Webster v. Social Security Administration, Commissioner of [TV3]
Filing
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MEMORANDUM AND OPINION as set forth in following order. Signed by Chief District Judge Thomas A Varlan on 8/18/15. (ABF)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF TENNESSEE
AT KNOXVILLE
AMY LYNNE WEBSTER,
Plaintiff,
v.
CAROLYN W. COLVIN,
Acting Commissioner of Social Security,
Defendant.
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No.:
3:14-CV-253-TAV-CCS
MEMORANDUM OPINION
Before the Court is plaintiff’s Motion for Summary Judgment and Memorandum
in Support [Docs. 17, 18], as well as defendant’s Motion for Summary Judgment and
Memorandum in Support [Docs. 19, 20]. Plaintiff Amy Lynne Webster seeks judicial
review of the decision of the Administrative Law Judge (“ALJ”), the final decision of the
defendant Carolyn W. Colvin, Acting Commissioner of Social Security (“the
Commissioner”).
On April 26, 2010, plaintiff protectively filed an application for disability
insurance benefits (“DIB”) and supplemental security income (“SSI”) with an alleged
onset date of July 1, 2007 [Tr. 141–49, 164]. The Social Security Administration denied
plaintiff’s application initially and upon reconsideration [Tr. 91–94, 101–04]. Plaintiff
timely filed her request for a hearing and appeared before Administrative Law Judge
Robert L. Erwin on February 23, 2012, in Knoxville, Tennessee [Tr. 110, 36]. The ALJ
issued an unfavorable decision on May 31, 2012 [Tr. 17–34], which plaintiff appealed but
the Appeals Council later declined to review [Tr. 1–4, 15–16].
Having exhausted her administrative remedies, plaintiff filed a complaint with this
Court on June 12, 2014, seeking judicial review of the Commissioner’s final decision
under Section 205(g) of the Social Security Act [Doc. 1].
The parties have filed
competing dispositive motions, and this matter is now ripe for adjudication.
I.
ALJ FINDINGS
The ALJ made the following findings:
1. The claimant meets the insured status requirements of
the Social Security Act through December 31, 2011.
2. The claimant has not engaged in substantial gainful
activity since July 1, 2007, the alleged onset date (20 CFR
404.1571 et seq. and 416.971 et seq.).
3. The claimant has the following severe impairments:
history of vertigo; bipolar disorder; possible borderline
intellectual functioning (20 CFR 404.1520(c) and
416.920(c)).
4. The claimant does not have an impairment or
combination of impairments that meets or medically equals
the severity of one of the listed impairments in 20 CFR Part
404, Subpart P, Appendix 1 (20 CFR 404.1520(d), 404.1525,
404.1526, 416.920(d), 416.925, and 416.926).
5. After careful consideration of the entire record, the
undersigned finds that the claimant has the residual functional
capacity to perform a full range of work at all exertional
levels but with the following nonexertional limitations except
the claimant should avoid hazards. In addition, the claimant
could understand and remember one-three step tasks,
concentrate and persist for two hour periods, should avoid
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interaction with the general public but can interact with coworkers and supervisors, within the restrictions applied
above, would work better with things than people and could
adapt to change and set independent goals.
6. The claimant is unable to perform any past relevant
work (20 CFR 404.1565 and 416.965).
7. The claimant was born on October 4, 1982, and was
twenty-four years old, which is defined as a younger
individual age eighteen to forty-nine, on the alleged disability
onset date (20 CFR 404.1563 and 416.963).
8. The claimant has at least a high school education and is
able to communicate in English (20 CFR 404.1564 and
416.964).
9. Transferability of job skills is not an issue in this case
because the claimant’s past relevant work is unskilled (20
CFR 404.1568 and 416.968).
10. Considering the claimant’s age, education, work
experience, and residual functional capacity, there are jobs
that exist in significant numbers in the national economy that
the claimant can perform (20 CFR 404.1569, 404.1569(a),
416.969, and 416.969(a)).
11. The claimant has not been under a disability, as defined
in the Social Security Act, from July 1, 2007, through the date
of this decision (20 CFR 404.1520(g) and 416.920(g)).
[Tr. 22–28].
II.
DISABILITY ELIGIBILITY
This case involves an application for DIB and SSI benefits.
An individual
qualifies for DIB if he or she: (1) is insured for DIB; (2) has not reached the age of
retirement; (3) has filed an application for DIB; and (4) is disabled.
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42 U.S.C. §
423(a)(1). To qualify for SSI benefits, an individual must file an application and be an
“eligible individual” as defined in the Act. 42 U.S.C. § 1382(a); 20 C.F.R. § 416.202.
An individual is eligible for SSI benefits on the basis of financial need and either age,
blindness, or disability. See 42 U.S.C. § 1382(a).
“Disability” is the inability “[t]o 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 twelve months.” 42 U.S.C. § 1382c(a)(3)(A).
An 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.
42 U.S.C. § 1382c(a)(3)(B).
Disability is evaluated pursuant to a five-step analysis summarized as follows:
1. If claimant is doing substantial gainful activity, he is not
disabled.
2. If claimant is not doing substantial gainful activity, his
impairment must be severe before he can be found to be
disabled.
3. If claimant is not doing substantial gainful activity and is
suffering from a severe impairment that has lasted or is
expected to last for a continuous period of at least twelve
months, and his impairment meets or equals a listed
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impairment, claimant is presumed disabled without further
inquiry.
4. If claimant’s impairment does not prevent him from
doing his past relevant work, he is not disabled.
5. Even if claimant’s impairment does prevent him from
doing his past relevant work, if other work exists in the
national economy that accommodates his residual functional
capacity (“RFC”) and vocational factors (age, education,
skills, etc.), he is not disabled.
Walters v. Comm’r of Soc. Sec., 127 F.3d 525, 529 (6th Cir. 1997) (citing 20 C.F.R. §
404.1520). Plaintiff bears the burden of proof at the first four steps. Walters, 127 F.3d at
529. The burden shifts to the Commissioner at step five. Id. At the fifth step, the
Commissioner must prove that there is work available in the national economy that the
claimant could perform. Her v. Comm’r of Soc. Sec., 203 F.3d 388, 391 (6th Cir. 1999)
(citing Bowen v. Yuckert, 482 U.S. 137, 146 (1987)).
III.
