Jani v. Bert Bell/Pete Rozelle NFL Player Retirement Plan , 209 F. App'x 305 ( 2006 )


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  •                                UNPUBLISHED
    UNITED STATES COURT OF APPEALS
    FOR THE FOURTH CIRCUIT
    No. 05-2386
    SUNNY JANI, Administrator of the Estate of
    Michael L. Webster, deceased,
    Plaintiff - Appellee,
    versus
    THE   BERT  BELL/PETE  ROZELLE  NFL   PLAYER
    RETIREMENT PLAN; THE NFL PLAYER SUPPLEMENTAL
    DISABILITY PLAN,
    Defendants - Appellants.
    Appeal from the United States District Court for the District of
    Maryland, at Baltimore. William D. Quarles, Jr., District Judge.
    (CA-04-1606-WDQ)
    Argued:   September 18, 2006             Decided:    December 13, 2006
    Before WILKINSON and DUNCAN, Circuit Judges, and Henry F. FLOYD,
    United States District Judge for the District of South Carolina,
    sitting by designation.
    Affirmed by unpublished opinion. Judge Duncan wrote the opinion,
    in which Judge Wilkinson and Judge Floyd joined.
    ARGUED: Edward Arthur Scallet, GROOM LAW GROUP, CHARTERED,
    Washington, D.C., for Appellants. Cyril Vincent Smith, ZUCKERMAN
    SPAEDER, L.L.P., Baltimore, Maryland, for Appellee.     ON BRIEF:
    Douglas W. Ell, GROOM LAW GROUP, CHARTERED, Washington, D.C., for
    Appellants. Sean P. Vitrano, William K. Meyer, ZUCKERMAN SPAEDER,
    L.L.P., Baltimore, Maryland; Robert P. Fitzsimmons, Wheeling, West
    Virginia, for Appellee.
    Unpublished opinions are not binding precedent in this circuit.
    2
    DUNCAN, Circuit Judge:
    Mike Webster, the Hall of Fame center best known for anchoring
    the offensive line of the Pittsburgh Steelers professional football
    team from 1974 to 1988, developed brain damage as a result of the
    multiple head injuries he suffered as a player.            He was awarded
    degenerative disability benefits by the administrator (the “Board”)
    of the NFL’s retirement plans.1             The Board acknowledged that
    injuries sustained during his football career had caused Webster
    eventually to suffer total and permanent mental disability in
    September 1995, four years after his retirement, but denied him the
    more lucrative benefits reserved for those whose disabilities begin
    while they are still actively playing football.
    Webster’s estate sued the retirement plans under the Employee
    Retirement   Income   Security   Act   of    1974   (“ERISA”),   
    29 U.S.C. §§ 1001-1461
     (2000), claiming that the Board abused its discretion
    in setting Webster’s total disability date at September 1995.           The
    district court ruled that the Board first abused its discretion by
    ignoring the unanimous medical evidence that established March 1991
    as the onset date for Webster’s total and permanent disability, and
    1
    The NFL enrolls all players in the Bert Bell/Pete Rozelle NFL
    Retirement Plan (the “Plan”) and the NFL Player Supplemental
    Disability Plan (together, the “Plans”). J.A. 98 (Plan art. 2).
    The operative language determining eligibility for benefits is
    found in the Plan. The NFL Player Supplemental Disability Plan, in
    contrast, operates to augment the size of benefits awards after
    eligibility has been established under the Plan.
    3
    second in refusing to toll the Plan’s limitations period for filing
    a claim for disability.       The Plans2 appealed both rulings.
    While    recognizing     that    the       decisions     of   a    neutral    plan
    administrator are entitled to great deference, we are nevertheless
    constrained    to    find   on     these       facts   that    the      Board    lacked
    substantial evidence to justify its denial here.                       In particular,
    the Board ignored the unanimous medical evidence, including that of
    its own expert, disregarded the conclusion of its own appointed
    investigator,       and   relied    for        its   determination       on     factors
    disallowed by the Plan. Because we also find that Webster’s mental
    incapacity should have tolled the limitations period, we affirm the
    decision of the district court.
    I.
    A.
    “Iron Mike” Webster played center in the National Football
    League (“NFL”) for the Pittsburgh Steelers from 1974 to 1988,
    collecting four Super Bowl rings during that era.                       J.A. 628-29.
    After becoming a free agent, Webster started for the Kansas City
    Chiefs in 1989 and played as a backup center in 1990 before
    retiring from active play in March 1991.                    J.A. 629.      In total,
    2
    Because the Plans, not the Board, are the Defendants in this
    case, we refer to the Board when discussing Webster’s application
    process and to the Plans when discussing party actions during
    litigation.
    4
    Webster played 245 games, the most ever by a center, and at one
    point played six years without missing a single offensive down.
    J.A. 622-24.       Webster was designated an All-Pro nine times during
    his career and was inducted into the Pro Football Hall of Fame in
    1997.    
    Id.
    Webster endured numerous blows to the head as a center.                 J.A.
    622.    The center is the player in the middle of the offensive line
    and is responsible for snapping the football between his legs to
    the quarterback to begin each offensive play.                  Defensive players
    are permitted to rush at the quarterback as soon as the football is
    snapped.       The center is particularly vulnerable because he must
    right himself after the snap to protect the quarterback from the
    oncoming defensive rush. Of particular danger to offensive linemen
    in Webster’s era was the “head slap” technique, in which defensive
    linemen    would      begin   their     quarterback     rush   by   striking   the
    offensive linemen on the sides of the helmet to daze them.                     J.A.
    676.    Though made illegal by an NFL rule change in 1977, use of the
    head    slap    and   other   violent     techniques     by    defensive    linemen
    continued.      J.A. 683-84.
    After     playing      sixteen     years   and     sustaining       multiple
    concussions, Webster retired from football in March 1991.                      His
    remaining eleven years of life were plagued by a series of failed
    business ventures and stunted career attempts.                      In fact, the
    5
    parties agree that none of these attempts at gainful employment
    succeeded.        J.A. 695.
    First, Webster was hired to work as a football analyst for NBC
    in July 1991.        J.A. 629.   After auditioning in two preseason games,
    he moved back to Wisconsin and did not continue this work.                    J.A.
