IN THE SUPREME COURT OF THE STATE OF NEW MEXICO
Opinion Number: 2009-NMSC-032
Filing Date: June 17, 2009
Docket No. 30,640
LESLIE A. DEWITT,
Worker-Petitioner,
v.
RENT-A-CENTER, INC. and
FIDELITY & GUARANTY INSURANCE,
Employer-Insurer-Respondents.
ORIGINAL PROCEEDING ON CERTIORARI
Helen L. Stirling, Workers’ Compensation Judge
Gerald A. Hanrahan
Albuquerque, NM
for Petitioner
Hatch, Allen & Shepherd, P.A.
Aaron Randall Kugler
Albuquerque, NM
for Respondents
OPINION
DANIELS, Justice.
{1} Worker, Leslie DeWitt, was injured during the course of her employment with
Employer, Rent-A-Center, Inc. She has appealed the decision of the Workers’
Compensation Judge (WCJ) denying her claim for disability benefits. We hold that the WCJ
erred in refusing to admit testimony of Worker’s medical experts concerning observations
made and treatment rendered before the experts were duly designated as her authorized
health care providers (HCPs). We therefore remand to the WCJ to allow the omitted
testimony to be considered.
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I. BACKGROUND
{2} After a motor vehicle accident in 1997 when she was seventeen years old, Worker
was diagnosed with grade III spondylolisthesis, a condition in which one vertebra in the
spine slips forward on the vertebra below it and comes out of alignment with the other spinal
vertebrae. During the years between her 1997 diagnosis and February 25, 2004, Worker had
seen at least four different doctors for recurring back pain, in addition to experiencing an
assortment of other health issues and surgeries. She was hired by Employer to work as a
sales manager in December 2003. On February 25, 2004, Worker was injured during the
course of her employment when she reached out to keep a table from falling and experienced
back pain.
{3} After the February 2004 accident, Worker reported her injury and received treatment
from Employer’s preferred HCP, Concentra. On March 17, 2004, Worker was released by
Concentra to regular duty with no restrictions, after reporting to the doctor that she did not
have pain and that her symptoms had resolved. In July 2004, Worker sought emergency
medical treatment, complaining of nausea and severe low back pain. Shortly afterward, she
asked Employer for authorization for more medical care. Although Employer’s insurer told
Employer to send her back to Concentra, that message apparently was not conveyed to
Worker by Employer. Worker testified that her supervisor told her to call Employer’s Risk
Management Office through a 1-800 number on a poster on the wall, but the person
answering the phone advised her that her case was closed. Worker then gave notice of her
resignation.
{4} Over the next several months, Worker sought treatment on her own from several
medical providers, including three doctors and a hospital emergency room. In December
2004, Worker consulted Dr. Whalen, at the suggestion of her mother. Dr. Whalen gave
Worker some injections and referred her to Dr. Gelinas for a surgical consultation. In
January 2005, Dr. Gelinas performed an “L4-S1 fusion reduction of spondylolisthesis” on
Worker. After the surgery, Worker continued to seek treatment from Drs. Whalen and
Gelinas, sought emergency room treatment on more than one occasion, and continued to
receive injections from Dr. Whalen. The last radiographs from Dr. Gelinas on March 20,
2005, showed that her spondylolisthesis had been surgically reduced and was stable, the
bone mass was excellent with no evidence of nonunion, the hardware had not failed, and she
had a functionally solid fusion. During her consultations with and treatment by Drs. Whalen
and Gelinas, she had not told them that she thought her work-related accident in February
2004 was the cause of any of her continuing problems, although she had mentioned the
accident as part of her historical “string of problems, starting with the motor vehicle accident
in her teens and her diagnosis then.” Because Worker did not inform either Dr. Whalen or
Dr. Gelinas that she believed her need for treatment was associated with a work-related
injury, neither doctor set up her chart as a workers’ compensation case nor billed Employer’s
insurer for their services.
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{5} In July 2005, seven months after her surgery, Worker filed a workers’ compensation
complaint against Employer to seek temporary total and permanent partial disability benefits,
medical benefits and attorney fees. In her complaint, she also gave notice to Employer that
she was exercising her right under the Workers’ Compensation Act (the Act), NMSA 1978,
Section 52-1-49(C) (1990), to designate her own choice of HCP in place of the employer-
designated HCP, Concentra, naming Drs. Whalen and Gelinas. Employer did not give notice
of any objection to the change, and the WCJ found that Drs. Whalen and Gelinas became
Worker’s authorized HCPs as of July 18, 2005, three days after giving notice to Employer,
in accordance with the requirements of Section 52-1-49(D). Those two doctors continued
to treat Worker for her injuries for some time after they became Worker’s authorized HCPs.
