JUDGES' BENCHBOOK:
Longshore and Harbor Workers' Compensation Act
April 16, 2002 [2002 Revision]
RESPONSIBLE EMPLOYER
DISCLAIMER:
The Longshore Benchbook was created solely to assist the Office of Administrative Law
Judges as a first reference in researching cases arising under the Longshore and Harbor Workers'
Compensation Act, and extension acts, as amended. This Benchbook does not constitute the official
opinion of the Department of Labor, the Office of Administrative Law Judges, or any individual
judge on any subject. This Benchbook does not necessarily contain an exhaustive or current
treatment of case holdings, and should, under no circumstances, substitute for a party's own research
into the statutory, regulatory, and case law authorities on any given subject referred to therein. It is
intended to be used as a research tool, not as final legal authority and should not be cited or relied
upon as such.
For social policy reasons, there is no apportionment of liability in successive or cumulative
injury and occupational disease cases under the LHWCA. The last employer is generally held liable
for all compensation due an injured worker, even though his work for prior employers contributed
to the disability. Todd Shipyards Corp. v. Black, 717 F.2d 1280, 1284-85 (9th Cir. 1983), cert.
denied, 466 U.S. 937 (1984). The derivative liability of successive insurers follows the same
principles as are applied to employers. (SeeRESPONSIBLE CARRIER, infra.)
Two judicially-created rules, which are sometimes treated as if they were one, determine
which of the successive employers is held liable. The first, commonly known as the Cardillo rule,
has also been called the last employer rule, the last-injurious-exposure rule, the occupational disease
rule, or the disease rule. The second is called the aggravation or two-injury rule.
A Ninth Circuit opinion characterized the second rule as
merely a "branch" which has
"sprouted" off the first, chided the tendency to apply them both when in doubt,
and instructed that Cardillo should be applied only in occupational disease cases, and the aggravation rule in successive
injury or cumulative trauma cases. Foundation Constructors, Inc. v. Director, OWCP, 950 F.2d 621,
623-24 (9th Cir. 1991).
Because liability attaches at different times under the two rules, who among successive
employers or carriers is last and therefore the liable or responsible employer, may depend on the
classification of a given medical condition as an occupational disease or an injury, and the
concomitant choice of either the Cardillo or the aggravation rule. Kelaita v. Director, OWCP, 799
F.2d 1308 (9th Cir. 1986).
If a claimant has a meritorious claim for benefits, the ALJ has the authority to address the
issue of the responsible employer under the borrowed employee doctrine and this authority includes
addressing ancillary contract issues. Schaubert v. Omega Services Industries, Inc., 31 BRBS 24
(1997). When the primary issue is one of responsible employer any issues related to insurance
contracts are ancillary and may also be addressed. Schaubert v. Omega Services Industries, 32
BRBS 233(1998).
In Temporary Employment Services v. Trinity Marine Group, Inc., 261 F.3d 456 (5th Cir.
2001), the Fifth Circuit found that the ALJ did not have
jurisdiction to determine the merits of certain contractual rights and liabilities
arising from an indemnification agreement between the
borrowing employer and the loaning employer. Additionally the court found
that the ALJ did not have jurisdiction to address a waiver of subrogation by
the loaning employer's carrier. The
jurisdiction issue turned on the interpretation of that part of Section 19(a)
of the LHWCA stating that an ALJ has authority "to hear and determine all questions in respect of such claims." The Fifth
Circuit concluded that the contract dispute was not integral to the longshore compensation claim
and that the Board and the ALJ did not have the statutory authority to determine that issue.
In Weber v. S.C. Loveland Co. (Weber III), ___ BRBS ___ (BRB Nos. 00-838, 00-838A and
00-838B) (Jan. 30 2002), the Board distinguished Temporary Employment Services. The issue in
Weber was which of two, if any insurers was on the risk for longshore benefits at the time of the
claimant's injury and is liable for those benefits. In Weber,
the claimant was injured in Jamaica and the Board found that the claimant was "covered under the LHWCA." There
were two insurance policies in question.. One covered injuries within the United
States and included Longshore
coverage. The other covered injuries outside the U.S. and did not include
Longshore coverage. The Board noted that in Temporary Employment Services, the Fifth Circuit held that contractual
disputes between and among insurance carriers and employers which do not involve the claimant's
entitlement to benefits or which party is responsible for paying those benefits, are beyond the scope
of authority of the ALJ and the Board. However, the Board found that Weber "does not involve
indemnification agreements among employers and carriers, but presents a traditional issue of which
of employers' carriers is liable." Thus the Board found that the ALJ has the
authority to address the issue.
[ED. NOTE:Schaubert, noted above (in both the 1997 and 1998 versions) provides a good example
of the intermingling of employers, (borrowing and lending), carriers, and contractual agreements.]
70.2 OCCUPATIONAL DISEASES AND THE CARDILLO RULE
The Cardillo rule is:
[T]he employer during the last employment in which the claimant
was exposed to injurious stimuli, prior to the date upon which the
claimant became aware of the fact that he was suffering from an
occupational disease arising naturally out of his employment, should
be liable for the full amount of the award.
Travelers Ins. Co. v. Cardillo, 225 F.2d 137 (2d Cir.), cert. denied, 350 U.S. 913 (1955).
The Second Circuit announced its continuing adherence to Cardillo in General Dynamics
Corp., Electric Boat Division v. Benefits Review Board, 565 F.2d 208 (2d Cir. 1977). It has not
revisited the rule since other circuits engrafted modifications on to it.
The Ninth Circuit followed Cardillo in Cordero v. Triple A Machine Shop, 580 F.2d 1331,
1336 (9th Cir. 1978), cert. denied, 440 U.S. 911 (1979), but added a significant modification, i.e.,
that liability attaches on the date of onset of disability rather than the date of awareness. In Todd
Shipyards Corp. v. Black, 717 F.2d 1280 (9th Cir. 1983), Cardillo was again modified by a holding
that later exposure in employment not covered by the LHWCA does not relieve the last longshore
employer of liability.
In Port of Portland v. Director, OWCP, 932 F.2d 836 (9th Cir. 1991), a hearing loss case,
the Ninth Circuit reiterated that the employer's liability
attaches on the date of disability, treated awareness as irrelevant, and ruled
that "[l]iability should fall on the employer 'covering the risk at
the time of the most recent injury that bears a casual [sic] relation to the
disability.'" Id. at 840
(quoting Cordero, 580 F.2d at 1336). SeealsoTodd Pac. Shipyards Corp. v. Director, OWCP,
(Picinich), 914 F.2d 1317, 1319 (9th Cir. 1990).