STANDARD OF REVIEW
When reviewing the Commissioner’s determination of whether an individual is
disabled pursuant to 42 U.S.C. § 405(g), the Court is limited to determining “whether the
ALJ applied the correct legal standards and whether the findings of the ALJ are supported
by substantial evidence.” Blakley v. Comm’r of Soc. Sec., 581 F.3d 399, 405 (6th Cir.
2009) (citing Key v. Callahan, 109 F.3d 270, 273 (6th Cir. 1997)). If the ALJ applied the
correct legal standards and his findings are supported by substantial evidence in the
record, his decision is conclusive and must be affirmed. Warner v. Comm’r of Soc. Sec.,
375 F.3d 387, 390 (6th Cir. 2004); 42 U.S.C. § 405(g). Substantial evidence is “more
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than a scintilla of evidence but less than a preponderance; it is such relevant evidence as a
reasonable mind might accept as adequate to support a conclusion.” Rogers v. Comm’r of
Soc. Sec., 486 F.3d 234, 241 (6th Cir. 2007) (quotation omitted); see also Richardson v.
Perales, 402 U.S. 389, 401 (1971) (quoting Consol. Edison v. NLRB, 305 U.S. 197, 229
(1938)).
It is immaterial whether the record may also possess substantial evidence to
support a different conclusion from that reached by the ALJ, or whether the reviewing
judge may have decided the case differently. Crisp v. Sec’y of Health & Human Servs.,
790 F.2d 450, 453 n.4 (6th Cir. 1986). The substantial evidence standard is intended to
create a “‘zone of choice’ within which the Commissioner can act, without the fear of
court interference.” Buxton v. Halter, 246 F.3d 762, 773 (6th Cir. 2001) (quoting Mullen
v. Bowen, 800 F.2d 535, 545 (6th Cir. 1986)). Therefore, the Court will not “try the case
de novo, nor resolve conflicts in evidence, nor decide questions of credibility.” Garner v.
Heckler, 745 F.2d 383, 387 (6th Cir. 1984).
In addition to reviewing the ALJ’s findings to determine whether they were
supported by substantial evidence, the Court also reviews the ALJ’s decision to
determine whether it was reached through application of the correct legal standards and
in accordance with the procedure mandated by the regulations and rulings promulgated
by the Commissioner. See Wilson v. Comm’r of Soc. Sec., 378 F.3d 541, 544 (6th Cir.
2004). The Court may, however, decline to reverse and remand the Commissioner’s
determination if it finds that the ALJ’s procedural errors were harmless.
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An ALJ’s violation of the Social Security Administration’s procedural rules is
harmless and will not result in reversible error “absent a showing that the claimant has
been prejudiced on the merits or deprived of substantial rights because of the [ALJ]’s
procedural lapses.” Wilson, 378 F.3d at 546–47. Thus, an ALJ’s procedural error is
harmless if his ultimate decision was supported by substantial evidence and the error did
not deprive the claimant of an important benefit or safeguard. See id. at 547.
On review, plaintiff bears the burden of proving his entitlement to benefits. Boyes
v. Sec’y. of Health & Human Servs., 46 F.3d 510, 512 (6th Cir. 1994) (citing Halsey v.
Richardson, 441 F.2d 1230 (6th Cir. 1971)).
IV.
EVIDENCE
A.
Medical Evidence
On April 26, 2010, plaintiff protectively filed an application for DIB and SSI with
an alleged onset date of July 1, 2007 [Tr. 141–49, 164]. Plaintiff was born on October 4,
1982 [Tr. 164]. She reported that she completed high school and was not enrolled in
special education classes [Tr. 170]. Plaintiff reported past relevant work as a grocery
store clerk and office cleaner [Tr. 171]. Plaintiff alleged that she ceased work due to her
conditions on July 1, 2007, which included bipolar disorder, high blood pressure,
attention deficit disorder (“ADHD”), thyroid issues, vertigo, and migraines [Tr. 169–70].
Plaintiff previously filed for social security benefits and an ALJ issued an unfavorable
decision on April 20, 2010 [See Tr. 61–78].
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1.
Treating physicians and vocational analyses
Plaintiff received psychiatric treatment at the Center for Family Psychiatry from
1998 through 2002 [Tr. 636–77]. In February 2001, Dr. John Robertson, Jr., penned a
letter concerning plaintiff’s conditions [Tr. 638]. He stated that he treated plaintiff for
bipolar disorder and ADHD. Id. She was prescribed Seroquel, Topamax, and Levoxyl,
and Dr. Robertson noted that plaintiff was doing well on her medication “but continues to
have some mood instability.” Id. Dr. Robertson assessed that plaintiff “continues to
have functional limitation socially that present[s] a vocation handicap. In other words, it
would be difficult for her to maintain a job due to a new list of expectations in work
situations and difficulty modulating impulses and emotional behavior.” Id. However,
Dr. Robertson found that her “[p]rognosis is good as long as she continues her
medications and vocational rehabilitative services.” Id.
Plaintiff was treated at Interfaith Health Clinic for a variety of health issues from
2002 through 2008 [Tr. 372–415].
She was diagnosed with bipolar disorder,
hyperthyroidism, obesity, and shoulder pain in 2006 [Tr. 397–98].
Plaintiff sought
treatment for her psychiatric impairments at Cherokee Health Systems (“CHS”) from
2001 through 2011 [Tr. 416–46, 464–81, 523–26, 548–61, 626–35, 678–93].
CHS Staff Psychiatrist, Dr. Paul D’Cruz, treated plaintiff for bipolar disorder with
a history of psychotic features, anxiety disorder, and borderline intellectual functioning
[Tr. 418–43]. From March 2009 through February 2010, Dr. D’Cruz found that plaintiff
was generally doing fairly well. See Id. Plaintiff was prescribed Abilify, Trazodone, and
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Strattera [Tr. 422]. Plaintiff stated that she “loves the Strattera and thinks it is really
helping her focus better and pay attention . . . Her mom says she has been less moody.”
Id. In August 2009, plaintiff reported that “she is doing well . . . She has applied for
disability and not heard back anything” [Tr. 420].
In February 2010, plaintiff was
“upset” because “the vocational rehab person who tested her yesterday for a few hours
recommended she could work as a dog groomer” [Tr. 418]. Dr. D’Cruz found that
“[g]enerally, she seems to be doing fair. She has been fairly stable on the Strattera,
trazodone, and Abilify.” Id. Dr. D’Cruz made similar findings in August 2010, noting
that plaintiff was happy about receiving her driver’s license and that “[s]he likes driving”
[Tr. 525]. Dr. D’Cruz found that plaintiff was “doing fair from a psychiatric standpoint.”
