{"database": "openregs", "table": "cfr_sections", "is_view": false, "human_description_en": "where part_number = 220 sorted by section_id", "rows": [["20:20:1.0.2.8.16.1.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "A", "Subpart A\u2014General", "", "\u00a7 220.1 Introduction of part.", "SSA", "", "", "", "(a) This part explains how disability determinations are made by the Railroad Retirement Board. In some determinations of disability entitlement, as described below, the Board makes the decision of disability under the Railroad Retirement Act based on the regulations set out in this part. However, in certain other determinations of disability entitlement (as also described below) the Board has the authority to decide whether the claimant is disabled as that term is defined in the Social Security Act and the regulations of the Social Security Administration.\n\n(b) In order for a claimant to become entitled to a railroad retirement annuity based on disability for his or her regular railroad occupation, or to become entitled to a railroad retirement annuity based on disability for any regular employment as an employee, widow(er), or child, he or she must be disabled as those terms are defined in the Railroad Retirement Act. In order for a claimant to become entitled to a period of disability, to early Medicare coverage based on disability, to benefits under the social security overall minimum, or to a disability annuity as a surviving divorced spouse or remarried widow(er), the claimant must be found disabled as that term is defined in the Social Security Act."], ["20:20:1.0.2.8.16.1.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "A", "Subpart A\u2014General", "", "\u00a7 220.2 The basis for the Board's disability decision.", "SSA", "", "", "", "(a) The Board makes disability decisions for claims of disability under the Railroad Retirement Act. These decisions are based either on the rules contained in the Board's regulations in this part or the rules contained in the regulations of the Social Security Administration, whichever is controlling.\n\n(b) A disability decision is made only if the claimant meets other basic eligibility requirements for the specific disability benefit for which he or she is applying. For example, a claimant for an occupational disability annuity must first meet the eligibility requirements for that annuity, as explained in part 216 of this chapter, in order for the Board to make a disability decision."], ["20:20:1.0.2.8.16.1.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "A", "Subpart A\u2014General", "", "\u00a7 220.3 Determinations by other organizations and agencies.", "SSA", "", "", "", "Determinations of the Social Security Administration or any other governmental or non-governmental agency about whether or not a claimant is disabled under the laws, regulations or standards administered by that agency shall be considered by the Board but are not binding on the Board."], ["20:20:1.0.2.8.16.10.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "J", "Subpart J\u2014Residual Functional Capacity", "", "\u00a7 220.120 The claimant's residual functional capacity.", "SSA", "", "", "[68 FR 60293, Oct. 22, 2003, as amended at 74 FR 63601, Dec. 4, 2009]", "(a)  General.  The claimant's impairment(s), and any related symptoms, such as pain, may cause physical and mental limitations that affect what the claimant can do in a work setting. The claimant's residual functional capacity is what the claimant can still do despite the claimant's limitations. If the claimant has more than one impairment, the Board will consider all of the claimant's impairment(s) of which the Board is aware. The Board will consider the claimant's ability to meet certain demands of jobs, such as physical demands, mental demands, sensory requirements, and other functions, as described in paragraphs (b), (c), and (d) of this section. Residual functional capacity is an assessment based upon all of the relevant evidence. It may include descriptions (even the claimant's own) of limitations that go beyond the symptoms, such as pain, that are important in the diagnosis and treatment of the claimant's medical condition. Observations by the claimant's treating or examining physicians or psychologists, the claimant's family, neighbors, friends, or other persons, of the claimant's limitations, in addition to those observations usually made during formal medical examinations, may also be used. These descriptions and observations, when used, must be considered along with the claimant's medical records to enable us to decide to what extent the claimant's impairment(s) keeps the claimant from performing particular work activities. This assessment of the claimant's remaining capacity for work is not a decision on whether the claimant is disabled, but is used as the basis for determining the particular types of work the claimant may be able to do despite the claimant's impairment(s). Then, using the guidelines in \u00a7\u00a7 220.125 and 220.134 of this part the claimant's vocational background is considered along with the claimant's residual functional capacity in arriving at a disability determination or decision. In deciding whether the claimant's disability continues or ends, the residual functional capacity assessment may also be used to determine whether any medical improvement the claimant has experienced is related to the claimant's ability to work as discussed in \u00a7 220.178 of this part.\n\n(b)  Physical abilities.  