Adkins v. Commissioner of Social Security Administration
Filing
17
Memorandum Opinion and Order: The decision of the Administrative Law Judge is reversed; this case is remanded for reexamination, analysis and articulation of her treatment of the opinions of plaintiff's treating physician Dr. Rucker and the consultative opinions of Dr. Dallara (Related document 1 ). Signed by Magistrate Judge George J. Limbert on 9/7/18. (S,AA)
UNITED STATES DISTRICT COURT
NORTHERN DISTRICT OF OHIO
EASTERN DIVISION
OBIE ADKINS,
)
)
Plaintiff,
)
)
v.
)
)
)
NANCY A. BERRYHILL1,
ACTING COMMISSIONER OF SOCIAL )
SECURITY ADMINISTRATION,
)
)
Defendant.
)
CASE NO. 5:17CV539
MAGISTRATE JUDGE
GEORGE J. LIMBERT
MEMORANDUM OPINION & ORDER
Plaintiff Obie Adkins (“Plaintiff”) requests judicial review of the final decision of the
Commissioner of Social Security Administration (“Defendant”) denying his application for
Disability Insurance Benefits (“DIB”). ECF Dkt. #1. In his brief on the merits, Plaintiff asserts that
the administrative law judge (“ALJ”): erred by failing to find that his peripheral neuropathy, sleep
apnea and psoriasis were not severe impairments; erred by failing to find that his mental impairment
did not meet or medically equal Listing 12.02 of the Listing of Impairments; and improperly
weighed the opinions of his treating and examining physicians and interpreted medical evidence
on her own. ECF Dkt. #12. For the following reasons, the Court REVERSES the decision of the
ALJ and REMANDS Plaintiff’s case in accordance with this Memorandum Opinion & Order.
I.
FACTUAL AND PROCEDURAL HISTORY
Plaintiff filed an application for DIB alleging disability beginning July 10, 2013 due to acute
and severe memory loss, neuropathy, hypertension, depression, anti-social disorder, hearing loss,
and altered mental status. ECF Dkt. #10 (“Tr.”) at 162, 184.2 The Social Security Administration
1
On January 20, 2017, Nancy A. Berryhill became the acting Commissioner of Social Security,
replacing Carolyn W. Colvin.
2
All citations to the Transcript refer to the page numbers assigned when the Transcript was filed in
the CM/ECF system rather than when the Transcript was compiled. This allows the Court and the parties to
easily reference the Transcript as the page numbers of the .PDF file containing the Transcript correspond to
the page numbers assigned when the Transcript was filed in the CM/ECF system.
(“SSA”) denied his application initially and upon reconsideration. Id. at 108-116. Plaintiff
requested a hearing before an ALJ, which was held on August 16, 2016. Id. at 38, 117-118.
On September 8, 2016, the ALJ issued a decision denying Plaintiff’s application for DIB.
Tr. at 20-32. On March 15, 2017, Plaintiff filed the instant suit seeking review of the ALJ’s
decision. ECF Dkt. #1. He filed a brief on the merits on June 30, 2017 and Defendant filed her
merits brief on July 27, 2017. ECF Dkt. #s 12, 13. On August 7, 2017, Plaintiff filed a reply brief.
ECF Dkt. #14. On October 27, 2017, the parties consented to the undersigned’s jurisdiction. ECF
Dkt. #15.
II.
SUMMARY OF RELEVANT PORTIONS OF THE ALJ’S DECISION
In her September 8, 2017 decision, the ALJ found that Plaintiff had not engaged in
substantial gainful activity during the relevant time period, and she found that since that date,
Plaintiff had the severe impairments of: cardiac dysrhythmias, cognitive disorder, anxiety, and
depression. Tr. at 22-23. She found that Plaintiff’s impairments of celiac disease, gastroesophageal
reflux disease, hearing loss, herpes simplex infection, hypokalemia, Payronie’s disease, obstructive
sleep apnea (“OSA”), hypertension, bronchitis, piriformis syndrome, neuropathy, and restless leg
syndrome were not severe impairments. Id. at 23.
The ALJ further determined that Plaintiff did not have an impairment or combination of
impairments that met or medically equaled the severity of one of the listed impairments in 20 C.F.R.
Subpart P, Appendix 1. Tr. at 23-25. After considering the record, the ALJ found that Plaintiff had
the residual functional capacity (“RFC”) to perform medium work with the following limitations:
never climbing ladders, ropes or scaffolds; avoiding concentrated exposure to extreme heat, extreme
cold, and vibration; avoiding exposure to mechanical parts and unprotected heights; performing
tasks up to four steps; inability to perform any fast pace production work; being subjected to only
few changes in a routine work setting; and having only occasional superficial interaction with
supervisors, coworkers, and the general public. Id. at 25.
Based upon Plaintiff’s age, education, work experience, the RFC, and the vocational expert’s
(“VE”) testimony, the ALJ determined that Plaintiff could not perform his past relevant work, but
he could perform jobs existing in significant numbers in the national economy, such as the jobs of
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warehouse worker, industrial cleaner, and floor waxer. Tr. at 31-32. In conclusion, the ALJ found
that Plaintiff had not been under a disability, as defined in the Social Security Act, and he was not
entitled to DIB from July 10, 2013, through the date of her decision. Id. at 32.
III.
STEPS TO EVALUATE ENTITLEMENT TO SOCIAL SECURITY BENEFITS
An ALJ must proceed through the required sequential steps for evaluating entitlement to
social security 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).
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
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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 (1971) (internal citation omitted). Substantial evidence is defined as “more than a scintilla
of evidence but less than a preponderance.” Rogers v. Comm’r of Soc. Sec., 486 F.3d 234 (6th Cir.
2007). Accordingly, when substantial evidence supports the ALJ’s denial of benefits, that finding
must be affirmed, even if a preponderance of the evidence exists in the record upon which the ALJ
could have found Plaintiff disabled. The substantial evidence standard creates a “‘zone of choice’
within which [an ALJ] can act without the fear of court interference.” Buxton v. Halter, 246 F.3d
762, 773 (6th Cir.2001). However, 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)
(internal citations omitted).
V.
LAW AND ANALYSIS
A.
STEP TWO NON-SEVERE IMPAIRMENTS
Plaintiff first asserts that the ALJ erred by failing to find that his peripheral neuropathy,
OSA, and psoriasis were severe impairments. ECF Dkt. #12 at 21-22. The Court finds that the ALJ
applied the correct legal standards and substantial evidence supports her determination that
Plaintiff’s peripheral neuropathy, OSA, and psoriasis were not severe impairments.
At step two of the sequential steps for evaluating entitlement to social security benefits, a
claimant must show that he or she suffers from a severe medically determinable physical or mental
impairment. 20 C.F.R. § 404.1520(a)(4)(ii). An impairment is not considered severe when it “does
not significantly limit [one’s] physical or mental ability to do basic work activities.” 20 C.F.R.
§404.1521(a).
At step two, the term “significantly” is liberally construed in favor of the claimant. The
regulations provide that if the claimant’s degree of limitation is none or mild, the Commissioner will
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generally conclude the impairment is not severe, “unless the evidence otherwise indicates that there
is more than a minimal limitation in your ability to do basic work activities.” 20 C.F.R.
§404.1520a(d). The purpose of the second step of the sequential analysis is to enable the
Commissioner to screen out “totally groundless claims.” Farris v. Sec’y of HHS, 773 F.2d 85, 89
(6th Cir.1985). The Sixth Circuit has construed the step two severity regulation as a “de minimis
hurdle” in the disability determination process. Higgs v. Bowen, 880 F.2d 860, 862 (6th Cir.1988).
Under a Social Security policy ruling, if an impairment has “more than a minimal effect” on the
claimant’s ability to do basic work activities, the ALJ is required to treat it as “severe.” SSR 96-3p
(July 2, 1996).
