Simon Anderson Law P.C.
720 Olive Street, Suite 1720, St.
Louis, MO 63101
314-621-2828
MISSOURI WORKERS’ COMPENSATION CASE
LAW UPDATE
October 2021 – December 2021
Need for Total Knee Replacement Necessitated by Work Injury
Rogers
v. Marion C. Early R V School District, Injury No.
15-093845
On
November 19, 2015, the claimant was running across a grass covered
area to answer a fire alarm when he stepped in a hole, twisting and
injuring his left knee. He underwent an MRI which showed an oblique
tear of the medial meniscus. On January 13, 2016, Dr. Goodman
performed a left knee arthroscopy and debridement of the meniscal
tear. On April 4, 2016, Dr. Goodman performed a second left knee
arthroscopy and debridement of the meniscal tear after the claimant
was diagnosed with a recurrent medial meniscal tear with mechanical
symptoms. The claimant’s symptoms persisted and on January 11,
2017, Dr. Goodman opined that a total knee replacement was warranted
and stated that the meniscal pathology was work related, but the
arthritis was not. The employer/insurer denied additional treatment.
The claimant sought treatment with Dr. Mahnken who performed a left
total knee replacement on April 21, 2017.
The
claimant obtained a report from Dr. Hopkins who opined that the left
knee injury on November 19, 2015 was the direct and prevailing factor
in necessitating the left knee replacement. Dr. Stuckmeyer also
opined that the November 19, 2015 injury was the prevailing factor
requiring a left total knee replacement. The employer obtained a
report of Dr. Mall who opined that he did not believe the need for
total knee arthroplasty in any way flowed from the work accident but
was related to the degenerative process that had already started
prior to the work injury. Dr. Goodman opined that the claimant’s
arthritis was the prevailing factor and cause for the need of a left
total knee arthroscopy and the arthritis was not part of the work
injury.
The
ALJ opined that the left total knee replacement was necessitated by
the work injury and noted there was no medical evidence presented
that he had any prior injuries or conditions with the left knee which
would have led to his need for a total knee replacement. Therefore,
the employer was responsible PPD, TTD, and past and future medical
treatment. The Commission affirmed the Award of the ALJ.
Claim
Denied as Claimant’s Injuries Sustained in Motor Vehicle
Accident After Choking on Breakfast Sandwich Not Sustained in Course
and Scope of Employment
Booth
v. DISH Network Inc., Case No. SC98948 (S. Ct. 2021)
FACTS:
The claimant, an installer for DISH Network was injured in a single
car accident in a DISH van which he was driving on the way to his
first job of the day. He choked on a breakfast sandwich, blacked out,
and crashed into a pillar on the side of the highway. The claim was
denied by the employer. The case went to a hearing and an ALJ awarded
benefits concluding that the risk source was having to travel on a
rural highway on a strict timeline in a DISH van. The employer
appealed and the Commission reversed the decision of the ALJ finding
that the risk source was actually the claimant’s decision to
eat a breakfast sandwich while driving. The Commission found there
was no aspect of the claimant’s work that required him to eat
breakfast while driving and the employer prohibited him from doing
so. The claimant appealed and the Appellate Court disagreed and
concluded that the claimant’s injury occurred within the course
and scope of the employment. The employer then again appealed.
HOLDING:
The Supreme Court concluded that the claimant’s risk source
was eating while driving which created a risk of choking and led to
the accident resulting in injury. The Court noted that DISH did not
require him to eat breakfast after starting work for the day and as
the claimant acknowledged he could have had breakfast before he began
work. The claimant argued that aspects of his job such as the tight
schedule, limits on the ability to eat lunch, and driving on certain
roads played a role in the accident, but the Court found these
arguments unconvincing. The Court concluded that the claimant failed
to establish that his injury arose out of and in the course of
employment and therefore the Commission’s decision denying
benefits was affirmed.
