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AVIS BUDGET CAR RENTAL, LLC, Plaintiff, – against – JD2 ENVIRONMENTAL, INC., GEMSTAR CONSTRUCTION CORPORATION, and GEOTRACK, INC., Defendants. JD2 ENVIRONMENTAL, INC., Third-Party Plaintiff, – against – PORT AUTHORITY OF NEW YORK AND NEW JERSEY and GEOTRACK, INC., Third-Party Defendants. GEMSTAR CONSTRUCTION CORPORATION, Third-Party Plaintiff, – against – PORT AUTHORITY OF NEW YORK AND NEW JERSEY and GEOTRACK, INC.

AVIS BUDGET CAR RENTAL, LLC, Plaintiff, – against – JD2 ENVIRONMENTAL, INC., GEMSTAR CONSTRUCTION CORPORATION, and GEOTRACK, INC., Defendants.  JD2 ENVIRONMENTAL, INC., Third-Party Plaintiff, – against – PORT AUTHORITY OF NEW YORK AND NEW JERSEY and GEOTRACK, INC., Third-Party Defendants. GEMSTAR CONSTRUCTION CORPORATION, Third-Party Plaintiff, – against – PORT AUTHORITY OF NEW YORK AND NEW JERSEY and GEOTRACK, INC., Third-Party Defendants.

 

Case No. 12-cv-5010 (PKC)

 

UNITED STATES DISTRICT COURT FOR THE EASTERN DISTRICT OF NEW YORK

 

2017 U.S. Dist. LEXIS 128381

 

 

August 11, 2017, Decided

August 11, 2017, Filed

 

 

 

OPINION

 

Order re: Motions in Limine

PAMELA K. CHEN, United States District Judge:

In 2011, Plaintiff Avis Budget Car Rental, LLC (“Avis”) hired JD2 Environmental, Inc. (“JD2”) to install an underground storage tank on property leased by Avis at the John F. Kennedy International Airport (“JFK”). During excavation, a subcontractor for JD2, Gemstar Construction Company (“Gemstar”), struck and damaged an underground sewage line running through the Avis property, causing complaints about a sewage backup from other JFK tenants. After paying the costs to repair and remediate the sewage line, Avis filed this action to recover those costs from JD2 and Gemstar based on various theories of negligence, breach of contract, and indemnification. (Dkt. 1.) After responding to Avis’s complaint, Gemstar and JD2 each served a third-party complaint on the Port Authority of New York and New Jersey (“Port Authority”) and Geotrack, Inc. (“Geotrack”), a company that had been hired by the Port Authority to identify and “mark out” certain underground utilities at JFK. (Dkts. 12, 23.) According to JD2 and Gemstar, either the Port Authority or Geotrack–or both–are responsible for any damages that Avis incurred [*4]  as a result of the sewage line rupture because those parties failed to accurately identify and mark out the underground sewage line before Gemstar began excavation. (Dkt. 12 ¶¶ 20-27; Dkt. 23 ¶¶ 41-58.)1 Geotrack, which filed for bankruptcy in 2012, has not appeared in this action, resulting in entries of default against Geotrack in favor of Avis, JD2, and Gemstar.2

 

1   After JD2 and Gemstar named Geotrack as a third-party defendant, Avis amended its complaint to add Geotrack as a Defendant. (Dkt. 41.) Avis does not assert claims against the Port Authority.

2   The Court has determined that judgment will not be entered against Geotrack until after liability is determined and fault, if any, is apportioned at trial. See Lite-Up Corp. v. Sony Music Entertainment, Inc., 1999 U.S. Dist. LEXIS 9402, 1999 WL 436563, at *2-3 (S.D.N.Y. June 24, 1999) (citing Frow v. De La Vega, 82 U.S. 552, 554, 21 L. Ed. 60 (1872)).

By order dated March 28, 2016, the Court ruled on motions for summary judgment by Avis and JD2, and on a motion to dismiss by the Port Authority. (Dkt. 119; see also Dkt. 126 (Am. Order (“SJ Order”)).)3 Although narrowing the scope of triable issues, that order did not dispose of all claims against any party, and trial in this matter is scheduled to begin on August 14, 2017.

 

3   The Court also denied as moot motions for summary judgment by JD2 and Gemstar against the Port Authority for the reasons stated in that order. (SJ Order, Dkt. 126, at 38 n.38.)

Before the Court are “motions in limine” by JD2 and Gemstar seeking a finding that the Port Authority is vicariously liable for the alleged negligence of Geotrack in failing to identify and accurately mark out the sewage pipe that Gemstar struck during excavation. As Avis rightly points out in its opposition brief, these motions, although styled as “motions in limine,” are in effect motions for summary judgment, filed long after the deadline for such [*5]  motions, without complying with the ordinary procedures for summary judgment practice. (Avis Opp’n, Dkt. 182, at 1.) Lest there be any doubt, the Court does not condone JD2’s decision, revealed for the first time in the parties’ joint pre-trial order (Dkt. 158 at 41), to seek a ruling on this central issue so close to the start of trial. Nonetheless, in the interest of clarifying the triable issues before evidence is presented to a jury, the Court is issuing this ruling on JD2’s and Gemstar’s motions.

For the reasons stated below, the Court holds that New York General Business Law § 763 imposes a nondelegable duty on utility operators–here, the Port Authority–to accurately and with due care designate the location of their underground facilities upon receipt of a notification effective under the one-call notification system established in Article 36 of the New York General Business Law, N.Y. Gen. Bus. Law §§ 760-67. Accordingly, to the extent the Port Authority’s contractor, Geotrack, failed to discharge the Port Authority’s mark-out duty under § 763, the Port Authority is vicariously liable, as a matter of law, for any damages that proximately resulted from that failure. The Court declines to hold, as a matter of law, that Geotrack’s performance of [*6]  the underground utility mark-out in this case was an “inherently dangerous activity”; thus, to the extent that JD2 and Gemstar intend to pursue that theory of vicarious liability against the Port Authority, they must establish the requisite facts at trial. JD2 and Gemstar will also be permitted to pursue vicarious liability against the Port Authority on the basis of the Port Authority’s negligent selection, instruction, or supervision of Geotrack and based on a theory of agency or employment as between the Port Authority and Geotrack.

Finally, in light of these holdings and discussions with counsel in the final pre-trial conference, the Court hereby imposes certain restrictions on the presentation of evidence concerning the Port Authority’s vicarious liability in this action. Counsel are permitted to present evidence and argument concerning the Port Authority’s alleged negligence in selecting, instructing, and supervising Geotrack in connection with the project at issue in this action; however, the evidence regarding selection will be subject to certain limitations as discussed herein. Counsel are also permitted to present evidence and argument concerning whether Geotrack acted as the [*7]  Port Authority’s agent or employee in connection with the project at issue in this action. Importantly, however, counsel are not permitted to inform the jury of the Court’s ruling of vicarious liability under New York General Business Law § 763, nor may they argue to the jury that the Port Authority was prohibited from delegating its duties to Geotrack because of the requirements of § 763. With respect to the information and evidence that is excluded by this order, the Court finds, under Federal Rule of Evidence 403, that the potential for prejudice and confusion substantially outweighs any probative value of such evidence and argument to the jury’s determination of the facts and liability in this action.

 

BACKGROUND4

 

4   The Court assumes the parties’ familiarity with the factual background and procedural history of this case. A more detailed summary is set forth in the Court’s summary judgment order. (Dkt. 126.)

Starting in or around 2008, Avis began to consider the installation of an underground storage tank (the “Project”) on property that Avis leased at JFK Airport, which is owned by the City of New York and operated by the Port Authority. (Avis 56.1, Dkt. 98-1, ¶ 1; Port Authority Answer to Third-Party Compl., Dkt. 135, ¶ 8.)5 Avis hired Defendant JD2, an engineering consulting firm, to provide design and oversight services for the Project. (Pre-trial Order, Dkt. 158, at 38; Dkt. 98-23 (Services Agreement) at 3.) JD2 in turn hired a subcontractor, Gemstar, to perform [*8]  the excavation work on the Project. (Pre-trial Order, Dkt. 158, at 38 ¶ 5.)

