OHA SSI Childhood Disability Evaluation
SUBSTANTIAL GAINFUL ACTIVITY (SGA)
1. Should we have SGA criteria for children which differ from the criteria used for adults? Work done by children is often quite different than that done by adults (e.g., children usually work part-time and they have lower pay rates), so it seems logical not to use the same evaluating criteria.
The SGA guidelines in the regulations apply to all work, regardless of the
age of the person doing that work. Existing guidelines already require
that we consider the individual circumstances of each work situation in
deciding whether work is SGA. If an individual (adult or child) works
part-time, for a low wage or under special conditions, we consider those
facts in the assessment. These guidelines were in effect prior to the
Supreme Court ruling in Zebley and were not
affected by the decision.
(20 CFR §
416.924(c); OHA Childhood Disability Training Manual (TM) Ch. 1,
Sect. II. B.)
IMPAIRMENT SEVERITY
2. At the second step of the sequential evaluation, does a severe impairment in a child represent the same level of severity as a severe impairment in an adult?
Yes, although the kinds of functioning we examine to determine severity
are different. As with adults, a severe impairment in a child is one that
causes more than a slight or minimal limitation in the ability to
function. In adults, we evaluate disability in relation to the
individual's ability to work, so we define a severe impairment in relation
to ability to do basic work activities. We define a severe impairment for
children in terms of different functions because we evaluate children in
relation to other abilities and functions (i.e., ability to function
independently, appropriately and effectively in an age-appropriate
manner).
(20 CFR §
416.924(d); TM Ch. 1, Sect. II. B. and Ch. 4, Sects. I. and
II.)
3. At the childhood disability training, we were told to resolve any doubt about whether the child has a severe impairment (at the second step of the sequential evaluation) in favor of the child (i.e., by finding a severe impairment). Does this action establish a presumption that the claimant has a severe impairment - a presumption which SSA must rebut? Is the “shifting burden of proof” statement, which is used in adult cases decided at the fifth step, required in childhood claims?
The concept of resolving any doubt at the second step in the claimant's
favor is not new. It has applied to adult cases for many years
(Social Security Ruling
85-28). At the second step of the sequential evaluation, the
claimant (adult or child) is responsible for showing the existence of a
severe impairment. That responsibility is not affected by the policy of
resolving doubt at the second step in the claimant's favor. There is no
“presumption” that a claimant has a severe impairment; that
determination must be made on a case by case basis.
The burden of proof shifts in adult claims decided at the fifth step to
recognize the Secretary's burden, once a claimant establishes that he or
she cannot do past work, to show that work exists which the claimant can
do. The “shifting burden of proof” concept is based on case
law involving adult claims. Because childhood cases are not decided based
on the claimant's ability to work, the statement is not required.
(HALLEX
HA 01280.025 C. 2.
and HA 01380.012 B. 5.)
MEETS AND EQUALS
4. Who is responsible for deciding equivalence (medical and functional) and making the individualized functional assessment (IFA)?
At the hearings and appeals level, the ALJ or Appeals Council decides
medical and functional equivalence and makes the IFA.
(20 CFR §
416.926a(c); TM Ch. 4, Sect. III. E. 3. and Ch. 6, Sect. I. B. 2.
c.)
5. Do we still need to obtain and consider a medical judgment on equivalence by a designated physician (even though Social Security Ruling (SSR) 83-19 was rescinded)? In the preamble to the regulations at 56 FR 5545, the second, third and fourth paragraphs seem to eliminate that requirement.
It is OHA's longstanding policy to require ALJs and the AC to obtain
opinions on medical equivalence from
medical experts. However, because of the kind of equivalence
determinations required in childhood disability claims, the ALJ or AC may
not need to obtain medical expert opinion to decide the issue of
functional equivalence. Of course, the ALJ or AC is not precluded from
obtaining medical expert opinion to decide the issue.
6. Why not skip the meets/equals step and just do functional assessments?
The childhood sequential evaluation procedures parallel, to the maximum
extent possible, the adult sequential evaluation procedures. The
meets/equals step serves the same purpose for children as it does for
adults - to screen out the more obvious allowance cases early in the
process.
(Regulations Preamble at 55 FR 5538 and 5552; Instructor's Manual Tab I-D,
pages 22-32)
7. We make a functional assessment at the third step of the sequential evaluation (functional equals), and then another one at the IFA step. Are they the same thing?
No. Functioning is considered at three different steps in the sequential
evaluation of disability for children (i.e., impairment severity,
functional equals and the IFA). These evaluations measure function against
different standards.
The level of severity necessary to establish disability when evaluating
functional equals at the third step is listing level severity. The level
of severity necessary to establish disability at the IFA step is
less than listing-level. The level
of severity necessary to establish a severe impairment at the second step
is much less than either of those.
The three functional assessments also measure function differently. If, at
the second step, we look at a child's ability to function and determine
that he or she has a severe impairment(s), then we must take a more
detailed look at functioning when we consider functional equals, and an
even more detailed look if we continue on to do an IFA in preparation for
the fourth step.
