Lombardo v. Atkinson-Kiewit

746 A.2d 679, 2000 R.I. LEXIS 17, 2000 WL 135115
CourtSupreme Court of Rhode Island
DecidedFebruary 1, 2000
Docket98-103-M.P
StatusPublished
Cited by9 cases

This text of 746 A.2d 679 (Lombardo v. Atkinson-Kiewit) is published on Counsel Stack Legal Research, covering Supreme Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Lombardo v. Atkinson-Kiewit, 746 A.2d 679, 2000 R.I. LEXIS 17, 2000 WL 135115 (R.I. 2000).

Opinions

OPINION

FLANDERS, Justice.

This workers’ compensation case concerns the modern status of the so-called odd-lot doctrine.1 Traditionally, permanently but only partially disabled employees were nevertheless entitled to recover total-disability benefits if, in light of their dimmed employment prospects after suffering a work-related injury, they were deemed unable to perform their regular job or any alternative employment. Such employees, it was said, were an “odd lot” in the labor market and therefore entitled to collect compensation benefits as if they were totally and permanently disabled. We consider here the effect that recent statutory changes in our workers’ compensation laws have had upon this doctrine and upon this petitioning employee’s entitlement to such benefits.

Introduction

Article 2, § 10, of the original version of Rhode Island’s Workers’ Compensation Act (WCA), P.L.1912, ch. 831, provided that if an employee suffered a compensa-ble, work-related injury rendering him or her totally and permanently disabled, the employer was required to pay the injured employee a weekly compensation equal to one-half his or her weekly wages. It further provided that certain fisted injuries would be conclusively presumed to have rendered the employee permanently and totally disabled. Id. The original WCA, however, did not include specific language addressing those permanently but partially disabled employees who, after suffering a work-related injury, were unable as a practical matter to obtain regular work— the so-called odd-lot employees who found themselves in the situation described by Judge Moulton. Instead this doctrine evolved through common-law decisions of this Court in construing the original WCA and in determining how it should work in practice, as it was amended from time to time. See Olneyville Wool Combing Co. v. Di Donato, 65 R.I. 154, 13 A.2d 817 (1940); Lupoli v. Atlantic Tubing Co., 43 R.I. 299, 111 A. 766 (1920). Pursuant to these decisions,

“[the] rule [was], that if the [disabling] effects of [a work-related] accident have not been removed, it is not sufficient to entitle an employer to have a reduction in the weekly compensation ordered by the court, that it appears [682]*682the work[er] has the physical capacity to do some kind of work different from the general kind of work he [or she] was engaged in at the time of the accident, but it must also be shown that the work[er] either by his [or her] own efforts or that of his [or her] employer can actually get such work. In other words, the burden is on the employer, the moving party, to show that the work[er] can get a job.” Lupoli, 43 R.I. at 304, 111 A. at 768.

In 1992, however, the General Assembly enacted sweeping reforms to the WCA to eliminate the then-existing problems in the prior workers’ compensation regime. P.L. 1992, ch. 31, § 1 (codified at G.L.1956 § 28-29-1.2) (acknowledging that “the system of workers’ compensation in the state of Rhode Island is presently in a state of crisis; and * * * sweeping additional reform is required to bring the system into balance and eliminate waste and unnecessary costs * * * ”). Among the 1992 revisions to the WCA were new provisions specifically addressing the factual situation covered by the common-law odd-lot doctrine for permanently but partially disabled employees. See P.L.1992, ch. 31, § 5 (codified at G.L.1956 § 28-33-17(b)(6)).2 Significantly, the amendment not only added an undefined “manifest injustice” factor to cases involving claims of odd-lot-employee status, but also shifted the burden of proof for establishing the requisite elements of such a claim from the employer to the employee.

In pertinent part, § 28-33-17(b)(2) now provides as follows:

“in cases where manifest injustice would otherwise result, total disability shall be determined when an employee proves, taking into account the employee’s age, education, background, abilities and training, that he or she is unable on account of his or her com-pensable injury to perform his or her regular job and is unable to perform any alternative employment. The court may deny total disability under this subsection without requiring the employer to identify particular alternative employment.”

Facts and Travel

In 1991 Alfred Lombardo (employee), was a fifty-five-year-old union carpenter who was employed by respondent, Atkinson-Kiewit Construction Company (employer), when he hurt his back in a fall while working on the Jamestown Bridge. In 1993 he underwent back surgery (a lumbar laminectomy). Both the operating surgeon, Dr. Melvyn Gelch, and another treating physician, Dr. Richard M. Bianco, determined that, notwithstanding the surgery, employee remained permanently but partially disabled as a result of his 1991 work-related injury. Pursuant to a memorandum of agreement, employee began receiving total-disability benefits as of July 29, 1991. Thereafter, employer petitioned to review this award, alleging that employee could return to light-duty work. Eventually, the parties entered into a consent decree that discontinued employee’s total-disability benefits as of December 13,1994, and awarded employee permanent partial-disability benefits. Shortly after entering into this consent decree, employee filed a petition to review in February, 1995, alleging that he was entitled to total-disability [683]*683benefits based upon § 28-33-17(b)(2).3 The parties thereafter stipulated that employee’s alleged entitlement to total-disability benefits pursuant to the “odd-lot doctrine” was the “sole issue” before the court.

During the March 1996 trial, both employee and a vocational consultant testified; the depositions of Dr. Bianci and Dr. Gelch were also admitted in evidence. At the close of the hearing, the trial judge stated that “this case involved the first time that I have been confronted with the provision of Section 28-33-17(b).” After reading aloud § 28—33—17(b)(2), the trial judge engaged counsel in the following colloquy:

“[JUDGE:] That’s strange language, and as I’m going to have to read all of these depositions before I can render my decision in this matter, I would appreciate it if both sides would give me memorandum on this matter on their positions particularly how this subsection should be construed, * * *. So how much time do you think you need?
“MR. CONTE: Three weeks, Your Honor.
“JUDGE: Sure. No problem. Ms. Giannini.
“MS. GIANNINI: I will respond to my brother’s Your Honor, if he’s going to have three weeks, I would ask for a couple of weeks after that.
“MR. CONTE: No, Your Honor.
“JUDGE: Well, we’ll continue this matter for memo, pending receipt of memos.

“(HEARING CONCLUDED)”

(Emphasis added.)

The employee raised no objection at this time to the judge’s request for memoranda on how § 28—33—17(b)(2) should be construed in this case. Nor does the record contain any indication that émployee ever contended to the trial judge that § 28-33-17(b)(2) need not be construed at all in this case because it was completely inapplicable to his claim in that his injury preexisted the amendment to the act that added this new subsection.

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Lombardo v. Atkinson-Kiewit
746 A.2d 679 (Supreme Court of Rhode Island, 2000)

Cite This Page — Counsel Stack

Bluebook (online)
746 A.2d 679, 2000 R.I. LEXIS 17, 2000 WL 135115, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lombardo-v-atkinson-kiewit-ri-2000.