Carri Carroll v. Social Security Administration, Commissioner ( 2011 )


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  •                                                                  [DO NOT PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT           FILED
    ________________________ U.S. COURT OF APPEALS
    ELEVENTH CIRCUIT
    No. 11-11776             DECEMBER 12, 2011
    Non-Argument Calendar            JOHN LEY
    ________________________            CLERK
    D.C. Docket No. 4:09-cv-02381-LSC
    CARRI CARROLL,
    llllllllllllllllllllllllllllllllllllllll                         Plaintiff - Appellant,
    versus
    SOCIAL SECURITY ADMINISTRATION, COMMISSIONER,
    llllllllllllllllllllllllllllllllllllllll                         Defendant - Appellee.
    ________________________
    Appeal from the United States District Court
    for the Northern District of Alabama
    ________________________
    (December 12, 2011)
    Before BARKETT, WILSON and ANDERSON, Circuit Judges.
    PER CURIAM:
    Carri Carroll appeals the district court’s order denying her motion to remand
    based on new evidence and affirming the denial of disability insurance benefits.
    She contends that remand is necessary to allow the Social Security
    Administration’s (SSA) Appeals Council to consider evidence of a later decision
    finding Carroll disabled. Carroll further asserts that the Administrative Law Judge
    (ALJ) failed to state adequate reasons for finding that neither she nor her physician
    Dr. Farrukh Jamil were credible and that the ALJ’s credibility determination was
    not supported by substantial evidence. Last, Carroll claims that the hypothetical
    questions posed to the vocational expert (VE) at her hearing were improper and
    led to an erroneous finding that she could perform medium work. After thorough
    review, we affirm.
    I.
    On November 16, 2006, Carroll submitted an application for disability
    insurance benefits. She alleged that beginning August 9, 2002, she was disabled
    due to multiple psychological and physical afflictions. Her claim was initially
    denied on March 13, 2007. Carroll then requested and was granted a hearing
    before an ALJ, which took place on April 24, 2009. Carroll testified, and records
    2
    of her past psychological evaluations were introduced into evidence.1 Ultimately,
    the ALJ denied benefits and specifically stated that the finding of no disability
    covered the period from Carroll’s alleged onset date of August 9, 2002, through
    the date she was last insured, December 31, 2007.2 After the Appeals Council
    denied review, Carroll filed a complaint for judicial review in federal district
    court.
    While her case was pending in district court, Carroll filed a motion to
    remand to the Appeals Council pursuant to sentence six of 
    42 U.S.C. § 405
    (g),
    stating that new, material evidence warranted reconsideration of the denial of
    benefits. Carroll attached a copy of an SSA decision dated January 12, 2010, in
    which the SSA found Carroll disabled beginning June 22, 2009. The district court
    denied the motion to remand and affirmed the denial of benefits.
    II.
    Carroll first challenges the district court’s denial of her motion to remand
    1
    These include the records of Dr. A. Bartow Ray, Jr., a clinical psychologist who saw
    Carroll in November 2005; Jack Bentley, Jr., a psychologist who examined Carroll in February
    2007; Dr. Robert Estock, who submitted an opinion on Carroll in March 2007; and Dr. Farrukh
    Jamil, who treated Carroll beginning in January 2008.
    2
    The district court’s order slightly misstated the relevant time period for which benefits
    were denied. That order characterized the original eligibility determination as extending until
    June 15, 2009 (the date the administrative law judge entered his order denying benefits). The
    administrative record, however, clearly reflects that eligibility was determined only up to the date
    last insured, December 31, 2007.
    3
    pursuant to 
    42 U.S.C. § 405
    (g). She contends that remand is necessary to resolve
    an alleged discrepancy between the denial she now appeals and a new judgment by
    the SSA that entitles her to benefits. The latter judgment declared Carroll eligible
    for benefits beginning June 22, 2009, while the former denial covered the period
    from August 9, 2002 until December 31, 2007. We review de novo whether
    remand is necessary based on new evidence. Vega v. Comm’r of Soc. Sec., 
    265 F.3d 1214
    , 1218 (11th Cir. 2001).
    The sixth sentence of § 405(g) states:
    The court . . . may at any time order additional evidence to be taken
    before the Commissioner of Social Security, but only upon a showing
    that there is new evidence which is material and that there is good
    cause for the failure to incorporate such evidence into the record in a
    prior proceeding . . . .
    
    42 U.S.C. § 405
    (g) (emphasis added). Evidence is irrelevant and immaterial when
    it relates to a time period after the eligibility determination at issue. See Wilson v.
    Apfel, 
    179 F.3d 1276
    , 1278–79 (11th Cir. 1999) (per curiam) (explaining that a
    medical opinion given one year after the denial of benefits “may be relevant to
    whether a deterioration in [the claimant’s] condition subsequently entitled her to
    benefits” but is not probative to the issue of eligibility during the time period for
    which benefits were denied).
