty indicates behavior influenced by delusions or hallucinations
or serious impairment in communication or judgment (e.g., incoherence, acting grossly inappropriately,
suicidal preoccupation) or inability to function in almost all areas (e.g., stays in bed all day, no job, home,
or friends).
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companionship, which historically had been her sources of angst. Tr. at 358. However, by October
of 2007, Plaintiff had stopped bathing, eating well, sleeping at night, and had fleeting suicidal
thoughts. Tr. at 354. Ms. Friese scheduled a follow up with individual therapy to stabilize Plaintiff’s
mood and improve her coping skills for moodiness. Tr. at 354. At the time, she indicated that she
was unhappy with Dr. Perarra’s help and was seeking a second opinion from Dr. Robb. Tr. at 352.
On November 16, 2007, Plaintiff had her initial consultation with Dr. Robb. Tr. at 388-391.
She admitted to Dr. Robb that she had abused drugs and alcohol but indicated that she had been
sober for fourteen years. Tr. at 390. Dr. Robb and Plaintiff reviewed her medications and he adjusted
the medications she was taking as follows: Tegretol 200 mg. twice per day, Lamictal starter pack
25 mg. to increase every two weeks, Wellbutrin 75 mg SR, Effexor 150 mg. XR 2 tablets per day,
Trazadone 50 mg., and Klonopin 5 mg. Dr. Robb assigned a GAF score of sixty-five.6 A follow-up
visit was scheduled in three weeks. Tr. at 392. On December 15, 2007, Plaintiff complained of
frequent nausea, fatigue, and reported that she had contemplated her own death. Tr. at 386.
In January of 2008, Plaintiff reported that she had less depression and regained some sleep
regularity. Tr. at 385. Her weight had been stable and had no homicidal or suicidal thoughts. At
every follow-up consultation between January and December of 2008, Dr. Robb assigned GAF
scores of 65. Tr. at 447-454. Plaintiff was performing volunteer work at an animal shelter and
reported feeling well with no depression. Tr. at 382.
Despite reporting that she felt well enough to return to work in September of 2008, she was
forced to resign from a position as a telephone sales representative after less than two weeks of
employment. Tr. at 380. Specifically, Plaintiff reported that “she could not handle the job and the
stress there and also had an automobile accident, and she has driven her daughter around.” Tr. at
380. In December of 2008, Plaintiff reported that she was “not motivate to get a job,” that she had
been experiencing stomach and back pains, and issues in her personal life had been increasing her
anxiety. Tr. at 378-379.
6
A GAF score of sixty-one to seventy indicates some mild symptoms (e.g., depressed mood and mild
insomnia) or some difficulty in social and occupational functioning, but generally functioning fairly well,
with some meaningful interpersonal relationships.
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Plaintiff was next seen for a medication management follow-up in March of 2009 and she
reported that she had a lack of motivation to find a job although her mood and symptoms of
depression were relatively stable. Tr. at 378. At her appointments with Dr. Robb on March 4, 2009,
April 15, 2009 and July 8, 2009, Plaintiff complained of depression and lack of motivation. Dr.
Robb continued to assign GAF scores of sixty-five. Tr. at 444-446.
In May of 2009, an agency psychiatric review technique was completed by Irma Johnston,
Psy.D., which showed that medically determinable impairments were present, that is, bipolar
disorder and borderline personality disorder, but they did not satisfy the diagnostic criteria, resulting
in only mild restrictions of activities of daily living, and moderate restrictions in maintaining social
functioning and concentration, persistence, and pace. Tr. at 405-418. Further, although Dr. Johnston
recognized that Plaintiff had experienced episodes of decompensation, she concluded that they were
insufficient in number to establish disability. According to a Mental Residual Functional Capacity
Assessment that was completed by Dr. Johnston on the same day, Plaintiff experienced only mild
to moderate limitations in all categories. Tr. at 419-422. Dr. Johnston concluded that Plaintiff’s
allegations were only partially credible based upon Dr. Robb’s notes indicating that she was stable,
but concluded that, based upon her history of mental illness, she was only capable of occupations
requiring simple and routine work. Tr. at 421.
