OPINION
In this appeal, the Court is asked to assess a workers’ compensation claimant’s burden in seeking total disability benefits, having previously exhausted entitlement to compensation for partial disability.
After working for forty-three years in the coal mining industry for Appellee Greenwich Collieries (“Employer”), Appellant Francis B. Stanek (“Claimant”) ceased work, sought compensation for disability resulting from coal workers’ pneumoconiosis and was awarded partial disability benefits on such basis, effective November 10, 1981. Thereafter, he received $257.38 per week for a period of 500 weeks, following which,
*415
by operation of law, Employer’s obligations relative to the partial disability ceased.
See
77 P.S. § 512. On January 29, 1993, at seventy-two years of age, Claimant filed a reinstatement petition contending that his pulmonary condition had worsened to such an extent that he had become totally disabled.
1
At hearing, Claimant testified in support of the petition and offered testimony from an examining physician, Dr. Gordon A. Gress, to the effect that Claimant’s pulmonary condition had deteriorated progressively and substantially.
2
Dr. Gress testified to his review of the report of Claimant’s treating physician (containing the opinion that Claimant was totally disabled) and indicated that Claimant’s condition precluded him from performing most jobs. Dr. Gress conceded, however, that there were some forms of sedentary employment Claimant could perform consistent with his physical limitations.
3
The WCJ awarded benefits; however, the Workers’ Compensation Appeal Board (the “Board”) reversed, holding that Employee had not met his burden of proof under
Meden v. WCAB (Bethenergy Mines, Inc.),
*416 The relevant statutory provisions are Sections 306(b) and 413(a) of the Workers’ Compensation Act. 4 Section 306(b) establishes a- general rule setting compensation for partial disability at sixty-six and two-thirds percent of the difference between pre-injury wages and post-injury earning power. 77 P.S. § 512(1). Compensation is available throughout the period during which the employee’s earnings capacity is affected, “but for not more than five hundred weeks,” 77 P.S. § 512(1)(emphasis added); thus, the period during which partial disability benefits are available is capped at approximately nine and one-half years. Section 413(a) provides for, among other things, modification of benefits “at any time” upon proof that a claimant’s disability has increased, 77 P.S. § 772, for example from a partial to a total loss. Increased benefits generally are available as of the date on which the change is demonstrated to have occurred; however, Section 413(a) generally limits the availability of review, modification or reinstatement to claims filed within three years after the date of the most recent payment of compensation, and further provides that, where compensation has been suspended because the claimant has returned to work with earnings equal to or greater than his pre-injury wages, benefits may be resumed at any time during the 500-week period of eligibility for partial disability benefits. 77 P.S. § 772.
In
Stewart v. WCAB (Pa Glass Sand/US Silica),
In
Meden,
an
en banc
Commonwealth Court examined a workers’ compensation referee’s decision to deny a claim similar to that asserted in the present appeal, in which a retirement-age claimant, suffering from coal workers’ pneumoconiosis, sought compensation for total disability after having exhausted his entitlement to partial disability benefits. The claimant testified to and presented medical evidence regarding the deterioration of his physical condition; the medical testimony included the concession that the claimant had the ability to perform some forms of sedentary work; and no vocational or other evidence was offered to further demonstrate the effect of the deterioration of his physical condition upon his earning ability. The Commonwealth Court found that such evidence was insufficient to meet Section 413(a)’s requirement of increased disability (or loss of earning power), reasoning that the assessment of disability has a physical component (physical capacity to work) and a vocational one (availability of suitable employment), and mere deterioration of a claimant’s medical condition addresses only the first of these.
See Meden,
As the centerpiece of its analysis, the
Meden
court equated the burden upon a claimant seeking modification to obtain total disability benefits subsequent to the expiration of the statutory period of eligibility for partial disability benefits with the standard announced in
Dillon v. WCAB (Greenwich Collieries),
At the time [the claimant was awarded partial disability benefits, the referee found that [the claimant was medically disabled, but his loss of earning power (or disability for the purposes of worker’s compensation), was mitigated by the availability of light duty work which he could perform at a lower wage. Therefore, [the claimant must prove that his physical disability has changed and that he is unable to perform his light duty job, and, therefore, that he has suffered a further loss of earning power. This proof must be made by precise and credible evidence which is of a more definite and specific nature than that upon which the initial *419 compensation is based. Only when this burden has been satisfied does the burden shift to [the e]mployer to demonstrate the availability of “lighter” light duty work within [the c]laimant’s new physical limitations.
Id.
at 82-83,
Meden
and
Volk
thus set forth essentially identical standards applicable to pre-and post-500-week claims for modification. If there is any significant difference, by incorporating the “precise and credible” language which was not present in
Meden, Volk
would seem, perversely, to set forth a more exacting standard applicable to a petition filed in the pre-500week setting.