(Instructor's Manual pages 69 and 162)
8. In determining medical equivalence at the third step, does the child's impairment have to be medically related to the listed impairment?
Yes. The determination of medical
equivalence has changed only to the extent that a child's claim cannot be
denied solely because his or her impairment(s) does not meet or equal the
severity of a listed impairment. In evaluating medical equivalence when a
particular listing does not apply, we use the most closely analogous
listed impairment(s) (comparison listing). If the child's impairment(s)
does not meet or medically equal a listed impairment, we then determine
whether functional equivalence exists. When determining functional
equivalence, the listing we choose for comparison need not be medically
related to the child's impairment(s). The point of
functional equivalence is to
recognize that people are disabled not so much by
what is wrong with them (i.e.,
diagnosis) but by the effects of their impairments (i.e.,
limitations).
(20 CFR §
416.926a(b) and TM Ch. 4, Sect. II. D.)
9. If finding functional equivalence at the third step based on one of the examples in the regulations (20 CFR § 416.926a(d)), do we cite a specific listing or just the regulatory section? If a listing, which one?
We should cite the regulatory section and either the listing specified in
the regulatory section (e.g., 112.12 for §
416.926a(d)(12))
or the most closely related listing.
10. One of the case examples from the training stated that a combination of two marked limitations in the mental impairment listings “B criteria” represents an impairment equal to a listing. Is this always true? If so, what is the authority for this rule?
The “B criteria” in §§ 12.00 and 112.00 of Appendix
1 describe the functional consequences of many mental impairments. If an
individual has an impairment(s) not listed in § 12.00 or 112.00, but
which produces the disabling functional consequences outlined in Appendix
1 (e.g., marked limitations in two of the “B criteria”
categories), then the impairment is of equal severity.
Although the regulations do not explicitly state this principle, it is
implicit in 20 CFR
§ 416.926a(b)(3), which states that “... [i]f the
functional limitation(s) resulting from your impairment(s) is the same as
the disabling functional consequences of a listed impairment, we will find
that your impairment(s) is equivalent to that listed impairment.”
(Section
416.926a(d)(7)
describes such an impairment.)
11. Based on the answer to the previous question, it appears that the mental impairment “B criteria” can be relevant to a physical impairment. Is this true?. If so, must we now use these “B criteria” to evaluate physical impairments (and combined impairments)?
The mental impairment “B criteria” can be relevant to
physical impairments. In determining functional equivalence, we “...
compare the functional limitation(s) resulting from ... [the claimant's]
... impairment(s) with the functional consequences of
any listed impairment which includes
the same functional limitations” (§
416.926a(b)(3),
emphasis added). This does not mean that we must include a complete
“B criteria” analysis in every physical-impairment-only case.
However, physical impairments can interfere with activities of daily
living, personal skills and concentration, persistence and pace and even
social skills. The decisionmaker must be alert to the possibility of a
physical impairment producing functional limitations the same as those in
the mental impairment “B criteria” (which would lead to a
finding of functional equivalence).
(§
416.926a(b); TM
Ch. 4, Sect. III. D. 2. c.; Instructor's Manual Tab I-D)
12. Is a premature child one born at “37 weeks gestation or less” or one born at “less than 37 weeks gestation?”
This is an inconsistency in the regulations, which will be corrected when
any revisions to the final regulations are published. Until then, we must
follow the language exactly as written:
a.
When deciding whether to compute a corrected chronological age, follow the
definition in 20 CFR
§ 416.924b: A premature infant is one who was born at less
than 37 weeks gestation.
b.
For purposes of using the special functional equivalence rules, use 37
weeks or less (20 CFR
416.926a(d)(10)).
INDIVIDUALIZED FUNCTIONAL ASSESSMENTS (IFAs)
13. The regulations (at § 416.924c) discuss a total of 5 developmental or functional domains and 2 behaviors which are used (in various combinations) to assess functioning in all children. How were these domains/behaviors established? Are they sufficient to describe all possible limitations in children?
The domains and behaviors used to evaluate a child's impairment(s) use as
a frame of reference the terminology and definitions in the childhood
mental disorder listings, and are commonly used by many professionals who
treat and evaluate children. However, they are by no means standardized -
there are other ways of naming the domains/behaviors and of grouping
functions. Therefore, the system described in the regulations could have
been designed with other headings for grouping and categorizing
functioning in children. It was devised to employ the most common and most
widely used headings.
The 7 specific categories of domains and behaviors are sufficient to
completely describe any child's limitations. They are, by definition,
all-inclusive because the first step in doing an IFA is to assess all
aspects of a child's functioning - each specific activity, milestone,
behavior, limitation or whatever else is appropriate to an understanding
of how a child is actually functioning, without regard to what domain or
behavior category might apply. (See §
416.924d for a
discussion of other factors we will consider in doing an IFA.)
