OPINION
I. INTRODUCTION
A healthcare worker was sprayed in the eye with fluids from an HIV-positive patient. She received preventive treatment and counseling. Her employer initially paid workers compensation benefits; it later filed a contr-oversion based on its doctor's opinion that the employee was able to return to work. The employee asked for more benefits, but the Alaska Workers' Compensation Board denied her claim. The employee appealed, but the Alaska Workers' Compensation Appeals Commission affirmed the Board's decision. Because we agree with the Commission that substantial evidence supports the Board's decision, we affirm the Commission's decision.
II FACTS AND PROCEEDINGS
In 2007 Esther Runstrom worked for the Alaska Native Tribal Health Consortium (the employer) as a patient services assistant at the Alaska Native Medical Center. In August she was assisting a nurse in the critical care unit when she experienced a "[hligh risk splash" to her eye by fluids from an HIV-positive patient. She washed her eye and went to the emergency room. The emergen-ey room doctor consulted with a doctor at the AIDS hotline in San Francisco and prescribed an antiretroviral medication as a preventive measure. Runstrom returned to work the following week, but at some point was told to leave because she did not want to do patient care. Runstrom received temporary total disability (TTD) beginning in September.
Runstrom consulted with nurse practitioner Ellen Lentz, her primary healthcare provider, a few days after the exposure. Lentz's chart notes showed the primary treatment plan was "[s)tress management and relaxation." Lentz referred Runstrom to counseling with Denny Tranel, a licensed clinical social worker; Runstrom first saw Tranel on September 11. Runstrom saw Tranel for at least three months. During this period of time she also had blood tests to check her HIV status. On October 3 Lentz asked for Runstrom to be exeused from work until December 7.
On October 15 Dr. Eric Goranson conducted an employer's independent medical evaluation (EIME) of Runstrom. Dr. Goranson indicated Runstrom's case was "difficult from a number of standpoints," in part because of conflicting reports from Runstrom and the employer. Because Tranel had diagnosed Runstrom with "traumatic stress secondary to exposure to AIDS," Dr. Goranson briefly discussed whether Runstrom met the diagnostic criteria for posttraumatic stress disorder (PTSD), but felt a "diagnosis of adjustment disorder with mixed emotional features would be more appropriate than the diagno-
The employer sent Dr. Goranson's report to Lentz with a note asking if she "con-curf[red] with his finding and recommendations, specifically counseling to include exposure and response prevention treatment and cognitive behavioral therapy approximately once per week of short duration, return to work with a gradual re-entry to the workplace, initial non-patient care transitioning into full patient care." On November 6, Lentz answered "yes" and, as instructed by the employer, wrote two prescriptions: one for "[clognitive behavioral therapy weekly" with the notation that Runstrom "would like to continue with Mr. Tranel" and one for "[elxposure and response prevention treatment." It is not clear what happened with these prescriptions. The record does not contain notes from any sessions with Tranel after November 8, and the notes from the November 8 session did not mention cognitive behavioral therapy. A later chart note from another healthcare provider indicated Runstrom continued to consult with Tranel over the telephone, but there is no indication in the record that Runstrom received the therapy Lentz prescribed.
On November 12 Lentz cleared Runstrom to return to work with restrictions, specifically "no patient care/contacts" until December 1. Runstrom's later three-month HIV test was negative. Runstrom applied for several positions with the employer not involving patient care, but she was not hired for any of them. On December 10 the employer controverted TTD and temporary partial disability (TPD) benefits after December 1, saying it had "offered to assist with a re-integration plan to place [Runstrom] back into her position" but she did not want to do so; it did not controvert further medical care at that time. The employer terminated Runstrom's employment effective January 11, 2008, because she had taken too much leave.
Dr. Goranson did a second EIME in February 2008 to assess medical stability and need for further medical treatment. Dr. Goranson said it was "difficult" to answer whether Runstrom was medically stable, in part because she had not received the medical treatment he had recommended and Lentz had prescribed. He gave the opinion that Runstrom was "medically stable as of [November 12, 2007] when Ms. [Lentz] returned her to work." He then wrote that "placing [Runstrom] at her regular job duties . would be counterproductive unless the treatment modalities were in place." He thought treatment would be related to "preexisting non-work related factors," so with respect to the work injury, Dr. Goranson believed Runstrom was able to return to work as of November 12, 2007 "as noted by Ms. [Lentz]."