When the Board assesses the claimant's physical abilities, the Board first assesses the nature and extent of the claimant's physical limitations and then determines the claimant's residual functional capacity for work activity on a regular and continuing basis. A limited ability to perform certain physical demands of work activity, such as sitting, standing, walking, lifting, carrying, pushing, pulling, or other physical functions (including manipulative or postural functions, such as reaching, handling, stooping or crouching), may reduce the claimant's ability to do past work and other work.\n\n(c)  Mental abilities.  When the Board assesses the claimant's mental abilities, the Board first assesses the nature and extent of the claimant's mental limitations and restrictions and then determines the claimant's residual functional capacity for work activity on a regular and continuing basis. A limited ability to carry out certain mental activities, such as limitations in understanding, remembering, and carrying out instructions, and in responding appropriately to supervision, co-workers, and work pressures in a work setting, may reduce the claimant's ability to do past work and other work.\n\n(d)  Other abilities affected by impairment(s).  Some medically determinable impairment(s), such as skin impairment(s), epilepsy, impairment(s) of vision, hearing or other senses, and impairment(s) which impose environmental restrictions, may cause limitations and restrictions which affect other work-related abilities. If the claimant has this type of impairment(s), the Board considers any resulting limitations and restrictions which may reduce the claimant's ability to do past work and other work in deciding the claimant's residual functional capacity.\n\n(e)  Total limiting effects.  When the claimant has a severe impairment(s), but the claimant's symptoms, signs, and laboratory findings are not medically disabling, the Board will consider the limiting effects of all of the claimant's impairment(s), even those that are not severe, in determining the claimant's residual functional capacity. Pain or other symptoms may cause a limitation of function beyond that which can be determined on the basis of the anatomical, physiological or psychological abnormalities considered alone; e.g., someone with a low back disorder may be fully capable of the physical demands consistent with those of sustained medium work activity, but another person with the same disorder, because of pain, may not be capable of more than the physical demands consistent with those of light work activity on a sustained basis. In assessing the total limiting effects of the claimant's impairment(s) and any related symptoms, the Board will consider all of the medical and non-medical evidence, including the information described in \u00a7 220.114 of this part."], ["20:20:1.0.2.8.16.10.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "J", "Subpart J\u2014Residual Functional Capacity", "", "\u00a7 220.121 Responsibility for assessing and determining residual functional capacity.", "SSA", "", "", "", "(a) For cases at the initial or reconsideration level, the responsibility for determining residual functional capacity rests with the bureau of retirement claims. This assessment is based on all the evidence the Board has, including any statements regarding what the claimant can still do that have been provided by treating or examining physicians, consultative physicians, or any other physician designated by the Board. In any case where there is evidence which indicates the existence of a mental impairment, the bureau of retirement claims will not make a residual functional capacity determination without making every reasonable effort to ensure that a qualified psychiatrist or psychologist has provided a medical review of the case.\n\n(b) For cases at the hearing level or the three-member-Board review level, the responsibility for deciding residual functional capacity rests with the hearings officer or the three-member Board, respectively."], ["20:20:1.0.2.8.16.11.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.125 When vocational background is considered.", "SSA", "", "", "", "(a)  General.  The Board will consider vocational factors when the claimant is applying for\u2014\n\n(1) An employee annuity based on disability for any regular employment; (See \u00a7 220.45(b))\n\n(2) Widow(er) disability annuity; or\n\n(3) Child's disability annuity based on disability before age 22.\n\n(b)  Disability determinations in which vocational factors must be considered along with medical evidence.  When the Board cannot decide whether the claimant is disabled on medical evidence alone, the Board must use other evidence.\n\n(1) The Board will use information from the claimant about his or her age, education, and work experience.\n\n(2) The Board will consider the doctors' reports, and hospital records, as well as the claimant's own statements and other evidence to determine a claimant's residual functional capacity and how it affects the work the claimant can do. Sometimes, to do this, the Board will need to ask the claimant to have special examinations or tests. (See \u00a7 220.50.)\n\n(3) If the Board finds that the claimant can no longer do the work he or she has done in the past, the Board will determine whether the claimant can do other work (jobs) which exist in significant numbers in the national economy."], ["20:20:1.0.2.8.16.11.155.10", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.134 Medical-vocational guidelines in appendix 2 of this part.", "SSA", "", "", "", "(a) The Dictionary of Occupational Titles includes information about jobs (classified by their exertional and skill requirements) that exist in the national economy. Appendix 2 of this part provides rules using this data reflecting major functional and vocational patterns.\n\n(b) The Board applies that rules in appendix 2 of this part in cases where a claimant is not doing substantial gainful activity and is prevented by a severe impairment(s) from doing vocationally relevant past work.