Consolidation Coal Company v. OWCP ( 2018 )


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  •                               In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________________
    No. 18-2097
    CONSOLIDATION COAL COMPANY,
    Petitioner,
    v.
    DIRECTOR, OFFICE OF WORKERS’ COMPENSATION PROGRAMS,
    UNITED STATES DEPARTMENT OF LABOR,
    Respondent.
    ____________________
    Petition for Review of an Order of the
    Benefits Review Board.
    No. 17-BLA-0351.
    ____________________
    ARGUED NOVEMBER 29, 2018 — DECIDED DECEMBER 21, 2018
    ____________________
    Before FLAUM, RIPPLE, and MANION, Circuit Judges.
    FLAUM, Circuit Judge. Ralph Ross worked as a coal miner
    for approximately thirty years. He smoked cigarettes for al-
    most as long but was able to quit after his first heart attack.
    Ross continued to work as a coal miner even though he suf-
    fered another heart attack and had difficulty breathing at
    work. Approximately six years after Ross stopped working in
    the coal mines, his breathing problems became severe.
    2                                                    No. 18-2097
    On January 19, 2012, Ross filed a claim for benefits under
    the Black Lung Benefits Act, 30 U.S.C. § 901 et seq. At first, the
    administrative law judge (“ALJ”) denied Ross’s claim. Ross
    petitioned the United States Department of Labor’s Benefits
    Review Board (the “Board”) for review, and the Board va-
    cated and remanded the ALJ’s decision for further considera-
    tion. On remand, the ALJ granted Ross’s claim. Ross’s former
    employer, petitioner Consolidation Coal Company (the “Em-
    ployer”), petitioned the Board for review, and the Board af-
    firmed the ALJ’s subsequent decision. Then the Employer
    filed this appeal. We enforce the decision of the Board.
    I. Background
    A. Statutory and Regulatory Framework
    Congress passed the Black Lung Benefits Act (the “Act”)
    in light of the “significant number” of coal miners who be-
    came “totally disabled” from working in coal mines. 30 U.S.C.
    § 901(a). Under the Act, coal miners may receive modest mon-
    etary and medical benefits to treat their pulmonary impair-
    ments. See 
    id. To establish
    eligibility for such benefits, a coal
    miner must show: (1) he has pneumoconiosis, (2) the pneu-
    moconiosis arose out of coal mine employment, (3) he is to-
    tally disabled, and (4) the pneumoconiosis contributes to the
    total disability. 20 C.F.R. § 725.202(d).
    The Act and its implementing regulations define pneumo-
    coniosis as “a chronic dust disease of the lung and its seque-
    lae, including respiratory and pulmonary impairments, aris-
    ing out of coal mine employment.” 30 U.S.C. § 902(b); 20
    C.F.R. § 718.201(a). And the regulations define two subcate-
    gories of pneumoconiosis: “Clinical pneumoconiosis” refers
    to “those diseases recognized by the medical community as
    No. 18-2097                                                     3
    pneumoconioses, i.e., the conditions characterized by perma-
    nent deposition of substantial amounts of particulate matter
    in the lungs and the fibrotic reaction of the lung tissue to that
    deposition caused by dust exposure in coal mine employ-
    ment.” 20 C.F.R. § 718.201(a)(1). “Legal pneumoconiosis” re-
    fers to “any chronic lung disease or impairment and its seque-
    lae arising out of coal mine employment. This definition in-
    cludes, but is not limited to, any chronic restrictive or obstruc-
    tive pulmonary disease arising out of coal mine employ-
    ment.” 
    Id. § 718.201(a)(2).
         To establish a respiratory or pulmonary impairment that
    is “totally disabl[ing]” and qualifies him for benefits under the
    Act, a miner must show that the impairment prevents him
    from performing his usual coal mine work and from engaging
    in gainful employment that requires similar skills to his coal
    mining job and that is near his home. 
    Id. § 718.204(b)(1)(i)–(ii).
    Additionally, the coal miner must satisfy certain medical cri-
    teria. 
    Id. § 718.204(b)(2).
    “In absence of contrary probative ev-
    idence,” evidence that meets any of the standards outlined in
    § 718.204(b)(2)(i)–(iv) “shall establish a miner’s total disabil-
    ity.” 
    Id. Under subparagraph
    (i), pulmonary function tests
    “showing values equal to or less than those listed in [certain
    tables in] Appendix B to this part for … the FEV1 test” qualify
    “if, in addition, such tests also reveal the values … equal to or
    less than those listed in … Appendix B for this part, for … the
    FVC test, or … the MVV test, or … [a] percentage of 55 or less
    when the results of the FEV1 test are divided by the results of
    the FVC test (FEV1/FVC equal to or less than 55%).” Under
    subparagraph (ii), arterial blood gas tests that “show the val-
    ues listed in Appendix C to this part” qualify. Under subpar-
    agraph (iii), medical evidence showing the miner suffers from
    4                                                              No. 18-2097
    “cor pulmonale with right-sided congestive heart failure”
    qualifies. And subparagraph (iv) provides:
    Where total disability cannot be shown under
    paragraphs (b)(2)(i), (ii), or (iii) of this section, or
    where pulmonary function tests and/or blood
    gas studies are medically contraindicated, total
    disability may nevertheless be found if a physi-
    cian exercising reasoned medical judgment,
    based on medically acceptable clinical and la-
    boratory diagnostic techniques, concludes that
    a miner’s respiratory or pulmonary condition
    prevents or prevented the miner from engaging
    in employment as described in paragraph (b)(1)
    of this section.
    Congress intended for the Act to serve a remedial purpose
    and for doubts “[i]n the absence of definitive medical conclu-
    sion[s]” to be resolved in the miner’s favor. S. Rep. No. 92-743,
    at 2315. Accordingly, the Act includes a rebuttable presump-
    tion that a miner may invoke if the miner can establish that he
    has spent at least fifteen years working in a coal mine and es-
    tablish pursuant to § 718.204 that he suffers from a totally dis-
    abling respiratory or pulmonary impairment.1 See 30 U.S.C.
    § 921(c)(4); 20 C.F.R. § 718.305. If the miner can make that
    showing, the miner is presumed to be totally disabled by
    1 Congress originally added the fifteen-year presumption in 1972, see
    Pub. L. No. 92–303, § 4(c) (1972); but in 1981, Congress limited its applica-
    bility to claims filed before January 1, 1982, see Pub. L. No. 97–119,
    § 202(b)(1) (1981). Then, in 2010, Congress made the fifteen-year presump-
    tion available for claims filed after January 1, 2005 that were still pending
    on or after March 23, 2010. See Keene v. Consolidation Coal Co., 
    645 F.3d 844
    ,
    847 (7th Cir. 2011).
    No. 18-2097                                                    5
    pneumoconiosis. 20 C.F.R. § 718.305(c)(1). The miner’s em-
    ployer may rebut that presumption either by disproving the
    existence of legal and clinical pneumoconiosis, or by ruling
    out pneumoconiosis as a partial cause of the miner’s disabil-
    ity. 
    Id. § 718.305(d)(1).
       B. Factual Background
    Ross spent thirteen years working underground in the
    mine and at least seventeen years working on the surface of
    the mine. Throughout his career, the dust from the mine was
    inescapable. After a day’s work, his clothes were “too nasty”
    to take inside his home, so he would shower at work, change
    into different clothes, and leave his work clothes hanging in
    his garage. Cleaning his work clothes required using the laun-
    dromat’s special washer for coal miner’s clothes, and even
    then, it took two wash cycles to remove the dust and grease
    from the coal mine.
    Starting at the age of twenty and for approximately the
    next thirty years, Ross smoked between one-half to two packs
    of cigarettes per day, though sometimes he would begin
    smoking a cigarette, but would be too busy with work to fin-
    ish it, so he’d extinguish it and go back to work. He quit smok-
    ing in 1989 after suffering his first heart attack. Unfortunately,
    Ross had another serious heart attack in 1995, and he suspects
    he had a third heart attack in 1998.