Dr. Robb completed a Medical Source Assessment on October 22, 2009. He observed that
Plaintiff would either have noticeable difficulty or would not be able to understand or remember
tasks and functions at work. Tr. at 425-426. He further opined that she would have noticeable
difficulty understanding and remembering simple instructions and or would not be able to
understand detailed instructions or maintain concentration for extended periods of time, although
she would be capable of working in coordination with others and making simple work related
decisions. On the other hand, Dr. Robb noted that Plaintiff would have little trouble with social
interaction and adaptation. Tr. at 426. Dr. Robb further opined that Plaintiff would have noticeable
difficulty setting realistic goals and making plans independently of others and accepting instruction
and responding appropriately to criticism from supervisors.
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In September of 2009, Plaintiff was seen by Dr. Mabee as a new patient at the Akron Clinic.
Tr. at 526-529. Dr. Mabee diagnosed asthma and bi-polar depression disorder. In February of 2010,
Dr. Mabee completed a form on which he concluded that Plaintiff could lift and carry only ten to
twenty pounds, could stand and walk one to two hours a day and only twenty to thirty minutes
without interruption; could sit a total of eight hours a day and for one to two hours without
interruption. Dr. Mabee’s assessment limited Plaintiff to only occasional climbing, balancing,
stooping, crouching, crawling and kneeling. Tr. at 508-509. He further opined that Plaintiff should
avoid heavy or excessive activities that could put stress on her spine. Dr. Mabee conceded that his
assessment was predicated exclusively upon Plaintiff’s subjective complaints, insofar as Plaintiff
had not undergone any diagnostic testing for her back pain.
In January of 2010, Mel Zwissler, Ph.D., a second state agency physician, reviewed evidence
in connection with Plaintiff’s disability claim. Dr. Zwissler concluded that Dr. Robb’s conclusions
were without support from the medical record. Dr. Zwissler concurred with Dr. Johnston’s
conclusions regarding Plaintiff’s RFC. Tr .at 505.
By May of 2010, Plaintiff’s mental stability had again regressed to the point that she needed
to be admitted to the inpatient psychiatric unit at Saint Thomas Hospital for a week because of
homicidal ideation Tr. at 537, 694-696. Plaintiff had considered murdering her mother as a result
of a critical comment made to her by her mother after Plaintiff had lost her job and her home.
Despite her homicidal ideations, she denied any suicidal thoughts.
On June 30, 2010, Plaintiff met with Dr. Robb, and asked him to increase the dosage of
Ritalin so that she would have more energy. She told him that if he did not give it to her she would
acquire the drug elsewhere. Tr. at 532. In mid-July of 2010, Plaintiff sought emergency attention
complaining that she did not want to live anymore. Tr. at 551. At her follow-up appointment in
August of 2010, Plaintiff reported to her doctors that since moving into her mother’s home their
arguments leave her angry, sad, stressed, and anxious Tr. at 531. Plaintiff reported similar symptoms
in her October 2010 consultation with no significant progress. Tr. at 530. In late December of 2010,
she sought medical attention for pain in her stomach, headaches, and anxiety at work. Tr. at 557.
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Dr. Robb completed a residual functional capacity assessment on August 26, 2010. Tr. at
561. Dr. Robb concluded that Plaintiff was markedly limited in her ability to work in cooperation
with or proximity to others without being distracted by them. Dr. Robb concluded that Plaintiff was
not significantly limited or only moderately limited in all of the remaining work-related categories.
Specifically, he concluded that Plaintiff was moderately limited in her ability to understand,
remember, and carry out detailed instructions, to maintain concentration, to perform activities within
a schedule and be punctual, to sustain an ordinary routine without special supervision, to interact
appropriately with the general public, to respond appropriately to criticism from supervisors and
changes in the work place, and to get along with coworkers or peers without distracting them or
exhibiting extreme behaviors. He ultimately concluded that Plaintiff was unemployable.
