Greenbriar Ag Management v. Lemus

965 P.2d 493, 156 Or. App. 499, 1998 Ore. App. LEXIS 1698
CourtCourt of Appeals of Oregon
DecidedOctober 14, 1998
Docket96-02392; CA A98383
StatusPublished
Cited by5 cases

This text of 965 P.2d 493 (Greenbriar Ag Management v. Lemus) is published on Counsel Stack Legal Research, covering Court of Appeals of Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Greenbriar Ag Management v. Lemus, 965 P.2d 493, 156 Or. App. 499, 1998 Ore. App. LEXIS 1698 (Or. Ct. App. 1998).

Opinions

[501]*501HASELTON, J.

Insurer seeks review of an order of the Workers’ Compensation Board setting aside insurer’s revocation of acceptance and concomitant “back-up” denial of claimant’s low back injury claim. ORS 656.262(6)(a). The Board determined that, although claimant had misrepresented his medical history, insurer failed to show that those misrepresentations could reasonably have affected its decision to accept the claim. The Board further rejected insurer’s alternative and related argument that “later obtained evidence” concerning claimant’s medical history justified the “back-up” denial. We conclude that the Board did not err in either regard and affirm.

The Board found the following material facts: On December 2, 1995, claimant sought treatment from Dr. Jack Buchanan in the Salem Hospital’s emergency room, complaining of low back and left hip pain. Claimant told Buchanan that he had been injured on November 29, 1995, when he lifted a Christmas tree while working for employer. Claimant also told Buchanan that he had no history of back problems.

On December 4, 1995, claimant received treatment from Dr. Janet Neuburg, who diagnosed a back strain. Although claimant admitted that he had a prior workers’ compensation claim from an auto accident, he told Neuburg that he did not have any prior back problems. On the same day, claimant completed a medical report form, answering “no” to the question, ‘Was the same body part injured before?”

Claimant’s answers to Buchanan and Neuburg, as well as his response on the report form, were, in fact, misrepresentations. In particular, contrary to his statement that he had not previously injured his back, claimant had compensably injured his low back in a motor vehicle accident while working for a different employer on April 28, 1988. As a result of that injury, claimant had been temporarily disabled from April 1988 until mid-1989, with treatment for that injury continuing through at least October 1990, and had [502]*502received an award of 52 percent unscheduled permanent partial disability for that injury. In December 1989, claimant had filed an unsuccessful aggravation claim pertaining to the April 1988 injury. In December 1990, claimant had filed a claim for a low back, left leg, and right ankle injury allegedly incurred while working for a different employer. That claim was resolved through a disputed claim settlement.

On January 24, 1996, insurer’s claims representative sent a letter to claimant’s treating physician, Neuburg, requesting information concerning claimant’s condition. That letter included the following question and information:

“Were you aware Mr. Lemus had at least two prior claims in 1988 and 1990? Please note we are in the process of obtaining the records and will provide your office with a copy of the records. The first claim was in 1988 processed by SÁIF. The injury was lumbo/sacral strain. He was treated by Don Poulson, M. D. The claim was denied. A second claim occurred in 1990. It also appears to be for overexertion resulting in multiple parts sprain/strain.”

On February 13,1996, before receiving the additional records referred to in the January 24 letter and, apparently, before receiving Neuburg’s response to that letter, insurer accepted the claim for nondisabling lumbar strain. There is no evidence or explanation in the record as to why insurer accepted the claim at that time. The 90-day statutory period for accepting or denying claims, ORS 656.262(6)(a), did not expire until March 6,1996.

After accepting the claim, insurer received the records concerning claimant’s prior claims. On March 1, 1996, insurer revoked its prior acceptance and issued a “back-up” denial pursuant to ORS 656.262(6)(a). The notice of revocation and denial stated, in part, that, after having accepted the claim:

“[W]e have received a significant volume of information which demonstrates that the history you provided to your examining and treating physicians misrepresented your true medical history regarding prior lower back disorders and symptoms. Having now received accurate information [503]*503regarding your health history, we have come to the conclusion that your alleged injury which allegedly occurred on or about November 27,1995 is not compensable.”

The Board set aside insurer’s revocation of acceptance and “back-up” denial. In so holding, the Board rejected insurer’s arguments that the revocation and denial were proper under ORS 656.262(6)(a) either because (a) claimant had materially misrepresented his medical history; or (b) the records and reports received after acceptance constituted “later obtained evidence” that the claim is not compensable.

With respect to misrepresentation, the Board found that claimant was, in fact, untruthful concerning his prior low back injuries and the related 1988 and 1990 claims and, thus, that he “misrepresented his medical history.” Nevertheless, the Board determined those misrepresentations were not “material” because insurer had failed to show that the misrepresentations “could have reasonably affected” its decision to accept the claim. See Ebbtide Enterprises v. Tucker, 303 Or 459, 464, 738 P2d 194 (1987). The Board explained:

“It is apparent from the record that, at the time of the January 24 letter to Dr. Neuburg, the insurer did not have every available document concerning claimant’s prior medical history. The information also possibly is at least partly incorrect because there is no evidence that SAIF denied the 1988 claim. What the letter does show, however, is that the insurer knew that claimant had at least one previous injury to his low back and had received treatment for it. The letter also shows that claimant had been involved in claims in 1988 and 1990. Thus, the insurer knew before it issued its acceptance that claimant was not truthful when he told his treating physicians that he had not previously injured his low back and that he omitted to inform them of the 1990 claim. Because the insurer was aware of this misrepresentation and nevertheless issued its acceptance of a lumbar strain, we conclude that the insurer failed to show that claimant’s misrepresentation ‘could have affected’ its decision to accept.” (Emphasis in original; footnotes omitted.)

With respect to the “later obtained evidence” argument, the Board acknowledged that “the insurer did not have claimant’s entire available medical record and obtained the [504]*504majority of such evidence after it issued its acceptance.” Nevertheless:

“The January 24, 1996 letter to Dr. Neuburg * * * shows that the insurer knew the basic facts of claimant’s 1988 and 1990 claims and that claimant previously had been treated for a low back injury although [the insurer] did not realize the extent of the prior injuries. This information may have indicated that the claim was not compensable because claimant was untruthful concerning his prior medical history.

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Greenbriar Ag Management v. Lemus
965 P.2d 493 (Court of Appeals of Oregon, 1998)

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Bluebook (online)
965 P.2d 493, 156 Or. App. 499, 1998 Ore. App. LEXIS 1698, Counsel Stack Legal Research, https://law.counselstack.com/opinion/greenbriar-ag-management-v-lemus-orctapp-1998.