Cline v. Social Security Administration, Commissioner of
Filing
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MEMORANDUM AND OPINION as set forth in following order. Signed by Magistrate Judge C Clifford Shirley, Jr on 2/1/18. (ABF)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF TENNESSEE
AT KNOXVILLE
FRANCIS CLINE,
Plaintiff,
v.
NANCY A. BERRYHILL,1
Acting Commissioner of Social Security,
Defendant.
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No. 3:16-CV-503-CCS
MEMORANDUM OPINION
This case is before the undersigned pursuant to 28 U.S.C. § 636(b), Rule 72(b) of the
Federal Rules of Civil Procedure, and the consent of the parties [Doc. 18]. Now before the Court
is the Plaintiff’s Motion for Summary Judgment and Memorandum in Support [Docs. 23 & 24]
and the Defendant’s Motion for Summary Judgment and Memorandum in Support [Docs. 27 &
28]. Francis Cline (“the Plaintiff”) seeks judicial review of the decision of the Administrative Law
Judge (“the ALJ”), the final decision of Defendant Nancy A. Berryhill, Acting Commissioner of
Social Security (“the Commissioner”). For the reasons that follow, the Court will GRANT IN
PART AND DENY IN PART the Plaintiff’s motion and GRANT IN PART AND DENY IN
PART the Commissioner’s motion.
I.
PROCEDURAL HISTORY
On October 22, 2012, the Plaintiff filed an application for disability insurance benefits
pursuant to Title II of the Social Security Act, 42 U.S.C. §§ 401-403, claiming a period of disability
1
During the pendency of this case, Nancy A. Berryhill replaced Acting Commissioner
Carolyn W. Colvin. Pursuant to Federal Rule of Civil Procedure 25(d), Nancy A. Berryhill is
substituted as the Defendant in this case.
that began on June 1, 2011. [Tr. 1184-87]. After her application was denied initially and upon
reconsideration, the Plaintiff requested a hearing before an ALJ. [Tr. 140-41]. A hearing was held
on October 28, 2014. [Tr. 40-92]. On March 16, 2015, the ALJ found that the Plaintiff was not
disabled. [Tr. 22-32]. The Appeals Council denied the Plaintiff’s request for review [Tr. 1-6],
making the ALJ’s decision the final decision of the Commissioner.
Having exhausted her administrative remedies, the Plaintiff filed a Complaint with this
Court on August 12, 2016, seeking judicial review of the Commissioner’s final decision under
Section 405(g) of the Social Security Act. [Doc. 1]. The parties have filed competing dispositive
motions, and this matter is now ripe for adjudication.
II.
ALJ FINDINGS
The ALJ made the following findings:
1. The claimant meets the insured status requirements of the Social
Security Act through March 31, 2015.
2. The claimant has not engaged in substantial gainful activity since
June 1, 2011, the alleged onset date (20 CFR 404.1571 et seq.).
3. The claimant has the following severe impairments: obesity;
status post gastric bypass surgery; asthma; seizure disorder;
migraine headaches; depressive disorder; anxiety disorder; and
alcohol dependence in sustain remission (20 CFR 404.1520(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 and 404.1526).
5. After careful consideration of the entire record, the undersigned
finds that the claimant has the residual functional capacity to
perform the full range of medium work as defined in 20 CFR
404.1567(c). The claimant can frequently perform all postural
activities. She can understand and remember simple, and one-tothree step instructions. She has the ability to maintain concentration,
persistence, and pace for two-hour periods for those tasks. She can
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interact appropriately with peers and supervisors and can adapt to
routine workplace changes.
6. The claimant is capable of performing all past relevant work.
This work does not require the performance of work-related
activities precluded by the claimant’s residual functional capacity.
(20 CFR 404.1565).
7. The claimant has not been under a disability, as defined in the
Social Security Act, from June 1, 2011, through the date of this
decision (20 CFR 404.1520(f)).
[Tr. 24-32].
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’s decision
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, and
whether the ALJ’s findings are supported by substantial evidence. Blakley v. Comm’r of Soc. Sec.,
581 F.3d 399, 405 (6th Cir. 2009) (citation omitted); Wilson v. Comm’r of Soc. Sec., 378 F.3d 541,
544 (6th Cir. 2004).
Substantial evidence is “more 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.”
Cutlip v. Sec’y of Health & Human Servs., 25 F.3d 284, 286 (6th Cir. 1994) (citations omitted). 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,
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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 the evidence, nor decide questions of
credibility.” Garner v. Heckler, 745 F.2d 383, 387 (6th Cir. 1984) (citation omitted).
On review, the 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) (citation omitted).
IV.
ANALYSIS
“Disability” is the “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 twelve months.”
42 U.S.C. § 423(d)(1)(A); 20 C.F.R. § 404.1505(a). A claimant will only be considered disabled
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. § 423(d)(2)(A); see 20 C.F.R. § 404.1505(a).
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 impairment, claimant is
presumed disabled without further inquiry.
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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).
A claimant’s residual functional capacity (“RFC”) is assessed between steps three and four and is
“based on all the relevant medical and other evidence in your case record.” 20 C.F.R. §
404.1520(a)(4), -(e).
An RFC is the most a claimant can do despite his limitations.
§
404.1545(a)(1).
The claimant 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)).