The Eleventh Circuit followed Cardillo and Cordero in Argonaut Insurance Co. v. Patterson,
846 F.2d 715 (11th Cir. 1988). Although the court held that on the facts before it liability attached
when disability commenced, it did not disturb Cardillo's awareness
formulation of the rule. It held that liability attached on the date when the
claimant became aware or should have become aware of
the connection between his disability, his disease, and his employment, and
that the requisite awareness occurred when the claimant "should have realized
that he had developed an 'incapacity because of injury to earn the wages'...
which he had previously received." Id.
at 721. The court expressly noted that it was not deciding how it would rule
in a case where "an employee might
become aware, in advance of any disability, that he or she had contracted a
disease which in its final stages would result in disability." Id. n.10.
The First Circuit reviewed Cardillo at
length in a successive insurer case in which it squarely confronted the vexing
question whether liability attaches on "the date of disablement or the
date of awareness of potential disablement." Liberty Mut. Ins. Co. v. Commercial Union Ins. Co.,
978 F.2d 750, 752 (1st Cir. 1992). The court's answer dispensed with awareness altogether:
[The last] employer during the period in which the claimant was
exposed to the injurious stimuli and prior to the date the claimant
became disabled by an occupational disease arising naturally out of
his employment and exposure is ... the liable employer.
Id. at 756 (emphasis added).
The Board's current formulation of the Cardillo rule retains the awareness concept, but makes
the date of disability the earliest date on which liability can attach:
In occupational disease cases, the responsible employer is the
employer during the last employment where claimant was exposed to
injurious stimuli prior to the date on which claimant was aware or
should have been aware of the relationship between his disability,
disease and his employment. ... Claimant cannot be held to be aware
of the relationship between his occupational disease, employment and
disability prior to the date he became disabled.
Carver v. Ingalls Shipbuilding, Inc., 24 BRBS 243, 246-47 (1991) (emphasis in original). Although
the First Circuit's and the Board's formulations are different, the First Circuit cited Carver with
approval in Liberty Mutual,
978 F.2d at 756, and characterized it as "holding that carrier liability
attaches at the date of disablement." The Board dealt with Cardillo (after Liberty Mutual came
down) in Maes v. Barrett & Hilp, 27 BRBS 128 (1993), but the opinion did not cite Liberty Mutual,
and merely repeated an abbreviated version of Cardillo: "[T]he
last employer or carrier to expose the employee to injurious stimuli prior
to his awareness of his occupational disease is liable for
compensation." Maes at 131.
The Board has held repeatedly that the awareness component of the rule is the same as the
awareness requirement of Sections 12 and 13. Spear v. General Dynamics Corp., 25 BRBS 254,
257-58 (1991); Mauk v. Northwest Marine Iron Works, 25 BRBS 118, 124 (1991); Carver, 24 BRBS
at 246; Ranks v. Bath Iron Works Corp., 22 BRBS 302, 307 (1989); Grace v. Bath Iron Works
Corp., 21 BRBS 244 (1988); Gray & Co.
v. Highland Ins. Co., 9 BRBS 424, 427 (1978).
The Eleventh Circuit agreed in Argonaut Insurance Co. v. Patterson, 846 F.2d 715 (11th
Cir. 1988). But Port of Portland v. Director, OWCP, 932 F.2d 836, 841 (9th Cir. 1991) found no
support for this conclusion and rejected the principle in broad language without limiting it to hearing
loss situations with which the case dealt. (In Port of Portland, the Ninth Circuit found that the last
responsible employer was the one to last expose the claimant to excessive noise before an audiogram
diagnosed his hearing loss.)
A physician's diagnosis is not required for a finding of awareness. It merely establishes the
latest date by which a claimant should have been aware of the work-relatedness of his condition.
Todd v. Todd Shipyards Corp., 16 BRBS 163, 166 (1984).
The judge must make a finding of the date when the claimant became aware of the
relationship of his employment, disease, and disability, so that the Board can perform its review
function. Carver v. Ingalls Shipbuilding, Inc., 24 BRBS 243, 246 (1991); Blake v. Bethlehem Steel
Corp., 21 BRBS 49, 54 (1988).
The Cardillo rule applies to occupational disease cases only. It does not apply to injuries,
either cumulative or discrete. Foundation Constructors, Inc. v. Director, OWCP, 950 F.2d 621, 623
(9th Cir. 199l); Steed v. Container Stevedoring Co., 25 BRBS 210, 219 (1991); Rodriguez
v. California Stevedore & Ballast Co., 16 BRBS 371 (1984).
Occupational disease is not defined in the LHWCA. Courts have defined it
as "any disease
arising out of exposure to harmful conditions of employment, when those conditions
are present in a peculiar or increased degree by comparison with employment
generally." Gencarelle v. General
Dynamics Corp., 892 F.2d 173, 176 (2d Cir. 1989). The Gencarelle court expressly declined to rule
that repetitive motion such as walking or stooping can be classified as a hazardous condition which
can give rise to an occupational disease. Id. at 177. SeeLiberty Mut. Ins. Co. v. Commercial Union
Ins. Co., 978 F.2d 750, 752 (1st Cir. 1992). Although gradual rather than sudden onset of the
condition is required, gradual onset alone does not make it an occupational disease. A cumulative
injury gradually developing over a long period of employment may be classified as accidental.
Steed, 25 BRBS 210.
Diseases of the lungs and heart have been held to be occupational diseases. Liberty Mutual,
978 F.2d 750 (asbestosis); Argonaut Ins. Co. v. Patterson, 846 F.2d 715 (11th Cir. 1988) (silicosis);
Crum v. General Adjustment Bureau, 738 F.2d 474 (D.C. Cir. 1984), aff'ginpertinentpart 12
BRBS 458 (1980) (heart disease/angina); Cordero v. Triple A Mach. Shop, 580 F.2d 1331 (9th Cir.
1978), cert. denied, 440 U.S. 911 (1979) (chronic bronchitis and obstructive lung disease); General
Dynamics Corp., Elec. Boat Div. v. Benefits Review Bd., 565 F.2d 208 (2d Cir. 1977) (lung cancer
and asbestosis); Thorud v. Brady Hamilton Stevedore Co., 18 BRBS 232 (1986) (bronchial asthma).
Orthopedic conditions have generally been determined not to be occupational diseases.
Gencarelle, 892 F.2d 173 (chronic synovitis and arthritis in knee); Director, OWCP v. General
Dynamics Corp. (Morales), 769 F.2d 66, 68 (2d Cir. 1985) (osteoarthritis of knee); Steed, 25 BRBS
210 (lumbar stenosis); Lindsay v. Owens-Corning Fiberglass Sales, 13 BRBS 922, 927 (1981) (leg
and foot pain). Seegenerally 1B A. Larson, The Law of Workmen's Compensation §§ 41.30-41.44.