\n\n(c) The rules in appendix 2 of this part do not cover all possible variations of factors. The Board does not apply these rules if one of the findings of fact about the claimant's vocational factors and residual functional capacity is not the same as the corresponding criterion of a rule. In these instances, the Board gives full consideration to all relevant facts in accordance with the definitions and discussions under vocational considerations. However, if the findings of fact made about all factors are the same as the rule, the Board uses that rule to decide whether that claimant is disabled."], ["20:20:1.0.2.8.16.11.155.11", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.135 Exertional and nonexertional limitations.", "SSA", "", "", "[68 FR 60294, Oct. 22, 2003]", "(a)  General.  The claimant's impairment(s) and related symptoms, such as pain, may cause limitations of function or restrictions which limit the claimant's ability to meet certain demands of jobs. These limitations may be exertional, nonexertional, or a combination of both. Limitations are classified as exertional if they affect the claimant's ability to meet the strength demands of jobs. The classification of a limitation as exertional is related to the United States Department of Labor's classification of jobs by various exertional levels (sedentary, light, medium, heavy, and very heavy) in terms of the strength demands for sitting, standing, walking, lifting, carrying, pushing, and pulling. Sections 220.132 and 220.134 of this part explain how the Board uses the classification of jobs by exertional levels (strength demands) which is contained in the Dictionary of Occupational Titles published by the Department of Labor, to determine the exertional requirements of work which exists in the national economy. Limitations or restrictions which affect the claimant's ability to meet the demands of jobs other than the strength demands, that is, demands other than sitting, standing, walking, lifting, carrying, pushing or pulling, are considered nonexertional. Sections 220.100(b)(5) and 220.180(h) of this part explain that if the claimant can no longer do the claimant's past relevant work because of a severe medically determinable impairment(s), the Board must determine whether the claimant's impairment(s), when considered along with the claimant's age, education, and work experience, prevents the claimant from doing any other work which exists in the national economy in order to decide whether the claimant is disabled or continues to be disabled. Paragraphs (b), (c), and (d) of this section explain how the Board applies the medical-vocational guidelines in appendix 2 of this part in making this determination, depending on whether the limitations or restrictions imposed by the claimant's impairment(s) and related symptoms, such as pain, are exertional, nonexertional, or a combination of both.\n\n(b)  Exertional limitations.  When the limitations and restrictions imposed by the claimant's impairment(s) and related symptoms, such as pain, affect only the claimant's ability to meet the strength demands of jobs (sitting, standing, walking, lifting, carrying, pushing, and pulling), the Board considers that the claimant has only exertional limitations. When the claimant's impairment(s) and related symptoms only impose exertional limitations and the claimant's specific vocational profile is listed in a rule contained in appendix 2 of this part, the Board will directly apply that rule to decide whether the claimant is disabled.\n\n(c)  Nonexertional limitations.  (1) When the limitations and restrictions imposed by the claimant's impairment(s) and related symptoms, such as pain, affect only the claimant's ability to meet the demands of jobs other than the strength demands, the Board considers that the claimant has only nonexertional limitations or restrictions. Some examples of nonexertional limitations or restrictions include the following:\n\n(i) Difficulty functioning because the claimant is nervous, anxious, or depressed;\n\n(ii) Difficulty maintaining attention or concentration;\n\n(iii) Difficulty understanding or remembering detailed instructions;\n\n(iv) Difficulty in seeing or hearing;\n\n(v) Difficulty tolerating some physical feature(s) of certain work settings,  e.g.,  the claimant cannot tolerate dust or fumes; or\n\n(vi) Difficulty performing the manipulative or postural functions of some work such as reaching, handling, stooping, climbing, crawling, or crouching.\n\n(2) If the claimant's impairment(s) and related symptoms, such as pain, only affect the claimant's ability to perform the nonexertional aspects of work-related activities, the rules in appendix 2 do not direct factual conclusions of disabled or not disabled. The determination as to whether disability exists will be based on the principles in the appropriate sections of the regulations, giving consideration to the rules for specific case situations in appendix 2 of this part.\n\n(d)  Combined exertional and nonexertional limitations.  When the limitations and restrictions imposed by the claimant's impairment(s) and related symptoms, such as pain, affect the claimant's ability to meet both the strength and demands of jobs other than the strength demands, the Board considers that the claimant has a combination of exertional and nonexertional limitations or restrictions. If the claimant's impairment(s) and related symptoms, such as pain, affect the claimant's ability to meet both the strength and demands of jobs other than the strength demands, the Board will not directly apply the rules in appendix 2 unless there is a rule that directs a conclusion that the claimant is disabled based upon the claimant's strength limitations; otherwise the rules provide a framework to guide the Board's decision."], ["20:20:1.0.2.8.16.11.