    Ross had breathing problems while working in the coal
    mines. He struggled to carry his tools while climbing the
    stairs and he often had to take breaks to catch his breath. And
    yet, Ross kept working. That is, he kept working until his em-
    ployer “let [him] go” in 2000 because he “got blinded in the
    right eye.” At that time, Ross said he felt he could still do his
    6                                                 No. 18-2097
    job from a cardiac standpoint and that from a pulmonary
    standpoint, he “was trying.” Since his coal mining career
    ended, Ross has not held steady employment. To stay busy,
    Ross volunteered by cutting firewood with a chainsaw, mow-
    ing lawns with a riding lawnmower, and putting up hay with
    a square baler.
    Ross said his breathing problems became severe in 2006 or
    2007. He has testified that since that time, he cannot walk
    around his house and yard like he used to, and it takes him
    longer to complete daily tasks, namely feeding his animals
    and mowing the lawn. Although he takes medication for his
    breathing problems, he can only perform fifteen to twenty
    minutes of work before he has to sit down to take a break for
    thirty-five to forty minutes. Ross uses an oxygen monitor to
    make sure his oxygen does not fall so low as to risk stroke or
    death. When his oxygen levels get too low, Ross uses supple-
    mental oxygen.
    C. Procedural Background
    1. The ALJ’s First Decision
    On January 19, 2012, Ross filed a claim for benefits under
    the Act. The District Director awarded Ross benefits in Octo-
    ber 2012; the Employer requested a hearing before the Office
    of Administrative Law Judges. In preparation for that hear-
    ing, the Director of the Office of Workers’ Compensation Pro-
    grams in the United States Department of Labor (the “Direc-
    tor”), Ross, and the Employer gathered medical evidence to
    present to the ALJ. The hearing occurred on October 23, 2013;
    Ross and his wife both testified. After the hearing, Ross and
    No. 18-2097                                                   7
    the Employer submitted briefs and the ALJ issued a decision
    denying benefits on September 8, 2014.
    The ALJ determined that Ross had over fifteen years of
    qualifying coal mine employment, and in turn, focused on
    whether Ross was entitled to invoke the fifteen-year pre-
    sumption by establishing a totally disabling respiratory or
    pulmonary impairment using qualifying medical evidence.
    Beginning with the pulmonary function tests, the ALJ noted
    that the parties submitted three such exams for Ross. Dr. Taz-
    baz, on behalf of the Department of Labor, performed the first
    exam on Ross on February 13, 2012, and that exam produced
    qualifying values prebronchodilator. Dr. Tuteur, on behalf of
    the Employer, performed two more exams on Ross on June
    28, 2012, and those exams produced nonqualifying values
    prebronchodilator and postbronchodilator. Since the ALJ
    found the more recent results to be the best indicator of Ross’s
    pulmonary condition, the ALJ concluded that the pulmonary
    function testing, standing alone, did not support a finding of
    total disability under 20 C.F.R. § 718.204(b)(2)(i).
    Then, the ALJ discussed the blood gas studies: Ross un-
    derwent four such studies, two at rest and two after exercise.
    In both “after exercise” studies, Ross’s PCO2 increased and his
    PO2 decreased, thereby producing qualifying values. The ALJ
    noted that Dr. Tazbaz concluded that these studies showed
    that Ross had a “pulmonary limitation to exercise with hy-
    poxemia that requires oxygen,” and that Dr. Tuteur indicated
    that the “after exercise” qualifying result was abnormal, but a
    reflection of a development of oxygen gas exchange impair-
    ment after exercise. The ALJ found that the blood gas studies,
    standing alone, supported a finding of total disability under
    § 718.204(b)(2)(ii).
    8                                                            No. 18-2097
    Next, the ALJ briefly noted that there was no evidence that
    Ross had cor pulmonale with right-sided congestive heart
    failure, so total disability could not be supported on that basis.
    See 
    id. § 718.204(b)(2)(iii).
        Finally, the ALJ considered the medical opinion evidence
    of three doctors. First, Dr. Tazbaz opined that Ross was “se-
    verely impaired with desaturation on exercise test” and “can-
    not do his activities in last year of employment.” He diag-
    nosed Ross with chronic obstructive pulmonary disease, coal
    workers’ pneumoconiosis, coronary artery disease, and hy-
    poxemia with exercise. He opined that the cause of these con-
    ditions was exposure to coal mine dust and cigarette smoke.
    Second, Dr. Tuteur indicated that Ross had a “minimal ob-
    structive abnormality and some air trapping,” but he opined
    that this was “not clinically meaningful and … is [in] no way
    associated with any disability or reduced function.” Dr. Tu-
    teur explained that Ross’s hypoxemia and blood gas results
    were “most likely … due to a right to left intracardiac shunt
    unrelated to the inhalation of coal mine dust, but consistent
    with complications of the coronary artery disease, myocardial
    infarctions, surgical treatment and their sequelae.”2 And Dr.
    Tuteur opined that there was no evidence to support legal or
    clinical coal workers’ pneumoconiosis or any coal-mine-dust-
    related pulmonary process. Finally, Dr. Selby reviewed Ross’s
    medical records and submitted a report of his findings. In that
    report, dated March 18, 2013, Dr. Selby opined that Ross was
    2 The ALJ also noted that Dr. Tuteur testified at a deposition that even
    when Ross received 100% oxygen during an exam, Ross’s hypoxemia was
    not corrected, which Dr. Tuteur interpreted as an indication that: (1)
    Ross’s blood never gets to his lungs because it is shunted away, and (2)
    the cause of Ross’s hypoxemia was not a pulmonary condition.
    No. 18-2097                                                   9
    not totally disabled from a pulmonary or respiratory stand-
    point. Dr. Selby also testified at a deposition on September 10,
    2013: In his opinion, Ross’s minor pulmonary impairment
    was due to his extensive cigarette smoking and prior history
    of histoplasmosis or tuberculosis. He explained that Ross’s
    post-exercise levels demonstrated serious hypoxia, which
    “might cause some limitation.” But Dr. Selby testified that the
    cause of Ross’s drop in oxygen was not pulmonary in nature
    because his pulmonary function tests were normal, which “is
    virtually 100 percent predictive of no lung disease.” He testi-
    fied that the evidence is “exactly to the contrary” of a finding
    of total disability due to a pulmonary condition.
    The ALJ summarized the medical opinion evidence, in rel-
    evant part, as follows:
    All three physicians are board-certified in pul-
    monary and internal medicine, and only one
    physician, Dr. Tazbaz, opined that [Ross] was
    totally disabled from a pulmonary standpoint.
    Dr. Tuteur opined that [Ross] was totally disa-
    bled from a cardiac standpoint, and Dr. Selby
    did not find that [Ross] was totally disabled at
    all. With regard to the issue of total disability,
    Drs. Selby and Tuteur’s opinions were well rea-
    soned, documented, and supported by the total-
    ity of the medical evidence. Dr. Tazbaz’s very
    minimal opinion did not consider [Ross’s] other
    testing and medical evidence, or [Ross’s] severe
    cardiac issues as … potential causes of his im-
    pairment. Greater weight may be accorded an
    opinion supported by more extensive documen-
    tation over an opinion supported by limited
    10                                                          No. 18-2097
    medical data…. Accordingly, I find Dr. Tazbaz’s
    opinion is entitled to less weight and it is not
    sufficiently documented. A doctor’s opinion
    that is both reasoned and documented and is
    supported by objective medical tests and con-
    sistent with all the documentation in the record,
    is entitled to greater probative weight…. There-
    fore, based on the abovementioned discussion, I
    find that the medical opinion evidence, stand-
    ing alone, does not support a finding of total
    disability. [See 
    id. § 718.204(b)(2)(iv).]
        Then, the ALJ considered all the probative evidence and
    found that the preponderance of the evidence did not estab-
    lish that Ross had a totally disabling respiratory or pulmo-
    nary impairment. As a result, the ALJ concluded that Ross
    was not entitled to invoke the fifteen-year presumption. Ulti-
    mately, the ALJ denied Ross’s claim for benefits.3
    2. The First Petition for Review
    Ross petitioned the Board to review the ALJ’s decision.