Once the ALJ determines that a claimant suffers a severe impairment at step two, the analysis
proceeds to step three; any failure to identify other impairments, or combinations of impairments,
as severe in step two is harmless error. Maziarz v. Sec’y of Health & Human Servs., 837 F.2d 240,
244 (6th Cir.1987). Once a claimant clears Step Two of the sequential analysis, the ALJ is required
to consider all of his or her impairments, severe and non-severe, at every subsequent step of the
sequential evaluation process. See Anthony v. Astrue, 266 Fed. App’x 451, 457 (6th Cir. 2008)(ALJ’s
failure to identify an impairment as severe was “legally irrelevant” because the ALJ found other
impairments to be severe at Step Two, which allowed the ALJ to consider all impairments in the
later steps in the process).
1.
OSA and Peripheral Neuropathy
In this case, the ALJ evaluated Plaintiff’s peripheral neuropathy and OSA at Step Two
of her decision. Tr. at 23. As to Plaintiff’s OSA, the ALJ specifically found that the medical
evidence showed that Plaintiff did not have “substantial ongoing limitations” relating to OSA
besides sleep interruption. Id. Plaintiff contends that the ALJ used the improper standard of
“substantial ongoing limitations” rather than the proper Step Two standard and he cites to his
testimony and medical records in asserting that they are contrary to the ALJ’s determination that his
OSA was not severe. ECF Dkt. #12 at 22, citing Tr. at 54, 60-61, 458-471, 475, 536-538, 543, 732737, 884-891, 893, 896-902.
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The Court finds that the ALJ applied the proper Step Two standard. Although she used the
phrase “substantial ongoing limitations” in a sentence discussing Plaintiff’s sleep apnea at Step Two,
there is no indication that she used this as the standard of severity and in fact, she cited to the proper
regulations and Social Security Rulings for determining severity. Tr. at 21, 23. The ALJ also
specifically stated in her Step Two analysis that the evidence indicated that Plaintiff’s OSA, among
other impairments, imposed “only minimal limitations on the claimant’s ability to perform basic
work activities.” Id. at 23. The Court finds that the ALJ thus employed the proper legal standard
in determining that Plaintiff’s OSA was not a severe impairment.
As to the medical evidence cited by Plaintiff that he contends is contrary to the ALJ’s nonseverity finding, the standard is whether substantial evidence supports the ALJ’s determination that
Plaintiff’s OSA was not a severe impairment. This Court must affirm the decision of the ALJ if it
is supported by substantial evidence, even if substantial evidence exists to the contrary. Moreover,
the burden is on Plaintiff to prove the severity of this impairment. Higgs, 880 F.2d at 863, citing
Murphy v. Sec’y of Health & Human Servs., 801 F.2d 182, 185 (6th Cir. 1986).
The ALJ in this case cited to a medical record from a sleep medicine consultation in which
Plaintiff reported that he slept a total of 7 hours per night and had a regular sleep/wake schedule.
Id., at 23, citing Tr. at 475. Plaintiff had indicated that he was previously diagnosed with moderate
OSA in 2015 and was started on a CPAP that he used intermittently, but he stopped using in 2015
due to leaks and pressure intolerance. Id. at 475. He explained that he tried several masks, but they
had limited benefit. Id. Upon consultation, Plaintiff was diagnosed with mild cognitive impairment,
amnestic type, untreated sleep apnea, and increased stress with interpersonal relationships. Id. at
477. He was referred for sleep apnea treatment and a psychology visit, and follow up was
recommended in 2-3 months to determine if cognitive change had progressed. Id.
Plaintiff fails to explain how the medical evidence that he cites to in the record is contrary
to the ALJ’s non-severity finding. In fact, one of the records cited by Plaintiff is a June 29, 2016
treatment note which documented Plaintiff’s report that he was sleeping better with the recent
changes that were made in his sleep medicine. ECF Dkt. #12 at 22, citing Tr. at 893. Other records
cited by Plaintiff also support a diagnosis of OSA and treatment, but they do not establish its
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severity or indicate that this impairment has “more than a minimal effect” on his ability to perform
basic work activities. ECF Dkt. #12 at 22, citing Tr. at 458-471, 475, 536-538, 543, 732-737, 884891, 893, 896-902. Plaintiff also asserts that “sleep interruption constitutes a significant symptom,
as lack of sleep, especially in individuals with dementia, can cause serious symptoms.” ECF Dkt.
#12 at 22. However, Plaintiff provides no support for this statement and fails to show the impact
it would have on performing basic work activities. For these reasons, the Court finds that substantial
evidence supports the ALJ’s non-severity finding as to Plaintiff’s OSA.
The ALJ also specifically addressed Plaintiff’s peripheral neuropathy at Step Two, finding
that little objective evidence existed regarding this impairment, many examinations revealed that
Plaintiff had normal sensation, and medications that Plaintiff took for this impairment controlled his
symptoms. Tr. at 23. Plaintiff asserts that the ALJ pointed to no part of the record supporting these
findings and “review of the record shows otherwise.” ECF Dkt. #12 at 21. Plaintiff further contends
that the fact that a claimant takes medication consistently is not a valid reason for finding an
impairment to be non-severe. Id.
The Court finds that the ALJ applied the proper legal standard at Step Two regarding
Plaintiff’s peripheral neuropathy and substantial evidence supports her non-severity determination.
As with Plaintiff’s OSA and other impairments, the ALJ specifically cited to the proper regulations
and Social Security Rulings in her decision. Tr. at 21, 23. The ALJ also addressed Plaintiff’s
neuropathy and found that it, along with some other of Plaintiff’s conditions, imposed “only minimal
limitations on the claimant’s ability to perform basic work activities.” Id. at 23. The Court finds
that this is sufficient to show that the ALJ applied the proper legal standard.
Further, substantial evidence supports the ALJ’s determination that Plaintiff’s peripheral
neuropathy was not a severe impairment. While Plaintiff correctly points out that the ALJ did not
cite to specific parts of the record in her Step Two determination supporting her finding that
examinations showed normal sensation and little objective evidence of neuropathy, the rest of the
ALJ’s decision provides citations to these parts of the record. For instance, the ALJ cites to
Plaintiff’s complaints of chronic foot pain in March of 2014, but she pointed out that Plaintiff’s
physical examination was generally normal. Tr. at 26, citing Tr. at 348. This examination, dated
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March 28, 2014, indicated that Plaintiff presented with chronic foot pain and had tried some
medications, and his peripheral pulses upon examination were normal, bilaterally symmetrical and
his strength was 5 out of 5. Id. at 370. The ALJ also cited to a podiatrist’s September 19, 2014
progress note in which Plaintiff reported that he was not able to obtain the neuropathy cream that
the doctor had previously prescribed because it was too expensive. Id. at 348. Bilateral foot
examination at that time showed intact sensation and normal muscle strength. Id. Plaintiff was
diagnosed with peripheral neuropathy and the doctor was going to submit a pain cream from a
different compounding company in order to see if Plaintiff could receive a sample at an affordable
price. Id. at 349. The ALJ also cited to other records showing normal sensation and she cited to
parts of the record indicating that Lyrica was helping Plaintiff’s neuropathy. Tr. at 26, citing Tr. at
359, 365, 673, 765. The Court finds that this constitutes substantial evidence to support the ALJ’s
finding that Plaintiff’s peripheral neuropathy was not a severe impairment.