Runstrom continued to be checked for HIV reactivity; her tests from February, May, and November 2008 were negative. In May 2008 the employer controverted further counseling. -In August 2009 Runstrom filed a workers' compensation claim for TTD, penalties and interest if applicable, and unfair or frivolous controversion. According to Run-strom her injuries included the initial exposure, the side effects of the antiretroviral medication, and the "mental effects of being exposed to a fatal sexually transmitted disease." The employer answered and denied all claims; it also filed another controversion.
Runstrom's claim hearing before the Board was brief. There were no witnesses, although Runstrom was put under oath. The parties agreed that medical benefits were not an issue; they identified the issues as TTD,
The Board first decided Runstrom had not attached the presumption of compensability that she was entitled to more TTD because she "presented no medical evidence she is unable to work as a result of [her] exposure.
Runstrom appealed the decision to the Commission. She argued that the EIME reports were not substantial evidence because of inaccuracies and bias. She mentioned a mental stress case and questioned whether the Board had resolved doubt in her favor. The employer argued that substantial evidence supported the Board's decision.
The Commission decided the Board erred in its legal analysis But rather than remanding the case to the Board, the Commission determined the Board's findings were sufficiently detailed that it could apply its own judgment to the case. The Commission interpreted 2005 amendments to the Alaska Workers' Compensation Act as changing the presumption analysis at the second and third stages,
Runstrom appeals.
III. STANDARD OF REVIEW
In an appeal from the Commission, "we review the [CJommission's decision and apply our independent judgment when there is a question of law not involving ageney expertise."
IV. DISCUSSION
A. Runstrom Suffered A Physical, Mental Injury Covered By The Presumption Analysis.
As we noted in Kelly v. State, Department of Corrections, "[wlork-related mental injuries have been divided into three groups for purposes of analysis."
considered a "physical-mental" claim; a "mental stimulus that causes a mental disorder" is considered a "mental-mental" claim; and a "mental-physical" claim occurs when a mental stimulus causes a physical injury, such as a heart attack.
Kelly involved a prison guard who was diagnosed with PTSD after an on-the-job incident in which a murderer threatened him with a sharpened peneil.
Compensation cases involving exposure to disease, when the likelihood of exposure is increased by work, are generally classified as physical claims.
B. The Commission Correctly Decided That Substantial Evidence Supported The Board's Decision.
Runstrom argues that she is entitled to additional TTD because the employer did not present substantial evidence to rebut the presumption that she was disabled from working. The employer contends that the Commission correctly decided that substantial evidence in the record supported the Board's decision.
As the Commission observed, the Board provided two alternative analyses of Run-strom's claim, one deciding that she had not attached the presumption of compensability and one assuming she had. The employer did not dispute that Runstrom was initially unable to work because of her work-related injury. "Onee an employee is disabled, the law presumes that the employee's disability continues until the employer produces substantial evidence to the contrary.
As we noted earlier, the Commission decided that the Board erred as a matter of law in its application of the presumption analysis because in its view the Board applied an incorrect legal standard at the second stage. In her brief to us, Runstrom did not raise this issue; in its brief the employer argued only that the Commission's new interpretation of the presumption analysis supports the Board's decision. Because Runstrom did not appeal this issue and because the employer rebutted the presumption under either standard, we do not reach the question whether the Commission erred in interpreting AS 23.30.010(a) and its impact on the presumption analysis.
Relying on Black v. Universal Services, Inc.,
At oral argument before us, Runstrom relied on Lentz's chart notes to argue that medical evidence supported her claim. But Lentz's return-to-work form would have been adequate to rebut the presumption even in the absence of Dr. Goranson's report. Lentz apparently contemplated that Runstrom would return to work after or in conjunction with a treatment plan as outlined in the first EIME report; Lentz wrote prescriptions so that Runstrom could get specific treatment and returned Runstrom to work, with restrictions at first, but with a deadline for lifting the restrictions At the hearing Runstrom did not explain why she did not follow through with the prescribed treatment, nor was there any indication that Runstrom asked Lentz to change the return-to-work form. Lentz cleared Runstrom to work with patients after December 1, 2007. Because Runstrom's primary healthcare provider said Runstrom was able to work at her previous position without restrictions as of December 1, 2007, the Commission correctly decided substantial evidence in the record supported the Board's finding that the employer rebutted the presumption that Runstrom continued to be disabled from working.