Disability due to an occupational disease commences when a worker first suffers diminution
of his earning capacity caused by the disease, not when he has an out-of-pocket loss. This
diminution of wage-earning capacity does not occur automatically when a disabling disease such as
asbestosis is diagnosed. When it occurs is a question of fact. It may occur in the absence of physical
symptoms, and it may or may not coincide with the diagnosis. Liberty Mutual, 978 F.2d at 758.
In Thorud v. Brady Hamilton Stevedore Co., 18 BRBS 232 (1986), the economically-pressed
claimant worked for six months at his regular job after a physician diagnosed his asthma, advised
against further exposure, and warned that he might have to retire if he continued working in grain
dust. The Board held that the claimant was or should have been aware of the relationship between
his injury, employment, and disability when he was diagnosed and warned, and that liability attached
then. SeeStevens v. Director, OWCP, 909 F.2d 1256, 1259 (9th Cir. 1990), cert. denied, 498 U.S.
1073 (1991); McBride v. Eastman Kodak Co., 844 F.2d 797 (D.C. Cir. 1988); Korineck v. General
Dynamics Corp. Elec. Boat Div., 835 F.2d 42, 43 (2d Cir. 1987); Fleetwood
v. Newport News Shipbuilding & Dry Dock Co., 776 F.2d 1225, 1229 (4th Cir. 1985); Patterson
v. Savannah Mach. & Shipyard, 15 BRBS 38 (1982).
A voluntary retiree may not be charged with the requisite awareness of his disability until
he knows that a permanent impairment exists. Carver v. Ingalls Shipbuilding, Inc., 24 BRBS 243,
246 (1991); Lombardi v. General Dynamics Corp., 22 BRBS 323 (1989); Curit v. Bath Iron Works
Corp., 22 BRBS 100 (1988). SeealsoHughes v. Bethlehem Steel Corp., 17 BRBS 153 (1985).
An aggravation to an initial asbestos-related injury by further exposure to pulmonary irritants
can be a new injury. Bath Iron works Corp. v. Director, U.S. Dept. of Labor, (Jones),193 F.3d 27
(1st Cir. 1999)(Initial asbestos-related injury was
aggravated by further exposure to pulmonary irritants and was subsequently found
to be a "new" injury resulting in an increase in benefits payable
by a new carrier and based upon the average weekly wage at the time of the new
injury).
While the last maritime employer rule has increasingly come under attack,
it remains steadfast, the "law of the land." Most recently in Newport
News Shipbuilding & Dry Dock Co., v.
Stilley, 243 F.3d 179, (4th Cir. 2001), the employer petitioned the Fourth Circuit to reject or
substantially modify the last maritime employer rule. In declining to alter the rule, the circuit court
noted that the present rule is consistent with the LHWCA and passes constitutional muster. Here the
worker was employed for Newport as an electrician's helper for about nine months in the 1950's,
during which time he was exposed to airborne asbestos dust and fibers in sufficient quantity and
duration to cause mesothelioma. After leaving Newport, he worked for nearly 30 years as an
electronics technician at NASA where he was exposed to asbestos for substantial periods, again in
sufficient quantity to cause lung disease. Once diagnosed, the worker had two options for seeking
worker's compensation benefits: he could file under the LHWCA or he could file under the FECA.
He choose the LHWCA.
In addressing the question of whether the last maritime employer fully liable for a claimant's
injury even though a subsequent, non-maritime employer also contributed to the injury, the Fourth
Circuit looked to Todd Shipyards v. Black, 717 F.2d 1280 (9th Cir. 1983). Butcf.Bath Iron Works
v. Brown, 194 F.3d 1, 7 (1st Cir. 1999)(criticizing the last maritime employer rule in dicta).
In Bath Iron Works Corp. v. Director , OWCP [Hutchins], 244 F.3d 222 (1st Cir. 2001), the
First Circuit explained that it had adopted a modified version
of the "last injurious exposure" and
"last insurer" rule, holding that the date of disability, rather than the date
of awareness of disease, is the key to determining the responsible insurer for
disability.
70.3 SUCCESSIVE INJURIES AND THE AGGRAVATION RULE
[ED. NOTE: Seealso, Topic 8.7.2 Special Fund Relief-New Injury (or Aggravation) Required.]
The aggravation or two-injury rule is:
If the disability resulted from the natural progression of a prior injury
and would have occurred notwithstanding the subsequent injury, then
the prior injury is compensable and accordingly, the prior employer
is responsible. If, on the other hand, the subsequent injury
aggravated, accelerated or combined with the claimant's prior injury,
thus resulting in claimant's disability, then the subsequent injury is
the compensable injury, and the subsequent employer is responsible.
Foundation Constructors v. Director, OWCP, 950 F.2d 621, 624 (9th Cir. 199l), quotingKelaita v.
Director, OWCP, 799 F.2d 1308, 1311 (9th Cir. 1986); Strachan Shipping Co. v. Nash, 782 F.2d
513 (5th Cir. 1986) (en banc), aff'g 751 F.2d 1460 (5th Cir. 1985), aff'g 15 BRBS 386 (1983);
Newport News Shipbuilding & Dry
Dock Co. v. Fishel, 694 F.2d 327 (4th Cir. 1982); Independent
Stevedore Co. v. O'Leary, 357 F.2d 812, 815 (9th Cir. 1966) Adam
v. Nicholson Terminal & Dry
Dock Co., 14 BRBS 735 (1981); Abbott
v. Dillingham Marine & Mfg. Co., 14 BRBS 453 (1981),
aff'dsubnom. Willamette
Iron & Steel Co. v. OWCP, 698 F.2d 1235 (9th Cir. 1982) (table);
Mulligan v. Haughton Elevator, 12 BRBS 99 (1980); Crawford v. Equitable Shipyards, Inc., 11
BRBS 646, 649-650 (1979), aff'dpercuriamsubnom. Employers Nat'l Ins. Co. v. Equitable
Shipyards, 640 F.2d 383 (5th Cir. 1981).
The aggravation rule, not Cardillo, applies to discrete successive accidental injuries or
aggravating episodes. Liability in such cases attaches when the last injury or aggravating incident
occurs. Strachan Shipping Co. v. Nash, 782 F.2d 513 (5th Cir. 1986) (en banc), aff'g 751 F.2d
1460 (5th Cir. 1985), aff'g 15 BRBS 386 (1983); Steed v. Container Stevedoring Co., 25 BRBS 210,
219-20 (1991); Pittman v. Jeffboat, Inc., 18 BRBS 212 (1986); Crawford v. Equitable Shipyards,
11 BRBS 646, 649-50 (1979), aff'dsubnom. Employers Nat'l Ins. Co. v. Equitable Shipyards, 640
F.2d 383 (5th Cir. 1981).