At her next consultation on January 27, 2011, Plaintiff told Dr. Robb that she has been angry
and agitated and there has been no significant change in her depression. Tr. at 626. During a brief
medication management follow-up on April 20, 2011, Dr. Robb characterized Plaintiff as being
angrier. Plaintiff reported that she felt more tired despite having slept eight hours. Tr. at 624. Dr.
Robb assigned a GAF score of fifty-eight.7
On May 6, 2011 and again on May 23, 2011, Plaintiff sought counseling and psychotherapy
services at Portage Path Behavior Health (“PPBH”) to discuss the sources of her anxiety and
depression. Tr. at 632-635. Her therapist, Mr. Waldsmith recommended strategies for dealing with
her dysfunctional family.
On June 1, 2011, Plaintiff went to the Emergency Department at one of the Summa Health
System facilities. She was suicidal and had been hurting herself after yet another family argument.
She was diagnosed as having a Depressive Disorder, NOS, r/o Major Depressive Disorder, recurrent,
sever, r/o Bipolar Disorder, NOS, r/o Anxiety Disorder, NOS, and Nicotine Dependence on Axis
7
A GAF score of fifty-one to sixty indicates moderate symptoms, that is, flat affect and
circumlocutory speech, occasional panic attacks or moderate difficulty in social occupational, or school
functioning that is, no friends, unable to keep a job, cannot work.
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I and Borderline Personality Disorder on Axis II. Her GAF was 158 and she was admitted with Level
2 precautions. Tr. at 654-655.
On June 22, 2011, Mr. Waldsmith completed a mental residual functional capacity
evaluation. He found that Plaintiff could not work in coordination with or proximity to others
without being distracted by them; would be unable to maintain attention and concentration more
than twenty percent of the day; would have difficulties eleven to twenty percent of the day
responding appropriately to changes in the work setting, making simple work-related decisions, and
understanding and remembering detailed instructions. Tr. at 698-699.
Also in June of 2011, Plaintiff underwent an MRI of the brain which revealed small
nonspecific scattered subcortical and periventricular white matter seen bilaterally. While
demyelinating etiology did not appear likely, it was not fully excluded. Tr. at 730. A lumbar
puncture was undertaken to determine if Plaintiff had multiple sclerosis on July 12, 2011. Tr. at
800. No additional information was provided at either of the hearings regarding the results of this
neurological testing.
On July 25, 2011, Dr. Robb wrote a one-sentence letter indicating that Plaintiff “is not able
to work full time due to her increased anxiety in relationship to people and her depression.” Tr. at
714. He also completed a mental residual functional capacity assessment that same day, wherein
he concluded that Plaintiff would be off task for eleven percent or the day or more in every category
with four exceptions: asking simple questions or requesting assistance; getting along with coworkers
or peers without distracting them or exhibiting extreme behaviors; interacting appropriately with the
public; and maintaining socially appropriate behavior and adhering to basic standards of neatness
and cleanliness. Tr. at 715-716.
On February 16, 2011, following the first hearing of this matter, Dr. Herschel Goren
responded to medical interrogatories propounded by the ALJ. Dr. Goren, a retired neurologist,
opined that Plaintiff would have no greater than moderate limitation in any category assessed. Tr.
8
A GAF score of eleven to twenty indicates some danger of hurting self or others (e.g., suicide
attempts without clear expectation of death; frequently violent; manic excitement) or occasionally fails to
maintain minimal personal hygiene or gross impairment in communication (e.g., largely incoherent or mute).
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at 599-600. Plaintiff’s counsel objected to Dr. Goren’s testimony and requested a supplemental
hearing so that she could cross examine him on the interrogatories he answered. Tr. at 270.
At the first hearing, Plaintiff testified that she works twenty hours a week making telephone
calls for American Veterans (“Amvets”). When she started the job roughly a year before the first
hearing, Plaintiff was working sixteen hours a week (four hours per day, Monday through Thursday)
but due to an increase in business, Amvets had assigned an additional four hour shift to her on
Fridays. Plaintiff stated that her stress, agitation, and fatigue have increased due to the expansion
of her hours. Tr. at 72, 83. Plaintiff testified that she works in an office alone, Tr. at 48, and that
being around other people is very stressful. Tr. at 72. She explained that she is not impolite, but that
she feels on edge around others. Tr. at 73.