    The Director filed a response, asking the Board to vacate the
    denial of benefits and to remand the case for further consid-
    eration. The Employer also filed a response, and it moved to
    strike the Director’s brief as violating 20 C.F.R. § 802.212(b),
    which limits the Board’s consideration of arguments in re-
    sponse briefs to those that respond to arguments raised in the
    3The ALJ also found that Ross did not establish the existence of com-
    plicated pneumoconiosis such that he would be entitled to invoke the ir-
    rebuttable presumption under 30 U.S.C. § 921(c)(3) and 20 C.F.R.
    § 718.304(a). Those findings are not at issue on appeal.
    No. 18-2097                                                    11
    petitioner’s brief or that support the decision below; the Board
    denied the motion.
    As for the merits of the appeal, the Board determined that
    the ALJ erred in several ways: combining the analysis of total
    disability and disability causation, which are meant to be dis-
    tinct inquiries; characterizing Dr. Tazbaz’s opinion as not con-
    sidering Ross’s severe cardiac issues as potential causes of the
    impairment when in fact Dr. Tazbaz considered Ross’s aortic
    valve replacement and triple bypass surgery, questioned the
    congestive heart failure diagnosis, performed an electrocardi-
    ogram that produced normal sinus rhythm, and diagnosed
    Ross with coronary artery disease; considering Dr. Tazbaz’s
    opinion to not be “sufficiently documented” when Dr. Tazbaz
    relied on results from a physical examination, chest x-ray,
    pulmonary function study, blood gas study, echocardiogram
    (ECG), and Ross’s smoking, work, and surgery histories; and
    not explaining why Drs. Tuteur’s and Selby’s opinions were
    better supported, especially in light of the fact that Ross’s
    treatment records did not show a shunt despite extensive car-
    diac testing, Dr. Tuteur did not include the complete results
    of Ross’s blood gas study conducted with 100% oxygen, and
    neither doctor conducted an ECG. Due to these errors, the
    Board vacated the ALJ’s findings that Ross did not establish
    total disability under 20 C.F.R. § 718.204(b)(2)(iv), that the to-
    tality of the evidence did not establish total disability under
    § 718.204(b)(2), and that Ross did not invoke the fifteen-year
    presumption under 30 U.S.C. § 921(c)(4). As such, the Board
    remanded the case to the ALJ for further consideration of the
    relevant evidence.
    The Employer moved for reconsideration of the Board’s
    decision, arguing that the Board erred in denying the motion
    12                                                  No. 18-2097
    to strike the Director’s brief and that the Board exceeded its
    scope of review by engaging in a de novo review of the case,
    improperly adopting the Director’s position, and usurping
    the ALJ’s fact-finding authority. The Board denied the Em-
    ployer’s motion.
    3. The ALJ’s Second Decision
    Back before the ALJ, the Employer moved for leave to sub-
    mit supplemental medical opinions. The ALJ granted that mo-
    tion and it admitted the Employer’s submission of supple-
    mental medical opinions from Drs. Tuteur and Selby. After
    further briefing, Ross submitted Dr. Tazbaz’s supplemental
    opinion and additional treatment records, and the Employer
    submitted second supplemental opinions by Drs. Tuteur and
    Selby. The ALJ issued its second decision on March 7, 2017.
    The ALJ incorporated the findings from his first decision un-
    der 20 C.F.R. § 718.204(b)(iv), and then outlined, in detail, the
    supplemental medical opinion evidence.
    In Dr. Tuteur’s March 18, 2016 supplemental opinion, he
    included the complete results of the blood gas study that was
    conducted on June 28, 2012, on which Dr. Tuteur heavily re-
    lied in reaching his first opinion that a right-to-left shunt
    caused Ross’s hypoxemia. In this specific exam, Ross received
    100% oxygen and still experienced hypoxemia. In the supple-
    mental opinion, Dr. Tuteur found that it was unequivocally
    clear that Ross was totally and permanently disabled from en-
    gaging in work as a coal miner and that the disability is due
    to the demonstrated pathophysiology where Ross becomes
    hypoxemic with exercise. But Dr. Tuteur confirmed that the
    physiologic presence of a right-to-left shunt was well-docu-
    mented in the pulmonary function test he performed on Ross
    in 2012. He acknowledged that performing a bubble study at
    No. 18-2097                                                 13
    the time of an echocardiogram is a less sensitive method of
    confirming the presence of a right-to-left shunt, and that this
    test was not done. Nevertheless, Dr. Tuteur still concluded
    with reasonable medical certainty that because Ross has ad-
    vanced chronic coronary artery disease and very mild chronic
    obstructive pulmonary disease, the exercise-induced oxygen
    desaturation was a result of a right-to-left shunt. He empha-
    sized that Ross does not have a meaningful impairment of
    ventilatory function, nor does he have a meaningful impair-
    ment of oxygen gas exchange due to a primary pulmonary
    process. He also stated that the cardiac disease is in no way
    related to, aggravated by, or caused by inhalation of coal mine
    dust or the development of coal workers’ pneumoconiosis.
    Dr. Selby submitted his supplemental opinion on May 13,
    2016. He explained that the 100% oxygen test Dr. Tuteur per-
    formed showed incontrovertible proof of the presence of a
    shunt and that the decreased PO2 was not due to lung disease.
    Citing a New England Journal of Medicine article from 1984
    describing the use of diffusing capacity as a predictor of arte-
    rial oxygen desaturation during exercise in patients with
    chronic obstructive pulmonary disease, Dr. Selby explained
    that the study showed that if a patient had a diffusion capacity
    above 55% of predicted, virtually 100% of the time the exer-
    cise blood gases would show no desaturation of oxygen. He
    noted that Ross had a normal diffusion capacity when cor-
    rected for alveolar volume, but that even the obtained raw
    value was further support that the oxygen drop could not be
    caused by pulmonary disease and that another source must
    be the cause. Finally, Dr. Selby disagreed with Dr. Tuteur’s
    diagnosis of a minimal obstructive ventilatory defect. He reit-
    erated his earlier opinion that Ross’s condition is not a total
    14                                                No. 18-2097
    and permanent disability, and that Ross does not have clinical
    or legal pneumoconiosis.
    Dr. Tazbaz based his August 3, 2016 supplemental opinion
    on his first opinion and a review of additional medical opin-
    ions and treatment records. He observed that x-rays and a CT
    scan from 2012 established pneumoconiosis radiologically.
    Dr. Tazbaz diagnosed Ross with clinical pneumoconiosis
    caused by inhalation of coal mine dust, chronic obstructive
    pulmonary disease caused by coal mine dust and cigarette
    smoking, and total disability due to pneumoconiosis and
    chronic obstructive pulmonary disease. He further opined
    that Ross’s obesity and aging added to his disability. Regard-
    ing the study Dr. Selby cited, Dr. Tazbaz observed that the
    study did not address the subset of patients who had com-
    bined chronic obstructive pulmonary disease, coal workers’
    pneumoconiosis, obesity, and aging as risk factors for oxygen
    desaturation, and that those patients (including Ross) are
    more likely to desaturate with all of those factors combined.
    Next, Dr. Tazbaz noted that Ross’s stress test from August 2,
    2013 did not show cardiac ischemia, which would mean that
    the bypass from Ross’s coronary artery bypass graft surgery
    was functioning well, and that the oxygen desaturation could
    not be attributed to heart disease. Similarly, an echocardio-
    gram performed on February 1, 2012 showed normal heart
    function and therefore, Ross did not have heart failure. Based
    on this medical evidence, Dr. Tazbaz opined that Ross’s heart
    disease had been treated surgically and was not causing any
    major issues from a cardiac standpoint. And Dr. Tazbaz main-
    tained that the test of choice to determine the presence of a
    shunt is an echocardiogram with a bubble study, which was
    not done here.