    647.    Webster also tried his hand as an investor.               In May 1992, for
    example, he invested in “Webster Asset Management, Ltd.” and in
    “Terra      Firma    Development     Trust,”    which   owned     real   estate   in
    Pittsburgh.         J.A. 479, 629.
    Webster made a number of representations about his employment
    status in 1993 and 1994.         For example, he told a doctor in May 1993
    that he was working “as a financial investment advisor and real
    estate manager.”          J.A. 266.      He told another doctor during a
    hospital stay in June 1993 that he was running “several self-owned
    business [sic] in Pittsburgh,” J.A. 277, and that he was part-owner
    of Olympia Steel, J.A. 294.             In August 1993, he applied for a
    credit card, calling himself the manager of Distinctively Lazer for
    the previous six months and representing that he earned $80,000 per
    year.    J.A. 458.      In September 1993, Webster told a doctor that he
    was employed full-time.          J.A. 264.      In October 1993, Webster and
    two others registered the name “Tins, Totes and Tees” for a
    business to conduct retail sales.              J.A. 630.
    It    is   undisputed,    however,      that   none   of   these   business
    ventures generated income.           Tax records, social security records,
    6
    and Webster’s own affidavit show that his only income during 1991-
    1993 consisted of his final payments from the Chiefs in 1991,
    deferred payments from the Steelers in 1992, and fees of $10,000
    for card-signing and appearances in 1992 and 1993.                 J.A. 704-49.
    In fact, an associate of Webster’s at Distinctively Lazer told the
    Board’s investigator, “I think there was something mentally wrong
    with Mike.     His business thinking was very poor.”              J.A. 700-01.
    Webster    returned   to    football    in   1994   as   a    strength   and
    conditioning coach for the Chiefs.          The Assistant General Manager
    of the Chiefs indicated that Webster was hired “as a favor” and
    that he was not “doing very well during this time period and . . .
    may have been living in his car.”         J.A. 699.   Webster later averred
    that as a strength and conditioning coach he had no “specific
    coaching duties but was there supposedly to help out if necessary.”
    J.A. 709.    In November 1994, Webster showed up at a friend’s house,
    stating that he “was tired of sleeping in his car.”               J.A. 652.   The
    friend, citing Webster’s “strange habits,” allowed him to stay for
    a few months.     J.A. 653.      Webster left the coaching position at
    some point in 1995, having earned a total of about $30,000 from the
    Chiefs for his services.         J.A. 409.    Webster’s former teammates
    told the Board’s investigator that beginning in 1995 through 1997,
    Webster did not appear well, with some “characterizing his behavior
    as strange or paranoid.”        J.A. 518.
    7
    Webster was mostly unemployed after 1995, earning essentially
    nothing   until   his    death    in   2002.            The   Board’s    investigator
    summarized Webster’s post-retirement history by noting that he
    found no “evidence that any of [his business ventures] succeeded.”
    J.A. 519.       He concluded, “It is unclear whether any of these
    ventures were successful and whether or not Mr. Webster’s health
    has affected his ability to operate these business ventures.” J.A.
    464.
    Webster had contacted the Board on five occasions in 1995 and
    1996, sometimes only days apart, each time seeking an application
    for filing a disability claim.         J.A. 206-210, 215, 218.             Not one of
    these applications was ever completed.                   Webster was diagnosed in
    1998 with brain damage resulting from multiple head injuries he
    incurred while playing football.               In the spring of 1999, Webster
    finally completed an application for disability benefits under the
    NFL retirement plans.      We now examine the language of those plans.
    B.
    The Plans provide for four types of benefits for players who
    suffer a total and permanent (“T&P”) disability as a result of
    football, two of which are relevant here. An applicant may qualify
    for “Active Football” benefits if “the disability(ies) results from
    League football activities, arises while the Player is an Active
    Player,   and   causes   the     Player       to   be    totally   and    permanently
    8
    disabled ‘shortly after’ the disability(ies) first arises.”                           J.A.
    110    (Plan    §   5.1(a)).       A    lesser        benefit,       styled      “Football
    Degenerative,” is available provided that “the disability(ies)
    arises out of League football activities, and results in total and
    permanent disability before the later of (1) age 45, or (2) 12
    years after the end of the Player’s last Credited Season.”                            J.A.
    110 (Plan § 5.1(c)).
    Common to both types of benefit, then, is the requirement that
    an applicant prove that he suffered a T&P disability as a result of
    playing football.        An applicant “will be deemed to be totally and
    permanently disabled if the Retirement Board finds that he has
    become totally disabled to the extent that he is substantially
    prevented from or substantially unable to engage in any occupation
    or employment for remuneration or profit.”                 J.A. 111 (Plan § 5.2).
    However, “[a] Player will not be considered to be able to engage in
    any occupation or employment for remuneration or profit . . .
    merely because such person is employed by the League or an Employer
    . . . or is employed out of benevolence.”                  Plan § 5.2 (J.A. 112)
    (emphasis      added);   see   also     J.A.     93    (Plan     §    1.13)      (defining
    “Employer” as “a member Club of the League”).                           The Board may
    require an applicant “to submit to an examination by a competent
    physician or physicians selected by the Retirement Board and may be
    required to submit to such further examinations as, in the opinion
    of    the   Retirement    Board,       are   necessary     to        make   an    adequate
    9
    determination respecting his physical or mental condition.”      J.A.
    112 (Plan § 5.2).
    To be eligible for the higher Active Football benefits, an
    applicant must also show that he became disabled while an Active
    Player, which disability became T&P “shortly after” it first arose.
    Each of these elements is defined further in the Plan.    A player
    remains an “Active Player” upon retirement until the July 15
    following his retirement or the first day of the next preseason
    training camp, whichever is later.   See J.A. 91 (Plan § 1.1).     An
    applicant becomes T&P disabled “shortly after” the disability first
    arises for purposes of the definition of Active Football benefits
    according to a three-tiered scheme of presumptions:
    A player who becomes totally and permanently disabled no
    later than six months after a disability(ies) first
    arises will be conclusively deemed to have become totally
    and   permanently    disabled    “shortly    after”   the
    disability(ies) first arises, . . . and a Player who
    becomes totally and permanently disabled more than 12
    months after a disability(ies) first arises will be
    conclusively deemed not to have become totally and
    permanently disabled “shortly after” the disability(ies)
    first arises . . . . In cases falling within this six-
    to twelve-month period, the Retirement Board will have
    the right and duty to determine whether the “shortly
    after” standard is satisfied.