On appeal, the Plaintiff alleges the ALJ committed several errors. First, the Plaintiff argues
the ALJ erred at step two when he determined that the Plaintiff’s alleged impairment of
fibromyalgia did not constitute a medical determinable impairment. [Doc. 24 at 19-22]. Second,
the Plaintiff contends the ALJ erred at step three because she did not properly consider Listings
11.02 and 11.03. [Id. at 22-23]. Next, the Plaintiff asserts the ALJ’s RFC determination is not
supported by substantial evidence because the ALJ did not adequately consider (1) the opinions of
Licensed Senior Psychological Examiner, Donna Crosswait, M.Ed., and Licensed Clinical Social
Worker, Shannon Dow, (2) the limitations imposed by the Plaintiff’s seizure disorder, or (3) the
Plaintiff’s credibility or the credibility of her sister’s testimony. [Id. at 13-19, 23-25]. Finally, the
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Plaintiff asserts that new evidence exists regarding her seizure disorder, warranting a sentence six
remand pursuant to 42 U.S.C. § 405(g). [Id. at 25-29]. The Court will address each alleged error
in turn.
A.
Step Two
The Plaintiff argues that the ALJ erred in concluding that the Plaintiff’s allegation of
fibromyalgia was not a medically determinable impairment.
At step two, a claimant must demonstrate she has a medically determinable impairment
that “result[s] from anatomical, physiological, or psychological abnormalities that can be shown
by medically acceptable clinical and laboratory diagnostic techniques.” 20 C.F.R. § 404.1521.
Social Security Ruling 12-2p, 2012 WL 3104869, at *1 (July 25, 2012) sets forth the requisite
criteria for diagnosing fibromyalgia as a medical determinable impairment. The ruling provides
two sets of criteria for diagnosing fibromyalgia: the 1990 American College of Rheumatology
(“ACR”) Criteria for the Classification of Fibromyalgia and the 2010 ACR Preliminary Diagnostic
Criteria. Id. at *2. The 1990 ACR Criteria for the Classification of Fibromyalgia requires: (1) a
history of widespread pain in all four quadrants of the body persisting for at least three months, (2)
a minimum of 11 positive tender points (bilaterally and above and below the waist) on
examination, and (3) evidence excluding other potential disorders. Id. The 2010 ACR Preliminary
Diagnostic Criteria requires: (1) a history of widespread pain, (2) repeated manifestation of six or
more fibromyalgia symptoms, and (3) evidence excluding other potential disorders. Id.
In the disability determination, the ALJ acknowledged the Plaintiff’s testimony in which
she alleged she had fibromyalgia that caused pain and problems with lifting and postural
movements. [Tr. 25]. Rheumatologist Aqueel Kouser, M.D., treated the Plaintiff on February 20
and May 8, 2013. [Tr. 801-840]. The ALJ found that Dr. Kouser made an equivocal diagnosis of
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fibromyalgia because while his treatment notes indicated a diagnosis of fibromyalgia, there were
no examination findings that met the diagnostic criteria enumerated in Social Security Ruling 122p. [Tr. 25, 802]. Specifically, Dr. Kouser did not indicate whether any “tender point testing”
was done or the results. [Tr. 25, 806, 814]. When the Plaintiff returned for her follow-up visit on
May 8, 2013, Dr. Kouser noted that the Plaintiff continued to have joint pain to some degree, but
“overall, she has done reasonably well.” [Tr. 808]. The ALJ also found the Plaintiff’s testimony
regarding pain in her hips and legs did not demonstrate the existence of pain in all four quadrants
of the body. [Tr. 25]. Finally, the ALJ observed that despite consultative examiner, Jeffrey Uzzle,
M.D., diagnosing the Plaintiff with fibromyalgia, Dr. Uzzle was not a specialist or a treating
source, he examined the Plaintiff on one occasion, and he appeared to make his findings on the
basis of the Plaintiff’s subjective responses. [Tr. 25, 758].
The Plaintiff concedes that Dr. Kouser’s treatment notes alone are inadequate to satisfy the
criteria set forth in Social Security Ruling 12-2p but argues that the record as a whole fills the gaps
in Dr. Kouser’s treatment notes. [Doc. 24 at 20-21]. The Plaintiff cites to Dr. Uzzle’s examination,
in which the Plaintiff was positive for 16 of 18 fibromyalgia trigger points, and an examination
performed by treating neurologist, Mohammad Hussain, M.D., who likewise noted specific tender
points in various regions of the Plaintiff’s body. [Id. at 21 (citing Tr. 758, 1349)]. The Court finds,
however, that neither examination provides sufficient documentation that the Plaintiff had a history
of widespread pain that has persisted for at least three months as required by the 1990 ACR Criteria
for the Classification of Fibromyalgia. [Tr. 757-59, 1349]. Moreover, the Plaintiff does not set
forth evidence of repeated manifestation of six or more fibromyalgia symptoms for purposes of
the 2010 ACR Preliminary Diagnostic Criteria. [Id.]. Therefore, reviewing at the records as a
whole, the evidence still falls short of satisfying Social Security Ruling 12-2p.