    No. 18-2097                                                   15
    After reviewing Dr. Tazbaz’s supplemental opinion and
    the results of the stress test and echocardiogram, Dr. Tuteur
    submitted a second supplemental opinion. He confirmed that
    his previous opinion was unchanged, and he added that there
    was no meaningful obstructive ventilatory abnormality,
    meaning that there was no chronic obstructive pulmonary
    disease. He again confirmed that the echocardiogram did not
    use a bubble study to determine whether a shunt was present;
    he noted that the echocardiogram “did demonstrate low nor-
    mal left ventricular ejection fraction,” but that no comment
    was made regarding an assessment of diastolic dysfunction,
    which is “a particularly important factor especially in the face
    of sub-optimally controlled hypertension.” He also remarked
    that “[n]o comment was made on the state of function of the
    aortic valve replacement.” Finally, Dr. Tuteur refuted Dr. Taz-
    baz’s conclusion that Ross has clinical pneumoconiosis, ex-
    plaining that the x-rays were mostly negative and that the di-
    agnosis was unconfirmed by CT scan. He also disagreed with
    Dr. Tazbaz’s diagnosis of legal pneumoconiosis because he
    concluded there was clinically no meaningful airflow obstruc-
    tion by pulmonary function testing.
    Dr. Selby also submitted a second supplemental opinion
    after reviewing the stress test, the echocardiogram, Dr. Taz-
    baz’s supplemental opinion, and Dr. Tuteur’s second supple-
    mental opinion. Dr. Selby agreed with Dr. Tazbaz that there
    was no significant reversibility in Ross’s FEVl/FVC ratio, but
    Dr. Selby stated that the normal ratio indicates that there is no
    permanent obstruction. Dr. Selby also agreed with Dr. Tazbaz
    that the article and study he cited did not separate all possible
    comorbidities like coal workers’ pneumoconiosis or obesity.
    But, he stated that obesity does not directly affect diffusion
    16                                                           No. 18-2097
    capacity and that aging is already adjusted for in the pre-
    dicted values. Notwithstanding the absence of a bubble study,
    Dr. Selby defended his opinion that a shunt could be the only
    cause of exercise hypoxia when there is no congestive heart
    failure. In the end, he still concluded that Ross did not have
    coal workers’ pneumoconiosis and that Ross’s exercise was
    not significantly limited by pulmonary disease.
    Based on the further developed record of medical opinion
    evidence, the ALJ concluded that Dr. Tazbaz’s opinion was
    “well-documented” and “supported by the underlying objec-
    tive tests and various work, smoking and medical histories.”
    Next, the ALJ found that “Dr. Tuteur now opines that [Ross]
    suffers from a totally disabling impairment which is respira-
    tory or pulmonary in nature and this conclusion is supported
    by his interpretation of the blood gas study values on exer-
    cise.”4 Finally, the ALJ faulted Dr. Selby for not discussing the
    significance of the exercise blood gas studies that yielded
    qualifying results, and for not addressing whether Ross is
    4 Comparing the plain language of Dr. Tuteur’s supplemental opin-
    ions and this part of the ALJ’s decision might suggest tension—Dr. Tuteur
    makes clear he thinks the cause of Ross’s total and permanent disability is
    a cardiac impairment (the shunt), not a respiratory or pulmonary impair-
    ment. However, relying on the results of the exams Dr. Tuteur performed
    on Ross and Dr. Tuteur’s observation that those exams produced qualify-
    ing results constitute substantial evidence to support the ALJ’s finding
    here. See Midland Coal Co. v. Dir., Office of Workers’ Comp. Programs, 
    358 F.3d 486
    , 493 (7th Cir. 2004) (to decide if total disability has been estab-
    lished, “an ALJ must consider all relevant evidence on the issue of disabil-
    ity including medical opinions which are phrased in terms of total disabil-
    ity or provide a medical assessment of physical abilities or exertional lim-
    itations which lead to that conclusion” (quoting Poole v. Freeman United
    Coal Mining Co., 
    897 F.2d 888
    , 894 (7th Cir. 1990))).
    No. 18-2097                                                 17
    able to perform his usual coal mine work despite the qualify-
    ing blood gas results. As such, the ALJ found Dr. Selby’s opin-
    ions not well-reasoned and the ALJ accorded them “little
    weight.”
    The ALJ decided that the better-reasoned opinions on total
    disability were those of Drs. Tazbaz and Tuteur. And the ALJ
    found that the preponderance of the medical opinions estab-
    lished total disability under 20 C.F.R. § 718.204(b)(2)(iv).
    Next, the ALJ considered all the evidence and found that the
    preponderance of the evidence established that Ross suffers
    from a totally disabling pulmonary impairment and cannot
    return to his previous coal mine employment. 
    Id. § 718.204(b)(1).
    Because the parties did not dispute that Ross
    satisfied the requisite number of years of coal mine employ-
    ment, the ALJ then concluded that Ross established condi-
    tions sufficient to invoke the rebuttable presumption of total
    disability due to pneumoconiosis under 30 U.S.C. § 921(c)(4)
    and 20 C.F.R. § 718.305.
    As for rebutting the presumption, the ALJ explained that
    the only medical opinion evidence that could support the Em-
    ployer’s attempt to disprove the existence of legal pneumoco-
    niosis were those of Drs. Tuteur and Selby. However: the ALJ
    found Dr. Tuteur’s statements about Ross’s obstructive im-
    pairments inconsistent; the ALJ faulted Dr. Tuteur for not ad-
    dressing how he eliminated Ross’s significant coal dust expo-
    sure and attributed the impairment to Ross’s smoking history
    exclusively; and the ALJ took issue with Dr. Tuteur’s conclu-
    sion that Ross did not have chronic obstructive pulmonary
    disease despite the several years of treatment records diag-
    nosing Ross with that disease and a CT scan interpretation by
    18                                                  No. 18-2097
    a board-certified B-reader diagnosing Ross with mild to mod-
    erate centrilobular emphysema. Similarly, the ALJ found that
    Dr. Selby’s opinion did not adequately consider Ross’s medi-
    cal and treatment records regarding chronic obstructive pul-
    monary disease and emphysema, nor did it sufficiently ad-
    dress Ross’s approximately thirty-year exposure to coal dust.
    And the ALJ noted that Dr. Selby’s view that Ross’s decrease
    in oxygen was not pulmonary because pulmonary function
    tests are “virtually 100 percent predictive of no lung disease”
    was contrary to the Act’s implementing regulations that per-
    mit miners to establish a totally disabling respiratory impair-
    ment by blood gas studies. Finally, the ALJ credited Dr. Taz-
    baz’s qualification of the utility of Dr. Selby’s citation to the
    diffusing capacity study as it did not consider all of Ross’s
    comorbidities.
    Since the ALJ accorded the two relevant medical opinions
    little weight, he concluded that there was insufficient evi-
    dence to disprove the presumed existence of legal pneumoco-
    niosis. And because the Employer cannot rebut the presump-
    tion of clinical pneumoconiosis without rebutting the pre-
    sumption of legal pneumoconiosis, the ALJ reasoned that he
    “need not” decide whether the Employer rebutted the exist-
    ence of clinical pneumoconiosis. See 30 U.S.C. § 921(c)(4); 20
    C.F.R. § 718.305(d)(1)(i). Similarly, because the ALJ held
    “there [wa]s no reasoned medical opinion or other competent
    evidence excluding pneumoconiosis as a causative factor in
    [Ross]’s total disability,” the Employer also could not meet its
    burden of proving that pneumoconiosis played no part in
    Ross’s disability. 20 C.F.R. § 718.305(d)(1)(ii). Therefore, the
    ALJ decided Ross was entitled to benefits under the Act.
    No. 18-2097                                                   19
    4. The Second Petition for Review
    The Employer petitioned the Board to review the ALJ’s
    second decision. Renewing its argument from its motion for
    reconsideration, the Employer argued that the Board ex-
    ceeded its scope of review by accepting the Director’s argu-
    ments and vacating the ALJ’s initial decision on that basis.
    The Employer also asserted that the Board directed the ALJ to
    find on remand that Ross is totally disabled, in violation of the
    Administrative Procedures Act (“APA”) and due process. The
    Employer also took issue with the ALJ’s weighing of the med-
    ical opinion evidence on the issue of total disability, arguing
    this led to an erroneous finding that Ross invoked the fifteen-
    year presumption. Lastly, the Employer argued that the ALJ
    erred in finding that it could not rebut the presumption.