    J.A. 111 (Plan § 5.1).
    Even if an applicant otherwise would succeed in earning Active
    Football or Football Degenerative benefits from the onset date of
    his T&P disability, a limitations provision, added to the Plan and
    effective for claims received on and after November 1, 1998, may
    10
    prevent   him   from   recovering    certain   time-barred   benefits.
    Specifically:
    [N]o total and permanent disability benefit . . . will be
    payable with respect to any month or other period of time
    that precedes by more than forty-two (42) months the date
    the Plan Director first receives a written application or
    similar letter requesting such benefit, provided that
    such written application or similar letter begins the
    administrative process that results in the award of the
    benefit.
    J.A. 151 (Plan § 5.7).       Section 5.7 also includes a tolling
    provision, however:
    The forty-two month limitations period in each of the
    above sentences will be tolled for any period of time
    during which such Player is found by the Retirement Board
    to be physically or mentally incapacitated in a manner
    that substantially interferes with the filing of such
    claim.
    Id.
    C.
    Webster applied for Active Football benefits and, in the
    alternative, Football Degenerative benefits in the spring of 1999.
    In support of his claim, Webster submitted his post-retirement
    medical records and the reports of Dr. Fred Krieg, Dr. James
    Vodvarka, and Dr. Jonathan M. Himmelhoch.
    Webster’s medical records revealed that he sought medical
    treatment for certain physical ailments between March 1991 and
    September 1995. In late 1992, for example, Webster began to suffer
    from an “extensive lymphedema,” or fluid collection resulting in
    11
    swelling, “involving both lower extremities.”                  J.A. 273, 276.      In
    May 1993, a CT scan revealed a likely lymphoma, or cancer of the
    lymph nodes.     J.A. 274-75.     Webster checked into a hospital in June
    1993 under the care of Dr. Stanley Marks, a hematologist and
    oncologist.      A treatment regimen orchestrated by Dr. Marks led to
    improvement in Webster’s physical condition over the subsequent
    several months.        J.A. 264, 269-72.
    Webster then saw Dr. Robert Conn, a cardiovascular specialist,
    for an echocardiogram in January 1994.              J.A. 295.        Dr. Conn noted
    in a contemporaneous letter that “Mr. Webster is capable of most
    physical      activities   that   would      be   relevant      to    his   age   and
    recreational desires.”        J.A. 295-96 (emphasis added).
    Webster followed up with Dr. Marks on September 5, 1996.                    Dr.
    Marks noted that Webster’s “life has really deteriorated recently
    and he is living out of his car.          His income has been nominal.             He
    has   major    problems    with   depression       and   obsessive      compulsive
    behavior and is currently being treated with Ritalin and Paxil.”
    J.A. 265.
    Later     that   day,   Webster    met      with   Dr.    Jerry    Carter,    a
    psychiatrist, because some of his former teammates had “encouraged
    him to have an evaluation” after Webster was found sleeping in a
    local train station.          Webster told Dr. Carter that he had been
    living in hotels and in his car for the previous three-and-one-half
    years.      Webster also insisted that he need only overcome his
    12
    reclusive tendencies and then his mood and ability to function
    “would improve considerably.”             Webster recounted a tumultuous
    childhood, a history of low self-esteem, and that he was living
    only for his periodic visits with his children in Wisconsin.              J.A.
    307.
    Webster then saw Dr. Vodvarka, an osteopath and practitioner
    of internal medicine, in late 1997.            J.A. 300-03.       Dr. Vodvarka
    recognized that Webster might be suffering from post-concussion
    syndrome.    J.A. 302.
    Webster retained an attorney, Mr. Robert P. Fitzsimmons, to
    assist him in applying for disability benefits.                    Fitzsimmons
    referred Webster to Dr. Krieg, a psychologist, to determine whether
    Webster was disabled.          In November 1998, Dr. Krieg diagnosed
    Webster with brain damage--that is, dementia resulting from his
    football-related head traumas. J.A. 227. Dr. Krieg observed that
    “although it is [to] Mr. Webster’s advantage to have ‘done poorly’
    on this evaluation, he really tried throughout the interview to
    make   himself   look    as   good   as    possible,   covering    up   certain
    information.”    J.A. 225.      Dr. Krieg concluded that Webster “had
    become disabled to the extent that he is substantially unable to
    engage in any occupation or employment at this time.”               J.A. 232.
    Webster was reevaluated by Dr. Vodvarka, who opined in an open
    letter dated March 1999 that Webster “would have been able to prove
    total disability at the time he was released by the Pittsburgh
    13
    Steelers” because of his dementia and cognitive dysfunction.               J.A.
    253, 257.      Dr. Vodvarka linked Webster’s mental ailments to the
    head injuries suffered during his years of football, and concluded
    that Webster “will never be able to engage in any occupation or
    employment for remuneration or profit.”          J.A. 259.
    Webster also met with Dr. Himmelhoch, a psychiatrist, in a
    series of six sessions beginning in March 1999.               J.A. 315.    Dr.
    Himmelhoch opined, in a letter to the Plans dated June 22, 1999,
    that       Webster   suffered   from       “traumatic    or    punch      drunk
    encephalopathy3” resulting from football, leaving him totally and
    permanently disabled.       J.A. 317-20.
    Finally, Webster submitted an affidavit stating that he had
    been unable to perform any productive work for the Chiefs during
    his coaching tenure in 1994 and 1995 because of the crippling
    nature of his brain damage.      J.A. 709.     He explained that “[s]ince
    completing my football playing years, I have been unable to obtain
    or keep any type of meaningful and/or gainful employment because of
    the problems I have experienced from my brain injury.”                J.A. 710.
    Responding    to   Webster’s   application,      the   Board    required
    Webster to be evaluated by a neurologist of its choosing, Dr.
    Edward Westbrook, on June 21, 1999, pursuant to Plan section 5.2.
    On a form provided by the Board for his completion, Dr. Westbrook
    3
    Encephalopathy literally means “brain disease.” Random House
    Webster’s Unabridged Dictionary 640 (2001).
