Watson v. Colvin
Filing
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MEMORANDUM (Order to follow as separate docket entry).Signed by Honorable William J. Nealon on 2/28/2017. (bg)
UNITED STATES DISTRICT COURT FOR THE
MIDDLE DISTRICT OF PENNSYLVANIA
BENNY J. WATSON,
Plaintiff
vs.
CAROLYN W. COLVIN, Acting
Commissioner of Social Security,
Defendant
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No. 3:15-CV-1592
(Judge Nealon)
MEMORANDUM
On August 14, 2015, Plaintiff, Benny J. Watson, filed this instant appeal1
under 42 U.S.C. § 405(g) for review of the decision of the Commissioner of the
Social Security Administration (“SSA”) denying his application for disability
insurance benefits (“DIB”) under Title II of the Social Security Act, 42 U.S.C. §
1461, et seq. (Doc. 1). The parties have fully briefed the appeal. For the reasons
set forth below, the decision of the Commissioner denying Plaintiff’s application
for DIB will be vacated.
BACKGROUND
1. Under the Local Rules of Court “[a] civil action brought to review a decision of
the Social Security Administration denying a claim for social security disability
benefits” is “adjudicated as an appeal.” M.D. Pa. Local Rule 83.40.1.
Plaintiff protectively filed2 his application for DIB on December 7, 2012,
alleging disability beginning on December 3, 2012, due to a combination of
degenerative disc disease, spinal stenosis, and diabetes. (Tr. 22, 204, 207).3 The
claim was initially denied by the Bureau of Disability Determination (“BDD”)4 on
February 1, 2013. (Tr. 22). On February 21, 2013, Plaintiff filed a written request
for a hearing before an administrative law judge. (Tr. 22). A hearing was held on
April 8, 2014, before administrative law judge Reana K. Sweeney, (“ALJ”), at
which Plaintiff and an impartial vocational expert Nancy Harter, (“VE”), testified.
(Tr. 22). On April 25, 2014, the ALJ issued a an unfavorable decision denying
Plaintiff’s application for DIB. (Tr. 22). On June 2, 2014, Plaintiff filed a request
for review with the Appeals Council. (Tr. 17). On June 18, 2015, the Appeals
Council concluded that there was no basis upon which to grant Plaintiff’s request
for review. (Tr. 3-5). Thus, the ALJ’s decision stood as the final decision of the
2. Protective filing is a term for the first time an individual contacts the Social
Security Administration to file a claim for benefits. A protective filing date allows
an individual to have an earlier application date than the date the application is
actually signed.
3. References to “(Tr. )” are to pages of the administrative record filed by
Defendant as part of the Answer on December 1, 2015. (Doc. 12).
4. The Bureau of Disability Determination is an agency of the state which initially
evaluates applications for disability insurance benefits on behalf of the Social
Security Administration.
2
Commissioner.
Plaintiff filed the instant complaint on August 14, 2015. (Doc. 1). On
December 1, 2015, Defendant filed an answer and transcript from the SSA
proceedings. (Docs. 11 and 12). Plaintiff filed a brief in support of his complaint
on February 16, 2016. (Doc. 16). Defendant filed a brief in opposition on April
20, 2016. (Doc. 18). Plaintiff filed a reply brief on May 4, 2016. (Doc. 20).
Plaintiff was born in the United States on September 18, 1971, and at all
times relevant to this matter was considered an “younger individual.”5 (Tr. 204).
Plaintiff did not graduate from high school or obtain his GED, but can
communicate in English. (Tr. 206, 208). His employment records indicate that he
previously worked as a diesel mechanic and truck driver. (Tr. 209).
In a document entitled “Function Report - Adult” filed with the SSA on
December 21, 2012, Plaintiff indicated that he lived in a house with family. (Tr.
215). When asked how his injuries, illnesses, or conditions limited his ability to
work, Plaintiff stated, “I have a constant pain due to my medical issues that makes
5. The Social Security regulations state that “[t]he term younger individual is used
to denote an individual 18 through 49.” 20 C.F.R., Part 404, Subpart P, Appendix
2, § 201(h)(1). “Younger person. If you are a younger person (under age 50), we
generally do not consider that your age will seriously affect your ability to adjust
to other work. However, in some circumstances, we consider that persons age 4549 are more limited in their ability to adjust to other work than persons who have
not attained age 45. See Rule 201.17 in appendix 2.” 20 C.F.R. §§ 404.1563(c).
3
it that the more I move the worse it hurts. I can’t sit, stand, stoop, walk, lift, etc
for any length of time. If I try to my legs go to sleep and the pain [] gets
unbearable. I drive trucks for my job and I am not allowed to by law do (sic) to
being on insulin.” (Tr. 215). From the time he woke up until he went to bed,
Plaintiff took “the kids to the bus stop.” (Tr. 216). Plaintiff helped his children
with their homework, made them food, and helped them get ready for school. (Tr.
216). Plaintiff reported no difficulty with personal care, was able to prepare meals
daily for one (1) hour when his “back pain allow[ed],” do yard work until “the
pain makes [him] stop,” and was able to drive a car and go out alone. (Tr. 216218). He went outside often, and shopped for groceries biweekly for three (3)
hours at a time with his wife. (Tr. 218). His hobbies included watching television
and fishing depending on his pain level. (Tr. 218-219). He spent time with his
family doing things like watching movies and playing games when he had the
time. (Tr. 219). He could walk for a block before needing to rest for about ten
(10) to fifteen (15) minutes. (Tr. 220). When asked to check what activities his
illnesses, injuries, or conditions affected, Plaintiff did not check talking, hearing,
seeing, memory, completing tasks, concentration, understanding, following
instructions, or getting along with others. (Tr. 220).
Regarding his concentration and memory, Plaintiff did not need special
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reminders to take care of his personal needs, take his medicine, or go places. (Tr.
216). He could count change, pay bills, handle a savings account, and use a
checkbook. (Tr. 218). He could pay attention for about five (5) minutes, was
able to finish what he started, and handled stress and changes in routine
“normally” and “good.” (Tr. 220-221).
Plaintiff also completed a Supplemental Function Questionnaire for pain.
(Tr. 223). He stated that his pain began in about 2004 due to disc degenerative
disease, spinal stenosis, and five (5) bulging discs. (Tr. 223). He described his
pain as constant pressure and pain that worsened over time, was located in his
lower back and neck and spread down the back of both of his legs, was bad most
days, and was not relieved by pain medication that caused side effects. (Tr. 223224).
