Constance L. PATTERSON, Plaintiff-Appellant, v. COMMISSIONER OF SOCIAL SECURITY ADMINISTRATION, Defendant-Appellee.
No. 15-2487
United States Court of Appeals, Fourth Circuit.
Argued: December 7, 2016. Decided: January 19, 2017
846 F.3d 656
IV. Conclusion
We hold that the “settled course” exception to our rule against review of BIA orders denying sua sponte reopening can be invoked by showing that the BIA has meaningfully limited its discretion so as to allow our review. The unpublished BIA cases cited by Park do not lead to the reasonable inference that the BIA has done so here. For these and other reasons, we lack jurisdiction over Park‘s petition for review. It will be dismissed.
extent that a constitutional claim of this sort could independently confer jurisdiction through
ARGUED: William Daniel Mayes, SMITH, MASSEY, BRODIE, GUYNN & MAYES, P.A., Aiken, South Carolina, for Appellant. Evelyn Rose Marie Protano, SOCIAL SECURITY ADMINISTRATION, Philadelphia, Pennsylvania, for Appellee. ON BRIEF: Nora Koch, Acting Regional Chief Counsel, Charles J. Kawas, Acting Supervisory Attorney, Office of the General Counsel, SOCIAL SECURITY ADMINISTRATION, Philadelphia, Pennsylvania; William N. Nettles, United States Attorney, Marshall Prince, Assistant United States Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Columbia, South Carolina, for Appellee.
Before KING, DUNCAN, and KEENAN, Circuit Judges.
Reversed and remanded with instructions by published opinion. Judge DUNCAN wrote the opinion, in which Judge KING and Judge KEENAN joined.
DUNCAN, Circuit Judge:
Plaintiff-Appellant Constance L. Patterson (“Patterson“) appeals from a district-court order affirming the Social Security
I.
Patterson filed an application for disability insurance benefits on July 21, 2010. The SSA denied Patterson‘s application initially and on reconsideration. Patterson then filed a timely request for a hearing on May 12, 2011.
After a hearing, an ALJ also denied her application, finding that Patterson was not disabled during the period for which she sought benefits. In so ruling, the ALJ claimed to have reached his decision on the objective medical record, but he based his findings regarding Patterson‘s impairments primarily on the conclusions of one doctor, Dr. Horn. With regard to the ALJ‘s evaluation of Patterson‘s mental impairment specifically, the ALJ failed to (1) follow the procedures outlined in
Patterson sought review of the ALJ‘s decision, but the SSA‘s Appeals Council denied her request, rendering the ALJ‘s decision the final decision of the SSA Commissioner for purposes of judicial review.
II.
On appeal, Patterson seeks a remand to the SSA for proceedings consistent with the special-technique regulation and other applicable regulations.1 The SSA counters that any missteps by the ALJ constitute harmless error because this court can itself apply the special technique in deter-mining whether substantial evidence supports the ALJ‘s denial of benefits.
We review an SSA decision only to determine if it is supported by substantial evidence and conforms to applicable and valid regulations.
Below, we first outline the statutory and regulatory framework governing the SSA‘s grant or denial of benefits, and how the ALJ applied that framework here. Next, we explain why we cannot accept the SSA‘s invitation to apply the special technique ourselves in the first instance. We do not decide whether failure to follow the special technique requires remand in every case, but we are satisfied that the error here requires remand.
A.
1.
The Social Security Act (“the Act“) provides for benefits to claimants below re-
If the claimant satisfies steps 1 and 2, but not step 3, then the decision maker must determine the claimant‘s residual functional capacity, that is, an evaluation of her ability to perform work despite her limitations (“RFC assessment“).
After conducting the RFC assessment, the ALJ proceeds to step 4.
The special-technique regulation affects how an ALJ evaluates and documents his process at steps 1 through 4 if the claimant alleges a mental impairment.
Under the special-technique regulation, if the ALJ determines that a mental impairment exists, he “must specify the symptoms, signs, and laboratory findings that substantiate the presence of the impairment(s) and document [his] findings.”
The claimant carries the burden of proof at steps 1 through 4. See
2.
In the present case, at steps 1 and 2, the ALJ found that Patterson was not working, and had severe physical and mental impairments. At step 3, he determined these impairments did not meet or equal any listed impairment. In reaching these conclusions, the ALJ mentioned the findings of two doctors—Dr. Horn and Dr. Ritterspach.4 However, the ALJ did not evaluate the severity of Patterson‘s mental impairment in accordance with the special technique, nor did he document application of the special technique in his decision as required by the regulation.
In his RFC assessment, the ALJ explained that Patterson‘s impairments allowed her to perform “light work” with the requirement that employers give her discretion to switch from sitting to standing while performing work. At step 4, the ALJ found that this RFC assessment prevented Patterson from performing any “past rele-vant work.” But at step 5, he concluded that Patterson did not qualify as disabled because vocational-expert testimony established that her RFC assessment matched available alternative work activity.
B.
1.