 

5   The Port Authority exercises broad authority over the operation of JFK Airport: It has “all the power and authority to purchase, construct, lease and/or operate terminal transportation and other facilities of commerce includ[ing] the facility it operates at John F. Kennedy International Airport, City of New York, County of Queens, State of New York, and to make charges for the use thereof; and for any such purposes to hold, lease and/or operate real or personal property in connection therewith.” (Port Authority 56.1 Stmt., Dkt. 106, ¶ 103.)

On November 28, 2011, Gemstar gave notice of the upcoming excavation to Dig Safely New York (“Dig Safely”), a not-for-profit company that administers a “one-call notification system” for excavation and demolition projects in the State of New York.6 By statute, Dig Safely was required to transmit the information in Gemstar’s excavation notice to “every member [of the one-call notification system] that operates an underground facility in the area of the proposed activity.” N.Y. Gen. Bus. Law § 761. In keeping with that obligation, Dig Safely transmitted Gemstar’s excavation notice to the Port Authority, as the operator of an unspecified utility located in the vicinity of Gemstar’s upcoming excavation. (Port Authority 56.1 Stmt., Dkt. 106 ¶ 138; Dkt. 107-15.) According to the Port Authority, it then had “three days to mark out the utilities” on the site in question. (Danko Dep., Dkt. 107-7, at 44:16-24.)7 In this instance, the Port Authority contracted that responsibility to Geotrack, Inc., an independent contractor that the Port Authority had chosen for such work through a competitive request-for-proposal process. (Port Authority Opp’n, [*9]  Dkt. 181, at 5.)

 

6   The requirements and specifications of a one-call notification system are set forth in Article 36 of the New York General Business Law, N.Y. Gen. Bus. Law §§ 760-67, and implementing regulations promulgated by the Public Service Commission, 22 N.Y.C.R.R. Part 753. Broadly, a “one-call notification system” is “an organization among whose purposes is establishing and carrying out procedures and programs to protect underground facilities from damage due to excavation and demolition including, but not limited to, receiving notices of intent to perform excavation and demolition, and transmitting the notices to one or more of its member operators of underground facilities in the specified area.” N.Y. Gen. Bus. Law § 760(8).

7   (See also Port Authority 56.1 Stmt., Dkt. 106, ¶ 107 (explaining that, “[b]ased on the information provided by a contractor on the One Call notification, utility operators get notified that construction will take place close to the utilities that they operate, which give[s] the operators a chance to mark out their utilities”).)

On December 15 and 16, 2011, during excavation on the Project, Gemstar struck and damaged an underground sewage line running through the Avis-leased property, causing complaints about a sewage backup from other JFK tenants. (Pre-trial Order, Dkt. 158, at 38 ¶¶ 15-25; SJ Order, Dkt. 126, at 6-7.) According to JD2 and Gemstar, the Port Authority and Geotrack are responsible for any damages flowing from the sewage line rupture because those parties failed to accurately identify and mark out the sewage line before Gemstar began excavation. (Dkt. 12 ¶¶ 20-27; Dkt. 23 ¶¶ 41-58.) Avis and the Port Authority give a contrary explanation for the sewage line damage, pinning the blame in part on negligence by JD2 and Gemstar. (See SJ Order, Dkt. 126, at 7-39.) As the Court explained in its summary judgment order, there are genuine issues of material fact that preclude the Court from resolving the parties’ disputes over liability. (See SJ Order, Dkt. 126.) Those genuine issues of fact will be resolved by a jury in the upcoming trial.

In advance of trial, however, JD2 and Gemstar have moved for a finding that the Port Authority is vicariously liable for the alleged negligence [*10]  of Geotrack in failing to identify and accurately mark out the sewage pipe that Gemstar struck during excavation. As Avis rightly points out in its opposition brief, these motions, although styled as “motions in limine,” are in effect motions for partial summary judgment. (Avis Opp’n, Dkt. 182, at 1.)

 

LEGAL STANDARD

Summary judgment is proper where, construing the evidence in the light most favorable to the non-movant, “there is no genuine dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a); see also Redd v. N.Y. Div. of Parole, 678 F.3d 166, 173-74 (2d Cir. 2012). In determining whether there are genuine disputes of material fact, the court must “resolve all ambiguities and draw all permissible factual inferences in favor of the party against whom summary judgment is sought.” Terry v. Ashcroft, 336 F.3d 128, 137 (2d Cir. 2003) (quotation omitted). “Summary judgment is appropriate only ‘[w]here the record taken as a whole could not lead a rational trier of fact to find for the non-moving party.'” Donnelly v. Greenburgh Cent. Sch. Dist. No. 7, 691 F.3d 134, 141 (2d Cir. 2012) (quoting Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 587, 106 S. Ct. 1348, 89 L. Ed. 2d 538 (1986)).

 

DISCUSSION

“The general rule” in New York is that “a party who retains an independent contractor, as distinguished from a mere employee or servant, is not liable for the independent contractor’s negligent acts.” Kleeman v. Rheingold, 81 N.Y.2d 270, 273, 614 N.E.2d 712, 598 N.Y.S.2d 149 (1993); see also Brothers v. New York State Elec. & Gas Corp., 11 N.Y.3d 251, 257-58, 898 N.E.2d 539, 869 N.Y.S.2d 356 (2008). New York courts have also recognized [*11]  numerous exceptions to the general rule, however, “most of which are derived from various public policy concerns.” Kleeman, 81 N.Y.2d at 274. “These exceptions . . . fall roughly into three basic categories: negligence of the employer in selecting, instructing, or supervising the contractor; employment for work that is especially or ‘inherently’ dangerous; and, finally, instances in which the employer is under a specific nondelegable duty.” Kleeman, 81 N.Y.2d at 274 (internal citations omitted). And, of course, a party may also be held liable for the negligence of a contractor under the doctrine of respondeat superior, if, due to the “degree of control exercised by the purported employer,” the contractor is deemed to be the party’s employee. McCann v. Varrick Grp., LLC, 84 A.D.3d 591, 591, 923 N.Y.S.2d 471 (N.Y. App. Div. 2011) (quoting Bynog v. Cipriani Grp., Inc., 1 N.Y.3d 193, 198, 802 N.E.2d 1090, 770 N.Y.S.2d 692 (2003)).

In their motions in limine, JD2 and Gemstar argue that every one of these exceptions applies to the Port Authority in this case. The Court addresses each exception in turn.

 

  1. Negligent Selection, Instruction, and Supervision

A party may be liable for the negligence of an independent contractor when the party itself was negligent in the selection, instruction, or supervision of the contractor. See Kleeman, 81 N.Y.2d at 273. As the New York Court of Appeals has observed, “this category may not be a true exception [*12]  to the general rule [against vicarious liability], since it concerns the employer’s liability for its own acts or omissions rather than its vicarious liability for the acts and omissions of the contractor.” Id. at 273 n.1. To establish that the Port Authority was negligent in its selection, instruction, or supervision of Geotrack, JD2 and Gemstar would need to establish each of the elements of negligence, including breach and proximate cause, for the particular theory of negligence they are pursuing. See Ehrens v. Lutheran Church, 385 F.3d 232, 235 (2d Cir. 2004). Having reviewed the parties’ submissions, the Court easily finds that genuine issues of material fact exist as to whether the Port Authority was negligent in its hiring, instructing, and supervising Geotrack. (See Gemstar Br., Dkt. 171, at 7; Port Authority Opp’n, Dkt. 181, at 4-6; Avis Opp’n, Dkt. 182 at 12-16.) Should JD2 and Gemstar wish to pursue this theory of liability against the Port Authority, they will need to present it to the jury.