At the oral hearing on April 8, 2014, Plaintiff initially testified that he had
spinal decompression surgery on May 3, 2013. (Tr. 54). Plaintiff stated that, since
the surgery, he still experienced numbness in his right leg and “a lot of pain in his
lower back,” but that the pain in his legs subsided considerably. (Tr. 58). He
testified that he had not been exercising due to pain. (Tr. 54). Regarding
medications for his pain, Plaintiff testified that he had taken morphine, tizanidine,
and gabapentin. (Tr. 55-56). He stated he had not attended physical therapy as it
5
was not recommended by his doctor. (Tr. 56).
Regarding a typical day, Plaintiff testified that he did the following: woke
up at seven thirty in the morning, ate breakfast, took his medicine, and checked his
blood sugar; prepared his children’s breakfast and lunch boxes and walked them a
quarter of a block to the bus stop at eight thirty in the morning; sat down on the
couch because he would feel sleepy and usually sleep until eleven in the morning
or noon; eat lunch and sit with his wife either talking or watching television; pick
the boys up from the bus around four in the afternoon; take his medicine, check his
blood sugar, and have dinner around five at night; and fall asleep after dinner until
seven or eight at night. (Tr. 62-66). He testified that he lived in a two-story
house, but that he did not go upstairs. (Tr. 72). He stated he did not do any chores
around the house, but rather his wife did. (Tr. 72-73).
When asked by the ALJ why he was unable to work, Plaintiff responded
that it was due to back pain that occurred if he was doing anything out of the
ordinary other than relaxing. (Tr. 68). He testified that Dr. Moore told him that he
should not lift, push, or pull anything over ten (10) pounds, and that he should do
only what felt comfortable. (Tr. 70).
MEDICAL RECORDS
On December 11, 2012, Plaintiff had an appointment with Renu Joshi, M.D.
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at Pinnacle Health for diabetes management. (Tr. 292). Plaintiff’s self-reported
symptoms included increasing fatigue, nocturia, and weight loss. (Tr. 292).
Plaintiff was compliant with his medication and follow-up appointments. (Tr.
292). His physical examination was normal. (Tr. 293-294). He was assessed as
having uncontrolled diabetes, and was placed on medications, including
Metformin, Simvastatin, Humalog, Tramadol, and Lisniopril. (Tr. 294).
On January 9, 2013, Plaintiff had an appointment with Paul Baughman,
D.O. to become established as a new patient. (Tr. 299). It was noted that Plaintiff
had lost over twenty (20) pounds in the prior four (4) to six (6) weeks and had
improving energy levels. (Tr. 299). Plaintiff also discussed his chronic back pain,
including a history of degenerative disc disease and spinal stenosis, and reported
that his back pain was constant, located over the entire lower back and legs, was a
10/10, worsened as the day went on, caused significant difficulty with movement,
and was not relieved by medication. (Tr. 299). His physical examination revealed
he was obese, had a normal gait, had mild midline tenderness of his lumbar spine
without pain on palpation and with limited range of motion, and had grossly intact
sensation to light touch. (Tr. 300). Plaintiff was assessed as having Lumbago,
Intervertebral Disc Degeneration of his lumbar spine, Radiculitis Thoracic or
Lumbosacral Unspecified, Diabetes Mellitus, and Hyperlipidemia. (Tr. 300).
On January 23, 2013, Plaintiff underwent a consultative examination
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performed by Thomas McLaughlin, M.D. (Tr. 304). Plaintiff reported that he had
constant pain in his lower back varying in intensity of a 5/10 to a 10/10 that
radiated into his lower legs after activities and standing and walking more than
one (1) block. (Tr. 304). He also stated that his pain worsened with bending,
walking, standing, or sitting for greater than ten (10) to fifteen (15) minutes, and
decreased with rest and a hot tub. (Tr. 305). His MRI showed disc disease with
spinal stenosis and bulging at L4/L5 and L5/S1 and disc disease at L3/L4 and
L4/L5. (Tr. 305). Plaintiff’s examination revealed he had: normal ambulation and
gait; the ability to stand unassisted, rise from a seated position, and step up and
down from the examination table without difficulty; the ability to understand
“normal spoken speech and follow instructions;” a positive straight leg raise test
on the right to sixty (60) degrees; no tenderness over the cervical spine and no
evidence of paravertebral muscle spasm; nontender shoulders, elbows, wrists,
hands, knees, and hips; normal curvature of the dorsolumbar spine; the ability to
walk on his heels, toes, and heel-to-toe and to squat without difficulty; an intact
sensory exam to light touch, pinprick, and vibration as well as proprioception; 5/5
motor strength in the upper and lower extremities bilaterally; normal cerebellar
function; diminished deep tendon reflexes in the patellar and Achinlles; and +2/4
deep tendon reflexes in his biceps, triceps, and brachioradialis. (Tr. 308-309). Dr.
McLaughlin assessed Plaintiff as having lumbosacral disc disease with spinal
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stenosis at the L4-S1 levels, diabetes mellitus type II, hypertension,
hyperlipidema, and obesity. (Tr. 309). Dr. McLaughlin opined in a Medical
Source Statement form of Plaintiff’s Ability to Perform Work-Related Activities
that he: (1) could frequently lift and/ or carry up to three (3) pounds and
occasionally lift and/ or carry up to ten (10) pounds; (2) could stand and walk for
up to two (2) hour in an eight (8) hour workday; (3) could sit for up to eight (8)
hours in an eight (8) hour workday; (4) could engage in limited pushing and
pulling in the lower extremities; (5) could occasionally bend, kneel, stoop, crouch,
and balance, but never climb; (6) was limited in “feeling;” and (7) should avoid
heights and moving machinery. (Tr. 311-312).
On January 23, 2013, Plaintiff underwent an x-ray of his lumbar spine. (Tr.
315). This revealed the following: (1) disproportionate moderately advanced
degenerative disc disease at the lumbosacral junction; (2) mild levoscoliosis; and
(3) mild degenerative sclerosis of both SI joints. (Tr. 315).
On January 28, 2013, Plaintiff had an appointment with Lucinda
Sobkowiski, CRNP, for management of his diabetes. (Tr. 327). He reported that
he had been experiencing blurred vision and increased fatigue. (Tr. 327). It was
noted that he was excellently compliant with his medication. (Tr. 327). His
physical examination revealed a normal range of motion, muscle strength, and
stability in all extremities with no pain on inspection and a normal remainder of
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the exam. (Tr. 329).