Plaintiff explained that she “white knuckled it” through her full time work at the telephone
company, as she has been struggling with depression for thirty years. Although she did not have
confrontations with co-workers, she described driving home from work “screaming in the car and
thoughts of killing people at work and thoughts of killing [herself] in front of the people at work.”
Tr. at 76.
Although she described the “downsizing” of the telephone company where she worked for
roughly nineteen years (1988-2007) as a “blessing” at the second hearing (because she intended to
quit), she conceded at the first hearing that she fell into a severe depression after losing that job. Id.
at 48, 76. She had a few short-lived telephone service jobs at a call center and a medical services
bureau after she was terminated from the phone company, but those jobs proved to be too stressful.
She indicated at the first hearing that she intended to undergo testing for attention deficit disorder
because she has a “problem with things seeming all jumbled.” Tr. at 78. Nonetheless, she conceded
that her supervisors at Amvets are pleased with her work.
Plaintiff stated at the hearing that she suffers from GERD, muscle pain, and weekly
headaches. Tr. at 80. She also has difficulty sleeping, but sleeping pills make her “too drugged.”
Tr. at 84. Plaintiff described suffering from fatigue and nausea as a by-product of her prescription
medication. Tr. at 80. When asked if she has any difficulty grocery shopping, she did not describe
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any physical problem, only the need to get in and out of the store quickly in order to avoid people.
Tr. at 84-85.
When asked to explain why she can no longer work on a full time basis, Plaintiff responded,
“I just can’t take the stress anymore. For thirty years I have been taking medication and seeing
therapists and psychiatrists and when I worked it was very difficult for me to work with people.” Tr.
at 48.
In her brief, Plaintiff contends that the ALJ erred in crediting the opinions of the agency
physicians rather than the opinions of her treating physicians and therapist. The ALJ provided the
following explanation for the weight given to the assessments of Dr. Mabee, Dr. Robb, and Mr.
Waldsmith:
[Dr. Mabee] opined that [Plaintiff] could perform work at the light level of exertion.
Dr. Mabee stated that [Plaintiff’s] subjective discomfort was the basis for such
limitation. . . I give little weight to Dr. Mabee’s opinion. While he treated [Plaintiff]
he admitted that his opinion was based largely on [Plaintiff’s] subjective allegations,
rather than any substantive medical evidence. Moreover, the medical evidence as a
whole, including treatment notes, does not indicate any such significant limitations.
Indeed, [Plaintiff] had virtually no ongoing complaints or treatment regarding her
alleged back impairment.
Dr. Robb opined that [Plaintiff’s] mental impairments would preclude her from
carrying out detailed instructions and maintaining attention for extend [sic] periods.
Dr. Robb concluded that [Plaintiff’s] mental impairments would interfere with
numerous work-related abilities for over 20% of the workday, including following
simple instructions, maintaining a schedule, and accepting criticism from supervisors
. . . .I give little weight to Dr. Robb’s opinions. Dr. Robb’s own treatment notes do
not suggest any such substantial limitations, as he generally assigned [Plaintiff] GAF
scores in the mild range.
In June 2001,[Plaintiff’s] counselor, [Mr. Waldsmith] opined that [Plaintiff’s] mental
impairments precluded her from working in coordination with others. Mr.
Waldsmith further asserted that [Plaintiff’s] impairments would impair several workrelated abilities for over 20% of the day, including maintaining attention for
extended periods and getting along with coworkers. Mr. Waldsmith concluded that
[Plaintiff] would miss two days of work per month. I give little weight to Mr.
Waldsmith’s opinion. While he treated [Plaintiff], he is apparently not an acceptable
medical source. Moreover, his opinion is not supported by the balance of the
evidence. Mr. Waldsmith’s own treatment notes suggest that while [Plaintiff] had
difficult relationships with her family, she did not have significant difficulties getting
along with others at her part-time position.
Tr. at 25-26, 29.
