Purdy v. Berryhill , 887 F.3d 7 ( 2018 )


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  •           United States Court of Appeals
    For the First Circuit
    No. 16-2242
    RITA PURDY,
    Plaintiff, Appellant,
    v.
    NANCY A. BERRYHILL,
    Acting Commissioner of the Social Security Administration,
    Defendant, Appellee.
    APPEAL FROM THE UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF MAINE
    [Hon. Jon D. Levy, U.S. District Judge]
    Before
    Kayatta, Circuit Judge,
    Souter, Associate Justice,
    and Selya, Circuit Judge.
    Sarah H. Bohr, with whom Francis M. Jackson was on brief,
    for appellant.
    Molly E. Carter, Special Assistant United States Attorney,
    with whom Richard W. Murphy, Acting United States Attorney, was
    on brief, for appellee.
    April 3, 2018
    
    Hon. David H. Souter, Associate Justice (Ret.) of the
    Supreme Court of the United States, sitting by designation.
    SOUTER, Associate Justice.             This is an appeal from the
    district          court’s   affirmance      of    an    administrative       law     judge’s
    finding that the appellant, Rita Purdy, was not disabled and was
    thus        not     entitled      to   Supplemental         Security        Income     (SSI)
    benefits.           Although the record of her attempts to demonstrate
    disability is a complicated interplay of medical testimony, the
    facts       to     be    considered    in   this       appeal   may    be    stated     with
    relative economy, so far as they bear on the two issues raised
    before us: Whether the administrative law judge (ALJ) lapsed
    into error in according only slight weight to the testimony of a
    physician who treated Purdy for a non-displaced fracture of her
    left femur, and whether the ALJ was entitled to rely on evidence
    presented by the appellee Commissioner about available jobs that
    Purdy was qualified to perform.                  We affirm on both issues.
    I
    An applicant for SSI benefits1                bears the burden of
    proof       at     the    first    four     steps      of   a   five-step       procedure
    1
    The Social Security Administration administers two
    separate benefits programs for the disabled: the Social Security
    Disability Insurance (SSDI) program under Title II of the Social
    Security Act and the SSI program under Title XVI of the Act.
    Whereas “[e]ligibility for SSDI depends on the insured person’s
    contributions and insured status, SSI provides a minimum income
    for disabled people based on need.” Dion v. Sec’y of Health &
    Human Servs., 
    823 F.2d 669
    , 670 (1st Cir. 1987) (citations
    omitted).
    - 2 -
    established to determine whether an applicant is entitled to
    disability benefits.       Freeman v. Barnhart, 
    274 F.3d 606
    , 608
    (1st Cir. 2001) (“The applicant has the burden of production and
    proof at the first four steps of the process.”).                An applicant
    for SSI benefits is disabled “if he 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. § 1382c(a)(3)(A).           The impairment must be “of such
    severity   that   [the   applicant]    is   not   only   unable     to   do   his
    previous work but cannot, considering his age, education, and
    work experience, engage in any other kind of substantial gainful
    work which exists in the national economy, regardless of whether
    such work exists in the immediate area in which he lives, or
    whether a specific job vacancy exists for him, or whether he
    would be hired if he applied for work.”           
    Id. § 1382c(3)(B).
    The five-step sequence employed by the Social Security
    Administration (the SSA) proceeds as follows:
    1) if the applicant is engaged in substantial gainful
    work activity, the application is denied; 2) if the
    applicant does not have, or has not had within the
    relevant   time  period,   a   severe   impairment  or
    combination of impairments, the application is denied;
    3) if the impairment meets the conditions for one of
    the “listed” impairments in the Social Security
    regulations, then the application is granted; 4) if
    the applicant’s “residual functional capacity” is such
    - 3 -
    that he or she can still perform past relevant work,
    then the application is denied; 5) if the applicant,
    given his or her residual functional capacity,
    education, work experience, and age, is unable to do
    any other work, the application is granted.
