Simon v. Commissioner of Social Security ( 2021 )


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  •                        UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    ____________________________________
    )
    KISHA SIMON,                         )
    )
    Plaintiff,         )
    )
    v.                            )   Civil Action No. 17-2033 (RBW)
    )
    COMMISSIONER OF SOCIAL              )
    SECURITY,                           )
    )
    Defendant.        )
    )
    MEMORANDUM OPINION
    The plaintiff, Kisha Simon, brings this civil action pursuant to 
    42 U.S.C. §§ 405
    (g)
    and 1383(c), against the defendant, the Commissioner of Social Security, seeking judicial review
    of the decision by an administrative law judge (“ALJ”) denying her application for disability
    insurance benefits and supplemental social security income. See Complaint (“Compl.”) ¶¶ 1–2.
    Currently pending before the Court are the plaintiff’s motion for judgment of reversal, see
    Motion for Judgment of Reversal (“Pl.’s Mot.”), ECF No. 11, and the defendant’s motion for
    judgment of affirmance, see Defendant’s Motion for Judgment of Affirmance and in Opposition
    to Plaintiff’s Motion for Judgment of Reversal (“Def.’s Mot.”), ECF No. 12. Upon careful
    consideration of the parties’ submissions, 1 the Court concludes for the following reasons that it
    must grant the plaintiff’s motion, deny the defendant’s motion, reverse the ALJ’s decision, and
    remand the case to the agency for further proceedings.
    1
    In addition to the filings already identified, the Court considered the following submissions in rendering its
    decision: (1) the Memorandum of Points and Authorities in Support of Plaintiff’s Motion for Judgment of Reversal
    (“Pl.’s Mem.”), ECF No. 11-1; (2) the Defendant’s Memorandum in Support of Her Motion for Judgment of
    Affirmance and in Opposition to Plaintiff’s Motion for Judgment of Reversal (“Def.’s Mem.”), ECF No. 13; (3) the
    Plaintiff’s Response to Motion for Judgment of Affirmance and Reply to Motion for Judgment of Reversal (“Pl.’s
    Reply”), ECF No. 14; and (4) the administrative record (“App.”), ECF Nos. 9-1 to 9-12.
    I.      BACKGROUND
    A.      Statutory and Regulatory Framework
    Pursuant to the Social Security Act (the “Act”), an individual is entitled to disability
    benefits if he or she is unable to
    engage in any substantial gainful activity by reason of any medically determinable
    physical or mental impairment which can be expected to result in death or which
    has lasted or can be expected to last for a continuous period of not less than
    [twelve] months[.]
    