Testimony of a Vocational Expert Relying on Hearsay Found
Admissible
Otwell
v. Treasurer of Missouri as Custodian of The Second Injury Fund,
Case No. ED109447 (Mo. App. 2021)
FACTS:
The claimant developed bilateral carpal tunnel syndrome and underwent
surgery in April of 2009. She filed a claim for PPD and settled with
the employer in February of 2010. In January of 2016 the claimant
amended her claim, seeking coverage under the Fund for PTD due to a
combination of her bilateral carpal tunnel syndrome in combination
with pre-existing disabilities of a prior shoulder injury,
incontinence, and psychiatric illness.
Mr.
Lalk, a vocational expert for the claimant, concluded that she was
unable to maintain employment in the open labor market and was PTD.
Mr. Lalk reviewed various records and reports including a 2012 report
prepared by Dr. Shuter who had performed an IME but who died before
testifying. The SIF attorney on cross asked whether Mr. Lalk relied
on Dr. Shuter’s report in reaching his conclusions and Mr. Lalk
stated he had. On this basis, the SIF objected to the admission of
Mr. Lalk’s testimony. The ALJ agreed and excluded the entirety
of the Mr. Lalk’s testimony and his report as inadmissible
hearsay. The claimant also introduced testimony from Dr. Volarich and
the ALJ ruled to exclude the portion of Dr. Volarich’s
testimony where he concurred with Mr. Lalk’s assessment that
the claimant was PTD due to a combination of the primary injury and
her psychiatric disability.
The
ALJ found in favor of the claimant and awarded her PPD against the
Fund. The ALJ denied the claimant’s claim for PTD finding no
substantial evidence that the claimant suffered from a significant
pre-existing psychiatric disability. The Commission affirmed and
adopted the ALJ’s Award of PPD with minor changes and found
that the claimant was not entitled to PTD against the Fund. The
claimant appealed.
HOLDING:
The claimant argued the Commission erred in excluding the entirety of
Mr. Lalk’s vocational expert testimony. The Court concluded the
Commission abused its discretion in excluding the entirety of Mr.
Lalk’s testimony. They noted that Missouri law does not
prohibit an expert from relying on hearsay when entering an opinion
and found that although Mr. Lalk said in cross-examination that he
relied on Dr. Shuter’s report, the Court rejected this response
as dispositive on the issue of reliance because the broad definition
of the term upon which the Fund’s counsel posed their question.
The Court noted that Mr. Lalk made limited reference to Dr. Shuter’s
report and referred to numerous other medical providers and therefore
they were persuaded that the Commission’s ruling to exclude the
testimony was against the logic of the circumstances and displayed a
lack of careful deliberate consideration. The Court reversed the
decision and directed the Commission to admit Mr. Lalk’s
testimony and reconsider the Award in light of the testimony.
Expert
Need Not Have Specialized Knowledge of Workers’ Compensation
Law to Qualify as Expert Witness
Laura
Williams, Jennifer Williams, Courtny Williams, and Kennedy Williams
v. Reed, LLC, Case No. SD36883 and SD36892 (Mo. App. 2021)
FACTS:
Jacob (claimant) was the sole member of the employer, an automotive
parts and repair shop. Jacob’s wife, Laura, kept Reeds’
books. Jacob was not on the payroll as an employee, and he reported
no wages but took a weekly draw of $600 or more by writing checks to
himself on the business checking account and used the account for
personal expenses. In 2015, Jacob was killed in a work-related
accident. Laura and Jacob’s then minor daughters from a prior
marriage, Courtny and Kennedy, filed claims for workers’
compensation benefits. Prior to the hearing before the ALJ, Courtny
turned 18.
The
ALJ admitted deposition testimony from the daughters’ expert,
an attorney with experience in family law but little or no training
or experience in workers’ compensation law or tax law. The
expert testified that when calculating child support, income would be
imputed when a parent owns a business, and their income is more
difficult to ascertain that that of a salaried employee. The expert
calculated Jacob’s earnings to be $62,100.13 for the year
immediately preceding Jacob’s death, or an average weekly wage
of $1,194.23.
The
employer offered testimony from a CPA who testified that the
company’s net profit reported on tax returns would be a proper
measure of earnings for the LLC’s sole member and testified
that the tax returns showed net profits of $13,127 in 2014 and
$13,337 in 2015. The ALJ credited the testimony of the daughters’
expert and found Jacob’s average weekly wage was $1,194.23
resulting in a weekly compensation rate of $796.15. The ALJ found
Courtny remained a dependent because she was enrolled at a community
college and compensation was to be apportioned equally between Laura,
Courtny, and Kennedy until one was no longer eligible.