With regard to the Port Authority’s alleged negligent selection of Geotrack, as the Court previously ruled at the final pre-trial conference, no post-incident evidence regarding Geotrack’s deficient performance or the Port Authority’s knowledge thereof may [*13]  be elicited or introduced at trial. Furthermore, any pre-incident evidence regarding Geotrack’s deficient performance before it was selected by the Port Authority for the Project is limited to the Port Authority’s knowledge of such deficient performance, and, if any Port Authority witness denies such knowledge, JD2 and Gemstar will not be permitted to introduce evidence to establish the deficient performance.8

 

8   To the extent the Court orally ruled at the final pre-trial conference that no evidence of Geotrack’s pre-incident deficient performance would be admitted, this Order supersedes that oral ruling.

 

  1. Inherently Dangerous Activity

New York “has long recognized” that a party is vicariously liable for the negligence of an independent contractor where “the activity involved is ‘dangerous in spite of all reasonable care.'” Chainani v. Bd. of Educ. of N.Y.C., 87 N.Y.2d 370, 381, 663 N.E.2d 283, 639 N.Y.S.2d 971 (1995) (quoting Prosser & Keeton, Torts § 71 (5th ed. 1984)). “This exception applies when it appears both that ‘the work involves a risk of harm inherent in the nature of the work itself [and] that the employer recognizes, or should recognize, that risk in advance of the contract.'” Id. (quoting Rosenberg v. Equitable Life Assurance Soc., 79 N.Y.2d 663, 669, 595 N.E.2d 840, 584 N.Y.S.2d 765 (1992)).9 In some cases, the question whether work is “inherently dangerous” can be decided by a court as a matter of law. See, e.g., Klein v. Beta I LLC, 10 A.D.3d 509, 509, 782 N.Y.S.2d 54 (2004); Rosenberg, 79 N.Y.2d at 670. In most cases, however, “[w]hether the work is inherently dangerous is . . . a question of fact to be determined by the jury.” Rosenberg, 79 N.Y.2d at 670.

 

9   See also Rosenberg, 79 N.Y.2d at 669 (“[B]efore the exception applies, it must appear not only that the work involves a risk of harm inherent in the nature of the work itself, but also that the employer recognizes, or should recognize, that risk in advance of the contract.”).

The Court takes guidance [*14]  from New York cases finding various kinds of activities “inherently dangerous” or not “inherently dangerous,” with several decisions standing out as particularly relevant. In Rosenberg v. Equitable Life Assurance Society, the Court of Appeals stated:

 

[In their treatise,] Prosser and Keeton illustrate the [inherently dangerous activity] exception with two illustrations. First, they consider the employment of a trucker to haul goods. If the trucker drives at excessive speed, he presents a danger to others, but the danger is not one that is inherent in the nature of the contract work and there is no vicarious liability on the part of the employer for the trucker’s negligence. If an owner hires an independent contractor to excavate an area next to a thoroughfare, however, the work obviously presents inherent dangers to those who must use the thoroughfare.

 

 

79 N.Y.2d 663, 669, 595 N.E.2d 840, 584 N.Y.S.2d 765 (1992) (citing Prosser & Keeton, Torts § 71 (5th ed. 1984)).

Other decisions by New York courts demonstrate that the “inherent danger” of an activity depends both on the nature of the activity and the setting in which the activity is performed. Compare, e.g., Steel v. City of N.Y., 271 A.D.2d 435, 435-36, 705 N.Y.S.2d 641 (N.Y. App. Div. 2000) (holding that a cable company’s “laying of underground cable” under a street in Queens, [*15]  New York, “is not ‘inherently dangerous’ work”), Marvin Briggs, Inc. v. N.Y. Pub. Library, 260 A.D. 218, 220, 20 N.Y.S.2d 977 (N.Y. App. Div. 1940) (holding that “the removal of a heavy boiler, through the instrumentality of [a] crane, from [a] truck to [a New York City] sidewalk . . . was not inherently dangerous”), and Rodriguez v. C.F. Lex Assocs., 235 A.D.2d 354, 354, 658 N.Y.S.2d 256 (N.Y. App. Div. 1997) (holding that, absent unusual circumstances, “[w]ashing a sidewalk . . . is not inherently dangerous work such as might render a building owner liable for the negligence of an independent contractor”), with Tytell v. Battery Beer Distrib., Inc., 202 A.D.2d 226, 226-27, 608 N.Y.S.2d 225 (N.Y. App. Div. 1994) (holding that “[t]he construction of a sidewalk bridge [in the Bronx] extending over an area frequented by pedestrians” was an inherently dangerous activity), Wright v. Tudor City Twelfth Unit, 276 N.Y. 303, 307-08, 12 N.E.2d 307 (1938) (finding genuine issues of fact as to whether “placing mats on [the] sidewalk[] [on 42nd Street in midtown Manhattan] and cleaning them with soap and water” was an inherently dangerous activity), Christie v. Ranieri & Sons, 194 A.D.2d 453, 454-55, 599 N.Y.S.2d 271 (N.Y. App. Div. 1993) (finding genuine issues of fact as to whether “the demolition and removal of two existing garages” on a residential property in the Bronx was inherently dangerous activity), and Hanley v. Cent. Sav. Bank, 255 A.D. 542, 543, 8 N.Y.S.2d 371 (N.Y. App. Div. 1938) (observing that “[d]emolition of a building in a crowded section of a City should be considered as inherently dangerous”).

Here, JD2 argues that “marking out underground facilities (potentially fuel lines, electrical cables/conduits, etc.) at the construction [*16]  site of a fuel pump station at an airport . . . involve[s] danger, not just to the person performing the mark out, but to the general public as a whole.” (JD2 Br., Dkt. 174, at ECF 11.)10 According to JD2, “[t]he dangers are numerous: gasoline, excavation, electricity, propane, and other utilities, in close proximity to the Van Wyck Expressway and at an airport frequented by untold thousands of people per day, every day . . . .” (Id.) Similarly, Gemstar argues that “Geotrack was engaging in an inherently dangerous activity when it performed the mark-out because of the risk of injury involved.” (Gemstar Br., Dkt. 171, at 6.)

 

10   Citations to “ECF” refer to the pagination applied by the Court’s CM/ECF system.

The Court holds that JD2 and Gemstar have failed to establish, as a matter of law, that Geotrack’s work on the Project was “inherently dangerous.” The Court finds that additional facts, which are not clearly established in the record, could influence a factfinder’s assessment of the “inherent danger” of Geotrack’s duties on the Project. For example, the record does not establish the proximity of the excavation site to a public road or an airport terminal, or otherwise indicate the number or type of people who may have been in the vicinity of the site during excavation. The record [*17]  also does not establish whether, at the time the Port Authority delegated its mark-out duties to Geotrack, the Port Authority knew what types of utilities Geotrack may have been responsible for marking out. If the facts at trial show, for example, that Geotrack was expected to mark out the location of only a single sewage line–and not, for example, a high-voltage electrical line or a gas line, as JD2 and Gemstar posit in their hypothetical parade of horribles (Gemstar Reply Br., Dkt. 189, at 8; JD2 Br., Dkt. 174, at ECF 11)–then the danger inherent in Geotrack’s duties would be less severe than Gemstar and JD2 make it out to be. Other facts presented at trial may similarly affect the fact-intensive inquiry of whether Geotrack was engaged in an “inherently dangerous” activity in the particular circumstances of this case. Accordingly, the Court declines to find the Port Authority vicariously liable, as a matter of law, for Geotrack’s negligent acts based on the allegedly “inherent danger” of Geotrack’s activities. That “question of fact [must] be determined by the jury.” Rosenberg, 79 N.Y.2d at 670.