    The Board “decline[d] to consider” the Employer’s argu-
    ment that the Board exceeded its scope of review because the
    Board had considered and rejected the same argument in the
    Employer’s motion for reconsideration. Additionally, the
    Board dismissed the Employer’s argument that the Board di-
    rected the ALJ to make certain findings on remand because
    the plain language of the Board’s opinion stated that the ALJ
    should reconsider relevant evidence. And given that the Em-
    ployer had an opportunity to submit supplemental opinions
    from Drs. Selby and Tuteur, as well as to file briefs to advocate
    for its position, the Board found no basis for the Employer’s
    assertion that the Board had violated the Employer’s due pro-
    cess rights.
    The Board determined that the ALJ’s crediting of Dr. Taz-
    baz’s opinion, discrediting of Dr. Selby’s opinion, and finding
    that Dr. Tuteur diagnosed Ross with a totally disabling pul-
    monary condition was supported by the evidence. The Board
    20                                                  No. 18-2097
    affirmed the ALJ’s finding that the preponderance of the med-
    ical evidence established total disability under 20 C.F.R.
    § 718.204(b)(2)(iv), that weighing the evidence established to-
    tal disability under § 718.204(b)(2), and that Ross invoked the
    presumption under 30 U.S.C. § 921(c)(4). And because only
    Drs. Tuteur’s and Selby’s opinions that the shunt caused
    Ross’s impairment provided rebuttal evidence, and the ALJ
    did not find those opinions to be sufficiently reasoned or doc-
    umented, the Board held that the ALJ permissibly discredited
    those opinions and rationally concluded that the Employer
    did not carry its burden of disproving the establishment of
    legal pneumoconiosis or that pneumoconiosis caused, to
    some extent, Ross’s respiratory or pulmonary total disability.
    The Employer filed this appeal, seeking to strike the Direc-
    tor’s response brief and to reinstate the ALJ’s first decision
    denying Ross benefits under the Act.
    II. Discussion
    On a petition for review from a decision by the Board, we
    look at the ALJ’s decision and consider the entire record, but
    we do not reassess the facts or substitute our judgment for
    that of the ALJ. Dalton v. Office of Workers’ Comp. Programs, 
    738 F.3d 779
    , 783 (7th Cir. 2013) (citing Amax Coal Co. v. Beasley,
    
    957 F.2d 324
    , 327 (7th Cir. 1992)). Our review of the Board’s
    decision is limited to whether the Board exceeded its scope of
    review and whether it committed an error of law. 
    Id. (citing Old
    Ben Coal Co. v. Prewitt, 
    755 F.2d 588
    , 590 (7th Cir. 1985)).
    The Board’s scope of review is statutorily defined: the Board
    must affirm an ALJ’s decision if it is rational, supported by
    No. 18-2097                                                   21
    substantial evidence, and in accordance with applicable law.
    
    Id. (citing 33
    U.S.C. § 921(b)(3); 20 C.F.R. § 802.301).
    A. The Director’s Response Brief
    The Employer maintains that the Board should have
    granted its motion to strike the Director’s response brief be-
    cause 20 C.F.R. § 802.212(b) provides that the Board may not
    consider arguments in response briefs unless the arguments
    respond to issues raised in the petitioner’s brief or support the
    decision below, and the Director’s response brief contained
    arguments that Ross had not raised in his petition for review
    from the Board and that the parties had not presented to the
    ALJ. Additionally, the Employer argues that the Board vio-
    lated the APA and due process by considering the Director’s
    brief on the basis that the brief responded to “general allega-
    tions of error” in Ross’s petition for review.
    According to the Employer, the Director’s brief criticized
    the ALJ’s analysis of the medical opinion evidence “in great
    detail,” while Ross’s brief only argued that because the opin-
    ions of Drs. Tuteur and Selby “fail[ed] to recognize the uncon-
    tradicted [blood gas] testing results as evidence of pulmonary
    disability,” the ALJ erred in finding those opinions to be well-
    rationalized. The Employer insists that the only area of
    “agreement” between Ross’s brief and the Director’s brief is
    their shared reliance on Bounds v. Marfork Coal Company, BRB
    No. 13-0522, 
    2014 WL 3897749
    (Ben. Rev. Bd. July 29, 2014)
    (“Bounds II”). Even then, the Employer argues that Ross and
    the Director relied on Bounds II for different propositions.
    Ross admits that the Director’s response brief was “more
    artfully stated” than his brief, but he does not concede that the
    22                                                             No. 18-2097
    Director advanced new arguments, in violation of the regula-
    tion. Similarly, the Director claims it addressed “more fully”
    the same arguments Ross made in his brief. The Director fur-
    ther defends its brief by noting that there is no statutory or
    regulatory rule that the response brief may only parrot an
    opening brief. To the contrary, in Harris v. Todd Pacific Ship-
    yards Corp., the Board interpreted “response” to include argu-
    ments in agreement with the opening brief. 28 BRBS 254, 
    1994 WL 661158
    , at *3 n.4 (Ben. Rev. Bd. Oct. 25, 1994) (per curiam)
    (citing 20 C.F.R. § 802.212(b)).5
    In his petition to the Board, Ross challenged the ALJ’s de-
    cision that the medical evidence was insufficient to show a to-
    tally disabling pulmonary condition. Ross criticized the ALJ’s
    jump from acknowledging that Dr. Tazbaz concluded that
    Ross had a “pulmonary limitation to exercise with hypoxemia
    that requires oxygen” and that two blood gas tests produced
    qualifying results, to nevertheless concluding that the pre-
    ponderance of the evidence established that Ross was not to-
    tally disabled on a pulmonary basis. To make that jump, Ross
    5 In its reply brief, the Employer argues that Harris is “contrary to the
    regulation.” We disagree. Harris’s application of the regulation was well-
    reasoned. The Board in Harris denied the employers’ motions to strike be-
    cause “[c]ontrary to employers’ contentions, a party may ‘respond’ to the
    petitioner’s brief by agreeing with the arguments made therein, as the Di-
    rector has done in the instant cases.” 
    1994 WL 661158
    , at *3 n.4. Sec-
    tion 802.212(b) does not define “response,” and there is nothing in the reg-
    ulation or in the plain meaning of the term “response” to suggest that a
    response cannot take the form of an agreement, as Harris held. Addition-
    ally, there is no indication of how similar or different a “response” must
    be from the previous assertion or question, so there is support for the no-
    tion that the Director could file a brief agreeing with the arguments in the
    petitioner’s brief either by merely reiterating those arguments or by re-
    casting those arguments in a new light.
    No. 18-2097                                                   23
    insisted, the ALJ must have credited Dr. Selby’s statement
    that “[Ross’s] drop in [oxygen] was not pulmonary in nature.”
    This was error “as a matter of black lung law” and well-settled
    Board precedent, Ross contended, citing Bounds II for the
    proposition that the Board had previously rejected a similar
    argument that blood gas studies were cardiac-related and not
    pulmonary in nature.
    In Bounds II, the miner’s claim for benefits was before the
    Board for a second time. 
    2014 WL 3897749
    , at *1. On remand,
    the ALJ had found that the pulmonary function study evi-
    dence did not establish total respiratory disability, but that
    the blood gas study and the medical opinion evidence did;
    because the ALJ determined that the employer did not rebut
    the presumption, the ALJ awarded the miner benefits. 
    Id. at *2.
    On appeal, the employer challenged the ALJ’s total disa-
    bility finding by asserting that the blood gas study evidence
    was insufficient to establish total respiratory disability be-
    cause the results reflected a hypertensive cardiovascular re-
    sponse to exercise, not a total respiratory impairment. 
    Id. at *4.
    After noting that the ALJ based his total disability conclu-
    sion on the blood gas study evidence, and that the employer’s
    experts did not dispute that the blood gas studies revealed a
    disabling condition, only that the blood gas studies revealed
    a pulmonary condition (because they believed the studies re-
    vealed a cardiac disease), the Board rejected the employer’s
    argument that the blood gas study evidence was insufficient
    to establish a totally disabling respiratory impairment. 