Even if the ALJ committed error in failing to find that Plaintiff’s OSA and peripheral
neuropathy were not severe impairments, this error was harmless because the ALJ determined that
some of Plaintiff’s other impairments were severe and she continued on in the disability evaluation
process. In Maziarz, the Sixth Circuit Court of Appeals held that an ALJ’s failure to find one of a
claimant’s impairments to be severe was not reversible error because the ALJ considered other
impairments to be severe and continued onward in the disability evaluation process, where the
severe and non-severe impairments could be considered in the remaining steps of the process. 837
F.2d at 244. Similarly here, the ALJ found that Plaintiff’s cardiac dysrhythmias, cognitive disorder,
anxiety and depression were severe impairments. Tr. at 23. She then proceeded onward in the
disability evaluation process and had the opportunity to consider and considered Plaintiff’s OSA and
peripheral neuropathy in those remaining steps. In fact, the ALJ specifically indicates in her Step
Two portion of her decision that despite her non-severity findings, “any limitations caused by such
impairments are incorporated in the residual functional capacity set forth below. To the extent the
claimant had ongoing foot pain, the reduction to medium work accounted for such a symptom.” Id.
Accordingly, even if the ALJ’s erred by failing to find that Plaintiff’s OSA and peripheral
neuropathy were severe impairments, this constituted harmless error as she specifically indicated
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that she considered these impairments and did consider these impairments in proceeding onward in
her sequential evaluation.
2.
Psoriasis
Plaintiff asserts that the ALJ also erred in failing to address his psoriasis and thus the ALJ’s
finding that this condition was not severe cannot be traced. ECF Dkt. 12 at 22. Plaintiff is correct
that the ALJ did not address his psoriasis in her decision. ECF Dkt. #12 at 22. Plaintiff contends
that this constitutes reversible error because he received medical treatment for this condition and he
cites to many records relating to treatment for psoriasis. Id., citing Tr. at 348-350, 634, 673-678,
690-695, 713-715, 933-938.
However, the burden of establishing that an impairment is severe rests with Plaintiff. Higgs,
880 F.2d at 863, citing Murphy, 801 F.2d at 185. Plaintiff has not done so here. A mere diagnosis
of a condition or the seeking of treatment for a condition does not render an impairment severe. See
Higgs, 880 F.2d at 863. Moreover, Plaintiff did not identify psoriasis as a medical condition on his
disability report or in his appeal of the denial of his initial disability application. Tr. at 184, 225,
252. Nor did Plaintiff’s counsel mention psoriasis at the hearing before the ALJ when identifying
Plaintiff’s disabling impairments in his opening statement. Id. at 42. Further, Plaintiff did not
identify psoriasis as an impairment when the ALJ asked him at the hearing to explain what
prevented him from working on a full-time basis. Id. at 53. For these reasons, the Court finds that
the ALJ did not commit error, much less reversible error, by failing to address whether Plaintiff’s
psoriasis was a severe impairment at Step Two of her sequential analysis.
B.
STEP THREE AND LISTING 12.02
Plaintiff also asserts that the ALJ erred in failing to find that his mental health conditions did
not meet or medically equal Listing 12.02(A)(2), (3), (4), (5) and (B). ECF Dkt. #12 at 22-23. He
contends that the record supports such a finding because his memory impairment and significant
problems with perceptual/thinking disturbances, personality changes, and mood disturbances are
well-documented. Id. Plaintiff cites to the treatment records of Drs. Ruhe, Bonner-Jackson, and
Sacco to show that he meets or equals Listing 12.02(A) and he cites to the opinions of Drs. Rucker
and Dallara to support a finding that he meets or equals Listing 12.02(B). Id. He also challenges
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the ALJ’s finding that “[n]o treating of examining physician has indicated findings that would
satisfy the severity requirements of any listed impairment.” Id. at 22-23, citing Tr. at 27.
The Listing of Impairments in 20 C.F.R. Part 404, Subpart P, Appendix 1 describes
impairments for each of the major body parts that are deemed of sufficient severity to prevent a
person from performing gainful activity. 20 C.F.R. § 404.1525. In the third step of the analysis to
determine a claimant’s entitlement to social security benefits, it is the claimant’s burden to bring
forth evidence to establish that his impairments meet or are medically equivalent to a listed
impairment. Evans v. Sec’y of Health & Human Servs., 820 F.2d 161, 164 (6th Cir. 1987). In order
to meet a listed impairment, the claimant must show that his impairment meets all of the
requirements for a listed impairment. Hale v. Sec’y, 816 F.2d 1078, 1083 (6th Cir. 1987). An
impairment that meets only some of the medical criteria and not all does not qualify, despite its
severity. Sullivan v. Zebley, 493 U.S. 521, 530 (1990).
An impairment or combination of impairments is considered medically equivalent to a listed
impairment “* * *if the symptoms, signs and laboratory findings as shown in medical evidence are
at least equal in severity and duration to the listed impairments.” Land v. Sec’y of Health and
Human Servs., 814 F.2d 241, 245 (6th Cir.1986)(per curiam). In order to show that an unlisted
impairment or combination of impairments is medically equivalent to a listed impairment, the
claimant “must present medical findings equal in severity to all the criteria for the one most similar
listed impairment.” Sullivan, 493 U.S. at 531.
Listing 12.02 at the time of the ALJ’s decision was entitled “Organic Mental Disorders” and
provided that a claimant met the required level of severity for this Listing when paragraphs A and
B as stated below were satisfied or when paragraph C was satisfied.
A.
Demonstration of a loss of specific cognitive abilities or affective changes
and the medically documented persistence of at least one of the following:
1. Disorientation to time and place; or
2.Memory impairment, either short-term (inability to learn new information),
intermediate, or long-term (inability to remember information that was
known sometime in the past; or
3.Perceptual or thinking disturbances (e.g. hallucinations, delusions); or
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4.Change in personality; or
5.Disturbance in mood; or
6.Emotional lability (e.g., explosive temper outbursts, sudden crying, etc.)
and impairment in impulse control; or
7. Loss of measured intellectual ability of at least 15 I.Q. points from
premorbid levels or overall impairment index clearly within the severely
impaired range on neuropsychological testing, e.g., the Luria–Nebraska,
Halstead–Reitan, etc.;
AND
B.
Resulting in at least two of the following:
1.Marked restriction in activities of daily living; or
2.Marked difficulties in maintaining social functioning; or
3.Marked difficulties in maintaining concentration, persistence, or pace; or
4.Repeated episodes of decompensation, each of extended duration;
OR
C.
Medically documented history of a chronic organic mental disorder of at least
2 years' duration that has caused more than a minimal limitation of ability to
do basic work activities, with symptoms or signs currently attenuated by
medication or psychosocial support, and one of the following:
1. Repeated episodes of decompensation, each of extended duration; or
2. A residual disease process that has resulted in such marginal adjustment
that even a minimal increase in mental demands or change in the
environment would be predicted to cause the individual to decompensate; or
3. Current history of 1 or more years' inability to function outside a highly
supportive living arrangement, with an indication of continued need for such
an arrangement.
Listing 12.02 (eff. May 24, 2016 - Sept. 28, 2016).
The Court again notes that review of this case is limited to determining whether the ALJ
applied the correct legal standards and whether substantial evidence supports the ALJ’s
determination. Abbott, 905 F.2d at 922. If substantial evidence supports the ALJ’s determination
that Plaintiff’s impairments did not meet or medically equal Listing 12.02, this Court cannot reverse
that determination, even if substantial evidence exists to the contrary. The Sixth Circuit has rejected
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a heightened articulation standard for the ALJ at Step Three. Bledsoe v. Barnhart, 165 Fed. App’x
408, 411 (6th Cir. 2006). In Bledsoe, the Sixth Circuit held that the ALJ is under no obligation to
spell out “every consideration that went into the step three determination” or “the weight he gave
each factor in his step three analysis,” or to discuss every single impairment. Id. at 411. The Sixth
Circuit further held that the entire decision of the ALJ can be reviewed in order to find the required
explanation and support as to Step Three findings. Id.