Id.
Plaintiff was treated by Dr. John Doughtrey of Knoxville Neurology Clinic for a
“functional sensory examination[,]” bipolar disorder, ADHD, hypothyroidism, and
hypertension [Tr. 469–70]. Plaintiff was referred to Dr. Doughtrey by Dr. Jeffrey Fokens
of CHS, who had diagnosed plaintiff with vertigo, hypothyroidism, Gastroesophageal
reflux disease, obesity, metromenorrhagia, and psychiatric issues [Tr. 469, 474–80]. Dr.
Doughtrey found that her headaches and dizziness were “probably benign positional
vertigo with possible mixed headaches” [Tr. 470].
Dr. Doughtrey concluded that
“patient’s neurologic examination suggests there is a major functional component to her
complaints.
I do not find a specific abnormality on clinical examination.
I have
recommended an MRI scan to be sure there is no evidence of demyelinating disease” [Tr.
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471]. The results of an MRI of plaintiff’s brain conducted on January 11, 2010, were
normal [Tr. 454].
2.
Non-Treating Physicians
Mr. Terry Albert submitted a vocational evaluation in 2001 when plaintiff was
eighteen years of age [Tr. 639–44]. He noted that plaintiff scored in the range of
mentally deficient or borderline intellectual functioning with a full scale IQ score of 68
[Tr. 640–41]. Mr. Albert recommended that plaintiff “be placed in a position that gives
her the opportunity to work alone or with one or two other people but in close proximity
to someone who can supervise in case assistance is needed” [Tr. 644]. He concluded that
the “effects of the bipolar disorder and personality disorder will make long term
employment difficult unless some of these issues can be addressed. I believe she will do
best in an environment that is not fast paced and where she does not feel overwhelmed by
her responsibilities.” Id.
H. Abraham Brietstein, Ph.D., conducted a psychological evaluation on December
1, 2009, for the purpose of vocational planning, and upon referral from Vocational
Rehabilitation Services in regards to the Work Adjustment Program with Goodwill
Industries [Tr. 238, 267–70]. Dr. Brietstein conducted a Wechsler Adult Intelligence
Scale-IV (“WAIS-IV”) test, and plaintiff received a full scale IQ score of seventy-one
[Tr. 268–69]. Dr. Brietstein found that plaintiff “functions within the borderline range of
intelligence” [Tr. 269]. He also conducted a Personality Assessment Inventory (“PAI”)
and assessed that, “[a]ccording to the results of the PAI, Amy both exaggerated the
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severity of her complaints and gave infrequent responses, which suggests that she had
significant problems attending to or interpreting the questions. As such, the results are
considered invalid.” Id. Dr. Brietstein recommended that:
1. Amy may be an appropriate candidate for supported
employment, although will need to learn to tolerate
stress much more easily and will need to accept
constructive criticism from her employers.
2. Amy needs to continue her current treatment and will
need considerable encouragement to re-enter the work
force.
3. Should she continue to be unable to sustain
employment, even with the support of a job coach, she
is encouraged to pursue Social Security Disability
Benefits, which she has already attempted to do.
[Tr. 270].
The Work Adjustment Program closed plaintiff’s case on August 29, 2011, due to
plaintiff’s “consistently poor judgment in the workplace once employed and exhibited
difficulty working with others on multiple occasions during the time she was employed at
Goodwill Industries – Knoxville, Inc.” [Tr. 241].
Plaintiff was dismissed from the
program as “Not Rehabilitated” after she refused to complete her two-week notice at
Goodwill Industries, “became verbally aggressive, shouting at the Program Manager[,]”
and caus[ed] a scene in the middle of the store” with her husband [Tr. 240].
Dr. Celia Gulbenk submitted a non-examining physical RFC analysis on July 21,
2010 [Tr. 482–90]. She found no established exertional, postural, manipulative, visual,
communicative, or environmental limitations [Tr. 482–86]. Dr. James Moore affirmed
this assessment on January 24, 2011 [Tr. 537].
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Dr. Martha Wike conducted a psychological evaluation on August 30, 2010 [Tr.
491]. Dr. Wike noted that the agency did not provide any records but that plaintiff’s
attorney supplied “50 or 60 pages of records, however, and these were reviewed.” Id.
Dr. Wike considered plaintiff’s school records, including a full scale IQ score of 94 taken
when plaintiff was in the fourth grade. Id. Dr. Wike also reviewed treatment records
from CHS and Dr. Brietstein’s vocational evaluation [Tr. 492]. Plaintiff informed Dr.
Wike that she was applying for “disability benefits because ‘I can’t get along with
nobody and I can’t work as fast as others and I get so angry and then I turn around and I
get fired. I didn’t ask to be born like this.’” Id. Plaintiff also reported that she was
treated by “John Robertson, M.D., a child and adolescent psychiatrist.” Id. Plaintiff
informed Dr. Wike that on a good day she felt calm and did not cry and that “the day of
the evaluation ‘has been awful’” [Tr. 494]. Dr. Wike diagnosed plaintiff with Bipolar I
Disorder, ADHD, and generalized anxiety disorder [Tr. 495]. She assessed that Plaintiff
was moderately impaired in her ability to understand and remember instructions,
moderately to markedly impaired in her ability to sustain attention and concentration, and
markedly impaired in her ability to interact socially and adapt to changes in routine or the
workplace. Id.
Dr. Carole Kendall submitted a psychiatric RFC assessment on November 1, 2010
[Tr. 497–521]. She diagnosed plaintiff with borderline intellectual functioning, ADHD,
mood disorder, bipolar syndrome, and generalized anxiety disorder [Tr. 506–10]. She
assessed that plaintiff was mildly limited in her activities of daily living; moderately
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limited in her ability to maintain social functioning, concentration, persistence, or pace;
and had no episodes of decompensation [Tr. 515]. Dr. Mason Currey affirmed this
assessment on January 7, 2011 [Tr. 535].
B.
Other Evidence
The ALJ issued an unfavorable decision on May 31, 2012 [Tr. 17–34].
In
assessing plaintiff’s severe impairments, the ALJ considered her treatment records from
CHS, Dr. Robertson, and Dr. Doughtrey, as well as the medical and vocational opinions
of plaintiff’s non-treating and non-examining physicians [Tr. 23]. In crafting his RFC,
the ALJ explained that “[t]he opinion of Dr. Robertson, the claimant’s treating
psychiatrist, and Mr. Albert, vocational counselor, are accommodated in the residual
functional capacity outlined above. Said assessments are more consistent with the overall
medical evidence of record and the claimant’s longitudinal treatment history” [Tr. 26].