For example, how would you evaluate a child with a sensory impairment that
is severe but at less than listing level, specifically, a hearing
impairment? The answer is that you would consider in your assessment any
limitations of age-appropriate development, functioning or behavior
resulting from the impairment, just as you would with any other physical
or mental impairment. In a case involving a serious hearing impairment,
you would expect to find some limitations in the communicative domain. As
was explained in your training, a sensory impairment in an infant may also
interfere with the infant's ability to bond with its parents, or result in
cognitive or even motor delays. Older children may also have limitations
in the social or personal/behavior domains — for instance, at
school, where there may also be evidence of learning delays — both
in terms of development and age-appropriate functioning. You would also
want to know whether the child has a speech or language disorder which
significantly affects the clarity and content of his or her speech and
which is attributable to the hearing impairment (See Listing 102.08B.3).
How would you evaluate a child with a physical impairment that is severe
but at less than listing level, specifically, asthma attacks? The answer
is that physical impairments should be assessed under all of the
domains/behaviors they affect. If a physical impairment causes a child to
be unable to perform age-appropriate self-care skills, the
personal/behavioral domain should indicate some limitation. Likewise, if a
physical impairment causes a child to be unable to engage in any
age-appropriate social activities, this would be documented by indicating
a limitation in the social development domain. In other words, a physical
impairment could cause limitations in
any of the domains or behaviors
considered in the IFA, not just the motor domain. Therefore, there is no
single answer to the question of which domain to choose when evaluating a
given impairment; indeed, a single impairment may cause limitations in
more than one domain.
Only after assessing all the child's
functions/limitations do we fit them into the age-appropriate domain and
behavior categories. In this respect, the IFA is like the residual
functional capacity (RFC) assessment in an adult. In assessing RFC, we
consider all aspects of how the adult functions, and then describe how
much an adult can lift and carry, how long an adult can sit, stand, and
walk, how well an adult can get along with coworkers and the public, the
kind and amount of stress he or she can tolerate, etc. We make the
assessment without regard to whether these abilities and limitations
correspond to the specific categories of work - “sedentary,”
“light,” “medium,” and so on.
(20 CFR §§
416.924c and
416.924d; TM
Appendix III; and Instructor's Manual pp. 55-57)
14. How do we know what constitutes “age-appropriate” functioning in a particular domain or behavior? Can you provide additional guidelines? To what extent may we rely on our own personal understanding of childhood functioning in deciding what is “normal?”
The OHA Training Manual includes two sections which discuss normal and
abnormal development and functioning in children. Handout #8 (pages
149-151) was developed by the Office of Disability based, in part, on the
discussions of childhood development, functioning, and behavior in the
regulations (§
416.924c).
Appendix III is a paper on early childhood development. The material is
intended to provide basic information about childhood functioning to
assist the decisionmaker in understanding the evidence he or she will
encounter in childhood disability cases. However, these training aids are
not authority for findings or conclusions about functioning in a
particular case.
Our decisions in a given case, and our findings and conclusions about the
child's functioning must be based on the evidence in the record. As usual,
we must base our decision on the facts and law and be careful not to
substitute our own understanding of medical issues in place of what is
shown by the evidence. In the absence of adequate evidence of whether a
claimant's functioning is age-appropriate, the ALJ should seek additional
medical evidence, including (if appropriate) medical expert (ME) testimony
(see next question).
15. Is an ME necessary to document what is “normal” age-appropriate activity?
An ME may be needed if the decisionmaker is unable to determine, based on
the evidence already in the record, if the child's functioning is
age-appropriate or the extent to which it is inappropriate. This is
consistent with current policy on obtaining ME testimony when there is
uncertainty about the meaning of the medical evidence.
(HALLEX
HA 01250.034)
16. Do we need to call an ME to determine if a child is functioning at a particular percentage or fractional proportion of normal (e.g., 1/2 or 2/3 of chronological age) or standard deviation from normal?
Not necessarily. Medical evaluations of children commonly use these
proportional terms to describe development or functioning. If it is
necessary in a particular case to determine at what percentage or
proportion of normal a child is functioning, and this assessment is not in
the available evidence, the ALJ may obtain ME testimony. This is
consistent with current policy on obtaining ME testimony when there is
need for a medical opinion on functional limitations and abilities.
(20 CFR §
416.924a(b)(1); HALLEX
HA 01250.034)
17. In assessing functioning (either at the second step of the sequential evaluation or when doing the IFA), do we consider socio-economic factors that affect functioning (e.g., educational or cultural deprivation, lack of fluency in the English language, etc.)?
No. As with any functional assessment (including an assessment of residual
functional capacity), “... the functional limitations must arise
from a medically determinable impairment or combination of
impairments.” However, the regulations do not fail to consider
certain risk factors on a child's current functioning. In addition, the
functional consequences of an impairment should be evaluated without
regard to how they might improve in a different household or
surroundings.