Here, the ALJ specifically addressed Listing 12.02 at Step Three and found that Plaintiff’s
mental impairments did not meet or medically equal the Listing. Tr. at 23-24. She specifically
reviewed the paragraph B and C criteria of Listing 12.02 in making this determination. Id. at 24.
Since she did not review paragraph A of the Listing in her decision and proceeded right to
paragraphs B and C, the Court finds that the ALJ must have determined that Plaintiff met the criteria
of paragraph A, despite Defendant’s post-hoc rationale and assertion to the contrary. Tr. at 23-24.
As to the paragraph B criteria, the ALJ specifically reviewed each of them and found that
Plaintiff was moderately restricted in his daily living activities, his social functioning, and in his
concentration, persistence or pace, and he therefore did not have an extreme limitation or two
marked limitations in these areas as required to satisfy the Listing. Tr. at 24. As to daily living
activities, the ALJ cited to Plaintiff’s reports that he cared for his personal hygiene, his pets, and his
finances, and he read and watched television, prepared meals, and he was able to go shopping. Id.,
citing Tr. at 228, 241, 341. The Court finds that the ALJ applied the proper Step Three standard here
and her citations constitute substantial evidence to support a moderate restriction in Plaintiff’s daily
living activities.
In the area of social functioning, the ALJ found that Plaintiff had moderate restrictions, citing
to Plaintiff’s reports of significant anger and interpersonal problems, but noting that medication
helped control these symptoms and Plaintiff was cooperative at all examinations and was able to go
shopping without problems. Tr. at 24, citing Tr. at 54. Plaintiff did report at his hearing before the
ALJ that medication helped tremendously with his anger management issues. Id. at 54. And while
Plaintiff did testify that he had trouble with interpersonal relationships, the ALJ indicated that
Plaintiff was cooperative at his examinations and he was able to go shopping without any problems
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with interpersonal relationships. Id. at 24; 62. The Court finds that the ALJ applied the proper
standard to this part of her Step Three analysis. Further, and while the ALJ could have provided
better support for her finding here, her analysis meets the substantial evidence standard as to her
finding of a moderate restriction for Plaintiff in the area of social interaction.
The ALJ also found that Plaintiff was moderately restricted in the areas of concentration,
persistence or pace. Tr. at 24. She cited to Plaintiff’s complaints of severe memory deficits, but
she noted that Plaintiff’s cognitive deficits were described as mild. Id. at 24; 228, 926. The Court
notes that Plaintiff was diagnosed with a mild cognitive impairment by his doctors based on MRIs
of his brain. Id. at 537. The ALJ also explained that Plaintiff testified that he read and watched
television, and there was no indication that he could not follow what he read or watched. Id. at 24.
The ALJ further explained that Plaintiff was able to follow the proceedings before her and answered
questions in an appropriate manner, and he indicated that he took care of his finances, which she
found required a heightened level of attention. Id. at 24, citing Tr. at 61. Again, while the ALJ
could have provided better support for this finding, and some evidence exists to the contrary, the
ALJ applied the proper legal standard and substantial evidence supports her determination of a
moderate restriction in this area.
The ALJ also found that Plaintiff had no episodes of decompensation. Tr. at 24. Plaintiff
does not challenge this finding.
For these reasons, and based upon the standard required for Step Three, the Court finds that
the ALJ applied the proper standard for her Step Three analysis as to Listing 12.02 and substantial
evidence supports her determination that Plaintiff’s mental impairments did not meet or medically
equal Listing 12.02.
C.
OPINIONS OF DRS. RUCKER AND DALLARA
Plaintiff also asserts that the ALJ erred by rejecting the opinions of every treating and
examining physician in the record and improperly attributed more weight to the opinions of nonexamining state agency doctors and relied upon her own interpretation of the medical evidence.
ECF Dkt. #12 at 19-21. He specifically refers to the ALJ’s treatment of the opinions of Drs. Rucker
and Dallara as the opinions that the ALJ improperly rejected. Id.
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A review of the relevant medical evidence shows that on May 4, 2010, Plaintiff presented
to the emergency room complaining of an altered mental status, which included confusion, and
dizziness that started early that morning. Tr. at 285. He related that he was driving to work and
called his boss and was speaking in fragmented sentences so he returned home and told his wife that
he felt dizzy. Id. at 296. Plaintiff’s wife reported that Plaintiff was speaking in full sentences, but
he was very quiet and was staring straight ahead. Id. He had reported left arm tingling and chest
tightness and his wife checked his blood pressure, which was 185/113, although his blood pressure
had been well-controlled for the last three years on medication. Id. Plaintiff’s wife indicated that
he told her that he fell down, although Plaintiff denied telling his wife this. Id. Upon examination,
his short-term memory and long-term memories were impaired and he was scared and confused.
Id. at 286. Plaintiff was assessed as having acute transient altered mental status with vertigo and
dysarthria and left arm tingling, most likely transient ischemic attack (“TIA”), less likely a seizure,
less likely post-concussive syndrome, or hypertensive encephalopathy. Id. at 297. He was also
assessed with hypertension with transient hypertensive emergency, hyperlipidemia, and atypical
chest pain. Id. He was started on medication and MRIs of the brain and extracranial and intracranial
vessels were ordered. Id. at 298. The MRIs were normal, as well as an EEG, and Plaintiff was
treated with Plavix for the possibility of a TIA, but neurology did not believe that Plaintiff had a
TIA. Id. at 302, 313-314. A brain CT showed evidence of dolichoectasia involving the major
vessels in the skull base region, most likely on the basis of hypertension. Id. at 320. His discharge
diagnoses were transient episode of acute altered mental status, vertigo and dysarthria, dyslipidemia
with low HDL and elevated triglycerides, and hypertension with transient hypertensive emergency.
Id. at 302.
On March 19, 2014, Dr. Rucker, Plaintiff’s treating physician, completed a form indicating
that he first treated Plaintiff on January 14, 2009 and last saw him on January 1, 2014. Tr. at 324.
He listed Plaintiff’s diagnoses as including dementia and depression. Id. When asked to describe
the nature and symptoms of Plaintiff’s medical condition, Dr. Rucker wrote, “Dementia - onset of
1 year primary reason for inability to work. Progressively worsening.” Id. Dr. Rucker indicated
that Plaintiff’s short-term memory failed and he was fired from a job because of his inability to
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remember closing procedures. Id. When asked to provide consultative/diagnostic testing that he
had regarding Plaintiff’s condition, Dr. Rucker wrote that none was available. Id. When asked if
Plaintiff was on any medications, Dr. Rucker wrote that Plaintiff had not started medications for
dementia because he was waiting to rule out an organic reason for Plaintiff’s dementia and Plaintiff
had poor compliance with medications likely due to his memory. Id. at 325. When asked to
describe any limitations that Plaintiff’s condition has on his ability to sustain work activity and to
be specific as to Plaintiff’s ability to concentrate, think clearly, communicate and relate with others,
follow instructions, take care of personal needs and to function independently if a psychological
condition was involved, Dr. Rucker wrote “see above.” Id.
On May 12, 2014, Dr. Ruhe conducted a consultative examination and noted Plaintiff’s chief
complaint as an antisocial disorder. Tr. at 328. Dr. Ruhe indicated that Plaintiff was 63 years old
and reported that he was diagnosed with antisocial disorder when he was 38. Id. Plaintiff described
a “convoluted” story surrounding his diagnosis, which included him placing a tap on his ex-wife’s
phone during the divorce to show that she was smuggling drugs into a state penitentiary to her
brother using their minor child. Id. He related that the judge over the divorce case nevertheless
sided with his ex-wife and threatened to put him in jail for tapping the phone. Id. He told Dr. Ruhe
that he felt that the judge needed to be punished and he laid out a very specific plan to murder him.