The aggravation rule, not Cardillo, also applies to injuries which are not caused by
identifiable incidents, but which are gradually produced by work activities or conditions not
peculiar to claimant's employment. Such cumulative injuries are classified as accidental injuries
and not as occupational diseases, and liability attaches at the point of last exposure to injurious
conditions or activities. Foundation Constructors, Inc. v. Director, OWCP, 950 F.2d 621, 624 (9th
Cir. 199l) (back injury aggravated by jack-hammering and heavy lifting); Steed, 25 BRBS at 219-20
(lumbar stenosis aggravated by walking and standing); Pittman v. Jeffboat, Inc., 18 BRBS at 214
(hemorrhoids aggravated by lifting and straining).
In Buchanan v. International Transportation Services,
31 BRBS 81(1997), the Board held that an employer "may be relieved of liability for disability and/or medical benefits in a two-injury
case by establishing that a subsequent work-related injury aggravated the employee's condition." It
stated the following:
In this case...[Employer I] bears the burden of proving, without benefit of ...a
presumption...by a preponderance of the evidence that there was a new injury or
aggravation with [Employer II] in order to be relieved of its liability as responsible
operator. (Citations omitted.). [Employer II], on the other hand, must prove that
claimant's condition is the result of the injury with [Employer I] in order to escape
liability. A determination as to which employer is liable requires that the
administrative law judge weigh the evidence.
In Kelaita v. Director, OWCP, 799 F.2d 1308 (9th Cir. 1986), aff'gKelaita v. Triple A
Machine Shop, 17 BRBS 10 (1984), the claimant's attritional rotator cuff tear resulted from, or was
aggravated by, repetitive pulling on a lathe at two similar jobs for two successive employers. The
claimant had periodic flare-ups of shoulder pain in both jobs. The judge, the Board, and the Ninth
Circuit viewed each pain flare-up as cumulative trauma which aggravated the underlying injury, and
held that since working conditions which could have aggravated or contributed to the claimant's
shoulder injury existed at both employers, the last employer was liable under the aggravation rule.
The Director argued in Gencarelle v. General Dynamics Corp., 892 F.2d 173 (2d Cir. 1983),
that cumulative trauma can constitute an occupational disease, but the court found it unnecessary to
decide that issue. However, it cited a number of state cases which did reach that holding. Id. at 177.
In any successive injury case, the basic question which must be faced is whether the
disability was caused solely by the first injury and its "natural progression," or is due to the
combined effect of the first injury, its "natural progression," and the later aggravation. The
difficulties attendant to making that determination are illustrated by Jones v. Director, OWCP, 977
F.2d 1106 (7th Cir. 1992).
In Jones, the welder-claimant had an accidental lumbar disc injury. He continued to have
back pain and other symptoms, and was advised that to avoid greater problems, one of his options
was to avoid lifting more than 50 lbs. His symptoms increased at a subsequent job where he drove
a delivery truck and regularly lifted 100 lbs. The judge found that the underlying disc condition was
not changed by the heavy lifting, but that the lifting brought on changes in the level of the symptoms
for which the claimant sought treatment, and that the increased symptoms were due to both the
natural progression of the original injury, and the heavy lifting at the subsequent employment.
The judge reasoned that although it was foreseeable that a man of the claimant's limited
qualifications would in the future have to do work requiring heavy lifting, it was nevertheless
negligent of the claimant to do so. The judge held that the negligent lifting was an intervening cause
which severed the causal link with the original injury, and that therefore the need to treat increased
symptoms was due to the aggravation which occurred in the service of the second employer who is
therefore liable for it.
The Board affirmed, but the Seventh Circuit reversed in
a thoughtful opinion which analyzed precedents dealing with causation, aggravation,
intervening causes, and the application of
the aggravation rule. The court expressed reservations about the Director's
position that aggravation in the subsequent employment had to be by a specific,
traumatic event, but in the end it declined to
apply the aggravation rule. The court felt it should defer to the view of
the Director, as the LHWCA's administrator, that "affirmative misconduct," not mere simple and foreseeable negligence,
was necessary to "overpower and nullify" the causal link between the symptoms
and the original disc injury.
Where the aggravation
rule applies, awareness is irrelevant for last responsible employer purposes,
though it may be significant for time bar questions. "[T]he responsible employer
is the employer for whom claimant worked at the time of the injury (i.e.
the last aggravation), regardless
of the claimant's date of awareness." Steed v. Container Stevedoring Co., 25 BRBS 210, 219-20
(1991); Pittman v. Jeffboat, Inc., 18 BRBS 212, 215 (1986). The last aggravation in such a case
occurs on the last day worked under the potentially injurious conditions or when the last aggravating
accident occurs. Steed, 25 BRBS at 220. SeealsoThorud v. Brady Hamilton Stevedore Co., 18
BRBS 232, 234 (1986).
In injury cases, like in occupational disease cases, when the onset of disability
is not simultaneous with the accident or the last aggravation or last exposure
to injurious working
conditions, the "date of injury" is not the date of the accident or aggravation or last exposure, but the
date of onset of disability, which occurs when the claimant is "put on alert
as to the likely impairment of his earning power...." Johnson v. Director, OWCP, 911 F.2d 247 (9th Cir. 1990),
cert. denied, 499 U.S. 959 (1991). Although Johnson was
dealing with the "date of injury" for
purpose of fixing the average weekly wage under Section 10, the court's interpretation of the
meaning of "injury" under other sections of the LHWCA, and its broad language,
make the case pertinent to the date of injury concept under the last employer
rule. SeealsoLiberty Mut. Ins. Co.
v. Commercial Union Ins. Co., 978 F.2d 750, 758 (1st Cir. 1992).
The last aggravation need not be the primary contributor to the resulting disability.
Independent Stevedore Co. v. O'Leary, 357 F.2d 812 (9th Cir. 1966); Lopez v. Southern Stevedores,
23 BRBS 295, 297 (1990). Nor does the last aggravation need to interact with the pre-existing
underlying condition itself to produce a worsening of the underlying impairment. It is enough that
the last aggravation combined with the underlying condition merely in an additive way and resulted
in greater overall impairment. The last employer is liable for the overall impairment regardless of
whether the underlying condition was industrially caused. Port of Portland v. Director, OWCP, 932
F.2d 836, 839 (9th Cir. 1991).