The SSA concedes that the ALJ did not document application of the special tech-nique in reaching these findings, or explicitly adopt physician findings that could possibly qualify alone as a surrogate for the special-technique assessment. Nevertheless, the SSA claims that we can examine the record evidence and apply the special technique ourselves. Noting that the question before us is an issue of first impression, the SSA argues that if we reach the ALJ‘s conclusion after our own application of the special technique, then we can affirm the ALJ‘s denial of benefits on harmless-error grounds. Our sister circuits that have considered this issue have split on whether harmless-error review applies, both in analyzing the current special-technique regulation and its predecessor.5
Of the courts that have found harmless error, only the Sixth Circuit has analyzed the language of the special-technique regulation in so holding. See Rabbers v. Comm‘r Soc. Sec. Admin., 582 F.3d 647, 656-57 (6th Cir. 2009). In Rabbers, the court reached its harmless-error conclusion after noting that the opening provision of
While we agree with the Sixth Circuit that the language of the special-technique regulation guides our inquiry, we disagree on the import of that language. The special-technique regulation‘s plain language describes what the SSA must do. The regulation states that the SSA “will document application of the technique in the decision,”
Moreover, that the SSA codified the special-technique process in a regulation contradicts the argument that the SSA sought only to offer decision makers non-binding guidance. The SSA knows how to issue nonbinding policy statements and guidance documents. See, e.g., Social Secu-rity Administration, Program Operations Manual System (2016). Explaining how an agency wants its decision makers to apply a regulation is one purpose of such non-binding guidance. See Cmty. Nutrition Inst. v. Young, 818 F.2d 943, 949 (D.C. Cir. 1987) (per curiam). In issuing non-binding guidance, agencies need not undergo the laborious and demanding re-quirements of promulgating a regulation, nor must they publish this type of guidance in the Federal Register. Long Island Care at Home, Ltd. v. Coke, 551 U.S. 158, 173 (2007). In establishing its special-technique pro-cess for evaluating and documenting mental impairments, the SSA did not choose to issue nonbinding policy guidance, but instead chose the much more arduous pro-cess of promulgating and publishing a reg-ulation with mandatory language. We can-not conclude that the SSA codified the special-technique process simply for the
Furthermore, the weight of authority suggests that failure to properly document application of the special technique will rarely, if ever, be harmless because such a failure prevents, or at least substantially hinders, judicial review. See, e.g., Kohler v. Astrue, 546 F.3d 260, 267 (2d Cir. 2008); see also Mascio v. Colvin, 780 F.3d 632, 636-37 (4th Cir. 2015) (finding reversible error where ALJ failed to employ a paral-lel special-technique regulation for assess-ing supplemental security income benefits claims). Without documentation of the spe-cial technique, it is difficult to discern how the ALJ treated relevant and conflicting evidence. See Mascio, 780 F.3d at 637 (refusing to hold that ALJ‘s lack of reasoning constituted harmless error “[b]ecause we are left to guess about how the ALJ ar-rived at his conclusions” regarding an RFC assessment); Myers v. Califano, 611 F.2d 980, 983 (4th Cir. 1980).
“Administrative determinations are re-quired to be made in accordance with cer-tain procedures which facilitate judicial re-view.” Cook v. Heckler, 783 F.2d 1168, 1172 (4th Cir. 1986). We cannot fill in the blanks for the ALJ in the first instance. Failure to document application of the special-technique regulation constitutes error.
2.
Although such error may be harm-less error in some cases, this is not one of them. Based on the findings of Dr. Horn, the ALJ concluded that Patterson had the severe mental impairment of borderline intellectual functioning, but also found that this impairment did not meet or equal a listed impairment. In so deciding, the ALJ noted other evidence that is admittedly pertinent to his conclusions, but he did not address conflicting evidence, or explain away contrary findings of other doctors in a comprehensive manner. Looking at the ALJ‘s decision, the most we can say is that he appears to have at least partially exam-ined the correct evidence, and began the correct evaluation.
But the special-technique regulation re-quires more, see supra Part II.A.1, and we hesitate to declare the error here harmless because it implicates the validity of so many of the ALJ‘s conclusions. We cannot affirm the ALJ‘s evaluation of Patterson‘s mental impairment because his decision did not explain how he weighed all rele-vant evidence: he did not rate Patterson‘s four areas of functional limitation listed in
Put simply, “[t]he ALJ‘s lack of explana-
III.
We do not take a position on the merits of Patterson‘s application for disability benefits. Instead, the dispute here arises from a problem that has become all too common among administrative decisions challenged in this court—a problem deci-sion makers could avoid by following the admonition they have no doubt heard since their grade-school math classes: Show your work. The ALJ did not do so here, and this error rendered his decision unre-viewable. See Kohler, 546 F.3d at 267.
On remand, the ALJ should follow the dictates of all applicable regulations. Reaching a decision in a well-reasoned and documented fashion serves multiple pur-poses. It provides an appropriate record for review. It also accords a claimant‘s arguments the procedure and respect they deserve. And of course, providing compre-hensive review of a claimant‘s arguments is in the SSA‘s best interest—in the in-stant case, providing such review in a well-documented manner would allow a court to readily determine the merits of Patterson‘s other arguments related to the ALJ‘s (1) evaluation of a particular Listing, (2) con-sideration of her treating physician‘s opin-ion, and (3) definition of her sit/stand op-tion in formulating her RFC assessment. For the reasons stated above, we reverse the district court‘s order with instructions to remand to the ALJ for appropriate review of Patterson‘s mental impairment.
REVERSED AND REMANDED WITH INSTRUCTIONS
UNITED STATES of America, Plaintiff-Appellee, v. Donald L. BLANKENSHIP, Defendant-Appellant.
Illinois Coal Association; Ohio Coal Association; West Virginia Coal Association, Amici Curiae.
No. 16-4193
United States Court of Appeals, Fourth Circuit.
Argued: October 26, 2016. Decided: January 19, 2017