    42 U.S.C. § 423
    (d)(1)(A). To determine whether a claimant is entitled to benefits, an ALJ
    “gathers evidence, holds a hearing, [and] takes testimony,” which may include testimony by a
    vocational expert. Kim M. v. Kijakazi, Civil Action No. 20-cv-2072 (GMH), 
    2021 WL 4033060
    (D.D.C. Sept. 3, 2021). The ALJ then “performs [a] five-step, sequential inquiry of the
    [claimant’s] disability claim[,]” as set forth in 
    20 C.F.R. § 404.1520
    . 
    Id.
    First, the claimant must show that [he or] she is not presently engaged in
    “substantial gainful activity.” 
    20 C.F.R. § 416.920
    (a)(4)(i). Second, [he or] she
    must demonstrate that [he or] she has a “severe impairment” that “significantly
    limits [his or her] physical or mental ability to do basic work activities.” 
    20 C.F.R. §§ 416.920
    (a)(4)(ii), 416.920(c). Third, the claimant must show that [his
    or] her impairments or combination of impairments “meets or equals” one of the
    listings at 20 C.F.R. Part 404, Subpart P, Appendix 1. See 
    20 C.F.R. § 416.920
    (a)(4)(iii). If they do, then the claimant is deemed disabled, and the
    inquiry ends. 
    Id.
     If not, the ALJ must proceed to the fourth step, which requires
    the ALJ to determine the claimant's residual functional capacity and consider
    whether, in light of that capacity, the claimant can still perform work that [he or]
    she has done within the past [fifteen] years (if the claimant has indeed done such
    work). See 
    20 C.F.R. §§ 416.920
    (a)(4)(iv), 416.960(b)(1). Fifth, if the claimant's
    capacity indicates that [he or] she cannot engage in past work, then the burden
    shifts to the [agency] to prove that the claimant's capacity, age, education, and
    past work experience indicate that [he or] she is able to perform “other work” that
    exists in the national economy. 
    20 C.F.R. § 416.920
    (a)(4)(v); Butler, 353 F.3d
    at 997.
    Mitchell v. Kijakazi, No. 19-cv-2560 (DLF), 
    2021 WL 5310541
    , at *2 (D.D.C. Nov. 15, 2021).
    “Through the first four steps of this inquiry, the claimant bears the burden of proof[,]” however,
    2
    at step five, “the burden shifts to the [agency] to identify specific jobs sufficiently available in
    the national economy that the claimant can perform.” Callahan v. Astrue, 
    786 F. Supp. 2d 87
    , 89
    (D.D.C. 2011).
    B.       The Plaintiff’s Disability Claims and Procedural History
    This case concerns two applications filed by the plaintiff: (1) an application under Title II
    and Part A of Title XVIII for a period of disability and disability insurance benefits, filed on
    August 16, 2013, see App. at 212–15, and (2) an application under Title XVI and Title XIX for
    supplemental security income, filed on September 24, 2013, see 
    id.
     at 216–24. Both applications
    alleged that the plaintiff became disabled as of September 1, 2009. See 
    id. at 212, 216
    .
    The plaintiff’s applications were initially denied by the defendant on January 29, 2014.
    See 
    id.
     at 137–43 (notifying the plaintiff of the denial of her applications). On February 5, 2014,
    the plaintiff requested reconsideration of the defendant’s decision, see 
    id. at 148
    , and on
    February 24, 2014, the defendant determined that “the previous determination denying [the
    plaintiff’s] claim[s] was proper under the law[,]” 
    id. at 158
    ; see 
    id.
     at 149–60 (notifying the
    plaintiff of the agency’s determination that its previous denials were proper).
    On April 8, 2014, the plaintiff submitted a “request for [a] hearing by” an ALJ. 
    Id. at 161
    . In support of her applications, the plaintiff submitted to the ALJ the medical
    documentation that had been previously considered by the agency, as well as additional
    documentation that post-dated the agency’s determinations. 2
    2
    This information is compiled in the administrative record submitted in this case. See App. at 252–60 (function
    report dated September 27, 2013, completed by the plaintiff); 
    id.
     at 261–71 (third-party function report dated
    September 27, 2013, completed by Sequitta Tolliver, the plaintiff’s friend); 
    id.
     at 313–22 (treatment records dated
    July 28, 2006, to August 18, 2006, from Dr. Alfred C. Burris); 
    id.
     at 323–427 (Charter Family Health Center PC
    hospital records dated March 30, 2001, to September 25, 2006); 
    id.
     at 428–41 (disability consultation records dated
    November 17, 2006, from Dr. Elliot Aleskow); 
    id.
     at 442–51 (Fort Washington Medical Center emergency
    department records dated August 31, 2009); 
    id.
     at 452–54 (Prince George’s Hospital Center operative report dated
    August 25, 2010); 
    id.
     at 455–88 (treatment records dated February 18, 2010, to June 24, 2013, from Dr. Joel L.
    (continued . . .)
    3
    On February 22, 2016, the ALJ held a hearing regarding the plaintiff’s applications, see
    id. at 41, at which the plaintiff, see id. at 51–66, and a vocational expert, Dr. James M. Ryan, see
    id. at 66–72, testified. The plaintiff stated that, prior to filing her applications, she worked as a
    cashier at a Giant Food grocery store for “[a] little over two years[.]” Id. at 53. While
    performing her cashier duties on August 31, 2009, see id. at 310, her “forearm . . . [got] caught in
    the conveyor belt[,]” “pinch[ing]” her “nerve[,]” resulting in her going “to the emergency room
    straight after work.” Id. at 55. The plaintiff underwent two surgeries related to this injury,
    resulting in ongoing pain. See id.; see also id. at 310 (noting that the plaintiff had “an anterior
    cervical discectomy, an[] interbody fusion, and an anterior instrumentation procedure done at
    C6–7 . . . by Dr. Falik” on August 25, 2010, and “had the C6–7 fusion redone by Dr. [ ] Aulisi”
    on July 3, 2014). The plaintiff stated that, because of the injury, she did not “have good strength
    in [her] hand[,]” was “not able to do multiple rotations with the arm[,]” and was “not able to lift
    as much . . . on [her] left [side] as [she was able to lift] on [her] right[ side].” Id. at 56. The
    plaintiff also reported having issues with bending and squatting because, while she waited for her
    first surgery, “the vertebra[e] of [her] spinal cord [were] being pushed from [her] cervical . . .
    discs.” Id. at 57. However, the plaintiff noted that she does not use a “cane or anything to get
    (. . . continued)
    Falik); id. at 489–93 (medical questionnaire dated September 30, 2013, completed by Dr. Nora Bammidi); id.
    at 494–501 (consultative examination records dated November 26, 2013, from Dr. Joel Taubin); id. at 502–03
    (treatment records dated February 3, 2014, from Dr. Bammidi); id. at 504–15 (treatment records dated February 6,
    2013, to October 23, 2013, from Dr. Michael A. Frenchetti); id. at 516–28 (treatment records dated June 6, 2014, to
    September 23, 2015, from Dr. Edward Aulisi); id. at 529–76 (treatment records dated July 3, 2014, to October 23,
    2015, from Dr. Lee Ann Rhodes); id. at 577–86 (Medstar Washington Hospital Center records dated July 13, 2012,
    to September 7, 2012); id. at 587–644 (Civista Hospital records dated January 8, 2012, to September 1, 2013); id.
    at 645–802 (United Medical Center Hospital records dated August 20, 2012, to August 11, 2015); id. at 803–04
    (Medstar Washington Hospital Center records dated October 23, 2015); id. at 805–900 (Unity Health Care treatment
    records dated February 5, 2014, to January 28, 2016); id. at 901–06 (mental residual functional capacity assessment
    dated February 9, 2016, by physician assistant Alexandra Scheer); id. at 907–39 (Rehabilitation Center of Southern
    Maryland physical and occupational therapy records dated January 21, 2011 to July 20, 2011); id. at 940–42
    (Georgetown University Hospital radiology report dated September 3, 2013); id. at 943–50 (Multi Specialty Health
    Care records dated January 26, 2016, to February 12, 2016).
    4
    around” and, although she had “a back brace[,]” she did not “wear it.” Id. The plaintiff further
    stated that her “pain [ ] get[s] worse” when she is doing activities like “[h]ousehold cleaning[ or]
    laundry” because of the “constant movement” and “things that consist of [her] moving that
    repeatedly.” Id. at 61. However, she stated that she could walk “with breaks” for “maybe an
    hour without pain[,]” and “constant[ly] stand in one spot[ for ]roughly [fifteen or twenty]
    minutes.” Id. She also reported that “sitting for a prolonged period of time affect[ed her] pain”
    and that she could sit for “maybe an hour, hour and a half tops.” Id. at 61–62. Finally, the
    plaintiff stated that “maybe five, six” days per month she had to “lay down during the day” for
    approximately two to three hours “because [her] pain ha[d] been exacerbated.” Id. at 62–63.
    Although the plaintiff had looked for work as a “reception[ist], [in] security, [or as a] bank
    teller[,]” id. at 54, she represented that she had not secured work since her employment with
    Giant Food ended, see id. at 53.
    Regarding her mental health, the plaintiff reported that she “had trouble sleeping”
    because “of nightmares of fearful things, violent things[,]” id. at 59, and was falling back into a
    depression “where [she] pushed away friends and family, stayed to [her]self, [and had] a lot of
    isolation[ and] no outside communication of [any] kind[,]” id. at 63. She said that the depression
    was worsened by her pain, see id. at 64 (“On my worst days, when I’m in the most pain, I sit
    around and I cry, and I think of things to do”), and also by the end of her employment at Giant
    Food, see id. at 65, and caused her to be “[un]able to focus . . . and not being able to function,
    [such] that [she was] not able to do [her] daily activities[,]” id. at 63–64. The plaintiff also
    reported having hallucinations “at points[,]” where she would “see someone maybe standing
    down the hall, or walking from the room to the bathroom or so.” Id. at 65.
    5
    On May 2, 2016, the ALJ issued his decision, concluding that the plaintiff was not
    entitled to benefits. See id. at 24. Regarding the first three steps under § 404.1520, the ALJ
    concluded that (1) the plaintiff “has not engaged in substantial gainful activity since
    September 1, 2009,” and (2) she “has the following severe impairments: cervical and lumbar disc
    disease, cervical radiculitis, pseudoarthrosis, a chronic lumbar strain, dysfunction of a major joint
    (shoulder), chronic pain syndrome, asthma, a major depressive disorder, an anxiety disorder[,] [ ]
    and a posttraumatic stress disorder[,]” but (3) she “does not have an impairment or combination
    of impairments that meets or medically equals the severity of one of the listed impairments” in
    