    14
    answered the question “When did present disability occur?” with
    “3/91 or before.” J.A. 362.            In an accompanying letter dated
    October 28, 1999, Dr. Westbrook indicated that though Webster
    offered only a “poor history,” he was able to determine that
    Webster was “completely and totally disabled.”            J.A. 367.
    On the same date that Dr. Westbrook’s report issued, the Board
    awarded    Webster     Football    Degenerative     benefits   prospectively
    without setting an onset date for his T&P disability and tabled
    Webster’s application for Active Football benefits “to allow [a]
    neutral physician to review additional medical information and make
    [a] final report.”         J.A. 374.
    Webster appealed the decision, which appeal was denied on May
    8, 2000 by the Board.         J.A. 397-99.     First, the Board diminished
    the significance of its own medical expert’s report because the
    report only indicated when Webster became disabled, not when he
    became    totally    and    permanently     disabled.   Second,   the   Board
    discounted Dr. Vodvarka’s assessment that Webster was totally and
    permanently disabled as of 1988.            Because Webster played two more
    seasons after 1988 with the Chiefs, the Board concluded that Dr.
    Vodvarka must have misinterpreted the Plan’s definition of “T&P
    disability.”    Finally, the Board chided Webster for failing to
    submit sufficient evidence showing that he did not work from 1991
    onward.    J.A. 399.
    15
    Webster appealed again.    This time, to respond to the Board’s
    concerns, Webster submitted supplemental reports from Drs. Krieg
    and Himmelhoch, each of whom concluded, to a reasonable degree of
    professional certainty, that Webster was totally and permanently
    disabled as of March 1991.    J.A. 580, 608.   Webster also submitted
    a report from Dr. L. Charles Kelly, an osteopath, setting Webster’s
    T&P disability date at March 1991.      J.A. 422-25.
    To   strengthen   the   appeal,   Webster’s   attorney   asked   Dr.
    Westbrook, the Board’s neutral physician, to opine as to the onset
    date of Webster’s T&P disability.        Dr. Westbrook wrote to the
    Board:
    It is clear that the patient had significant trouble
    playing football in 1990 and officially retired in 1991.
    It would appear on that basis that he was completely and
    totally disabled as of the date of his retirement and was
    certainly disabled when he stopped playing football
    sometime in 1990. . . . He has remained completely and
    totally disabled for any occupation beginning in
    approximately 1990 and will not be expected to improve.
    J.A. 565.
    The Board responded on October 31, 2000, by again requesting
    additional documentation to prove Webster’s lack of income during
    the critical 1991 to 1996 period.      Webster submitted records from
    the Internal Revenue Service, the Social Security Administration,
    the Commonwealth of Pennsylvania, the Kansas City Chiefs and the
    Pittsburgh Steelers, corroborating his assertion that he earned
    nothing after his retirement other than his coaching salary from
    the Chiefs.   J.A. 714-49.
    16
    Not satisfied with this response, the Board also hired a
    private   investigator    to   delve    into    the   details   of   Webster’s
    employment history.      The investigator found evidence that Webster
    was nominally involved in various business ventures as detailed
    above, but concluded that he “was unable to find any evidence that
    any of them succeeded.”        J.A. 695.       While the investigation was
    underway, Webster died of a heart attack, on September 24, 2002.
    The Board finally denied Webster’s application for Active
    Football benefits on March 17, 2003, and set the onset date for his
    T&P disability at September 1, 1996.            In setting this date, the
    Board   gave   the   following   reasons:       (1)   Webster’s   work   as   a
    broadcaster for two games in 1991, his series of failed business
    ventures from 1992 to 1994, and his work as an assistant coach for
    the Chiefs in 1994 and 1995 demonstrated his ability “to engage in
    any occupation . . . for remuneration or profit”; and (2) the
    medical evaluation in 1996 by Dr. Marks stating that Webster’s life
    “has really deteriorated recently” implies that Webster was not
    mentally disabled during his 1993 visit to Dr. Marks.                J.A. 555.
    The Board made no reference to either the findings of its own
    medical expert or the other medical evidence that expressly set the
    onset date of Webster’s T&P disability at March 1991.
    Webster’s estate appealed the Board’s March 2003 decision. In
    July 2003, the Board affirmed by letter its previous determination,
    disavowing the medical reports of Dr. Krieg, Dr. Vodvarka, Dr.
    17
    Himmelhoch, Dr. Kelly, and its own Dr. Westbrook because so much
    time had passed between 1991 and 1997, when the first of these
    doctors evaluated Webster for brain damage.                 J.A. 612-16.     Noting
    that these assessments were not performed “contemporaneous[ly] with
    the suggested onset date” of Webster’s T&P disability, the Board
    deemed such ex post pronouncements as “speculative and conclusory.”
    J.A. 614-15.
    The   Board      also   cited    for     the   first    time   the   42-month
    limitation     provision      in     Plan     section   5.7     that      disallows
    establishment of an onset date for T&P disability earlier than 42
    months   prior   to    the    filing     of   the   application,       unless   the
    applicant’s mental incapacity substantially interfered with the
    filing of the claim.         J.A. 615.      Finding that Webster had offered
    no proof of “substantial interference,” the Board found that the
    limitations provision barred the recovery of any benefits prior to
    January 1, 1996.4       J.A. 616.        This letter of denial marked the
    Board’s final administrative decision.
    Webster’s estate filed an ERISA complaint in the United States
    District Court for the District of Maryland, seeking money damages
    4
    The Board’s denial letter referred to January 1, 1995 as the
    retroactivity cutoff date.     Presumably, the Board intended to
    utilize the limitations provision to bar recovery of any benefits
    prior to January 1, 1996.
    In any case, the parties disagree on which date Webster filed
    his application for purposes of applying the limitations period.
    Because we hold that the 42-month rule was tolled here, however,
    the exact application date is of no moment.
    18
    and declaratory relief under § 1132(a)(1)(B) and (a)(3).             Both
    parties moved for summary judgment. The district court granted the
    Plaintiff’s motion, but denied the Plans’ motion.
    In finding that the Board abused its discretion by denying
    Webster Active Football benefits, the district court noted that
    “[e]ach   specialist   who   examined   Webster’s   neurological   status
    concluded that he was totally and permanently disabled under the
    terms of the Plan by March 1991.”       Jani v. Bert Bell/Pete Rozelle
    NFL Player Ret. Plan, No. 04-1606, 
    2005 WL 1115250
    , at *6 (D. Md.