Dr. Gelinas continued to treat Worker through August 2005 and Dr. Whalen continued
treatment through January 2006.
{6} Before trial, Dr. Diskant was chosen by the parties to conduct an independent
medical evaluation (IME) of Worker. After reviewing all of Worker’s medical records,
radiographs, and performing a physical examination, Dr. Diskant concluded that her need
for surgery, while reasonable and necessary for her condition, “was not caused by her
accident of February 25, 2004, while working for Employer.”
{7} At the October 2006 trial before the WCJ, the testimony of the medical experts was
presented, as required by the New Mexico Administrative Code, through their pretrial
depositions. See 11.4.4.12(G)(4) NMAC (6/13/03) (providing deposition testimony of
authorized HCPs shall be admissible, in lieu of live testimony); 11.4.4.12(F)(1) (stating
“[l]ive medical testimony shall not be permitted, except by court order”); see also Banks v.
IMC Kalium Carlsbad Potash Co., 2003-NMSC-026, ¶ 28, 134 N.M. 421, 77 P.3d 1014
(confirming that the NMAC requires use of depositions in lieu of live testimony).
{8} Worker offered into evidence the depositions of Drs. Whalen and Gelinas containing
their testimony about their diagnoses and treatments of Worker, and their expert opinions
that her medical condition had changed as a result of her February 2004 work-related injury.
The WCJ excluded Worker’s HCP testimony on the legal theory that the opinions were
inadmissible because they were based on treatment rendered by those doctors before July
18, 2005, the date when they became Worker’s authorized HCPs. The WCJ relied on a
combination of two provisions of the Act, Section 52-1-49(C), which provides that a worker
must give notice of a proposed new HCP “at least ten days before treatment from that health
care provider begins,” and NMSA 1978, Section 52-1-51(C) (1990, as amended through
2005), which provides that “[o]nly a health care provider who has treated the worker
pursuant to Section 52-l-49 NMSA 1978 or the health care provider providing the
independent medical examination pursuant to this section may offer testimony at any
workers’ compensation hearing concerning the particular injury in question.”
{9} The WCJ also rejected Worker’s arguments that she was effectively abandoned by
Employer’s HCP with respect to her continuing health care and that she was therefore
entitled to choose her own health care provider without notification to Employer.
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{10} The WCJ relied substantially on the deposition testimony of Dr. Diskant to find that
Worker’s condition after March 17, 2004, “was not caused by or necessitated by her accident
and temporary injury of February 25, 2004.” The WCJ therefore concluded that Worker was
not entitled to disability benefits or attorney’s fees and that Employer and its insurer were
not responsible for payment of any medical bills after March 17, 2004, when her condition
was found to be “resolved to her pre-accident condition of chronicity.”
{11} The Court of Appeals, in a memorandum opinion, affirmed the decision of the WCJ
in its entirety. DeWitt v. Rent-A-Center, Inc., No. 27,596, slip op. (N.M. Ct. App. Aug. 21,
2007). The case comes before us on Worker’s petition for writ of certiorari.
II. STANDARD OF REVIEW
A. Review of WCJ’s Factual Determinations
{12} We review factual findings of Workers’ Compensation Administration judges under
a whole record standard of review. Moya v. City of Albuquerque, 2008-NMSC-004, ¶ 6, 143
N.M. 258, 175 P.3d 926. “On appeal, to determine whether a challenged finding is
supported by substantial evidence, we have always given deference to the fact finder, even
when we apply, as here, whole record review.” Herman v. Miners’ Hosp., 111 N.M. 550,
552, 807 P.2d 734, 736 (1991). We view the evidence in the light most favorable to the
decision, “but may not view favorable evidence with total disregard to contravening
evidence.” Id. (internal quotation marks and ). Substantial evidence on the record as a
whole is evidence demonstrating the reasonableness of an agency’s decision, id., and we
neither reweigh the evidence nor replace the fact finder’s conclusions with our own. Id. at
553, 807 P.2d at 737; see Register v. Roberson Const. Co., Inc., 106 N.M. 243, 245, 741 P.2d
1364, 1367 (1987) (“Substantial evidence is such relevant evidence as a reasonable mind
might accept as adequate to support a conclusion.”).