In turn, the ALJ gave great weight to the opinion of the agency physician and moderate
weight to the opinion of the medical expert. The ALJ wrote:
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I give great weight to Dr. Johnston’s opinion. She reviewed [Plaintiff’s] records and
based her assessment on the evidence therein. Moreover, Dr. Johnston’s conclusions
are generally consistent with the balance of the evidence. However, the records
show that [Plaintiff’s] episodes of decompensation were not for an extended period
of time, as they lasted less than two weeks each.
I give moderate weight to Dr. Goren’s opinion. He reviewed the evidence of record
and based his conclusions on the findings of [Plaintiff’s] exams and treatment.
Further, Dr. Goren’s conclusions are generally supported by the evidence as a whole.
however, the balance of the evidence suggests that [Plaintiff] has some additional
mental limitations, as indicated by the residual functional capacity.
Tr. at 28-29.
An ALJ must adhere to certain standards when reviewing medical evidence in support of a
claim for social security. Most importantly, the ALJ must generally give greater deference to the
opinions of the claimant’s treating physicians than to those of non-treating physicians. SSR 96-2p,
1996 WL 374188 (July 2, 1996); Wilson, 378 F.3d at 544. A presumption exists that the opinion
of a treating physician is entitled to great deference. Id.; Rogers, supra, at 243 (6th Cir. 2007). If
that presumption is not rebutted, the ALJ must afford controlling weight to the opinion of the
treating physician if that opinion regarding the nature and severity of a claimant’s conditions is
“well-supported by medically acceptable clinical and laboratory diagnostic techniques and is not
inconsistent with other substantial evidence in [the] case record.” Wilson, 378 F.3d at 544.
When an ALJ determines that a treating physician’s opinion is not entitled to controlling
weight, he must consider the following factors in determining the weight to give to that opinion:
the length, frequency, nature, and extent of the treatment relationship; the supportability and
consistency of the physician’s conclusions; the specialization of the physician; and any other
relevant factors. Id.
If an ALJ decides to discount or reject a treating physician’s opinion, he must provide “good
reasons” for doing so. SSR 96-2p. The ALJ must provide reasons that are “sufficiently specific to
make clear to any subsequent reviewers the weight the adjudicator gave to the treating source’s
medical opinion and the reasons for that weight.” Id. This allows a claimant to understand how his
case is determined, especially when he knows that his treating physician has deemed him disabled
and he may therefore “ ‘be bewildered when told by an administrative bureaucracy that he is not,
unless some reason for the agency’s decision is supplied.’ ” Wilson, 378 F.3d at 544 quoting Snell
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v. Apfel, 177 F.3d 128, 134 (2d Cir.1999). Further, it “ensures that the ALJ applies the treating
physician rule and permits meaningful appellate review of the ALJ’s application of the rule.” Id.
If an ALJ fails to explain why he rejected or discounted the opinions and how those reasons affected
the weight accorded the opinions, this Court must find that substantial evidence is lacking, “even
where the conclusion of the ALJ may be justified based upon the record.” Rogers, 486 F.3d at 243,
citing Wilson, 378 F.3d at 544.
On the other hand, “opinions from nontreating and nonexamining sources are never assessed
for ‘controlling weight.’ ” Gayheart v. Comm’r of Soc. Sec., 710 F.3d 365, 376 (6th Cir. 2013). The
Commissioner instead weighs these opinions based on the examining relationship (or lack thereof),
specialization, consistency, and supportability, but only if a treating-source opinion is not deemed
controlling. Id. citing 20 C.F.R. §404.1527(c). Other factors “which tend to support or contradict
the opinion” may be considered in assessing any type of medical opinion.
Id. citing
§404.1527(c)(6).
In Gayheart, the Sixth Circuit recognized that conflicting substantial evidence must consist
of “more than the medical opinions of the nontreating and nonexamining doctors.” The Sixth
Circuit reasoned that “[o]therwise the treating-physician rule would have no practical force because
the treating source’s opinion would have controlling weight only when the other sources agreed with
that opinion.” Gayheart at 377. However, “[t]he determination of disability is [ultimately] the
prerogative of the [Commissioner], not the treating physician.” Warner v. Comm’r of Soc. Sec., 375
F.3d 387, 390 (6th Cir. 2004) quoting Harris v. Heckler, 756 F.2d 431, 435 (6th Cir.1985).