Id. He reported that he did not carry the plan out because he was waiting for his mother to pass
away so she would not find out but the judge died in the interim. Id. Plaintiff related thoughts of
hurting other people because he believed that they needed to be punished. Id. He explained that he
was on medication and his anger issues were much better since taking this medication, although he
still continued to have homicidal ideation. Id. Plaintiff also told Dr. Ruhe that he was very forgetful
and Dr. Ruhe noted that during her interview with him, Plaintiff often interrupted her in the middle
of a question in order to answer a prior question before he would forget. Id.
Dr. Ruhe conducted a physical examination and assessed Plaintiff with antisocial disorder
with continuing homicidal ideation. Tr. at 331. She recommended that he be assessed by a
psychiatrist even though he had no current homicidal ideation and was on medicine. Id. She opined
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that given the information she had concerning Plaintiff, she found that “he is inappropriate to be in
any type of work setting” until his mental illness was under good control. Id.
On June 18, 2014, Plaintiff presented to Dr. Dallara, Ph.D, for a psychological evaluation.
Tr. at 339. He administered the Wechsler Adult Intelligence Scale-IV (“WAIS-IV) and interviewed
Plaintiff for the evaluation. Id. Plaintiff identified his chief complaint as memory problems and
blacking out. Id. He reported that he last worked in July of 2013 at Lowe’s as an assistant manager
but he was terminated from employment because he made frequent mistakes due to memory issues,
such as forgetting to turn off all of the lights, locking doors or other closing procedures. Id. at 340.
Plaintiff described his daily living activities as caring for his personal hygiene, performing
household chores, watching television and enjoying his motorcycle and sometimes camping. Id. at
341.
Dr. Dallara found that Plaintiff was appropriately dressed and he was cooperative, although
he had memory difficulties. Tr. at 341. He also noted that Plaintiff’s speech was intelligible and
spontaneous, but there were circumlocutions at times and he appeared to have difficulty expressing
his thoughts. Id. Dr. Dallara found that Plaintiff was alert and oriented, but he required
reinstruction for the WAIS-IV as he would forget the task at hand. Id. at 342. The WAIS-IV
indicated that Plaintiff’s verbal comprehension was in the average range at 93, perceptual reasoning
was in the low-average range of 86, working memory was in the borderline range at 74, processing
speed was also borderline at 76, and he had a full-scale IQ of 80, which was low-average. Id. Dr.
Dallara noted that Plaintiff showed a relative deficit in his short-term memory. Id.
On the basis of his interview and the WAIS-IV, Dr. Dallara diagnosed Plaintiff with
cognitive disorder and mood disorder, not otherwise specified, and he rated his global range of
assessment at 55, indicative of moderate symptoms. Tr. at 342. Dr. Dallara opined that Plaintiff
would be able to manage his own funds if granted. Id. at 343. He also opined that “Plaintiff would
be expected to understand instructions in a work setting that was consistent with average intellectual
abilities. However it appears he would have difficulties remembering and carrying out simple one
or two-step instructions.” Id.
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As to Plaintiff’s abilities to maintain attention and concentration, and to maintain persistence
and pace to perform simple tasks and multi-step tasks, Dr. Dallara opined that even though Plaintiff
did not report a pattern of leaving work due to mental or emotional difficulties, he did indicate that
he was terminated from employment due to mental difficulties. Tr. at 343. Thus, Dr. Dallara opined
that “there was no direct evidence during the examination to suggest impairment to his pace;
however at times he would forget the task at hand and require reinstruction. Additionally at times
he would lose his train of thought. This may prompt performance concerns by others.” Id. As to
responding appropriately to supervision and to co-workers in a work setting, Dr. Dallara opined that
Plaintiff would have difficulties relating to others, including co-workers and supervisors, due to his
mood and cognitive issues. Id. Dr. Dallara further opined that Plaintiff would also have difficulties
withstanding stress and pressure associated with daily work activities due to his cognitive problems
and mood issues. Id. at 344.
September 30, 2014 treatment notes from treating physician Dr. Rucker indicated that
Plaintiff presented complaining of severe confusion as he was taking his wife to work, swerved in
the car, and was awakened in the middle of the street and did not remember how he got home. Tr.
at 765. He also complained of blurry vision. Id. Dr. Rucker’s physical examination of Plaintiff was
normal and he assessed amnestic syndrome, blurred vision and TIA. Id. at 766. He ordered a brain
MRI and continued Plaintiff’s medications. Id.
On October 17, 2014, Plaintiff underwent a brain MRI which was compared with the June
18, 2014 brain MRI. Tr. at 763. The results showed mild generalized atrophy which was stable, a
normal ventricular system, and a few scattered periventricular white matter, which were unchanged
and probably represented mild changes of chronic small vessel ischemia, and minimal mucousal
thickening in the anterior ethmoid air cells. Id. The impression was that there was no change from
the June 18, 2014 MRI. Id. at 764.
On December 16, 2014, Dr. Dallara conducted another psychological evaluation of Plaintiff
for the agency. Tr. at 390. He interviewed Plaintiff and administered the Wechsler Memory ScaleIV (“WMS-IV”). Id. Dr. Dallara noted that prior to this evaluation, Plaintiff called him and
apologized for missing his scheduled appointment, even though it had not yet taken place. Id. at
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392. Dr. Dallara further noted that a week later, Plaintiff called again and apologized for missing
the evaluation, which had not yet occurred. Id. At the evaluation, Plaintiff reported that he forgets
why he goes into rooms, forgets conversations, and forgets things that he is supposed to do. Id.
Dr. Dallara noted difficulties in administering the WMS-IV, as even though Plaintiff was
cooperative, he had difficulties with his memory as he would repeat the questions and required
reinstruction and would forget the task at hand. Tr. at 393. The WMS-IV results indicated that
Plaintiff had an auditory memory index of 75, visual memory of 74, visual working memory of 73,
immediate memory index of 77, and a delayed memory index of 66. Id. Dr. Dallara opined that
Plaintiff’s delayed memory score was in the extremely low range, and his other scores fell in the
borderline range. Id. He indicated that the results suggested retention deficits. Id.
On the basis of his interview and the WSM-IV, Dr. Dallara diagnosed Plaintiff with
cognitive, mood and anxiety disorders, not otherwise specified, and he rated his global range of
assessment at 48, indicative of severe symptoms. Tr. at 393. Dr. Dallara opined that Plaintiff would
not be able to manage his own funds if granted due to his significant memory issues. Id. at 394. He
opined that “Plaintiff would be expected to understand instructions in a work setting that was
consistent with average intellectual abilities. However he would have significant difficulties
remembering and carrying out simple one or two-step instructions.” Id.
As to Plaintiff’s abilities to maintain attention and concentration, and to maintain persistence
and pace to perform simple tasks and multi-step tasks, Dr. Dallara opined that there was no direct
evidence to suggest an impairment in these areas, except that Plaintiff often reported forgetting what
he was doing and his difficulties tracking the flow of conversation may prompt performance
concerns by others. Tr. at 394-395. As to responding appropriately to supervision and to coworkers in a work setting, Dr. Dallara opined that “[e]xcept for his circumlocutions and a tendency
to lose his train of thought, he made an essentially unremarkable social presentation during the
examination.” Id. at 395. However, Plaintiff reported that he had been fired due to unbecoming
conduct and Plaintiff’s depression, anxiety and cognitive issues would cause difficulties for Plaintiff
relating to others, including co-workers and supervisors. Id. Dr. Dallara further opined that Plaintiff
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would also have difficulties withstanding stress and pressure associated with daily work activities
due to his depression, anxiety and cognitive problems. Id. at 344.