On February 1, 2013, Laura Rumley, SDM, opined that, based on a review
of the record up to that point, Plaintiff could: (1) occasionally lift and/ or carry
twenty (20) pounds; (2) frequently lift and/ or carry ten (10) pounds; (3) sit, stand,
and/ or walk for six (6) hours in an eight (8) hour workday; and (4) engage in
unlimited pushing and pulling within the aforementioned weight restrictions. (Tr.
102-103). She opined that Plaintiff had no further restrictions. (Tr. 103).
On February 5, 2013, Plaintiff had an appointment with Dr. Baughman for
lower back pain. (Tr. 351). At this visit, Plaintiff’s blood pressure was elevated,
but he declined an increase in his blood pressure medication. (Tr. 351). Dr.
Baughman prescribed Norco for Plaintiff’s back pain. (Tr. 352).
On February 19, 2013, Plaintiff had an appointment with Dr. Baughman for
follow-up of his back pain, diabetes, and bilateral leg pain. (Tr. 349). Plaintiff
reported that his pain was a 4/10 after taking Norco, that the Norco worked well
for pain and helped him function, and that he took this medication every eight (8)
hours. (Tr. 349). His blood pressured remained uncontrolled so Dr. Baughman
increased the dosage of Lisinopril. (Tr. 349). His physical examination revealed
he had mild midline tenderness of his lumbar spine; moderately limited range of
motion with pain; bilateral positive straight leg raise tests; and grossly intact
sensation to light touch. (Tr. 350).
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On February 27, 2013, Plaintiff underwent an MRI of his lumbar spine. (Tr.
320). It revealed that Plaintiff had “degenerative changes of the lumbar spin
resulting in canal and neural foraminal narrowings ranging from moderate to
severe. (Tr. 320-321).
On March 14, 2013, Plaintiff had an appointment with Dr. Baughman for
lower back pain. (Tr. 346). He rated his back pain at a 10/10 without medication
and a 5/10 with Norco and noted that it had been worsening. (Tr. 346). His
physical examination was normal. (Tr. 347).
On March 25, 2013, Plaintiff had an appointment with Lucinda Sobkowski,
CRNP, for diabetes management. (Tr. 323). It was noted that Plaintiff was
excellently compliant with medication and fairly compliant with his diet. (Tr.
323). Plaintiff reported that he was experiencing back pain and had planned to
follow-up with an orthopaedic physician. (Tr. 324). His physical examination
revealed normal range of motion, muscle strength, and stability in all extremities
with no pain on inspection; loss of protective sensation in his heels; and an
abnormal monolifament exam. (Tr. 325). Plaintiff was instructed to continue his
medications, and was scheduled for a follow-up visit in three (3) months. (Tr.
325).
On March 28, 2013, Plaintiff underwent a sleep study. (Tr. 362). The
impression was that Plaintiff had severe Obstructive Sleep Apnea. (Tr. 364).
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On April 15, 2013, Plaintiff had an appointment with Dr. Baughman for
diabetes management and back pain. (Tr. 342). Plaintiff noted his back pain was
“pretty good” with Norco as long as he did not do anything active. (Tr. 342). He
rated his back pain at a 5/10, and noted it was worse with activity and that he
could function even though his back hurt. (Tr. 342). His physical examination
was normal. (Tr. 343).
On April 16, 2013, Plaintiff had an appointment with Barry Moore, M.D.,
due to back pain. (Tr. 439). Plaintiff reported that his pain was moderate; was
worsening; was located in his lower back and legs; radiated to his bilateral legs;
was achy and sharp; was aggravated by bending, changing positions, daily
activities, flexion, lifting, rolling over in bed, sitting, standing, twisting, and
walking; and was relieved by pain medication and rest. (Tr. 439). Plaintiff’s
examination revealed: severe muscle spasms on both sides of the back; a positive
straight leg test on the left side; bilateral weakness of dorsiflexion of both feet that
was worse on the left side; absent deep tendon reflexes at the hamstring and left
ankle; no sensory loss on his feet; and ambulation leaning forward while favoring
his left leg when walking. (Tr. 443). Dr. Moore diagnosed Plaintiff with Lumbar
Stenosis, and Plaintiff was scheduled for surgery. (Tr. 443).
On April 24, 2013, Plaintiff underwent a CPAP Titration study due to his
diagnosis of severe Obstructive Sleep Apnea. (Tr. 368). The results were that
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Plaintiff’s apnea resolved with PAP therapy, and he was prescribed a CPAP
prescription. (Tr. 370).
On May 15, 2013, Plaintiff had an appointment with Dr. Baughman for
chronic back pain that remained after his surgery with Dr. Moore. (Tr. 339). A
physical examination was deferred due to Plaintiff’s post-surgical status. (Tr.
340). Plaintiff was prescribed Norco from the pain. (Tr. 341).
On May 29, 2013, Plaintiff had an appointment with Dr. Baughman for
muscle spasms in his back and difficulty walking. (Tr. 337). He believed he had a
blood sugar reaction to Baclofen and/ or Valium used to relieve muscle spasms.
(Tr. 337). His physical examination revealed that he walked with a slow and stiff
gait. (Tr. 338). Dr. Baughman recommended Plaintiff try Flexeril for his muscle
spasms. (Tr. 338).
On June 4, 2013, Plaintiff had his one month follow-up after his lumbar
laminectomy. (Tr. 445). It was noted that he was ambulating well, but that he
continued to have lower back pain. (Tr. 446). Dr. Moore prescribed Valium in
addition to Flexeril for the spasms and nighttime pain. (Tr. 446). Plaintiff was
scheduled for a follow-up visit in one (1) month. (Tr. 447).
On June 12, 2013, Plaintiff had an appointment with Dr. Baughman for
diabetes and back pain. (Tr. 383). His blood pressure was noted as being well
controlled with Lisinopril. (Tr. 383). Plaintiff reported that he was taking Norco
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for back pain every four (4) hours when active and every six (6) hours when
inactive, that he used Valium at bedtime to reduce muscle spasms which worked
“pretty good,” that his pain was usually around an 8/10 with his medications, and
that he had still been experiencing a burning pain in his thighs. (Tr. 383). It was
noted that Dr. Moore told Plaintiff it could take up to three (3) years before he
would see the complete effect of his surgery. (Tr. 383). His physical examination
revealed he walked with a stiff gait; had mild midline tenderness of the lumbar
spine with no pain with palpation of the lumbar musculature and limited range of
motion with pain; and had no other abnormalities. (Tr. 384).