(Regulations Preamble at 55 FR 5544; See also the discussion of
“Risk Factors” at 55 FR 5551)
18. Will the DDSs request assessments of a child's functioning from treating sources at the initial and reconsideration levels?
Yes. As in adult claims, the DDS must request a statement from the
claimant's medical source about what the claimant can do despite his or
her impairment(s). In the case of a child, the statement will be about the
child's ability to function independently, appropriately, and effectively
in an age-appropriate manner and to perform age-appropriate daily
activities. When necessary, the State agency will request information
about functioning from other programs and agencies, e.g., early
intervention programs, preschools and schools.
(20 CFR §§
416.913(b)(6) and
416.913(c)(3);
§ 112.00D of Appendix 1 to Subpart P of Regulations Part 404)
COMPARABLE SEVERITY
19. Does the list of disabling configurations in Ch. 6, Sec. VI. C. of the training manual function as another listing of impairments?
No. The examples, which are taken directly from the regulations,
illustrate the type of impairment(s)
generally considered to be of
comparable severity to an impairment(s) which would disable an adult. They
are not all-inclusive. They describe “... a level of impairment
severity that is
generally, though not invariably,
sufficient to establish comparable severity ...” (emphasis
added).
(20 CFR §
416.924e(c) and
(d); TM Ch. 6,
Sect. VI. C.)
20. When determining disability based on an IFA, is a child under age 16 with “moderate” limitations in three domains always found disabled (as described in § 416.924e(c)(2)(ii))?
Generally, “yes.” As stated in the previous answer, the
examples in the regulations at §
416.924e(c) and
(d) illustrate
the type of impairment(s) generally
considered to be of comparable severity to an impairment(s) which would
disable an adult.
However, as noted in §
416.924e(b)(2),
“[t]he spectrum of limitations that may constitute ”moderate“ impairment in this age group ranges from
limitations that may be close to the ”marked“level in
severity to limitations that may be close to the ”mild“level
and, thus, considerably less limiting.” The evaluation “...
requires careful consideration and judgment in each individual
case” in order to determine whether the child functions
independently, appropriately and effectively in an age-appropriate
manner.
21. The decision rationale example in Ch. 6, Sec. VI. E. of the OHA Training Manual does not adequately demonstrate the distinction between a favorable and an unfavorable decision.
The rationale example is intended only to show how to apply the evaluation
process in the context of a narrative decision. It is not intended to be
representative of a complete or comprehensive evaluation.
22. Is it appropriate to call a vocational expert (VE) in the case of a 16 to 18 year-old to assist in determining whether the child's limitations represent a substantial loss or deficit of capacity to do age-appropriate physical or mental work-related activities?
No. Determining whether the child's limitations represent a substantial
loss or deficit of capacity to do age-appropriate physical or mental
work-related activities is not a vocational assessment. Determining, for
example, if a child's limited ability to interact socially with
schoolmates represents a substantial (or minimal, or moderate) loss of
capacity to do age-appropriate mental work-related activities requires
consideration of medical and legal issues outside the proper scope of VE
testimony.
23. Is it appropriate to call a VE in a child's case, and ask whether an adult with the same limitations as the child could work?
No. Although a child must have an impairment of “comparable
severity” to one that would disable an adult, we do not compare a
child to an adult in order to determine whether the child is disabled.
Knowing whether an adult with the same limitations that a child claimant
has could work would tell us nothing about the
child's ability to function
independently, appropriately, and effectively in an age-appropriate
manner.
24. Under what circumstance is it appropriate to call a VE in a child's case?
The vocational issues about which a VE testifies have no relevance to
determining disability in children including older adolescents, age 16 to
attainment of age 18. We determine childhood disability based on a
medical/functional analysis of the child's ability to function in an
age-appropriate manner, not on an analysis of his or her ability to work
(which is a medical/vocational analysis).
(HALLEX
HA 01250.050,
Instructor's Manual Tab I-A)
AGE
25. For purposes of the Zebley regulations, when does a child attain a given age?
An individual attains a given age on the first moment of the day preceding
the anniversary of his or her birth corresponding to such age. Therefore,
an individual born on June 13, 1974 attains age 18, and becomes an
“adult,” on the first moment of June 12, 1992.
(20 CFR §
416.120(c)(4))
26. Are standardized I.Q. tests unreliable for younger children (i.e., children under age 5)?
Not necessarily. I.Q. testing in children is discussed in § 112.00 D
of Appendix 1 to Subpart P of Regulations Part 404. Test results obtained
at younger ages (i.e., below age 6) are less reliable and valid than tests
obtained at older ages. The tests results should be consistent with the
child's behavior and daily activities as reflected in the evidence of
record, including reports of disability interviews or observations or
testimony at a hearing. When there are inconsistencies, further
documentation of the child's development and functioning may be needed to
resolve these differences.
27. Is there a “tolerance rule” for applying the age categories?
No. The age categories are general guidelines, not absolute divisions.
