SAIF Corp. v. Belden

964 P.2d 300, 155 Or. App. 568, 1998 Ore. App. LEXIS 1486
CourtCourt of Appeals of Oregon
DecidedSeptember 2, 1998
DocketAgency 95-08382; CA A96457
StatusPublished
Cited by13 cases

This text of 964 P.2d 300 (SAIF Corp. v. Belden) 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
SAIF Corp. v. Belden, 964 P.2d 300, 155 Or. App. 568, 1998 Ore. App. LEXIS 1486 (Or. Ct. App. 1998).

Opinions

[570]*570ARMSTRONG, J.

SAIF seeks review of an order of the Workers’ Compensation Board that held that ORS 656.262(7)(b), which was enacted in 1995, applied retroactively, thereby entitling claimant to seven percent permanent partial disability (PPD). We review for errors of law, ORS 183.462(8), and affirm.

We accept the facts as found by the Board. In 1986, claimant seriously fractured his left distal femur in an accident that was not related to work. In 1992, he twisted his left knee while walking at work. SAIF denied a claim for left knee strain on the ground that his noncompensable preexisting condition was the major cause of his current condition.

In 1993, an administrative law judge (ALJ) set aside SAIF’s denial, finding that the 1992 work-related injury was the major contributing cause of claimant’s combined condition. SAIF then accepted claimant’s combined condition. Claimant’s treating doctor declared claimant’s knee condition medically stationary in September 1994. SAIF submitted the claim to the Department of Consumer and Business Services (DCBS) for closure, and the DCBS issued a determination order awarding claimant six percent PPD for his left knee. SAIF did not issue claimant a written denial before claim closure stating that his accepted injury was no longer the major cause of his combined condition.

Claimant sought reconsideration of the determination order by a medical arbiter. The medical arbiter found that claimant had limitations with respect to his knee’s range of motion and repetitive use, which he attributed to claimant’s preexisting left knee condition. Based on the medical arbiter’s report, the DCBS reduced claimant’s PPD award to zero on reconsideration.

Claimant requested a hearing at which he argued that the reduction of his PPD award could not be sustained under ORS 656.262(7)(b), which provides that, if an insurer intends to deny an accepted compensable condition, it must issue a written denial to the claimant before it acts to close the claim. Although the statute did not exist at the time of [571]*571claim closure in November 1994, claimant asserted that it applied retroactively to his claim. He argued that, under that statute, SAIF’s failure to issue a written denial of claimant’s current condition before his claim was closed rendered the closure premature, or, in the alternative, precluded SAIF from arguing that claimant’s impairment was not related to the compensable injury.

The ALJ agreed that ORS 656.262(7)(b) applied retroactively and held that the statute required that the claim closure be set aside as premature. SAIF sought Board review and the Board concluded that, although the statute applied retroactively, it did not require that the closure be set aside. Instead, the Board held that, because SAIF had failed to issue claimant a current condition denial, all of claimant’s impairment had to be attributed to the compensable injury. Accordingly, the Board awarded claimant seven percent scheduled PPD.1

On review, SAIF argues that the Board erred when it applied ORS 656.262(7)(b) retroactively. We disagree. The legislature enacted ORS 656.262(7)(b) in 1995 as a part of Senate Bill 369, which substantially revised the Workers’ Compensation Law. Or Laws 1995, ch 332. Section 66(1) of Senate Bill 369 provides, in part:

“Notwithstanding any other provision of law, this Act applies to all claims or causes of action existing or arising on or after the effective date of this Act, regardless of the date of injury or the date a claim is presented, and this Act is intended to be fully retroactive unless a specific exception is stated in this Act.”

Or Laws 1995, ch 332, § 66(1) (emphasis added). We have interpreted that provision to mean that, unless an express exception exists, the revised law is to be applied to cases pending on review. Volk v. America West Airlines, 135 Or App 565, 569, 899 P2d 746 (1995).

[572]*572SAIF suggests that section 66(6) of the 1995 law could be understood to exclude ORS 656.262(7)(b) from the retroactivity provision. That section provides:

“The amendments to statutes by this Act and new sections added to ORS chapter 656 by this Act do not extend or shorten the procedural time limitations with regard to any action on a claim taken prior to the effective date of this Act.”

(Emphasis added.) Under that exception, provisions enacted as part of Senate Bill 369 that eliminate or alter statutory time limits do not apply retroactively. Norstadt v. Murphy Plywood, 148 Or App 484, 941 P2d 1030, adhered to as modified 150 Or App 245, 945 P2d 654 (1997). In other words, if, before the effective date of Senate Bill 369, a statute required a party to take action on a claim within a certain period of time, a provision enacted as a part of Senate Bill 369 that alters that period does not apply retroactively.

To determine whether ORS 656.262(7)(b) applies retroactively, then, we must determine whether its retroactive application would alter the period of time in which a party has to act. To do that, we must compare how the system operated before and after the legislature enacted that statute. If the amended statute does not alter any procedural time limitations, we must apply it retroactively.

In 1990, the legislature enacted ORS 656.005-(7)(a)(B), which, at the time of the closure of claimant’s claim, provided:

“If a compensable condition combines with a preexisting disease or condition to cause or prolong disability or a need for treatment, the resultant condition is compensable only to the extent the compensable injury is and remains the major contributing cause of the disability or need for treatment.”2

ORS 656.005(7)(a)(B) governs the circumstances under which a claimant is substantively entitled to compensation for a combined condition. United Airlines, Inc. v. Brown, 127 Or App 253, 257, 873 P2d 326, rev den 319 Or 572 (1994). [573]*573Once an insurer accepts a combined condition pursuant to ORS 656.005(7)(a)(B), it is obliged to treat that condition as compensable until it properly denies it.

Before 1995, there was no mechanism by which an insurer could deny an accepted combined condition. Id.

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SAIF Corp. v. Belden
964 P.2d 300 (Court of Appeals of Oregon, 1998)

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Bluebook (online)
964 P.2d 300, 155 Or. App. 568, 1998 Ore. App. LEXIS 1486, Counsel Stack Legal Research, https://law.counselstack.com/opinion/saif-corp-v-belden-orctapp-1998.