SAIF Corp. v. Owens
In the Matter of the Compensation of Floyd A. Owens, Claimant. SAIF CORPORATION and Swanson Group Mfg LLG, Petitioners, v. Floyd A. OWENS, Respondent
Attorneys
Workersâ Compensation Board, Julie Masters argued the cause for petitioners. On the briefs was Julene M. Quinn., Christine Jensen argued the cause for respondent. With her on the brief was Malagon, Moore & Jensen.
Full Opinion (html_with_citations)
The primary question in this workersâ compensation case is whether claimantâs physician released him to regular work at the job that he held at the time of injury. The answer to that question determines whether claimant is entitled to benefits for âwork disabilityâ based on consideration of social, vocational, and adaptability factors. See ORS 656.726(4)(f)(E); OAR 436-035-0008(2)(b); SAIF v. VanBibber, 234 Or App 68, 71, 227 P3d 1224 (2010) (award of permanent partial disability to a worker who has not been released to regular work includes benefits for work disability). The board held that claimant had not been released to regular work at the job at injury and that he was therefore entitled to benefits for work disability, and SAIF petitions for judicial review. 1 SAIF also challenges the boardâs determination that, in evaluating claimantâs level of impairment, it could not consider two medical reports submitted by employer in support of the attending physicianâs impairment findings. We conclude that the board did not err in excluding the disputed evidence and that the boardâs order is supported by substantial evidence; accordingly, we affirm.
The facts are largely undisputed. Claimant was first injured at work in 2002. At that time, claimant was working at employerâs mill, âpulling green chain.â Employer accepted a claim for disabling cervical and thoracic strain and a fracture at Tl. The claim was closed in January 2003, with an award of two percent unscheduled permanent partial disability for the thoracic spine.
In April 2003, employer accepted an aggravation claim for the cervical and thoracic strain conditions. In 2004, employer terminated claimantâs employment for reasons unrelated to his injury, and claimant began working as a carpenter.
In May 2005, employer modified its notice of acceptance to include, as a new or omitted medical condition, a disc bulge at C6-7; in July 2006, claimant had a discectomy and fusions at C5-6 and C6-7 to address that condition.
*405 In August 2007, employer accepted pseudoarthrosis as a new or omitted condition, and claimant had surgery to address that condition in September 2007.
In April 2008, claimantâs surgeon, Dr. Gallo, declared claimant to be medically stationary. Gallo described claimantâs âjob-at-injuryâ as âjourneyman carpenterâ and released him to regular work. Claimantâs care then shifted to Dr. Weller, his attending physician, who examined claimant on May 9,2008, and concluded that he could return to his regular work.
On June 12, 2008, employer corresponded with Weller, noting that Weller had reported different cervical ranges of motion than had Gallo. Employer asked Weller to âclarify [claimantâs] medically stationary status, release for regular work date and which [range of motion] findings are valid and should be used for the purpose of rating his disability. Please note that information below.â On July 13,2008, in the space provided, Weller wrote: âPt did have o ROM on my eval. At this time I am treating this as a waxing + waning of symptoms, but am concerned that this may indeed be an aggravation that has evolved since the closing evaluation/ PCE[.]â Employer further asked Weller: â[W]ith regard to his release to work status, [claimant] was pulling Greenchain when he was injured. We need to confirm that âregular releaseâ means he could return to his job at injury. Dr. Gallo released him to lift over 100 [pounds]. Do you agree?â In the space provided, Weller wrote: âYes â as I have not determined that there has been an aggravation to his injury yet, he continues to be released to regular work.â
Based on Galloâs and Wellerâs reports, employer closed the claim for aggravation and new or omitted medical conditions, with a total award of 28 percent unscheduled permanent partial disability for the cervical and thoracic spine.
Claimant requested reconsideration of the notice of closure, and Dr. Melson, a neurologist, was appointed as a medical arbiter. Melson examined claimant on September 29, 2008, and noted a marked increase in claimantâs symptoms since claimant had been released for work by Gallo *406 in April 2008. Melson noted reduced ranges of cervical and thoracic motion, significant limitations in repetitive use of the cervical and thoracic spine, weakness and reduced digital dexterity in the left upper extremity, and weakness and altered gait in the left lower extremity. In Melsonâs view, claimantâs symptoms indicated spinal cord involvement, and Melson opined that claimantâs fusion had failed. Melson said that claimant should be restricted to sedentary work and that he was precluded from stooping, climbing, crouching, balancing, crawling, reaching, kneeling, twisting, and pushing/pulling.