 

III. Nondelegable Duty Imposed by Statute

New York courts, including the Court of Appeals, “ha[ve] repeatedly held that [*18]  statutes and regulations that address specific types of safety hazards create nondelegable duties of care.” USAA Cas. Ins. Co. v. Permanent Mission of Rep. of Namibia, 681 F.3d 103, 110 (2d Cir. 2012) (citing Ross v. Curtis-Palmer Hydro-Elec. Co., 81 N.Y.2d 494, 499-500, 618 N.E.2d 82, 601 N.Y.S.2d 49 (1993) (holding that New York Labor Law § 240(1) imposes a nondelegable duty on property owners and contractors)).11 A statute or regulation “generally create[s] a nondelegable duty where it contains a ‘specific positive command,’ but not where it merely incorporates ‘the ordinary tort duty of care,’ using terms like ‘adequate,’ ‘effective,’ or ‘suitable.'” Id. (quoting Morris v. Pavarini Constr., 9 N.Y.3d 47, 50, 874 N.E.2d 723, 842 N.Y.S.2d 759 (2007)).

 

11   See also, e.g., Misicki v. Caradonna, 12 N.Y.3d 511, 520-21, 909 N.E.2d 1213, 882 N.Y.S.2d 375 (2009) (holding that New York regulation governing the use of power equipment, 12 N.Y.C.R.R. 23-9.2(a), imposes a nondelegable duty on property owners to “correct[] by necessary repairs” any power-operated equipment on their premises “[u]pon . . . discovery [of] any structural defect or unsafe condition in such equipment”); St. Louis v. Town of N. Elba, 16 N.Y.3d 411, 413-15, 947 N.E.2d 1169, 923 N.Y.S.2d 391 (2011) (holding that New York regulation governing the safe use of power shovels and backhoes, 12 N.Y.C.R.R. 23-9.4(e), imposes a nondelegable duty on property owners to ensure certain safeguards are in place).

Several decisions by the New York Court of Appeals and the Second Circuit illustrate the difference between a statute that imposes a “specific positive command” and one that “merely incorporates the ordinary tort duty of care.” The most instructive for purposes of this case is Ross v. Curtis-Palmer Hydro-Electric Co., in which the Court of Appeals determined whether certain provisions of the New York Labor law created nondelegable duties on property owners that cannot be delegated to contractors whose employees work on the property owners’ land. With respect to Labor Law § 200(1), which establishes a general requirement that “all places to which [the Labor Law] applies shall be constructed . . . [and] operated . . . so as to provide reasonable [*19]  and adequate protection . . . to all persons employed therein,” the Ross court held that Section 200(1) merely “codifies landowners’ and general contractors’ common-law duty to maintain a safe workplace.” 81 N.Y.2d at 505.12 By contrast, the Ross court reaffirmed that Labor Law § 240(1), in mandating that “[a]ll contractors and owners . . . who contract for . . . the erection, demolition, repairing, altering, painting, cleaning, or pointing of a building . . . shall furnish or erect, or cause to be furnished or erected . . . scaffolding, hoists, stays, . . . and other devices which shall be so constructed, placed and operated as to give proper protection to [construction workers on the premises],” imposes a specific, nondelegable duty. Ross, 81 N.Y.2d at 500.13

 

12   The full text of Section 200(1) states:

 

All places to which this chapter applies shall be so constructed, equipped, arranged, operated and conducted as to provide reasonable and adequate protection to the lives, health and safety of all persons employed therein or lawfully frequenting such places. All machinery, equipment, and devices in such places shall be so placed, operated, guarded, and lighted as to provide reasonable and adequate protection to all such persons. The board may make rules to carry into effect the provisions of this [*20]  section.

 

 

N.Y. Labor Law § 200(1).

13   The full text of Section 240(1) states:

 

All contractors and owners and their agents, except owners of one and two-family dwellings who contract for but do not direct or control the work, in the erection, demolition, repairing, altering, painting, cleaning or pointing of a building or structure shall furnish or erect, or cause to be furnished or erected for the performance of such labor, scaffolding, hoists, stays, ladders, slings, hangers, blocks, pulleys, braces, irons, ropes, and other devices which shall be so constructed, placed and operated as to give proper protection to a person so employed.

No liability pursuant to this subdivision for the failure to provide protection to a person so employed shall be imposed on professional engineers as provided for in article one hundred forty-five of the education law, architects as provided for in article one hundred forty-seven of such law or landscape architects as provided for in article one hundred forty-eight of such law who do not direct or control the work for activities other than planning and design. This exception shall not diminish or extinguish any liability of professional engineers or architects or landscape architects arising under the common law or any [*21]  other provision of law.

 

 

N.Y. Labor Law § 240.

The Court also takes guidance from Misicki v. Caradonna, 12 N.Y.3d 511, 909 N.E.2d 1213, 882 N.Y.S.2d 375 (2009), in which the Court of Appeals considered whether a provision of the New York Industrial Code created nondelegable duties. The Misicki court examined 12 N.Y.C.R.R. § 23-9.2(a), which provides in relevant part:

 

All power-operated equipment shall be maintained in good repair and in proper operating condition at all times. Sufficient inspections of adequate frequency shall be made of such equipment to insure such maintenance. Upon discovery, any structural defect or unsafe condition in such equipment shall be corrected by necessary repairs or replacement.

 

 

12 N.Y.3d at 519-21. In determining whether this provision created a nondelegable duty, the Misicki court broke the provision down into three sentences, and examined each one separately. With respect to the first two sentences, the court held that § 23-9.2(a)’s general requirements to keep power-operated equipment “in good repair and in proper operating condition,” and the requirement to make “[s]ufficient inspections” to insure proper maintenance, are “not specific enough” to create nondelegable duties. Misicki, 12 N.Y.3d at 520-21. With respect to the third sentence, however, the Misicki court reached the opposite conclusion, holding that “[t]his portion of the regulation imposes [*22]  an affirmative duty on employers to ‘correct[] by necessary repairs or replacement’ ‘any structural defect or unsafe condition’ in equipment or machinery ‘[u]pon discovery’ or actual notice of the structural defect or unsafe condition.” Id. at 521. The Misicki court explained that the third sentence of § 23-9.2(a) “mandates a distinct standard of conduct, rather than a general reiteration of common-law principles, and is precisely the type of ‘concrete specification’ that Ross requires” to find a nondelegable duty. Id. (citing Ross, 81 N.Y.2d at 499-500).

In this case, Gemstar and JD2 contend that New York General Business Law § 763 (“Duties of operators”) imposed a nondelegable duty on the Port Authority, upon receipt of a one-call notification, to identify and mark out the location of the sewage pipe that was struck in this case. (See Gemstar Br., Dkt. 171, at 3.) Section 763 provides:

 

  1. Every operator shall participate in a one-call notification system.
  2. Upon receipt of the notification provided for by this article either directly from the excavator or from the one-call notification system and pursuant to the rules and regulations adopted by the public service commission pursuant to section one hundred nineteen-b of the public service law, an operator shall advise the excavator [*23] in a timely manner of those of its underground facilities that will be affected by the proposed excavation or demolition.
  3. The operator shall accurately and with due care designate within a reasonable period of time the location of its underground facilities in the manner and during the time period set forth in the rules and regulations adopted by the public service commission pursuant to section one hundred nineteen-b of the public service law.

 

 

N.Y. Gen. Bus. Law § 763.