    Seavey v. Barnhart, 
    276 F.3d 1
    , 5 (1st Cir. 2001) (quoting 20
    C.F.R. § 416.920 (2001)).
    Put differently, even if an applicant fails to show
    disability at Step 3 because his impairment does not meet the
    conditions of a “listed” impairment in the Federal Regulations,
    he may still be eligible for benefits.                In particular, if the
    applicant’s    “residual      functional    capacity”2      is       such    that   he
    cannot perform jobs he performed in the past, “the Commissioner
    then has the burden at Step 5 of coming forward with evidence of
    specific jobs in the national economy that the applicant can
    still perform,” or else a finding of disability is required.
    
    Freeman, 274 F.3d at 608
    .
    II
    On October 10, 2011, Purdy filed an application for
    SSI   benefits,      alleging    disability     due      to      a     total     knee
    replacement     in    April     2011;      thoracic     and          lumbar     spine
    degenerative   disc    disease;    right    shoulder     rotator        cuff    bone
    spurs;    severe   migraines,    nerve     damage,    and     throat        problems;
    attention deficit hyperactivity disorder (ADHD) and attention
    2An applicant’s residual functional capacity “is the most
    [he or she] can still do despite [his or her] limitations.” 20
    C.F.R. § 416.945(a)(1).
    - 4 -
    deficit           disorder;       post-traumatic           stress       disorder;        panic
    disorder; substance abuse; and learning difficulties.                                  Purdy’s
    claim       was       initially   denied    on     March    19,    2012,    and    again    on
    reconsideration.               In November 2012, Purdy filed a request for a
    hearing, which took place on February 11, 2014.                           On February 27,
    2014, the administrative law judge who presided over Purdy’s
    hearing issued a decision finding that Purdy was not disabled
    within the meaning of the Social Security Act and denying her
    claim.3
    At Step 1, the ALJ found that Purdy had not engaged in
    substantial gainful activity since filing her application.                                 At
    Step        2,   the     ALJ   found     that    Purdy     had    the    following      severe
    impairments             (i.e.,    impairments           significantly       limiting       her
    ability          to     perform    basic        work    activities,       see     20    C.F.R.
    § 416.922):            “status    post    knee     replacement;         degenerative      disc
    disease; right shoulder rotator cuff bone spurs; chronic pain;
    dysthymia; anxiety disorder; ADHD; [and] history of substance
    abuse in remission.”                Addendum to Appellant’s Amended Initial
    3
    The SSA employs a four-step administrative-review process.
    First, the SSA makes an initial determination of eligibility for
    benefits.      If dissatisfied with that determination, the
    applicant may seek reconsideration.     If dissatisfied with the
    reconsideration determination, the applicant may request a de
    novo hearing before an administrative law judge.     Finally, the
    applicant    may   appeal   the   administrative    law   judge’s
    determination to the Appeals Council, which has the discretion
    to deny review. See 20 C.F.R. §§ 416.1400, 416.1467. Once the
    applicant has exhausted his administrative remedies, he may seek
    review in federal court. 42 U.S.C. § 405(g).
    - 5 -
    Br. (Add.) 21.           The ALJ noted that although Purdy had been
    diagnosed with a left hip stress fracture in April 2013,4 the
    impairment was not “severe” as there was “no evidence in the
    record that it ha[d] persisted or [was] expected to persist for
    12 consecutive months as required by 20 CFR §§ 404.1509 and
    416.909.”       
    Id. at 21-22.5
            At Step 3, the ALJ found that Purdy
    did not have an impairment or combination of impairments that
    met the conditions for one of the “listed” impairments in the
    Social Security regulations.            20 C.F.R. § 416.920(d).