On July 1, 2013, Plaintiff had an appointment with Dr. Baughman for back
pain and diabetes management. (Tr. 386). Plaintiff reported that his pain
remained the same, was “pretty much good” if he remained inactive, had limited
pain with sitting or walking short distances and activity around the house, rated it
at a 4/10 after taking Norco, took the Norco every six (6) hours, and that his right
lateral thigh was completely numb, but no longer burning. (Tr. 386). He stated he
was waking up in pain throughout the night even though he was taking Valium,
and believed this medication was not as effective as it used to be. (Tr. 386). He
reported that taking Flexeril in the morning and afternoon reduced his spasms to a
somewhat tolerable level. (Tr. 386). He also reported that he was able to stop
taking Humalog because his diabetes was now “diet-controlled,” but that he was
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still taking Metaformin. (Tr. 386). His physical examination revealed that he had
mild midline tenderness of the lumbar spine; no pain with palpation of the lumbar
musculature; and limited range of motion with pain. (Tr. 387). It was noted that
Plaintiff was agreeable with changing his pain medication from Norco to MS
Contin as his pain was inadequately controlled. (Tr. 387). He was also instructed
to consider increasing his Morphine dosage if necessary at his next appointment.
(Tr. 387). Plaintiff discontinued Valium because it was no longer controlling his
spasms. (Tr. 387).
On July 15, 2013, Plaintiff had an appointment with Dr. Baughman for
chronic back pain. (Tr. 389). He noted that the medication switch from Norco to
MS Contin resulted in slight pain improvement, and stated that, “‘It’s pretty good
but not enough.’” (Tr. 389). He stated that he was always in pain, but the MS
Contin “‘just dulled it.’” (Tr. 389). His left leg pain had also returned and was
worse than what it was prior to surgery. (Tr. 389). Plaintiff’s blood sugar levels
had elevated slightly because he was not as active. (Tr. 389). His physical
examination revealed he walked with a stiff gait; had mild midline tenderness of
his lumbar spine; had no pain with palpation of the lumbar musculature; had
limited range of motion with pain; and had grossly intact sensation to light touch.
(Tr. 390). Plaintiff was instructed to increase the dosage of his MS Contin and to
take Norco for breakthrough pain only if absolutely necessary. (Tr. 390). He was
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also prescribed Celexa for depression due to chronic pain. (Tr. 390).
On July 18, 2013, Plaintiff had a post-surgical follow-up appointment with
Dr. Moore. (Tr. 449). It was noted Plaintiff continued to have significant spasm
on both sides of his lower back with parethesias and dysesthesias down his legs
bilaterally that were related to nerve recovery. (Tr. 450). His symptoms were only
relieved by lying down in bed. (Tr. 450). His physical examination revealed
muscle spasms on both sides of his back; weakness of dorsiflexion of both feet; an
L5 sensory loss of both feet; and ambulation leaning forward and favoring both
legs when walking. (Tr. 450). Plaintiff was instructed to continue with his
medications and return for a follow-up in two (2) months. (Tr. 451).
On July 29, 2013, Plaintiff had an appointment with Dr. Baughman for low
back pain. (Tr. 392). He noted that the MS Contin took his pain from a 10/10 to a
4/10, that he was still unable to be active, that he “‘pays for it for days’” when he
did chores or errands, and that his pain level was much better and he was more
functional when he was not overly active. (Tr. 392). He also reported that had
been experiencing increased fatigue and urinary hesitancy. (Tr. 392). His
physical examination revealed he walked with a stiff gait; had mild midline
tenderness of his lumbar spine; had no pain with palpation of the lumbar
musculature; had limited range of motion with pain; and had grossly intact
sensation to light touch. (Tr. 393).
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On August 29, 2013, Plaintiff had an appointment with Dr. Baughman for
follow-up for his back pain. (Tr. 395). He rated his pain at a 4/10 when taking
MS Contin. (Tr. 395). Plaintiff noted that he had not taken any Norco for
breakthrough pain since his last appointment, but that he had been very inactive.
(Tr. 395). It was also noted that he rarely had pain in his legs anymore, but did
have a “‘creepy crawly’” sensation in them for the past two (2) to three (3) weeks.
(Tr. 395). He stated that his hands fell asleep at times and that he was dropping
things. (Tr. 395). His physical examination revealed that he walked with a normal
gait for his age; had mild midline tenderness of the lumbar spine and moderately
limited range of motion with discomfort; and a had a depressed affect. (Tr. 396).
Plaintiff was scheduled for a follow-up in one (1) month. (Tr. 396).
On September 16, 2013, Plaintiff had an appointment with Lucinda
Sobkowski, CRNP, for diabetes and hyperlipidemia management and for spinal
stenosis of his lumbar region. (Tr. 355). It was noted that Plaintiff was fairly
compliant with his diet and exercise and excellently compliant with his
medication. (Tr. 355). His physical examination revealed normal range of
motion, muscle strength, and stability in all extremities with no pain on inspection.
(Tr. 359).
On September 17, 2013, Plaintiff had a post-surgical follow-up appointment
with Dr. Moore. (Tr. 452). Plaintiff reported that he was still experiencing lower
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back and leg pain that he described as persistent, achy, numb, and sharp; that was
aggravated by bending, daily activities, extension, flexion, lifting, pushing, rolling
over in bed, standing, twisting, and walking; and that was relieved by pain
medication and rest. (Tr. 453). A review of symptoms noted that Palintiff had
paresthesias in his hands, fingers, and legs; back pain; difficulty walking; and
myalgia and muscle spasms in his neck and lower back described as moderate.
(Tr. 453-454, 456). His physical examination revealed muscle spasms in both
sides of the neck; a palpable lump just below the muscle attachments on the right
side of the head; mild weakness of his triceps and finger extension bilaterally;
absent deep tendon reflexes in his triceps and brachioradialis; and decreased
sensation in the C6 dermatome bilaterally. (Tr. 456). The assessment noted that
Plaintiff had signs and symptoms compatible with possible cervical stenosis, and
Dr. Moore ordered a cervical MRI to assess this issue. (Tr. 456). Dr. Moore
assessed Plaintiff as having Cervical Stenosis and a tumor of the soft tissue in his
neck. (Tr. 456).
On September 26, 2013, Plaintiff had an appointment with Dr. Baughman
for chronic pain, diabetes, and depression. (Tr. 398). It was noted that Plaintiff
rated his pain at a 5/10, that his fasting sugar continued to be below one hundred
forty (140), that he wanted to continue on his dosage of Villbryd for depression,
that he was totally off Valium, and that he was taking Flexeril at bedtime. (Tr.