    April 26, 2005).   The court further found the lack of diagnosis of
    mental impairment in 1993 by Dr. Marks, an oncologist, to be
    insufficient to provide “substantial evidence” to justify denial of
    Active Football benefits to Webster. 
    Id.
     The court also cursorily
    held that because “Webster had been incapacitated by brain damage
    since 1991, the Plan’s limitations period does not apply to his
    disability claim.”     
    Id.
    The Plans timely appealed, arguing that the Board’s denial of
    Active Football benefits was a reasoned exercise of discretion
    supported by substantial evidence and, in the alternative, that the
    Plan’s limitations provision barred recovery of benefits prior to
    January 1, 1996.   We consider each argument in turn.
    19
    II.
    A.
    Because       the   Plans    grant    the     Board   “full   and    absolute
    discretion, authority and power to interpret . . . the Plan,” J.A.
    121    (Plan     §   8.2),   we    review    the   Board’s   decision      under    the
    deferential abuse of discretion standard5 rather than de novo.                      See
    Smith v. Cont’l Cas. Co., 
    369 F.3d 412
    , 417 (4th Cir. 2004) (citing
    Firestone Tire & Rubber Co. v. Bruch, 
    489 U.S. 101
    , 111 (1989)).
    The Board’s discretion, however, is not unfettered.                   Its exercise
    must       be   supported     by    substantial      evidence.       Bernstein       v.
    CapitalCare, Inc., 
    70 F.3d 783
    , 788 (4th Cir. 1995).
    Substantial         evidence   is     “such    relevant   evidence      as    a
    reasonable mind might accept as adequate to support a conclusion.”
    5
    The Plans seem to argue for an even higher level of deference
    than that typically afforded ERISA fiduciaries, because of the
    knowledge and skill required to assess football injuries in
    particular. See, e.g., Appellants’ Br. at 45 (“The Board believes
    that the complexity of the Plan here and the unique medical and
    occupational issues faced by professional football players present
    special challenges to a decision maker, and that experience with
    meeting those challenges is important.”).      To be sure, special
    knowledge is indeed helpful in making benefits determinations in
    football, as it is in any industry.      The deferential abuse of
    discretion standard obtains in part precisely because courts cannot
    have expertise in every industry. See Berry v. Ciba-Geigy, 
    761 F.2d 1003
    , 1006 (4th Cir. 1985) (“[T]he standard exists to ensure
    that administrative responsibility rests with those whose
    experience is daily and continual, not with judges whose exposure
    is episodic and occasional.”). That our knowledge of football-
    related disability pales in comparison to the Board’s knowledge,
    however, does not militate to bestowing a higher standard than
    abuse of discretion. Instead, the Board is entitled to the same
    abuse of discretion review afforded to knowledgeable fiduciaries of
    any ERISA plan.
    20
    Richardson v. Perales, 
    402 U.S. 389
    , 401 (1971) (noting that this
    definition obtains widely “in varying statutory situations”).                 It
    is thus “more than a mere scintilla,” 
    id.,
     but “less than the
    weight of the evidence,” Consolo v. Fed. Mar. Comm’n, 
    383 U.S. 607
    ,
    620 (1966).
    Because a fiduciary must present substantial evidence to
    justify a denial of benefits, it logically follows that a fiduciary
    appears to abuse its discretion when, in denying benefits, it
    ignores   unanimous   relevant   evidence       supporting     the    award   of
    benefits.     Cf. Pikulas v. DaimlerChrysler, 
    397 F. Supp. 2d 883
    ,
    892-93 (E.D. Mich. 2005) (finding an abuse of discretion when a
    fiduciary denied benefits despite the unanimous evidence of three
    examining doctors agreeing that the claimant was unable to work);
    Giannone v. Metro. Life Ins. Co., 
    311 F. Supp. 2d 168
    , 177-78 (D.
    Mass. 2004) (finding an abuse of discretion when a fiduciary denied
    benefits, citing the opinion of a non-examining physician, which
    was   contrary   to   the   unanimous       opinion    of   several   treating
    physicians, the fiduciary’s own investigator, and the claimant’s
    medical   history).      Similarly,     a    plan     fiduciary   abuses      its
    discretion by crediting a doctor’s earlier, incomplete evaluation
    but ignoring the same doctor’s later, more comprehensive opinion.
    Donovan v. Eaton Corp., Long Term Disability Plan, 
    462 F.3d 321
    ,
    329 (4th Cir. 2006).
    21
    We have required benefits administrators to follow unanimous
    evidence    in    other    contexts        in    which      we   employ    an       abuse    of
    discretion standard as well.               For example, in Stawls v. Califano,
    
    596 F.2d 1209
     (4th Cir. 1979), a case involving a social security
    disability benefits claim, the administrator denied the applicant’s
    claim for T&P disability benefits because it found that she was
    unable to prove that her T&P disability began prior to 1962 and was
    continuously present thereafter.                 
    Id. at 1213
    .        The administrator
    ignored    the     medical      opinion         of    one   psychiatrist        that        the
    applicant’s schizophrenia was indeed continuously disabling, rather
    than    intermittently       so,     and    the       medical    opinion       of    another
    psychiatrist that the disability began prior to 1962.                           The second
    psychiatrist, though he had treated the applicant since 1954, had
    lost his contemporaneous notes.                  He nevertheless opined in 1976
    that the applicant had been disabled prior to 1962.                       The applicant
    challenged       the   denial   of    benefits         in   court,    and      this    court
    ultimately remanded the dispute to the benefits administrator,
    demanding an explanation for “why the uncontradicted evidence of
    the psychiatrists should not suffice to afford recovery.”                                   
    Id.
    Thus,     even    though     the     second          psychiatrist’s       ex    post        and
    undocumented opinion might have been less weighty were there
    conflicting medical opinions, it remained uncontradicted and could
    not therefore be ignored.             See id.; see also Martin v. Sec’y of
    Dept. of Health, Ed. and Welfare, 
    492 F.2d 905
    , 907-08 (4th Cir.