To determine whether a finding of fact is amply supported by the whole
record, we do not rely solely on one part of the evidence if to do so would be
unreasonable. We must find evidence that is credible in light of the whole
record and that is sufficient for a reasonable mind to accept as adequate to
support the conclusion reached by the agency.
Herman, 111 N.M. at 552, 807 P.2d at 736 (internal quotation marks and citation omitted).
B. Review of WCJ’s Evidentiary Rulings
{13} With respect to the admission or exclusion of evidence, we generally apply an abuse
of discretion standard where the application of an evidentiary rule involves an exercise of
discretion or judgment, but we apply a de novo standard to review any interpretations of law
underlying the evidentiary ruling. See State v. Martinez, 2008-NMSC-060, ¶ 10, 145 N.M.
220, 195 P.3d 1232 (“A misapprehension of the law upon which a court bases an otherwise
4
discretionary evidentiary ruling is subject to de novo review.”).
C. Review of WCJ’s Statutory Interpretations
{14} In reviewing a WCJ’s interpretation of statutory requirements, we apply a de novo
standard of review. See Grine v. Peabody Natural Res., 2006-NMSC-031, ¶ 17, 140 N.M.
30, 139 P.3d 190; Howell v. Marto Elec., 2006-NMCA-154, ¶ 16, 140 N.M. 737, 148 P.3d
823. “We look first to the plain meaning of the statute’s words, and we construe the
provisions of the Act together to produce a harmonious whole. After we determine the
meaning of the statutes, we review the whole record to determine whether the WCJ’s
findings and award are supported by substantial evidence.” Grine, 2006-NMSC-031, ¶ 17
(internal quotation marks and citation omitted).
III. DISCUSSION
{15} The selection of a qualified HCP is an important component of the Act. It has
consequences under Section 52-1-49(D) regarding responsibility of an employer for payment
of medical expenses, and it has consequences under Section 52-1-51(C) regarding which
providers may present medical testimony at any hearings before the WCJ.
{16} Under Section 52-1-49(A), an employer is responsible for paying for “reasonable and
necessary health care services” from the HCP. Section 52-1-49(B) of the Act provides that,
after a worker has incurred an injury under the Act, “[t]he employer shall initially either
select the health care provider for the injured worker or permit the injured worker to make
the selection.” In cases where the employer has exercised its statutory right to make the
initial HCP selection, as occurred in this case with Employer’s designation of Concentra,
that selection is required to remain in effect during the first sixty days of treatment. Id.
After the initial sixty-day period, the worker may request designation of another HCP by
giving notice to the employer in compliance with Section 52-1-49(C), which states:
After the expiration of the initial sixty-day period set forth in
Subsection B of this section, the party who did not make the initial selection
may select a health care provider of his choice. Unless the worker and
employer otherwise agree, the party seeking such a change shall file a notice
of the name and address of his choice of health care provider with the other
party at least ten days before treatment from that health care provider begins.
{17} In order to prevent such a change in HCP, an employer must file a written objection
with the WCJ. See § 52-1-49(D). On receipt of an objection, the WCJ will rule on the
requested change, based on a determination of whether the care being provided by the old
HCP is reasonable. See § 52-1-49(F). If an employer does not file an objection to a
worker’s HCP selection within the three-day period, the HCP change becomes effective and
the employer shall be found “liable for the cost of treatment provided by the worker’s health
care provider until the employer does file his objection and the workers’ compensation judge
5
has rendered his decision.” § 52-1-49(D).
{18} In addition to affecting an employer’s responsibility for payment of expenses of
treatment by an authorized HCP, compliance with the Act’s designation provisions has an
effect on who may testify, pursuant to Section 52-1-51(C): “Only a health care provider who
has treated the worker pursuant to Section 52-l-49 NMSA l978 or the health care provider
providing the independent medical examination pursuant to this section may offer testimony
at any workers’ compensation hearing concerning the particular injury in question.”