Gemstar and JD2 argue that Section 763 imposes a positive, nondelegable duty on the “operator” of an underground facility to “‘accurately and with due care’ mark the location of its utility.” (Gemstar Br., Dkt. 171, at 3.) In opposition, the Port Authority argues that Section 763(3), by incorporating the ordinary standard of “due care,” is “not specific enough to impose a nondelegable duty upon the Port Authority because it lacks any highly specific or precise commands that imposes any additional duty other than the standard of care applicable to claims of negligence.” (Port Authority Opp’n, Dkt. 181, at 11.)14

 

14   The Port Authority also argues that Section 763 cannot impose a nondelegable duty because it “does not address a specific type of safety concern.” (Port Authority Opp’n, Dkt. 181, at 11.) The Court disagrees. The clearly discernable purpose of Section 763, confirmed by the legislative history of the Underground Facilities Law, is to protect underground facilities from destruction or damage and address the safety risks that underground facilities pose to workers and others in the vicinity of underground work, such as excavation, in proximity to an underground facility. See Javino v. N.Y. State Dep’t of Envtl. Conserv., 2013 U.S. Dist. LEXIS 67051, 2013 WL 1946211, at *7 (E.D.N.Y. May 10, 2013); Laws of 1974 of the State of New York, ch. 818, § 1 (preamble to the Underground Facilities Law) (“The legislature hereby finds and declares that there is a need to protect underground facilities from destruction or damage, in order to prevent death or injury to workers and the public, damage to private and public property or loss of essential services to the general public . . . .”).

The Court finds that New York General Business Law § 763 imposes a nondelegable duty on the “operator” of an underground facility to “designate the location of its facility” “accurately and [*24]  with due care” “[u]pon receipt of [a one-call] notification,” in the timeframe and manner described more specifically in “the rules and regulations adopted by the public service commission pursuant to [New York Public Service Law § 119-b].” N.Y. Gen. Bus. Law §§ 763(2)-(3). Relying on guidance primarily from the Court of Appeals’ decisions in Ross and Misicki, the Court finds that Sections 763(2) and 763(3) together give “concrete specification” that a specific person (an “operator”) in response to a specific event (“receipt of [a one-call] notification”) is commanded (“shall”) to perform a specific duty (“designate . . . the location of its underground facilities”). See also USAA Cas. Ins. Co. v. Permanent Mission of Rep. of Namibia, 681 F.3d 103, 110-11 (2d Cir. 2012) (finding that regulation of the New York City Building Code creates a nondelegable duty where it creates a “duty to, under specific circumstances, perform a specific task”). Section 763(3)’s further mandate that an operator must obey this command “with due care” merely qualifies the specific command to which it applies–it does not eliminate the command, nor does it convert the command into a generally applicable standard of care, as the Port Authority argues. Indeed, similar qualifying language appears in statutes and regulations that New York courts have found to create a nondelegable duty. See, e.g., Ross, 81 N.Y.2d at 499 (holding that [*25]  Labor Law § 240(1) imposes a nondelegable duty to provide certain safety devices “as to give proper protection” to affected workers (emphasis added)); Misicki, 12 N.Y.3d at 520-21 (holding that 12 N.Y.C.R.R. § 23-9.2(a) imposes a nondelegable duty to make “necessary repairs or replacement” upon discovery of any unsafe condition (emphasis added)); Padilla v. Frances Schervier Hous. Dev. Fund Corp., 303 A.D.2d 194, 196-97, 758 N.Y.S.2d 3 (N.Y. App. Div. 2003) (holding that 12 N.Y.C.R.R. 23-9(2)(g) imposes a nondelegable duty, despite using the qualifying term “equivalent,” where “th[e] section, as a whole, ‘mandat[es] compliance with concrete specifications'” (emphasis in original) (quoting Ross, 81 N.Y.2d at 505)).15

 

15   Avis and the Port Authority contend that a contrary holding is dictated by the decisions in Concord Village Owners, Inc. v. Trinity Communications Corp., 61 A.D.3d 410, 876 N.Y.S.2d 48 (N.Y. App. Div. 2009), and Brothers v. N.Y. State Electric and Gas Corp., 11 N.Y.3d 251, 898 N.E.2d 539, 869 N.Y.S.2d 356 (2008). (See Avis Br., Dkt. 182, at 6; Avis Surreply Br., Dkt. 190, at 3-4; Port Authority Opp’n, Dkt. 181, at 11-12.) The Court finds both of those cases inapplicable. In Trinity, the Appellate Division considered whether a company seeking to install an underground utility was liable for the negligent acts of an independent contractor it hired to perform the installation; it did not consider whether the “operator” of the underground utility damaged in that case (a gas pipe) could delegate its markout responsibilities to an independent contractor. 61 A.D.3d at 410-11. In Brothers, the Court of Appeals considered whether a utility company undertook a nondelegable duty to comply with federal and state safety regulations by obtaining a construction permit from the State that required compliance with specified safety statutes. 11 N.Y.3d at 254-60. The Brothers court answered that question by considering the policy implications of finding a nondelegable duty based on the utility company’s receipt of a work permit from the State, not by examining the language of the statutes and regulations that were allegedly violated in that case, see 11 N.Y.3d at 259-60, the latter of which guides the Court’s decision here, see supra. As such, neither Trinity nor Brothers directly or impliedly answered the question that drives the Court’s decision in this case–namely, whether the mark-out duties imposed on operators by New York General Business Law § 763 are delegable to a subcontractor.

There is one issue, however, that gives the Court some pause. In its surreply, the Port Authority argued that “the Port Authority does not qualify as an operator” because it does not meet the applicable statutory definition.16 (Port Authority Surreply Br., Dkt. 191, at 3.) This argument is central to the issue of vicarious liability, of course, because New York General Business Law § 763 applies specifically and solely to “operators.” N.Y. Gen. Bus. Law § 763(1)-(3). Throughout their submissions in connection with the pending motions in limine, the parties all seemed to assume that the Port Authority was the “operator” of the sewage line that Gemstar struck during the excavation at JFK. (Gemstar Br., Dkt. 171, at 3; [*26]  Port Authority Opp’n, Dkt. 181, at 9-12; Avis Br., Dkt. 182, at 9; JD2 Br., Dkt. 188, at ECF 6.) Indeed, the Port Authority itself seemed to concede, in its opposition brief, that it was the “operator” of the sewage pipe in question. (See generally Port Authority Opp’n, Dkt. 181 (appearing to concede that N.Y. Gen. Bus. Law § 763 applies to the Port Authority in this action, but arguing that the language of § 763 does not impose a “specific positive command” giving rise to a nondelegable duty).)

 

16   An “operator” is “a person who operates an underground facility or facilities to furnish any of the following services or materials: electricity, gases, steam, liquid petroleum products, telephone or telegraph communications, cable television, sewage removal, traffic control systems, or water.” N.Y. Gen. Bus. Law § 760(6).

Given the Port Authority’s belated argument that it did not qualify as an operator under § 763–raised for the first time in its surreply–the Court examined the summary judgment record to determine whether the Port Authority’s status as an “operator” was established there. Upon that review, the Court finds that the summary judgment record appears to establish, as a matter of law, that the Port Authority was the “operator” of the sewage line in question.17 Accordingly, the Court declines to deny JD2’s and Gemstar’s motions on this ground, but, in light of the last-minute nature of JD2’s and Gemstar’s motions in limine, the Court invites the Port Authority, if it has a good faith basis on which to do so, to submit a motion for reconsideration [*27]  of this order to the extent it rests on the finding that the Port Authority is an “operator” within the meaning of § 763. If the Port Authority intends to submit such a motion, it must do so by the end of the day on Monday, August 14, 2017.

 

17   For example, the Port Authority did not dispute JD2’s assertion that “[t]he Port Authority is one of the utility owners or operators that the One Call system notifies when an excavator is performing work on Port Authority property.” (JD2 56.1 Stmt., Dkt. 109-1, ¶ 63; Port Authority 56.1 Stmt., Dkt. 106, ¶ 63.) The Port Authority also did not dispute that the one-call ticket created for Gemstar’s November 28, 2011 call to Dig Safely indicated that the Port Authority was one of the “member companies [that] were contacted to perform mark outs” in response to the one-call notification. (JD2 56.1 Stmt., Dkt. 109-1, ¶¶ 64-65; Port Authority 56.1 Stmt., Dkt. 106, ¶¶ 64-65; see also Dkt. 107-15 (November 28, 2011 one-call ticket).) The Port Authority further conceded that it instructed Geotrack to perform a mark-out of the underground facilities located on the site that was the subject of the November 28, 2011 one-call notification. (JD2 56.1 Stmt., Dkt. 109-1, ¶¶ 68-69; Port Authority 56.1 Stmt., Dkt. 106, ¶¶ 68-69; see also Port Authority 56.1 Stmt., Dkt. 106, ¶¶ 117, 138-39.)