Aggravation of a covered injury (as distinguished from disease) caused by a later injury
which occurs after termination of covered longshore employment is not compensable under the
LHWCA. Leach v. Thompson's Dairy, Inc., 13 BRBS 231 (1981). SeealsoBrown v. Bath Iron
Works Corp., 22 BRBS 384, 388 (1989).
70.4 HEARING LOSS
Noise-induced hearing loss has traditionally been treated under LHWCA as an occupational
disease. Cardillo itself was a hearing loss case. The Second Circuit justified creating the last
employer rule in the first place by viewing hearing loss as a disease which developed gradually over
time, and one in which it was difficult to correlate the progression of the disease with specific
industrial experience. Travelers Ins. Co. v. Cardillo, 225 F.2d 137, 144 (2d Cir.), cert. denied, 350
U.S. 913 (1955). The Fifth Circuit has recently treated hearing loss as an occupational disease in
Avondale Industries v. Director, OWCP, 977 F.2d 186, 190 (5th Cir. 1992), and applied the Cardillo
rule.
But the Supreme Court decision in Bath Iron Works v. Director, OWCP, 506 U.S. 153
(1993) has undercut Cardillo's rationale
for classifying hearing loss as an occupational disease. In interpreting Section
10(i) of the LHWCA, the Court concluded that "[o]ccupational hearing loss,
unlike a long-latency disease such as asbestosis, is not an occupational disease
that does not 'immediately result in disability.'" Id.
at 160. "The injury, loss of hearing, occurs simultaneously
with the exposure to excessive noise. Moreover, the injury is complete when
the exposure ceases."
Id. at 162. And because hearing
loss is "a scheduled injury, [it] is presumptively disabling,
simultaneously with ... exposure." Id.
The Ninth Circuit has fashioned a new version of the Cardillo rule tailored for hearing loss
cases in Port of Portland v. Director, OWCP, 932 F.2d 836, 841 (9th Cir. 1991).
The court held that the last responsible employer is the last covered employer
to expose the claimant to injurious noise
prior to the "determinative audiogram;" that exposure to injurious noise after the "determinative
audiogram" does not affect the liability of the employer at the time of the "determinative
audiogram;" and that awareness of the "determinative audiogram" or the date of awareness of it, are
irrelevant for last employer rule purposes, though they may be significant for time-bar provisions
of Section 12 and 13. The court did not define "determinative audiogram."
The Board adopted the Port of Portland formula, abandoned its previous date of awareness
rule expounded in a line of cases following Larson v. Jones Oregon Stevedoring Co., 17 BRBS 205
(1985), and decided to impose liability on "the last employer to expose
claimant to injurious stimuli prior to the determinative... audiogram and the
filing of the claim."Good v. Ingalls
Shipbuilding, Inc., 26 BRBS 159, 163-64 (1992); Mauk v. Northwest Marine Iron Works, 25 BRBS
118, 125 (1991); Cox v. Brady-Hamilton Stevedore Co., 25 BRBS 203, 208 (1991); Spear v. General
Dynamics Corp., 25 BRBS 254, 259 n.3 (1991).
The Board referred to the "determinative audiogram" variously as the one "relied
upon by the administrative law judge in awarding benefits," Good,
26 BRBS at 163; the one "that forms the
basis of the claim," Spear,
25 BRBS at 259 n.3; the one that "best reflected the loss of hearing caused
by claimant's employment with the responsible employer," Cox,
25 BRBS at 208; and the one which is "the best measure of the claimant's occupational
hearing loss," Mauk, 25 BRBS at 125.
Neither the Board nor the Ninth Circuit have addressed what
might be the "determinative
audiogram" in a case such as Avondale Industries v. Director, OWCP, 977 F.2d 186, 189 (5th Cir.
1992), where two audiograms done two years apart were averaged to
arrive at the percentage of loss. An administrative law judge decision noted
this and other problems in applying the new "determinative audiogram" standard,
analyzed Port of Portland in light of Bath Iron Works,
and concluded that the "determinative audiogram" must be the first audiogram
to establish a permanent work-related hearing loss. Bellmer v. Jones Oregon Stevedoring Co., 27 BRBS 317 (ALJ) (1993).
The responsible employer is liable for the entire hearing loss, including presbycusis, the
portion due to aging. Port of Portland, 932 F.2d at 839-40, aff'gRonne v. Jones Oregon Stevedoring
Co., 22 BRBS 344, 346 (1989); Argonaut Ins. Co. v. Patterson, 846 F.2d 715, 722 (11th Cir. 1988);
Worthington v. Newport News Shipbuilding & Dry
Dock Co, 18 BRBS 200 (1986); Primc v. Todd
Shipyards Corp., 12 BRBS 190 (1980). SeegenerallyStrachan Shipping Co. v. Nash, 782 F.2d 513
(5th Cir. 1986) (en banc), aff'g 751 F.2d 1460 (5th Cir. 1985), aff'g 15 BRBS 386 (1983);
Lambert's Point Docks v. Harris, 718 F.2d 644 (4th Cir. 1983).
The fact that the percentage of hearing lost while working for a prior employer is known or demonstrable does not exonerate or diminish the last employer's liability for the entire loss. DiCarli
v. General Dynamics Corp., 12 BRBS 946 (1980).
If the prior loss resulted in an award, however, the last employer or carrier may be entitled
to credit for such a prior award. Strachan Shipping Co. v. Nash, 782 F.2d 513; Bracey
v. John T. Clark & Son, 12 BRBS 110 (1980). SeeCredits for Prior Awards, infra.
70.5 BURDENS OF PROOF
[ED. NOTE:Seealso, Topic 20-Presumptions.]
The Section 20(a) presumption of compensability does not aid a claimant in establishing that
he was exposed to injurious stimuli or working conditions. Martin v. Kaiser Co., 24 BRBS 112, 118
(1990).
Nor does the Section 20(a) presumption aid the employer in its efforts to shift liability to a
later covered employer. Lins v. Ingalls Shipbuilding, Inc., 26 BRBS 62, 65 (1992).
The Section 20(a) presumption does aid the claimant once harm and working conditions
(which were capable of causing it) are shown. To establish liability, the claimant does not have to
prove an actual injury by the working conditions, or that exposure to injurious stimuli caused or
aggravated the occupational disease. Good v. Ingalls Shipbuilding, Inc., 26 BRBS 159, 163-64 n.2
(1992); Lustig v. Todd Shipyards Corp., 20 BRBS 207 (1988), aff'dinpert. partandrev'dinpartsubnom. Lustig v. U.S. Dep't of Labor, 881 F.2d 593 (9th Cir. 1989); Hughes v. Bethlehem Steel Corp.,
17 BRBS 153, 155 (1985).
The claimant only needs to show that he sustained physical harm and that conditions existed
at work which could have caused that harm. Such a showing constitutes a prima facie case which
prevails in the absence of other evidence.