The Appellate Review Unit (ARU) described Melsonâs report as thorough and persuasive and concluded that a preponderance of the medical evidence did not establish a different level of impairment. 2 The ARU determined that claimant was eligible for work disability because he had not been released for work for his job at injury â pulling green chainâ but rather had been released for work as a carpenter: âThe worker had a regular release for a different job than the job at injury and the workerâs regular work duties were not available at closure. Accordingly, we find adaptability factoring under OAR 436-035-0012 is appropriate in this review.â Based on Melsonâs report, the ARU issued an order on reconsideration that increased claimantâs award to 42 percent unscheduled disability, including a value of eight for âwork disability.â The ARU also awarded a scheduled disability of 14 percent for the left arm and 48 percent for the left leg.
Employer requested a hearing, challenging, among other things, the ARUâs determination that claimant had not been released to his job pulling green chain. The administrative law judge (ALJ) upheld the ARUâs determination. Like the ARU, the ALJ credited Melsonâs report, describing it as *407 impressive for its thoroughness and completeness.â The ALJ noted that a workerâs disability is to be determined as of the date of the reconsideration order. In part because of the changes in claimantâs condition subsequent to his examinations by Gallo and Weller, the ALJ found that Melsonâs opinion as to claimantâs disability was more persuasive.
The ALJ considered and rejected employerâs contention that the ARU had erred in concluding that claimant had been released to work as a carpenter rather than to his job at injury pulling green chain. In employerâs view, Wellerâs July 13, 2008, concurrence in Galloâs release to regular work indicated agreement with Galloâs recommendation that claimant was released to his regular work at the job at injury. The ALJ rejected that contention, reasoning that, when the record is considered in its entirety, it is clear that Wellerâs release of claimant was not to work pulling green chain but to work as a carpenter. In any event, the ALJ noted that Melson had suggested a release to sedentary work. The ALJ affirmed the order on reconsideration.
In upholding the ALJâs order, the board addressed, among other issues, whether claimant had been released for regular work for the job at injury. The board found as a preliminary matter that claimantâs job at injury was the job that he held when he was first injured in 2002, pulling green chain, a fact that employer does not dispute.
The board then addressed whether claimant had in fact been released to his job at injury â pulling green chain. As claimantâs attending physician at the time of closure, Weller was the physician who was authorized to release him for regular work. ORS 656.214(2); ORS 656.726(4)(f)(E). The board noted that, in releasing claimant to work without restrictions, Gallo had mistakenly identified claimantâs job at injury as journeyman carpenter. In light of that, the board concluded that Gallo had not released claimant to his job at injury.
The board then noted that, when employer solicited a work release from Weller, it correctly identified claimantâs *408 job at injury as pulling green chain. However, in rejecting employerâs contention that Wellerâs handwritten response to employerâs inquiry constituted a release for that type of work, the board explained that Weller had not affirmatively stated that claimant could return to work pulling green chain or indicate that she had evaluated whether claimant could do that work. The board thus interpreted Wellerâs statement as a continuance of her concurrence in Galloâs work release, not as an independent determination that claimant was released for work pulling green chain. Thus, the board found that claimant had not been released to the job of pulling green chain and was therefore entitled to consideration of social/ vocational adaptability factors in the determination of permanent partial disability. 3
Having concluded that claimant had not been released to his job at injury, the board then evaluated the evidence concerning claimantâs level of impairment. As noted, Melson had concluded that claimantâs symptoms indicated spinal cord involvement, and from those symptoms, Melson concluded that claimantâs fusion had failed. In contending that a preponderance of the evidence showed that Wellerâs, and not Melsonâs, opinion of impairment was correct, employer cited two medical opinions, one from Gallo prepared in August 2008, and one from Dr. Lockfelt, prepared in September 2008, before the medical arbiterâs examination. Employer asserted that those reports brought into question Melsonâs opinion that claimantâs compensable fusion had failed and thereby undermined his opinion that claimantâs new symptoms are related to the compensable condition. The board declined to consider the two additional medical reports for any purpose relating to the evaluation of *409 claimantâs impairment, explaining that, pursuant to ORS 656.245(2)(b)(C), 4 ORS 656.268(7), 5 and OAR 436-035-0007, 6 when a case is taken on reconsideration, only the reports of the medical arbiter and the attending physician at the time of closure may be considered in determining the claimantâs impairment. The board noted an exception for findings made by other medical providers before the issuance of the medical arbiterâs report in which the attending physician concurs. See *410 OAR 436-035-0007(6); 7 Tektronix, Inc. v. Watson, 132 Or App 483, 485-86, 888 P2d 1094 (1995). 8 The board explained, however, that because Weller, claimantâs attending physician at the time of closure, had not concurred in the two additional reports, they could not be considered.