The ALJ “decline[d] to assign great weight to the opinion of Dr. Wike” and found that
plaintiff’s “ability to perform such a wide range of daily activities not only tends to
negate the degree of her complaints of pain and other subjective limitations” [Tr. 26–27].
V.
POSITIONS OF THE PARTIES
Plaintiff contends that the ALJ’s RFC assessment is flawed. She specifically
contends that the ALJ erred in weighing the opinions of treating and non-treating medical
and vocational sources and assessing her credibility. The Commissioner responds that
the ALJ’s RFC is supported by substantial evidence and that he properly weighed the
medical evidence in determining plaintiff’s functional capabilities.
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VI.
ANALYSIS
The Court will address each of the issues presented by plaintiff in turn.
A.
RFC Analysis
Plaintiff makes several arguments in regards to the ALJ’s RFC determination.
The Court interprets these arguments to center around two main issues: the ALJ’s
consideration of the medical and vocational evidence and the ALJ’s determination of
credibility. The Court will consider the ALJ’s RFC assessment broadly and then directly
address the issues presented by plaintiff. In order to assess the ALJ’s decision that
plaintiff is not disabled, the Court must first inquire as to whether the ALJ’s RFC
determination was based on substantial evidence. Having done so, the Court finds in the
affirmative.
An ALJ is responsible for determining a plaintiff’s RFC after reviewing all the
relevant evidence of record. Rudd v. Comm’r of Soc. Sec., 531 F. App’x 719, 728 (6th
Cir. 2013). An ALJ may consider both medical and non-medical evidence in reaching an
RFC determination. Id. A plaintiff’s RFC is the most a plaintiff can do despite his or her
impairments. 20 C.F.R. § 404.1545(a)(1). In other words, the RFC describes “the
claimant’s residual abilities or what a claimant can do, not what maladies a claimant
suffers from—though the maladies will certainly inform the ALJ’s conclusion about the
claimant’s abilities.” Howard v. Comm’r of Soc. Sec., 276 F.3d 235, 240 (6th Cir. 2002).
Moreover, “‘[a] claimant’s severe impairment may or may not affect his or her functional
capacity to do work. One does not necessarily establish the other.’” Griffeth v. Comm’r
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of Soc. Sec., 217 F. App’x 425, 429 (6th Cir. Feb. 09, 2007) (quoting Yang v. Comm’r of
Soc. Sec., No. 00–10446–BC, 2004 WL 1765480, at *5 (E.D. Mich. July 14, 2004)).
A court will not disturb an ALJ’s RFC determination so long as the finding is
supported by substantial evidence. Jones v. Comm’r of Soc. Sec., 336 F.3d 469, 477 (6th
Cir. 2003). However, in determining a claimant’s RFC, the ALJ must “make findings of
fact” as to her functional and physical limitations. Simpson v. Colvin, 3:11-0481, 2013
WL 4456383, at *17 (M.D. Tenn. Aug. 16, 2013), adopted by, 3:11-CV-00481, 2013 WL
4780082 (M.D. Tenn. Sept. 4, 2013). Further, the ALJ “must ‘articulate with specificity
reasons for the findings and conclusions that he or she makes’ to facilitate meaningful
judicial review.” Wright v. Astrue, 1:07-CV-226, 2009 WL 890051 (E.D. Tenn. Mar. 26,
2009) (quoting Bailey v. Comm’r of Soc. Sec., 1999 WL 96920, *4, (6th Cir. Feb. 2,
1999)).
The Court finds that the ALJ’s RFC analysis adheres to agency procedure and is
supported by substantial evidence. Below the Court explains the basis for this decision.
1.
Weighing the Medical and Vocational Evidence
Plaintiff argues that the ALJ erred in his consideration of the medical and
vocational evidence in regards to both her treating, non-treating, and non-examining
physicians and vocational experts. The Court disagrees.
Under the Social Security Act and its implementing regulations, an ALJ will
consider all the medical opinions in conjunction with any other relevant evidence
received in order to determine if a claimant is disabled. 20 C.F.R. § 404.1527(b). If the
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opinion of a treating physician is supported by the record, it is entitled to controlling
weight. See 20 C.F.R. §§ 404.1527(c)(2) and 416.927(c)(2) (“If we find that a treating
source’s opinion on the issue(s) of the nature and severity of your impairment(s) is wellsupported by medically acceptable clinical and laboratory diagnostic techniques and is
not inconsistent with the other substantial evidence in your case record, we will give it
controlling weight.”).
Where an opinion does not garner controlling weight, the
appropriate weight to be given an opinion will be determined based upon the following
factors: length of treatment, frequency of examination, nature and extent of the treatment
relationship, amount of relevant evidence that supports the opinion, the opinion’s
consistency with the record as a whole, the specialization of the source, and other factors
which tend to support or contradict the opinion. 20 C.F.R. §§ 404.1527(c)(2–6) and
416.927(c)(2–6).
When an ALJ does not give a treating physician’s opinion controlling weight, the
ALJ must give “good reasons” for the weight given to a treating source’s opinion in the
decision. 20 C.F.R. §§ 404.1527(c)(2). A decision denying benefits “must contain
specific reasons for the weight given to the treating source’s medical opinion, supported
by evidence in the case record, and must be 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 the weight.” Soc. Sec. Rul. 96-2p, 1996 WL 374188, at *5
(1996).
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Nonetheless, although a treating physician’s diagnosis is entitled to great weight,
“the ultimate decision of disability rests with the administrative law judge.” Walker v.
Sec’y of Health & Human Servs., 980 F.2d 1066, 1070 (6th Cir. 1992) (citing King v.
Heckler, 742 F.2d 968, 973 (6th Cir. 1984)). An ALJ does not measure medical evidence
in a vacuum, but rather considers physician opinions in conjunction with the record as a
whole. See 20 C.F.R. § 404.1527(b) (explaining that in considering medical opinions, the
SSA “will always consider the medical opinions in your case record together with the rest
of the relevant evidence we receive.”). The agency will consider such evidence as
“statements or reports from you, your treating or nontreating source, and others about
your medical history, diagnosis, prescribed treatment, daily activities, efforts to work, and
any other evidence showing how your impairment(s) and any related symptoms affect
your ability to work.” 20 C.F.R. § 404.1529(a).