    Having     determined     that    Purdy’s    impairments       did    not
    meet the conditions for a listed impairment, the ALJ’s next task
    was to determine Purdy’s “residual functional capacity based on
    all    the    relevant    medical      and   other   evidence      in    [the]     case
    record.”       20 C.F.R. § 416.920(e).          The ALJ determined that Purdy
    retained the residual functional capacity to perform sedentary
    work in unskilled jobs with simple instructions and occasional
    interaction with others.            The ALJ further determined that Purdy
    “should never climb ladders, ropes or scaffolds,” “must not use
    foot       controls,”    “must    avoid      exposure     to    hazards,    such     as
    unprotected      heights,”       and   could    engage     in    “rare     balancing,
    4
    Presumably, a reference to the injury Purdy’s treating
    physician called a fracture of the “left femur.” See 8, infra.
    5
    The ALJ determined that Purdy’s alleged mental impairments
    resulted in only mild or moderate difficulties and did not
    entitle her to benefits at Step 3. Add. 22-23. Purdy does not
    challenge those determinations here.
    - 6 -
    crouching, crawling, kneeling, and climbing of ramps or stairs.”
    Add. 23-24.
    The ALJ explained that though Purdy claimed that she
    was unable to lift, bend, sit, stand, walk, or kneel without
    suffering     extreme     pain,    Purdy’s     “statements       concerning       the
    intensity, persistence and limiting effects of [her] symptoms
    [were] not entirely credible.”          Add. 25.       In particular, Purdy’s
    October 2011 “Function Report” indicated that she was able to
    cook meals, perform all household chores, go out alone, use
    public   transportation,      shop    in     stores,    manage    her     finances,
    socialize with friends, and attend meetings.                  These activities,
    the   ALJ    reasoned,     established       Purdy’s     ability     to     perform
    sedentary tasks.        The ALJ also observed, based on the notes from
    an emergency room visit in April 2012, that “[i]t seems [Purdy]
    exaggerates      her    symptoms     and     engages     in      opiate    seeking
    behavior.”    Add. 26.
    Significantly    for    purposes    of    this    appeal,     the    ALJ
    accorded little weight to the opinion of Dr. Michael Kessler as
    provided    on   an    SSA-issued    form     that     Dr.    Kessler     completed
    regarding Purdy’s ability to perform work-related activities.
    Dr. Kessler found that Purdy could lift or carry less than 10
    pounds   occasionally      (and    nothing    frequently);       could    stand   or
    walk for less than two hours in an eight-hour workday; could sit
    for about six hours in an eight-hour workday; was limited in her
    - 7 -
    ability to push or pull with her lower extremities; could not
    climb, balance, kneel, crouch, crawl, or stoop; and could endure
    only limited exposure to vibration and humidity.                   Dr. Kessler
    attributed      these    limitations     in    Purdy’s     functioning      to     a
    “fracture of [the] left femur [with] delayed union.”
    In     the    ALJ’s   view,        Dr.   Kessler’s     opinion        was
    conclusory and unsubstantiated: Dr. Kessler had “simply check
    marked   boxes    indicating     [Purdy]      had   limitations    that     would
    increase the likelihood of [her] obtaining benefits[,] but did
    not explain why those limitations were chosen; in particular, he
    gave no examples of objective laboratory findings, symptoms or
    other medical evidence to support the conclusions.”               Add. 27.
    By contrast, the ALJ accorded evidentiary weight to
    the findings of the State agency’s non-examining medical and
    psychological consultants.6        Those physicians had agreed, based
    on their analysis of the evidence in January and September 2012,
    respectively,     that   Purdy   was   capable      of   performing   sedentary
    work within the limitations identified by the ALJ.
    6 Pursuant to SSA regulations, State agencies may (and often
    do) make the initial disability determination.         20 C.F.R.
    §§ 404.1610, 1611, 1613. A medical or psychological consultant
    “is a member of a team that makes disability determinations in a
    State agency, or . . . a member of a team that makes disability
    determinations for [the SSA].” 
    Id. § 404.1616(a),(c)
    (citations
    omitted). The “consultant completes the medical portion of the
    case review and any applicable residual functional capacity
    assessment.” 