    22
    1974) (holding in a social security disability benefits case that
    the mere “opinion evidence of the non-examining Social Security
    doctor”    is    not   “substantial       enough    to    sustain   [a    denial   of
    benefits]       when   (a)     the   claimant’s      subjective         evidence   of
    disability, (b) the expert medical opinion of examining physicians,
    (c) claimant’s vocational history, and (d) the objective medical
    facts, are all to the contrary”).
    Similarly, our jurisprudence under the Black Lung Benefits
    Act, 
    30 U.S.C. §§ 901-945
     (2000), allows a claimant to establish
    total    disability     by     offering    uncontradicted        reasoned    medical
    evidence.       See, e.g., Milburn Colliery Co. v. Hicks, 
    138 F.3d 524
    ,
    529 (4th Cir. 1998) (citing 
    20 C.F.R. § 718.204
    (c)(4) (1997)).                     It
    is only “[i]f the evidence is contradicted [that] we must determine
    whether the ALJ conducted an appropriate analysis of the evidence
    to support his conclusion.”          Hicks, 
    138 F.3d at 529
    ; see also Curry
    v. Beatrice Pocahontas Coal Co., 
    67 F.3d 517
    , 521 (4th Cir. 1995)
    (finding    that       three    medical        opinions    did    not     constitute
    “substantial evidence” sufficient to justify a denial of benefits
    because the doctors had not opined “without equivocation” on the
    dispositive       question--whether         the     claimant      “suffer[ed]      no
    respiratory or pulmonary impairment of any kind”).6
    6
    We recognize that the standards and processes governing cases
    involving black lung and social security disability benefits are
    different from those that apply under ERISA.      We refer to this
    parallel jurisprudence only to show our consistent treatment of
    unanimous medical evidence in other statutory contexts.
    23
    B.
    With the foregoing guidance as to what constitutes substantial
    evidence in mind, we turn to a consideration of the facts on which
    the Board here based its decision.            We do so mindful of the fact
    that the Board has the discretion to define “T&P disability” in any
    reasonable and consistent manner.            See J.A. 121 (Plan § 8.2(a));
    Booth v. Wal-Mart Stores, Inc. Assocs. Health & Welfare Plan, 
    201 F.3d 335
    , 342 (4th Cir. 2000).
    The Plans proffer two principal justifications for the Board’s
    denial of Active Football benefits.            First, the Plans argue that
    Webster could not possibly have been “substantially unable to
    engage in any occupation or employment for remuneration or profit,”
    J.A. 111 (Plan § 5.2), because he was actually employed between
    1991 and 1996.          The Plans cite Webster’s stint as a broadcast
    analyst   for    two    games   in   1991,   his   work   as   a   strength   and
    conditioning coach for the Chiefs in 1994-95, and his ongoing self-
    employment from 1991 to 1996.
    Not one of these ostensible occupations provides substantial
    evidence that Webster was not “substantially unable to engage in
    any . . . employment” between 1991 and 1996.              First, Webster need
    only show that he suffered T&P disability “shortly after” his
    disability      first   arose   upon   retirement.        Thus,    his   two-game
    dalliance ending within six months of retirement does not disprove
    that he suffered T&P disability “shortly after” retirement.                   See
    24
    J.A. 111 (Plan § 5.1).   In any case, the medical evidence suggests
    that his stunted broadcasting career was in fact merely an audition
    that failed as a result of his diminished cognitive capabilities.
    Second, Webster’s coaching position with the Chiefs is excluded
    from Board consideration by the plain language of the Plan itself.
    See J.A. 112 (Plan § 5.2).    Section 5.2 provides, “A Player will
    not be considered to be able to engage in any occupation or
    employment for remuneration or profit . . . merely because such
    person is employed by an Employer,” that is, by a team, “or is
    employed out of benevolence.”   Id.    Because Webster was “employed
    by an Employer,” and, moreover, was “employed out of benevolence,”
    the Plan twice deprives Webster’s brief coaching spell of any
    conclusive value. Finally, Webster’s occasional representations in
    the early 1990s that he was gainfully employed and that his various
    sinecures demanded his “full-time” attention evaporate in the
    absence of any evidence to show that Webster ever earned a single
    dollar from or contributed anything other than his name to these
    enterprises.   “[U]nable to find any evidence that any of them
    succeeded,” the Board’s own investigator refutes its conclusion
    that Webster was able to work after retirement.    See J.A. 695.
    Second, the Plans direct us to the evaluations of Webster by
    various doctors during the critical period that tended to show he
    was “generally in good health.”    See Appellants’ Br. at 46.   Not
    one of these doctors, however, was either asked, or for that matter
    25
    was qualified, to comment on Webster’s mental health.                          That a
    cardiologist reported, for example, that “Webster is capable of
    most physical activities that would be relevant to his age and
    recreational       desires”    proves     nothing     regarding        the   state    of
    Webster’s brain damage at the time. See J.A. 285 (emphasis added).
    Webster has never argued before the Board, nor does his estate
    argue now, that he was unable to work because of a physical
    disability.
    The       Plans   lean   heavily   on    the    reports      of   Dr.   Marks    in
    particular to prove that Webster was mentally fit in 1993 and 1994,
    but by September 1996 had suffered a drastic reduction in mental
    wellness.      In examining Webster for pain in his armpit in 1993, Dr.
    Marks,     a    hematologist     and    oncologist,         did   not     record     any
    observations about Webster’s mental state.                  However, in 1996, Dr.
    Marks    reported      that   Webster’s      “life    has    really      deteriorated
    recently.”       J.A. 265.
    The Plans ask us to infer from this change in scope between
    Dr. Marks’s two reports that Webster was not T&P disabled by dint
    of brain damage in 1993.        The Plans assert that had Webster in fact
    been brain damaged in 1993, “none of the above trained physicians
    would have missed it.”           Appellants’ Br. at 46.                Similarly, the
    Plans question the lack of any contemporaneous medical evidence
    between 1991 and 1996 showing that Webster was brain damaged.                        Id.
    26
    The Board’s own expert, however, opined directly on the
    question of when Webster’s T&P disability began.         Dr. Westbrook
    wrote to the Board, “[Webster] was completely and totally disabled
    as of the date of his retirement and was certainly disabled when
    stopped playing football sometime in 1990.”       J.A. 565.7
    Thus, the Plans ask us, in short, to do two things:       first, to
    disregard the testimony of the Board’s own medical expert (in
    addition to all the others) because it was not “contemporaneous,”
    a fact of which it had to have been aware when it engaged him, and
    second, to hold that the absence of contemporaneous evidence is
    itself “substantial evidence.”    As inclined as we are to defer to
    the Board’s discretion, the law does not permit such a leap of
    faith.