The dissenting board member disagreed, expressing the view that the two additional medical opinions could be considered, because they were not findings of impairment but, rather, supported the impairment findings that had been made by Weller.
On judicial review, employer continues to assert that the record requires the determination that claimant was released to his job at injury, viz., pulling green chain. We have reviewed the medical record in its entirety. In the context of the entire record â and especially in view of the facts that claimant had not worked pulling green chain since 2004, and Wellerâs earliest records dating from 2006 reflected that claimant worked as a carpenter â we conclude that Wellerâs handwritten response to employerâs inquiry can reasonably be understood to simply reflect a continuance of Galloâs release, which was release to work as a journeyman carpenter. In particular, we note that the inquiry posed to Weller was, again:
â[W]ith regard to his release to work status, [claimant] was pulling Greenchain when he was injured. We need to confirm that âregular releaseâ means he could return to his job at injury. Dr. Gallo released him to lift over 100 [pounds]. Do you agree?â
Wellerâs affirmative reply could thus reasonably be understood to respond to the second part of that inquiry â that is, that Weller agreed with Galloâs release of claimant âto lift *411 over 100 [pounds],â and, as the board explained, not an indication] that she had independently evaluated claimantâs ability to perform [pulling green chain] work.â On this record, the board reasonably could conclude, as it did, that âDr. Weller merely ÂŁcontinue[d] Dr. Galloâs work release.â â We conclude, therefore, that the board reasonably interpreted Wellerâs handwritten responses not to be a release for work pulling green chain. Thus, the boardâs finding is supported by substantial evidence. See VanBibber, 234 Or App at 78; Hicks v. SAIF, 196 Or App 146, 100 P3d 1129 (2004). We therefore affirm the boardâs determination that claimant was not released for regular work to his job at injury and is entitled to consideration of âwork disability.â
We turn to the question whether the board erred in excluding from the record two medical reports submitted by employer. Employer does not dispute that, under ORS 656.245 and ORS 656.268(7), and Koitzsch v. Liberty Northwest Ins. Corp., 125 Or App 666, 670, 866 P2d 514 (1994), only the impairment findings of the medical arbiter and the attending physician may be considered in determining a claimantâs impairment. Employer continues to assert, however, that the board erred in concluding that the two additional medical opinions could not be used to show that there were flaws in Melsonâs impairment findings and that those findings were not supported by a preponderance of the medical evidence. Employer contends that, contrary to the boardâs understanding, Koitzsch does not preclude consideration of any additional medical evidence for that purpose; rather, employer contends, Koitzsch â which was about the admissibility of an independent medical examination â only precludes consideration of independent medical examinations to impeach impairment findings of the attending physician or the medical arbiter.
Employer contends farther that where, as here, the issue in dispute is not the rating of impairment, but the conditions to be rated, the additional evidence is admissible for the purpose of showing by a preponderance of the evidence that claimantâs symptoms are not attributable to a failed fusion and that, therefore, any impairment resulting from claimantâs new symptoms is not related to the compensable condition and is not ratable.
*412 Claimant responds that the board correctly limited the record on reconsideration to the medical arbiterâs report and the attending physicianâs report, and that substantial evidence supports the boardâs finding that the arbiterâs report is more persuasive because it is more thorough and was issued closer to the date of reconsideration.
Thus, the issue before us is the scope of the restriction or limitation on the use of medical evidence relating to impairment. Do the statutes and administrative rules merely restrict who may submit impairment findings, as employer contends, or do they also prohibit consideration of outside medical evidence other than the medical arbiter and the attending physician in the weighing of evidence and determination of impairment? Specifically, pursuant to OAR 436-035-0007(5), can physiciansâ reports other than those of the medical arbiter or those made or adopted by the attending physician be considered for the purpose of determining whether âa preponderance of the medical evidence demonstrates that different [impairment] findings by the attending physicianâ are more persuasive?