    20 C.F.R. §§ 404.1520
    (d), 404.1525, 404.1526, 416.920(d), 416.925, and 416.926. 
    Id. at 13
    .
    Regarding the fourth and fifth steps, which address the plaintiff’s “residual functional
    capacity[,]” including both physical and mental residual functional capacity, 3 the ALJ concluded
    that the plaintiff
    has the residual functional capacity to perform light work as defined in
    20 CFR 404.1567(b) and 416.967(b) except [she] can occasionally lift and/or
    carry [twenty-five] pounds and frequently lift and/or carry [ten] pounds. In
    addition, [she] can stand or walk for a total of six hours in an eight-hour workday
    and sit for a total of six hours in an eight-hour workday. [She] can also push or
    pull as much as she can lift and/or carry, including the use of hand and/or foot
    controls, but can only occasionally use hand controls. Moreover, [she] has no
    limits on balancing and climbing of ramps and stairs, but can never crawl or climb
    ladders, ropes[,] and scaffolds. [She] can occasionally stoop, kneel, crouch[,] and
    use the nondominant hand for handling and fingering with no such limits on the
    dominant hand. [She] can also occasionally use the nondominant arm for
    reaching in all directions with no such limit on the dominant arm. [She] can also
    have frequent exposure to fumes, odors, dusts, gasses[,] and poor ventilation.
    [She] can constantly understand, remember[,] and carry out instructions
    concerning simple tasks[,] and can occasionally understand, remember[,] and
    3
    Because the plaintiff “does not contest the ALJ’s physical [residual functional capacity] findings[,]” Pl.’s Mem.
    at 4 n.1, the parties and the Court focus solely on the ALJ’s mental residual functional capacity determination. See
    id.; Def.’s Mem. at 2 n.1 (noting that the “[p]laintiff’s [residual functional capacity] argument focuses only on her
    mental health” and that the “[d]efendant’s discussion of the evidence and [residual functional capacity] argument is
    tailored accordingly”).
    6
    carry out instructions concerning detailed tasks. Finally, [she] can constantly
    make simple decisions and can occasionally make detailed decisions.
    
    Id. at 16
    . Although the ALJ concluded that the plaintiff “would be unable to perform her past
    relevant work[,]” 
    id.,
     he concluded that “[e]vidence does exist that demonstrates that other work
    exists in significant numbers in the national economy that the [plaintiff] can do, given [her]
    residual functional capacity, age, education, and work experience[,]” 
    id.
     at 23–24. Therefore, he
    determined that the plaintiff “failed to meet her burden of establishing that she is disabled.” 
    Id. at 24
    .
    II.     STANDARD OF REVIEW
    Under the Act, a claimant may seek judicial review of an ALJ’s decision by a federal
    district court. See 
    42 U.S.C. § 405
    (g). A district court has discretion “to enter, upon the
    pleadings and transcript of the record, a judgment affirming, modifying, or reversing the decision
    of the Commissioner, with or without remanding the case for a rehearing.” Faison v. Colvin,
    
    187 F. Supp. 3d 190
    , 193 (D.D.C. 2016) (internal quotation marks omitted). However, the
    “district court’s review of the [ALJ’s] findings of fact is limited to whether those findings are
    supported by substantial evidence[,]” Dunham v. Astrue, 
    603 F. Supp. 2d 13
    , 17 (D.D.C. 2012),
    meaning such relevant evidence as “a reasonable mind might accept as adequate to support a
    conclusion[,]” Butler v. Barnhart, 
    353 F.3d 992
    , 999 (D.C. Cir. 2004). This standard “requires
    more than a scintilla, but can be satisfied by something less than a preponderance of evidence[,]”
    
    id.
     (internal quotation marks omitted), and “is highly deferential to the agency fact-finder[,]”
    Jeffries v. Astrue, 
    723 F. Supp. 2d 185
    , 189 (D.D.C. 2010) (internal quotation marks omitted).
    However, the ALJ must “ha[ve] analyzed all evidence and [ ] sufficiently explained the weight
    he [or she] has given to obviously probative exhibits.” Lane-Rauth v. Barnhart, 
    437 F. Supp. 2d 63
    , 65 (D.D.C. 2006) (internal quotation marks omitted). The plaintiff “bears the burden of
    7
    demonstrating that the [ALJ’s] decision [was] not based on substantial evidence or that incorrect
    legal standards were applied.” Cooper v. Berryhill, Civ. Action No. 16-1671,
    
