Stanolind Oil & Gas Co. v. Harvey

75 P.2d 1, 52 Wyo. 349, 1938 Wyo. LEXIS 33
CourtWyoming Supreme Court
DecidedJanuary 18, 1938
Docket2059
StatusPublished
Cited by11 cases

This text of 75 P.2d 1 (Stanolind Oil & Gas Co. v. Harvey) is published on Counsel Stack Legal Research, covering Wyoming Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Stanolind Oil & Gas Co. v. Harvey, 75 P.2d 1, 52 Wyo. 349, 1938 Wyo. LEXIS 33 (Wyo. 1938).

Opinion

*354 Kimball, Justice.

Charles E. Harvey, a workman employed by Stano-lind Oil and Gas Company, hereinafter called the “company,” was awarded compensation for temporary total disability under the Workmen’s Compensation Act, and the company by proceeding in error brings the case here for review.

The workman had been employed by the company as a roustabout since April, 1932. He was injured July 15, 1936, while assisting in laying a six-inch pipe for a water line. The facts in regard to the accident were not in dispute. A rope around a pipe broke while the workman was lifting on one end of a pick which had been thrust through the rope as a means of lifting the *355 pipe. When the rope broke the handle of the pick struck and injured the workman’s testicles.

October 27, 1936, the workman filed his report of accident and his claim for compensation for temporary-total disability from September 1,1936, the day he was dropped from the company’s pay roll. On November 14,1936, the company filed its report of accident. These reports and the claim, required by Section 124-112, R. S. 1931, were on forms prepared by the state treasurer under Section 124-111. The statute (Sec. 124-112) requires that reports state “whether the injury has disabled the workman from continuing- the performance of his duties,” and the form for report of accident has a place for statement of when “disability began” and when “disability ceased.” The workman’s report stated that “disability began at once,” and was “still continuing.” In the company’s report it was stated that the accident caused “injury to testicles,” but the places for statements in regard to the disability were left blank.

The first page of the blank on which the company’s report was made contains at the bottom this direction: “If the employer disputes the workman’s claim he must set out in detail on the reverse side of this sheet his reasons therefor.” The only reason given by the company for disputing the workman’s claim was that the workman “has consistently refused to submit to medical treatment, and it is believed that if he had submitted to medical treatment, he would have entirely recovered very shortly after the date of the accident.”

Section 124-113 provides that, if there be a dispute as to the right of the injured workman to receive compensation, or as to the amount thereof, there shall be a hearing “conducted on the statement and report filed by the employer, and such formal claims as may be presented and filed * * * on behalf of the injured workman.” There is no provision for more formal pleadings.

At the beginning of the hearing, on April 13, 1937, *356 the attention of the court was called to the fact that the company’s sole objection to the claim was on the ground that the workman had refused to submit to medical treatment, and the court then ruled that under the company’s objection the burden of proof was on the company. This ruling was correct. Section 124-123 provides that “if any injured employee shall persist in unsanitary or injurious practice, which tends to imperil or retard his recovery, or if he shall refuse to submit to such medical or surgical treatment as is reasonably essential to promote his recovery, he shall forfeit all right to compensation under this chapter.” The statute states a rule in regard to avoidable consequences. It was intended to prevent compensation for disability resulting from unreasonable conduct of the injured workman. We have held that the burden is on the employer to prove that the workman’s recovery had been retarded by a persistence in injurious practices, the ground of forfeiture stated in the first clause of the statute. Kittleson v. Hibler, 37 Wyo. 332, 341, 261 Pac. 648. The rule in regard to the burden of proof is the same when the employer asserts that the workman has refused to submit to treatment reasonably essential to promote his recovery, the ground of forfeiture relied on in this case. See Gorral v. Hamlyn & Son, 38 R. I. 249, 94 Atl. 877; Gidley v. Industrial Com., 355 Ill. 586, 593, 189 N. E. 881, 884; Marshall v. Orient etc. Co., (1910) 1 K. B. 79, 3 B. W. C. C. 15.

At the hearing the company contended that the workman, by September 1, 1936, had recovered from the injury caused by the accident, and that any disability after that time was caused by gonorrheal infection, for which the workman refused to take treatment. We doubt that the question, whether the workman’s disability was connected with the reported injury, was properly raised by the company’s report of the accident. We need not discuss that point. The claim and *357 reports which in compensation cases take the place of pleadings should be liberally construed, and we do not think the workman was surprised at the hearing by evidence introduced for the purpose of showing that his disability was caused by gonorrhea and not by the accidental injury. It is fairly clear from the whole record that without objection the question of the cause of the workman’s disability was tried as though it had been put in issue by the company’s report. Of course, if the disability was not caused by gonorrhea, there was no ground for the contention that he should have taken treatment for that disease.

There was evidence tending to show that the workman had stated that he had gonorrhea in February, 1936. It was admitted that at that time and later the workman, without the advice of a physician, treated himself with a solution of neosilval, a medicine commonly used to cure gonorrhea. It was shown that the use of neosilval without a physician’s advice by one afflicted with gonorrhea was likely to result in the germs being forced into the inner organs.

On the afternoon of July 15, 1936, the day of the accident, the workman was examined by Dr. Hart, a physician employed by the company, who then found no evidence of gonorrhea, but only swelling and tenderness which he attributed to the blow, and from which he expected the workman to recover in two or three weeks. The workman did not return to the hard work he was doing when he was injured, but was permitted to do light work until about September 1, 1936. During this time he continued under the care of Dr. Hart, who examined and treated him almost daily, but there was no improvement in the condition of the patient. In the meantime Dr. Hart, because the workman showed no response to treatment, decided. there was something “that should require further investigation,” and on August 22, 1936, took the workman to *358 Casper for examination by Dr. Reeve, employed by the company as a supervisory or consulting physician. At this examination the workman, according to the testimony of the doctors, “gave a history of gonorrheal infection” in the preceding February. On the basis of this history and of the workman’s complaints of tenderness in the region of the epididymis and prostate, the doctors made a diagnosis of inflammation of’ the epididymis and prostate which they thought was caused by gonorrheal infection and could not have been caused by the injury in the accident. During the examination Dr. Reeve took a sample of the workman’s blood to be tested in a laboratory. The only evidence in regard to the result of this test is the testimony of the workman that Dr.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

In Re Williams
2009 WY 57 (Wyoming Supreme Court, 2009)
State ex rel. Wyoming Workers' Compensation Division v. Bergeron
948 P.2d 1367 (Wyoming Supreme Court, 1997)
STATE EX REL. WYOMING WORKERS'COMP. DIV. v. Bergeron
948 P.2d 1367 (Wyoming Supreme Court, 1997)
Kilburn Tire v. Meredith
743 P.2d 874 (Wyoming Supreme Court, 1987)
Matter of Meredith
743 P.2d 874 (Wyoming Supreme Court, 1987)
Black Watch Farms v. Baldwin
474 P.2d 297 (Wyoming Supreme Court, 1970)
Metropolitan Life Insurance v. Harvey
93 P.2d 930 (Wyoming Supreme Court, 1939)
Harvey v. Stanolind Oil & Gas Co.
84 P.2d 755 (Wyoming Supreme Court, 1938)
Fox Park Timber Co. v. Baker
84 P.2d 736 (Wyoming Supreme Court, 1938)

Cite This Page — Counsel Stack

Bluebook (online)
75 P.2d 1, 52 Wyo. 349, 1938 Wyo. LEXIS 33, Counsel Stack Legal Research, https://law.counselstack.com/opinion/stanolind-oil-gas-co-v-harvey-wyo-1938.