7
Unfortunately, this overlap, the
Meden
decision’s emphasis upon
Dillon
as articulating a controlling standard pertaining to post-500-week cases, and the corresponding failure to distinguish between the pre- and post-500-week settings in terms of the burden of proof applicable to modification claims caused confusion in the cases that followed. The Commonwealth Court cited
Meden
and
Volk
essentially interchangeably,
see, e.g., Diffenderfer v. WCAB (Rabestos Manhattan, Inc.),
*420 In Burton, however, the Commonwealth Court acknowledged the critical distinction between pre- and post-500-week cases and attempted to clarify the relationship between its decisions in Meden and Volk. Before the court was a decision of the Board to affirm the denial of a modification petition, filed well within the 500-week eligibility period, which sought an increase in benefits based upon a worsening of the claimant’s medical condition and a corresponding loss of ability to continue to perform light-duty employment. Since the Board’s decision referred to both Meden and Volk, the Commonwealth Court summarized those cases and stated as follows:
Although' the outcome in Meden and Volk was identical, the key distinction between those cases is the fact that, in Meden, the claimant had exhausted his 500 weeks of eligibility for partial disability benefits; therefore, to establish an increase in disability, he had no other option but to establish that the decline in his physical condition reduced his earning power to zero, rendering him totally disabled. On the other hand; Volk still had 123 weeks of eligibility for partial disability benefits, and he could have prevailed on his petition by establishing that the deterioration of his physical condition resulted in either total disability or that his earning power, although not reduced to zero, was now reduced more than it had been at the time that the [workers’ compensation judge] originally awarded him partial disability benefits. If Volk had made such a showing, he would have demonstrated that he was then presently partially disabled to a greater degree than he had been at the time he was originally awarded partial disability benefits and could have received partial disability benefits at a higher rate for the remainder of the 123 weeks. Because Volk presented no evidence regarding the impact of his physical condition on his earning power, we affirmed the denial of his reinstatement.
Id. at 600 (emphasis in original). The Commonwealth Court then analogized the circumstances before it to Volk:
*421 The case presently before us is identical to Volk in that, at the time [the claimant applied for reinstatement of total disability benefits, he still had approximately 403 weeks of partial disability eligibility remaining. Therefore, like Volk, he could prevail by showing that the deterioration of his physical condition has reduced his earning power to zero, i.e., total disability, or that his earning power has declined further from the date that he was originally awarded partial disability benefits, i.e., greater partial disability.
Burton,
To this point,
Burton
adhered to this Court’s workers’ compensation jurisprudence.
See Dillon,
It therefore appears that Meden’s attempt to employ the standard articulated in
Dillon
in post-500-week cases has resulted in a hybrid standard that increases the burden upon a claimant seeking total disability benefits within the 500-week period to establish that he is medically disabled in a pure physical sense such that he is incapable of performing even sedentary work,
see Burton,
We find such a hybrid standard to be erroneous. With regard to cases in which a modification petition is filed within the period of eligibility for compensation for partial disability, we reaffirm the standards enunciated in
Dillon,
With regard to claims filed after the expiration of the 500-week period, we acknowledge the difficulties faced by the Commonwealth Court in fashioning an appropriate construct. First, there may be a certain natural confluence between pre- and post-500-week claims, such as occurred in Meden and Volk, both involving retirement-age claimants suffering from coal workers’ pneumoconiosis who sought total disability benefits after having received compensation for partial disability for a substantial period; therefore, there may be a natural tendency to provide for similar treatment. Second, Dillon presents an attractive construct for application in the post-500-week setting, at a minimum presenting a logical starting point, since a claimant seeking modification after the expiration of the 500-week period certainly must prove at least as much as a claimant seeking modification within such period. *424 The Dillon standard, however, is designed with a degree of inherent flexibility that is inappropriate to the post-500-week setting, since Dillon will accommodate instances of increased partial disability that are not cognizable after the expiration of the 500-week period. Third, the post-500-week cases often involve occupational disease, where the disability is long-term and progressive, such that if the claimant is not now totally disabled, he may be in the future; thus, claimants will have an especially strong incentive to vigorously pursue their continuing entitlement, particularly in light of the three-year limitation on the assertion of their claims. See 77 P.S. § 772. Additional complications may arise in these cases as well; for example, a claimant may not assume light-duty employment during the period during which he receives partial disability benefits, and in such circumstances, there will be no convenient point of reference from which to measure further loss of earning capacity.
Despite these difficulties, our task is to give effect to the General Assembly’s directive, eliminating the receipt of compensation based upon partial disability after the expiration of the 500-week period.