    2017 WL 4326388
    , at *3 (D.D.C. Sept. 28, 2017) (internal quotation marks omitted).
    III.    ANALYSIS
    The plaintiff argues that the Court should remand this case to the ALJ because (1) “the
    ALJ failed to reconcile a conflict between the vocational expert’s testimony and the Selected
    Characteristics of Occupations[,]” 4 and (2) “the ALJ’s mental [residual functional capacity
    determination] was not supported by substantial evidence.” Pl.’s Mem. at 4. In response, the
    defendant argues that (1) the vocational expert’s “testimony was consistent with the [Dictionary
    of Occupational Titles] and [the Selected Characteristics of Occupations], except regarding
    whether the hypothetical person with upper extremity limitations could perform the identified
    jobs, which [the vocational expert] based on his [forty] years of experience in the field[,]” and
    (2) “substantial evidence supported [the ALJ’s mental residual functional capacity]
    determination.” Def.’s Mem. at 1–2. For the following reasons, the Court agrees with the
    plaintiff that remand is required because (1) the ALJ failed to reconcile the conflict between the
    vocational expert’s testimony and the Selected Characteristics of Occupations, and (2) the ALJ
    failed to provide a sufficient explanation for his reasons for disregarding mental health treatment
    records proffered by the plaintiff.
    4
    The Selected Characteristics of Occupations is a supplement to the Dictionary of Occupational Titles, which “is a
    compendium of ‘standardized occupational information’ that provides a brief description of occupations within the
    national economy and lists the capabilities that each occupation requires of a worker.” Callahan v. Astrue, 
    786 F. Supp. 2d 87
    , 90 (D.D.C. 2011). The Selected Characteristics of Occupations provides “a shorthand listing of the
    functional requirements of each job.” 2 Paul M. Ryther & Barbara Samuels, Social Security Disability Claims
    Practice & Procedure § 22:159 (2d ed. 2021).
    8
    A.       The Plaintiff’s Argument that the ALJ Failed to Reconcile a Conflict Between the
    Vocational Expert’s Testimony and the Selected Characteristics of Occupations
    First, the plaintiff argues that “the ALJ erred . . . by failing to resolve [a] conflict”
    between the Selected Characteristics of Occupations and the “vocational expert’s testimony that
    [the] jobs [of packer/packaging worker, grader/sorter, and laundry worker] were available [to the
    plaintiff] despite [her] need to be limited to occasional hand controls[] and occasional use of
    [her] non-dominant arm for handling, fingering, or reaching.” Pl.’s Mem. at 14. In response, the
    defendant argues that the vocational expert’s “testimony was properly supported by his [forty]
    years of professional experience” and the “ALJ elicited a reasonable explanation from the
    [vocational expert] for the conflict[;]” “[t]herefore, substantial evidence supports the ALJ’s
    determination that there were sufficient jobs in the national economy that [the p]laintiff could
    perform despite her limitations.” Def.’s Mem. at 10–11. For the following reasons, the Court
    agrees with the plaintiff that the ALJ failed to properly resolve the conflict. 5
    5
    Although the defendant does not dispute the existence of a conflict between the vocational expert’s testimony and
    the Selected Characteristics of Occupations, see Def.’s Mem. at 10 (arguing that “the ALJ elicited a reasonable
    explanation from [the vocational expert] for the conflict”); see generally id. (providing no argument that a conflict
    does not exist), the Court notes the conflict here for clarity.
    During the hearing, the ALJ asked the vocational expert to consider a hypothetical individual with “the same age,
    education[,] and work experience as the [plaintiff]” and “a high school education based on the GED [she] obtained.”
    App. at 67–68. This hypothetical individual
    can occasionally lift and[/]or carry [twenty-five] pounds, frequently lift and[/]or carry [ten]
    pounds[, and c]ould stand and[/]or walk for a total of six hours in an eight[-]hour workday.
    [The individual could s]it for a total of six hours in an eight[-]hour workday[ and c]an push
    and[/]or pull as much as [he or she] can lift and[/]or carry[,] . . . [which] includes the operation of
    hand and[/]or foot controls. But this [ ] hypothetical individual can only occasionally use hand
    controls.
    The hypothetical individual has no limits on climbing ramps or stairs, but can never climb ladders,
    ropes[,] or scaffolds. No limits on balancing, but only occasionally stoop, occasionally kneel,
    occasional[ly] crouch, and can never crawl. . . . The hypothetical individual can occasionally use
    the non-dominant hand for handling[ and o]ccasionally use the non-dominant hand for fingering.
    There[ are] no such limitations on the dominant hand.
    (continued . . .)
    9
    Conflicts between a vocational expert’s testimony and the Dictionary of Occupational
    Titles or the Selected Characteristics of Occupations are governed by Social Security
    Ruling 00-4p (“SSR 00-4p”). See SSR 00-4p, 
    2000 WL 1898704
     (Dec. 4, 2000). Under
    SSR 00-4p, “[w]hen there is an apparent unresolved conflict between [a vocational expert’s]
    (. . . continued)
    The hypothetical individual can only occasionally use the non-dominant arm for reaching in all
    directions[ but t]here[ is] no such limitation on the dominant arm. The hypothetical individual can
    have only frequent exposure to fumes, odors, dust, gases[,] and poor ventilation.
    This hypothetical individual retains the ability to understand, remember[,] and carry out
    instructions concerning simple tasks on a constant basis[, but r]etains the ability to understand,
    remember[,] and carry out instructions concerning detailed tasks only occasionally.
    The hypothetical individual retains the ability to make simple decisions constantly, and detailed
    decisions only occasionally[] . . . [and] retains the ability to interact with the public occasionally.
    There[ is] no limitation on interacting with supervisors or co-workers.
    
    Id.
     at 67–69 (emphasis added). The vocational expert testified that this hypothetical individual would be able to
    perform at least three unskilled jobs, specifically “packer and packaging worker[,]” “grading and sorting worker[,]”
    and “laundry worker.” 
    Id.
     at 69–70. The ALJ then asked the vocational expert to consider a different hypothetical
    individual who could
    frequently lift and[/]or carry [ten] pounds[, s]tand and[/]or walk for a total of four hours in an
    eight[-]hour workday[,] [ ] sit for a total of six hours in an eight[-]hour workday[,] [ ] push
    and[/]or pull[,] including the operation of hand and[/]or foot controls[,] as much as they can lift
    and [/]or carry[, but] . . . can only occasionally use hand controls[.]”
    
    Id.
     at 70–71 (emphasis added). In response, the vocational expert testified that the same positions “would remain[,]”
    but, “with the additional limitation to the standing, there would be an additional [ten] percent erosion in the number
    [of available jobs] that exist in the national economy.” 
    Id. at 71
    .
    As the plaintiff correctly notes, see Pl.’s Mem. at 15, there is “an apparent unresolved conflict[,]” SSR 00-4p,
    
    2000 WL 1898704
    , at *2 (Dec. 4, 2000), between this testimony and the requirements of being a packer and
    packaging worker (DOT#: 222.687-022), grading and sorting worker (DOT#: 649.687-010), and laundry worker
    (DOT#: 302.685-010), as reflected in the Selected Characteristics of Occupations. See Pl.’s Mem. at 15. According
    to the Selected Characteristics of Occupations, the job of packer and packaging worker requires frequent handling,
    reaching, and fingering, see U.S. Dep’t of Labor, Dictionary of Occupational Titles, DICOT 222.687-022, 
    1991 WL 672133
     (4th ed. 1991); the job of grading and sorting worker requires frequent handling, reaching, and fingering, see
    DICOT 649.687-010, 
    1991 WL 685669
     (4th ed. 1991); and the job of laundry worker requires constant reaching and
    handling, and occasional fingering, see DICOT 302.685-010, 
    1991 WL 672657
     (4th ed. 1991). However, as the
    defendant notes, both of the ALJ’s hypothetical individuals had “upper extremity limitations[,]” see Def.’s Mem.
    at 10, which meant that they could only occasionally use their non-dominant arms for handling, reaching, and
    fingering, see App. at 68, or only occasionally use hand controls, see 
    id. at 71
    . Accordingly, because “frequent” and
    “constant” work require more exertion than “occasional” work, see SSR 83-10, 
    1983 WL 31251
    , at *5–6 (Jan. 1,
    1983) (defining “occasionally” as “occurring from very little up to one-third of the time” but defining “frequent” as
    “occurring from one-third to two-thirds of the time”), the Selected Characteristics of Occupations’ definition of
    these three job positions conflicts with the vocational expert’s testimony that the hypothetical individuals in the
    ALJ’s questions would be able to perform these jobs.
    10
    evidence and the [Dictionary of Occupational Titles], the adjudicator must elicit a reasonable
    explanation for the conflict before relying on the [vocational expert’s] evidence to support a
    determination or decision about whether the claimant is disabled.” 
    Id. at *2
    . “The adjudicator
    [then] must resolve the conflict by determining if the explanation given by the [vocational
    expert] is reasonable and provides a basis for relying on the [vocational expert’s] testimony[,]
    rather than on the [Dictionary of Occupational Titles’] information.” 
    Id.
     The adjudicator must
    “explain in the determination or decision how he or she resolved the conflict.” 
    Id. at *4
    .
    During the hearing, the ALJ asked the vocational expert whether “the testimony [he had]
    given [at the hearing was] consistent with the information found in the Dictionary of
    Occupational Titles and the companion publication [that the ALJ had] mentioned earlier[,]”
    namely, the Selected Characteristics of Occupations. 6 App. at 72. In response, the vocational
    expert stated:
    [M]y testimony is consistent with the Dictionary of Occupational Titles.
    Addressing – with the additions, addressing issues such as [the] use of hand
    controls with one or both upper limbs, and limitations to the upper limbs, as well
    as interaction with other individual[s] or the general public. These items are not
    covered by the Dictionary of Occupational Titles.[ 7] My response is based on
    [forty] years [of] experience as a vocational consultant.
    6
    Although the ALJ did not specifically refer to the Selected Characteristics of Occupations when he asked this
    question, he earlier referred to the Dictionary of Occupational Titles and the Selected Characteristics of Occupations
    collectively when asking the vocational expert to “advise” the ALJ and the parties “if [he were to] give [ ] an
    opinion which conflicts with the information in the Dictionary of Occupational Titles, and the Selected
    Characteristics of Occupations, defined in the revised Dictionary of Occupational Titles,” App. at 66–67. Therefore,
    the Court concludes that the Selected Characteristics of Occupations is the “companion publication[,]” id. at 72, to
    which the ALJ was referring here.
    7
    The Court notes that the vocational expert testified that the “issues such as [the] use of hand controls with one or
    both upper limbs, and limitations to the upper limbs, as well as interaction with other individual[s] or the general
    public[,] . . . are not covered by the Dictionary of Occupational Titles[,]” App. at 72, which suggests that the
    vocational expert perceived an omission in the Dictionary of Occupational Titles that he was able to fill with his
    “[forty] years [of] experience as a vocational consultant[,]” id., as opposed to a conflict between his opinion and the
    Dictionary of Occupational Titles. However, regardless of whether the issues identified by the vocational expert in
    his testimony here are the same as the conflict identified by the plaintiff between the Selected Characteristics of
    Occupations and the vocational expert’s testimony, such a conflict does exist, see supra n.5, at 9–10, and the ALJ
    had an independent duty to resolve the conflict even if the vocational expert did not identify it, see Carpenter v.
    Colvin, Case No. 1:13-cv-01637 (CKK/GMH), 
    2016 WL 946975
    , at *6 (D.D.C. Feb. 24, 2016) (“SSR 00-4p should
    (continued . . .)
    11
    