{19} In this case, the WCJ refused to admit any testimony of Drs. Whalen and Gelinas
concerning their treatment of Worker before they became authorized HCPs or their medical
opinions that the accident aggravated her preexisting medical condition, and relied instead
on the contrary testimony of Dr. Diskant. Worker challenges those rulings on two separate
theories, (1) that Worker was authorized to select her own HCPs outside the Act because
Employer had abandoned her treatment, and (2) that once the doctors became her HCPs, they
were authorized to provide testimony about all of Worker’s relevant medical history. We
address both arguments.
A. Whether Employer Failed to Provide Continuing Treatment and Justified
Worker’s Unilaterally Selecting HCPs Outside the Act
{20} We first address Worker’s argument that Employer failed to fulfill its statutory duty
to provide health care services after Worker requested additional treatment on July 16, 2004,
and that she was thereby entitled to select her own HCPs without complying with the
advance notice and dispute resolution provisions of Section 52-1-49 of the Act.
{21} An employer is required to provide a worker with reasonable and necessary health
care services in a timely manner after sustaining a work-related injury. See § 52-1-49(A);
Grine, 2006-NMSC-031, ¶ 24 (“If Employer had notice of the accident, it was required to
‘provide the worker in a timely manner reasonable and necessary health care services from
a health care provider.’” (quoting § 52-1-49(A))). Worker asserts, however, that Employer
failed in its duty to provide medical care when Employer improperly advised her that her
case was closed and suggested she should seek treatment by other means. As a result of this
abandonment, Worker argues, she was entitled to choose her own HCPs because she was not
provided care and was advised to seek other treatment.
{22} The WCJ considered and rejected Worker’s claims of abandonment in detailed
findings of fact. We review the WCJ’s findings by determining whether substantial evidence
supports them. Because weighing evidence and making credibility determinations are
uniquely within the province of the trier of fact, we will not reweigh the evidence nor
substitute our judgment for that of the WCJ, unless substantial evidence does not support the
findings. See Gallegos v. City of Albuquerque, 115 N.M. 461, 464, 853 P.2d 163, 166 (Ct.
App. 1993) (observing that it is for the WCJ, not the appellate court, to weigh the evidence
and make findings of fact); Marez v. Kerr-McGee Nuclear Corp., 93 N.M. 9, 11, 595 P.2d
6
1204, 1206 (Ct. App. 1978) (stating that in workers’ compensation cases “[w]e will not
weigh the evidence or determine the credibility of witnesses. The trier of facts is the sole
judge of the credibility of witnesses and the weight to be given their testimony.” (citation
omitted)). We will not disturb the decision if a reasonable mind would accept the evidence
as adequate to support the decision. See Herman, 111 N.M. at 552, 807 P.2d at 736.
{23} The evidence supports the WCJ’s resolution of factual issues in a textbook case of
weighing witness credibility and drawing reasonable factual inferences. Worker testified
that her store manager told her to call Concentra, Employer’s HCP, on July 16, 2004, after
she claimed to be experiencing a recurrence of back pain that she felt was related to the
February 25 accident. According to Worker, she called Concentra and was told she could
not receive treatment. She testified that she was then directed to call Employer’s risk
management office at a 1-800 number that was posted on the wall. Although she could not
remember what number she called nor to whom she spoke, she was reportedly told by
someone she would need to seek medical treatment by other means because she had been
released by her doctor and her case had been closed.
{24} Employer presented contrary evidence that there was no such risk management
number posted on the wall. Additionally, Employer’s insurance claims adjuster, Sherri
Stoner, testified that she spoke with Worker on more than one occasion and sent
correspondence to her that contained her contact information and also included a description
of the workers’ compensation process. Stoner further testified that the information she sent
encouraged Worker to call her if she had any questions regarding her claim. Worker denied
receiving Stoner’s correspondence, although it was mailed to the same address given by
Worker in her deposition. The WCJ specifically found from the testimony that Worker had
her local adjuster’s contact information and had previously contacted her both by letter and
phone.
{25} While the evidence presented might have supported contrary findings in this factual
controversy, the record contains sufficient evidence to sustain the WCJ’s decision. See
Easterling v. Woodward Lumber Co., 112 N.M. 32, 37, 810 P.2d 1252, 1257 (Ct. App. 1991)
(“In making a whole record review, it is not a function of this court to reweigh the evidence.