    Id. - 8
    -
    The ALJ completed Step 4 by finding that Purdy had no
    past relevant work and went on to Step 5, where she determined
    that there were jobs existing in significant numbers in the
    national economy that Purdy could perform.                          That determination
    was based on the testimony of an impartial vocational expert
    (VE).        The    ALJ    asked      the   VE    to   consider     whether     jobs    were
    available in the national economy for someone with Purdy’s age
    and education who could lift 10 pounds frequently and 20 pounds
    occasionally; could stand and walk for two hours in a workday;
    could sit for six hours in a workday; could rarely balance,
    crouch, crawl, kneel, or climb; could not work around hazards;
    could not climb ladders, ropes, or scaffolds; could not operate
    foot       controls;      and   who    could      perform    only    simple     jobs    with
    simple       instructions,         limited        changes,    and     only      occasional
    interaction with the public.7                     The VE testified that such an
    individual         could    perform         the   sedentary,        unskilled    jobs     of
    surveillance system monitor (of which she estimated there were
    7
    The ALJ’s residual functional capacity determination, as
    reflected in the hypothetical she posed to the VE, differed from
    Dr. Kessler’s in two key respects.    First, whereas Dr. Kessler
    indicated that Purdy could not frequently lift or carry weight,
    the ALJ determined that she could carry up to 10 pounds with
    frequency.     The ALJ’s determination in that regard was
    consistent with that of the agency’s non-examining physicians.
    Second, whereas Dr. Kessler indicated that Purdy could stand or
    walk for less than two hours in an eight-hour workday, the ALJ
    indicated that Purdy could stand or walk for two hours in an
    eight-hour workday. These differences were material to the VE,
    who testified that if Dr. Kessler’s opinion were accepted and
    accurate, there would be no jobs available for Purdy to perform.
    - 9 -
    11,000 jobs in the national economy); document preparer (20,000
    jobs in the national economy); and stem mounter (1,400 jobs in
    the national economy).           On the basis of that testimony, the ALJ
    found that Purdy was not disabled within the meaning of the
    Social Security Act and denied her application.
    The SSA’s Appeals Council denied Purdy’s request for
    review, rendering the ALJ’s decision the Commissioner’s final
    determination, which Purdy then appealed by bringing this action
    in federal district court.             The magistrate judge recommended
    affirming the Commissioner’s decision, and the district court,
    on de novo review, adopted the recommendation.
    III
    We review the district court’s decision to affirm or
    reverse a final decision of the Commissioner de novo and the
    Commissioner’s underlying decision for substantial evidence and
    conformity to relevant law.           
    Seavey, 276 F.3d at 9
    (citing 42
    U.S.C.    §     405(g)).         Substantial-evidence         review      is    more
    deferential than it might sound to the lay ear: though certainly
    “more than a scintilla” of evidence is required to meet the
    benchmark,        a      preponderance         of       evidence       is       not.
    Bath Iron Works Corp. v. U.S. Dep’t of Labor, 
    336 F.3d 51
    , 56
    (1st Cir. 2003) (internal quotation marks omitted).                         Rather,
    “[w]e    must   uphold     the   [Commissioner’s]       findings    . .     .   if   a
    reasonable      mind,    reviewing   the     evidence    in   the   record      as   a
    - 10 -
    whole, could accept it as adequate to support [her] conclusion.”
    Rodriguez v. Sec’y of Health & Human Servs., 
    647 F.2d 218
    , 222
    (1st Cir. 1981) (per curiam).             “[I]ssues of credibility and the
    drawing of permissible inference from evidentiary facts are the
    prime responsibility of the [Commissioner],” and “the resolution
    of   conflicts    in    the    evidence    and     the    determination    of   the
    ultimate    question     of    disability     is    for    [her],   not   for   the
    doctors    or   for    the    courts.”     
    Id. (internal quotation
      marks
    omitted).
    As mentioned before, Purdy’s first claim of error is
    that the ALJ assigned inadequate weight to the opinion of her
    treating orthopedic physician, Dr. Kessler, as to her physical
    limitations.      The ALJ’s factual findings must be supported by
    substantial evidence and the legal standards must be correct.