The treating physician rule is inapplicable where treating physicians have failed to
provide medical opinions. If the record is replete with treatment records, but absent any
medical opinion regarding functional capacity, treating physicians are not entitled to
controlling weight, nor must the court address the factors set forth 20 CFR §§
404.1527(c) and 416.927(c). See Terrell v. Comm’r of Soc. Sec., 12-CV-11781, 2013
WL 5178541, at *12 (E.D. Mich. Sept. 10, 2013) (explaining that where a plaintiff cannot
cite to any treating physician opinion in the record that is contrary to the ALJ’s decision
“the undersigned cannot conclude that the ALJ erred in evaluating the record regarding
these physicians”); see also Hazelwood v. Comm’r of Soc. Sec., 2012 WL 5930439, at *4
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(S.D. Ohio Nov. 27, 2012) (finding that “[w]ithout any opinion evidence from plaintiff’s
treating physicians, the Court cannot conclude that the ALJ erred by not applying the
factors enumerated in §§ 404.1527(c) and 416.927(c)”); Pedigo v. Astrue, 1:09-CV-93,
2009 WL 6336228, at *6 (E.D. Tenn. Dec. 14, 2009) (internal citations omitted)
(explaining that the “rule of deference to a treating physician’s opinion, however, is
inapposite when the treating physician has not offered an opinion to which the ALJ can
defer”) (citing White v. Comm’r of Soc. Sec., 572 F.3d 272, 286 (6th Cir. 2009)).
In considering non-treating physician opinions, an ALJ is “not bound by any
findings made by State agency medical or psychological consultants, or other program
physicians or psychologists,” but the ALJ must “consider findings of State agency
medical and psychological consultants or other program physician, psychologists, and
other medical specialists as opinion evidence[.]” 20 C.F.R. § 404.1527(e)(2)(i). The
ALJ must evaluate the consultative physician’s opinion using the relevant factors in 20
C.F.R. §§ 404.1527(c)(2–6) and 416.927(c)(2–6), the same factors used to analyze the
opinion of a treating physician. See 20 C.F.R. § 404.1527(e)(2)(iii); Jericol Mining, Inc.
v. Napier, 301 F.3d 703, 710 (6th Cir. 2002) (“We believe that the same factors that
justify placing greater weight on the opinions of a treating physician are appropriate
considerations in determining the weight to be given an examining physician’s views.”);
Sommer v. Astrue, No. 3:10-CV-99, 2010 WL 5883653, at *6 (E.D. Tenn. Dec. 17, 2010)
(internal citations omitted) (“The Regulations and Rulings require an ALJ, in the absence
of a treating source who enjoys controlling weight, to weigh the opinions of one-time
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examining physicians and record-reviewing physicians under the regulatory factors,
including supportability and consistency.”) (citing 20 C.F.R. § 404.1527(d) & (f)).
The ALJ must consider all medical opinions in conjunction with any other relevant
evidence received in order to determine if a claimant is disabled.
20 C.F.R. §
404.1527(b). Pursuant to Social Security Ruling 06–03p, an ALJ may also consider
evidence from “other sources” as well, such as vocational counselors. See WL 2329939,
at *2 (S.S.A. Aug. 9, 2006) (explaining that although these sources “cannot establish the
existence of a medically determinable impairment[,]” they have “special knowledge of
the individual and may provide insight into the severity of the impairments and how it
affects the individual’s ability to function”). However, an ALJ need not specifically
address each medical opinion or piece of evidence in order to adequately consider the
record in its entirety. See Loral Def. Sys.-Akron v. N.L.R.B., 200 F.3d 436, 453 (6th Cir.
1999) (“[T]he fact that the ALJ’s opinion failed to discuss all of the testimony and
evidence presented to him does not mean that the ALJ ‘failed to consider’ the evidence.”)
(quoting NLRB v. Beverly Enterprises-Massachusetts, 174 F.3d 13 (1st Cir. 1999)).
The Court will address the issues raised by plaintiff regarding the medical and
vocational evidence in turn.
a.
Dr. Robertson and Mr. Albert
Plaintiff argues that the ALJ specifically erred in his consideration of Dr.
Robertson and Mr. Albert [Doc. 18 at 16–19]. Dr. Robertson was a treating physician
and Mr. Albert qualifies as an “other source” pursuant to Social Security Ruling 06–03p.
19
However, these opinions and reports both occurred many years prior to plaintiff’s alleged
onset date and thus the Court clarifies at the outset that such a length of time minimizes
their relevance.
See Wilson v. Comm’r of Soc. Sec., No. 3:13-CV-579, 2014 WL
7015615, at *12 (E.D. Tenn. Dec. 11, 2014) (“The Court finds that a psychological
examination, conducted eight years prior the alleged onset date and preceding a period in
which plaintiff sustained substantial gainful activity, is irrelevant to plaintiff’s
application.”) (citing Davis ex rel. Smith v. Comm’r of Soc. Sec., No. 1:08–CV–00291,
2009 WL 2884142, at *10 (S.D. Ohio Sept.1, 2009)); McAley v. Comm’r of Soc. Sec.,
No. 08-14504, 2010 WL 1064133, at *8 (E.D. Mich. Feb. 10, 2010) (internal citations
omitted) (noting that “the parties’ dispute is oddly limited to the treating physician
opinions offered in 1997 and 1998, which are, at best minimally relevant to whether there
was substantial evidence to support the ALJ’s decision regarding plaintiff’s impairment
in the years 2000–2003”).
The Court notes that not all medical or opinion evidence collected prior to the
alleged onset date is per se irrelevant. See DeBoard v. Comm’r of Soc. Sec., 211 F.
App’x 411, 414 (6th Cir. 2006) (“We recognize that evidence presented at an earlier
hearing or predating the onset of disability, when evaluated in combination with later
evidence, may help establish disability.”) (emphasis in the original). However, medical
evidence becomes less relevant as the gap of time between the opinion and the alleged
onset date widens. See 20 C.F.R. § 404.1512(d)(2) (“By ‘complete medical history,’ we
mean the records of your medical source(s) covering at least the 12 months preceding the
20
month in which you file your application.”); Davis ex rel. Smith, 2009 WL 2884142, at
*10 (discounting an opinion because it was obtained nine months prior to the alleged
onset date). Further, as seen in Wilson, the opinion carries even less weight when it
precedes “a period in which plaintiff sustained substantial gainful activity” 2014 WL
7015615, at *12.
Such is the case here.
Dr. Robertson, a specialist in child and adolescent
psychology, [see Tr. 492], treated plaintiff from 1998 through 2002 [Tr. 636–77]. Dr.