    Id. The Director’s
    brief, in relevant part, cited Bounds II after
    stating that “the Director agrees with [Ross]’s assertion that
    the ALJ erred by conflating the issue of total disability with
    the issue of cause of disability when determining whether the
    24                                                  No. 18-2097
    evidence was sufficient to establish invocation of the
    [30 U.S.C. § 921](c)(4) presumption.” The brief further states:
    “As [Ross] notes, the Board has recognized that a physician’s
    statement that qualifying [blood gas] results are due to non-
    pulmonary causes is not relevant to the disability inquiry.…
    Instead, any such opinions should be addressed when evalu-
    ating the cause of disability.” The Director maintained that
    the ALJ’s error was not harmless because the ALJ did not
    “critically analyze the medical opinion evidence in finding no
    disability,” which means that even if the presumption was in-
    voked, the Board had no basis to conclude that the ALJ’s cred-
    ibility findings would support a finding that the Employer
    could rebut that presumption.
    What distinguishes Ross’s brief from the Director’s is that
    the Director characterized the ALJ’s errors in this case and in
    Bounds II as a conflation of two distinct inquiries. Ross did not
    use that language, but when Ross included a block quotation
    from Bounds II in his petition for review that explained the
    Board’s reason for rejecting that employer’s challenge to the
    sufficiency of the miner’s qualifying blood gas studies, Ross
    was making the same point as the Director: the cause of qual-
    ifying blood gas results is not relevant to the ALJ’s inquiry
    into whether the miner has a totally disabling pulmonary con-
    dition, it is only relevant to the ALJ’s inquiry into disability
    causation. Neither this distinction nor the differing levels of
    quality or detail between the two briefs are enough to remove
    the Director’s brief from the realm of a “response” under the
    regulations. 20 C.F.R. § 802.212(b); see Harris, 
    1994 WL 661158
    ,
    at *3 n.4.
    Finally, we are not persuaded by the Employer’s argu-
    ment that the Board’s denial of the motion to strike violated
    No. 18-2097                                                             25
    the APA and due process. In reaching its conclusion on the
    motion to strike, the Board reasoned that because Ross chal-
    lenged the ALJ’s weighing of medical opinion evidence and
    finding that he did not have a totally disabling pulmonary im-
    pairment, the Board could consider the arguments in the Di-
    rector’s brief that responded to those “general allegations of
    error on that issue.” The Board cited 20 C.F.R. § 802.212(b)
    and Barnes v. Director, Office of Workers’ Compensation Pro-
    grams, BRB No. 93-0584, 
    1995 WL 80211
    (Ben. Rev. Bd. Feb. 15,
    1995) (en banc) to support its reasoning. The Employer inter-
    prets Barnes as providing the Director with standing to argue
    any issue it believes the ALJ decided erroneously so long as a
    party appeals the ALJ’s decision and alleges the ALJ erred in
    declining to award benefits. As such, the Employer contends
    that Barnes undermines the APA and due process.6
    However, this case does not raise the concerns the Em-
    ployer has about Barnes. Sitting en banc, the Board in Barnes
    decided that it could consider arguments from the Director’s
    brief because they “respond[ed] to claimant’s general allega-
    tion that the [ALJ] erred in failing to award benefits.” 
    1995 WL 80211
    , at *2. Notably, the Board had previously held that the
    claimant did not raise any arguments about the ALJ’s decision
    with sufficient specificity to invoke the Board’s review, and
    therefore, the Board refused to consider the Director’s brief as
    6 The Employer’s argument concerning an APA violation is undevel-
    oped; the Employer does not identify which provision of the APA it be-
    lieves was violated. As such, this argument is waived. See Shumaker v. Col-
    vin, 632 F. App’x. 861, 867 (7th Cir. 2015) (undeveloped arguments on ap-
    peal are waived). We will consider the Employer’s related, and more de-
    veloped, argument that the Board violated due process by denying the
    motion to strike.
    26                                                    No. 18-2097
    nonresponsive. 
    Id. Unlike the
    claimant in Barnes, however,
    Ross raised several specific issues in his petition for review
    and the Director’s response brief only expounded on those
    points. This was all in keeping with 20 C.F.R. § 802.212(b).
    Moreover, there was no due process violation because, as
    Ross and the Director point out, the Employer had the oppor-
    tunity to argue its case twice before the ALJ and twice before
    the Board, including the chance to submit supplemental med-
    ical opinion evidence. Thus, we enforce the Board’s denial of
    the Employer’s motion to strike the Director’s response brief.
    B. The ALJ’s First Decision
    The Employer challenges the Board’s decision to vacate
    the ALJ’s first decision and to remand the claim. Specifically,
    the Employer argues that the Board blindly adopted the Di-
    rector’s legal arguments and factual findings, and that the
    Board forced the ALJ to do the same on remand. As such, the
    Employer argues that the Board exceeded its scope of review
    and that its decision was contrary to law.
    Returning to the portion of the Director’s brief that argues
    the ALJ erred by conflating two distinct inquiries, the Em-
    ployer now seeks to undermine this argument as relying on
    conflicting Board precedent. As we discussed above, the Di-
    rector cited Bounds II to support its point that the total disabil-
    ity inquiry is distinct from the disability causation inquiry.
    But Bounds II was not the only decision the Director cited for
    that proposition; the Director also cited Street v. Dominion Coal
    Corp., BRB No. 13-0116, 
    2013 WL 6408512
    (Ben. Rev. Bd. Nov.
    27, 2013) (per curiam) (“Street II”). The Employer incorrectly
    argues that Bounds II reached a contrary result to Street II. Fo-
    No. 18-2097                                                   27
    cusing on a different part of the Bounds II decision, the Em-
    ployer now argues that the Board in Bounds II affirmed the
    ALJ’s consideration of the cause of the impairment before the
    invocation of the fifteen-year presumption. This misstates the
    relevant holding of Bounds II.
    The employer in Bounds II argued that the ALJ relieved the
    miner of the burden of establishing a totally disabling respir-
    atory impairment because the ALJ focused on the cause of the
    claimant’s impairment. 
    2014 WL 3897749
    , at *5. But as the
    Board explained, it was the doctors who “premised their di-
    agnoses regarding a pulmonary impairment on their determi-
    nations of the cause of claimant’s hypoxia.” 
    Id. Because the
    ALJ permissibly found one doctor more qualified than the
    others and credited that doctor’s opinion over the others, the
    Board rejected the employer’s argument that the ALJ improp-
    erly combined his analysis of the issues of total disability and
    disability causation. 
    Id. Read that
    way, Bounds II does not conflict with Street II. In
    Street II, the ALJ decided that one doctor’s opinion that the
    claimant “did not retain the respiratory capacity to perform
    his regular coal mine employment” was sufficient to establish
    total respiratory disability because the blood gas study results
    supported this opinion. 
    2013 WL 6408512
    , at *2. The ALJ re-
    jected a second doctor’s contrary opinion, which was based
    on the conclusion that the claimant’s disabling hypoxemia
    was due to nonpulmonary factors, because the ALJ found the
    conclusion to be speculative. 
    Id. at *2–3.
    In affirming the ALJ’s
    decision, the Board explained that the medical opinion that
    pneumoconiosis did not cause the disabling hypoxemia “does
    28                                                  No. 18-2097
    not show that claimant does not have a totally disabling res-
    piratory impairment pursuant to Section 718.204(b)(2)(iv).”
    
    Id. at *3.
        Consequently, both Bounds II and Street II support the Di-
    rector’s argument that the total disability inquiry is distinct
    from the disability causation inquiry. In any event, the Board
    need not have relied on these cases in adopting the Director’s
    argument that the ALJ erred by conflating the two because, as
    the Board stated in its opinion, the Director’s argument is con-
    sistent with the relevant statutory and regulatory framework,
    to which we now turn.