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The Plaintiff argues that pursuant to 20 C.F.R. § 404.1520b(c) the ALJ had a duty to
recontact Dr. Kouser for clarification since Dr. Kouser did not document the location or number
of trigger points on examination. Section 404.1520b(c) states that if the evidence is inconsistent
or insufficient to make a disability determination, certain steps “may” be taken to resolve the
matter, including recontacting the claimant’s treating physician. The regulation’s suggestion is
discretionary, not mandatory. See Boshers v. Comm’r of Soc. Sec., No. 1:16-CV-922, 2017 WL
2838236, at *7 (W.D. Mich. July 3, 2017) (holding that 20 C.F.R. § 404.1520b(c)(1) clarifies “that
the Commissioner has ‘discretion, not a duty, to re-contact a medical source.’”) (quoting Jones v.
Colvin, No. 2:12–cv–3605, 2014 WL 1046003, at *11 (N.D. Ala. March 14, 2014)). The Court
finds the lack of support for Dr. Kouser’s diagnosis within his own treatment notes and
examination findings did not trigger a duty on the ALJ’s part to recontact Dr. Kouser. Moreover,
the Plaintiff’s argument ignores that fact that other requisite criteria, such as a history of
widespread pain that has persisted for at least three months or repeated manifestation of six or
more fibromyalgia symptoms, is still lacking. Therefore, the Court finds the Plaintiff’s assignment
of error at step two is without merit.
B.
Step Three
The Plaintiff asserts that the ALJ failed to consider Listing 11.02 and 11.03 at step three in
assessing the Plaintiff’s seizure disorder.
At step three of the sequential evaluation, a claimant may establish disability by
demonstrating that her medical determinable impairment is of such severity that it meets, or
medically equals, one of the listings within the “Listing of Impairments” codified in 20 C.F.R.,
Part 404, Subpart P, Appendix 1. Walters, 127 F.3d at 529; Foster v. Halter, 279 F.3d 348, 352
(6th Cir. 2001). Each listing specifies “the objective medical and other findings needed to satisfy
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the criteria of that listing.” 20 C.F.R. §416.925(c). Only when an impairment satisfies all of the
listing’s criteria will the impairment be found to meet a listing. Id.
Under Listing 11.02 Epilepsy—convulsive epilepsy, (grand mal or psychomotor), seizures
must be “documented by detailed description of a typical seizure pattern, including all associated
phenomena.” 20 C.F.R. Pt. 404, Subpt. P, App. 1, 11.02. Moreover, seizures must occur more
than once a month and “in spite of at least 3 months of prescribed treatment . . . .” Id. A claimant
must also meet the paragraph A criteria, which describes daytime episodes as “loss of
consciousness and convulsive seizures,” or the paragraph B criteria, which describes “[n]octurnal
episodes manifesting residuals which interfere significantly with activity during the day.” Id.
As to Listing 11.03 Epilepsy—nonconvulsive epilepsy (petit mal, psychomotor, or focal),
seizures must be “documented by detailed description of a typical seizure pattern, including all
associated phenomena; occurring more frequently than once weekly in spite of at least 3 months
of prescribed treatment.” Id. at 11.03. To satisfy 11.03, seizures should include “alteration of
awareness or loss of consciousness and transient postictal manifestations of unconventional
behavior or significant interference with activity during the day.” Id.
With regard to both Listing 11.02 and 11.03, the “degree of impairment will be determined
according to type, frequency, duration, and sequelae of seizures . . . Testimony of persons other
than the claimant is essential for description of type and frequency of seizures if professional
observation is not available.” Id. at 11.00(A).
At step three, the ALJ did not mention Listing 11.02 or 11.03 by name, instead finding that
the Plaintiff did “not have the gravity of symptoms or medical documentation in order to establish
an impairment of listing level severity.” [Tr. 27].
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Arguing that she satisfies Listings 11.02 and 11.03, the Plaintiff cites to an abnormal EEG
conducted by Dr. Hussain which revealed “abnormal sharp spike consistent with epileptic form
activity.” [Doc. 24 at 23 (citing Tr. 1349)]. The Plaintiff further argues that her allegations of
seizure-related symptoms, including complaints of decreased memory, zoning out, staring into
space, feeling disoriented, and headaches, satisfy the “alteration of awareness” and “significant
interference with activity during the day” criteria required by Listing 11.03. [Id.].
The Court finds that the Plaintiff has not met her step three burden. The medical evidence,
including the specific evidence cited by the Plaintiff, fails to satisfy the listings’ frequency
requirement.
As to Listing 11.02, the Plaintiff has not demonstrated that she experienced
convulsive epilepsy more frequently than once a month “in spite of at least 3 months of prescribed
treatment.” See 20 C.F.R. Pt. 404, Subpt. P, App. 1, 11.02. Treatment notes also generally lack a
detailed description of all associated phenomena.
See id.
Furthermore, while the listing
encompasses grand mal or psychomotor seizures, the Plaintiff testified she has only experienced
three grand mal seizures since the onset of her seizure disorder a year ago. [Tr. 44]. Likewise,
treatment records do not document nonconvulsive epilepsy occurring “more frequently than once
weekly in spite of at least 3 months of prescribed treatment” for purposes of Listing 11.03. See 20
C.F.R. Pt. 404, Subpt. P, App. 1, 11.03. Although Dr. Hussain’s treatment notes certainly
document seizure activity, they do not consistently document the type or frequency of seizure
occurrences in order to satisfy either listing.