    Id.
     The vocational expert provided no further explanation as to how his “[forty] years [of]
    experience as a vocational consultant” provided the basis for resolving the inconsistencies that he
    identified, id.; see also 
    id.
     at 66–72, and the ALJ did not ask any clarifying questions, see
    generally 
    id.
    Despite SSR 00-4p’s requirement that “[t]he adjudicator must explain the resolution of
    the conflict[,]” 
    2000 WL 1898704
    , at *4, the ALJ’s decision neither identifies the existence of a
    conflict nor provides any explanation of how the conflict was resolved. See generally App.
    at 10–24. Rather, the ALJ states:
    [T]he [ALJ] asked the vocational expert whether jobs exist in the national
    economy for an individual with the claimant’s age, education, work experience,
    and residual functional capacity. The vocational expert testified that[,] given all
    of these factors[,] the individual would be able to perform the requirements of
    representative occupations such as a packer/packaging worker [ ] with 48,000 jobs
    nationally, a grader/sorter [ ] with 51,000 jobs nationally[,] and a laundry worker
    [ ] with 36,000 jobs nationally.
    Pursuant to SSR 00-4p, the [ALJ] has determined that the vocational expert’s
    testimony is consistent with the information contained in the Dictionary of
    Occupational Titles. Accordingly, the limited burden of going forward with the
    evidence that shifted to [the defendant] at step five of the evaluation process is
    satisfied. Evidence does exist that demonstrates that other work exists in
    significant numbers in the national economy that the [plaintiff] can do, given [her]
    residual functional capacity, age, education, and work experience[.]
    The [ALJ] concludes that, considering the [plaintiff’s] age, education, work
    experience, residual functional capacity, and all the other evidence of record,
    including the testimony of the claimant and the vocational expert, the claimant is
    capable of making a successful adjustment to other work that exists in significant
    numbers in the national economy.
    (. . . continued)
    not be read as limiting the ALJ’s duty to identify and resolve such conflicts only to those conflicts that are, in some
    way, made obvious to the ALJ either by the [vocational expert] or the claimant’s counsel during the administrative
    hearing”).
    12
    
    Id.
     at 23–24 (emphasis added). Accordingly, the ALJ concluded that “the vocational expert’s
    testimony is consistent with the information contained in the Dictionary of Occupational
    Titles[,]” 
    id. at 23
    , despite the conflict between the Selected Characteristics of Occupations’
    characterization of the requisite level of handling, fingering, and reaching for these positions, and
    the hypothetical individuals’ abilities, compare U.S. Dep’t of Labor, Dictionary of Occupational
    Titles, DICOT 222.687-022, 
    1991 WL 672133
     (4th ed. 1991); DICOT 649.687-010, 
    1991 WL 685669
     (4th ed. 1991); DICOT 302.685-010, 
    1991 WL 672657
     (4th ed. 1991), with App. at 67–
    71.
    The defendant raises several arguments in response. First, the defendant urges the Court
    to conclude that “[w]hat the ALJ wrote[ ] was that the [vocational expert’s] testimony was
    consistent with the [Dictionary of Occupational Titles] and that he relied on the [vocational
    expert’s] testimony about [the p]laintiff’s ability to perform all of the requirements of the jobs,
    despite the [plaintiff’s residual functional capacity] limitations[.]” Def.’s Mem. at 10 (emphasis
    in original) (citation omitted). However, this argument ignores the ALJ’s own explanation of his
    conclusions in his decision. As noted above, the ALJ concluded that “the vocational expert’s
    testimony is consistent with the information contained in the Dictionary of Occupational Titles.”
    App. at 23. Therefore, the ALJ does not acknowledge any inconsistencies, let alone explain that,
    to the extent any inconsistencies exist, he reconciled them by “rel[ying] on the [vocational
    expert’s] testimony about [the p]laintiff’s ability to perform all of the requirements of the jobs[,]”
    Def.’s Mem. at 10. To agree with the defendant’s argument would be to either ignore or
    supplement the ALJ’s decision, neither of which the Court may do. See Espinosa v. Colvin,
    
