Carroll v. Loy-Lange Box Co.

829 S.W.2d 86, 1992 Mo. App. LEXIS 750, 1992 WL 82662
CourtMissouri Court of Appeals
DecidedApril 28, 1992
Docket60650
StatusPublished
Cited by13 cases

This text of 829 S.W.2d 86 (Carroll v. Loy-Lange Box Co.) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Carroll v. Loy-Lange Box Co., 829 S.W.2d 86, 1992 Mo. App. LEXIS 750, 1992 WL 82662 (Mo. Ct. App. 1992).

Opinion

AHRENS, Judge.

In this workers’ compensation case, the Treasurer of the State of Missouri as custodian of the Second Injury Fund (appellant) appeals from the compensation award issued by the Labor and Industrial Relations Commission (Commission). We affirm.

Raymond Carroll (claimant) had been employed by Loy-Lange Box Company (employer) since approximately 1963. His main job was taping and bundling boxes. Claimant began treatment for panic attacks in 1971. In 1981, he underwent surgery on his left knee following a work-related accident.

On April 10, 1987, claimant was injured when he slipped and fell onto a metal conveyor at work. Claimant’s body hit the track and his left leg hit the frame of the track. A treating physician noted abrasions on the upper portion of claimant’s left lower leg. The physician further noted “[t]he leg shows a marked contusion with an extreme amount of swelling.” On the physician’s recommendation, claimant did not resume work until May 27,1987. After working for approximately two weeks, claimant was unable to continue due to pain in his lower back and leg.

Dr. Charles Mannis examined claimant and diagnosed: “Status post-lumbosacral strain and contusion of left leg. Possible radiculopathy, left leg.” Dr. Mannis ordered physical therapy and advised claimant not to return to work in the interim. Following claimant’s completion of physical therapy and a course in the “Work Entry Program,” Dr. Mannis advised claimant in January, 1988, “to try to return to work in his usual capacity_” Dr. Mannis noted, “Unfortunately, if Mr. Carroll is unable to resume his usual occupational duties without significant pain, I would have no further recommendations for treatment in this case.” When claimant returned to his job his problems “were worse” and he was unable to work.

Subsequently, various physicians examined claimant and evaluated his physical and mental condition. At the hearing before the Division of Workers’ Compensation, claimant testified and the parties submitted depositions, reports, and records of those physicians who examined claimant. The Administrative Law Judge (AU) found claimant permanently and totally disabled following the April 10,1987, accident. The AU further found that “the employer-insurer is wholly liable and responsible for payment of this award, and that there is no liability on the Second Injury [Fund].” In support of this finding, the AU noted, “It was the uncontradicted testimony that claimant had no previous disability that was industrially disabling.”

Upon review, the Commission agreed with the AU’s finding that claimant is permanently and totally disabled “as he is unable to compete in the labor market.” The Commission disagreed, however, with the AU’s assessment that claimant’s condition is solely the result of the 1987 accident. Rather, the Commission concluded, “based upon all of the competent and substantial evidence in the record, that the claimant suffered preexisting permanent partial disability which, when combined with the 1987 work related injury, caused the permanent total disability.” The Commission determined there was sufficient evidence “to sustain the finding that the claimant had preexisting industrial disabilities.” Because it found claimant’s “current disability is greater than the simple sum of the prexisting [sic] disabilities and 1987 injuries, considered independently,” *88 the Commission determined the Second Injury Fund had liability.

The Commission found employer responsible for thirty-five percent permanent partial disability to claimant’s low back, fifteen percent permanent partial disability to the left knee, twenty percent permanent partial disability to the body as a whole for depression, and fifteen percent permanent partial disability to the body as a whole for panic attacks. Thus, the Commission found employer responsible for 304 weeks of permanent partial disability. The Commission directed the Second Injury Fund to pay claimant “the remainder of the compensation that would be due for permanent total disability....”

In his first point, appellant alleges the Commission’s ruling that claimant’s knee injury was “ ‘industrially disabling’ ” was “against the weight of the evidence and the law” and “was not supported by substantial and competent evidence upon the whole record.” Appellant asserts that “even considering the evidence in the light most favorable to the Commission’s findings, the Commission could not have reasonably reached its ruling and result.”

In reviewing the Commission’s award, this court “is limited to a determination of whether the Commission’s award is supported by competent and substantial evidence on the whole record.” Carron v. Ste. Genevieve School Dist., 800 S.W.2d 64, 67 (Mo.App.1990). Further, “[a]ll evidence and inferences will be viewed in a light most favorable to the award, and the award will only be set aside if the Commission’s findings are clearly contrary to the overwhelming weight of the evidence.” Id. “An appellate court will not substitute its judgment for that of the Commission even if it would have made a different initial conclusion.” Id.

To recover from the Second Injury Fund, a claimant must have sustained a permanent partial disability preexisting the present injury. § 287.220.1 RSMo (Supp.1991). “This preexisting permanent partial disability is referred to as an industrial disability.” Carron, 800 S.W.2d at 68. “An industrial disability is a disability adversely affecting a claimant’s ability to work or earning capacity, rather than physical impairment as such.” Id. (citing Wilhite v. Hurd, 411 S.W.2d 72 (Mo.1967)).

Appellant asserts that “the Commission used no reasoning whatsoever in deciding that the claimant’s knee injury equated to the type of preexisting permanent partial disability compensable by the Second Injury Fund.” Contrary to this assertion, it is evident that in determining claimant had a preexisting industrial disability, the Commission relied on claimant’s testimony, as well as the deposition testimony of Dr. Ronald Shuter.

The Commission noted that when claimant was asked if he had any residual effects from the earlier injury, claimant responded, “Well, I never really thought it was a hundred percent anymore, but I worked on it, you know.” The Commission also found persuasive Dr. Shuter’s testimony that claimant had twenty-five percent permanent partial disability to his lower left leg at the level of the knee, ten percent of which he concluded was preexisting.

Appellant contends Dr. Shuter’s testimony on which the Commission relied conflicted with Dr. Shuter’s testimony on cross-examination. However, “[cjonflicts in the evidence are for the Commission to resolve, and we shall disregard any evidence which may support a different conclusion from that reached by the Commission.” Dillon v. General Motors, 784 S.W.2d 915, 916 (Mo.App.1990). Further, the Commission “is charged with the responsibility of passing upon the credibility of all witnesses and may disbelieve testimony of a witness even if no contradictory or impeaching evidence appears.” Hutchinson v. Tri-State Motor Transit Co.,

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Bluebook (online)
829 S.W.2d 86, 1992 Mo. App. LEXIS 750, 1992 WL 82662, Counsel Stack Legal Research, https://law.counselstack.com/opinion/carroll-v-loy-lange-box-co-moctapp-1992.