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398). His physical examination revealed that he walked with a slow gait; had
increased range of motion, but no other changes from previous exams; and had a
normal affect. (Tr. 399). Plaintiff was instructed to continue with his
medications. (Tr. 399).
On September 30, 2013, Plaintiff underwent an MRI of his cervical spine
due to neck pain that radiated into his shoulder bilaterally and was associated with
numbness, tingling, and weakness into his hands and a decreased range of motion.
(Tr. 400). Plaintiff also noted that his symptoms had been present for years, but
that they had worsened since May 6, 2013. (Tr. 400). The impression was that
Plaintiff had a small non-compressive central C5-C6 disc protrusion with
moderate left-sided and mild right-sided C5-C6 foraminal narrowing with mild to
moderate C5-C6 central canal stenosis. (Tr. 400).
On October 31, 2013, Plaintiff had an appointment with Dr. Baughman for
chronic back pain. (Tr. 402). Plaintiff noted that his pain was worse since his
back surgery in May 2013, rated it at a 9-10/10 without medication and a 4-5/10
with MS Contin, and that he must be very inactive in order to maintain that level
of pain control. (Tr. 402). He stated that shopping and taking his children to the
bus stop exacerbated his pain. (Tr. 402). He continued to experience lower back
spasms that caused frequent waking at night, and had pain in his legs bilaterally
that worsened with prolonged standing. (Tr. 402). His physical examination
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revealed he walked with a normal gait for his age and had grossly intact sensation
to light touch. (Tr. 403). Plaintiff was agreeable to meeting with a pain
management specialist to discuss alternative prescription options; wanted to try
Tizanidine because the Flexeril did not seem to controlling spasms; and was
scheduled for a follow-up visit in one (1) month. (Tr. 403).
On November 27, 2013, Plaintiff had an appointment with Dr. Baughman
for chronic back pain. (Tr. 405). Plaintiff noted that his pain was a 5/10 on
average and was constant even after taking MS Contin. (Tr. 405). He stated that
walking his children to the bus stop caused significant pain. (Tr. 405). His
physical examination revealed he walked with a stiff gait; had mild midline
tenderness of the lumbar spine; had moderately limited range of motion with
discomfort; and had grossly intact sensation to light touch. (Tr. 406). Plaintiff’s
MS Contin and Tizanidine dosages were increased. (Tr. 406). Plaintiff was
scheduled for a follow-up in one (1) month. (Tr. 406).
On December 30, 2013, Plaintiff had an appointment with Dr. Baughman
for chronic back pain and hypertension. (Tr. 410). Plaintiff noted that his
insurance had been terminated, that he continued to take the medications that were
covered by his insurance, that his back pain was uncontrolled despite an increase
in his MS Contin dosage, and stated with regards to his pain, “‘If I don’t do
anything, I’m for the most part okay. If I do anything, it’s very bad.’” (Tr. 410).
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His physical examination revealed he had uncontrolled blood pressure due to an
inability to afford Lisinopril for the past few weeks since his insurance was
terminated; walked with a normal gait for his age; and had grossly intact sensation
to light touch. (Tr. 410-411). Plaintiff was instructed to continue on his
medication regimen, and was scheduled for a follow-up visit in one (1) month.
(Tr. 411).
On January 29, 2014, Plaintiff had an appointment with Dr. Baughman for
chronic back pain. (Tr. 413). Plaintiff noted that his back pain had worsened.
(Tr. 413). He was agreeable to increase his Tizanidine dosage to reduce bedtime
muscle spasms. (Tr. 413). His physical examination revealed he walked with a
slow and stiff gait; used a cane to ambulate; and had grossly intact sensation to
light touch. (Tr. 414). Plaintiff ‘s MS Contin and Tizanidine dosages were
increased, and he was scheduled for a follow-up visit in one (1) month. (Tr. 414).
On March 18, 2014, Plaintiff had an appointment with Dr. Moore for low
back pain. (Tr. 458). Plaintiff reported that his pain was located in his lower
back, and described the pain as deep, numb, sharp, and throbbing. (Tr. 458). It
was aggravated by bending, changing positions, daily activities, extension,
flexion, lifting, pushing, sitting, standing, twisting, and walking, and was relieved
by pain medication and rest. (Tr. 458). His examination revealed muscle spasms
on both sides of the back; a mild L5 sensory loss on the feet; mild weakness of
21
dorsiflexion of both feet; and ambulation leaning forward with a cane. (Tr. 460).
Dr. Moore’s assessment noted that Plaintiff had shown some improvement from
the surgery in May 2013 in his leg, but that he still had significant pain in his
lower back. (Tr. 460). He was scheduled for a follow-up in three (3) months. (Tr.
461).
On March 20, 2014, Dr. Barry Moore completed a “Medical Source
Statement of Ability to Do Work-Related Activities (Physical).” (Tr. 430). He
opined that Plaintiff could: (1) occasionally lift up to ten (10) pounds and never
carry any amount of weight; (2) sit for twenty (20) to thirty (30) minutes and stand
or walk for ten (10) minutes at one time without interruption; (3) sit for two (2)
hours and stand or walk for one (1) hour in an eight (8) hour workday; (4)
ambulate fifty (50) feet without the use of a cane, which he deemed medically
necessary; (5) use his free hand to carry small objects while using his cane; (6)
never engage in reaching overhead, handling, or pushing or pulling bilaterally due
to severe back pain; (7) occasionally engage in all other reaching, fingering, and
feeling bilaterally; (8) never operate foot controls bilaterally due to constant
sensory loss; (9) never climb stairs, ramps, ladders or scaffolds, balance, stoop,
kneel, crouch or crawl; (10) never tolerate unprotected heights, moving
mechanical parts, humidity and wetness, dust and odors, and extreme cold and
heat; and (11) occasionally operate a motor vehicle. (Tr. 430-435).
22
STANDARD OF REVIEW
When considering a social security appeal, the court has plenary review of
all legal issues decided by the Commissioner. See Poulos v. Commissioner of
Social Security, 474 F.3d 88, 91 (3d Cir. 2007); Schaudeck v. Commissioner of
Social Sec. Admin., 181 F.3d 429, 431 (3d Cir. 1999); Krysztoforski v. Chater, 55
F.3d 857, 858 (3d Cir. 1995). However, the court’s review of the Commissioner’s
findings of fact pursuant to 42 U.S.C. § 405(g) is to determine whether those
findings are supported by “substantial evidence.” Id.; Mason v. Shalala, 994 F.2d
1058, 1064 (3d Cir. 1993); Brown v. Bowen, 845 F.2d 1211, 1213 (3d Cir. 1988).