The only other evidence presented of the Plaintiff’s seizure disorder is the testimony of the
Plaintiff’s sister. [Tr. 65-66]. Her testimony, however, does not provide the requisite proof that
the Plaintiff meets or equals Listing 11.02 or 11.03. As discussed more fully below, the ALJ did
not find the sister’s testimony credible and substantial evidence supports the ALJ’s conclusion.
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Therefore, the Court finds the Plaintiff has not met her burden in demonstrating that she meets or
equals Listing 11.02 or 11.03.
C.
RFC
The Plaintiff argues that the ALJ’s RFC determination is not supported by substantial
evidence because the ALJ did not properly consider (1) the opinions of Licensed Senior
Psychological Examiner, Donna Crosswait, M.Ed., and Licensed Clinical Social Worker, Shannon
Dow, (2) the limitations imposed by the Plaintiff’s seizure disorder, or (3) the Plaintiff’s credibility
or the credibility of her sister’s testimony.
1.
Medical Opinions
a. Licensed Senior Psychological Examiner, Donna Crosswait,
M.Ed.
Ms. Crosswait completed a psychological evaluation after conducting evaluations of the
Plaintiff on April 23 and 29, 2013. [Tr. 765-70]. The Plaintiff was referred to Ms. Crosswait “for
the purpose of assessing her current psychoemotional status and affecting differently diagnostic
impressions. . . .” [Tr. 765]. Based on various diagnostic testing and clinical interviews, Ms.
Crosswait diagnosed the Plaintiff with the following: Major Depressive Disorder, Recurrent,
Moderate; Rule Out Schizoaffective Disorder; Social Phobia, Generalized; Panic Disorder with
Agoraphobia; and Avoidant Personality Disorder, with Paranoid, Schizoid, and Borderline
Personality Traits. [Tr. 770].
Ms. Crosswait concluded that the Plaintiff has a history of anger and aggression, which
was currently under control with medication. [Tr. 769]. In addition, the Plaintiff experienced a
great deal of anxiety, causing her to avoid having relationships with others. [Tr. 770]. The Plaintiff
was noted to suffer from panic attacks once to twice a week, causing her to avoid going out in
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public due to fear of being humiliated or judged by others. [Id.]. Treatment recommendations
included individual and group therapy, steps to improve social skills and desensitization of
phobias, relaxation exercises and coping techniques to address panic attacks, psychiatric
medication management, and a psychiatrist assessment to determine whether the Plaintiff’s
suspiciousness and paranoia is delusional in nature or attributed to simple social phobia. [Id.].
In the disability determination, the ALJ gave little weigh to Ms. Crosswait’s opinion on the
basis that she was not an acceptable medical source or a treating source, her opinion was not
consistent with treatment notes from the Plaintiff’s mental health treatment provider, and her
opinion was based on a one-time evaluation of the Plaintiff. [Tr. 30].
The Plaintiff maintains that the ALJ erroneously concluded that Ms. Crosswait was not an
acceptable medical source. [Doc. 24 at 14]. The Plaintiff relies on the Commissioner’s Program
Operations Manual (“POMS”) for the proposition that senior psychological examiners are
considered acceptable medical sources. [Id.]. The Plaintiff also contends that she was evaluated
by Ms. Crosswait on two occasions, rather than once as asserted by the ALJ, and further suggests
that Ms. Crosswait is a treating source subject to the “good reason” requirement enumerated in 20
C.F.R. § 404.1527(c)(2). [Id. at 14-15]. Finally, the Plaintiff submits that the ALJ did not specify
which treatment notes are inconsistent with Ms. Crosswait’s opinion. [Id. at 15].
As an initial point, the Court considers the classification of Ms. Crosswait as a medical
source which in turn determines the level of deference her opinion deserves. See Gayheart v.
Comm’r of Soc. Sec., 710 F.3d 365, 376 (6th Cir. 2013) (“The source of the opinion therefore
dictates the process by which the Commissioner accords it weight.”). Generally, an opinion from
an examining source is entitled to more weight than an opinion for a nonexamining source, and an
opinion from a treating source (a source who regularly treats a claimant) is entitled to more weight
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than either a nontreating, examining source or a nontreating, nonexamining source due to the
nature of the ongoing treating relationship with the claimant.
20 C.F.R. §§ 404.1502,
404.1527(c)(1)-(2). Moreover, only opinions offered from “acceptable medical sources,” that is,
in relevant part, licensed physicians and licensed or certified psychologists, may offer evidence to
establish a medical determinable impairment. § 404.1513(a)(1)-(2). “Other sources,” which
include medical sources who do not qualify as acceptable medical sources, may only offer
evidence as to the severity of a claimant’s impairment. § 404.1513(d)(1).
The Court finds that Ms. Crosswait is a nontreating, examining source who qualifies as an
other source under the regulations. In reaching this conclusion, the Court observes that Ms.
Crosswait examined the Plaintiff on two occasions for the limited purpose of assessing the
Plaintiff’s current psychoemotional status and offering a diagnostic impression.
[Tr. 765].
Although the ALJ incorrectly noted that Ms. Crosswait had only seen the Plaintiff on one occasion,
the mistake is inconsequential to the determination of Ms. Crosswait’s medical source status.
Nothing within Ms. Crosswait’s evaluation suggests that the Plaintiff intended to establish a
treating relationship or return for further treatment.