The
employer challenged the admission of testimony from the daughters’
expert, the compensation rate, and Courtny’s dependency. The
Commission affirmed the ALJ’s average weekly wage calculation
but determined that Courtny’s dependency terminated on her 18th
birthday because she had enrolled in only three course credits for
the semester during which she turned 18, which was not a full-time
course load. The daughters appealed and the employer cross appealed.
HOLDING:
The Court found that the daughters’ expert did not need
specialized knowledge of workers’ compensation law to be
qualified as an expert witness. It noted that when §287.250.4
applies, as in this case, the standard wage formula does not apply
and what is relevant and helpful is testimony about methods and
considerations to calculate an employee’s wages fairly which is
what the daughters’ expert provided. The Court noted to the
extent that the employer argued the methods of the daughters’
expert were not as compelling as the employer’s expert the
Court must defer to the Commission’s determinations. The Court
concluded that the Commission did not abuse its discretion in
admitting and relying on testimony from the daughters’ expert
and that the Commission’s findings of fact as to Jacob’s
average wage was supported by the evidence.
Fund
Liable for Benefits as Priors Met Criteria for Fund Liability
Marberry
v. Treasurer of Missouri as Custodian of the Second Injury Fund,
Case No. ED109554 (Mo. App. 2021)
FACTS:
On September 24, 2015, the claimant fall backwards and hit his
buttocks and upper back and sustained a whiplash injury to his neck.
He was sent to Barnes Care and diagnosed with a contusion of his low
back and pelvis and an injury to his neck level.
With
respect to his preexisting condition, on July 19, 1999 sustained a
work related cervical injury. He was diagnosed with multiple disc
herniations and settled the claim with his employer for 20% PPD
referable to the cervical spine. On October 7, 2002 he again injured
his neck at work and had surgery. Then on December 19, 2014 he
sustained an injury to his right shoulder at work. The claimant
settled with his employer for 34.8% of the shoulder.
Dr.
Volarich assessed 10% PPD referable to the lumbar spine and 35% PPD
referable to the cervical spine as a result of the work injury. He
also assessed 35% of the shoulder as a result of the 2014 date of
injury and 20% referable to his pre-existing neck injuries. He
concluded that the claimant was PTD as a result of his primary injury
and the 2014 work injury in combination with each other as well as
his pre-existing medical condition. Mr. Lalk opined that he was not
able to work in the open labor market.
Dr.
Chabot examined the claimant at the request of the employer and found
he sustained thoracic, lumbar and cervical strain injuries as a
result of the primary injury but did not attribute any PPD as a
result of the primary injury and instead believed his complaints and
PPD were associated with his 2002 neck injury and surgery.
The
claimant settled his primary claim with the employer for 13.4%
referable to the cervical spine and went to a hearing against the
SIF. The ALJ found the claimant’s right shoulder could not be
considered in determining Fund liability because his right shoulder
had not reached MMI before the primary injury. The ALJ also found
that the claimant’s low back injury could not be considered in
determining Fund liability because it did not meet the 50-week PPD
threshold. The ALJ concluded that the claimant’s evidence did
not meet §287.220.3 and only demonstrated he was PTD from all
his injuries, not just his primary injury and single qualifying
pre-existing disability. The Commission affirmed the ALJ’s
decision. The claimant appealed.
HOLDING: The claimant argued the Commission erred in
determining his right shoulder injury and resulting disability could
not be considered for Fund liability. He also argued that the
Commission erred by mischaracterizing his low back injury as a prior
injury. The Court found that the Commission erred by excluding the
claimant’s right shoulder disability from consideration as, per
Parker, the statute does not require the claimant to know his
injury equals at least 50-weeks PPD before sustaining his primary
injury. The Court noted that the claimant settled with his employer
for 34.8% PPD which is more than 80-weeks PPD and that the Fund did
not present any other evidence to dispute the disability rating, and
therefore the right shoulder injury was a qualifying pre-existing
disability under §287.