    953 F. Supp. 2d 25
    , 32–33 (D.D.C. 2013) (“[I]n reviewing a social security disability
    13
    administrative decision, the Court may only consider the grounds proffered by the agency in its
    decision[,] for post hoc rationalizations do not suffice.” (emphasis in original)).
    Second, the defendant argues that, even if the ALJ did not resolve the conflict, the
    vocational expert’s “testimony that a claimant is capable of performing work in the national
    economy is substantial evidence in support of an ALJ’s decision if it is in response to a
    hypothetical question based on an accurate [residual functional capacity].” Def.’s Mem. at 10–
    11 (citing Callaway v. Berryhill, 
    292 F. Supp. 3d 289
    , 298 (D.D.C. 2018)). Although the
    defendant is correct that “[a]n ALJ may rely on [vocational expert] testimony to determine
    whether a claimant’s work skills and [residual functional capacity] allow the claimant to perform
    work in the national economy[,]” Callaway, 292 F. Supp. 3d at 298, this truism does not nullify
    SSR 00-4p’s requirements that “the adjudicator must resolve [any] conflict before relying on the
    [vocational expert’s] evidence to support a determination or decision that the individual is or is
    not disabled” and must “explain in the determination or decision how he or she resolved the
    conflict[,]” SSR 00-4p, 
    2000 WL 1898704
    , at *4. Accordingly, the ALJ’s failure to provide any
    explanation in his decision as to how he “resolved the conflict[,]” 
    id.,
     is an error that the Court
    cannot ignore.
    Third and finally, the defendant argues that, “[i]f [the p]laintiff’s counsel [at the hearing
    before the ALJ] was unsatisfied with how [the vocational expert] explained the basis of his
    opinion that the hypothetical person could perform the identified jobs despite the upper extremity
    limitations, counsel could have explored this issue with the [vocational expert] at the hearing.”
    Def.’s Mem. at 11 (citation omitted). The defendant is correct that the plaintiff’s former counsel
    declined to ask the vocational expert any questions during the hearing. See App. at 72 (noting
    that, when presented with the opportunity to question the vocational expert, the plaintiff’s former
    14
    counsel declined to do so). However, the requirement that “the adjudicator . . . explain in the
    determination or decision how he or she resolved the conflict” is not contingent on a claimant’s
    identifying a conflict. SSR 00-4p, 
    2000 WL 1898704
    , at *4 (“The adjudicator must explain the
    resolution of the conflict irrespective of how the conflict was identified.”); see also Carpenter v.
    Colvin, No. 13-cv-01637, 
    2016 WL 946975
    , at *5 (D.D.C. Feb. 24, 2016) (noting that
    SSR 00-4p “does not place responsibility for identifying and resolving conflicts between
    [vocational expert] and [Dictionary of Occupational Titles] evidence on either the [vocational
    expert] or the parties to the proceeding”); Cox v. Saul, No. 18-cv-02389, 
    2020 WL 9439356
    ,
    at *21 (D.D.C. Sept. 1, 2020) (noting the “ALJ’s independent duty to identify conflicts”).
    Accordingly, because the ALJ “made no attempt to address or reconcile the conflict
    between the [vocational expert’s] testimony and the information in the [Dictionary of
    Occupational Titles,]” Callahan v. Astrue, 
    786 F. Supp. 2d 87
    , 95 (D.D.C. 2011), the Court
    concludes that the ALJ’s “decision fails to meet the requirements of SSR 00-4p and must be
    reversed” and the case remanded to the agency for further proceedings. 
    Id.
    B.     The Plaintiff’s Argument that the ALJ’s Determination Regarding Her Mental
    Residual Functional Capacity Was Not Supported by Substantial Evidence
    Second, the plaintiff argues that “[r]emand is [also] required because the ALJ’s
    [determination of the plaintiff’s mental residual functional capacity at step five] was not
    supported by substantial evidence.” Pl.’s Mem. at 17. In response, the defendant argues that the
    ALJ’s mental residual functional capacity “finding is supported by substantial evidence” because
    “the ALJ thoroughly discussed the medical records, explained his weighing of opinion evidence,
    and discussed his consideration of non-medical evidence in determining [the p]laintiff’s mental
    functional limitations.” Def.’s Mem. at 12 (citation omitted). The Court will first discuss the
    ALJ’s determination regarding the plaintiff’s mental residual functional capacity, and then
    15
    proceed to the parties’ arguments regarding whether the determination was supported by
    substantial evidence. For the following reasons, the Court agrees with the plaintiff.
    1. The ALJ’s Mental Residual Functional Capacity Determination
    In determining the plaintiff’s mental residual functional capacity, the ALJ cited the
    plaintiff’s testimony that she “does not spend time with others[,]” id. at 17, “prefers to be
    alone[,]” id., and “does not need special reminders to care for her personal needs[,]” id. at 19.
    He also considered the plaintiff’s friend’s, Sequitta Tolliver’s, testimony about the plaintiff’s
    mental state, however, only to the extent that Tolliver’s testimony was consistent with the
    objective medical and other evidence. See id.
    The ALJ also identified notes from the plaintiff’s physicians regarding her mental state.
    See id. at 18 (an October 2014 physical examination of the plaintiff by Dr. Lee Ann Rhodes,
    whom the plaintiff saw for cervical radiculopathy, which “revealed [her] to be alert and
    cooperative with a normal mood and affect, a normal attention span[,] [ ] normal
    concentration[,]” and “no acute distress[,]” as well as “negative for anxiety, memory loss,
    hallucinations, paranoia, phobia[,] or confusion”); id. at 553, 563 (Dr. Rhodes’s April 2015
    physical examination of the plaintiff, which “revealed [her] to be oriented with a normal
    attention span and normal concentration” and at which “Dr. Rhodes noted that [she] required no
    help with activities of daily living”); id. at 896–97 (a January 2016 physical examination of the
    plaintiff by Dr. Vanessa McDonald, whom the plaintiff saw for treatment of “symptomatic
    uterine fibroids[,]” which revealed that she was “alert and oriented to time, place[,] and person
    with intact recent and remote memory and an appropriate mood and affect”).
    In addition, the ALJ noted that, despite the plaintiff’s hospitalization “for approximately
    [five] days in August 2012 due to depression and suicidal ideation,” she “displayed marked
    improvement over the course of her admission and there is no evidence she has required further
    16
    inpatient hospital confinement for her condition since that time[.]” Id. at 18. He also cited his
    own observations at the hearing, concluding that the plaintiff’s “attention and concentration were
    not so adversely affected by her alleged pain/symptomatology that she was unable to follow the
    proceedings or respond appropriately to questions.” Id. at 19.
    Finally, the ALJ assigned little weight to several pieces of evidence. First, although
    Dr. Joel Taubin had concluded in November 2013 that the plaintiff “should not be put into any
    anxiety[-causing] situations due to psychiatric problems[,]” the ALJ concluded that his opinion
    should be given little weight because “Dr. Taubin is a consulting examiner[,] [ ] he failed to
    complete a residual functional capacity assessment of the claimant’s ability to perform work-
    related activities[,]” and his “opinion is inconsistent with the objective evidence discussed”
    elsewhere in the ALJ’s decision. Id. at 20. Second, physician assistant Alexandra Scheer had
    indicated in her February 2016 questionnaire that the plaintiff’s “ability to deal with work stress,
    maintain attention/concentration, [ ] understand, remember[,] and carry out complex job
    instructions and [ ] relate predictably in social situations was poor[;]” her “ability to function
    would significantly deteriorate if she was to return to full-time employment[;]” she “would only
    be able to satisfactorily perform work tasks involving three steps and four steps or more less than
    [seventy-five percent] of the time[;]” and she “would be unable to work in a setting in which she
    was working on the same general area as other people[.]” Id. at 21; see also id. at 902–06.
    However, the ALJ concluded that Scheer’s opinion merited little weight because she “is a non-
    physician” and “her opinion is inconsistent with the objective findings[,]” including Dr. Rhodes’
    October 2014 and Dr. McDonald’s January 2016 physical examinations. Id. at 21. Third, the
    plaintiff “received Global Assessment of Functioning [ ] scores ranging from 45 to 85[,]” but the
    ALJ concluded that the “scores of 50 and below are afforded little weight since they are
    17
    inconsistent with the objective findings set forth above and the [plaintiff’s] course of
    treatment[,]” including the lack of “evidence [that] the [plaintiff] has required inpatient hospital
    confinement for her conditions since August 2012[,]” as well as Dr. Rhodes’ October 2014 and
    Dr. McDonald’s January 2016 physical examinations. Id. Finally, the ALJ accepted the state
    agency medical consultants’ determination that “the [plaintiff] . . . retained the residual
    functional capacity to perform simple, routine tasks on a regular basis without unreasonable
    accommodations[,]” id.; see also id. at 75–102, but only “to the extent [that] the[ determination
    was] consistent with the residual functional capacity” determined by the ALJ. Id. at 22. The
    ALJ further noted that “the evidence received into the record after [the state agency medical
    consultants’] determinations did not provide any new or material information that would alter
    any findings regarding the [plaintiff’s] residual functional capacity.” Id.
    In sum, when making his mental residual functional capacity determination, the ALJ only
    afforded substantial weight to the observations made by Dr. Rhodes and Dr. McDonald during
    their examinations of the plaintiff, see, e.g., id. at 18, and to the opinions of the state agency
    medical consultants “to the extent they are consistent with the residual functional capacity”
    determination that the ALJ had already made, 8 id. at 22.
    In addition to the evidence discussed above, the plaintiff had submitted documentation of
    mental health treatment she received from two psychiatrists, Dr. Nora Bammidi and Dr. Jesselina
    Grider, and a therapist, Marcia C. Hinkle. See id. at 809–10 (a February 26, 2014 report from
    Dr. Bammidi noting that the plaintiff reported hallucinations of a “‘shadow’ of a man that she
    8
    The Court notes that the ALJ only accepted the state agency medical consultants’ determinations “to the extent
    they are consistent with the residual functional capacity” determination that the ALJ had already made. Id. at 22. In
    addition to this circular reasoning, the ALJ also provided no information as to which parts of the state agency
    medical consultants’ determinations were inconsistent with his residual functional capacity determination or the
    reasons for which he discounted those inconsistencies. See generally id.
    18
    sees sitting on the [b]alcony of her room”); id. at 817–18 (an April 14, 2014 report from Dr.
    Bammidi noting that the plaintiff stated that, “when angry, [she] wants to do things to others” but
    that, “as she cannot focus [for] too long on certain things, she just forgets”); id. at 830–31 (a
    May 23, 2014 report from Dr. Bammidi noting that the plaintiff stated that she was “sad and
    angry, still with nightmares and flashbacks[, and s]leeps during the day[]time [for four to five]
    hours”); id. at 836–37 (a June 23, 2014 report from Dr. Bammidi, noting that the plaintiff stated
    that she “[s]till hears voices and asking her to get them”); id. at 832 (a May 21, 2014 report from
    Hinkle noting that the plaintiff reported hearing voices and “escalating anxiety,” resulting in her
    missing appointments); id. at 834 (a June 11, 2014 report from Hinkle, noting that the plaintiff
    reported “voices [that] were so loud” that “she felt very angry” and “was using all her energy to
    contain”); id. at 853–54 (an October 14, 2014 report from Dr. Grider, noting that the plaintiff
    stated that she “has been having panic attacks that are mild[ e]veryday in the afternoon” and
    “[s]till hears voices”); id. at 856–57 (an October 30, 2014 report from Dr. Grider, noting that the
    plaintiff stated that, “[u]nless [she] ha[s doctors’] app[ointments], she remains at home”).
    However, the ALJ did not say anything about these records as part of his mental residual
    functional capacity analysis. See generally id. at 16–22.
    2. The Plaintiff’s Argument
    The plaintiff argues that the ALJ’s mental residual functional capacity determination is
    not supported by substantial evidence because the decision “does not discuss any of Dr.
    Bammidi’s, Dr. Grider’s, or [ ] Hinkle’s treatment notes.” Pl.’s Mem. at 23. In response, the
    defendant urges the Court to conclude that a single sentence in the ALJ’s decision reflects that he
    considered the records, but did not assign them any weight. See Def.’s Mem. at 15 (arguing that
    “[t]he ALJ specifically addressed [the p]laintiff’s complaint that the record contained evidence
    received after the state agency psychologists’ opinions” and “explained that this later evidence
    19
    did not provide any new or material information that would alter [the ALJ’s residual functional
    capacity] finding”). For the following reasons, the Court agrees with the plaintiff that the ALJ
    erred in not specifically explaining his consideration of Dr. Bammidi’s, Dr. Grider’s, and
    Hinkle’s records.
    In his decision, after discussing the state agency medical consultants’ determinations, the
    ALJ states that “the evidence received into the record after [the state agency medical
    consultants’] determinations did not provide any new or material information that would alter
    any findings regarding the [plaintiff’s] residual functional capacity.” App. at 22. Contrary to the
    defendant’s argument, this single sentence does not demonstrate that “[t]he ALJ specifically
    addressed” Dr. Bammidi’s, Dr. Grider’s, and Hinkle’s records. See Def.’s Mem. at 15. First,
    because the ALJ does not specify what evidence was “received into the record after [the state
    agency medical consultants’] determinations[,]” id., it is far from clear that this evidence
    includes Dr. Bammidi’s, Dr. Grider’s, and Hinkle’s records. However, even assuming that Dr.
    Bammidi’s, Dr. Grider’s, and Hinkle’s records should be considered as part of the ALJ’s
    reference to “evidence received into the record after [the state agency medical consultants’]
    determinations[,]” id., the ALJ has provided a single, perfunctory sentence with no explanation
    of the reasons for which Dr. Bammidi’s, Dr. Grider’s, and Hinkle’s records are neither “new”
    nor “material[,]” id. Rather, the ALJ’s “conclusory remark[] leave[s] the [C]ourt unable to
    deduce the ALJ’s reasons for discounting the [plaintiff’s] evidence, thus depriving the [plaintiff]
    of [ ] meaningful judicial review.” Lane-Rauth, 
    437 F. Supp. 2d at 68
    ; see also Simms v.
    Sullivan, 
    877 F.2d 1047
    , 1050 (D.C. Cir. 1989) (noting that an ALJ must “sufficiently explain[]
    the weight he [or she] has given to obviously probative exhibits”); Hartline v. Astrue,
    20
    