They function as descriptive devices and are a convenient way to describe
functioning and the kinds of evidence we would expect to need for children
of different ages. Because the guidelines regarding what may constitute a
disability in the different age categories are set at the same level of
severity, there is no advantage or disadvantage to a child's being
“assigned” to one age category or another.
(20 CFR §
416.924b(b); TM Ch. 3, Sect. I.)
28. How do we handle a case in which, during the period at issue, the claimant changes age categories (e.g., the claim was filed when the claimant was 6 months old and he is now age 3)?
Handle these cases the same way we handle an adult case in which the
claimant changes age categories during the period at issue. If an adult
files as a younger individual, and becomes closely approaching advanced
age before the final decision, we decide disability for the period during
which the claimant was a younger individual. We also decide disability for
the period during which the claimant was closely approaching advanced age.
We perform a similar analysis in childhood disability cases. We evaluate
the case at each moment that is covered by the application and only stop
if we find the claimant disabled (assuming, of course, that there is not a
closed period of disability).
The same principle holds true if a child attains age 18 during the
relevant period. We first evaluate the claimant as a child. If the
evidence results in a finding of disabled under the childhood rules (and
the claimant has been continuously disabled since onset) that is the end
of the matter. If, when the claimant was still a “child,” he
or she was not disabled under the childhood rules, we then continue to
evaluate the claim to the present, considering the adult rules when the
claimant attains age 18. If the claimant became disabled as an adult, we
establish a later onset date.
However, in the second case, we must also be certain that the claimant's
condition(s) was somehow worse at the time of this later onset (i.e.,
after attainment of age 18) than it had been at the time the claimant was
a child. The new rules for children are intended to establish disability
based on a standard of comparable severity to the adult standard.
Therefore, it should not be possible for a claimant who is, for example,
17 years old to be not disabled under the childhood rules, but for the
same claimant, with the exact same impairments and functional limitations,
to be disabled under the adult rules. (See the additional discussion below
with respect to Zebley readjudication
cases).
PROCEDURAL ISSUES
29. Should a child appear and testify at the hearing? Are ALJs expected to question children for competency?
The childhood disability regulations do not change current policy and
procedures. They neither require nor preclude a child-claimant's testimony
at a hearing. The ALJ should exercise judgment in determining whether to
request claimant testimony, and should always allow the child to testify
if the child or the child's representative, parent, guardian, etc. so
requests.
The fact that a child is a minor, and may, therefore, be considered
incompetent to present testimony in formal court proceedings, does not
preclude the child from testifying in our proceedings. As in all cases,
the credibility of the claimant's testimony must be assessed based on all
the evidence.
30. Is it appropriate to remand a child's case to the DDS if the issue of a mental impairment first arises at the hearing level?
The remand provisions in the regulations
(20 CFR §
416.920a(d)(1)(iii)) apply to all cases, adult or child, and have
not changed. Therefore, if the criteria in the regulations are met, the
administrative law judge may decide to remand the case to the State
agency.
31. In doing the IFA, is it necessary to make formal, numbered findings on all the related issues?
The decision must address and resolve all the issues relevant to the
resolution of whether the claimant is disabled. The numbered findings at
the end of the decision should roughly parallel those now used in adult
cases. That is, there will be a finding describing the claimant's ability
to function (similar to the RFC finding in adult cases), but the full IFA
discussion and explanation will only be in the narrative portion of the
decision.
32. The training material states that ALJs do not have to complete an IFA form. Is this stated in the regulations?
No. The regulations do not discuss or mention an IFA “form”
at any level of adjudication. The Office of Disability developed IFA
formats which DDSs can use in the same way they use RFC forms - as a
convenient way to summarize their findings.
(20 CFR §
416.924a; TM Ch. 6, Sect. V. D. and E.)
33. Should we admit into the record IFA forms completed by the DDS?
Yes. IFA assessments signed by a DDS physician or psychologist, like RFC
assessments, are medical opinion evidence from nonexamining physicians/
psychologists. We admit them into the record and consider them in reaching
a decision.
(20 CFR §
416.927(b) and
(f);
HALLEX
HA 01210.015 A. 2. a.)
34. If the folder does not contain an IFA by a DDS physician or psychologist, is remand to the DDS warranted?
No. Cases denied at the initial and reconsideration levels at the first or
second step of the sequential evaluation will not ordinarily contain an
IFA. Because the IFA is an integral part of the disability determination
at the fourth step, all cases denied at that step will include an
IFA.
In the unlikely event that an IFA was not done in an SSI childhood
disability case denied at the fourth step, remand is not appropriate. The
regulations do not provide for either remand or case review
(“informal remand”) in such a situation, as they do for a
case in which a mental impairment was not evaluated by the DDS.
(20 CFR §§
416.941,
416.948(c) and
416.920a(d)(1)(iii))
35. What should we do with a pending adult case if the claimant has a prior childhood claim which is being evaluated under the Zebley readjudication procedure at the DDS level? Should we attempt to consolidate the claims?