Here, the ALJ did not err in giving little weight to the opinion of Dr. Mabee. Dr. Mabee
concluded that Plaintiff was not capable of medium work due to her back pain. However, the degree
of physical impairment due to Plaintiff’s back pain diagnosed by Dr. Mabee is not supported by the
record. Dr. Mabee treated Plaintiff from September of 2009 to March of 2010. His medical records
include prescriptions for sinus infections and gynecological test results. There is no indication that
Plaintiff’s back pain was ever the subject of testing or treatment and objective findings in the record
demonstrate that Plaintiff was neurologically intact and had a normal gait and station. Tr. at 446,
557, 607, 624, 826. Moreover, Dr. Mabee conceded in his residual functional capacity assessment
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that his conclusions were based upon Plaintiff’s “subjective symptoms only so far.” Tr. at 509.
Finally, when asked directly about her alleged inability to perform full time work at the hearing,
Plaintiff cited psychological problems and never mentioned debilitating back pain. Accordingly,
the ALJ did not err in giving Dr. Mabee’s opinion little weight insofar as the nature and severity of
Plaintiff’s physical limitations are not “well-supported by medically acceptable clinical and
laboratory diagnostic techniques” and are not “inconsistent with other substantial evidence in [the]
case record.” Wilson, 378 F.3d at 544.
Turning to Plaintiff’s mental limitations, Plaintiff contends that the ALJ failed to give
appropriate weight to the opinion of Dr. Robb. Dr. Robb completed checkbox forms indicating
some work-preclusive mental limitations and submitted a statement that Plaintiff could not work,
however he provided no explanation for his opinion. In addition, Dr. Robb’s treatment notes do not
support his conclusions. Dr. Robb repeatedly assigned GAF scores of sixty-five, and at the lowest
a GAF of fifty-seven, roughly a month and a half after Plaintiff was suicidal and engaging in selfinjurious behavior after an altercation with her family. Tr. at 29, 378-87, 391, 442-43, 445, 530-32,
717-18. As the ALJ explained, these scores indicate that Plaintiff generally had, at most, only mild
limitations. Tr. at 29. Likewise, Dr. Robb consistently reported that Plaintiff displayed clear and
logical speech, no loose associations or delusions, no suicidal or homicidal ideation, good insight
and judgment, logical cognition, average intelligence, and adequate or good memory and
concentration . Tr. at 27-29, 378-87, 390-92, 439-46, 530-32, 557-58, 624-27, 717-18. The ALJ
must afford controlling weight to the opinion of the treating physician only if that opinion regarding
the nature and severity of a claimant’s conditions is “well-supported by medically acceptable clinical
and laboratory diagnostic techniques and is not inconsistent with other substantial evidence in [the]
case record.” Wilson, 378 F.3d at 544.
Here, Dr. Robb’s own treatment notes belie his dire
conclusions regarding Plaintiff’s ability to perform full-time work.
Moreover, Dr. Robb’s conclusions regarding Plaintiff’s mental limitations were inconsistent.
For instance, in 2010, Dr. Robb concluded that Plaintiff was moderately limited in her ability to
interact with the public and to get along with coworkers. Then in 2011, Dr. Robb concluded that
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Plaintiff would have no observable limitations in her ability to get along with coworkers or peers
without distracting them or exhibiting extreme behaviors, and would have noticeable difficulty
interacting appropriately with the public no more than ten percent of the workday. Tr. at 715.
Here, the ALJ credited the opinion of the agency physicians that concluded that Dr. Robb’s
opinion regarding the degree of Plaintiff’s limitations was contradicted by his treatment notes. The
Commissioner views state agency physicians “as highly qualified physicians and psychologists who
are experts in the evaluation of the medical issues in disability claims under the [Social Security]
Act.” Douglas v. Comm’r of Soc. Sec., 832 F.Supp.2d 813, 823–24 (S.D.Ohio 2011);
§416.927(d),(f); SSR 96–6p, at *2-3.