On January 28, 2015, Plaintiff presented to Physician’s Assistant (“PA”) Loughrin at the
Cleveland Clinic Center for Brain Health for evaluation of a progressive cognitive change. Tr. at
564. Plaintiff reported that he lost his job due to memory issues in 2013 when he was a manager at
Lowe’s and left money out and doors unlocked. Id. at 566. He “took social security early” and
applied for disability. Id. Plaintiff believed that he had a progressive cognitive change over the last
4 years and his wife indicated that Plaintiff would tell the same story repeatedly and he was
forgetting appointments and where he was driving at times. Id. Plaintiff also reported having 4
episodes of acute confusion/memory loss/disorientation but he could not remember those issues.
Id. Besides the one that resulted in his emergency room visit and hospital admission, Plaintiff
reported three additional episodes, with the most recent two months prior to this visit. Id. Plaintiff
and his wife indicated that Plaintiff was driving her to work when Plaintiff was not making sense
when he was talking and then ran stop signs and swerving across traffic. Id. He reported short-term
memory issues and word-finding difficulties. Id. at 567.
PA Loughrin’s mental status examination of Plaintiff showed normal results, but cognitive
testing showed delayed recall issues without cues. Tr. at 567. She assessed Plaintiff with cognitive
change and requested Plaintiff’s prior records and MRI, ordered blood work, an EEG, a repeat MRI,
neuropsychological testing, and discussed increasing medications that Plaintiff was taking in the
future and a possible lumbar puncture. Id. at 568.
A March 5, 2015 brain MRI showed mild atrophy and nonspecific white matter changes,
which were said to likely reflect chronic microvascular ischemia. Tr. at 559, 582-584.
On March 5, 2015, Plaintiff was referred to Dr. Bonner-Jackson, Ph.D. for a
neuropsychological evaluation at the request of PA Loughrin. Tr. at 558. Plaintiff reported that he
was involved in a motor vehicle accident in 1986 where he lost consciousness for several hours and
was hospitalized 3-4 days. Id. at 559. He indicated that he had a Bachelor’s Degree in Accounting
and he worked as a State Trooper, but was fired in 1987 due to anger issues. Id. at 560. He reported
working in retail for 16 years and recently managed a Lowe’s store, but was fired due to forgetting
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to lock doors and leaving money out. Id. He indicated that he had been married three times and had
five children and two step-children. Id.
Dr. Bonner-Jackson noted normal behavioral observations, and his neuropsychological
evaluation revealed isolated impairments and relative inefficiencies on memory tasks. Tr. at 560.
Testing showed extremely low word-list learning, initial learning, delayed recall and recognition
accuracy, and average with borderline impaired delayed recall for highly contextualized information
Id. Non-verbal memory measure showed borderline impairment with initial learning of geometric
shapes with average delayed recall. Id. He noted that Plaintiff’s performance across measures of
language, visual spatial skills, attention, executive functioning, and processing speed ranged from
low average to very superior. Id. Mood screening measures showed minimal depression and mild
anxiety. Id.
In summary, Dr. Bonner-Jackson reported that the results indicated that Plaintiff had a
relatively formal memory disturbance with a nonspecific pattern. Tr. at 560. However, due to
Plaintiff’s report of a strong family history of dementia, Dr. Bonner-Jackson was concerned about
a possible neurodegenerative process or seizure activity. Id. He diagnosed Plaintiff with amnestic
mild cognitive impairment. Id. A one-year retest was recommended, as well as Plaintiff’s use of
memory aids. Id. at 561.
On March 26, 2015, PA Loughrin noted that Plaintiff presented for follow up and she
informed him that the MRI of his brain showed no acute intracranial process, but mild volume loss
and nonspecific white matter changes. Tr. at 546, 921-922. PA Loughrin assessed Plaintiff with
mild cognitive impairment and noted concern about the underlying process being Alzheimer’s
Disease or seizure disorder. Id. at 546, 922. She scheduled a lumbar puncture and increased
Plaintiff’s medication. Id.
Plaintiff underwent a lumbar puncture on April 6, 2015. Tr. at 557. Treatment notes dated
May 8, 2015 from PA Loughrin noted that Plaintiff had a normal mental status examination and the
results of lumbar puncture testing did not indicate Alzheimer’s Disease. Id. at 537, 543. He was
assessed with a mild cognitive impairment, episodic cognitive changes, with no recent episodes, and
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untreated sleep apnea. Id. PA Loughrin indicated that memory testing may be repeated next year,
and Plaintiff should return in six months for a follow-up. Id.
Follow-up treatment notes from the Center for Brain Health dated February 19, 2016 show
that Plaintiff was followed for his mild cognitive impairment. Tr. at 399. PA Loughrin noted that
testing did not show evidence of neurodegenerative disease, but Plaintiff continued to complain of
worsening short-term memory loss. Id. He indicated that he tried to work at a friend’s convenient
store, but he could not work the cash register correctly. Id. He noted several additional stressors
in his life, including a separation between him and his wife, who was escorted to the emergency
department at this visit due to his being actively suicidal with intent and a plan. Id. Plaintiff also
noted that he allowed two of his drug-addicted children to move into his house and they sold his
things, including his furniture. Id. He reported being independent with his activities of daily living
and he enjoyed gardening and visiting his friend. Id. at 476. Plaintiff was assessed with a mild
cognitive impairment, amnestic type, and his cognitive assessment test results showed a worse score
than before. Id. at 477. He was also assessed with untreated sleep apnea and increased stress with
interpersonal relationships. Id. PA Loughrin indicated that Plaintiff would be followed over time
due to a very strong family history of dementia. Id. A sleep consultation and psychology
consultation were also ordered. Id.
Dr. Rucker’s progress notes dated June 15, 2016 indicated that Plaintiff presented for
completion of his social security paperwork. Tr. at 660, 797. He noted that Plaintiff complained
of sleep difficulty but was sleeping well with Ambien. Id. Plaintiff complained of some issues with
anger and anxiety, but he reported that he was doing better with the combination of medications that
he was prescribed. Id. He also complained of depression, poor energy and appetite, but he thought
that the combination of Celexa and Buproprion were doing the best job for him. Id. Plaintiff also
complained of memory loss but indicated that Aricept was helping. Id.
Upon examination, Dr. Rucker noted that Plaintiff clearly had memory deficits, especially
short-term memory deficits. Tr. at 661. He assessed, among other conditions, early onset
Alzheimer’s dementia without behavioral disturbance and major depression in remission. Id. He
continued Plaintiff’s medications for these conditions. Id. at 662.
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On June 15, 2016, Dr. Rucker completed a form regarding Plaintiff’s abilities to perform
work-related activities on a daily basis. Tr. at 456. Dr. Rucker opined physical restrictions for
Plaintiff based upon his neuropathy, but also opined that Plaintiff would be off-task for 5% of the
workday, he would need to lie down for 30 minutes of an 8-hour day if performing sedentary work
and he would never need to take unscheduled breaks. Id. at 457. When asked for the medical
findings supporting his opinion, Dr. Rucker indicated that “[m]ost important, pt has dementia, likely
Alzheimer’s. Pt was fired from previous job due to inability to close store properly, was forgetting
money, locks, etc.” Id. Dr. Rucker further indicated that Plaintiff’s “[p]rimary reason for SSI is
dementia.” Id.
On July 20, 2016, Plaintiff presented to Dr. Sacco, Ph.D, for a psychological evaluation at
the request of PA Loughrin. Tr. at 877. She requested an opinion as to Plaintiff’s memory, mood,
sleep and recommendations. Id. Plaintiff indicated that his most bothersome symptom was his
memory. Id. at 878. He reported that he relieved his stress by riding his motorcycle and enjoying
his family. Id. at 880.
Dr. Sacco reported that Plaintiff was alert and oriented, cooperative, had normal speech,
normal eye contact, with logical, coherent and relevant thoughts, no psychotic features, adequate
insight and judgment, grossly intact cognition and no evidence of suicidal or homicidal ideations.