    The Employer asserts that the Act’s unambiguous statu-
    tory language and its implementing regulations require the
    ALJ to determine if a miner had a respiratory or pulmonary
    impairment before invoking the presumption. Focusing on
    the use of “respiratory” and “pulmonary” to modify “impair-
    ment,” the Employer argues that such language reveals Con-
    gress’s intent to limit the invocation of the presumption to
    only respiratory and pulmonary impairments. Furthermore,
    the Employer asserts that the statutory and regulatory frame-
    work presumes that a miner’s respiratory or pulmonary im-
    pairment is pneumoconiosis and it limits the rebuttal stand-
    ard to establishing that the miner does not have pneumoconi-
    osis or that the respiratory or pulmonary impairment did not
    arise out of coal mine employment. 30 U.S.C. § 921(c)(4); 20
    C.F.R. § 718.305(d)(1).
    Although we agree with the Employer that ALJs must find
    that a totally disabling respiratory or pulmonary impairment
    exists before the presumption may be invoked, it does not fol-
    low that the ALJ may discount evidence that otherwise shows
    a totally disabling respiratory or pulmonary impairment (i.e.
    No. 18-2097                                                   29
    through blood gas results) simply because a physician opines
    that the cause of the impairment is cardiac-based. It is clear
    from the Act, the regulations, and Board precedent that an
    ALJ must decide whether a totally disabling respiratory or
    pulmonary disability exists before invoking the presumption,
    but that in doing so, the ALJ should not let medical opinion
    evidence about the cause of such respiratory or pulmonary
    impairment affect the analysis.
    As for the Employer’s argument that the Board blindly
    adopted the Director’s factual findings, we hold that the
    Board acted within its scope of review and appropriately va-
    cated and remanded the ALJ’s decision as not supported by
    substantial evidence in the record. By noting that the ALJ mis-
    characterized an opinion and improperly discounted an opin-
    ion because the ALJ misapprehended the factual record, the
    Board is not usurping the ALJ’s factfinding role. Rather, the
    Board is fulfilling its own role of ensuring the ALJ’s findings
    of fact and conclusions of law are set aside if they are not sup-
    ported by substantial evidence or in accordance with law. See
    20 C.F.R. § 802.301(a).
    The Employer’s related theory that the Board forced the
    ALJ to blindly adopt the Director’s factual findings also does
    not prevail. In its opinion, the Board simply instructed the ALJ
    on remand to “further consider[]” the evidence. We do not
    read the Board’s opinion as coercing the ALJ to reach a certain
    result. Rather, the Board pointed out evidence that the ALJ
    should acknowledge, but that the ALJ was still free to weigh
    as the ALJ saw fit. Furthermore, a significant portion of the
    ALJ’s decision on remand involved supplemental medical ev-
    idence to which the Board did not have access. Thus, the
    Board could not have controlled the ALJ’s findings on remand
    30                                                  No. 18-2097
    and the ALJ’s ultimate decision on remand could not have
    been preordained.
    The Board did not exceed its scope of review by vacating
    and remanding the ALJ’s decision.
    C. Finding of Total Disability Established on Remand
    The Employer also argues that the ALJ’s findings on re-
    mand as to the total disability inquiry were not supported by
    substantial evidence and were contrary to law.
    Starting with Dr. Tazbaz’s opinion, the Employer assigns
    error to the ALJ’s finding, “[u]pon further reflection,” that Dr.
    Tazbaz’s opinion was well-documented and well-reasoned.
    The Employer concedes that “[s]uch finding would be appro-
    priate” if the ALJ had not merely copied such findings from
    the Board (which had blindly adopted the same findings from
    the Director’s brief, according to the Employer). As noted
    above, however, we do not view the ALJ as thoughtlessly fol-
    lowing the Board’s directive. Based on the ALJ’s decision, it is
    clear that the ALJ considered the relevant evidence (including
    a wealth of supplemental medical opinion evidence), made
    credibility determinations, and weighed differing opinions in
    order to reach his independent conclusion.
    The Employer also argues that the ALJ’s crediting of Dr.
    Tazbaz’s opinion was not supported by the evidence because
    Dr. Tazbaz did not address: (1) how Ross’s chronic obstructive
    pulmonary disease and coal workers’ pneumoconiosis would
    cause oxygen desaturation with exercise; (2) why the pulmo-
    nary function test he performed on Ross produced qualifying
    results but the testing Dr. Tuteur performed on Ross four
    months later did not; or (3) what evidence or medical research
    existed to undermine Drs. Tuteur’s and Selby’s opinions. But,
    No. 18-2097                                                    31
    the Employer’s first argument is premised on importing the
    causation analysis into the disability analysis, in violation of
    statutory and regulatory language. Dr. Tazbaz did not need
    to explain why chronic obstructive pulmonary disease or coal
    workers’ pneumoconiosis would cause Ross’s desaturation
    with exercise in order for the ALJ to be able to rely on his opin-
    ion as evidence of a totally disabling pulmonary impairment;
    the ALJ may rely on Dr. Tazbaz’s conclusion that Ross pro-
    duced qualifying blood gas results as evidence of total disa-
    bility, even if Dr. Tazbaz believes the cause of the results is
    nonpulmonary. See Midland Coal 
    Co., 358 F.3d at 493
    . As to the
    second and third arguments, the record shows that Dr. Tazbaz
    discussed the other doctors’ opinions enough to support the
    ALJ’s finding that Dr. Tazbaz’s opinion was credible. The stat-
    utory and regulatory framework do not require Dr. Tazbaz to
    respond to every conflicting data point with a counterpoint or
    resolution; that Dr. Tazbaz considered Ross’s full medical rec-
    ord before making a medical judgment as to Ross’s diagnoses
    was sufficient.
    Next, the Employer challenges the ALJ’s finding on re-
    mand that Dr. Tuteur deemed Ross to have a totally disabling
    pulmonary impairment. According to the Employer, it was
    just the opposite: Dr. Tuteur found Ross’s cardiac condition to
    be the cause of the disability. And the Employer argues that
    the ALJ’s decision should be vacated because ALJs are not al-
    lowed to mischaracterize a physician’s opinion or to substi-
    tute their own findings for that of a physician’s. Again, the
    Employer seeks to use the doctor’s opinion that a cause of an
    impairment is nonpulmonary to remove evidence of a totally
    disabling pulmonary impairment from the ALJ’s considera-
    32                                                 No. 18-2097
    tion. To do so is improper under the statute and the regula-
    tions; the ALJ reached an appropriate finding as to Dr. Tu-
    teur’s opinion of a totally disabling pulmonary impairment.
    Lastly, the Employer disputes the ALJ’s decision to accord
    Dr. Selby’s opinion that Ross did not have a pulmonary disa-
    bility little weight, emphasizing that Dr. Selby’s opinion was
    supported by Dr. Tuteur’s testing in 2012 and by Dr. Selby’s
    review of all the materials. Notwithstanding the parts of the
    record that support Dr. Selby’s opinion, the ALJ may never-
    theless decide that, on balance, Dr. Selby’s opinion was not
    well-reasoned because Dr. Selby did not discuss the qualify-
    ing blood gas studies or why Ross would be capable of per-
    forming his usual coal mine employment.
    In general, the Employer’s theory that something must be
    amiss because the ALJ changed his mind on remand is partic-
    ularly unpersuasive here because the parties submitted five
    additional medical opinions after the Board’s second deci-
    sion. Those supplemental medical opinions presented new in-
    formation for the ALJ to consider, which ultimately altered
    the ALJ’s credibility determinations. For the first time on re-
    mand, the doctors were able to consider the complete results
    of the 100% blood gas study, which formed the basis of Dr.
    Tuteur’s conclusion that a shunt caused Ross’s hypoxemia.
    Relevant here, Dr. Tazbaz cast doubt on Dr. Tuteur’s use of
    the blood gas study to identify a shunt given that the pre-
    ferred way to determine the presence of a shunt is an echocar-
    diogram with a bubble study, which Dr. Tuteur did not per-
    form. Moreover, Dr. Tazbaz noted that Ross’s treatment rec-
    ords relating to his coronary artery bypass graft surgery
    showed that his heart and the bypass were functioning
    No. 18-2097                                                   33
    properly and that his heart disease had been treated surgi-
    cally, so it could not be the cause of any major issues for Ross.