Factual findings which are supported by substantial evidence must be upheld. 42
U.S.C. §405(g); Fargnoli v. Massanari, 247 F.3d 34, 38 (3d Cir. 2001) (“Where
the ALJ’s findings of fact are supported by substantial evidence, we are bound by
those findings, even if we would have decided the factual inquiry differently.”);
Cotter v. Harris, 642 F.2d 700, 704 (3d Cir. 1981) (“Findings of fact by the
Secretary must be accepted as conclusive by a reviewing court if supported by
substantial evidence.”); Mastro v. Apfel, 270 F.3d 171, 176 (4th Cir. 2001); Keefe
v. Shalala, 71 F.3d 1060, 1062 (2d Cir. 1995); Martin v. Sullivan, 894 F.2d 1520,
1529 & 1529 n.11 (11th Cir. 1990).
Substantial evidence “does not mean a large or considerable amount of
evidence, but ‘rather such relevant evidence as a reasonable mind might accept as
23
adequate to support a conclusion.’” Pierce v. Underwood, 487 U.S. 552, 565
(1988) (quoting Consolidated Edison Co. v. N.L.R.B., 305 U.S. 197, 229 (1938));
Johnson v. Commissioner of Social Security, 529 F.3d 198, 200 (3d Cir. 2008);
Hartranft v. Apfel, 181 F.3d 358, 360 (3d Cir. 1999). Substantial evidence has
been described as more than a mere scintilla of evidence but less than a
preponderance. Brown, 845 F.2d at 1213. In an adequately developed factual
record, substantial evidence may be “something less than the weight of the
evidence, and the possibility of drawing two inconsistent conclusions from the
evidence does not prevent an administrative agency’s finding from being
supported by substantial evidence.” Consolo v. Federal Maritime Commission,
383 U.S. 607, 620 (1966).
Substantial evidence exists only “in relationship to all the other evidence in
the record,” Cotter, 642 F.2d at 706, and “must take into account whatever in the
record fairly detracts from its weight.” Universal Camera Corp. v. N.L.R.B., 340
U.S. 474, 488 (1971). A single piece of evidence is not substantial evidence if the
Commissioner ignores countervailing evidence or fails to resolve a conflict
created by the evidence. Mason, 994 F.2d at 1064. The Commissioner must
indicate which evidence was accepted, which evidence was rejected, and the
reasons for rejecting certain evidence. Johnson, 529 F.3d at 203; Cotter, 642 F.2d
at 706-07. Therefore, a court reviewing the decision of the Commissioner must
24
scrutinize the record as a whole. Smith v. Califano, 637 F.2d 968, 970 (3d Cir.
1981); Dobrowolsky v. Califano, 606 F.2d 403, 407 (3d Cir. 1979).
SEQUENTIAL EVALUATION PROCESS
To receive disability benefits, the plaintiff must demonstrate an “inability to
engage in any substantial gainful activity by reason of any medically determinable
physical or mental impairment which can be expected to result in death or which
has lasted or can be expected to last for a continuous period of not less than 12
months.” 42 U.S.C. § 432(d)(1)(A). Further,
[a]n individual shall be determined to be under a disability only
if his physical or mental impairment or impairments are of such
severity that he is not only unable to do his previous work but
cannot, considering his age, education, and work experience,
engage in any other kind of substantial gainful work which
exists in the national economy, regardless of whether such
work exists in the immediate area in which he lives, or whether
a specific job vacancy exists for him, or whether he would be
hired if he applied for work. For purposes of the preceding
sentence (with respect to any individual), “work which exists in
the national economy” means work which exists in significant
numbers either in the region where such individual lives or in
several regions of the country.
42 U.S.C. § 423(d)(2)(A).
The Commissioner uses a five-step process in evaluating disability and
claims for disability insurance benefits. See 20 C.F.R. § 404.1520; Poulos, 474
F.3d at 91-92. This process requires the Commissioner to consider, in sequence,
whether a claimant (1) is engaging in substantial gainful activity, (2) has an
25
impairment that is severe or a combination of impairments that is severe, (3) has
an impairment or combination of impairments that meets or equals the
requirements of a listed impairment, (4) has the residual functional capacity to
return to his or her past work and (5) if not, whether he or she can perform other
work in the national economy. Id. As part of step four, the Commissioner must
determine the claimant’s residual functional capacity. Id. If the claimant has the
residual functional capacity to do his or her past relevant work, the claimant is not
disabled. Id. “The claimant bears the ultimate burden of establishing steps one
through four.” Residual functional capacity is the individual’s maximum
remaining ability to do sustained work activities in an ordinary work setting on a
regular and continuing basis. See Social Security Ruling 96-8p, 61 Fed. Reg.
34475 (July 2, 1996). A regular and continuing basis contemplates full-time
employment and is defined as eight hours a day, five days per week or other
similar schedule. The residual functional capacity assessment must include a
discussion of the individual’s abilities. Id.; 20 C.F.R. §§ 404.1545 and 416.945;
Hartranft, 181 F.3d at 359 n.1 (“‘Residual functional capacity’ is defined as that
which an individual is still able to do despite the limitations caused by his or her
impairment(s).”).
“At step five, the burden of proof shifts to the Social Security
Administration to show that the claimant is capable of performing other jobs
26
existing in significant numbers in the national economy, considering the
claimant’s age, education, work experience, and residual functional capacity. ”
Poulos, 474 F.3d at 92, citing Ramirez v. Barnhart, 372 F.3d 546, 550 (3d Cir.
2004).
ALJ DECISION
Initially, the ALJ determined that Plaintiff met the insured status
requirements of the Social Security Act through December 31, 2016. (Tr. 24). At
step one, the ALJ found that Plaintiff had not engaged in substantial gainful work
activity from his alleged onset date of December 3, 2012. (Tr. 24).
At step two, the ALJ determined that Plaintiff suffered from the severe6
combination of impairments of the following: “obesity, diabetes mellitus,
degenerative disc disease of the lumbar spine with stenosis, and status post lumbar
laminectomy (20 C.F.R. 404.1520(c)).” (Tr. 24).