We should attempt to consolidate the claims and make one decision. (See
discussion of Zebley class member adjudication,
below.)
GENERAL
36. Will DDSs have pediatric specialists for CEs?
Yes. DDSs have been recruiting a greater number of pediatricians and other
appropriate specialists.
Zebley CLASS MEMBER ADJUDICATION
Adjudication of Zebley class member cases is
discussed in HALLEX Temporary Instruction
HA 01540.028, issued
February 7, 1992.
37. In Zebley retroactive cases, how do we apply the presumption of retroactive disability?
As you know, the Zebley Stipulation and Order
entered March 14, 1991, states that the Secretary will instruct
adjudicators to infer that, in the absence of contrary evidence (such as
traumatic onset of disability or a new impairment) or contrary medical
judgment, a class member is disabled from the date of the first
application for children's SSI disability payments which is included
within the class period (i.e., on or after January 1, 1980) if he or she
has subsequently been found disabled under title II or title XVI as an
adult or a child (i.e., denials rendered in a claim at any level on or
after January 1, 1980 and denials after January 1, 1980 of a request to
reopen a determination or decision if such request to reopen was pending
on January 1, 1980). If we find current disability, we must establish
disability as of the earliest Zebley application
within the class period unless there
is contrary evidence (such as a later traumatic/acute onset or a different
impairment manifesting itself after the Zebley
application date) or a contrary medical judgment (a medical judgment which
indicates that, under the new regulations, the impairment, especially a
progressive impairment, was not disabling at the time of the earliest
application).
If we find current disability, and there is contrary evidence or contrary
medical judgment, we must readjudicate the Zebley
claim based on all available evidence, including any prior folders and
retroactive medical evidence available. (Note that, before issuing any
denial determination at the initial or reconsideration level, the DDS must
retrieve all prior folders and retroactive medical evidence available. It
should not be necessary for hearing offices to do additional
searching.)
(Instructor's Manual Tab N; POMS
DI 32597.020
A.)
38. What are the rules for reopening?
All Zebley class members will receive a reopened
initial determination on the earliest application covered by the court
order. Otherwise, the usual rules for reopening (in
20 CFR §
416.1487ff) apply.
When a case comes to the hearings or appeals level, the
determination/decision on the earliest application will have been reopened
at the initial determination (in effect, making all subsequent childhood
claims moot).
(POMS
DI 32597.010
B.)
39. How do we evaluate a readjudication case if the claimant attained age 18 subsequent to the date of the application being readjudicated?
First, we decide if the current evidence shows that the claimant is
disabled under the adult rules. If so, we then consider whether we can
presume that a continuous period of disability existed as of the earliest
reopened application date. If we can presume that there has been a
continuous period of disability, we need go no further, and a fully
favorable decision is appropriate. (Because the new regulations for
children are based on the principle of “comparable severity”
to impairments that would disable adults, the presumption can be applied
even though the decision was made under the adult rules.)
If we must consider evidence from a time at which the claimant was under
age 18, (either because the claimant is not currently disabled or because
we cannot presume that a continuous period of disability existed), we use
the new childhood rules to evaluate the period prior to age 18.
40. Will we receive additional guidelines for handling appeals of retroactive benefit amounts in allowed cases, especially those involving rebuttal of the presumption of eligibility to the average monthly SSI benefit?
The average monthly payment amounts - or flat rates - are set forth in
paragraph VII.H.2. of the March 14, 1991 stipulation and order
(HALLEX
HA 01540.028, Attachment
1). The procedures for rebutting the flat rates are outlined in
POMS
SI
02008.007.
Although there is the potential for complex benefit computations due to
the length of the retroactive period covered by the application, the
method of handling these cases is the same as any other appeal of an SSI
benefit amount. Therefore, no additional guidelines are being
prepared.
41. How do we do case identification coding if a Zebley case is also in another class action?
The hearing office tracking system (HOTS) is not capable of showing that a
case belongs to multiple class actions. We are working on appropriate
systems modifications, and will provide instructions as soon as
possible.
CONTINUING DISABILITY REVIEWS (CDRs)
42. In evaluating medical improvement, how do we evaluate improvements in functioning which result from adaptations?
We evaluate these the same way we do improvements which result from other
medical treatment. If adaptations have produced a decrease in the medical
severity of the impairment(s) which was present at the time of the most
recent favorable decision (the comparison point decision (CPD)), there has
been medical improvement. Of course, we must also consider the degree to
which the adaptation(s) enables the child to function and any limitations
caused by the adaptation
(20 CFR
§416.924d(e)).
43. What do we do if, in a CDR case, the child has a new impairment which was not considered in the comparison point decision?
We do the same as we would in an adult case - evaluate medical improvement
based only on the impairment(s) which was present (that is, there was
medical evidence establishing its existence) at the time of the most
recent favorable medical determination/decision. Of course, if we
establish that there is medical improvement related to the ability to
work, we then consider all the current impairments in determining whether
the child is currently disabled. For a child, we say that medical
improvement is related to the ability to work when there has been an
increase in the ability to function independently, appropriately, and
effectively in an age-appropriate manner.