Furthermore, Ms. Crosswait qualifies as an other source because she is not a licensed or
certified psychologist. The Court finds the Plaintiff’s reliance on the POMS misplaced. A
psychologist is an acceptable medical source if the evidence documents that the individual is a
“[l]icensed or certified psychologists at the independent practice level” or a “[s]chool
psychologists, or other licensed or certified individuals with other titles who perform the same
function as a school psychologist in a school setting.”
POMS, DI 22505.003,
https://secure.ssa.gov/apps10/poms.nsf/lnx/0422505003#a (last updated March 24, 2017); see 20
C.F.R. § 404.1513(a)(2) (stating the same). In Tennessee, senior psychological examiners may be
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considered acceptable medical sources if they “perform the same function as school psychologists
in a school setting.”
POMS, DI 22505.04(A)(2)(b), https://secure.ssa.gov/apps10/poms.
nsf/lnx/0422505004 (last updated April 4, 2017). Here, there is no evidence to suggest that Ms.
Crosswait, who holds a Master’s in Education, is a licensed or certified psychologist, a school
psychologist, or someone who performs the same functions as a school psychologist in a school
setting. The Court also observes that the Sixth Circuit Court of appeals and other courts in this
circuit have recognized that a Master’s in Education does not meet the criteria of an “acceptable
medical source.” See Covucci v. Apfel, 31 F. App’x 909, 913 (6th Cir. 2002) (recognizing that a
licensed personal counsel with the credentials of a Master’s in Education constitutes “other source”
evidence); Witnik v. Colvin, No. 14-CV-00257, 2015 WL 691329, at *8 (N.D. Ohio Feb. 18, 2015)
(“It does not appear to be contested that Mr. Lee[, M.Ed.,] does not constitute an ‘acceptable
medical source’ under the regulations.”); McBride v. Astrue, No. CIV.A. 12-20-JBC, 2012 WL
2880733, at *2 (E.D. Ky. July 13, 2012) (agreeing with the ALJ that a therapist with a Master’s in
Education “was not an acceptable medical source”).
Accordingly, the Court finds Ms. Crosswait was not due treating source deference. An
“opinion of a ‘non-acceptable medical source’ is not entitled to any particular weight or
deference—the ALJ has discretion to assign it any weight he feels appropriate based on the
evidence of record.” Noto v. Comm’r of Soc. Sec., 632 F. App’x 243, 248-49 (6th Cir. 2015)
(recognizing that a physical therapist was a “non-acceptable medical source” and therefore “the
ALJ was not required to give her opinion any particular weight.”) (citations omitted). Nonetheless,
the ALJ must consider an other source opinion and should generally explain the weight given to
the opinion. Soc. Sec. Rul. 06-03p, 2006 WL 2329939, *6 (Aug. 9, 2006).
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Turning to the remainder of the Plaintiff’s allegation—that the ALJ did not specify which
treatment notes are inconsistent with Ms. Crosswait’s opinion—the Court observes that the ALJ
discussed treatment records from Helen Ross McNabb Center, the Plaintiff’s primary mental
health provider, as the medical evidence at odds with Ms. Crosswait’s opinion. In this regard, the
ALJ found that the Plaintiff experienced improvement in her symptoms beginning in 2014. For
example, in May 2014, the Plaintiff indicated that she was doing better after children who had
been staying in her home went to live at an aunt’s house. [Tr. 29, 958]. In June 2014, “bipolar
disorder, not otherwise specified” was removed as a diagnosis, but replaced with major depressive
disorder and generalized anxiety disorder. [Tr. 29, 1100]. The following month, however, the
Plaintiff denied having any depressive symptoms or mood swings. [Tr. 29, 1091]. The ALJ further
observed that treatment notes from July 31, 2014 forward indicated that the Plaintiff’s anxiety
resolved, noting that the Plaintiff’s anxiety occurred episodically and mostly when she sat at home
with nothing to do. [Tr. 29, 1080, 1091]. In addition, treatment notes generally indicated that the
Plaintiff exhibited normal dress and behavior, appropriate thought process, affect, and mood, and
the Plaintiff reported sleeping restfully for seven to eight hours each night. [Tr. 29, 1088-1103].
Finally, the ALJ noted the most recent treatment notes—specifically, treatment notes from July,
August, and September 2014—assessed the Plaintiff with mild functional limitations in daily
living activities, social interactions, and ability to concentrate, persist, and keep pace. [Tr. 29,
1084, 1088, 1094, 1098].
The Plaintiff objects to the existence of any specific treatment note that documents the
Plaintiff’s anxiety had “resolved” as found by the ALJ. [Doc. 24 at 15]. The Court observes that
while the treatment notes do not appear to use the word resolve, they do relay the Plaintiff’s report
that she had “[a] little bit of anxiety but nothing [she] can’t handle,” “mild” episodic anxiety related
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to “family drama” or instances when the Plaintiff was home alone and bored, and mild functional
limitations. [Tr. 1080, 1084, 1088, 1091, 1094, 1098]. Accordingly, the Court finds that the ALJ’s
conclusion that the Plaintiff’s anxiety had resolved was a reasonably interpretation of the medical
evidence which also undermines the supportability of Ms. Crosswait’s opinion. See Brandon v.