    605 F. Supp. 2d 194
    , 203 (D.D.C. 2009) (“A reviewing court should not be left guessing as to
    how the ALJ evaluated probative material[.]”).
    Moreover, the documentation from Dr. Bammidi, Dr. Grider, and Hinkle constitutes
    evidence that the plaintiff was continuing to complain of mental impairments, including
    hallucinations, depression, anxiety, a lack of focus, and phobias. See, e.g., App. at 809–10 (a
    February 26, 2014 report from Dr. Bammidi noting that the plaintiff reported hallucinations of a
    “‘shadow’ of a man that she sees sitting on the [b]alcony of her room”); id. at 832 (a
    May 21, 2014 report from Hinkle noting that the plaintiff reported hearing voices and “escalating
    anxiety,” resulting in her missing appointments); id. at 853–54 (an October 14, 2014 report from
    Dr. Grider, noting that the plaintiff stated that she “has been having panic attacks that are mild[
    e]veryday in the afternoon” and “[s]till hears voices”). It also contrasts with the evidence on
    which the ALJ has placed great weight, namely Dr. Rhodes’s October 2014 and April 2015 notes
    about the plaintiff’s normal affect and lack of anxiety; Dr. McDonald’s January 2016 notes about
    the plaintiff’s normal demeanor; and the state agency medical consultants’ January and
    February 2014 determinations. See id. at 18–22. Accordingly, the mental health information
    provided by the plaintiff is “obviously probative[,]” Simms, 
    877 F.2d at 1050
    , regarding the
    plaintiff’s mental functional capacity. Thus, the ALJ was not free to summarily disregard it. See
    Lomax v. Comm’r of Soc. Sec., No. 20-cv-55, 
    2021 WL 3508087
    , at *6 (D.D.C. Aug. 4, 2021)
    (“The ALJ ‘must at least minimally discuss a claimant’s evidence that contradicts the
    Commissioner’s position.’” (quoting Lane-Rauth, 
    437 F. Supp. 2d at 67
    )).
    Although the Court is not entitled to “reweigh the evidence and replace the [ALJ’s]
    judgment regarding the weight of the evidence with its own[,]” Price v. Berryhill, No. 16-2469,
    