The burden then shifts to the employer, who can rebut the Section 20(a) presumption of
liability by showing that exposure to injurious stimuli or working conditions did not cause the harm,
or that the employee was exposed to injurious stimuli or working conditions while performing work
covered under the LHWCA for a subsequent employer. Avondale Indus. v. Director, OWCP, 977
F.2d 186 (5th Cir. 1992); Port of Portland v. Director, OWCP, 932 F.2d 836 (9th Cir. 1991);
Kelaita v. Director, OWCP, 799 F.2d 1308 (9th Cir. 1986), aff'gKelaita v. Triple A Mach. Shop,
17 BRBS 10 (1984); Peterson v. General Dynamics Corp., 25 BRBS 71, 77-78 (1991); Ricker v.
Bath Iron Works Corp., 24 BRBS 201, 204 (1991); Blake v. Bethlehem Steel Corp., 21 BRBS 49,
53 (1988); Tisdale v. Owen-Corning Fiber Glass Co., 13 BRBS 167, 170 (1981), aff'dsubnom.
Tisdale v. Director, OWCP, 698 F.2d 1233 (9th Cir. 1982), cert. denied, 462 U.S. 1106 (1983).
If the employer presents specific and comprehensive evidence sufficient to sever the
connection between the injury and the employment, the Section 20(a) presumption no longer
controls, and the issue of causation must be resolved on the whole body of proof. Hughes v.
Bethlehem Steel Corp., 17 BRBS 153, 155 (1985); Kier v. Bethlehem Steel Corp., 16 BRBS 128,
129 (1984).
The Board has held that there is no de minimis standard for exposure to injurious stimuli.
In Picinich v. Lockheed Shipbuilding, 22 BRBS 289 (1989), rev'dsubnom. Todd Pacific Shipyards
Corp. v. Director, OWCP, 914 F.2d 1317 (9th Cir. 1990), it ruled that exposure to even minimal
amounts of injurious stimuli, such as asbestos, is enough to make out a prima facie case of liability.
SeealsoCorwin v. Arthur Tickle Eng'g Works, 8 BRBS 170 (1978); McCabe
v. Sun Shipbuilding & Dry Dock Co., 1 BRBS 509, 515 (1975).
The Ninth Circuit reversed the Board's Picinich holding in Todd Pacific Shipyards Corp.
v. Director, OWCP (Picinich), 914 F.2d 1317 (9th Cir. 1990). Relying on its earlier decision in
Todd Shipyards Corp. v. Black, 717 F.2d 1280 (9th Cir. 1983), cert. denied, 466 U.S. 937 (1984),
the court held that the claimant has the burden of showing that the exposure to injurious stimuli was
more than minimal, and was in sufficient quantities to cause the disease. Whether the Board will
adhere to its Picinich view outside the Ninth Circuit is unclear.
In the Ninth Circuit, because the aggrieved worker must show exposure in sufficient
quantities to cause disease in order to establish a prima facie case, it follows that the employer
attempting to shift liability to a later employer has an identical burden.
The Fifth Circuit appears to agree with the Board's Picinich position as to the claimant's
burden, but imposes a higher burden on the employer. In Avondale Industries v. Director, OWCP,
977 F.2d 186, 190 (5th Cir. 1992), the courtnoted
that regardless of the brevity of the exposure, if it has the potential to
cause the disease, it is considered injurious. But it disagreed with the argument
of an employer attempting to shift liability to a later covered employer that
its burden is "featherweight" and no greater than the claimant's.
In Avondale, the Fifth Circuit wrote that the employer's burden in rebutting the presumption
of liability by showing later exposure is higher than the claimant's when making a prima facie case.
Id. at 190. Although the court did not spell it out, the opinion appears to suggest that a showing of
minimal exposure is enough for a claimant's prima facie case, but that an employer trying to shift
liability to a later employer has the heavier burden of proving later exposure to stimuli in sufficient
quantities to cause injury. SeealsoFulks v. Avondale Shipyards, 637 F.2d 1008, 1012 (5th Cir.
1981), cert. denied, 454 U.S. 1080 (1981).
When evidence does not show which of the covered employers last exposed the claimant to
injurious stimuli, the exposing employer claimed against is liable. General Ship Serv. v. Director,
OWCP, 938 F.2d 960 (9th Cir. 1991); Kelaita v. Director, OWCP, 799 F.2d 1308, 1311 (9th Cir.
1986), aff'gKelaita v. Triple A Mach. Shop, 17 BRBS 10 (1984); Lins v. Ingalls Shipbuilding, Inc.,
26 BRBS 62, 65 (1992); Good v. Ingalls Shipbuilding, Inc., 26 BRBS 159, 164 (1992).
70.6 EMPLOYER'S DEFENSES
[ED. NOTE:Seealso,
Topic 2.2.16 Occupational Diseases & the Responsible Employer/Carrier.]
An exposing employer cannot avoid liability by showing that because of the long latency of
a disease, the exposure at its employment was superfluous in causing it because the disease would
have inexorably developed anyway without the last exposure. Lustig v. U.S. Dep't of Labor, 881
F.2d 593, 596 (9th Cir. 1989).
The last employer cannot avoid liability by showing that the worker did not incur the greater
part of his disability with that particular employer. Port of Portland v. Director, OWCP, 932 F.2d
836 (9th Cir. 1991); Sicker v. Muni Marine Co., 8 BRBS 268, 272 (1978); McCabe
v. Sun Shipbuilding & Dry Dock Co., 1 BRBS 509, 515 (1975). SeealsoProffit v. E.J. Bartells Co., 10
BRBS 435, 441 (1979); Corwin v. Arthur Tickle Eng'g Works, 8 BRBS 170 (1978).
Thus, where a back injury was due to a lifetime of hard work and degeneration, but was
harmfully affected by the strenuous work during a brief last employment, the last employer was held
responsible for the entire disability. Foundation Constructors v. Director, OWCP, 950 F.2d 621 (9th
Cir. 1991); Adam v. Nicholson
Terminal & Dry Dock Co., Inc., 14 BRBS 735 (1981); Abbott
v. Dillingham Marine & Mfg. Co., 14 BRBS 453 (1981), aff'd, 698 F.2d 1235 (9th Cir. 1982) (table);
Mulligan v. Haughton Elevator, 12 BRBS 99 (1980); Crawford v. Equitable Shipyards, Inc., 11
BRBS 646, 649-50 (1979), aff'dpercuriamsubnom. Employers Nat'l Ins. Co. v. Equitable
Shipyards, Inc., 640 F.2d 383 (5th Cir. 1981).