For the reasons stated above, the Court holds that New York General Business Law § 763 imposes a nondelegable duty on utility operators–here, the Port Authority–to accurately and with due care designate the location of their underground facilities upon receipt of a one-call notification within the meaning of § 763(2).

 

  1. Respondeat Superior

A party may be held liable for the negligence of a contractor under the doctrine of respondeat superior, if, due to the “degree of control exercised by the purported employer,” the contractor is deemed to be the party’s employee as a matter of law. McCann v. Varrick Grp., LLC, 84 A.D.3d 591, 591, 923 N.Y.S.2d 471 (N.Y. App. Div. 2011) (quoting Bynog v. Cipriani Grp., Inc., 1 N.Y.3d 193, 198, 802 N.E.2d 1090, 770 N.Y.S.2d 692 (2003)). To make this determination, the factfinder must consider “[a]ll aspects of the arrangement . . . to determine whether the degree of control and direction reserved to the [purported] employer establishes an employment relationship.” In re Villa Maria Institute of Music (Ross), 54 N.Y.2d 691, 692, 426 N.E.2d 466, 442 N.Y.S.2d 972 (1981). Having reviewed the parties’ submissions in connection with the present motions in limine, the Court easily finds that JD2 and Gemstar have failed to establish, [*28]  as a matter of law, that Geotrack was an “employee” of the Port Authority. The Port Authority’s ample evidence of the organizational and operational separateness between the Port Authority and Geotrack (Port Authority Opp’n, Dkt. 181, at 6-9) is more than sufficient to create a genuine issue of material fact on this question. As the Court ruled at the final pre-trial conference, to the extent JD2 and Gemstar wish to further pursue this theory, they must do so at trial.

 

CONCLUSION

For the foregoing reasons, the Court grants in part and denies in part JD2’s and Gemstar’s motions in limine. As explained in this Order, the Court holds that New York General Business Law § 763 imposes a nondelegable duty on utility operators–here, the Port Authority–to accurately and with due care designate the location of their underground facilities upon receipt of a notification effective under the one-call notification system established in Article 36 of the New York General Business Law, N.Y. Gen. Bus. Law §§ 760-67. Accordingly, to the extent the Port Authority’s contractor, Geotrack, failed to discharge the Port Authority’s mark-out duty under Section 763, the Port Authority is vicariously liable for any damages that proximately resulted from that failure.

The Court declines [*29]  to hold that Geotrack’s performance of the underground utility mark-out in this case was an “inherently dangerous activity,” and therefore denies JD2’s and Gemstar’s motions to hold the Port Authority vicariously liable, as a matter of law, for the negligence of Geotrack on that basis. Rather, JD2 and Gemstar will have to prove the requisite facts to establish that Geotrack’s assigned activity was “inherently dangerous” and that the Port Authority should be held vicariously liable for Geotrack’s negligence, if proved, on that basis. JD2 and Gemstar will also be permitted, if they choose, to introduce evidence to support a claim of vicarious liability based on the Port Authority’s negligent selection, instruction, or supervision of Gemstar, or based on a theory of agency or employment.

Finally, the Court admonishes counsel to adhere strictly to the limitations this Court has placed on the presentation of evidence and argument to the jury related to the Port Authority’s vicarious liability in this action. Most importantly, counsel are not permitted to inform the jury of the Court’s ruling on vicarious liability under New York General Business Law § 763, nor may they argue to the jury that the Port Authority was prohibited [*30]  from delegating its duties to Geotrack because of the requirements of § 763. In addition, the only evidence that will be permitted with respect to the Port Authority’s alleged negligent selection of Geotrack will be pre-incident evidence relating to the Port Authority’s knowledge of Geotrack’s past deficient performance.

SO ORDERED.

/s/ Pamela K. Chen

Pamela K. Chen

United States District Judge

Dated: August 11, 2017

Brooklyn, New York

ROBERT LEE MORSE, Plaintiff, vs. NANCY A. BERRYHILL, Acting Commissioner of Social Security

ROBERT LEE MORSE, Plaintiff, vs. NANCY A. BERRYHILL, Acting Commissioner of Social Security,1 Defendant.

 

1   On January 20, 2017, Nancy A. Berryhill replaced Carolyn W. Colvin as Acting Commissioner of Social Security.

 

Case No. 16-2678-SAC

 

UNITED STATES DISTRICT COURT FOR THE DISTRICT OF KANSAS

 

2017 U.S. Dist. LEXIS 127759

 

 

August 11, 2017, Decided

August 11, 2017, Filed

 

 

COUNSEL:  [*1] For Robert Lee Morse, Plaintiff: Roger M. Driskill, LEAD ATTORNEY, Burnett and Driskill, Liberty, MO.

 

For Commissioner of Social Security Administration, Carolyn W. Colvin, Defendant: Andrea L. Taylor, LEAD ATTORNEY, Office of United States Attorney – Kansas City, Kansas City, KS.

 

JUDGES: Sam A. Crow, United States District Senior Judge.

 

OPINION BY: Sam A. Crow

 

OPINION

 

MEMORANDUM AND ORDER

This is an action reviewing the final decision of the Commissioner of Social Security denying the plaintiff disability insurance benefits. The matter has been fully briefed by the parties.

 

  1. General legal standards

The court’s standard of review is set forth in 42 U.S.C. § 405(g), which provides that “the findings of the Commissioner as to any fact, if supported by substantial evidence, shall be conclusive.” The court should review the Commissioner’s decision to determine only whether the decision was supported by substantial evidence and whether the Commissioner applied the correct legal standards. Glenn v. Shalala, 21 F.3d 983, 984 (10th Cir. 1994). Substantial evidence requires more than a scintilla, but less than a preponderance, and is satisfied by such evidence that a reasonable mind might accept to support the conclusion. The determination of whether substantial evidence supports the Commissioner’s [*2]  decision is not simply a quantitative exercise, for evidence is not substantial if it is overwhelmed by other evidence or if it really constitutes mere conclusion. Ray v. Bowen, 865 F.2d 222, 224 (10th Cir. 1989). Although the court is not to reweigh the evidence, the findings of the Commissioner will not be mechanically accepted. Nor will the findings be affirmed by isolating facts and labeling them substantial evidence, as the court must scrutinize the entire record in determining whether the Commissioner’s conclusions are rational. Graham v. Sullivan, 794 F. Supp. 1045, 1047 (D. Kan. 1992). The court should examine the record as a whole, including whatever in the record fairly detracts from the weight of the Commissioner’s decision and, on that basis, determine if the substantiality of the evidence test has been met. Glenn, 21 F.3d at 984.

The Social Security Act provides that an individual shall be determined to be under a disability only if the claimant can establish that they have a physical or mental impairment expected to result in death or last for a continuous period of twelve months which prevents the claimant from engaging in substantial gainful activity (SGA). The claimant’s physical or mental impairment or impairments must be of such severity that they are not only unable to perform their previous [*3]  work but cannot, considering their age, education, and work experience, engage in any other kind of substantial gainful work which exists in the national economy. 42 U.S.C. § 423(d).