    The judgment entitling Carroll to benefits starting June 22, 2009 is new
    4
    evidence that was unavailable at the prior proceeding. Furthermore, there is good
    cause for not having this evidence at the prior proceeding, as the favorable
    judgment had not yet been rendered when the first claim for disability benefits was
    being considered. However, based on the time between decisions, and based on
    Carroll’s failure to produce any additional evidence apart from the favorable
    decision itself, that judgment alone is not material to the instant case. There is no
    inconsistency between the eligibility determinations; the subsequent decision
    merely shows that Carroll’s health deteriorated within the nearly year-and-a-half
    period between the eligibility decisions.
    Carroll also challenges the district court’s denial by asserting that it is a
    deviation from agency procedures outlined in the SSA’s Hearings, Appeals, and
    Litigation Law Manual (HALLEX). Carroll’s reliance on HALLEX to support her
    claim for remand is misplaced. We have held that the sixth sentence of § 405(g)
    “provides the sole means for a district court to remand to the Commissioner to
    consider new evidence presented for the first time in the district court.” Ingram v.
    Comm’r of Soc. Sec. Admin., 
    496 F.3d 1253
    , 1267 (11th Cir. 2007) (emphasis
    added). HALLEX is an agency handbook for the SSA not mentioned in § 405(g),
    so it cannot serve as the basis to remand Carroll’s case. Moreover, we have held
    that an agency’s violation of its own governing rules must result in prejudice
    5
    before we will remand to the agency for compliance. See Hall v. Schweiker, 
    660 F.2d 116
    , 119 (5th Cir. Unit A Sept. 1981) (per curiam).3 As discussed above, the
    new judgment granting benefits for a completely different time period was
    immaterial to the prior judgment. The agency’s failure to consider the subsequent
    favorable decision thus resulted in no prejudice.
    III.
    Carroll next challenges the ALJ’s finding that both she and Dr. Jamil, her
    treating physician at the time of the hearing, were not credible. We address each
    individually.
    Generally, the opinions of examining or treating physicians are given more
    weight than nonexamining or nontreating physicians unless “good cause” is
    shown. See 
    20 C.F.R. § 404.1527
    (d)(1), (2); Lewis v. Callahan, 
    125 F.3d 1436
    ,
    1440 (11th Cir. 1997). Good cause exists to discredit a physician’s testimony
    when a physician’s opinion is conclusory, contrary to or unsupported by the record
    evidence, or inconsistent with the physician’s own medical records. Lewis, 
    125 F.3d at 1440
    . The ALJ may “reject the opinion of any physician when the
    evidence supports a contrary conclusion.” Sryock v. Heckler, 
    764 F.2d 834
    , 835
    3
    In Bonner v. City of Prichard, 
    661 F.2d 1206
    , 1209 (11th Cir. 1981) (en banc), we
    adopted as binding precedent all decisions of the former Fifth Circuit handed down prior to the
    close of business on September 30, 1981.
    6
    (11th Cir. 1985) (per curiam) (citation and quotation marks omitted). Where an
    ALJ articulates specific reasons for declining to accord the opinion of a treating or
    examining physician controlling weight and those reasons are supported by
    substantial evidence, there is no reversible error. Moore v. Barnhart, 
    405 F.3d 1208
    , 1212 (11th Cir. 2005) (per curiam).
    The ALJ provided many reasons to discredit Dr. Jamil’s testimony. First,
    Dr. Jamil does not appear to have been Carroll’s treating physician until January
    17, 20084—after the last date insured. Dr. Jamil’s opinion finding Carroll
    permanently disabled was issued on June 6, 2008, and did not show any treatment
    or conclusion of disability during the eligibility period at issue here. Dr. Jamil’s
    medical records do not reflect that he conducted any psychological tests during his
    treatment of Carroll, much less any that could retrospectively establish her
    disability. Moreover, Dr. Jamil’s own medical records reflect that Carroll’s global
    assessment of function (GAF) was 56, 60, and 58 for her first three visits, each of
    which indicate only moderate psychological symptoms. Based on the record,
    substantial evidence supports the ALJ’s decision to accord little weight to Dr.
    Jamil’s conclusion that Carroll is permanently disabled. Because the ALJ touched
    4
    Although Dr. Jamil wrote on his questionnaire that he first saw Carroll on October 23,
    2007, medical records do not reflect any visit or treatment until January 17, 2008.
    7
    on each of these reasons, we find that he properly stated the justification for
    rejecting Dr. Jamil’s opinion.