At step three of the sequential evaluation process, the ALJ found that
6. An impairment is “severe” if it significantly limits an individual’s ability to
perform basic work activities. 20 C.F.R. § 404.921. Basic work activities are the
abilities and aptitudes necessary to do most jobs, such as walking, standing,
sitting, lifting, pushing, seeing, hearing, speaking, and remembering. Id. An
impairment or combination of impairments is “not severe” when medical and other
evidence establish only a slight abnormality or a combination of slight
abnormalities that would have no more than a minimal effect on an individual’s
ability to work. 20 C.F.R. § 416.921; Social Security Rulings 85-28, 96-3p and
96-4p.
27
Plaintiff did not have an impairment or combination of impairments that met or
medically equaled the severity of one of the listed impairments of section 1.06 of
20 C.F.R. Part 404, Subpart P, Appendix 1 (20 C.F.R. §§ 404.1520(d), 404.1525
and 404.1526). (Tr. 25).
At step four, the ALJ made two separate determinations, stating the
following:
After careful consideration of the entire record, the undersigned
finds that from the alleged onset date of December 3, 2012, to
the spinal surgery date of May 6, 2013, [Plaintiff] has the
[RFC] to perform light work as defined in 20 CFR 404.1567(b)
with normal breaks (as defined as fifteen - to - twenty - minute
break in the morning and afternoon and a thirty-to-forty-fiveminute break for lunch). [Plaintiff] is limited [to] occasional
use of foot and leg pedals bilaterally, occasional climbing [of]
ramps and stairs, and never climbing ropes, ladders, scaffolds,
and poles. He can stoop, kneel, crouch, and squat occasionally
and must avoid crawling on hands, knees, or feet as part of the
work. He is limited to occasional concentrated exposure to
extreme cold, to occasional work with hazardous machinery,
and must avoid working with large vibrating objects or surfaces
and work in high exposed places and around large fast-moving
machinery on the ground.
.......................................................................................................
After careful consideration of the entire record, the undersigned
finds that from the May 6, 2013 lumbar surgery date forward,
[Plaintiff] has the [RFC] to perform sedentary work as defined
in 20 CFR 404.1567(a) with normal breaks (as defined as
fifteen - to - twenty - minutes break in the morning and
afternoon and a thirty-to-forty-five-minute break for lunch).
28
[Plaintiff] must avoid foot and leg pedals bilaterally but no
limitations with merely pressing a button or a knob. He is
capable of occasional climbing ramps and stairs and never
climbing ropes, ladders, scaffolds, and poles. He can stoop,
kneel, crouch, and squat occasionally and must avoid crawling
on hands, knees, or feet as part of the work. Further, [Plaintiff]
must have the option to perform the work either sitting or
standing at the option of the individual without significant loss
of productivity. He is limited to occasional concentrated
exposure to extreme cold and must avoid working with large
vibrating objects or surfaces, working in high exposed places,
working around large fast-moving machinery on the ground,
and working with sharp objects.
(Tr. 26-34).
At step five of the sequential evaluation process, the ALJ determined that,
given Plaintiff’s RFC, he was unable to perform past relevant work, but that given
his age, education, work experience, and RFC, there were jobs that existed in
significant numbers in the national economy that [Plaintiff] could perform for both
aforementioned RFC time periods. (Tr. 26-35).
Thus, the ALJ concluded that Plaintiff was not under a disability as defined
in the Social Security Act at any time from December 3, 2012 through the date of
the decision. (Tr. 36).
DISCUSSION
On appeal, Plaintiff alleges that: (1) the ALJ erred in failing to acknowledge
29
Plaintiff’s medical impairment of cervical spinal stenosis as established by the
record; (2) the ALJ erred in determining Plaintiff’s RFC; and (3) the VE’s
testimony is not substantial evidence to support the ALJ’s decision that Plaintiff
was not disabled. (Doc. 16, pp. 9-15). Defendant disputes these contentions.
(Doc. 18, pp. 15-24).
1.
Cervical Spinal Stenosis Impairment at Step Two
Plaintiff argues that the ALJ erred in failing to “acknowledge and assess all
medically determinable impairments established by the record,” namely cervical
spinal degeneration and stenosis. (Doc. 16, pp. 10-12).
Step Two “‘is a threshold analysis that requires [a claimant] to show that he
has one severe impairment.’” Traver v. Colvin, 2016 U.S. Dist. LEXIS 136708, at
*29 (M.D. Pa. Oct. 3, 2016) (Conaboy, J.) (citing Bradley v. Barnhart, 175
F.App’x 87 (7 th Circuit 2006)). SSR 96-3p states that an impairment is
considered severe if it “significantly limits an individual’s physical or mental
abilities to do basic work activities.” SSR 96-3p. An impairment is not severe if it
is a slight abnormality that has no more than a minimal effect on the Plaintiff’s
ability to do basic work activities. Id. The United States Court of Appeals for the
Third Circuit has held that as long as the ALJ finds at least one (1) impairment to
be severe at Step Two, that step is resolved in Plaintiff’s favor, the sequential
evaluation process continues, and any impairment that is found to non-severe is
harmless error because the ALJ still has to consider all impairments, both severe
and non-severe, in the RFC analysis. See 20 C.F.R. §§ 404.1545(a)(2),
416.945(a)(2); see also Salles v. Commissioner of Social Security, 229 F. App’x
140, 145 n.2 (3d Cir. 2007) (“Because the ALJ found in [the plaintiff’s] favor at
Step Two, even if he had erroneously concluded that some of her other
impairments were non-severe, any error was harmless.” (citing Rutherford v.
Barnhart, 399 F.3d 546, 553 (3d Cir. 2005))); Popp v. Astrue, 2009 U.S. Dist.
LEXIS, *4 (W.D. Pa. April 7, 2009) (“The Step Two determination as to whether
Plaintiff is suffering from a severe impairment is a threshold analysis requiring the
showing of only one severe impairment . . . In other words, as long as a claim is
not denied at Step Two, it is not generally necessary for the ALJ to have
specifically found any additional alleged impairment to be severe.”) (citations
omitted).