The judge could give such weight as he deemed appropriate to the testimony of worker and
his witnesses.”). The WCJ entered detailed findings of fact and conclusions of law, and
while there was contrary evidence in the record, the evidence reasonably supports the WCJ’s
credibility determinations and holding. See Tom Growney Equip. Co. v. Jouett,
2005-NMSC-015, ¶ 13, 137 N.M. 497, 113 P.3d 320 (“‘Where the testimony is conflicting,
the issue on appeal is not whether there is evidence to support a contrary result, but rather
whether the evidence supports the findings of the trier of fact.’” (citation omitted)). We hold
there is substantial evidence to support the WCJ’s finding that Worker had the requisite
information to contact her claims adjuster, but did not, and that Employer therefore did not
fail to provide Worker with reasonable and necessary health care services. We affirm the
WCJ’s conclusion that Drs. Whalen and Gelinas did not become authorized HCPs until July
18, 2005, after Worker finally complied with the notice provisions of Section 52-1-49. We
7
therefore do not need to determine the effect of an employer’s failure to provide health care
on a worker’s obligations to comply with the HCP selection provisions of the Act.
B. Admissibility of Medical Expert Testimony of Worker’s HCPs Regarding
Treatments Rendered Before They Became Authorized HCPs
{26} We now address Worker’s argument that once her doctors became treating HCPs
under the Act, they not only could testify at a hearing, they could testify about the entirety
of Worker’s relevant medical history, including treatment they had provided and
observations they had made before they were lawfully designated as Worker’s treating
HCPs.
{27} Resolution of this issue requires us to interpret Section 52-1-51(C) of the Act, which
provides:
Only a health care provider who has treated the worker pursuant to
Section 52-l-49 NMSA l978 or the health care provider providing the
independent medical examination pursuant to this section may offer
testimony at any workers’ compensation hearing concerning the particular
injury in question.
{28} The WCJ concluded that this statutory provision precluded testimony of Worker’s
authorized HCPs regarding treatment they provided before they became HCPs. Our review
of that conclusion presents a pure matter of statutory interpretation, because the predicate
facts are established. It is undisputed that Employer selected the initial HCP, Concentra, in
February 2004, and that Worker did not give statutory notice of a requested change in HCP
until July 15, 2005, some six months after beginning her consultation and treatment with
Drs. Whalen and Gelinas. It is also undisputed that Employer did not object to the HCP
change, and neither party challenges the WCJ’s conclusion that Drs. Whalen and Gelinas
became Worker’s authorized HCPs as of July 18, 2005, over a year before the October 11,
2006, trial. Although Drs. Whalen and Gelinas each provided some treatment after they
became HCPs, the most important testimony they could offer related to Worker’s medical
history before they became HCPs, including their observations and treatments. The question
before us is whether the Act limits the scope of the testimony of qualified HCP witnesses to
matters they personally participated in during the time they were authorized HCPs.
{29} The first and most obvious guide to statutory interpretation is the wording of the
statutes themselves. See State v. Davis, 2003-NMSC-022, ¶ 6, 134 N.M. 172, 74 P.3d 1064
(providing that where a statute has a plain meaning, it is “to be given effect as written
without room for construction”). On its face, Section 52-1-51(C) specifies which medical
experts are permitted to testify. Drs. Whalen and Gelinas, as duly designated HCPs who had
“treated the worker pursuant to Section 52-l-49 NMSA l978,” were authorized to “offer
testimony at any workers’ compensation hearing concerning the particular injury in
question” by the express terms of Section 52-1-51(C). The Act simply says that authorized
HCPs may testify. There is nothing in the plain language of Section 52-1-51(C) or any other
8
part of the Act that textually limits the scope of admissible testimony to events that occurred
during the time a doctor was an authorized HCP. Normally, that should end the inquiry.
However, to the extent that the language could be considered ambiguous, we can consider
principles of statutory construction that are employed with statutes that are unclear. In doing
so, we must attempt to construe a statute “according to its obvious spirit or reason.” State
ex rel. Helman v. Gallegos, 117 N.M. 346, 348, 871 P.2d 1352, 1354 (1994).
{30} One guide to finding legislative intent is to “strive to read related statutes in harmony
so as to give effect to all provisions.” N.M. Indus. Energy Consumers v. PRC,
2007-NMSC-053, ¶ 20, 142 N.M. 533, 168 P.3d 105. The only two apparently related
statutory provisions are the remaining parts of Section 52-1-51, particularly subsections (A)
and (D), and Section 52-l-49, which is specifically referenced in Section 52-1-51(C) itself.