The Commissioner has established a five-step sequential evaluation process to determine disability. If at any step a finding of disability or non-disability can be made, the Commissioner will not review the claim further. At step one, the agency will find non-disability unless the claimant can show that he or she is not working at a “substantial gainful activity.” At step two, the agency will find non-disability unless the claimant shows that he or she has a “severe impairment,” which is defined as any “impairment or combination of impairments which significantly limits [the claimant’s] physical or mental ability to do basic work activities.” At step three, the agency determines whether the impairment which enabled the claimant to survive step two is on the list of impairments presumed severe enough to render one disabled. If the claimant’s impairment does not meet or equal a listed impairment, the inquiry proceeds to step four, at which the agency assesses whether the claimant can do his or her previous work; unless the [*4]  claimant shows that he or she cannot perform their previous work, they are determined not to be disabled. If the claimant survives step four, the fifth and final step requires the agency to consider vocational factors (the claimant’s age, education, and past work experience) and to determine whether the claimant is capable of performing other jobs existing in significant numbers in the national economy. Barnhart v. Thomas, 540 U.S. 20, 124 S. Ct. 376, 379-380, 157 L. Ed. 2d 333 (2003).

The claimant bears the burden of proof through step four of the analysis. Nielson v. Sullivan, 992 F.2d 1118, 1120 (10th Cir. 1993). At step five, the burden shifts to the Commissioner to show that the claimant can perform other work that exists in the national economy. Nielson, 992 F.2d at 1120; Thompson v. Sullivan, 987 F.2d 1482, 1487 (10th Cir. 1993). The Commissioner meets this burden if the decision is supported by substantial evidence. Thompson, 987 F.2d at 1487.

Before going from step three to step four, the agency will assess the claimant’s residual functional capacity (RFC). This RFC assessment is used to evaluate the claim at both step four and step five. 20 C.F.R. §§ 404.1520(a)(4), 404.1520(e,f,g); 416.920(a)(4), 416.920(e,f,g).

 

  1. History of case

On March 6, 2015, administrative law judge (ALJ) Michael D. Mance issued his decision (R. at 132-143). Plaintiff alleges that he has been disabled since September 1, 2012 (R. at 132). Plaintiff is insured for disability insurance [*5]  benefits through March 31, 2015 (R. at 134). At step one, the ALJ found that plaintiff has not engaged in substantial gainful activity since the alleged onset date (R. at 134). At step two, the ALJ found that plaintiff has severe impairments (R. at 134). At step three, the ALJ determined that plaintiff’s impairments do not meet or equal a listed impairment (R. at 136). After determining plaintiff’s RFC (R. at 137-138), the ALJ found at step four that plaintiff is unable to perform any past relevant work (R. at 141). At step five, the ALJ found that plaintiff could perform other jobs that exist in significant numbers in the national economy (R. at 142-143). Therefore, the ALJ concluded that plaintiff was not disabled (R. at 143).

 

III. Did the Appeals Council err by failing to consider medical opinion evidence submitted to them after the ALJ decision?

In his decision, the ALJ found that plaintiff has the RFC to perform work at all exertional levels, but with the following nonexertional limitations: he should never climb ladders, ropes, and scaffolds. He should work in a temperature controlled environment. He should avoid concentrated exposure to unprotected heights and hazardous machinery. [*6]  He is limited to the performance of unskilled work only, requiring no more than occasional contact with the public and coworkers. He cannot be required to perform any high production rate jobs, but low and medium production rate jobs are okay (R. at 138). With this RFC, the ALJ concluded that plaintiff could perform other work in the national economy, and was therefore not disabled.

After the ALJ decision, plaintiff submitted to the Appeals Council letters from Dr. Davis, a licensed clinical psychologist, Dr. Pashek, a speech-language pathologist and cognitive rehabilitation specialist, and Dr. Falola, a physician (R. at 9-13). The Appeals Council reviewed these documents and other medical records submitted to them and concluded that this new information was about a later time, and did not affect the decision about whether plaintiff was disabled on or before March 6, 2015, the date of the ALJ decision (R. at 2).

The basic principle, derived from the relevant regulations, is well-established: the Appeals Council must consider additional evidence offered on administrative review-after which it becomes part of the court’s record on judicial review-if it is (1) new, (2) material, and (3) [*7]  related to the period on or before the date of the ALJ’s decision. Krauser v. Astrue, 638 F.3d 1324, 1328 (10th Cir. 2011). Where the Appeals Council rejects new evidence as non-qualifying, and the claimant challenges that ruling on judicial review, it is a question of law subject to the court’s de novo review. Id.

Dr. Falola wrote his letter on November 20, 2015. He indicates that he has been treating plaintiff for the past few months. His letter states the following:

 

Patient is a 51 yo veteran diagnosed with PTSD (non combat related). The patient reported the PTSD symptoms secondary to an auto accident that occurred in 31 May, 2011. A review of his CPRS medical records indicated that he has been having problems with dealing with daily psychosocial stressors and has been having a steady decline in his ability to function and maintain a steady job since the above mentioned auto accident. This trauma triggered extreme anxiety symptoms, increased irritability, insomnia, difficulties dealing with stressful situations both at home and at work. Patient also reported angry outbursts, fluctuation of his mood including depression. Considering the clinical symptoms, some of which were named above, it is evident that this patient has been unable and [*8]  will continue to have difficulty maintaining a job and take care of his needs. This provider is support of this patient requesting for Social Security Disability.

 

 

(R. at 13, emphasis added).

Dr. Pashek wrote her letter on April 5, 2016. It states the following:

 

This application is to support the application of Mr. Robert Morse…to receive Social Security Disability status. Mr. Morse was involved in a serious accident as an over-the-road trucker in 2011 in which he suffered a traumatic brain injury (TBI) and from which he developed PTSD. He has ongoing emotional and cognitive (attention and executive functions) deficits as a result of this accident and is unable to be employed despite his multiple attempts to return to work. He deficits are well documented in his VAMC [Veterans Administration Medical Center] medical record, by Psychiatry (see notes of Dr. Duong 2012-2015) and Dr. Falola (2015-2016), and Psychology (notes of Dr. Davis), as well as by Neuropsychology (Dr. Skadeland/Dr. Harbaugh) and my personal Cognitive Rehabilitation evaluation of the patient (12/19/15) and ongoing treatment notes…..

This writer’s opinion is that he is not employable at this time.

 

 

(R. at 11, emphasis [*9]  added).

The third letter, from Dr. Davis, is dated April 22, 2016, and states, in relevant part:

 

…I have been conducting individual therapy sessions with Mr. Morse since May 6, 2014…After being involved in a motor vehicle accident in 2011, Mr. Morse began experiencing anxiety, depression, sleep problems, and difficulties with focus and concentration, which has significantly impacted his psychosocial functioning.

Based on testing an clinical observations, Mr. Morse has been diagnosed with Posttraumatic Stress Disorder (PTSD) and Insomnia Disorder. His PTSD is very severe and causes him to struggle with intrusive memories, severe anxiety and depression, anger, sleep problems, irritability and poor concentration. Mr. Morse has been compliant with treatment and previously completed components of a 12-session evidence based treatment program for PTSD, during which I spent a considerable amount of one on one time with Mr. Morse. Mr. Morse did experience mild improvement with therapy, but continues to exhibit these same symptoms which I firmly believe preclude his ability to successfully return to work activity at this time. Mr. Morse has attempted a few part-time jobs in the past two years; [*10]  however, his mental health symptoms appeared to cause problems and distress; resulting in terminations and/or needing to leave the positions. Testing has recently shown that Mr. Morse also struggles with Traumatic Brain Injury (TBI), which further exacerbate his PTSD and Insomnia, making it exceptionally difficult for him to follow basic work tasks. His irritability from mental health symptoms, combined with struggles from the TBI, creates intense emotional reactions that would certainly cause problems maintaining employment. It is also my opinion that return to work by Mr. Morse at this time would undo the progress he has made thus far, as stress tends to exacerbate PTSD symptoms.

 

 

(R. at 9-10, emphasis added).