We certainly have suggested in dicta in several opinions that medical evidence of the type at issue here cannot be considered. In Koitzsch, the claimant sought to be compensated for a loss of sensation that she asserted was caused by her compensable carpal tunnel syndrome. The claimantâs attending physician found that the claimant suffered from a total loss of sensation. The employerâs physician, Dr. Nathan, found that the claimantâs disability was only partial. The board, in affirming the ALJ, held that, although Nathanâs opinion could not be relied upon as a basis for the disability award because he was not the claimantâs attending physician, his impairment findings could nonetheless be used to impeach or support the findings of the attending physician. 125 Or App at 669. Citing legislative history, we rejected the contention, explaining:
âThose [legislative history] references indicate that the legislature intended to eliminate Board reliance on independent medical examinations as a basis for its evaluation of a workerâs disability. The objective of the statute was to save employers the cost of such examinations and to require the Board to consider only the attending physicianâs *413 impairment findings in evaluating a disability. The Boardâs interpretation defeats that objective, because it invites employers to pay for independent medical examinations that might develop findings that employers could use to impeach the attending physicianâs findings. The legislature intended to eliminate the incentive to incur those costs.
âWe recognize the distinction between offering an independent medical examinerâs impairment findings for impeachment, rather than as proof of employerâs factual contention regarding the extent of impairment. However, the statute does not make that distinction. An independent medical examinerâs impairment findings that the employer offers for impeachment are, nonetheless, findings regarding the workerâs impairment that evaluate the disability. The legislature intended to permit only the attending physician to make such findings. The Board violated ORS 656.245(3)(b)(B) by receiving and considering the impairment findings of an independent medical examiner.â
Id. at 670. 9 Thus, in Koitzsch, we concluded that evidence of impairment findings from an independent medical examiner could not be considered at all, not even for impeachment purposes.
It is true, as employer contends, that Koitzsch only addressed independent medical examinations. However, since Koitzsch, we have considered several times the scope of the record on reconsideration in the rating of impairment and have applied Koitzschâs principles to other contexts. In Hicks v. SAIF, 194 Or App 655, 659, 96 P3d 856, adhâd to on recons, 196 Or App 146, 100 P3d 1129 (2004), we held that the board is not free to reject a medical arbiterâs opinion of impairment if it is the only opinion of impairment and unambiguously attributes the claimantâs permanent impairment to the compensable condition. We explained that, under ORS 656.268(7), when a case is on reconsideration, the board must accept the opinion of the medical arbiter, unless the other medical opinionâ establishes a different level of impairment. 194 Or App at 659. Citing ORS 656.245(2)(b)(B) tm&Koitzsch, we said that âother medical opinionâ âmay come from findings *414 of the attending physician or physicians with whom the attending physician concurs.â Id.
In Sisters of Providence v. McGuire, 183 Or App 503, 508, 52 P3d 1113 (2002), in rejecting the employerâs contention that the board erred in failing to consider two âcompelled medical examinationsâ when determining the claimantâs disability, we said that, on reconsideration of claim closure, âthe only admissible medical opinions regarding impairment are those made or adopted by the attending physician and those made by an appointed medical arbiter or arbiters.â Id.
In Tektronix, Inc., 132 Or App at 486, we explained that, when a medical arbiter is appointed,
âthe record correctly before the referee, the Board and the court * * * includes the reports that claimantâs attending physician issued before the medical arbiterâs report, the medical arbiterâs report, and any report related to impairment that is ratified by the attending physician before the medical arbiterâs report.â
See also Libbett, 130 Or App at 52 (citing Koitzsch in support of statement that purpose of statutory restriction that âonly the attending physician at the time of claim closure may make findings regarding the workerâs impairmentâ is to eliminate boardâs reliance on independent medical examinations for any purpose in its evaluation of a workerâs disability).
Thus, we have on many occasions said that, in the context of a reconsideration of a claimantâs impairment, the limitation on the scope of the record to the opinions of the medical arbiter and the attending physician applies not only to direct findings of impairment but to other medical evidence offered in the context of an evaluation of a workerâs disability. We adhere to those previous interpretations of the statutes and administrative rules. Considered together, ORS 656.245(2)(b)(C), ORS 656.268(7), and OAR 436-035-0007(5) and (6), go beyond a mere limitation on whose impairment findings may be considered, but also limit the medical evidence that may be considered in determining a claimantâs impairment.