Robertson’s opinion was included in a letter from February 2001 [Tr. 638]. Mr. Terry
Albert submitted a vocational evaluation in 2001 when plaintiff was eighteen years of age
[Tr. 639–44]. Plaintiff reported past relevant work as a grocery store clerk in 2003 and
office cleaner from 2003 through 2009, with an alleged onset date of July 1, 2007 [Tr.
171, 164]. The Court notes that over six years elapsed between both Dr. Robertson’s and
Mr. Albert’s opinions and plaintiff’s alleged onset date. Further, plaintiff was able to
sustain gainful employment during that time. Therefore, the Court finds that the ALJ was
not under an obligation to grant these opinions special weight and the date of their
issuance is relevant to their consideration. Further, due to the length of time between Dr.
Robertson’s opinion and plaintiff’s alleged onset date, the Court finds that he is unlikely
due controlling weight under the treating physician rule. The Court notes, however, that
plaintiff has had ongoing mental impairments since 1998 and these opinions “may
provide insight into the severity of the impairments and how it affects the individual’s
ability to function.” Soc. Sec. Ruling 06–03p, WL 2329939, at *2.
21
Based on the length of time elapsed between these opinions and plaintiff’s alleged
onset date, the Court finds that the ALJ properly weighed the opinion evidence of both
Dr. Robertson and Mr. Albert. The ALJ addressed Dr. Robertson’s treatment records and
functional analysis, specifically considering his assessment that plaintiff “would have
difficulty maintaining a job due to a new list of expectations in work situations and
difficulty modulating impulses and emotional behavior” [Tr. 23]. The ALJ further noted
that Dr. Robertson found her “prognosis was good as long as claimant continues
medications and vocational rehabilitation services.” Id. The ALJ then proceeded to Mr.
Albert’s evaluation, noting his assessment that plaintiff “functioned in the mentally
deficient range of functioning” along with plaintiff’s poor performance and lethargy
during evaluation. Id. The ALJ also considered Mr. Albert’s opinion that plaintiff
“would work best alone or with one or two other people but in close proximity to
someone who can supervise” [Tr. 24]. In crafting his RFC, the ALJ explained that “Dr.
Robertson, the claimant’s treating physician, and Mr. Albert, vocational counselor, are
accommodated in the residual functional capacity outlined above. Said assessments are
more consistent with the overall medical evidence of record and the claimant’s
longitudinal treatment history” [Tr. 26].
The Court finds that this analysis satisfies agency procedure. The ALJ provided
“good reasons” for the weight assigned Dr. Robertson and Mr. Albert and applied many
of the factors set forth in 20 C.F.R. §§ 404.1527(c)(2-6) and 416.927(c)(2–6). The ALJ
considered their treatment and examination relationships, along with the consistency and
22
supportability of their opinions. The ALJ also explained the weight assigned to their
opinions by specifically stating that their opinions were “accommodated in the residual
functional capacity outlined above” due to their consistency with the record as a whole
[Tr. 26]. The Court finds no error in this analysis. The Court further finds that the ALJ
did not err in not granting treating physician, Dr. Robertson, controlling weight. The
length of time between his opinion and plaintiff’s alleged onset date, along with
plaintiff’s substantial gainful activity, obviate the applicability of the treating physician
rule. Further, the ALJ applied the factors set forth in 20 C.F.R. §§ 404.1527(c)(2–6) and
416.927(c)(2–6) and provided a sufficient explanation for the weight assigned to Dr.
Robertson’s opinion. Agency regulations require no more and neither shall this Court.
Any argument to the contrary is without merit.
b.
Dr. Brietstein
Plaintiff further argues that the ALJ erred in not addressing Dr. Brietstein’s
vocational analysis [Doc. 18 at 18–21]. The Court disagrees. First, the ALJ specifically
cited to Exhibit B-13E, which includes Dr. Brietstein’s opinion, noting that plaintiff
continued to exhibit “consistently poor judgment in the workplace once employed and
exhibited difficulty working with others on multiple occasions” [Tr. 24; see also Tr. 269
(Dr. Brietstein noting that plaintiff has “difficulty interacting other people”)]. Not only is
plaintiff incorrect in stating the ALJ never acknowledged these records, he was under no
explicit obligation to do so. The Court acknowledges the ALJ’s duty to consider all the
medical evidence on file. See 20 C.F.R. § 404.1527(c) (“Regardless of its source, we will
23
evaluate every medical opinion we receive.”). However, the ALJ need not explicitly
address and explain the weight assigned to each non-treating physician in order to
properly consider the record as a whole. See Loral Def. Sys.-Akron, 200 F.3d at 453
(“[T]he fact that the ALJ’s opinion failed to discuss all of the testimony and evidence
presented to him does not mean that the ALJ ‘failed to consider’ the evidence.”) (quoting
NLRB, 174 F.3d at 13). Here, Dr. Brietstein was a non-treating physician who conducted
a single examination for the purpose of plaintiff’s vocational planning, not her allegations
of disability [Tr. 267]. The ALJ explicitly cited to the exhibit containing Dr. Brietstein’s
opinion and concurred with some of his findings in considering plaintiff’s ability to
function in the workplace. The Court finds no error in this analysis.
Further, even if the ALJ did not provide Dr. Brietstein sufficient analysis, such an
error was harmless. The ALJ specifically stated that he crafted an RFC to accommodate
for plaintiff’s “difficulties with social interaction, concentration, and adaptability” [Tr.
26]. Dr. Brietstein’s recommendations took into account the same issues, noting that
plaintiff may be able to sustain employment but “will need to learn to tolerate stress
much more easily and will need to accept constructive criticism from her employers” [Tr.
270]. The Court also takes into consideration the portions of Dr. Brietstein’s opinion
deeming plaintiff’s examination results invalid due to evidence of malingering. See [Tr.
269 (“Amy both exaggerated the severity of her complaints and gave infrequent
responses, which suggests that she had significant problems attending to or interpreting
the questions. As such, the results are considered invalid.”)]. Plaintiff’s exaggeration
24
reflects poorly on the validly of the examination results, especially when considered in
conjunction with her behavior at Goodwill Industries.
Although plaintiff’s mental
impairments likely impair her ability to interact socially, the Court is concerned that her
inappropriate behavior, especially causing a scene “in the middle of the store” with her
husband, [Tr. 240], evidences more of an unwillingness to work and a poor attitude rather
than a mental disability. Therefore, the Court finds that Dr. Brietstein’s report, even if
included in great detail in the ALJ’s decision, does not turn the disability analysis in
plaintiff’s favor. Any error in the ALJ’s consideration of Dr. Brietstein was harmless.