With
respect to his low back, the Court noted that the Commission errored
in prohibiting consideration of the low back disability because it
did not satisfy the 50-week PPD threshold. The Court noted this
applies only to pre-existing disabilities, not disabilities resulting
from the primary injury, and the undisputed evidence in the record
established that the claimant’s low back disability was a
direct result of the primary injury. The Court also found that the
claimant was entitled to PTD benefits from the Fund when considering
the primary injury and his pre-existing conditions. The Commission’s
Award was reversed.
E
Commission’s Decision Reversed After Substituting Own
Opinion In Lieu of Qualified Medical Expert’s Opinion
Lynch
v. Treasurer of the state of Missouri, Custodian of the Second Injury
Fund, Case No. ED109502 (Mo. App. 2021)
FACTS:
The claimant worked for the employer as a brewery worker from
1974 until 2009 performing physically demanding and repetitive tasks.
His primary injury was carpal tunnel syndrome for which he underwent
releases in 2011. He settled with the employer for 20% PPD of each
wrist with a 10% loading factor. He continued with his claim of PTD
against the Fund, alleging he was disabled as a result of a
combination of his carpal tunnel syndrome and pre-existing
conditions/injuries which included:
neck and low back injury from a boating accident in 1990
two work related injuries to his low back which he settled
total hip replacements in 2003
osteoarthritis in both knees
injury to the left shoulder requiring surgery
injury to the right shoulder which required surgery
right shoulder surgery immediately after his 2009 retirement
neck and back complaints shortly after his retirement in 2009
The
claimant was evaluated by Dr. Woiteshek who found him PTD as a result
of his pre-existing disabilities combined with his primary work
injury. The claimant’s vocational expert, Mr. Cordray, found
that his physical limitations precluded all jobs in the competitive
labor market. The Fund did not submit any evidence. The ALJ issued an
Award in favor of the Fund. The claimant appealed.
The
Commission made no credibility findings regarding the testimony of
the claimant or Dr. Woiteshek and neither was impeached. The
Commission explicitly found Mr. Cordray’s opinion neither
credible nor persuasive as Mr. Cordray stated he did not consider the
claimant’s subjective complaints yet his report included a list
of such complaints. The Commission found that the claimant’s
primary injury did not contribute to his overall PTD but rather the
claimant retired or removed himself from the open labor market
because of his pre-existing disabilities. The Commission affirmed the
Award of the ALJ. The claimant appealed.
HOLDING:
The claimant contended that the Commission ignored the only
expert medical opinion in the record and substituted its own personal
opinion regarding the cause of the claimant’s PTD. The Court
agreed with the claimant. The Court noted that the Commission did not
find that the claimant was not credible nor was the claimant
impeached but the Commission simply relied on the claimant’s
lack of treatment for a specific diagnosis of carpal tunnel syndrome
before he retired. At the same time the Commission ignored other
portions of claimant’s testimony where he stated he had issues
and problems with his hands and wrists but did not know he had carpal
tunnel syndrome until he was diagnosed. The Commission also ignored
the qualified medical opinion of Dr. Woiteshek entirely despite the
fact that he was neither impeached nor found not credible. The Court
therefore found that the Commission disregarded and ignored competent
substantial and undisputed evidence and instead relied on an excerpt
from Mr. Cordray’s report quoting Dr. Rotman, the employer’s
expert, as saying the claimant took early retirement for health
issues mainly related to his heart, when Dr. Rotman’s report
was not in evidence and not contained in the record. The Court found
that the Commission’s decision was not supported by sufficient
competent evidence and was against the overwhelming weight of the
evidence. The Commission’s decision was reversed.
Fund
Not Responsible for PTD Benefits as No Evidence That All Claimant’s
Pre-existing Disabilities Met Threshold for Fund Liability
Clinkenbeard
v. Department of Corrections & Central Accident Reporting Office
& Treasurer of Missouri as Custodian of Second Injury Fund,
Case. No. SD36942 (Mo. App. 2021)
On
October 28, 2014 the claimant, a correctional officer sustained an
injury to his elbow and shoulder. He received authorized care and Dr.