The letters from Drs. Falola, Pashek, and Davis are new and material regarding plaintiff’s impairments and limitations. The question before the court is whether they are related to the period on or before the date of the ALJ’s decision, March 6, 2015. The letters were written on November 20, 2015, April 3, 2016 and April 22, 2016. The letter from Dr. Falola does not mention any specific time period for his opinions, and Dr. Falola indicates that his treatment had been for the [*11]  past few months (prior to November 2016). However, Dr. Falola states that plaintiff’s PTSD dates from an auto accident on May 31, 2011. He also notes a steady decline by plaintiff in his ability to function and maintain a steady job since the accident.

The letter from Dr. Pashek also does not mention any specific time period for her opinions, but notes that plaintiff’s emotional and cognitive deficits are well documented in the medical records, including those of Dr. Duong from 2012-2015. Finally, the letter from Dr. Davis states that she had been treating plaintiff since May 6, 2014, 10 months prior to the ALJ decision. Dr. Davis noted that plaintiff’s symptoms date from the time of the vehicular accident in 2011.

In the case of Baca v. Department of Health and Human Services, 5 F.3d 476, 479 (10th Cir. 1993), the court held that evidence bearing upon an applicant’s condition subsequent to the date upon which the earning requirement was last met is pertinent evidence in that it may disclose the severity and continuity of impairments existing before the earning requirement date or may identify additional impairments which could reasonably be presumed to have been present and to have imposed limitations as of the earning requirement date.2 This principle equally applies [*12]  to whether evidence presented to the Appeals Council is related to the period on or before the date of the ALJ’s decision.

 

2   In Baca, the medical records deemed relevant were records for medical care made within 14 months of the expiration of plaintiff’s insured status. 5 F.3d at 479.

Dr. Davis had been treating plaintiff since May 6, 2014, 10 months prior to the ALJ’s decision. Dr. Pashek, in her letter, relied on medical records and treatment by Dr. Duong from 2012-2015. Dr. Falola noted a steady decline in plaintiff’s ability to function and maintain a job since the accident. All three treatment providers clearly indicated that plaintiff’s symptoms and impairments stem from the vehicular accident in 2011. On the facts of this case, the court finds that the opinions offered to the Appeals Council from three treatment providers are new, material, and related to the period on or before the date of the ALJ’s decision.

In his decision, the ALJ rejected the medical source opinions from two non-examining state agency psychologists, who found no severe mental impairments. However, the ALJ indicated he gave “some” weight to their opinions. The ALJ found that plaintiff’s mental impairments were severe (R. at 140), but made mental RFC findings in the absence of any medical source opinions regarding the extent and severity of plaintiff’s mental limitations. [*13]  However, an exact correspondence between a medical opinion and the RFC is not required. In reaching his RFC determination, an ALJ is permitted, and indeed required, to rely on all of the record evidence, including but not limited to medical opinions in the file. That said, in cases in which the medical opinions appear to conflict with the ALJ’s decision regarding the extent of a plaintiff’s impairment(s) to the point of posing a serious challenge to the ALJ’s RFC assessment, it may be inappropriate for the ALJ to reach an RFC determination without expert medical assistance. Wells v. Colvin, 727 F.3d 1061, 1071-1072 (10th Cir. 2013) (in Wells, the ALJ rejected 3 medical opinions, finding that they were inconsistent with the other evidence in the file; the court directed the ALJ, on remand, to carefully reconsider whether to adopt the restrictions on plaintiff’s RFC detailed in the medical opinions, or determine whether further medical evidence is needed on this issue).

Furthermore, the opinions of physicians, psychologists, or psychiatrists who have seen a claimant over a period of time for purposes of treatment are given more weight than the views of consulting physicians or those who only review the medical records and never examine the claimant. [*14]  The opinion of an examining physician is generally entitled to less weight than that of a treating physician, and the opinion of an agency physician who has never seen the claimant is entitled to the least weight of all. Robinson v. Barnhart, 366 F.3d 1078, 1084 (10th Cir. 2004).

In the case before the court, at the time of the ALJ decision, the only medical opinion evidence regarding plaintiff’s mental RFC, that plaintiff did not have severe mental impairments, was rejected by the ALJ. However, the ALJ stated that he gave “some” weight to their opinions (R. at 140). These medical opinions were from non-examining medical sources, whose opinions are entitled to the least weight. The ALJ then made mental RFC findings in the absence of any medical source opinions regarding the extent and severity of plaintiff’s mental limitations. The medical opinions of plaintiff’s three treatment providers, who are accorded more weight, clearly conflict with the mental RFC findings made by the ALJ. The statements from the three treatment providers include one from Dr. Davis, who began treating plaintiff 10 months prior to the ALJ decision. Dr. Pashek relied on plaintiff’s medical records, including treatment records from Dr. Duong, a psychiatrist who treated [*15]  plaintiff from 2012-2015. Dr. Falola noted a steady decline in plaintiff’s ability to function and work since the accident. All three treatment providers make it clear that plaintiff’s symptoms, impairments, and limitations stem from his vehicular accident in 2011.

Furthermore, the court cannot say that the failure to consider this additional opinion evidence from three treatment providers is harmless error.3 In fact, the new evidence from Dr. Falola, Dr. Pashek, and Dr. Davis provides a clear basis for changing the ALJ’s decision. Hardman v. Barnhart, 362 F.3d 676, 681 (10th Cir. 2004). In addition to their opinions that plaintiff cannot work, Dr. Davis states that plaintiff would have difficulty with focus and concentration. Dr. Davis also indicated that plaintiff suffers from severe anxiety and depression, anger and sleep problems, irritability and poor concentration. As A result of his PTSD, TBI, and insomnia, Dr. Davis believes that it would be exceptionally difficult for plaintiff to follow basic work tasks. Dr. Davis also stated that plaintiff’s irritability stemming from his mental health symptoms and TBI creates intense emotional reactions that would certainly cause problems maintaining employment (R. at 9). Dr. Pashek also indicated [*16]  that plaintiff has ongoing emotional and cognitive (attention and executive function) deficits which would preclude employment (R. at 11). Finally, Dr. Falola noted that trauma stemming from plaintiff’s 2011 accident has triggered extreme anxiety symptoms, increased irritability, insomnia, and difficulties dealing with stressful situations at home and at work (R. at 13).

 

3   Courts should apply the harmless error analysis cautiously in the administrative review setting. Fischer-Ross v. Barnhart, 431 F.3d 729, 733 (10th Cir. 2005). However, it may be appropriate to supply a missing dispositive finding under the rubric of harmless error in the right exceptional circumstance where, based on material the ALJ did at least consider (just not properly), the court could confidently say that no reasonable factfinder, following the correct analysis, could have resolved the factual matter in any other way. Fischer-Ross, 431 F.3d at 733-734; Allen v. Barnhart, 357 F.3d 1140, 1145 (10th Cir. 2004).

In light of the evidence set forth above, the court finds that substantial evidence does not support the ALJ’s RFC findings. Therefore, this case shall be reversed and remanded in order for the Commissioner to consider the opinions of the three treatment sources and any related medical records.

 

  1. Other issues raised by the plaintiff

Plaintiff has raised other issues, including the ALJ’s credibility analysis, and whether the Commissioner sustained his burden at step five. The court will not address these issues because they may be affected by the ALJ’s resolution of the case on remand after considering the opinions of Dr. Falola, Dr. Pashek, and Dr. Davis, along with any related medical records. See Robinson v. Barnhart, 366 F.3d 1078, 1085 (10th Cir. 2004).

IT IS THEREFORE ORDERED that the judgment of the Commissioner is reversed and remanded pursuant to sentence four of 42 U.S.C. § 405(g) for [*17]  further proceedings consistent with this memorandum and order.

Dated this 11th day of August 2017, Topeka, Kansas.

/s/ Sam A. Crow

Sam A. Crow, U.S. District Senior Judge

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