    We are not unsympathetic to the Board’s desire to protect Plan
    assets in the context of claims of mental disability that may be
    susceptible of misdiagnosis.     However, the Board is not without
    recourse in this situation.    As we have discussed, the Plan itself
    provides the Board with tools to resolve precisely this type of
    scenario--an   applicant   submitting   medical    evidence    that    is
    substantial but which the Board does not find dispositive.            The
    7
    The Board discredited Dr. Westbrook’s opinion setting an
    onset date for Webster’s TPD, choosing instead to credit only Dr.
    Westbrook’s earlier opinion that did not provide such a date.
    Parsing a doctor’s opinions, however, to ignore his later, more
    comprehensive assessment is unreasonable. See Donovan, 
    462 F.3d at 329
    .
    27
    Board availed itself of one such option by enlisting Dr. Westbrook
    to examine Webster for mental disability.                When Dr. Westbrook
    returned his reports concurring with Webster’s doctors and opining
    that Webster had become T&P disabled by 1991, the Board was faced
    with unanimous, albeit ex post, evidence supporting Webster’s
    claim.    If the Board still harbored qualms about the strength of
    Webster’s evidence, it could have easily “required [him] to submit
    to such further examinations as, in the opinion of the Retirement
    Board, are necessary to make an adequate determination respecting
    his . . . mental condition.”      See J.A. 112 (Plan § 5.2).          Instead,
    the Board truncated its medical investigation and chose to ignore
    not only the views of Webster’s experts but also that of its own.8
    In   sum,   the    Board   has   offered      no   relevant   medical   or
    employment evidence to contradict the unanimous medical opinion of
    examining    experts,    even   though     those    opinions   were   open   to
    challenge.    Because these expert opinions at least establish a
    presumption that Webster is entitled to Active Football benefits,
    8
    The Plans claim that the Board customarily invokes its right
    to utilize a neutral physician only to determine whether an
    applicant is T&P disabled, not when he became T&P disabled. This
    claim is belied by the record.       In eight other cases of T&P
    disability due to brain damage, the Board appointed a neutral
    physician to examine the applicants. J.A. 757-808. In every such
    case in which the neutral physician offered a clear, conclusive
    assessment of the applicant’s disability, the Board chose to follow
    that neutral recommendation. Id. In one case in particular, the
    Board “based the . . . effective date [of disability] on the . . .
    report of the Plan neutral psychiatrist.” J.A. 786-92. Thus, the
    Plans cannot now escape the uncontradicted opinion of Dr. Westbrook
    that Webster became T&P disabled by March 1991.
    28
    and the Board did not rely on substantial evidence to contradict
    them, we conclude that the Board abused its discretion in denying
    Webster Active Football benefits.9      Cf. Stawls, 
    596 F.2d at 1213
    (remanding and demanding an explanation for “why the uncontradicted
    evidence   of   the   psychiatrists   should   not   suffice   to   afford
    recovery”).
    III.
    The Plans urge us in the alternative to bar recovery of any
    benefits that accrued prior to January 1, 1996, pursuant to the
    Plan limitations provision.     Section 5.7 provides that “no total
    and permanent disability benefit . . . will be payable with respect
    to any month or other period of time that precedes by more than
    forty-two (42) months” the T&P benefits application date. J.A. 151
    (Plan § 5.7).
    Webster’s estate concedes that Plan section 5.7 applies to his
    application, but insists that the limitations period should be
    9
    Webster’s estate argues further that the Board abused its
    discretion because its “decisionmaking process was [not] reasoned
    and principled.”    See Booth, 
    201 F.3d at 342
    .     Five years and
    repeated meetings passed between the Board’s initial tabling of
    Webster’s claim for Active Football benefits and its final decision
    to reject Webster’s last appeal. Webster’s estate insists that the
    delay arose while the Board was seeking to rationalize its
    predetermined decision to deny Webster’s claim. Appellee’s Br. at
    49.   The Plans, on the other hand, cite this time period as
    evidence of careful deliberation. Because we find that the Board’s
    decision was not supported by substantial evidence, we need not
    endorse either of these characterizations.
    29
    tolled from March 1991 onward because of Webster’s brain damage.
    The Plan requires that the limitations period “will be tolled for
    any period of time during which such Player is found by the
    Retirement Board to be physically or mentally incapacitated in a
    manner that substantially interferes with the filing of such
    claim.”    
    Id.
       Thus, the issue before the court is whether the Board
    abused its discretion in finding that Webster was not “mentally
    incapacitated in a manner that substantially interfere[d] with the
    filing of [his] claim.”      
    Id.
    The    Board   is   entitled   to    interpret   the   terms   “mentally
    incapacitated” and “substantially interferes” in any reasonable
    manner.    See J.A. 121 (Plan § 8.2(a)); Booth, 
    201 F.3d at 342
    .           In
    its letter denying Active Football benefits to Webster, however,
    the Board did not define either term nor did it explain why the
    tolling provision should not apply to Webster’s application.10
    10
    In their reply brief, the Plans for the first time propose
    a definition for “incapacitated,” declaring that a person is
    incapacitated only “if ‘the mind was so affected as to render him
    wholly and absolutely incompetent to comprehend and understand the
    nature of the transaction.’” Reply Br. at 21 (quoting Ortelere v.
    Teachers’ Ret. Bd., 
    250 N.E.2d 460
    , 464 (N.Y. App. 1969)). This
    dilatory attempt to cabin the breadth of the term “incapacitated”
    is to no avail. First, the Board’s discretion to interpret and
    define Plan terms does not allow the Plans to contrive ex post
    interpretations on appeal.     Second, the proffered definition
    renders surplusage the Plan language “in a manner that
    substantially interferes with the filing of such a claim.” That
    is, if “incapacitated” means “absolute incompeten[ce],” then when
    the Board finds that an applicant is “mentally incapacitated,” it
    would necessarily also find that such incapacity “substantially
    interfere[d] with the filing of [his] claim.” We cannot accept
    such a definition that would render other Plan language of no
    30
    Instead, the Board merely relied on the failure of Webster’s
    attorney to argue expressly for the limitations period to be
    tolled.   See J.A. 615.
