Shapiro v. Reliance ( 1996 )


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  • USCA1 Opinion





    [NOT FOR PUBLICATION]
    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT




    ____________________

    No. 95-2307

    BETTY RUTH SHAPIRO,

    Plaintiff - Appellant,

    v.

    RELIANCE STANDARD LIFE INSURANCE COMPANY,

    Defendant - Appellee.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF RHODE ISLAND

    [Hon. Francis J. Boyle, Senior U.S. District Judge] __________________________

    ____________________

    Before

    Cyr, Circuit Judge, _____________

    Aldrich, Senior Circuit Judge, ____________________

    and Gertner,* District Judge. ______________

    _____________________

    Thomas F. Ginnerty for appellant. __________________
    Robert M. Duffy, with whom Sloan, Duffy, Sweeney & Gates was _______________ _____________________________
    on brief for appellee.



    ____________________

    August 1, 1996

    ____________________


    ____________________

    * Of the District of Massachusetts, sitting by designation.












    GERTNER, District Judge. Plaintiff Betty Ruth Shapiro GERTNER, District Judge. _______________

    (Shapiro) brought this action under the Employee Retirement

    Income Security Act of 1974 (ERISA), 29 U.S.C. 1132(a)(1)(B),

    claiming that she was wrongfully denied benefits under a long-

    term disability insurance policy provided by her employer and

    issued by the defendant Reliance Standard Life Insurance Company

    (Reliance). After a non-jury trial, the district court entered

    judgment in favor of defendant. On appeal, plaintiff contends

    that the district court's findings were clearly erroneous. She

    also contends that she was denied due process of law when the

    district court issued its decision without offering her the

    opportunity to present additional evidence or make a closing

    argument. We affirm. FACTS FACTS _____

    The facts as found by the district court were as

    follows: On October 13, 1991, plaintiff was involved in a serious

    motor vehicle accident. She was treated at the scene and

    returned home. Three days later, however, she went to an

    emergency room complaining of neck, shoulder and arm pains. She

    began seeing an orthopaedic surgeon, Dr. Kenneth Morrissey, and

    remained in his care until May 12, 1992. In May of 1992,

    plaintiff applied for reemployment with her employer,

    Fleet/Norstar Financial Group, Inc. (Fleet),1 after Dr. Morrissey

    advised her to "give it a try." She was not hired, however,

    because there were no positions available. In April of 1992,

    ____________________

    1 Although it is not clear from the record, plaintiff apparently
    ceased working sometime after her accident.

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    Shapiro filed for disability benefits with Reliance, which

    provided group long-term disability insurance to Fleet's

    employees. In response, Reliance sent letters to three of

    Shapiro's treating physicians in order to evaluate her claim.

    The doctors did not respond until July of 1992. Two of them

    stated that they were treating plaintiff for non-disabling

    maladies unrelated to her disability claim. The third, Dr.

    Morrissey, found the plaintiff to be "totally disabled" for an

    "indefinite period,"2 but that conclusion was belied by his

    office records. The records indicated the Dr. Morrissey believed

    the plaintiff to be only partially disabled, and that he had

    advised plaintiff on May 12, 1992, the last date of his

    treatment, that she could try to return to her job as a

    securities input clerk.

    In August of 1992, defendant retroactively approved

    plaintiff's application for benefits for the period April 10,

    1992 through July 10, 1992. Defendant then requested that

    plaintiff provide additional information substantiating her claim

    for benefits beyond July 10, 1992. It sent plaintiff a

    "Supplementary Report for Continued Disability Benefits" and a

    "Physical Capacities Evaluation Form" to be filled out by her

    treating physician. In November, 1992, plaintiff returned the

    Supplementary Report, but the portion to be completed by her

    physician was left blank. Instead, plaintiff submitted a record

    ____________________

    2 Dr. Morrissey had reported this conclusion on an "Attending
    Physician's Statement of Disability" dated April 7, 1992.

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    from a Dr. Tarpey, indicating that he was treating plaintiff for

    asthma and emphysema. Plaintiff never submitted the Physical

    Capacities Evaluation Form.

    Defendant next sent letters directly to plaintiff's

    physicians seeking information as to whether she continued to be

    disabled. Defendant received no responses to these letters. In

    February of 1993, plaintiff advised defendant by telephone that

    she was seeing a chiropractor, Dr. Andrew Lombardi. In March of

    1993, defendant sent a letter to Dr. Lombardi seeking information

    about his treatment and plaintiff's disability. Dr. Lombardi

    wrote back in April of 1993 providing information about

    plaintiff's condition, but did not indicate whether plaintiff was

    disabled, or whether she had been continuously disabled during

    the period between May of 1992, when she ceased treatment with

    Dr. Morrissey, and April of 1993.3 Moreover, Dr. Lombardi's

    letter stated that plaintiff had "denie[d] any prior

    accidents/incidents that could have produced the current

    symptoms. In fact, as plaintiff admitted at trial, she had

    earlier taken a nine month disability leave for an unrelated neck

    and back injury in 1989.





