Watt v. Lumbermens Mutual Casualty Insurance Co.

62 S.W.3d 123, 2001 Tenn. LEXIS 861
CourtTennessee Supreme Court
DecidedDecember 20, 2001
StatusPublished
Cited by37 cases

This text of 62 S.W.3d 123 (Watt v. Lumbermens Mutual Casualty Insurance Co.) is published on Counsel Stack Legal Research, covering Tennessee Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Watt v. Lumbermens Mutual Casualty Insurance Co., 62 S.W.3d 123, 2001 Tenn. LEXIS 861 (Tenn. 2001).

Opinions

OPINION

ADOLPHO A. BIRCH, JR., J.,

dehvered the opinion of the court,

in which FRANK F. DROWOTA, III, C.J., E. RILEY ANDERSON and WILLIAM M. BARKER, JJ., joined.

This case requires construction of the Second Injury Fund statute, Tenn.Code Ann. § 50-6-208 (1999 Repl.). Travis Milton Watt has suffered two successive scheduled-member injuries: (1) a 50 percent disabihty to the hand, which equates to an 18.75 percent disabihty to the body as a whole; and (2) a 100 percent disabihty to the leg, which equates to a 50 percent disabihty to the body as a whole. The trial court found that the two injuries rendered Watt permanently and totally disabled. The court found that the two injuries contributed equally to Watt’s disabihty and apportioned liability for permanent and total disabihty benefits equally between Lumbermens Mutual Casualty Insurance Company and the Second Injury Fund. The Second Injury Fund appealed, asserting that the trial court erred: (1) in finding Watt to be eligible for permanent and total disabihty benefits on the basis of two scheduled member injuries whose individual disabihty ratings equate to less than 100 percent to the body as a whole; and (2) in holding the Second Injury Fund hable for 50 percent of the benefit award. After thorough review and consideration, we hold that the trial court properly found Watt to be permanently and totally disabled and correctly apportioned the liability. We reject the Second Injury Fund’s contention that our holding effectively allows re-htigation of prior workers’ compensation settlements; rather, we find it reasonable for trial courts to conclude that the combined effects of multiple work-related injuries may result in a disabihty greater than that caused by those injuries [126]*126when considered in isolation. Accordingly, we affirm the judgment of the trial court.

I. Facts and Procedural History

At the time of trial in this cause, the employee, Travis Milton Watt, was 51 years old. He left high school in 1965 during the tenth grade, did not obtain a GED, and has no other formal or vocational education. Since that time, he has spent most of his life working in occupations which demand strenuous physical labor, including farming, factory work, truck driving, and construction.

In 1971, while working for Alton Box Company, Watt was injured when his right hand was pulled between a set of cylinders on a press. His hand was torn and crushed, and his ring and little finger were amputated. The injury left him with no feeling in his index finger and significantly impaired his ability to move the rest of his hand. As a result of this injury, Watt received a court-approved workers’ compensation settlement for 50 percent permanent partial disability to the right hand. Despite this disability, he was able to continue the type of employment he had performed in the past.

In 1996, Watt obtained a job performing repair and maintenance work for Hamilton Hills Shopping Center (Shopping Center). At the time he was hired, the manager of the Shopping Center was aware of his prior disability. On August 24, 1996, while working at the Shopping Center, Watt fell approximately twenty feet from an extension ladder and sustained a comminuted fracture of the right calcaneus and a fracture of the right fibula.1 The fibula healed without permanent complications; the cal-caneus did not. Watt developed post-traumatic arthritis in the subtalar joint, located just below the ankle, and in the joints of his foot.

Thereafter, Watt filed suit seeking workers’ compensation benefits from Lum-bermens Mutual Casualty Insurance Co. (Lumbermens) and the Second Injury Fund (Fund). At trial, Watt testified that his foot and leg hurt constantly and were nearly always swollen. He stated that the pain prevented him from standing for more than five minutes at a time and that even sitting for extended periods would cause his leg to hurt and become numb. He also noted that his inability to balance on the leg caused him to fall occasionally and that the pain in his foot made it difficult to drive, walk, or climb stairs. Because of his injuries, he asserted, he could not return to any of the jobs he had performed in the past, and he expressed the belief that he was permanently unable to work. Watt’s wife, Linda Faye Watt, corroborated Watt’s testimony regarding the effects of his injury.

Watt also offered the deposition testimony of his treating physician, Keith D. Nord, M.D., who opined that Watt’s injury would require him to wear a brace on his leg and would cause him to be unable to stand for long periods of time, walk more than a block, climb, crawl, or carry weights of more than 20 pounds. Nord noted that Watt might be capable of sedentary work but concluded that he would not be able to return to the type of work he had done in the past. Nord suggested, however, that a surgical fusion of the joints in Watt’s foot might improve his ability to use his leg.

Orthopedic surgeon and foot specialist Greer Richardson, M.D., also testified by [127]*127deposition. Richardson noted that Watt’s injury had caused deformation of the heel and arthritis in the hind foot, ankle joint, and mid-foot and that the mobility of Watt’s foot had been greatly reduced. Richardson opined that the surgical procedure Nord suggested probably would relieve some of Watt’s pain but would not restore his ability to walk on uneven ground, climb, or balance on his foot. Richardson agreed that, from a purely physical standpoint, Watt would be capable of sedentary work, but he recognized that his assessment did not take into consideration Watt’s intellectual function or occupational history. Richardson stated that Watt would be unable, due to the combined effects of his leg injury and hand injury, to perform any job that would require him to stand.

Based on this evidence, the trial court found Watt to be 100 percent permanently and totally disabled and ordered that each defendant pay 50 percent of Watt’s benefits. The Fund appealed, and the Supreme Court Special Workers’ Compensation Appeals Panel held that the trial judge did not make sufficient findings to decide the case in accordance with Bomely v. Mid-America Corp., 970 S.W.2d 929 (Tenn.1998). The Panel remanded the cause, directing the trial court to make specific findings regarding the percentages of permanent disability caused by Watt’s injuries and whether judgment was rendered pursuant to subsection (a) or subsection (b) of the Second Injury Fund statute, Tenn.Code Ann. § 50-6-208 (1999 Repl.). On remand, the trial court reaffirmed that Watt was permanently and totally disabled, concluding that he was “totally incapacitated from working at an occupation which brings him an income,” and it held that Tenn.Code Ann. § 50-6-208(a) governed the case. The trial court divided liability equally between Lumbermens and the Fund based on a finding that Watt’s two injuries contributed equally to his disability.

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Bluebook (online)
62 S.W.3d 123, 2001 Tenn. LEXIS 861, Counsel Stack Legal Research, https://law.counselstack.com/opinion/watt-v-lumbermens-mutual-casualty-insurance-co-tenn-2001.