Astrue, No. 1:09CV00857, 2010 WL 1444639, at *8 (N.D. Ohio Jan. 27, 2010) (“This Court does
not conduct a de novo review and cannot remand a matter simply because it might have interpreted
the evidence of record differently than the ALJ.”), adopted by, No. 1:09CV857, 2010 WL
1444636, at *1 (N.D. Ohio Apr. 12, 2010). Therefore, the Plaintiff’s allegation of error as to Ms.
Crosswait is not well-taken.
b. Licensed Clinical Social Worker, Shannon Dow
Ms. Dow, the Plaintiff’s treating therapist at Helen Ross McNabb Center, completed a
“Medical Source Statement of Ability To Do Work-Related Activities (Mental)” on October 9,
2014.
[Tr. 954-56].
Therein, Ms. Dow opined that the Plaintiff had a slight limitation
understanding and remembering short, simple instructions, moderate limitations carrying out
short, simple instructions, and marked limitations understanding, remembering, and carrying out
detailed instructions and making judgments on simple work-related decisions. [Tr. 954]. Ms.
Dow also assessed marked limitations interacting with the public, co-workers, and supervisors,
and responding appropriately to changes in a routine work setting. [Tr. 955]. Ms. Dow further
opined that the Plaintiff was extremely limited in her ability to respond appropriately to work
pressures in a usual work setting. [Id.]. Finally, Ms. Dow opined that the Plaintiff had marked
limitations keeping up with daily living requirements such as housekeeping. [Id.].
The ALJ concluded that Ms. Dow was not an acceptable medical source and could
therefore not be considered a treating source as defined by the regulations. [Tr. 30]. The ALJ
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moreover concluded that the Plaintiff’s daily living activities and mental health treatment records,
including those from Ms. Dow, did not support the marked and severe limitations she assessed.
[Id. (citing Tr. 1084)]. The ALJ accordingly assigned “little weight” to Ms. Dow’s opinion. [Id.].
The ALJ proceeded to then give “great weight” to “the totality of the mental health provider
treating source notes and reports,” explaining that on August 28, 2014, the Plaintiff was reported
to only have mild limitations in activities of daily living, concentration, persistence, and pace, and
adaption. [Id. (citing Exhibit 25F)].
The Plaintiff concedes that Ms. Dow is not an acceptable medical source but argues that
Ms. Dow’s opinion was entitled to greater deference. [Doc. 24 at 16-18]. The Plaintiff argues that
the ALJ failed to consider the number of therapy sessions Ms. Dow conducted over a three year
period and also ignored the consistency and supportability of her opinion with other record
evidence. [Id. at 18]. The Plaintiff complains that in finding Ms. Dow’s opinion inconsistent with
mental health treatment records, the ALJ only relied on the August 28, 2014 treatment note which
provided a snapshot evaluation of the Plaintiff’s functioning. [Id. at 18]. Moreover, the Plaintiff
maintains the ALJ failed to clarify which “mental health provider treating source notes and reports”
received great weight from the ALJ. [Id. at 18-19].
The Court concludes that the ALJ did not err. First, the Court finds the ALJ properly
observed that Ms. Dow was not an acceptable medical source and cannot be considered a treating
source but did not reject her opinion on that basis alone. See Payne v. Comm’r of Soc. Sec., 402
F. App’x 109, 119 (6th Cir. 2010) (holding that “social workers are not acceptable medical
sources”). Second, and instead, the ALJ relied on treatment records from Helen Ross McNabb
Center in support of her conclusion that the marked limitations assessed by Ms. Dow were
unsupported. [Tr. 29]. Although the Plaintiff argues that the ALJ did not properly consider the
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nature and extent of the Plaintiff’s treating relationship with Ms. Dow, the ALJ’s decision makes
clear that she considered the entirety of the Plaintiff’s treatment health records from Helen Ross
McNabb Center, which encompasses Ms. Dow’s treatment notes. The regulations charge the ALJ
to consider all relevant evidence in the record, see 20 C.F.R. § 404.1520b, but the requirement
does not equate to a command that the ALJ comment on all the evidence, see Boseley v. Comm’r
of Soc. Sec., 397 F. App’x 195, 199 (6th Cir. 2010) (“Neither the ALJ nor the Council is required
to discuss each piece of data in its opinion, so long as they consider the evidence as a whole and
reach a reasoned conclusion.”). For this same reason, the ALJ’s makes clear that her reference to
“the totality of the mental health provider treating source notes and reports” were the treatment
records from Helen Ross McNabb Center which received great weight.
While the ALJ did cite to Ms. Dow’s August 28, 2014 treatment note to support the
conclusion that the mild mental limitations assessed therein contradicted Ms. Dow’s marked
limitations, the Court observes that the majority of Ms. Dow’s treatment notes from 2011 through
2014 opine similar limitations in that the Plaintiff’s activities of daily living, interpersonal
functioning, concentration, task performance, and pace, and adaption to change were consistently
rated as mild and moderate at worse. [Tr. 339, 349, 375, 408-09, 650, 779, 791, 963, 1324]. Even
when the Plaintiff was noted to have an anxious effect, depressed mood, or related her fear of being
in public, Ms. Dow did not opine limitations beyond moderate. [Id.]. Therefore, the ALJ’s citation
to Ms. Dow’s August 28, 2014 treatment note was reflective of Ms. Dow’s findings made
throughout her treatment with the Plaintiff and do not represent an isolated account of the
Plaintiff’s perceived level of functioning. Accordingly, the Court finds Ms. Dow’s opinion was
properly considered by the ALJ and allegations to the contrary are not well-taken.