    ____________________

    3 This was significant because, under the terms of defendant's
    policy, plaintiff's benefits would terminate as soon as she
    ceased to be totally disabled. Since she was no longer working
    for Fleet in 1993, she needed to show that she was continuously
    disabled from the time when she was so employed in order to
    continue to receive benefits.

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    On April 30, 1993, defendant denied plaintiff's claim

    for additional benefits. Plaintiff appealed through defendant's

    internal appeal process, and her claim was again denied.
















































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    DISCUSSION DISCUSSION __________

    I. The District Court's Findings I. The District Court's Findings _____________________________

    Under the terms of defendant's policy, plaintiff was

    eligible for disability benefits only if she met four criteria:

    (1) that she was totally disabled as a result of a sickness or

    injury covered by the policy, (2) that she was under the regular

    care of a physician, (3) that she completed a so-called

    "Elimination Period," and (4) that she submitted satisfactory

    proof of her total disability. Engaging in a de novo review of __ ____

    plaintiff's claim, see Firestone Tire and Rubber Co. v. Bruch, ___ ______________________________ _____

    489 U.S. 101, 115 (1989), the district court found that plaintiff

    did not satisfy the first, second or fourth of these

    requirements, and therefore was ineligible for benefits. We will

    vacate these findings only if they are clearly erroneous.

    Cumpiano v. Banco Santander Puerto Rico, 902 F.2d 148, 152 (1st ________ ____________________________

    Cir. 1990). None of them is.

    First, the district court found that plaintiff had

    failed to submit satisfactory proof of her total disability to

    defendant. This finding is not clearly erroneous. Although Dr.

    Morrissey did aver that, as of April 7, 1992, plaintiff was

    totally disabled, one month later, on May 12, 1992, Dr. Morrissey

    advised plaintiff that she could try to return to work. Indeed,

    plaintiff did attempt to return to work at that time, and was

    only refused because of the lack of an available position.

    Defendant, aware that Dr. Morrissey had advised plaintiff she

    could try to return to work, reasonably questioned whether she


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    remained totally disabled, and engaged in numerous attempts to

    obtain additional proof to support her claim. Despite these

    attempts, plaintiff never produced any evidence of her

    disability. The district court's finding to that effect was not

    clearly erroneous.

    The district court also found that plaintiff was not

    under the regular care of a physician. No evidence was presented

    that plaintiff was regularly seeing any medical provider from

    May 12, 1992, when she ceased treatment with Dr. Morrissey, until

    February 22, 1993, when she started treatment with Dr. Lombardi.

    There was also evidence that plaintiff had ceased all physical

    therapy during this period. The district court's finding that

    plaintiff was not under the treatment of a physician was not

    clearly in error.

    Finally, the district court found that plaintiff was

    not, in fact, totally disabled during the relevant period.

    Although Dr. Lombardi testified at trial that he believed

    plaintiff to be totally disabled, and that her disability had

    been in place during the relevant period, the district court did

    not credit this testimony as it was inconsistent with the other

    evidence, including Dr. Morrissey's advice on May 12, 1992 that

    if plaintiff wanted to return to work she should "give it a try."

    The district court also found that Dr. Lombardi's testimony was

    based on false statements provided to him by plaintiff, including

    a false statement that she had never been in any other accidents

    which could have caused her current symptoms. (In fact,


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    plaintiff had missed work for nine months in 1989 after

    complaining of neck and back problems.) Dr. Lombardi likewise

    ignored the fact that plaintiff had reapplied for work just after

    her initial application for disability benefits had been filed.

    In light of the conflicting evidence, the district court was

    entitled to reach the conclusion that it did.

    II. Due Process Claim II. Due Process Claim _________________

    The trial was held on December 19, 1994. The district

    court heard three live witnesses: the plaintiff, one of her co-

    workers, and an employee of the defendant. At the close of the

    day, the district court directed the parties to depose

    plaintiff's two remaining witnesses, Drs. Morrissey and Lombardi,

    and to file edited transcripts with the court. This was done a

    few weeks later. Approximately one year later, on November 2,

    1995, the district court issued its decision.

    Plaintiff now contends that the district court denied

    her due process of law because it failed to provide an

    opportunity for closing argument, or for the submission of

    additional evidence, prior to issuing its decision. Plaintiff

    states that if given the opportunity, she would have presented

    evidence that an Administrative Law Judge of the Social Security

    Administration had found her to be totally disabled in April of

    1995. Putting aside the question of whether this decision was

    relevant or otherwise admissible, plaintiff waived her due

    process claim by failing to raise it to the court below.

    Poliquin v. Garden Way, Inc., 989 F.2d 527, 531 (1st Cir. 1993). ________ _________________


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    Plaintiff never requested the opportunity to present additional

    evidence or to make a closing argument in the eleven months

    between the trial date and the issuance of the court's decision.

    Moreover, plaintiff never moved to alter or amend the judgment

    under Fed. R. Civ. P. 59.

    CONCLUSION CONCLUSION __________

    For the foregoing reasons, the judgment of the district

    court is affirmed. Costs to appellees. ________ __________________






































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Document Info

Docket Number: 95-2307

Filed Date: 8/2/1996

Precedential Status: Precedential

Modified Date: 9/21/2015