However, at Step Two, an administrative law judge also has an obligation to
consider all impairments established by the record, and failure to do so renders the
following steps of the Sequential Evaluation Process defective. 20 C.F.R. §
404.1545(a); Burnett v. Commissioner of Social Security Administration, 220 F.3d
112, 121-22 (3d Cir. 2000); Bailey v. Sullivan, 885 F.2d 52, 59-61 (3d Cir. 1989);
31
Hartzell v. Colvin, 2017 U.S. Dist. LEXIS 354, at *4 (M.D. Pa. Jan. 3, 2017)
(Nealon, J.) (“Moreover, unlike an error on the issue of severity, in most cases
where an ALJ errs by finding that an impairment alleged by the claimant is not
medically determinable[,] that error is not considered harmless. All medically
determinable impairments must be considered at [S]tep [T]wo and accounted for
in the RFC assessment. Case law is clear that an ALJ's failure to find an
impairment medically determinable at [S]tep [T]wo, or to support a finding that an
impairment is not medically determinable, makes the ALJ's finding at subsequent
steps of the sequential evaluation process defective and is cause for remand.”);
Harris v. Astrue, 2012 U.S. Dist. LEXIS 73337, at *25-27 (M.D. Pa. May 25,
2012) (Nealon, J.) (“The record indicates that in addition to bipolar disorder,
borderline intellectual functioning and polysubstance dependence disorder that
was in remission, Harris was diagnosed with posttraumatic stress disorder,
schizoaffective disorder, attention deficit hyperactivity disorder and recurrent
major depressive disorder. The failure of the administrative law judge to find those
conditions as medically determinable impairments, or to give an adequate
explanation for discounting them, makes her decisions at steps two and four of the
sequential evaluation process defective.”); Little v. Astrue, 2011 U.S. Dist. LEXIS
150308, at *25-26 (M.D. Pa. Sept. 14, 2011) (Kosik, J.) (“In this case, the record
32
suggests that Little suffered from a low back condition that caused pain. The
failure of the administrative law judge to find that condition as a medically
determinable impairment, or to give an adequate explanation for discounting it,
makes his decision at step four of the sequential evaluation process defective. The
error at step two of the sequential evaluation process, draws into question the
administrative law judge's residual functional capacity determination and
assessment of the credibility of Little. The administrative law judge found that
Little's medically determinable impairments could reasonably cause Little's
alleged symptoms but that Little's statements concerning the intensity, persistence
and limiting effects of those symptoms were not credible. This determination by
the administrative law judge was based on an incomplete analysis of all of Little's
medically determinable impairments.”); Crayton v. Astrue, 2011 U.S. Dist. LEXIS
139414, at *54 (M.D. Pa. Sept. 27, 2011) (Caputo, J.) (“The record suggests that
Crayton suffered from several conditions in addition to the those found as severe
by the administrative law judge. The failure of the administrative law judge to find
the above noted conditions as medically determinable impairments, or to give an
adequate explanation for discounting them, makes his decisions at steps two and
four of the sequential evaluation process defective. The error at step two of the
sequential evaluation process, draws into question the administrative law judge's
33
residual functional capacity determination and assessment of the credibility of
Crayton. The administrative [*55] law judge found that Crayton's medically
determinable impairments could reasonably cause Crayton's alleged symptoms but
that Crayton's statements concerning the intensity, persistence and limiting effects
of those symptoms were not credible. This determination by the administrative law
judge was based on an incomplete analysis of all of Crayton's medically
determinable impairments.”). If an administrative law judge fails to do so, several
problems arise in the Sequential Evaluation Process steps that follow. First, if an
impairment is not acknowledged at all at Step Two, it becomes impossible for this
Court to determine whether substantial evidence supports the ALJ’s Step Three
determination. Without an explanation provided by the ALJ, it cannot be
determined that Plaintiff would not meet a Listing at Step Three for a medically
determinable impairment that was never even acknowledged at Step Two because
Step Three regulations require a determination of the combined effect of all
medically established impairments. See 20 C.F.R. §§ 404.1525-1526; Crayton v.
Astrue, 2011 U.S. Dist. LEXIS 139414, at *54 (M.D. Pa. Sept. 27, 2011) (Caputo,
J.).
Furthermore, if a medically determinable impairment is not acknowledged
at Step Two, it is then not taken into account in the RFC determination at Step
Four. At Step Four, the administrative law judge has the responsibility to take all
limitations from all medically determinable impairments, both severe and nonsevere, into account in determining a plaintiff’s RFC. See 20 C.F.R. §§ 404.15251526; Hartzell v. Colvin, 2017 U.S. Dist. LEXIS 354, at *4 (M.D. Pa. Jan. 3,
2017) (Nealon, J.); Harris v. Astrue, 2012 U.S. Dist. LEXIS 73337, at *25-27
(M.D. Pa. May 25, 2012) (Nealon, J.); Little v. Astrue, 2011 U.S. Dist. LEXIS
150308, at *25-26 (M.D. Pa. Sept. 14, 2011) (Kosik, J.); Crayton v. Astrue, 2011
U.S. Dist. LEXIS 139414, at *54 (M.D. Pa. Sept. 27, 2011) (Caputo, J.). Failure
to do so renders the RFC determination defective because if all medically
determinable impairments are not considered in this step, all the limitations caused
by them are also not considered, which then leads to a potentially flawed RFC.
Additionally, not acknowledging a medically determinable impairment
undermines the ALJ’s credibility determination because any symptoms caused by
an unacknowledged medically determinable impairment cannot be taken into
account when determining the plaintiff’s credibility if it is not recognized as
existing. See Mason v. Shalala, 994 F.2d 1058, 1068 (3d Cir. 1993); SSR 96-7p.
In the case at hand, even though the ALJ found several medically
determinable impairments to be both severe and non-severe, she neglected to
acknowledge or discuss the medically determinable impairment established by the
35
record, namely cervical degeneration and stenosis. Due to this lack of
acknowledgment or discussion of this impairment, the ALJ then did not take this
impairment and the limitations it caused, including neck pain and the inability to
sufficiently hold onto items without dropping them, into account when evaluating
the Listings under Step Three and in determining the RFC and Plaintiff’s
credibility, making the RFC and credibility determinations defective as discussed
by the aforementioned regulations and case law. As such, because, at Step Two,
the ALJ failed to even acknowledge the medically determinable impairment of
cervical degeneration and stenosis that was in the medical record, the ALJ’s Step
Two analysis is not supported by substantial evidence, nor are the remaining steps,
as an error at Step Two translates into errors in the following steps of the
Sequential Evaluation Process. Because remand is warranted at this juncture, this
Court declines to address Plaintiff’s remaining assertions.
CONCLUSION
Based upon a thorough review of the evidence of record, the Court finds
that the Commissioner’s decision is not supported by substantial evidence.
Therefore, pursuant to 42 U.S.C. § 405(g), the appeal will be granted, the decision
of the Commissioner will be vacated, the matter will be remanded to the
Commissioner for a new administrative hearing, and judgment will be entered in
36
favor of Plaintiff and against Defendant.
A separate Order will be issued.
Date: February 28, 2017
/s/ William J. Nealon
United States District Judge
37
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