After the employer rebutted the presumption, Runstrom had to show that the HIV exposure was the substantial cause of her inability to return to work.
Because both Lentz and Dr. Goranson thought Runstrom could return to her prior work after December 1, 2007, and Runstrom did not offer any evidence from a healthcare provider to contradict these opinions, the Commission correctly determined that substantial evidence in the record supported the Board's decision that Runstrom was not entitled to further TTD.
C. The Commission Correctly Decided That The Controversions Were In Good Faith.
Runstrom argues that the employer's controversions were frivolous and unfair in large part because they were based on Dr. Goranson's reports, which she does not regard as substantial evidence. The employer counters that the Board's decision was correct because it could rely on Dr. Goranson's opinion to controvert Runstrom's care.
A controversion must be made in good faith in order for an employer to avoid a penalty: "the employer must possess sufficient evidence in support of the controversion that, if the claimant does not introduce evidence in opposition to the controversion, the Board would find that the claimant [was] not entitled to benefits."
Dr. Goranson's report met this standard. If Runstrom had introduced no evidence opposing the controversion, the Board could have found she was not entitled to benefits based on Dr. Goranson's report. In October 2007 Dr. Goranson said Runstrom was able to and should return to work. Lentz agreed with the report, and she wrote prescriptions directing Runstrom to receive the treatment recommended in the EIME. The employer did not file the controversion until after December 1, 2007, when Lentz said Runstrom could return to patient care. The Commission, and the Board, correctly concluded that the controversions were not unfair or frivolous.
V. CONCLUSION
Subject to our caveat in footnote 16, we AFFIRM the Commission's decision.
Notes
. There was a later exchange between the Chair and Runstrom in which Runstrom indicated that she needed additional counseling but did not want to go unless the employer did not have access to the records. At oral argument before us, Runstrom clarified that she was not and is not seeking medical benefits for continued counseling.
. Workers' compensation claims have been subject to a three-step presumption analysis in which the employee must first attach the presumption of compensability by presenting some evidence linking work and the injury. McGahuey v. Whitestone Logging, Inc.,
. See note 2, above.
. Our review of the record discloses no discussion of this point in either of the parties' briefs to, or at oral argument before, the Commission.
. Shehata v. Salvation Army,
. Smith v. CSK Auto, Inc.,
.
. Id.
. AS 23.30.120(c).
. AS 23.30.010(b).
.
. Id. at 294. Kelly's claim initially was a mental-physical claim because he suffered stress-related angina. Id.
. See Doe v. City of Stamford,
. 3 Artur Larson & Lex K. Larson, Larson's Workers' Compensation Law § 56.03{1] (2011).
. Grove v. Alaska Constr. & Erectors,
. We are concerned, however, with the manner in which the Commission interpreted the statute. In their briefs before the Commission neither party mentioned or discussed the change in the causation standard in AS 23.30.010(a) and its potential impact on Runstrom's case. More to the point, neither party discussed whether the 2005 amendments to the Act had any effect on the second stage of the existing presumption analysis. And the Commission did not ask the parties questions about the issue at oral argument or request supplemental briefing.
There are some issues that a court or administrative agency should raise on its own, such as subject matter jurisdiction, Monzulla v. Voorhees Concrete Cutting,
Whether or how the 2005 amendments to the Act modified the existing three-step presumption analysis is an open question. We do not decide whether the Commission is correct that the amendment results in a change of an employer's burden at the second stage of the presumption analysis, but we note that parts of the legislative history suggest that the presumption analysis was to remain unchanged until the third step. See, e.g., Minutes, H. Free Conference Comm. on S.B. 130, 24th Leg., ist Sess., at 10 (May 21, 2005) (testimony of Kristin Knudsen, Assistant Attorney Gen.) (stating that employer's burden is "unchanged"). We encourage the Commission to take up the issue again when it can be fully briefed by parties before it in an appeal, and to provide a thorough explanation of its reasoning and decision.
. A finding of medical stability also ends a worker's eligibility for TTD. AS 23.30.185.
. McGahuey v. Whitestone Logging, Inc.,
.
. Id. at 1076.
. AS 23.30.010(a).
. Harp v. ARCO Alaska, Inc.,
. See Bailey v. Tex. Instruments, Inc.,