As stated, “[o]pinions on [a claimant’s residual functional capacity or whether a claimant is
disabled] are not medical opinions . . . but are, instead, opinions on issues reserved to the
Commissioner because they are administrative findings that are dispositive of a case . . .” 20 C.F.R.
§§ 404.1527(d), 416.927(d) (emphasis added). Giving controlling weight to a treating physician’s
opinion about a claimant’s work capacity “would be an abdication of the Commissioner’s statutory
responsibility.” SSR 96-5p, 1996 WL 374183, at *2; see also 20 C.F.R. §§ 404.1527(d), 416.927(d).
Rather, the ALJ considers all of the relevant evidence in assessing a claimant’s work capacity. 20
C.F.R. §§ 404.1545(a), 416.945(a).
Finally, as to Mr. Waldsmith’s opinion, the ALJ correctly explained that this opinion was
by a therapist, a non-acceptable medical source and thus not a treating source entitled to controlling
weight. See 20 C.F.R. §§ 404.1502, 404.1513(a), (d), 416.902, 416.913(a), (d) (explaining that
therapists are not acceptable medical sources); §§ 404.1502, 416.902 (stating that a “treating source”
must be an “acceptable medical source”); §§ 404.1527(c), 416.927(c) (explaining that only a treating
source’s opinion may be entitled to controlling weight).
Mr. Waldsmith indicated that Plaintiff had no limitation to extreme limitations in performing
mental work-related tasks. Tr. at 697-99. The only explanation he provided was that Plaintiff had
a history of poor work performance when having to work with others, which interfered with her
focus and concentration Tr. at 699. As discussed above, the evidence does not support
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work-preclusive mental limitations. In any event, the ALJ accounted for Plaintiff’s difficulties
working with others by finding that she could have only occasional, superficial interaction with
co-workers and the public and that Plaintiff could perform unskilled work in which “concentration
is not critical” Tr. at 24, 31, 60-63.
Finally, it is axiomatic that the hypothetical question posed to the VE must include the
claimant’s impairments because without an actual depiction of the limitations, the VE will not be
able to accurately access whether jobs do exist that the claimant can perform with his or her
impairments. Schroeder v. Commissioner of Social Security, 2012 WL 7657831, *18 (N.D.Ohio
2012) (citing Lamtman v. Commissioner of Social Security, 2012 WL 2921705, *14 (N.D.Ohio
2012)). The hypothetical question posed to a VE for purposes of determining whether a claimant
can perform other work should be a complete assessment of the claimant’s physical and mental state
and should include an accurate portrayal of the claimant’s physical and mental impairments. Id. (
citing Farley v. Secretary of Health and Human Services, 820 F.2d 777, 779 (6th Cir.1987); Myers
v. Weinberger, 514 F.2d 293, 294 (6th Cir.1975) (per curiam)). Generally, the hypothetical question
should focus on the claimant’s overall state. Id. It need not include lists of the claimant's medical
conditions. Id. at 633. An ALJ is only required to incorporate into the hypothetical question,
limitations that he or she accepts as credible. Id. (citing Petro v. Astrue, 2009 WL 773283, *4
(E.D.Ky.2009) (citing Sias v. Secretary of Health and Human Services, 861 F.2d 475, 480 (6th Cir
.1988)). Here, having concluded that the ALJ did not err in giving little weight to the opinions of
the treating physicians’ opinions, the Court finds that no error occurred when the ALJ did not
include the mental limitations ascribed to Plaintiff by Dr. Robb and Mr. Waldsmith in his
hypothetical to the ALJ.
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VI.
CONCLUSION
For the foregoing reasons, the Commissioner’s decision is AFFIRMED and Plaintiff’s
complaint is DISMISSED with prejudice.
DATE: December 12, 2013
/s/George J. Limbert
GEORGE J. LIMBERT
UNITED STATES MAGISTRATE JUDGE
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