    The relevant legal standard for a claim filed before March 27,
    2017 (as Purdy’s was) is the rule that a treating physician’s
    opinion is controlling if it is “well-supported by medically
    acceptable clinical and laboratory diagnostic techniques and is
    not inconsistent with the other substantial evidence in [the]
    case record.”          20 C.F.R. § 416.927(c)(2).              And even if not
    deemed controlling, a treating physician’s opinion is entitled
    to weight that reflects the physician’s opportunity for direct
    - 11 -
    and continual observation.                Id.8   There was, however, no error in
    the ALJ’s determination to give “little” weight to Dr. Kessler’s
    opinion.
    To begin with, Dr. Kessler’s opinion as reflected on
    the SSA-issued form made little sense on its face.                          Dr. Kessler
    indicated         both    that   Purdy    had    experienced      the     same    physical
    limitations since 2011 and that the cause of her limitations was
    the   2013        femur    injury.        Moreover,    Dr.      Kessler    provided      no
    discussion or analysis of his own prior observations, as the ALJ
    noted when she described his submission as merely checking the
    right boxes.          That itself goes a long way toward supporting the
    ALJ’s       determination        to    accord    Dr.   Kessler’s        opinion     little
    weight.       Matney v. Sullivan, 
    981 F.2d 1016
    , 1019 (9th Cir. 1992)
    (“The       ALJ    need   not    accept    an    opinion   of    a   physician-even       a
    treating          physician-if    it     is   conclusionary       and     brief    and   is
    unsupported by clinical findings.”).
    8
    The agency has eliminated the treating-physician rule for
    purposes of claims filed on or after March 27, 2017. The agency
    no longer “defer[s] or give[s] any specific evidentiary weight,
    including controlling weight, to any medical opinion(s) or prior
    administrative medical finding(s), including those from [an
    applicant’s] medical sources.”       20 C.F.R. § 416.920c(a).
    Instead, medical opinions and findings are evaluated for their
    persuasiveness according to a uniform set of considerations.
    
    Id. § 416.920c(c).
    These include the source’s relationship with
    the claimant, but most important under the new regulations are
    supportability and consistency with the rest of the record. 
    Id. § 416.920c(b)(2).
    - 12 -
    But          even     more        significant          were     Dr.     Kessler’s
    examination and treatment notes.                           Quite simply, Dr. Kessler’s
    medical      records          of     treating          Purdy    were    at      odds    with    his
    conclusions purporting to support Purdy’s application.                                         Purdy
    was diagnosed with a probable stress fracture in April 2013.
    Dr. Kessler’s notes tracking the progress of the fracture made
    it   clear      that         her    prognosis       was    good.        In     July     2013,    for
    example, Dr. Kessler noted that “there is a very, very strong
    chance    that      she        will    heal       satisfactorily         with     no    surgery.”
    There     was      no    displacement             of     the    bone,     and     the    required
    treatment was to avoid stress on the area so nature could take
    its course.             The last mention of the femur in Dr. Kessler’s
    records      was    on        November       5,    2013,       some    three     months    before
    Purdy’s hearing before the ALJ, and then Dr. Kessler noted that
    Purdy had a good range of motion in both hips and walked with
    minimal      to         no     limp      and       without       a      cane     (despite       his
    recommendation).                   Though    Purdy      was    continuing        to     experience
    pain, Dr. Kessler noted that “chances [were] she [would] end up
    getting away without having any surgery,” and that even if the
    fracture did “fall apart,” which Dr. Kessler labelled a “very
    small” risk, it could be fixed with surgery.                                     Dr. Kessler’s
    notes regarding Purdy’s three further appointments before her
    hearing before the ALJ focused on a wrist injury and do not
    - 13 -
    mention the stress fracture, or any pain associated with it, at
    all.
