Transport Associates v. Butler

892 S.W.2d 296, 1995 Ky. LEXIS 27, 1995 WL 63904
CourtKentucky Supreme Court
DecidedFebruary 16, 1995
DocketNo. 94-SC-484-WC
StatusPublished

This text of 892 S.W.2d 296 (Transport Associates v. Butler) is published on Counsel Stack Legal Research, covering Kentucky Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Transport Associates v. Butler, 892 S.W.2d 296, 1995 Ky. LEXIS 27, 1995 WL 63904 (Ky. 1995).

Opinion

OPINION OF THE COURT

Claimant, a truck driver, injured his back while lifting an ink drum at work on January 10, 1990. Thereafter, he complained of leg and back pain. His family physician, Dr. McClure, diagnosed a muscle strain and referred him to Dr. Hubbard, an orthopedic surgeon. Dr. Hubbard diagnosed the condition as a temporary muscle spasm and recommended that claimant return to work. When he examined claimant, in January, 1990, he did not believe that claimant was a candidate for surgery.

Dissatisfied with the prior medical opinions, claimant began treatment with Dr. Ma-lik, another orthopedic surgeon, who diagnosed his condition as spondylolysis and spondylolisthesis. At first, Dr. Malik recommended conservative treatment and advised claimant not to return to work. However, as of April, 1990, claimant’s condition had not responded to the treatment. Therefore, upon Dr. Malik’s recommendation, claimant was hospitalized, put in traction, and scheduled for spinal fusion surgery.

Because he feared the surgery, claimant contacted Ms. Bright, the rehabilitation specialist assigned to him by the employer’s insurance carrier. After consulting with her to determine his options, claimant decided to consult Dr. Madauss, a neurosurgeon, in order to seek a second medical opinion concerning the necessity of surgery. On May 8, 1990, Dr. Madauss noted that claimant had a normal neurological exam and concluded that he did not have a condition that warranted surgery. Dr. Madauss attributed claimant’s symptoms to “emotional overlay” and “hys[298]*298terical weakness” and released him to return to work. However, claimant failed to do so.

Ms. Bright’s report to the carrier for the period May 30, 1990-June 15, 1990, indicates that she had been unable to reach claimant by telephone since the appointment with Dr. Madauss and that he did not respond to messages she had left. The report also indicates that she had contacted the employer and was informed that claimant had not returned to work, that he had not responded to the employer’s telephone calls, and that he had returned to Dr. Malik for treatment. A follow-up call to Dr. Malik’s office confirmed that he had seen claimant on May 24, 1990, and had advised him not to return to work for six weeks. Dr. Malik expected him to return for a check-up on July 5, 1990. The report indicates that carrier approval to close the rehabilitation file was obtained “secondary to non-compliance.” On August 28,1990, after he made continuing complaints to Dr. Malik of back and leg pain, claimant consented to surgery, and a partial diskectomy at L4-L5 and a diskectomy and fusion at L5-S1 were performed.

Although claimant believed that the surgery helped him to regain sensation in his legs, the pain continued. Dr. McClure, who examined him in February, 1991, believed that claimant’s condition was worse than it had been at the time of the initial injury and assessed a significant impairment. Dr. Hubbard testified that the surgery was unreasonable and unnecessary. Dr. Madauss testified that claimant was disabled as a result of the surgery and that his condition was worse than it would have been without surgery.

The Administrative Law Judge (ALJ) determined that claimant was permanently and totally occupationally disabled and that the disability was attributable to the surgery which was deemed to be “unwarranted and inappropriate.” Findings were made that the surgery was performed in an attempt to treat the work-related injury; the employer’s carrier terminated the supervision of claimant’s progress; and the employer failed to move for the selection of a different physician pursuant to HRS 342.020(3). Therefore, the ALJ determined that any disability resulting from the surgery was compensable. It was determined that the entire disability resulted from the surgery, and none was attributed to the arousal of a previously dormant condition. Therefore, the award was apportioned entirely against the employer.

The Workers’ Compensation Board (Board) affirmed on these issues in a two-to-one decision. In response to arguments raised by the employer, the Board noted that, regardless of whether Ms. Bright bore any agency relationship to the employer, it was undisputed that the employer knew claimant continued to be treated by Dr. Ma-lik even after he was released to return to work by Dr. Madauss. The Board concluded that because the employer knew of claimant’s continued treatment by Dr. Malik and failed to seek the remedy provided by KRS 342.020(3), it was liable for any disability attributable to that treatment. There was no indication of prior, active disability. Therefore, as applied to the facts herein, KRS 342.120 and KRS 342.1202 would authorize Special Fund liability only if claimant’s disability was in part due to the arousal of his dormant back condition. Because the ALJ determined that all of claimant’s disability was attributable to the surgery, there was no basis for Special Fund liability.

The dissent believed that the employer should not be required to pay compensation benefits for disability caused by unnecessary surgery and cited Powell v. Galloway, Ky., 229 Ky. 37, 16 S.W.2d 489 (1929). Furthermore, the dissent did not view the employer’s failure to invoke KRS 342.020(3) as giving rise to laches and/or estoppel. The employer’s knowledge that claimant continued to be treated by Dr. Malik was not the same as knowledge that the surgery would be performed.

The Court of Appeals affirmed the decision of the Board. In its opinion, the court noted that in Powell v. Galloway, the court had mistakenly cited Ky.Stats. § 4885 and Lanham v. Himyar Coal Corp., 218 Ky. 55, 290 S.W. 1039 (1927), and that, in fact, disability stemming from negligent medical treatment was a matter of workers’ compensation and not the proper subject of a suit against the employer in tort. The court concluded that, regardless of whether an employer partid-[299]*299pates in the selection of medical treatment, it is liable for disability due to the aggravation of a work-related injury as a result of the medical treatment. Elizabethtown Sportswear v. Stice, Ky.App., 720 S.W.2d 732 (1986) and Larson, The Law of Workmen’s Compensation, § 13.21(a).

The employer appeals to this Court and asserts that disability attributable to unnecessary and inappropriate surgery by a physician of the worker’s choosing and without the employer’s knowledge or approval is not compensable. The employer also argues that, because it was unaware that surgery was again contemplated, its failure to move for the selection of a different physician pursuant to KRS 342.020(3) should not be a basis for holding it Hable for disabihty which resulted from the surgery. Finally, the employer argues that the Special Fund should be Hable for a portion of the disabiHty award because the injury was superimposed on a preexisting condition. We disagree; hence, we affirm.

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Related

Elizabethtown Sportswear v. Stice
720 S.W.2d 732 (Court of Appeals of Kentucky, 1986)
Powell v. Galloway
16 S.W.2d 489 (Court of Appeals of Kentucky (pre-1976), 1929)
Lanham v. Himyar Coal Corporation
290 S.W. 1039 (Court of Appeals of Kentucky (pre-1976), 1927)

Cite This Page — Counsel Stack

Bluebook (online)
892 S.W.2d 296, 1995 Ky. LEXIS 27, 1995 WL 63904, Counsel Stack Legal Research, https://law.counselstack.com/opinion/transport-associates-v-butler-ky-1995.