{31} Section 52-1-51(D) provides: “If, pursuant to Subsection C of Section 52-l-49
NMSA l978, either party selects a new health care provider, the other party shall be entitled
to periodic examinations of the worker by the health care provider the worker previously
selected.” If the Act did not allow a provider to testify about treatment that may have
occurred at a time when that provider was not acting any longer as a treating HCP, then this
provision to permit examinations by the previously selected HCP would result in an
absurdity: The previously selected HCP who is no longer providing treatment, but who is
authorized to continue conducting examinations would not be able to offer any expert
testimony about the need for or propriety of any of the treatment rendered by the new HCP.
Of what value would the examination be if the formerly selected HCP could not testify about
any opinions regarding what happened to the worker after a new HCP was selected?
Similarly, Employer’s construction would preclude the ability of an HCP, who had treated
a worker before the relevant work-related injury, from testifying about the worker’s
complete medical history. This would inhibit a full analysis of the causation issues that may
be so critically important in these cases. In effectuating the intent of the Legislature, we
must avoid any interpretations that would lead to absurd or unreasonable results. Chavez v.
Mountain States Constructors, 1996-NMSC-070, ¶ 24, 122 N.M. 579, 929 P.2d 971; see also
W. Investors Life Ins. Co. v. N. M. Life Ins. Guar. Ass’n (In re Rehab. of W. Investors Life
Ins. Co.), 100 N.M. 370, 373, 671 P.2d 31, 34 (1983) (“Statutes must be construed so that
no part of the statute is rendered surplusage or superfluous.”).
{32} A central factual issue in this case was whether Worker’s medical condition resulted
from a work-related injury or a pre-existing condition. It is unlikely that any of the medical
experts could testify on that subject without an examination of the entire history of the
patient, including the diagnostic and treatment history that predated any designation of an
HCP in this case. In fact, the doctor performing the IME, who may be designated by the
WCJ only after a conflict between the parties’ respective HCPs, provides no treatment
whatever and necessarily bases his or her testimony on treatments provided and diagnoses
made by others, both HCPs and non-HCPs, during the relevant history. See § 52-1-51(A)
(“In the event of a dispute between the parties concerning . . . the cause of an injury or any
other medical issue, . . . either party may petition a workers’ compensation judge for
9
permission to have the worker undergo an independent medical examination.”).
{33} The propriety of a testifying medical expert’s reliance on treatments and records
other than those resulting from his or her own HCP activities was specifically approved in
Lopez v. City of Albuquerque, 118 N.M. 682, 884 P.2d 838 (Ct. App. 1994). Lopez affirmed
a WCJ ruling that permitted an authorized HCP to base his medical opinion testimony on
otherwise inadmissible records from a non-HCP doctor. Id. at 682, 884 P.2d at 838. After
sustaining an injury at work and being treated and released by his employer’s authorized
HCP, a worker later sought treatment by another doctor, who never became an authorized
HCP. Id. at 682-83, 884 P.2d at 838-39. The employer’s HCP in Lopez, the same Dr.
Gelinas who sought to testify as Worker’s HCP in this case, reviewed the records of the non-
HCP doctor and relied on them heavily in arriving at his own opinions, which supported the
worker’s position. Id. at 683, 884 P.2d at 839. The employer objected to introduction of Dr.
Gelinas’s deposition testimony concerning the treatment of the worker by a non-HCP doctor
and introduction of the supporting non-HCP’s medical records on the ground that nothing
generated by a non-HCP’s treatment could be considered in a hearing under the Act. Id.
The Court of Appeals upheld the WCJ’s determination that the testimony and records were
properly admitted as a part of the basis for the expert testimony of the statutorily-qualified
HCP under Rule 11-703 NMRA. Id. at 684, 884 P.2d at 840. We agree with the reasoning
of Lopez, including its observation that its “holding does not contravene the rule that only
authorized health care providers may give evidence.” Id.
{34} We also find guidance in the provisions of Section 52-l-49, which not only spell out
in subsections (B)-(F) the procedures for notice and selection of HCPs, but also
unambiguously specify in subsections (D) and (G) that employers are liable for payment of
health care expenses only if they are incurred at a time when the health care provider was
the statutorily authorized HCP, after the required ten-day notice of HCP selection. The
Legislature obviously knew how to spell out those specific health care payment
consequences of late compliance with the HCP designation provisions of the Act, as
contrasted with the lack of any corresponding provision imposing a limitation on the scope
of testimony of authorized HCPs.
