Quesenberry v. Celebrezze

214 F. Supp. 697, 1963 U.S. Dist. LEXIS 6805
CourtDistrict Court, S.D. West Virginia
DecidedMarch 9, 1963
DocketCiv. A. No. 719
StatusPublished
Cited by2 cases

This text of 214 F. Supp. 697 (Quesenberry v. Celebrezze) is published on Counsel Stack Legal Research, covering District Court, S.D. West Virginia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Quesenberry v. Celebrezze, 214 F. Supp. 697, 1963 U.S. Dist. LEXIS 6805 (S.D.W. Va. 1963).

Opinion

HARRY E. WATKINS, District Judge.

Plaintiff seeks judicial review of the final decision of the Secretary of Health, Education, and Welfare that he was not entitled to a period of disability and to disability insurance benefits under sections 223 and 216 (i) of the Social Security Act, as amended. For the reasons hereinafter stated, it is now found that the decision of the Secretary is supported by substantial evidence and that the plaintiff’s motion for summary judgment should be denied and that defendant’s motion for summary judgment should be granted.

On August 9, 1960, plaintiff, who was then fifty years old, filed an application to establish a period of disability and for disability insurance benefits, claiming that his disability began in August, 1953.1 This application was denied by the Bureau of Old-Age and Survivors’ Insurance both initially and upon reconsideration. On June 26, 1962, a hearing examiner also found that plaintiff was not entitled to a period of disability or to disability insurance benefits. This decision became the final decision of the Secretary when the Appeals Council denied plaintiff’s request for review on August 9, 1962.

Plaintiff met the special earnings requirements in August, 1953, the date he alleged that he became disabled. He continued to meet these requirements until December 31, 1956.

To be eligible for monthly insurance benefits based on his application of August 9, 1960, plaintiff must have been under a continuous “disability” at the time of the filing of his application. Plaintiff must also show that he was suffering from an impairment or combination of impairments which could be expected to result in death or to be of a long-continued and indefinite duration, and which were of sufficient severity to-render him unable to engage in any substantial gainful activity, beginning at-any time on or before December 31,1956,. when he last satisfied the applicable insured status requirements, and continuing indefinitely thereafter up to the time-he filed his application on August 9,1960. The burden of proof is on plaintiff. Bow-den v. Ribicoff, 199 F.Supp. 790 (S.D. W.Va.1961). Thus the evidence had to-establish that plaintiff was under a disability as defined by the Act beginning on or before December 31, 1956, when his insured status terminated, for entitlement to insurance benefits or the establishment of a period of disability. The hearing examiner held that plaintiff had not established that he had impairments,, either singly or in combination, of such; severity as to preclude him from engaging in any substantial gainful activity at any time when he met the special earnings requirements of the Act and continuing thereafter through the date his application was filed. This decision is supported by substantial evidence.

The evidence shows that plaintiff has worked in the mines since his teens and that he worked continuously and without any substantial loss of time due to illness or any other cause until 1951. He suffered blackout spells during 1945 and 1946. His earnings records for those years are not substantially different from immediately prior or succeeding years. He was injured in an automobile accident in 1951, and was hospitalized for treatment for twenty-eight days. He walked with crutches for a period of approximately one year. He subsequently returned to his work in the mines during the third and fourth quarters of 1953., Plaintiff further testified that his impairments were so severe after 1953 that he was incapable of engaging in any substantial gainful activity.

[699]*699In his application of August 9, 1960, ■plaintiff listed his impairments as “High blood, Heart condition tumor on right lung.” The medical evidence presented hy plaintiff to substantiate his claim is not only voluminous but also conflicting. All of this medical evidence will not be ■discussed here. It would serve no useful ■purpose to do so. However, a brief sum.mary will be set out below.

First, it should be noted that the vast -majority of the medical examinations and reports were conducted and prepared several years after the date of the alleged onset of disability. Their value -then as an aid to the arbiter of the facts was somewhat lessened. He was not concerned primarily with the plaintiff’s present physical and mental status. He was concerned basically with the date of the onset of the disability which, as a matter •of law, had to begin on or before December 31, 1956. If the alleged disability ■did not begin on or before that date plaintiff could not prevail regardless of 'his present state of health.

As a second observation it is well to ■remember that the opinions of doctors must be carefully weighed and evaluated in determining the ultimate issue of dis.ability. Clearly, they are not to be summarily disregarded, but a flat assertion by a doctor that the claimant was disabled or unable to perform any gainful .activity is of little assistance to the trier •of the facts in arriving at his conclusion concerning plaintiff’s disability as contemplated by the Act, especially where There is little, if any, clinical evidence to support such opinions. United States v. Spaulding, 293 U.S. 498, 55 S.Ct. 273, 79 L.Ed. 617; Underwood v. Ribicoff, 4th Cir., 298 F.2d 850 (1962).

The earliest medical report is one dated August 2,1955 (two years after plaintiff alleges that he became disabled). In that report, Dr. W. B. Young stated that plaintiff had not been under his care for several years. He reported no clinical findings, but concluded as follows: “Chronic heart — unfit for heavy work.” In his next report, dated July 19, 1956, Dr. Young stated that plaintiff complained of indigestion (dyspepsia), palpitation of the heart, and epistaxis (nose bleed). He appeared healthy, the size of his heart was normal, although its sounds were irregular. Plaintiff had had a heart lesion (abnormality) since childhood— apparently based on plaintiff’s history. Dr. Young found plaintiff’s arteries normal and reported the presence of an old fracture of the left leg. The respiratory and nervous systems findings were negative. He found no sugar. He did report a vague diagnosis of “heart disease,” but concluded that plaintiff could do very light work part-time. In a third report, dated October 4, 1956, Dr. Young reported a diagnosis of “Hypertension— Heart Leak,” which was static. He further noted that plaintiff’s cardiac function was markedly limited and advised him not to work. In still another report, dated August 11, 1960, Dr. Young reported that plaintiff had shortness of breath, but he did not report any heart enlargement, angina, puffiness of the ankles or other signs of heart difficulty. Again he gave an indefinite diagnosis of cardiovascular disease. There is no showing that Dr. Young even made any diagnostic tests of the heart and vascular system.

On August 15, 1956, Dr. George E. Snider reported that plaintiff complained of a “fluttering sensation in the pit of stomach which moves to heart.” He found a rapid heart beat. Chest X-rays in 1952 and 1956 disclosed a benign tumor or cyst in the right lower lobe above the diaphragm. He found plaintiff’s cardiac functional capacity to be only slightly limited. Dr. Snider reported no diagnosis, no therapy, and that plaintiff had not been advised not to work. He concluded:

“This pt. is quite nervous and has a fixation on his heart.

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214 F. Supp. 697, 1963 U.S. Dist. LEXIS 6805, Counsel Stack Legal Research, https://law.counselstack.com/opinion/quesenberry-v-celebrezze-wvsd-1963.