    When a claimant attempts to establish disability through her own testimony
    concerning pain or other subjective symptoms, the claimant must satisfy two parts
    of a three-part “pain standard,” which requires (1) evidence of an underlying
    medical condition and (2) either (A) objective medical evidence that confirms the
    severity of the alleged pain stemming from that condition or (B) that the
    objectively determined medical condition can reasonably be expected to cause the
    alleged pain. Wilson v. Barnhart, 
    284 F.3d 1219
    , 1225 (11th Cir. 2002) (per
    curiam). “After considering a claimant’s complaints of pain, the ALJ may reject
    them as not creditable, and that determination will be reviewed for substantial
    evidence.” Marbury v. Sullivan, 
    957 F.2d 837
    , 839 (11th Cir. 1992) (per curiam)
    (citation omitted). The ALJ must explicitly and adequately articulate his reasons if
    he discredits critical subjective testimony. 
    Id.
     “A clearly articulated credibility
    finding with substantial supporting evidence in the record will not be disturbed by
    a reviewing court.” Foote v. Chater, 
    67 F.3d 1553
    , 1562 (11th Cir. 1995) (per
    curiam) (citation omitted).
    Here, substantial evidence supports the ALJ’s finding that Carroll’s
    testimony was not credible to the extent it exceeded the residual functional
    8
    capacity assessment (RFC). Carroll’s testimony that she hallucinated, heard
    things, felt extreme anger, and entertained suicidal and homicidal thoughts
    exceeded (and was more severe than) the documentary evidence. At least two of
    Carroll’s doctors noted that during treatment Carroll denied ever having
    hallucinations or suicidal thoughts. Moreover, her testimony is inconsistent with
    evidence from the evaluating psychologists, who found that she exhibited only
    moderate psychological symptoms. Based on the documentary evidence in the
    record, substantial evidence supports the ALJ’s conclusion to discredit Carroll’s
    testimony. We also find that the ALJ sufficiently articulated these reasons
    underlying his finding.
    IV.
    Carroll next argues that substantial evidence does not support the finding
    that she can perform medium work because the VE based his determination on an
    improper hypothetical question.
    The Social Security Regulations outline a five-step process used to
    determine whether a claimant is disabled. 
    20 C.F.R. § 404.1520
    (a)(4). If at any
    step a disability determination or decision can be made, the inquiry need not
    proceed further. 
    Id.
     Under the first step, the ALJ must determine whether the
    claimant is currently engaged in substantial gainful activity. 
    Id.
    9
    § 404.1520(a)(4)(i). At step two, the ALJ must determine whether the claimant
    has a severe impairment or combination of impairments. Id. § 404.1520(a)(4)(ii).
    Third, the ALJ must determine whether the claimant’s impairment meets or equals
    the criteria contained in one of the Listings of Impairments. Id.
    § 404.1520(a)(4)(iii). Fourth, if the claimant cannot meet the criteria, the
    claimant’s RFC is assessed, and the ALJ must determine if she has an impairment
    that prevents her from performing her past relevant work. Id.
    § 404.1520(a)(4)(iv). Fifth, once a claimant establishes that she cannot perform
    her past relevant work due to some severe impairment, the ALJ must determine
    whether significant numbers of jobs exist in the national economy that the
    claimant can perform. Id. § 404.1520(a)(4)(v). In this appeal, we are concerned
    only with this final step.
    One manner of determining the step-five inquiry is for the ALJ to ask a VE
    a series of hypothetical questions “to establish whether someone with the
    limitations that the ALJ has previously determined that the claimant has will be
    able to secure employment in the national economy.” Phillips v. Barnhart, 
    357 F.3d 1232
    , 1240 (11th Cir. 2004). We will affirm if the ALJ’s finding that other
    work exists is supported by substantial evidence. Chester v. Bowen, 
    792 F.2d 129
    ,
    131 (11th Cir. 1986) (per curiam). For a VE’s answer to a hypothetical question to
    10
    constitute substantial evidence, the question must encompass all of the claimant’s
    mental and physical impairments. Phillips, 
    357 F.3d at
    1240 n.7. However, the
    ALJ is not required to include findings in the hypothetical that the ALJ has found
    to be unsupported. Crawford v. Comm’r of Soc. Sec., 
    363 F.3d 1155
    , 1161 (11th
    Cir. 2004) (per curiam).
    To begin, the VE was asked hypothetical questions that incorporated the
    mental and emotional RFC determinations that were supported by record evidence.
    The ALJ properly excluded from the hypothetical questions Carroll’s subjective
    symptoms that exceeded the RFC determination. See 
    id.
     After reviewing all of
    the hypothetical questions, we find that the ALJ properly posed hypothetical
    questions that were supported by record evidence. The evidence as a whole,
    including that elicited from the VE, supports the ALJ’s finding that Carroll could
    perform a range of medium work that was present in the economy in significant
    numbers.
    In conclusion, we find that remand is not necessary in light of the recent
    decision that Carroll is entitled to benefits. The ALJ properly weighed the
    testimony of both Carroll and Dr. Jamil. Finally, the hypothetical questions posed
    to the VE were proper, as they included the symptoms from the RFC
    determinations.
    11
    AFFIRMED.
    12