    No one could reasonably read these records as support
    for    finding    or    predicating      a     twelve-month     duration   of     any
    impairment from the fracture.                The contrary is true.       There was
    therefore no legal error in refusing to treat Dr. Kessler’s
    opinion as controlling or in according it little weight for
    purposes     of   determining        whether     the     fracture   constituted    a
    severe impairment.9       For the same reasons, the ALJ did not err in
    according Dr. Kessler’s opinion little weight for purposes of
    determining Purdy’s residual functional capacity.                    Based on the
    record and the particular circumstances of this case, the ALJ
    was    entitled    to   make     a    “common-sense        judgment[]”   that     the
    healing stress fracture did not preclude Purdy from performing
    some sedentary work.        Gordils v. Sec’y of Health & Human Servs.,
    
    921 F.2d 327
    , 329 (1st Cir. 1990).                       An applicant’s residual
    functional    capacity     is,       after   all,   an    administrative   finding
    reserved   to     the   Commissioner.          20   C.F.R.     §§   416.927(d)(2),
    416.946.
    9
    The appellant also takes the ALJ to task for suggesting
    that Dr. Kessler’s unsupported opinion reflected personal
    sympathy for his patient.      It is true, as the Commissioner
    concedes, that this was error, in the sense that the governing
    regulations do not list suspicions of sympathy as grounds for
    discounting a physician’s opinion.          But the error was
    insignificant in the context of this case: sympathy or no
    sympathy, the doctor’s records just described do not support his
    findings as to Purdy’s physical limitations.
    - 14 -
    As her second issue, Purdy says it was error for the
    ALJ to rely on the testimony of a VE to conclude that there were
    particular          numbers    of       jobs    that    Purdy     could     perform,     thus
    precluding (at Step 5) a conclusion that she was disabled.                                The
    nub of the objection is that the VE testified on the basis of
    numbers supplied by Job Browser Pro software available from a
    concern called SkillTRAN.
    SkillTRAN’s software has been recognized by at least
    one   district        court        to   be     widely    relied      upon   by   vocational
    experts       in     estimating         the    number    of    relevant     jobs    in    the
    national economy.              See, e.g., Wood v. Berryhill, No. 17 Civ.
    5430,        
    2017 WL 6419313
    ,        at    *3     (W.D.    Wash.     Nov.   17,     2017)
    (describing Job Browser Pro as “the commonly accepted software
    used by . . . vocational experts”).                        The software takes as its
    starting point the Dictionary of Occupational Titles (the DOT),
    a Department of Labor publication that identifies thousands of
    jobs by name and describes the skills and capacity for physical
    exertion       required       to    perform      each.10       The    DOT   “just      defines
    10
    The DOT, which has not been updated since 1991, has been
    criticized by some courts as “obsolete.”     Herrmann v. Colvin,
    
    772 F.3d 1110
    , 1113 (7th Cir. 2014).    Nevertheless, the Social
    Security Administration continues to treat the DOT as a
    “reliable” source of job data and takes administrative notice of
    its contents. 20 C.F.R. § 404.1566(d)(1). The Social Security
    Administration is “developing a new Occupational Information
    System . . ., which will replace the DOT as the primary source
    of occupational information SSA staff use in [their] disability
    adjudication process.” Occupational Information System Project,
    - 15 -
    jobs,” however; “[i]t does not report how many such jobs are
    available in the economy.”              Brault v. Soc. Sec. Admin., Comm’r,
    
    683 F.3d 443
    , 446 (2d Cir. 2012) (per curiam).                         And while the
    Government collects job data, it does so at an aggregated group
    level, rather than by DOT occupation, which renders estimating
    the number of jobs available in the economy for a given DOT
    occupation     no     easy     task.     SkillTRAN’s       software      attempts     to
    address      that    shortcoming       through   its   interpretation           of   the
    available data.
    The objection to the evidence given by the VE rested
    on her testimony that she did not know what precise analysis
    SkillTRAN followed to produce the job-number estimates she gave
    for   jobs    that     Purdy    could    perform.      On       the   basis    of    that
    testimony, and the third-party source for all figures used in
    the computations, Purdy argues that the VE’s testimony should
    not   be   treated      as   expert     evidence,    but    simply      as    parroting
    numbers      immune    to    effective     challenge       by    an   applicant      for
    benefits.