    It would require delicate parsing, however, to decide that the
    medical and employment evidence that supports a finding of T&P
    disability on these facts does not also support a finding of mental
    incapacity   that   substantially    interfered   with   the   filing   of
    Webster’s claim.    We cannot hold, then, that any further burden of
    production lay upon Webster to invoke investigation into whether
    the tolling provision should apply to his case.
    That is not to say that “mental incapacity” and “mental T&P
    disability” are coextensive.        To equate the terms would, as the
    Plans warn, render surplusage the words “or mentally” in the
    provision tolling the limitations period whenever an applicant is
    “physically or mentally incapacitated.” See J.A. 151 (Plan § 5.7).
    The Plans argue instead that there is a higher standard for
    proving “mental incapacity” than for proving “T&P disability.”          To
    put it differently, the Plans argue that all mentally incapacitated
    applicants would suffer from a T&P mental disability, but not all
    applicants suffering from a T&P mental disability would be deemed
    mentally incapacitated.
    moment. See de Nobel v. Vitro Corp., 
    885 F.2d 1180
    , 1188 (4th Cir.
    1989) (warning that a benefits decision cannot be reasonable if it
    “render[s] some language in the plan documents ‘meaningless’”).
    31
    We need not decide whether one standard is higher or the two
    are merely different. Instead, we need only recognize that in some
    cases, an applicant suffering from a mental condition that is T&P
    disabling would be incapacitated to the extent that his condition
    “substantially interferes” with his filing of a claim.                Webster’s
    history presents just such a case.
    The Plans point to Webster’s numerous requests for disability
    applications from the Board in 1995 and 1996 as evidence that he
    was not mentally incapacitated.         These requests, however, were at
    times submitted only days apart.         J.A. 206-210, 215, 218.          Not one
    of these applications was ever completed.              Contrary to the Plans’
    assertion, these staccato requests weigh significantly in favor of
    a finding of mental incapacity that “substantially interfered” with
    Webster’s ability to file a claim.             For the tolling provision to
    have any meaning, it must extend to protect applicants such as
    Webster, who was so disabled that he could not even open his own
    mail, see J.A. 604, let alone complete any of the several benefits
    applications   he    requested    without      first     securing    significant
    assistance from an attorney.
    Moreover, had Webster been successful in returning any one of
    these applications, even without any supporting documentation, the
    limitations provision would never have attached to his case.                 See
    J.A. 151 (Plan § 5.7) (calculating the 42-months limitations period
    backwards   from    the   date   the   Board    “first    receives    a   written
    32
    application or similar letter requesting” the benefit and requiring
    only that such letter “begin[] the administrative process that
    results in the award of the benefit”).        The limitations provision
    was only added to the Plan effective November 1, 1998, a mere six
    months prior to the date that Webster finally managed to submit an
    application for benefits.
    The Plans finally insist that it would have been illogical for
    the Board to have found Webster mentally incapacitated from 1991 to
    1998 because he was apparently well enough in 1999 to submit an
    application. This argument has only superficial appeal. The Plans
    appear to read the word “substantially” to mean “completely” in the
    phrase “mentally incapacitated in a manner that substantially
    interferes with the filing of [a] claim.”        Such an interpretation
    cannot be reasonable, however, or the tolling provision would never
    apply to an applicant who is permanently mentally incapacitated.
    That   is,   under   the   Plans’   interpretation,    the   fact   that   an
    application is ever submitted is evidence that the applicant is
    not, at that time, suffering from incapacity that “substantially
    interferes” with the filing of a claim.      Instead, we have held that
    the Board must interpret the tolling provision to give meaning to
    each word.    See de Nobel, 
    885 F.2d at 1188
    .         The Plans’ suggested
    reading of the tolling provision is thus unreasonable.
    At bottom, the evidence of Webster’s brain damage tends to
    show not only that he was T&P disabled, but that he was “mentally
    33
    incapacitated in a manner that substantially interfere[d]” with the
    filing of his claim.      J.A. 151 (Plan § 5.7).         The Board has not
    presented   substantial   evidence    on   which    to   deny   Webster   the
    protection of the provision tolling the limitations period.                We
    therefore hold that the Board abused its discretion in applying the
    limitations provision to bar Webster’s claim for Active Football
    benefits retroactive to March 1991.
    IV.
    The Plans finally ask us to vacate the award of attorney’s
    fees and costs to Webster’s estate.11              They advance only one
    argument on appeal supporting the request--that attorney’s fees and
    costs are inappropriate because Jani should not have prevailed on
    the merits.   Because the Plan failed to make any other argument,
    the award of attorney’s fees and costs should be upheld provided
    that Webster’s estate remains “a prevailing party” on a substantive
    issue on appeal.   See Martin v. Blue Cross & Blue Shield of Va.,
    11
    In ERISA actions, a district court has wide latitude in
    deciding whether to award attorney’s fees and costs.          See
    § 1132(g)(1); Metro. Life Ins. Co. v. Pettit, 
    164 F.3d 857
    , 865
    (4th Cir. 1998). The district court here found significant that
    the Board ignored the opinion of its own medical doctor and the
    “overwhelming evidence supporting Webster’s claim, . . . relying
    instead on Webster’s oncologist” to make the definitive
    neurological determination.   Jani v. Bert Bell/Pete Rozelle NFL
    Player Ret. Plan, No. 04-1606, at *3-4 (D. Md. November 7, 2005).
    Because the district court thus found that the Board’s “decision
    indicates culpable conduct, if not bad faith,” it awarded
    attorney’s fees to Webster’s estate. 
    Id. at *4-5
    .
    34
    
    115 F.3d 1201
    , 1210 (4th Cir. 1997) (“[O]nly a prevailing party is
    entitled    to   consideration   for      attorneys’    fees   in     an   ERISA
    action.”).       Webster’s estate has prevailed on appeal, and we
    therefore uphold the award of attorney’s fees and costs.
    V.
    Because there is nothing in this record on which to uphold the
    Board’s    denial   of   Webster’s   application       for   Active   Football
    benefits, the decision of the district court is
    AFFIRMED.
    35