Hicks performed a left shoulder arthroscopy.
The claimant did have a variety of preexisting conditions including a
right shoulder fracture, bilateral work-related knee surgeries,
bilateral hip pain, back pain, sleep apnea, a left wrist surgery,
GERD/acid reflux, diabetes, restless leg syndrome, cataracts and
deafness. Dr. Volarich and Mr. Eldred testified that the claimant was
PTD as a result of the last injury along with his preexisting
conditions. The ALJ found that the Fund was responsible for PTD
benefits. The Fund appealed arguing that all the claimant’s
preexisting conditions did not meet Fund liability pursuant to
§287.220.3.
The
Commission noted that Dr. Volarich and Mr. Eldred both concluded that
the claimant was PTD based on all the claimant’s
preexisting conditions and his primary injury. Since all the
pre-existing conditions did not meet the criteria for Fund liability
the Commission concluded that the Fund was not liable for benefits.
HOLDING:
The claimant argued that because one of his pre-existing
disabilities, a prior shoulder fracture qualified under §287.220.3
then all of his pre-existing disabilities must be considered in
determining the Fund is liable to pay him PTD benefits. The Court
disagreed and noted that that argument was inconsistent with the
Supreme Court’s decision in Parker. The claimant also
argued that the Commission erred when it denied his request to remand
the case back to the ALJ. The Court noted that the Commission may
remand any decision of an ALJ for more complete Finding of Fact but
it does not require that the Commission remand a case as a matter of
law. Therefore, the Commission did not abuse its discretion not to
remand the matter to the ALJ. Therefore, the Commission’s
decision was affirmed.
Co-employee
Immune from Liability for Claimant’s Injury Absent Intention to
Cause or Increase Risk of Injury to Claimant
Brock
v. Dunne as Defendant Ad Litem for Mark Edwards, Case No.
SC97542 (S. Ct. 2021)
FACTS:
The claimant worked at JMC Manufacturing on its lamination line with
Edwards, a supervisor. JMC used a laminating machine with rollers
that propelled sheets of particle board through the machine. A safety
guard rested over the bottom pair of rollers and guarded the pinch
point created where the bottom rollers met each other. The guard
could be removed from its position while the machine was running to
provide access to the bottom rollers. On April 30, 2013, Edwards
instructed the claimant to clean the glue off the rollers. Despite
his awareness of JMC safety rules and the machine’s warnings,
Edwards removed the safety guard while the machine was still running.
The claimant then squeezed water from a wet rag onto the rollers and
the rag got caught and pulled the claimant’s thumb into the
pinch point, crushing it. The claimant underwent three surgeries to
repair his thumb but continued to have various restrictions due to
the injury. He applied for Workers’ Compensation benefits and
also filed a petition asserting product liability and negligence
against the machine’s manufacturer and a negligence claim
against Edwards. Edwards died before the trial and Dunne was
substituted as Defendant Ad Litem.
Dunne
filed a Motion for Directed Verdict which was overruled, and the jury
returned a $1.05 million verdict in the claimant’s favor. Dunne
then filed a Motion for Judgement Notwithstanding the Verdict “JNOV”
arguing that the claimant failed to make a submissible case of common
law negligence and Edwards was immune from liability under workers’
compensation. This was also overruled. Dunne appealed.
HOLDING:
The Court noted that the relevant portion of the statute
governing work place injuries and immunity for co-employees states
that “any employee of such employer should not be liable for
any injury…and…shall be released from all other
liability whatsoever…except that an employee shall not be
released from liability from injury or death if the employee engaged
in an affirmative negligent act that purposefully and dangerously
caused or increased the risk of injury.” The Court noted that
Dunne would therefore be immune from liability for claimant’s
injury unless the exception to the immunity statute applied.
The
claimant argued that a factfinder could infer Edwards acted with
purpose to increase risk of injury to the claimant simply from the
fact that Edwards intentionally removed the safety guard knowing
JMC’s safety rules and that the machine’s manufacturer
prohibited and warned against removing the guard during operation.
The Court opined that this required improper speculation and was not
reasonable and concluded there was not sufficient evidence to make a
reasonable inference that Edwards lifted the safety gate with the
intention and purpose to increase the risk of injury to the claimant.