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2.
Seizure Imposed Limitations
The Plaintiff maintains that the ALJ erred by failing to include any seizure-related
limitations in the RFC, such as restrictions against heights or exposure to sharp objections or
moving machinery, despite having found the disorder a severe impairment. [Doc. 24 at 22]. The
Plaintiff cites to a treatment note by Dr. Kabbani that documents the Plaintiff’s complaints of
decreased memory, zoning out, staring into space, disorientation, and headaches, as evidence that
the Plaintiff’s seizure disorder causes disabling limitations. [Doc. 24 at 23 (citing Tr. 844)].
The ALJ found the Plaintiff’s reported symptoms “do not describe disabling limitations;
nor did Dr. Kabbani indicate so.” [Tr. 28]. The ALJ observed that no further medical evidence of
treatment for seizures was contained in the record beyond Dr. Kabbani treating the Plaintiff with
samples of the drug Vimpat. [Id.]. Accordingly, the ALJ did not assess any seizure-related
limitations within the Plaintiff’s RFC.
The Court observes that although the ALJ found the Plaintiff’s seizure disorder a severe
impairment, the ALJ was not required to assess specific functional limitations in turn. See Higgs
v. Brown, 880 F.2d 860, 863 (6th Cir. 1988) (observing that a diagnosis alone says nothing about
the severity of a condition). Furthermore, the ALJ was not required to accept the Plaintiff’s
subjective allegations alone as evidence that her condition required work-related limitations.
Although not cited by the Plaintiff, the record does contain an August 5, 2014 seizure letter by Dr.
Kabbani that explains certain precautions the Plaintiff should take and further identifies symptoms
and situations which may exacerbate seizure activity. [Tr. 845]. The Court notes, however, that
the letter appears to be a form letter given to all seizure patients despite the Plaintiff’s name
handwritten on the top of the letter and the bottom of the letter bearing the Plaintiff’s and Dr.
Kabbani’s signatures. For example, the letter states, “There are certain precautions which must be
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noted for seizure patients.” [Tr. 846]. It continues, “We do not recommend patients work around
fires (i.e. grills, torches), sharp objects (i.e. knives, meat-slicers), heights (i.e. climbing ladders,
roofing) or stressful situations (when possible.)” [Id.]. The letter’s use of the term “patients”
appears to suggest that the letter does not supply findings uniquely related to the Plaintiff’s
treatment or condition. The letter further cautions to avoid driving unless seizure-free for more
than six months. [Id.].
Nevertheless, the Court finds that the letter does provide some evidence that the Plaintiff’s
seizure disorder may impose limitations beyond those incorporated into her RFC. At a minimum,
the letter contradicts the ALJ’s conclusion that Dr. Kabbani did not render any disabling limitations
which in turn suggests that the ALJ was either unaware of the letter or disregarded it without
explanation. While the ALJ is not obligated to include all, or even some, of the limitations
discussed in the letter, the ALJ’s decision must at least provide a reasoned explanation why none
of these seizure-related limitations were incorporated into the Plaintiff’s RFC, particularly where
the ALJ concluded that Dr. Kabbani did not render any restrictions. See Universal Camera Corp.
v. N.L.R.B., 340 U.S. 474, 488 (1951) (“[S]ubstantiality of evidence must take into account
whatever in the record fairly detracts from its weight.”). Accordingly, the Court will remand the
case for reconsideration of Dr. Kabbani’s letter and to determine whether the Plaintiff’s RFC
warrants additional limitations based on the Plaintiff’s seizure disorder.
3.
Credibility
The Plaintiff alleges the ALJ did not properly assesses the Plaintiff’s credibility or the
credibility of the Plaintiff’s sister who offered testimony during the hearing.
In evaluating complaints of pain, an ALJ may properly consider the credibility of the
claimant.” Walters, 127 F.3d at 531. “[D]iscounting credibility to a certain degree is appropriate
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where an ALJ finds contradictions among the medical reports, claimant’s testimony, and other
evidence.” Id. The ALJ’s finding 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. Nonetheless, the ALJ’s “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 weight the adjudicator gave to
the individual’s statements and the reasons for that weight.” Soc. Sec. Rul. 96-7p, 1996 WL
374186, at *2 (July 2, 1996).
As to the credibility of the Plaintiff, the ALJ found the Plaintiff’s allegations less than fully
credible for two reasons. First, the ALJ found that the Plaintiff had “a poor work history, which
raises a question as to whether her continuing unemployment is actually due to medical
impairments.” [Tr. 28]. Second, the ALJ observed that the Plaintiff worked as a childcare worker
and babysitter through the State of Tennessee during part of the period she alleges she was
disabled. [Id.]. The ALJ concluded that the Plaintiff was “not physically disabled or mentally
disabled because the State of Tennessee put her in charge of caring for children.” [Id.].
The Plaintiff argues that substantial evidence does not support a finding that the Plaintiff
had a “poor work history” because the record reflects that the Plaintiff was employed for the
majority of time from 2000 to 2011, and the Plaintiff was able to accumulate four quarters of
coverage every year except 2007 and 2009. [Doc. 24 at 24 (citing Tr. 195)]. As to the Plaintiff’s
job as a childcare worker, the Plaintiff argues that there is no indication the state was aware of the
Plaintiff’s condition, and the job was also an “unsuccessful work attempt” under the regulations
because she only worked for three months and had to quit due to her impairments. [Id. at 24-25
(citing Tr. 207)].