Tr. at 880. Dr. Sacco diagnosed Plaintiff with mood disorder, not otherwise specified, and a rule
out of bipolar disorder. Id. at 881. He rated Plaintiff’s GAF at 60, indicative of moderate
symptoms. Id. Dr. Sacco reviewed emergency access procedures with Plaintiff, gave him his
contact information, discussed preventative measures such as exercise and sleep exercise, and
referred him to various agencies for psychoeducation, resources, social activities and social support
services. Id.
Treatment notes from PA Loughrin dated June 29, 2016 indicate that Plaintiff’s cognitive
testing results were back to the baseline score of the first test results and Plaintiff’s general mental
status examination was otherwise normal. Tr. at 885. Plaintiff indicated that things were not
changing or getting worse for him. Id. at 893. She assessed mild cognitive impairment, back to
baseline, depression, and sleep apnea. Id. at 885. She explained to Plaintiff that the lack of
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progression in cognitive decline and the negative lumbar puncture did not support an underlying
neurodegenerative process like Alzheimer’s Disease. Id. She discontinued the Aricept for three
weeks and told Plaintiff it was “OK to send the forms for disability.” Id.
On August 15, 2016, Dr. Rucker completed a medical source assessment of Plaintiff’s mental
abilities to perform work-related activities. Tr. at 914. He opined that Plaintiff could not perform
the following activities on a regular, reliable and sustained schedule: remembering locations and
work-like procedures; understanding and remembering detailed instructions; carrying out detailed
instructions; perform activities within a schedule, regularly attend or be punctual; sustain an ordinary
routine without special supervision; 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; accept instructions and respond appropriately to
criticism from supervisors; respond appropriately to changes in the work setting; and to travel in
unfamiliar places or use public transportation. Id. at 914-915. Dr. Rucker further opined that
Plaintiff would be distracted more than 20 percent of the workday or workweek from: maintaining
attention and concentration for extended periods of time; working in coordination with others
without being distracted by them; interacting appropriately with the general public; and setting
realistic goals or making plans independently of others. Id. He further found that Plaintiff would
have noticeable difficulty from 11-20% of the workday or workweek from getting along with
coworkers without distracting them or exhibiting behavioral extremes; and Plaintiff would have no
observable limitations in: understanding, remembering, and carrying out very short, simple
instructions; making simple, work-related decisions; asking simple questions or requesting
assistance; maintaining socially appropriate behavior and adhering to basic standards of neatness
and cleanliness; and being aware of normal hazards and taking appropriate precautions. Id.
In addition, Dr. Rucker opined that Plaintiff would be absent from work more than four days
per month due to his impairments or treatment, he would be off-task over 20% of an 8-hour
workday, and he explained that the medical findings supporting his opinion were Plaintiff’s
diagnosis with dementia/Alzheimer’s Disease and his anger “provoked easily.” Tr. at 915-916. He
further indicated that Plaintiff was fired from a job because he was unable to lock doors, lock a safe,
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and left out money, he has trouble remembering to take his pills regularly at home, and he would
have trouble with any complex tasks or instructions to follow. Id. at 916.
On August 5, 2016, Plaintiff presented to Dr. Sacco in order to complete the MMPI-2RF
psychological testing. Tr. at 926. Dr. Sacco noted that Plaintiff generated a considerably larger than
average number of infrequent responses, which occurred in individuals with genuine, severe
psychological difficulties who report credible symptoms. Id. Dr. Sacco noted that Plaintiff also
reported a much larger than average number of somatic symptoms, which is rarely described by
individuals with genuine medical conditions. Id. at 926-927.
On the basis of Plaintiff’s responses, Dr. Sacco opined that Plaintiff was very likely to be
prone to developing physical symptoms in response to stress. Tr. at 927. He further opined that
Plaintiff’s responses indicated significant emotional distress and serious and pervasive thought
dysfunction, with Plaintiff’s prominent persectorial ideation that likely raises the level of paranoid
delusions, including a strong belief that people are seeking to harm Plaintiff. Id. Dr. Sacco further
indicated that Plaintiff was also likely to experience substantial thought disorganization, to present
with significantly impaired reality testing, and to experience serious impairment in occupational and
interpersonal functioning. Id. Dr. Sacco also opined that Plaintiff had indicated significant,
generalized, acting-out behavior and he was very likely to be restless and become bored and to be
acutely over-activated as manifested by poor impulse control, aggression, mood instability,
excitability, and sensation-seeking, risk-taking, or other forms of under-controlled irresponsible
behavior. Id. Dr. Sacco noted that Plaintiff reported a significant history of antisocial behavior and
is likely to have difficulties with individuals in position of authority. Id.
Dr. Sacco diagnosed Plaintiff with mood disorder, not otherwise specified, and he indicated
rule out diagnoses of bipolar disorder, obsessive-compulsive disorder, post-traumatic stress disorder,
intermittent explosive disorder, major depressive disorder, and schizoaffective disorder. Tr. at 928.
He also diagnosed Plaintiff with antisocial personality traits and paranoid personality traits. Id. He
rated Plaintiff’s GAF as 55, indicative of moderate symptoms. Id. In a part of the evaluation report
entitled “Areas for Further Evaluation,” Dr. Sacco indicated that inpatient treatment should be
considered due to hypomania, paranoid delusional and disordered thinking. Id. He also noted the
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need for antipsychotic, mood stabilizing and anxiolytic medications. Id. He further noted that need
to determine the origin of Plaintiff’s malaise and cognitive complaints. Id. Dr. Sacco indicated that
Plaintiff could benefit from intensive outpatient psychotherapy with psychiatric medication
evaluation and management. Id. at 929.
On August 22, 2016, Dr. Sacco reviewed Plaintiff’s MMPI-2RF results with him and the
need for psychiatric and psychology services closer to his home. Tr. at 931. Dr. Sacco conducted
a mental status examination and noted that Plaintiff had a flat mood and affect, he was oriented, had
paranoid delusions, thoughts of death, but not suicide or homicide, and he had fair insight and
judgment. Id. at 923. Dr. Sacco diagnosed Plaintiff with mood disorder, bipolar I disorder, most
recent episode depressed and moderate. Id. He also diagnosed Plaintiff with personality disorder,
not otherwise specified, and he rated Plaintiff’s GAF at 60, indicative of moderate symptoms. Id.
A claimant's RFC is an assessment of the most that a claimant “can still do despite his
limitations.” 20 C.F.R. §§ 416.945(a)(1). An ALJ must consider all of a claimant’s impairments and
symptoms and the extent to which they are consistent with the objective medical evidence. 20 C.F.R.
§ 416.945(a)(2)(3). The claimant bears the responsibility of providing the evidence used to make
a RFC finding. 20 C.F.R. §§ 416.945(a)(3). However, the RFC determination is one reserved for
the ALJ. 20 C.F.R. § 416.946(c); Poe v. Comm'r of Soc. Sec., 342 Fed.Appx. 149, 157 (6th Cir.
2009) (“The responsibility for determining a claimant's [RFC] rests with the ALJ, not a physician.”);
SSR 96-5p, 1996 WL 374183, at *5. Social Security Ruling (“SSR”) 96-8p provides guidance on
assessing RFC in social security cases. SSR 96-8p. The Ruling states that the RFC assessment must
identify the claimant’s functional limitations and restrictions and assess his or her work-related
abilities on a function-by-function basis. Id. Further, it states that the RFC assessment must be
based on all of the relevant evidence in the record, including medical history, medical signs and lab
findings, the effects of treatment, daily living activity reports, lay evidence, recorded observations,
effects of symptoms, evidence from work attempts, the need for a structured living environment and
work evaluations. Id.