(20 CFR §
416.994a(c)) and
(d)
44. In the CDR process, if a child's impairment has not changed since the comparison point, but the child is in a new age category, will a cessation result because the same degree of impairment is considered less disabling at the older age?
No. Section
1614(a)(4) of the
Act and §
416.994a of our
regulations require that there be a showing of medical improvement. As we
do in the adult rules, we define medical improvement under §
416.994a(c) in
terms of a “decrease in medical severity. . . based on changes
(improvement) in symptoms, signs, or laboratory findings associated with
[the child's] impairment(s).” Therefore, if there were no changes
in the findings at all, there could not be medical improvement and
disability would continue, unless one of the exceptions applies.
If the impact of the impairment(s) on the child's ability to function has
changed, this change may be considered when we determine whether there has
been medical improvement. Under §
416.994a(c)(2),
the terms “symptoms,” “signs,” and
“laboratory findings” for children may include abnormalities
of physical and mental functioning that were used in making the most
recent favorable decision. This is because in children, evidence of
various functions can constitute medical findings. Therefore, if there
were functions that were considered to be symptoms, signs, or laboratory
findings in the comparison point decision, these functions would be
considered when determining whether there has been medical
improvement.
Even if there is such improvement in functioning, this does not mean that
disability has ceased. Any medical improvement must also be “related
to the ability to work,” and the child's current impairment(s) must
either be “not severe” or not be currently disabling based on
an IFA.
As a final matter, the question makes an inaccurate statement about the
childhood disability policy. It is never true that “the same degree
of impairment is considered less disabling at [an] older age,” as
stated in the question. The degree of impairment considered to be
disabling does not vary with a child's age; regardless of age, a child
will be found disabled (or still disabled) if his or her ability to
function in an age-appropriate manner is substantially reduced, as set
forth in §
416.924(a). It
is important to remember that the age categories in the childhood
regulations do not have the same purpose as the age categories in the
adult disability regulations. Whereas the age categories in the adult
rules can be among the findings that are dispositive of the issue of
disability, the age categories in the childhood rules have a different
purpose. They function only as convenient devices under which the rules
describe the types of functioning to look for in children of that age and
the kinds of evidence we would expect to need for those children. There is
no advantage — or disadvantage — to a child's being
“assigned” to one category or another, and a different result
should not occur solely because a child is in one “age
category” rather than another. The issue before the ALJ (or the AC)
is to determine how the individual child's impairment(s) affects his or
her ability to function independently, appropriately, and effectively in
an age-appropriate manner.
(20 CFR §
416.994a(b)(2))
45. In deciding if medical improvement is related to the ability to work in the case of a child who is in a different age category than he or she was at the comparison point, how do we compare those domains/behaviors which are different in the two age categories? For example, if a child was most recently found disabled as an 11 month old based on an IFA, and is age 5 years at the CDR, the behavioral areas evaluated at those ages are different. Also, what if the individual is an adult when the CDR is done?
The regulations state that, when the comparison point decision (CPD) was
based on an IFA, we compare the prior IFA to a new IFA based on the
functions relevant to the child's current age. The determination of
whether medical improvement is related to the ability to work is not,
however, limited to an assessment of changes in a child's functioning
by domain. The determination
involves a comparison of the child's current
overall functioning with his or her
functioning as of the CPD.
After finding MI, we use the new IFA to develop a profile of the child's
ability to function in the domains or behaviors applicable to his or her
current age (or age at the time of the CDR). (Remember, at this point in
the process, we still only consider the impairment(s) that was present at
the CPD.) We then compare the current IFA, in its totality, with the IFA
developed at the CPD and make a judgment regarding whether,
overall, there has been an increase
in the child's ability to function independently, appropriately and
effectively in an age-appropriate manner. If there has been an increase in
the child's overall level of
functioning, then medical improvement is “related to the ability to
work.” Of course, we must then go on to determine whether the child
is currently disabled, considering all current impairments, in order to
decide if disability continues.
In the case of the 5-year-old child most recently found disabled as an
11-month-old, the functioning that we previously assessed under
“responsiveness to stimuli” might, at the CDR, be assessed
under “concentration, persistence, and pace” or under the
“personal/behavioral” domain. The fact that we do not assess
5-year-olds using a domain called “responsiveness to stimuli”
does not mean that we disregard their functioning. Improvements in the
child's functioning cannot be ignored simply because the previous domain
or behavior category is not used in the child's new age group. It is
important that we assess all aspects of a child's functioning - each
specific activity, milestone, behavior, limitation or whatever else is
appropriate to understanding how a child is actually functioning. Only
after itemizing all the specific functions/limitations do we fit them into
the domain/behavior categories.
If a child who was found disabled based on an IFA at the comparison point
is an adult at the time of the CDR, the determination of whether medical
improvement is related to the ability to work depends on the child's age
at the CPD date.