    At      the    threshold,      Purdy     faces          high     hurdles.
    Admissibility of evidence before an ALJ presiding over Social
    Security proceedings is not subject to the Federal Rules of
    SSA,
    https://www.ssa.gov/disabilityresearch/occupational_info_systems
    .html. It plans to roll out the system in 2020 and to update it
    every five years. 
    Id. - 16
    -
    Evidence, and an ALJ is given express authority to assess the
    reliability        of    evidence        offered.       See    42    U.S.C.    § 405(b)(1)
    (“Evidence         may    be    received          at     any     hearing      before      the
    Commissioner of Social Security even though inadmissible under
    rules of evidence applicable to court procedure.”); 20 C.F.R.
    § 404.950(c) (“[T]he administrative law judge may receive any
    evidence at the hearing that he or she believes is material to
    the issues . . . .”); see also Richardson v. Perales, 
    402 U.S. 389
    , 400 (1971) (“[S]trict rules of evidence, applicable in the
    courtroom, are not to operate at social security hearings so as
    to   bar    the     admission       of    evidence      otherwise      pertinent[,]       and
    . . .      the     conduct     of    the     hearing      rests       generally    in     the
    examiner’s discretion.”).
    To be sure, in spite of the breadth of judgment thus
    open to an ALJ, there have developed, not one, but two schools
    of   thought        for    assessing        the     reliability         of    evidence     in
    proceedings like this one.                 Drawing inspiration from Daubert v.
    Merrell      Dow    Pharmaceuticals,          Inc., 
    509 U.S. 579
       (1993),     and
    Federal Rule of Evidence 702, the Seventh Circuit has charged
    ALJs with a version of the gate-keeping role that federal courts
    must play when considering whether to admit expert testimony.
    While      recognizing       that    Rule    702       does    not    formally    apply    in
    Social Security proceedings, the Seventh Circuit has reasoned
    that “because an ALJ’s findings must be supported by substantial
    - 17 -
    evidence, an ALJ may depend upon expert testimony only if the
    testimony is reliable.”         McKinnie v. Barnhart, 
    368 F.3d 907
    , 910
    (7th Cir. 2004).       And “[i]f the basis of the vocational expert’s
    conclusions is questioned            at    the     hearing     .     .      .     then
    the ALJ should make an inquiry (similar though not necessarily
    identical to that of Rule 702) to find out whether the purported
    expert’s conclusions are reliable.”                Donahue v. Barnhart, 
    279 F.3d 441
    , 446 (7th Cir. 2002) (emphasis removed).                          Thus, in
    McKinnie, where the vocational expert’s proffered basis for her
    job-estimate        figures     was       vague    and     unsubstantiated          by
    documentation, the Seventh Circuit held that the ALJ erred by
    not enquiring into the reliability of the vocational expert’s
    
    opinion. 368 F.3d at 911
    .
    The Seventh Circuit stands alone, however, in imposing
    a Daubert-like requirement on ALJs in Social Security cases.
    The Ninth Circuit has disclaimed any such standard for testing
    the reliability of a VE’s testimony regarding the number of
    relevant jobs in the national economy.                   Rather, that court has
    explained    that    “[a]     VE’s    recognized    expertise       provides      the
    necessary foundation for his or her testimony.”                          Bayliss v.
    Barnhart, 
    427 F.3d 1211
    , 1218 (9th Cir. 2005).                     And the Second
    Circuit,    too,     has    cast     significant     doubt     on    the    Seventh
    Circuit’s    approach.        In     particular,    in     Brault,    the       Second
    Circuit responded to a challenge similar to the one lodged here
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    with the observation that the Seventh Circuit’s approach was
    inconsistent         with    Congress’s            clear     determination          that      the
    Federal      Rules     of     Evidence        not     apply     in      Social         Security
    proceedings, see 42 U.S.C. § 405(b)(1), 
    Richardson, 402 U.S. at 400
    –01, and deemed it puzzling that the “the Seventh Circuit
    would acknowledge . . . that ALJs are not bound by the Rules of
    Evidence,      but    then     turn     around      and    require      ALJs      to    hew    so
    closely to Daubert’s principles,” 
    Brault, 683 F.3d at 449
    .                                    For
    that    matter,       the    Second     Circuit        was    not     persuaded         that    a
    Daubert-like         hearing      would       be     useful     given       the     pertinent
    standard of review.               The “substantial evidence” standard, the
    court noted, is “extremely flexible,” “giv[ing] federal courts
    the freedom to take a case-specific, comprehensive view of the
    administrative         proceedings,           weighing        all     the        evidence      to
    determine whether it was ‘substantial.’”                            