The Court noted that while the injuries suffered were tragic, they
were not the deliberate and deviant actions of a co-worker who sought
to cause or increase the risk of injury to a co-employee. The Court
noted that while evidence would support a finding that Edwards acted
outside the safety rules, this merely demonstrated he acted
negligently and not that he intended to cause or increase the risk of
any injury to Claimant or others. The Court concluded that Dunne was
therefore legally entitled to immunity under the statute and so the
Circuit Court erred in overruling Dunne’s Motions for Directed
Verdict and JNOV.
The
Court also found that Claimant failed to make a submissible case of
common law negligence which requires the plaintiff to demonstrate a
claim of negligence and that the defendant co-employee breached a
duty separate and apart from the employer’s foreseeable duty to
provide a safe workplace. The Court noted that Edwards lifting the
safety guard fell within the employer’s nondelegable duty to
provide a safe workplace and therefore any alleged negligence on the
part of Edwards in lifting the safety guard could not form the basis
of common law liability. The Circuit Court’s judgement was
reversed.
ALJ Has Authority Reopen a Record After a Hearing Before Final
Award
Weibrecht
v. Treasurer of Missouri as Custodian of Second Injury Fund,
Case No. ED109591 (Mo. App. 2021)
FACTS:
The claimant sustained an injury to his low back on July 19, 2016. He
had previous injuries to his low back in 2005 and 2009 as well as an
injury to his right shoulder in 2014. He settled his claim against
the employer and in December of 2017 he filed a claim against the
Fund for PTD benefits or in the alternative PPD benefits. He asserted
in his Claim that the Fund was liable under §287.220.2. This was
due to the fact that per Gattenby all of his injuries, both
priors and the primary had to have occurred after 2014 in order for
§287.220.3 to apply which limits the Fund’s liability. A
hearing was held on May 29, 2019 and the record was closed and
proposed Awards were to be filed in 30 days.
Before the ALJ issued her Award, on June 25, 2019 The Supreme Court
handed down Cosby which abrogated Gattenby with respect
to what “injury” had to take place after January 1, 2014
in order for §287.220.3 to apply. The claimant filed a motion to
reopen the record for a supplemental hearing asserting that Cosby
changed the law and that since some of his injuries occurred after
January 1, 2014 his claim was governed by §287.220.3. He alleged
that he had only prepared evidence for a hearing that related to
Gattenby. The Fund agreed that the ALJ has that authority but
noted that reopening the record was not appropriate due to the facts
of the case. The ALJ denied the claimant’s motions to reopen
the record. The ALJ issued an Award in August of 2019 denying
compensation. The claimant appealed and the Commission affirmed and
adopted the ALJ’s final Award with supplemental opinion.
HOLDING:
The claimant appealed and argued that the ALJ erred when it denied
post-hearing motions on the ground that she had no statutory
authority to reopen the record and the Commission erred in affirming
these rulings for the same reason. The Court agreed and required
remand to allow the ALJ to rule on the merits of the claimant’s
request.
The
Court found that the power to reopen a closed record after hearing
and take additional evidence at a subsequent hearing before the ALJ
has entered an Award is not conferred by statute however the
regulations implicitly authorize the ALJ to do so. The Court
concluded that the ALJ had the authority to grant the claimant’s
request and therefore the Commission acted beyond its powers when it
affirmed the denial of those requests on the ground that the ALJ
lacked authority to do so.
The
claimant argued that Gattenby was the controlling law at the
time under which §287.220.2 applied to his claims and §287.220.3
evidence was irrelevant. He noted that when Cosby abrogated
Gattenby that provided “good cause” for him to
request the record be reopened. The Court agreed. However, the Court
noted that there must be a decision as to whether the particular
evidence offered by the claimant actually pertains to the
requirements of §287.220.3 and whether that evidence is
necessary for a full and complete record. Therefore, the case was
remanded to the Commission with directions to remand the case to the
ALJ to determine whether the evidence offered by the claimant in his
post-hearing motion was relevant and necessary and if so the ALJ was
to make a more complete Finding of Facts based on that evidence.