In occupational disease cases, later exposure in employment not covered by the LHWCA
does not relieve the last covered employer of liability. Todd Shipyards Corp. v. Black, 717 F.2d
1280 (9th Cir. 1983), cert. denied, 466 U.S. 937 (1984); Pryor v. James McHugh Constr. Co., 18
BRBS 273, 276 (1986) Green v. Newport
New Shipbuilding & Dry Dock Co., 13 BRBS 562, 565
(1981), vacatedandremanded, 688 F.2d 833 (4th Cir. 1982), onremand, 15 BRBS 465 (1983).
Where a worker was disabled by an occupational disease which developed during his work
for one employer but in employment which was sometimes covered by the LHWCA and sometimes
by a state statute, the employer was held liable under the LHWCA even though the last exposure to
injurious stimuli was in employment covered by the state statute. Fulks v. Avondale Shipyards, Inc.,
10 BRBS 340, 345 (l979), aff'd, 637 F.2d 1008 (5th Cir. l981), cert. denied, 454 U.S. 1080 (1981).
ButseeBrown v. Bath Iron Works Corp., 22 BRBS 384, 388 (1989).
In hearing loss cases, however, under the "determinative audiogram" rule espoused by the
Board, exposure to injurious noise even in covered employment after the "determinative audiogram"
is no defense. Although the later exposure may be the subject of a later claim, it does not affect the
liability of the employer at the time of the "determinative audiogram." Port of Portland v. Director,
OWCP, 932 F.2d 836 (9th Cir. 1991); Good v. Ingalls Shipbuilding, Inc., 26 BRBS 159, 163
(1992); Brown v. Bath Iron Works Corp., 22 BRBS 384.
Aggravation of a covered injury (as distinguished from disease), caused by an injury which
occurs after termination of covered longshore employment, is not compensable under the LHWCA.
Leach v. Thompson's Dairy, Inc., 13 BRBS 231 (1981). SeealsoJones v. Director, OWCP, 977
F.2d 1106 (7th Cir. 1992).
In a cumulative injury case, later exposure to injurious working conditions in covered
employment by an employer who could no longer be held liable because the claimant improvidently
dismissed him from the suit, is a good defense by the earlier exposing employer. Kelaita v. Director,
OWCP, 799 F.2d 1308 (9th Cir. 1986), aff'gKelaita V. Triple A Mach. Shop, 17 BRBS 10 (1984).
70.7 CREDITS FOR PRIOR AWARDS
[ED. NOTE:Seealso, Topic 3.4 Credit For Prior Awards.]
To avoid double recovery, if the claimant previously received a state compensation
award, a scheduled LHWCA award, or a Jones Act judgment, for any injury which
was a partial cause of
the underlying disability, the last aggravating employer or carrier may be
entitled to credits for these prior awards. There is no credit, however, for
any previous injury for which the claimant may have
been entitled to receive an award, but in fact did not get it. 33 U.S.C. § 3(e); Strachan Shipping Co.
v. Nash, 782 F.2d 513 (5th Cir. 1986) (en banc), aff'g 751 F.2d 1460 (5th Cir. 1985), aff'g 15 BRBS
386 (1983); Bracey v. John T. Clark & Son
of Maryland, 12 BRBS 110 (1980).
The last responsible employer or carrier who is held liable for a disability
caused by a non-scheduled injury of a worker who had a previous scheduled injury
contributing to the disability, may also be entitled to have its liability
reduced by having the effects of a prior scheduled injury "factored out." Frye v. Potomac Elec. Power Co., 21 BRBS 194, 198 (1988); Turney v. Bethlehem
Steel Corp., 17 BRBS 232 (1985).
70.8 PROCEDURAL CONSIDERATIONS
The claimant may freely choose which employer to sue. There is no requirement to file
against the last employer or to sue employers in any particular order. Lins v. Ingalls Shipbuilding,
Inc., 26 BRBS 62, 65 (1992). The Director has recently asked the Fifth Circuit to require the
joinder of any alleged subsequent causative employers, but the court declined to do so and left the
problem to be resolved by administrative law judges or the DOL. Avondale Indus., Inc. v. Director,
OWCP, 977 F.2d 186, 192 (5th Cir. 1992).
If the claimant chooses his target unwisely, however, the resolution of the case may be
delayed. The Board has indicated that when the potential liability of a later covered employer
becomes apparent in the course of a trial, the judge must halt the trial and require the claimant to file
a claim against the newly discovered potential defendant, who may then request a new trial. Susoeff
v. San Francisco Stevedoring Co., 19 BRBS 149, 152 (1986) (cited with approval in Avondale
Indus., 977 F.2d at 190).
In cases involving two potentially liable employers, one of the alleged employers and the
claimant cannot unilaterally withdraw controversion as to the responsible employer issue. It must
be litigated. Edwards v. Willamette Western Corp., 13 BRBS 800 (1981).
70.9 SECTION 8(f) PETITIONS OF LASTRESPONSIBLE EMPLOYERS
The fact that an employer or insurer is the last responsible employer or carrier does not ipso
facto entitle it to Section 8(f) relief. The requirements of Section 8(f) must be independently met.
The Board and the Eleventh Circuit affirmed a denial of Section 8(f) relief to a self-confessed last
responsible employer where the judge found the exposure in the last employment too minimal to
have contributed to the ultimate disability. Stokes v. Jacksonville Shipyards, 18 BRBS 237 (1986),
rev'dsubnom. Jacksonville Shipyards v. Director, OWCP, 851 F.2d 1314 (11th Cir. 1988) reh'gdenied, enbanc, 859 F.2d 928 (11th Cir. 1988).
70.10INSOLVENCY OF LAST RESPONSIBLE EMPLOYER OR CARRIER
Where the last responsible employer is insolvent, and no insurer for the defunct employer
can be identified, the application of the last employer principle is not affected. The claimant's
recourse then is against the Special Fund under Section 18(b), and not against the next prior solvent
covered employer. Ricker v. Bath Iron Works Corp., 24 BRBS 201 (1991).
Where the last responsible employer is solvent but its carrier is not, the employer is liable.
B.S. Costello, Inc. v. Meagher, 867 F.2d 722 (1st Cir. 1989). In such cases the applicable state
guarantee association may be a party to the proceeding. Seealso the discussion at Topic 19.10
Bankruptcy.