*415 Employer points out that ORS 656.726(4)(f)(B), which provides that â[impairment is established by a preponderance of medical evidence based on objective findings,â does not place any restriction on the type of medical evidence that may be considered in evaluating a preponderance of the evidence. In employerâs view, a rational distinction can and should be made between the type of evidence permitted for findings of impairment and the type of evidence that may be considered for the purpose of determining whether those findings are supported by a preponderance of the evidence. We agree with employer that, in the abstract, ORS 656.726(4)(f)(B) does not limit the type of medical evidence that may be evaluated as a preponderance of the medical evidence, but we conclude nonetheless that that standard must be viewed in the context of ORS 656.245(2)(b)(C), ORS 656.268(7), and OAR 436-035-0007(5) and (6), and our prior case law as described above. In applying the âpreponderance of medical evidenceâ standard to determine a claimantâs impairment rating, the entire universe of medical evidence that may be considered consists of the medical arbiterâs report, ORS 656.268(7); OAR 436-035-0007(5), the opinion of the attending physician, ORS 656.245(2)(b)(C), and any physiciansâ report in which the attending physician concurs, OAR 436-035-0007(6). As we said in Koitzsch, employerâs interpretation would defeat the legislatureâs intention in enacting ORS 656.245(2)(b)(C) to eliminate incentives for insurers to incur costs for medical examinations aimed at undermining the opinion of the attending physician or, in this case, the medical arbiter.
We reject without discussion SAIFâs contention in its first assignment of error that the board erred in awarding additional permanent partial disability based on a redetermination of disability because the record lacks medical evidence of an actual worsening of claimantâs condition at the time of claim closure.
Affirmed.
We note that SAIF did not become involved in this case until after the board had issued its order.
OAR 436-035-0007(5) provides:
âImpairment is established based on objective findings of the attending physician under ORS 656.245(2)(b)(C) and OAR 436-010-0280. On reconsideration, where a medical arbiter is used, impairment is established based on objective findings of the medical arbiter, except where a preponderance of the medical evidence demonstrates that different findings by the attending physician are more accurate and should be used.â
The board explained:
âWhen the employer solicited a work release from Dr. Weller, it correctly indentified claimantâs job at injury as pulling green chain. However, Dr. Weller did not affirmatively opine that claimant could return to pulling green chain, nor did she indicate that she had independently evaluated claimantâs ability to perform such work. Instead, Dr. Weller merely âcontinue[d]â Dr. Galloâs work release. * * * Under such circumstances, the record does not persuasively establish that claimant was released to regular work. Therefore, he is entitled to consideration of social/vocational factors in the calculation of his unscheduled PPD.â
ORS 656.245(2)(b)(C) provides:
âExcept as otherwise provided in this chapter, only a physician qualified to serve as an attending physician * * * who is serving as the attending physician at the time of claim closure may make findings regarding the workerâs impairment for the purpose of evaluating the workerâs disability.â
ORS 656.268(7) (2009) provides, as relevant:
â(a) If the basis for objection to a notice of closure issued under this section is disagreement with the impairment used in rating of the workerâs disability, the director shall refer the claim to a medical arbiter appointed by the director.
â(g) The findings of the medical arbiter or panel of medical arbiters shall be submitted to the director for reconsideration of the notice of closure.
â(h) After reconsideration, no subsequent medical evidence of the workerâs impairment is admissible before the director, the Workersâ Compensation Board or the courts for purposes of making findings of impairment on the claim closure.â
ORS 656.726(4)(f)(b) provides:
âImpairment is established by a preponderance of medical evidence based upon objective findings.â
In turn, OAR 436-035-0005(13) provides:
â âPreponderance of medical evidenceâ or âopinionâ does not necessarily mean the opinion supported by the greater number of documents or greater number of concurrences; rather it means the more probative and more reliable medical opinion based upon factors including, but not limited to, one or more of the following:
â(a) The most accurate history,
â(b) The most objective findings,
â(c) Sound medical principles or
â(d) Clear and concise reasoning.â
Further, OAR 436-035-0007(5) provides:
âImpairment is established based on objective findings of the attending physician under ORS 656.245(2)(b)(C) and OAR 436-010-0280. On reconsideration, where a medical arbiter is used, impairment is established based on objective findings of the medical arbiter, except where a preponderance of the medical evidence demonstrates that different findings by the attending physician are more accurate and should be used.â
OAR 436-035-0007(6) provides:
âObjective findings made by a consulting physician or other medical providers (e.g. occupational or physical therapists) at the time of closure may be used to determine impairment if the workerâs attending physician concurs with the findings as prescribed in OAR 436-010-0280.â
The board noted an additional exception for nonmedical evidence relating to impairment. Libbett v. Roseburg Forest Products, 130 Or App 50, 52, 880 P2d 935 (1994), rev den, 320 Or 507 (1995) (concluding that surveillance tapes of the claimant could be considered in the evaluation of medical evidence of the claimantâs disability).