•
If the child was an older adolescent (age 16 to age 18) and the IFA
considered work-related activities, we compare the current RFC to the CPD
IFA to determine whether medical improvement is related to the ability to
work.
•
If the IFA was based on domains/behaviors (i.e., the child was under age
16 at the CPD date), we do a current IFA
as if the person were now a child just under age 18
to compare with the prior IFA. Of course, this “hypothetical”
current IFA is only used in evaluating whether medical improvement is
related to the ability to work. If there is medical improvement related to
the ability to work (or an exception applies) and the individual currently
has a severe impairment, we must also do an RFC assessment to determine if
the individual is currently disabled.
(The later procedure is not discussed in the regulations or in the
training material, but is described in
POMS
DI 28015.320 A.
6.)
46. Are CDRs scheduled sooner for children allowed under the third step as opposed to those allowed based on an IFA?
No. CDRs are scheduled on the basis of medical reexamination diaries,
which are primarily determined by the nature of the claimant's
impairment(s).
(20 CFR §
416.990)
EVIDENCE
47. At the initial and reconsideration levels, are the SSA field offices (FOs) and DDSs obtaining additional information about childrens' medical sources, activities, etc.?
Yes. Until recently, the FO obtained a childhood disability interview form
SSA-3820, and a supplemental questionnaire (described in
POMS
DI 11005.032 and
11095.166). They
now obtain an SSA-3881, Questionnaire for Children Claiming SSI Benefits
(Exhibit A). In addition, the DDSs are required to fully develop evidence
about the child's functioning, including information about activities
(POMS
DI
25205.010).
48. Is there any provision for paying nonmedical sources for evidence?
If requested evidence meets the definition of “medical evidence of
record” (which is defined in POMS
DI
22505.040 B.1.), we will pay a non-Federal source for it as medical
evidence. Medical evidence of record is a document received from a
physician, psychologist, clinic, hospital or other provider of medical
services for the purpose of documenting a disability claim. We may
reimburse non-Federal sources for information which does not meet this
definition similarly to the way we reimburse for photocopying
services.
49. Should we document unsuccessful attempts to obtain functional assessments?
As with any other request for medical evidence, we should retain
documentation of the request in the claims file.
(HALLEX
HA 01250.014)
50. Are there legal restrictions to obtaining some types of evidence (e.g., state laws restricting access to school records)? What should we do in such a case? Will we receive additional guidelines on obtaining school records?
There may be instances when a custodian of needed evidence restricts
access to its records in some way. If so, we should make a good faith
effort to accommodate any special requirements (e.g., by obtaining a
special release authorization from the claimant). The regulations require
that we make “every reasonable effort” to obtain medical
records from the claimant's medical sources
(20 CFR §
416.912(d)). Ultimately, it is the claimant's responsibility to
provide evidence of his or her impairment
(20 CFR §
416.912(c) and
416.916).
For your information, we attach as Exhibit B, a copy of Disability
Determination Services Administrators' Letter No. 180, dated August 8,
1991, which contains information about obtaining school records in
disabled child claims.
(See also paragraph XI.B. of the March 19, 1991 Stipulation and Order
(HALLEX
HA 01540.028, Attachment
1))
51. Will we receive additional guidelines on types of psychological tests appropriate for children?
The childhood mental listings include a discussion of psychological
testing in § 112.00D of Appendix 1 to Subpart P of Regulations Part
404.
The Office of Disability's Office of Medical Evaluation recently compiled
a list describing commercially available tests which meet our criteria for
reliability, validity and appropriate normative data. We attach as Exhibit
C a copy of the list, but caution that it should not be used as a basis
for requesting specific tests in a consultative examination. As the
Associate Commissioner for Disability explained in her transmitting
memorandum, the list is intended only for use by medical professionals
expert in psychometric evaluation. We provide the list for informational
purposes only.
(TM Appendix II)
52. Are we developing forms (similar to current “medical assessment” forms used to record medical source statements about what a claimant can do) for consultants to complete in childhood cases?
We have no plans to do so at this time. We do not believe that it is
practical to design a form which would elicit from medical sources the
information necessary in childhood disability cases. Assessing functioning
in children is much more complex than in adults because it requires
consideration of different issues for children of different ages. Even if
we designed a form which addressed children of all age groups, such a form
would be so complex that it is unlikely medical sources would be willing
to devote the time needed to complete the form.
CHILDHOOD MENTAL LISTINGS
53. When evaluating a child's impairment(s) at the third step of the sequential evaluation process (meets/equals), should we still consider both Part A and Part B of the listing of impairments in Appendix 1 of Subpart P of Regulations No. 4?
Yes. The applicability of Parts A and B of the listing of impairments has
not changed. Part A applies to individuals age 18 and over and to children
under age 18 when the criteria are appropriate. Part B applies only to
children under age 18 and should be used first.
(20 CFR §
416.925)
Attachments:
Exhibits A - C