70.11 SIMULTANEOUS EMPLOYERS
In the rare case where the claimant is found to be employed by two employers at the same
time, both employers are jointly and severally liable. Oilfield
Safety & Mach. Specialties v. Harman
Unlimited, Inc., 625 F.2d 1248 (5th Cir. l980), aff'gHansen v. Oilfield Safety, Inc., 8 BRBS 835
(l978) and 9 BRBS 490 (1978). SeealsoMartin v. Kaiser Co., Inc., 24 BRBS 112, 120 (1990).
70.12RESPONSIBLE CARRIER
Rules for allocating liability among insurance carriers follow the rules allocating liability
among employers. SeeRESPONSIBLE EMPLOYER, supra. A determination as to which
employer is liable, and when liability attaches under the applicable last employer rule, determines
which carrier is liable. The carrier on the risk when the employer's liability attaches is responsible.
Although the primary issue in a case may be that of determining the responsible employer, any issue
related to insurance contracts are ancillary and can be addressed. Schaubert v. Omega Services
Industries, 32 BRBS 233 (1998).
In occupational disease or cumulative injury cases where exposure to injurious conditions
occurred in the service of a last responsible employer who was covered by multiple insurers, the last
carrier during the exposure period is the responsible carrier. Liberty Mut. Ins. Co. v. Commercial
Union Ins. Co., 978 F.2d 750, 752 (1st Cir. 1992); Argonaut Ins. Co. v. Patterson, 846 F.2d 715, 718
(11th Cir. 1988); Travelers Ins. Co. v. Cardillo, 225 F.2d 137 (2d Cir.) cert. denied, 350 U.S. 913
(1955); Perry v. Jacksonville Shipyards, Inc., 18 BRBS 219, 221 (1986); Warren v. Jacksonville
Shipyards, Inc., 1 BRBS 184, 187 (1974).
By providing compensation insurance under the LHWCA, the insurer becomes bound for the
full obligation which the insured employer incurs for any injury which occurs when the carrier is on
the risk. Adam v. Nicholson Terminal & Dry
Dock Co., 14 BRBS 735 738 (1981); Crawford v.
Equitable Shipyards, Inc., 11 BRBS 646, 649-50 (1979), aff'dpercuriamsubnom. Employers Nat'l
Ins. Co. v. Equitable Shipyards, Inc., 640 F.2d 383 (5th Cir. 1981);
33 U.S.C. § 935; 20 C.F.R. § 703.115.
A self-insured employer is treated as an insurer when liability is allocated among successive
insurers. Jacksonville Shipyards v. Director, OWCP, 851 F.2d 1314, 1317 (11th Cir. 1988);
General Dynamics Corp. Elec. Boat Div. v. Benefits Review Bd., 565 F.2d 208, 211 (2d Cir. 1977).
The last carrier cannot avoid liability on grounds that the claimant's condition existed while
a prior carrier was on the risk. Todd v. Todd Shipyards Corp., 16 BRBS 163 (1984). Seegenerally,
Patterson v. Savannah Mach. & Shipyard, 15 BRBS 38 (1982); Brown v. General Dynamics Corp.,
7 BRBS 561 (1978); Eleazer v. General Dynamics Corp., 7 BRBS 75 (1977).
Where insurance policies are no longer in existence, the judge must determine who was the
responsible carrier even on the basis of very meager evidence, and hold the carrier liable for all
benefits when the terms of the policy cannot be ascertained. The burden is on the carrier to show
the inapplicability of the policy or that it was not the last insurer. Dolowich v. West Side Iron
Works, 17 BRBS 197 (1985).
The Ninth Circuit and the Board affirmed a finding that a carrier was responsible based
solely on inferences drawn from government records listing the carrier as the employer's insurer.
General Ship Serv. v. Director, OWCP, 938 F.2d 960, 962 (9th Cir. 1991); Maes
v. Barrett & Hilp,
27 BRBS 128 (1993). But references in correspondence to state compensation insurance which did
not specifically mention the LHWCA were held insufficient to support a finding of longshore
coverage. Shaller v. Cramp Shipbuilding & Dry
Dock Co., 23 BRBS 140, 143 (1989).
The judge must determine which of an employer's carriers is liable. An insured
employer may not be held liable simply because there is insufficient evidence
as to which of its insurers was
on the risk. When it is determined that the carrier providing the employer's
defense is not the responsible carrier, it is incumbent on the judge to ascertain
whether the employer may have been
covered by some other insurer. Where the employer and carrier are represented
by the same counsel, and it becomes apparent that a conflict of interest exists
because the carrier is disputing coverage of
the risk, the judge has an affirmative duty under 20 C.F.R. § 702.336 to reopen
the record and identify potentially liable carriers, notify them of the evidentiary
gap and their potential liabilities,
and to allow them the opportunity to present additional evidence. Jourdan v. Equitable Equip. Co.,
25 BRBS 317, 324 (1992); Sans v. Todd Shipyards Corp., 19 BRBS 24 (1986).
Nor can the judge avoid deciding the responsible carrier issue by remanding it for a decision
by the deputy commissioner. Sans v. Todd Shipyards Corp., 19 BRBS at 28.
Where necessary to resolve a claim for compensation benefits, the judge may adjudicate
insurance contract disputes. Rodman v. Bethlehem Steel Corp., 16 BRBS 123, 125-26 (1984);
Valdez v. Bethlehem Steel Corp., 16 BRBS 144, 145-46 (1984); Brady v. Hall Bros. Marine Corp.,
13 BRBS 854, 857-58 (1981); Droogsma v. Pensacola Stevedoring Co., 11 BRBS 1 (1979).
In Pilipovich v. CPS Staff Leasing, Inc.,
31 BRBS 169 (1997), the Board held that the ALJ "has the power to hear and resolve insurance issues which are necessary to the resolution of a claim
under the Act." The Board concluded that the ALJ erred in finding two employers liable for
Claimant's attorney's fees where "CPS has no longshore workers itself, but merely provides workers
to longshore employers, [and Carrier] was on the risk not for CPS itself, but for ... other employers
to whom CPS loaned employees." The Board held that "[b]y virtue of the contractual
agreements, [Carrier] is solely liable to claimant as the insurance carrier,
as its policy insures [the longshore
employer] for injuries covered under the Longshore Act and as it waived its
right to seek reimbursement from [the longshore employer]."
The "last carrier" for purposes of disability payments may not be the same "last carrier" responsible
for medical benefits. Bath Iron Works Corp. v. Director , OWCP [Hutchins], 244 F.3d
222 (1st Cir. 2001). In Hutchins, the First Circuit explained
that it had adopted a modified version
of the "last injurious exposure" and "last insurer" rule, holding that the date
of disability, rather than the date of awareness of disease, is the key to determining
the responsible insurer for disability.