{35} We are sensitive to the obvious intent of the Legislature to avoid testimony-shopping
and “to limit the use and number of experts in workers’ compensation cases.” Grine, 2006-
NMSC-031, ¶ 19. That goal is accomplished, however, by use of the limited ability of the
parties to name new authorized treating HCPs through the notice, objection, and WCJ
approval requirements set forth by the Legislature in Section 52-l-49. If Employer had been
concerned that an approved designation of Worker’s HCPs, and consequential entitlement
to offer their testimony in this case, would have been inappropriate in any way, the
Legislature provided an avenue for objection and resolution of the issue by the WCJ. An
objection by Employer did not occur in this case, and Worker’s doctors were therefore HCPs
who were authorized to provide testimony on the issues in the case. While it certainly would
have been desirable for Worker not to have made such a belated designation of her treating
physicians as HCPs, and while she certainly ran the risk of their not being designated as such
10
by the WCJ, we find no authority in the Act for a truncation of their authorized testimony.
{36} In Grine, we noted that the Act limits testimony at the compensation hearing to a
treating physician or a HCP who has provided an independent medical examination pursuant
to the Act. 2006-NMSC-031, ¶ 19. Our reading of the record in this case indicates that
Worker’s HCPs had provided treatment after their official designations, and our holding is
premised in part on that understanding. This case is therefore unlike Grine, in which we
excluded the testimony of a doctor who never treated the worker at all and who was retained
by the employer simply to review the case and offer expert testimony, meeting with the
worker for an evaluation on only one occasion for a total of just ten minutes. Id. at ¶ 25.
Our opinion explained why that reviewing doctor could not be considered a treating
physician under the Act: “We reiterate that ‘[t]he expertise of a treating physician is the
training, experience and familiarity with the patient whom he or she is treating. The “expert”
testimony required by Section 52-1-28(B) refers to testimony based on this training,
experience and familiarity.’” Id. (citation omitted).
{37} Because we have determined that the testimony of Worker’s HCPs should not have
been categorically excluded, we reverse and remand to the WCJ to ensure that the testimony
of Worker’s HCPs are fully considered. In doing so, we wish to emphasize that nothing in
this Opinion is intended to comment on the weight that should be given to the testimony of
the late-designated HCPs or any other authorized medical witness. See Chapman v. Jesco,
Inc., 98 N.M. 707, 708, 652 P.2d 257, 258 (Ct. App. 1982) (holding that the WCJ, as fact
finder, is free to reject expert opinion evidence in whole or in part).
{38} In that regard, we are mindful of language in the WCJ’s meticulous findings and
conclusions that appear to indicate that the WCJ may have fully reviewed the proffered
testimony of Worker’s HCPs and intended to make alternative findings of fact that their
testimony was less persuasive than that of Dr. Diskant. We remand to the WCJ so that the
WCJ may “reconsider [her] alternative findings of fact and conclusions of law in light of our
disposition.” Reichert v. Atler, 117 N.M. 623, 627, 875 P.2d 379, 383 (1994).
IV. CONCLUSION
{39} The testimony, opinions, and records of Worker’s treating HCPs should not have
been categorically excluded as a result of the timing of their HCP designations. We
therefore reverse the contrary decision of the Court of Appeals and remand to the WCJ for
further proceedings in accordance with this Opinion.
{40} IT IS SO ORDERED.
____________________________________
CHARLES W. DANIELS, Justice
WE CONCUR:
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____________________________________
EDWARD L. CHÁVEZ, Chief Justice
____________________________________
PATRICIO M. SERNA, Justice
____________________________________
PETRA JIMENEZ MAES, Justice
____________________________________
RICHARD C. BOSSON, Justice
Topic Index for DeWitt v. Rent-A-Center, No. 30,640
AL ADMINISTRATIVE LAW AND PROCEDURE
AL-AA Administrative Appeal
AL-SC Scope of Review
AL-SR Standard of Review
EL EMPLOYMENT LAW
EL-DB Disability
ST STATUTES
ST-IP Interpretation
WC WORKERS COMPENSATION
WC-BG Benefits, General
WC-MT Medical Treatment
WC-NO Notice
WC-EW Expert Witness
WC-PE Pre-Existing Condition
WC-RG Workers’ Compensation Regulations
WC-WG Workers’ Compensation, General
12