10
In this regard, we agree with the Commonwealth Court’s interpretation of Section 413(a) to the effect that it forecloses claims for increased compensation for partial disability short of total disability — in capping an employer’s liability for partial disability benefits, it seems plain the General Assembly did not intend serial petitions based upon incremental changes in medical condition or fluctuations in the job market. Moreover, just as in cases where benefits have been terminated the claimant cannot relitigate the cessation of compensation under the guise of a petition for reinstatement,
Shipley Oil Co. v. WCAB (Lehr),
In reviewing the jurisprudence concerning post-500week claims, we find that the
Kunicki
decision represents an appropriate starting point for the development of a standard of proof, and we endorse its finding that a post-500-week claimant must establish his total disability by precise and credible evidence of a more definite and specific nature than that required to obtain compensation initially or modification within the 500-week period.
See Kunicki,
Ordinarily, proof of total disability may be accomplished by demonstration of a work-related injury that precludes the claimant from returning to his time-of-injury job.
See, e.g., Dillon,
*427 Although we realize that this is an exacting burden and this Court has previously avoided requiring the proof of a negative in order to maintain benefits, in this context we find the allocation necessary to accommodate the General Assembly’s purpose in imposing the 500-week limitation. While this standard may undergo refinements in future cases, where, as here, the claimant has ceased work during the period of eligibility for partial disability benefits, is presently physically capable of work of some kind, and fails to offer credible evidence indicating why such work is not available to him, benefits cannot be afforded consistent with the Legislature’s decision to foreclose compensation for partial disability following a 500-week period of eligibility.
Accordingly, the order of the Commonwealth Court is affirmed.
Notes
. Claimant previously had filed a modification petition during his period of eligibility for partial disability benefits on similar grounds, which was denied on a workers’ compensation judge’s finding that Claimant’s condition had not changed since he was awarded partial disability benefits.
. Claimant testified to increasing shortness of breath and coughing with gray mucus, requiring him to limit his life activities and make adjustments in his sleeping position to avoid gagging and choking. Dr. Gress confirmed a deterioration of Claimant's lung capacity and testified to his diagnoses of kyphoscoliosis, early clubbing of the fingers, and abnormal sounds in the lungs on inhalation.
. Employer took the position that Claimant’s medical condition had not changed since his receipt of compensation for partial disability and offered medical evidence to that effect; however, the Workers’ Compensation Judge (the "WCJ”) credited Claimant’s evidence.
. Act of June 2, 1915, P.L. 736 (as amended, 77 P.S. §§ 1-1041.4) (the "Act”).
. In
Stewart,
we recognized that a claim for total disability benefits asserted after the expiration of the period of eligibility for partial disability benefits has attributes of both modification and reinstatement claims.
See Stewart,
. The
Meden
court also cited to
Kunicki v. WCAB (Felice),
. The "precise and credible" language would more appropriately attach to
Meden,
since the cases from which it derives involve claims lodged at or after the expiration of the period of eligibility for compensation for partial disability.
See Kunicki,
.
Burton
appears to be the first published decision in which the Commonwealth Court attempted to apply such a distinction. The distinction, however, has subsequently been applied in other cases. See,
e.g., Pappans Family Restaurant v. WCAB (Ganoe),
. Perhaps the Commonwealth Court in
Burton
was attempting to achieve some sort of parity among all claimants suffering from a physical impairment that permits light duty or sedentary work. Under our current system, although two claimants may have an identical physical impairment, based upon work availability one may receive partial disability benefits and the other total. The former is subject to the 500-week limitation on benefits; whereas, the latter is not, since the General Assembly has established no cap on total disability benefits. While this schelne may seem to contain an aspect of arbitrariness, it provides employers with an incentive to accommodate a claimant’s restrictions by any of a number of means, including provision of light-duty work and pursuit of outside employment opportunities with diligence. To the extent that the system results in uneven treatment, such is a consequence of the clear legislative design, pursuant to which disability is conditioned not directly upon the nature of a claimant’s injury, but rather, on the effect of such injury upon the specific claimant’s ability to generate earnings.
See generally
77 P.S. §§ 511, 512;
Dillon,
. Although Section 413(a)’s limitations will impose a hardship on some claimants, particularly those suffering from progressive occupational disease, as noted, the provisions of the Act result from a legislative effort to balance benefits and burdens as between employers and employees, advantaging claimants, for instance, with compensation for work-related injuries without the necessity of establishing liability in tort.
. Notably, with regard to pre-500-week claims,
Dillon
would also permit increased benefits to be afforded upon a showing that light-duty work is not available.
See Dillon,
. As noted in
Vista Int'l Hotel v. WCAB (Daniels),