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The Court observes that a claimant’s work history is an appropriate factor that may be
weighed in assessing credibility. See 20 C.F.R. § 404.1529(c)(3) (explaining that in evaluating
the intensity and persistency of symptoms, evidence about a claimant’s prior work may be
considered). While a poor work history may support an adverse credibility finding, it may just as
easily demonstrate an inability to work rather than an unwillingness. Schaal v. Apfel, 134 F.3d
496, 502 (2d Cir. 1998). “Therefore, a consideration of work history must be undertaken with
great care.” Id. Here, it is unclear why the ALJ concluded the Plaintiff had a poor work history.
As argued by the Plaintiff, she worked a majority of the time beginning in 2000 until her alleged
onset date in 2011. [Tr. 291-92]. Although she may not have earned a significant income, her
consistent work history led her to accumulate four quarters of coverage almost every year she was
employed.
The Court finds that ALJ’s second reason is also unsupported by substantial evidence. The
ALJ found that the Plaintiff’s ability to work for the state as a childcare worker presented
“compelling evidence that [Plaintiff] is not physical disabled or mentally disabled.” [Tr. 28]. The
ALJ failed to mention, however, that the Plaintiff performed the job less than three months and
quit due to her impairments. [Tr. 205-06]. Given the brief period of time the Plaintiff worked and
her reason for quitting, along with the ALJ’s unsubstantiated finding that the Plaintiff has a poor
work history, the Court is unable to conclude that substantial evidence supports the ALJ’s
credibility determination. Accordingly, the Court will remand the case on this basis as well.
Finally, with regard to the testimony of the Plaintiff’s sister, Melissa Johnson, Ms. Johnson
testified about the Plaintiff’s impairments, including the Plaintiff’s seizure disorder and
depression. [Tr. 65-67]. She explained that she is familiar with the Plaintiff’s condition because
she is at the Plaintiff’s home every day for three to five hours and keeps her sister company. [Tr.
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66]. Ms. Johnson also related that she cares for several minor children and grandchildren and
receives disability benefits for a seizure disorder. [Tr. 69-70]. She testified that she has four to
five grand mal seizures a week and has to lay in bed following a seizure. [Tr. 71-72]. The ALJ
questioned the credibility of Ms. Johnson’s testimony, finding it “hard to believe” that Ms. Johnson
could drive, care for numerous children, and still be at her sister’s house daily given her seizure
activity. [Tr. 29].
The Plaintiff argues that there is nothing in the record to support the ALJ’s rejection of Ms.
Johnson’s testimony. [Doc. 24 at 25]. The Court finds that the ALJ could reasonably conclude
that Ms. Johnson’s testimony was incredible. See Masters v. Comm’r of Soc. Sec., No. 17-5561,
2017 WL 5508536, at *5 (6th Cir. Nov. 17, 2017) (“As to the lay testimony, an ALJ may discount
subjective assertions about the extent of a claimant’s symptoms by giving “specific reasons . . .
supported by the evidence in the case record.”) (quoting Soc. Sec. Rul. 96-7p, 1996 WL 374186,
at *4 (July 2, 1996)). Because Ms. Johnson testified she has four to five grand mal seizures a week
which cause her to bedridden, and she is responsible for the care of multiple minor children, the
Court finds that the ALJ could reasonably conclude that Ms. Johnson testimony was not entirely
credible. Moreover, the Court notes inconsistencies in Ms. Johnson’s testimony concerning her
ability to drive. She initially testified she drives the Plaintiff anywhere she needs to go, then
testified she does not drive unless she is seizure free for at least six months, and then relayed she
does drive. [Tr. 67-68]. Given this inconsistency in addition to her reported seizure activity and
childcare responsibilities, the Court finds that substantial evidence supports the ALJ’s finding
regarding Ms. Johnson’s testimony.
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D.
Sentence Six Remand
As a final matter, the Plaintiff argues that new evidence exists regarding her seizure
disorder that supports a sentence six remand pursuant to 42 U.S.C. § 405(g). [Doc. 24 at 25-29].
Attached to the Plaintiff’s brief are treatment notes from Francisco Moreno, M.D., who performed
a VNS implant on the Plaintiff in 2016. [Doc. 24-1]. The Court finds that it need not reach the
merits of this issue. Because the Court has determined that a remand is appropriate, in part, to
reassess whether the Plaintiff’s seizure disorder warrants additional functional limitation, the ALJ
may consider all necessary and relevant evidence on remand.
V.
CONCLUSION
Based on the foregoing, the Plaintiff’s Motion for Summary Judgment [Doc. 27] will be
GRANTED IN PART AND DENIED IN PART and the Commissioner’s Motion for Summary
Judgment [Doc. 23] will be GRANTED IN PART AND DENIED IN PART. This case will be
REMANDED to the SSA with instructions that the ALJ (1) reconsider Dr. Kabbani’s seizure letter
and determine whether the Plaintiff’s RFC requires specific seizure-related limitations, and (2)
reassess the Plaintiff’s credibility.
ORDER ACCORDINGLY.
s/ C. Clifford Shirley, Jr.
United States Magistrate Judge
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