    Brault, 683 F.3d at 449
    .        The Second Circuit “thus affirmed, not on any Daubert
    basis, but instead on typical ‘substantial evidence’ grounds.”
    
    Id. at 450.11
    We     fail    to   see    an    adequate        answer       to    the    Second
    Circuit’s argument.            This is not to say that we could go to the
    11
    Ultimately, the Second Circuit in Brault declined to
    resolve the extent to which an ALJ must ever test a VE’s
    testimony, simply noting its agreement with the Seventh Circuit
    to the extent that “evidence cannot be substantial if it is
    ‘conjured   out   of   whole   
    cloth.’” 683 F.3d at 450
    (quoting 
    Donahue, 279 F.3d at 446
    ).
    - 19 -
    extreme   of    approving     reliance      on   evidence    of    the   software
    numbers offered by a witness who could say nothing more about
    them than the name of the software that produced them.12                       But
    that is not the case here.            The VE, whose qualifications Purdy
    did not challenge, testified that the job numbers were from the
    Bureau of Labor Statistics and were stated in reference to job
    descriptions in the DOT; that is, they were specific to jobs,
    not to broad amalgams of jobs, some of which an applicant might
    be able to perform but not others.                   The VE testified that the
    software’s     conclusions    on     the   described     basis    were   generally
    accepted by those who are asked to give the sort of opinions
    sought here.      She testified, in other words, to a reliable and
    practical basis of fact on which analysis was performed, and to
    a wide reputation for reliability.               Given the broad discretion
    on the part of an ALJ, and the complete lack of any competing
    evidence or critique, it is hard to see an abuse of discretion
    in the judge’s refusal to demand, say, that a VE perform her own
    data-gathering     field     work,    or   be    a    statistician   capable    of
    duplicating the software analysis of the basic material.                       See
    Pena v. Comm’r of Soc. Sec., 489 Fed. App’x 401, 403 (11th Cir.
    2012) (rejecting similar challenge because “ALJ was entitled to
    12 Nor do we foreclose the possibility that an applicant
    could demonstrate the methodology employed by Job Browser Pro
    (or any other software) to be so unreliable that it cannot
    constitute substantial evidence. No such attempt was made here.
    - 20 -
    rely upon the VE’s testimony without requiring the VE to provide
    a   comprehensive statistical explanation   of   how   he   arrived   at
    . . . job number figures.”).     Nor does Purdy seriously confront
    the question of what more might be required.      Rather, she simply
    couches her objection in the general terms that more personal
    “knowledge, experience or expertise” ought to be required of a
    VE relying on Job Browser Pro.    At this level of generality, the
    argument is too ethereal to carry the day in demonstrating legal
    error in the ALJ’s judgment to rely on the testimony here.13
    IV
    The ALJ’s determination that Purdy was not disabled
    within the meaning of the Social Security Act was supported by
    substantial evidence.   We affirm.
    13Purdy also contends that the ALJ mischaracterized the
    statements of a physician who examined her in 2012 and
    improperly credited the opinions of the State agency non-
    examining physicians.    Purdy did not adequately present these
    arguments   in  her   objections   to  the  magistrate   judge’s
    recommended decision.   They are therefore waived.  See Keating
    v. Sec’y of Health & Human Servs., 
    848 F.2d 271
    , 275 (1st Cir.
    1988).
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