    In their second supplemental opinions, neither Dr. Tuteur nor
    Dr. Selby could refute the utility of a bubble study to confirm
    the presence of a shunt, nor did they explain how, in spite of
    Ross’s positive cardiac-related medical history, Drs. Tuteur
    and Selby nevertheless believed Ross’s impairment was car-
    diac-based and not pulmonary-based.
    We hold that the ALJ’s decision to accord more weight to
    Drs. Tazbaz’s and Tuteur’s opinions—because he considered
    those opinions better-reasoned than Dr. Selby’s and found
    them supported by the medical evidence—was rational, sup-
    ported by substantial evidence, and in accordance with appli-
    cable law. In turn, we conclude that the Board appropriately
    affirmed the ALJ’s decision that Ross proved by a preponder-
    ance of the evidence that he was totally disabled under
    20 C.F.R. § 718.204(b)(2)(iv), that the evidence was sufficient
    to establish total disability pursuant to 20 C.F.R.
    § 718.204(b)(2), and that Ross invoked the fifteen-year pre-
    sumption under 30 U.S.C. § 921(c)(4).
    D. Finding that Presumption Was Not Rebutted on Re-
    mand
    After invoking the fifteen-year presumption on remand,
    the ALJ addressed whether the Employer rebutted it. Employ-
    ers face an “uphill battle” in attempting to rebut the presump-
    tion. R & H Steel Bldgs., Inc. v. Dir., Office of Workers’ Comp.
    Programs, 
    146 F.3d 514
    , 518 (7th Cir. 1998). But, the Employer
    34                                                  No. 18-2097
    advances several theories as to why the ALJ’s decision that it
    did not rebut the presumption should be vacated.
    First, the Employer argues that because the ALJ only con-
    sidered whether the Employer could rebut legal pneumoco-
    niosis, the ALJ failed to review all the medical evidence,
    which was contrary to law. This argument misses the mark.
    While the ALJ was required to review all medical evidence
    before determining if a total disability existed, the Employer
    does not cite any authority to support the notion that the ALJ
    may not decide that the employer cannot rebut the presump-
    tion because the employer cannot rebut one of the requisite
    elements. See 20 C.F.R. § 718.305(d)(1)(i).
    Next, the Employer objects that the invocation of the pre-
    sumption yields only a presumption of clinical pneumoconi-
    osis. But, this argument contravenes the statutory and regula-
    tory framework. Section 921(c)(4) specifically provides that
    the fifteen-year presumption is triggered when a miner is dis-
    abled or has died from “pneumoconiosis,” and both the stat-
    utory and the regulatory definitions of pneumoconiosis are
    broad: “a chronic dust disease of the lung and its sequelae,
    including respiratory and pulmonary impairments, arising
    out of coal mine employment.” 30 U.S.C. § 902(b); 20 C.F.R.
    § 718.201(a). And as noted above, the regulation further spec-
    ifies that this broad definition includes “clinical” and “legal”
    pneumoconiosis. 20 C.F.R. § 718.201(a). There is no sugges-
    tion that Congress sought to limit the application of the pre-
    sumption to only clinical pneumoconiosis. In fact, there is per-
    suasive authority from other courts of appeals that have con-
    sidered this precise issue and held that the plain language of
    §§ 902(b) and 921(c)(4) leads to the conclusion that the pre-
    sumption applies to both clinical and legal pneumoconiosis.
    No. 18-2097                                                   35
    See Consolidation Coal Co. v. Dir., Office of Workers’ Comp. Pro-
    grams, 
    864 F.3d 1142
    , 1147 (10th Cir. 2017); Barber v. Dir., Office
    of Workers’ Comp. Programs, 
    43 F.3d 899
    , 901 (4th Cir. 1995).
    The Employer argues that research concerning the fifteen-
    year presumption showed that the likelihood of a miner de-
    veloping clinically significant legal pneumoconiosis was only
    14.2% for smoking miners and 7.7% for nonsmoking miners
    with “high exposure” to coal mine dust over varying lengths
    of time. See Regulations Implementing the Federal Coal Mine
    Health and Safety Act of 1969, as Amended, 65 Fed. Reg.
    79920-01, 79940-01 (Dec. 20, 2000). And the Employer argues
    that this data revealed that even if the “high exposure” miners
    worked in the mines for over fifteen years, 85.8% of them
    would not develop legal pneumoconiosis, and yet 88% of
    them did develop clinical pneumoconiosis. The Employer
    thus argues there is insufficient evidence to support a pre-
    sumption that a miner with chronic obstructive pulmonary
    disease and at least fifteen years of coal mine employment has
    legal pneumoconiosis. Given that the law requires a logical
    connection between the proven fact and the presumed con-
    clusion, the Employer reasons that the fifteen-year presump-
    tion does not apply to legal pneumoconiosis. See Mullins Coal
    Co. v. Dir., Office of Workers’ Comp. Programs, 
    484 U.S. 135
    , 137,
    158–59 (1987) (recognizing the “need for a logical connection
    between the proven fact and the presumed conclusion” in ref-
    erence to the interim presumption of eligibility for black lung
    benefits claims filed between July 1, 1973, and April 1, 1980).
    In response, the Director points to an opinion from the
    Tenth Circuit that considered and rejected the same argu-
    ment:
    36                                                 No. 18-2097
    We fail to see how this study sheds light on Con-
    gress’ intent as to the fifteen-year presumption.
    But in any event, the study is inapposite. It re-
    flects the incidence of respiratory impairment
    among all miners, healthy or unhealthy. The fif-
    teen-year presumption requires a claimant to
    demonstrate that he is totally disabled due to a
    respiratory condition, § 921(c)(4), and thus min-
    ers who successfully invoke the presumption
    have already shown that they fall within the
    class of miners with significant pulmonary dys-
    function.
    Consolidation 
    Coal, 864 F.3d at 1148
    n.2. We agree with the
    Tenth Circuit that the presumption is reasonable for legal
    pneumoconiosis. And we do not conclude that the presump-
    tion only applies to clinical pneumoconiosis.
    Finally, the Employer argues that the ALJ’s interpretation
    of the rebuttal requirements was erroneous and should be va-
    cated. The parties devote pages to analyzing, criticizing, and
    distinguishing the medical opinion evidence. But, in consid-
    ering whether there is support for the Employer’s attempt to
    rebut the presumption, the medical opinion evidence may be
    simplified as a disagreement between three qualified physi-
    cians as to the cause of Ross’s qualifying test results. We may
    not reweigh the medical opinion evidence. It was rational for
    the ALJ to discredit the opinions of Drs. Tuteur and Selby to
    the extent they concluded that Ross did not suffer from a pul-
    monary impairment because those opinions did not explain
    how they eliminated Ross’s thirty years of coal mine dust ex-
    posure as a potential cause of his pulmonary impairment, or
    how they concluded Ross does not have chronic obstructive
    No. 18-2097                                                   37
    pulmonary disease given the years of medical treatment rec-
    ords documenting the condition and the CT scan reading of
    mild to moderate emphysema. Similarly, it was rational for
    the ALJ to reject Drs. Tuteur’s and Selby’s opinions that a
    shunt was the sole cause of Ross’s disability given that those
    doctors did not diagnose pneumoconiosis and they did not
    address contrary medical evidence of record, namely Dr. Taz-
    baz’s normal cardiac test results and Ross’s extensive cardiac
    treatment records that lacked any mention of a shunt.
    Substantial evidence supports the ALJ’s decision to give
    little weight to the disability causation opinions of Drs. Tuteur
    and Selby. Given that those were the only opinions the Em-
    ployer could rely on to support its effort to rebut the presump-
    tion, and the ALJ reasonably discredited them, we hold that
    the Board appropriately affirmed the ALJ’s finding that the
    Employer did not rebut the presumption.
    III. Conclusion
    For the foregoing reasons, we ENFORCE the Board’s deci-
    sion affirming the ALJ’s determination that Ross is entitled to
    benefits under the Act.