Plaintiff further argues that the ALJ erred in not including her hand impairments,
as identified by Dr. Brietstein and Goodwill Industries, in her RFC. See Doc. 18 at 23–
24].
Plaintiff argues that “[t]hese two references, both emanating from vocational
rehabilitation assessments, requires the ALJ to include such limitations in his
hypothetical to the VE at the hearing” [Doc. 18 at 24]. The Court is unaware of the basis
for plaintiff’s proposed rule, and plaintiff has not cited any agency regulation or case law
in support. Plaintiff points to only two statements in the record alluding to fine and gross
hand manipulations. Dr. Brietstein briefly stated that plaintiff’s “psychomotor slowing
and impaired concentration contribute to her difficulty performing basic tasks in a timely
fashion” [Tr. 270].
In relation to plaintiff’s employment at Goodwill Industries, a
vocational rehabilitation counselor noted that plaintiff “[d]isplayed very slow gross and
fine bilateral finger/hand dexterities, fingering” [Tr. 262]. The Court is unaware of any
treating, non-treating, or non-examining physician opinion identifying restrictions in
25
plaintiff’s gross manipulations, nor did she identify this issue as an impairment during the
administrative hearing or her disability report. See Tr. 48–49, 169. Further, plaintiff’s
own attorney stated during the administrative hearing that “it’s not really a physical case.
We think physically she’s probably okay” [Tr. 55]. The Court finds plaintiff’s contention
of error to be without merit. The ALJ assessed plaintiff’s RFC based on her actual and
alleged impairments and employed that RFC in crafting a hypothetical for the VE. See
Tr. 56–57.
c.
Dr. D’Cruz
The Court also finds plaintiff’s argument regarding the ALJ’s consideration of Dr.
D’Cruz to be without merit. The ALJ thoroughly and explicitly considered plaintiff’s
medical records from CHS, including Dr. D’Cruz’s diagnoses. At step two, the ALJ
noted that plaintiff’s “symptoms have been treated with medications with good control of
her symptoms.
Paul D’Cruz, M.D., diagnosed bipolar disorder, generalized anxiety
disorder, borderline intellectual functioning and attention-deficit hyperactivity disorder”
[Tr. 23]. The ALJ further considered that “claimant was able to maintain a job with the
University of Tennessee as a cleaner, for more than a year and that the claimant failed to
exhibit increased stress when she was laden with increased responsibility” Id.
In
assessing her RFC, the ALJ noted that she “has required only conservative mental health
treatment including counseling and medication managements. Treatment records from
Dr. D’Cruz showed the claimant’s symptoms were focused on situational stressors
including relationship problems, and moving” [Tr. 26]. The Court notes that Dr. D’Cruz,
26
albeit a treating physician, did not submit a medical source statement or opinion as to
plaintiff’s functional abilities. Therefore, the treating physician rule does not apply. See
Pedigo, 2009 WL 6336228, at *6. Without a treating physician opinion, the ALJ’s only
obligation was to consider plaintiff’s treatment records in his analysis. See 20 C.F.R. §
404.1520(a)(3) (“We will consider all evidence in your case record when we make a
determination or decision whether you are disabled.”). The ALJ did so and explicitly
cited to portions of Dr. D’Cruz’s throughout his disability analysis.
Plaintiff’s
perfunctory argument regarding Dr. D’Cruz, consisting of one paragraph, is not only
insufficient to constitute a colorable argument, but lacks any substantive or accurate basis
of error. See McPherson v. Kelsey, 125 F.3d 989, 995–96 (6th Cir. 1997) (“‘Issues
adverted to in a perfunctory manner, unaccompanied by some effort at developed
argumentation, are deemed waived. It is not sufficient for a party to mention a possible
argument in the most skeletal way, leaving the court to . . . put flesh on its bones.’”
(quoting Citizens Awareness Network, Inc. v. United States Nuclear Regulatory Comm’n,
59 F.3d 284, 293–94 (1st Cir. 1995)). The Court finds plaintiff’s allegations of error to
be without merit.
d.
Dr. Wike
Finally, plaintiff alleges that the ALJ erred in the weight assigned to Dr. Wike
[Doc. 18 at 21]. Plaintiff asserts that by declining to adopt all of Dr. Wike’s limitations,
the ALJ “improperly substituted his medical opinion for Dr. Wike” [Doc. 18 at 23]. The
Court disagrees. Although an ALJ shall not “impermissibly substitute his own views for
27
an uncontroverted medical opinion[,]” she can and should “assess the credibility of
witnesses and weigh and/or evaluate their testimony.” Wright, 2009 WL 890051, at *11.
An ALJ is free to reject or adopt medical evidence based on a consideration of the record
and hearing testimony. See Lenon v. Apfel, 191 F. Supp. 2d 968, 978 (W.D. Tenn. 2001)
(finding that an ALJ’s rejection of a medical assessment was “supported by substantial
evidence” because it was inconsistent with the medical evidence); 20 C.F.R. §
404.1527(e)(2)(i) (“Administrative law judges are not bound by any findings made by
State agency medical or psychological consultants, or other program physicians or
psychologists.”).
Here, the ALJ did not substitute his opinion for that of Dr. Wike or create his own
nonexertional limitations out of thin air. He considered the record as a whole, crafted his
RFC based on the objective evidence, and discounted Dr. Wike’s due to “the claimant’s
own admission that this was a ‘bad’ day for her and not necessarily a correct
preponderance of her residual functional capacity” [Tr. 26–27]. The ALJ addressed Dr.
Wike’s opinion in more detail at step two, noting her one-time psychological evaluation
and diagnoses of bipolar disorder, ADHD, and anxiety disorder [Tr. 23]. In explaining
his RFC assessment, the ALJ stated that he “considered all symptoms and the extent to
which these symptoms can reasonably be accepted as consistent with the objective
medical evidence” [Tr. 25].
The ALJ’s decision can be distinguished from the facts of Lenon, wherein the
Court found the ALJ “gave in to the temptation to play doctor” by finding that “one could
28
not suffer from mild to moderate depression and have a poor ability to deal with the
stresses of the workplace.” 191 F. Supp. 2d at 978. Here, the ALJ did not substitute his
own medical opinion for that of the medical professionals or make any medical diagnosis.