An ALJ must give controlling weight to the opinion of a treating source if the ALJ finds that
the opinion is well-supported by medically acceptable clinical and diagnostic techniques and not
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inconsistent with the other substantial evidence in the record. Wilson v. Comm’r of Soc. Sec., 378
F.3d 541, 544 (6th Cir. 2004). If an ALJ decides to discount or reject a treating physician’s opinion,
she must provide “good reasons”3 for doing so. Social Security Rule (“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 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 or she rejected or
discounted the opinions and how those reasons affected the weight afforded to 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).
The Sixth Circuit has noted that, “while it is true that a lack of compatibility with other
record evidence is germane to the weight of a treating physician’s opinion, an ALJ cannot simply
invoke the criteria set forth in the regulations if doing so would not be ‘sufficiently specific’ to meet
the goals of the ‘good reason’ rule.” Friend v. Comm’r of Soc. Sec., No. 09-3889, 2010 WL
1725066, at *8 (6th Cir. 2010). The Sixth Circuit has held that an ALJ’s failure to identify the
reasons for discounting opinions, “and for explaining precisely how those reasons affected the
weight” given “denotes a lack of substantial evidence, even where the conclusion of the ALJ may
be justified based upon the record.” Parks v. Social Sec. Admin., No. 09-6437, 2011 WL 867214,
at *7 (6th Cir. 2011) (quoting Rogers, 486 F.3d at 243 ). However, an ALJ need not discuss every
piece of evidence in the administrative record so long as he or she considers all of a claimant’s
medically determinable impairments and the opinion is supported by substantial evidence. See 20
3
The Court notes that the SSA has changed the treating physician rule effective March 27, 2017. See 20
C.F.R. § 416.920. The SSA will no longer give any specific evidentiary weight to medical opinions, including affording
controlling weight to medical opinions. Rather, the SSA will consider the persuasiveness of medical opinions using the
factors specified in their rules and will consider the supportability and consistency factors as the most important factors.
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C.F.R. § 404.1545(a)(2); see also Thacker v. Comm'r of Soc. Sec., 99 Fed. App’x 661, 665 (6th Cir.
2004). Substantial evidence can be “less than a preponderance,” but must be adequate for a
reasonable mind to accept the ALJ’s conclusion. Kyle v. Comm’r of Soc. Sec., 609 F.3d 847, 854
(6th Cir. 2010) (citation omitted).
Opinions from agency medical sources is considered opinion evidence. 20 C.F.R. §
404.1527(f). The regulations mandate that “[u]nless the treating physician's opinion is given
controlling weight, the administrative law judge must explain in the decision the weight given to the
opinions of a State agency medical or psychological consultant or other program physician or
psychologist as the administrative law judge must do for any opinions from treating sources,
nontreating sources, and other nonexamining sources who do work for us.” 20 C.F.R. §
404.1527(f)(2)(ii). More weight is generally placed on the opinions of examining medical sources
than on those of non-examining medical sources. See 20 C.F.R. § 404.1527(d)(1). However, the
opinions of non-examining state agency medical consultants can, under some circumstances, be
given significant weight. Hart v. Astrue, 2009 WL 2485968, at *8 (S.D.Ohio Aug.5, 2009). This
occurs because nonexamining sources are viewed “as highly qualified physicians and psychologists
who are experts in the evaluation of the medical issues in disability claims under the [Social
Security] Act.” Social Security Ruling (“SSR”) 96–6p, 1996 WL 374180.
Thus, the ALJ weighs the opinions of agency examining physicians and agency reviewing
physicians under the same factors as treating physicians including weighing the supportability and
consistency of the opinions, and the specialization of the physician. See 20 C.F.R. § 416.972(d), (f).
However, the Sixth Circuit Court of Appeals has held that the regulation requiring an ALJ to give
good reasons for the weight given a treating physician's opinion does not apply to an ALJ's failure
to explain his favoring of several examining physicians' opinions over others. See Kornecky v.
Comm'r of Soc. Sec., No. 04-2171, 167 Fed. App'x 496 (6th Cir. Feb.9, 2006), unpublished.
In the instant case, the ALJ addressed the opinions of Dr. Rucker and Dr. Dallara. Tr. at 2830. She gave only some weight to Dr. Rucker’s opinion concerning Plaintiff’s mental restrictions
relating to his memory impairment. Id. at 29. She explained that the evidence did not support a
finding that Plaintiff had such severe memory problems to prevent him from performing any work
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and the record did not support Dr. Rucker’s extreme mental limitations for Plaintiff. Id. She found
that while the evidence showed that Plaintiff had depression and anxiety, “his cognitive impairment
was generally described as mild. Moreover, he retained cooperative behavior, logical thoughts,
normal activity, and intact judgment.” Id.
These reasons offered by the ALJ for attributing less than controlling weight to Dr. Rucker’s
opinion fail to constitute good reasons. The ALJ fails to explain how cooperative behavior, logical
thoughts, normal activity, and intact judgment negate a severe memory impairment or Dr. Rucker’s
limitations for Plaintiff based upon his dementia. Furthermore, the ALJ incorrectly concluded that
Plaintiff’s cognitive deficits were generally described as mild. Rather, Plaintiff was diagnosed with
a mild cognitive impairment. Without medical support, the ALJ cannot conclude that a mild
cognitive impairment diagnosis leads to a finding that Plaintiff’s memory problems were not as
severe as Dr. Rucker opined or required the restrictions that Dr. Rucker placed upon Plaintiff’s
mental abilities.
The Court is not finding that controlling weight should be afforded to Dr. Rucker’s opinion.
The Court is, however, remanding this case to the ALJ to determine whether good reasons exist for
affording less than controlling weight to Dr. Rucker’s opinion and to articulate good reasons for
affording less than controlling weight relating to Dr. Rucker’s opinion as to Plaintiff’s dementia and
memory problems if she again chooses to do so.
The ALJ also addressed Dr. Dallara’s opinions in her decision. Tr. at 28. She noted his
findings and conclusions, and indicated that she granted little weight to Dr. Dallara’s opinions. Id.
She explained that “the treatment notes showed that the claimant had ongoing memory impairment
and depressive symptoms. However, the record shows that he could complete simple household
tasks and his largely cooperative behavior indicates that he could interact with others on a superficial
basis. Id. at 28-29. The ALJ also found that, “[f]urthermore, the claimant’s cognitive deficits were
generally described as mild, which contradicts the severe memory limitations that Dr. Dallara
described.” Id. at 29.
Again, the ALJ incorrectly relied upon the description of Plaintiff’s cognitive deficits as
mild, which again is not a finding made by doctors but a diagnosis and is not support for the ALJ’s
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conclusion that this contradicts Dr. Dallara’s “severe memory limitations.” Tr. at 28-29. Nor are
the additional findings supported by the ALJ that Plaintiff could complete simple household tasks
and he was largely cooperative, which showed he could interact with people on a superficial basis.
Id. at 28-29.
In summary, the ALJ’s failure to properly address Plaintiff’s mental impairments and the
restrictions opined by Dr. Rucker and Dr. Dallara requires remand of this case for further review,
analysis, and articulation.
D.
STEP FIVE
Plaintiff also asserts that the ALJ failed to meet her Step Five burden of proving that a
significant number of jobs were available for Plaintiff. ECF Dkt. #12 at 24-26. Since the Court is
remanding this case for the ALJ to reexamine and provide proper articulation as to her treatment of
the opinions of Drs. Rucker and Dallara, this claim of error will not be addressed as the ALJ’s
redetermination of those opinions may change and thus impact the ALJ’s Step Five analysis.
VI.
CONCLUSION
For the following reasons, the Court REVERSE the decision of the ALJ and REMANDS
the instant case for reexamination, analysis and articulation of her treatment of the opinions of
Plaintiff’s treating physician Dr. Rucker and the consultative opinions of Dr. Dallara.
Date: September 7, 2018
/s/George J. Limbert
GEORGE J. LIMBERT
UNITED STATES MAGISTRATE JUDGE
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