    2018 WL 4381098
    , at *4 (D.D.C. Feb. 14, 2018) (internal quotation marks omitted), “it is
    21
    reversible error for an ALJ to fail in his written decision to explain sufficiently the weight he has
    given to certain probative items of evidence[,]” Hartline, 
    605 F. Supp. 2d at 203
    . See 
    id.
     (noting
    that “an ALJ cannot merely disregard evidence which does not support his conclusion”). In light
    of the apparent relevance of Dr. Bammidi’s, Dr. Grider’s, and Hinkle’s mental health evidence
    regarding the plaintiff’s mental conditions, the ALJ’s cursory statement that this information was
    neither “new” nor “material[,]” App. at 22, does not provide a sufficient explanation for rejecting
    this evidence. 9
    “[W]here the ALJ’s decision leaves the reviewing court with reservations as to whether
    an issue was fully addressed, the court should reverse.” Lane-Rauth, 
    437 F. Supp. 2d at 68
    (internal quotation marks omitted). Accordingly, the Court will also reverse the ALJ’s
    determination as to the plaintiff’s mental residual functional capacity, and remand the case to the
    agency for further proceedings. 10
    9
    The defendant also argues that “the record supports that [the ALJ] considered these treatment notes” because
    (1) “[t]he ALJ relied on . . . [the] determination[ by Dr. Nancy Heiser, a state agency medical consultant], which
    included consideration of Dr. Bammidi’s September 2013 findings[,]” Def.’s Mem. at 18 (citation omitted), and on
    other “treatment notes that post-date state agency review[,]” id. at 19; (2) the “[p]laintiff’s counsel [ ] discussed [ ]
    Dr. Grider’s treatment . . . in his ‘Theory of the Case’ section of a prehearing memorandum addressed to the ALJ,
    which the ALJ acknowledged at the hearing[,]” id. at 18 n.7 (citation omitted); (3) “[t]he ALJ referred to Dr.
    McDonald and [ ] Scheer’s notes, which mentioned that Dr. Grider and [ ] Hinkle were treating [the p]laintiff[,]” id.
    at 19 n.8 (citation omitted); and (4) “the ALJ noted at the hearing that he was waiting for mental health treatment
    notes before making a decision[,]” id. at 19 (emphasis omitted).
    There is no dispute that the records of Dr. Bammidi’s, Dr. Grider’s, and Hinkle’s examinations of the plaintiff were
    part of the record before the ALJ; rather, the relevant question is whether the ALJ properly explained his
    consideration of this evidence. See Hartline, 
    605 F. Supp. 2d at 203
     (noting the ALJ’s obligation to provide a
    sufficient explanation of “the weight he has given to certain probative items of evidence”). Where, as here, the ALJ
    has not explicitly addressed the treatment notes at issue other than to cursorily dismiss them as immaterial, the Court
    declines the defendant’s invitation to speculate that the ALJ properly considered this evidence because it was part of
    the record before him. See Lane-Rauth, 
    437 F. Supp. 2d at 68
     (“[W]here the ALJ’s decision leaves the reviewing
    court with reservations as to whether an issue was fully addressed, the court should reverse.”).
    10
    The plaintiff also argues that (1) the ALJ erred in relying upon Dr. Heiser’s opinion because it was “non-
    examining” and “stale[,]” and (2) “the only evidence relied upon by the ALJ were stray observations made by
    physicians who did not even treat [the plaintiff] for her mental health problems.” Pl.’s Mem. at 23. Because the
    Court is remanding to the agency for further proceedings, the Court will not address at this time these alternative
    arguments raised by the plaintiff.
    22
    IV.      CONCLUSION
    For the foregoing reasons, the Court concludes that it must grant the plaintiff’s motion for
    reversal and deny the defendant’s motion for affirmance.
    SO ORDERED this 17th day of December, 2021. 11
    REGGIE B. WALTON
    United States District Judge
    11
    The Court will contemporaneously issue an Order consistent with this Memorandum Opinion.
    23