To the contrary, he considered the medical evidence, adopted the medical opinions that
were consistent with the record as a whole, and crafted plaintiff’s RFC based on his
analysis. He found Dr. Wike’s opinion was not supported by the objective evidence due
to plaintiff’s exacerbated symptoms on the day of the exam [Tr. 26–27].
Such
consideration complies with agency procedure, as set forth in 20 C.F.R. §§ 404.1527 and
416.927, and is far from “playing doctor.” The ALJ followed agency protocol and his
RFC assessment is supported by substantial evidence. Any argument to the contrary is
without merit.
(1)
Credibility
Plaintiff argues that the ALJ erred in his credibility assessment.
The
Commissioner argues that the “ALJ’s reasons for discrediting the [plaintiff’s] allegations
are reasonable and supported by substantial evidence in the record” [Doc. 20 at 4]. The
Court concurs. An ALJ may consider the claimant’s credibility when determining the
basis of pain symptoms. See Walters, 127 F.3d at 531 (explaining that “[i]n evaluating
complaints of pain, an ALJ may properly consider the credibility of the claimant.”). The
ALJ’s findings regarding credibility “are to be accorded great weight and deference,
particularly since an ALJ is charged with the duty of observing a witness’s demeanor and
credibility.” Id. However, the ALJ’s finding must be supported by substantial evidence.
29
Id. Our appellate court has articulated the standard for evaluating subjective complaints
as follows:
First, we examine whether there is objective medical evidence
in an underlying medical condition. If there is, we then
examine (1) whether objective medical evidence confirms the
severity of the alleged pain arising from the condition; or (2)
whether the objectively established medical condition is of
such a severity that it can reasonably be expected to produce
the alleged disabling pain.
Duncan v. Sec. of Health & Human Servs., 801 F.2d 847, 853 (6th Cir. 1986).
In deciding whether the objective evidence confirms the severity of the alleged
pain or whether the objectively established medical condition is of such a severity that it
can reasonably be expected to produce the alleged disabling pain, the ALJ must consider
the following factors: (i) daily activities; (ii) the location, frequency, and intensity of the
pain or other symptoms; (iii) precipitating and aggravating factors; (iv) the type, dosage,
effectiveness, and side effects of any medication taken to alleviate pain or other
symptoms; (v) treatment, other than medication, received or implemented for relief of
pain or other symptoms; (vi) any other measures besides medical treatment that are used
or were used to relieve pain or other symptoms; (vii) other factors concerning functional
limitations and restrictions due to pain or other symptoms. Soc. Sec. Rul. 96–7p, 1996
WL 374186, at *3 (S.S.A. July 2, 1996); 20 C.F.R. § 404.1529(c)(3). Although the ALJ
is not required to address every factor, his “decision must contain specific reasons for the
finding on credibility, supported by the evidence in the case record, and must be
sufficiently specific to make clear to the individual and to any subsequent reviewers the
30
weight the adjudicator gave to the individual’s statements and the reasons for that
weight.” Soc. Sec. Rul. 96-7p, 1996 WL 374186, at *3.
The Sixth Circuit has emphasized that “[t]his is a highly deferential standard. As a
result, substantial evidence review ‘gives the agency the benefit of the doubt, since it
requires not the degree of evidence which satisfies the court that the requisite fact exists,
but merely the degree which could satisfy a reasonable fact finder.’” Claiborne-Hughes
Health Ctr. v. Sebelius, 609 F.3d 839, 843–44 (6th Cir. 2010) (quoting Allentown Mack
Sales & Serv., Inc. v. NLRB, 522 U.S. 359, 377 (1998) (emphasis in the original)).
Here, the ALJ found that although plaintiff’s impairments could “cause the alleged
symptoms . . . statements concerning the intensity, persistence, and limiting effects of
these symptoms are not credible to the extent they are inconsistent with the above
residual functional capacity assessment” [Tr. 27]. The ALJ walked through plaintiff’s
treatment history, medication, diagnostic test results, hearing testimony, and daily
activities and explained the weigh assigned to plaintiff’s physicians [Tr. 22–27]. The
ALJ specifically relied on plaintiff’s conservative mental health treatment, the situational
stressors contributing to her mental impairments, and her ability to maintain a
relationship with her husband [See Tr. 26]. The ALJ further relied upon plaintiff’s
extensive daily activities, finding such activities “tend[] to minimize the degree of her
complaints and subjective limitations” [Tr. 27]. The ALJ explained that her ability to
cook, perform household chores, drive, care for her personal hygiene, run errands, retail
and grocery shop, manage her finances, watch television, listen to the radio, visit with
31
family and friends, read, and talk on the telephone “only tends to negate the degree of her
complaints of pain and other subjective limitations.” Id.
Plaintiff contends that the ALJ erred in not adopting the portions of the record,
specifically her function report, hearing testimony, and Dr. Wike’s report, that
corroborate her subjective complaints [See Doc. 18 at 25–27]. The Court disagrees. The
ALJ weighed several of the factors set forth in Soc. Sec. Rul. 96–7p, 1996 WL 374186, at
*3 and 20 C.F.R. § 404.1529(c)(3). Specifically, he noted plaintiff’s daily activities,
subjective complaints, the type, dosage, effectiveness of her medication, and other factors
such as her diagnostic test results [See Tr. 22–27]. The ALJ was under no obligation to
address every factor or every piece of evidence in the record, and plaintiff’s argument to
the contrary is without merit. It matters not whether plaintiff or this Court disagree or
would have come to a different conclusion. See Crisp, 790 F.2d at 453 n.4. The only
questions before the Court are whether the ALJ adhered to agency procedure and made a
decision supported by substantial evidence. The Court finds in the affirmative in both
regards. The ALJ’s opinion was “sufficiently specific to make clear to the individual and
to any subsequent reviewers the weight the adjudicator gave to the individual’s
statements and the reasons for that weight.” Soc. Sec. Rul. 96–7p, 1996 WL 374186, at
*3. Due to the highly deferential standard set forth by this Circuit, the Court finds the
ALJ’s credibility assessment to be supported by substantial evidence.
32
VII.
CONCLUSION
Based upon the foregoing, plaintiff’s Motion for Summary Judgment [Doc. 17]
will be DENIED, the Commissioner’s Motion for Summary Judgment [Doc. 19] will be
GRANTED, and the Clerk of Court will be directed to CLOSE this case.
ORDER ACCORDINGLY.
s/ Thomas A. Varlan
CHIEF UNITED STATES DISTRICT JUDGE
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