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.126 Relationship of ability to do work and residual functional capacity.", "SSA", "", "", "", "(a) If the claimant can do his or her previous work (his or her usual work or other applicable past work), the Board will determine he or she is not disabled.\n\n(b) If the residual functional capacity is not enough for the claimant to do any of his or her previous work, the Board must still decide if the claimant can do any other work. To determine whether the claimant can do other work, the Board will consider the claimant's residual functional capacity, and his or her age, education, and work experience. Any work (jobs) that the claimant can do must exist in significant numbers in the national economy (either in the region where he or she lives or in several regions of the country)."], ["20:20:1.0.2.8.16.11.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.127 When the only work experience is arduous unskilled physical labor.", "SSA", "", "", "", "(a)  Arduous work.  Arduous work is primarily physical work requiring a high level of strength or endurance. The Board will consider the claimant unable to do lighter work and therefore, disabled if he or she has\u2014\n\n(1) A marginal education (see \u00a7 220.129);\n\n(2) Work experience of 35 years or more during which he or she did arduous unskilled physical labor; and\n\n(3) A severe impairment which no longer allows him or her to do arduous unskilled physical labor.\n\n(b)  Exceptions.  The Board may consider the claimant not disabled if\u2014\n\n(1) The claimant is working or has worked despite his or her impairment(s) (except where work is sporadic or not medically advisable); or\n\n(2) Evidence shows that the claimant has training or past work experience which enables him or her to do substantial gainful activity in another occupation with his or her impairment, either full-time or on reasonably regular part-time basis."], ["20:20:1.0.2.8.16.11.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.128 Age as a vocational factor.", "SSA", "", "", "", "(a)  General.  (1)  Age  refers to how old the claimaint is (chronological age) and the extent to which his or her age affects his or her ability to\u2014\n\n(i) Adapt to a new work situation; and\n\n(ii) Do work in competition with others.\n\n(2) In determining disability, the Board does not consider age alone. The Board must also consider the claimant's residual functional capacity, education, and work experience. If the claimant is unemployed because of his or her age and can still do a significant number of jobs which exist in the national economy, the Board will find that he or she is not disabled. Appendix 2 of this part explains in detail how the Board considers age as a vocational factor. However, the Board does not apply these age categories mechanically in a borderline situation.\n\n(b)  Younger person.  If the claimant is under age 50, the Board generally does not consider that his or her age will seriously affect the ability to adapt to a new work situation. In some circumstances, the Board considers age 45 a handicap in adapting to a new work setting (see Rule 201.17 in appendix 2 of this part).\n\n(c)  Person approaching advanced age.  If the claimant is closely approaching advanced age (50-54), the Board considers that the claimant's age, along with a severe impairment and limited work experience, may seriously affect the claimant's ability to adjust to a significant number of jobs in the national economy.\n\n(d)  Person of advanced age.  The Board considers that advanced age (55 or over) is the point at which age significantly affects the claimant's ability to do substantial gainful activity.\n\n(1) If the claimant is severly impaired and of advanced age, and he or she cannot do medium work (see \u00a7 220.132), the claimant may not be able to work unless he or she has skills that can be used in less demanding jobs which exist in significant numbers in the national economy.\n\n(2) If the claimant is close to retirement age (60-64) and has a severe impairment, the Board will not consider him or her able to adjust to sedentary or light work unless the claimant has skills which are highly marketable."], ["20:20:1.0.2.8.16.11.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.129 Education as a vocational factor.", "SSA", "", "", "", "(a)  General.  \u201cEducation\u201d is primarily used to mean formal schooling or other training which contributes to the claimant's ability to meet vocational requirements, for example, reasoning ability, communication skills, and arithmetical ability. If the claimant does not have formal schooling, this does not necessarily mean that the claimant is uneducated or lacks these abilities. Past work experience and the kinds of responsibilities the claimant had when he or she was working may show that he or she has intellectual abilities, although the claimant may have little formal education. A claimant's daily activities, hobbies, or the results of testing may also show that the claimant has significant intellectual ability that can be used to work.\n\n(b)  How the Board evaluates the claimant's education.  The importance of the claimant's educational background may depend upon how much time has passed between the completion of the claimant's formal education and the beginning of the claimant's physical or mental impairment(s) and what the claimant has done with his or her education in a work or other setting. Formal education completed many years before the claimant's impairment(s) began, or unused skills and knowledge that were a part of the claimant's formal education, may no longer be useful or meaningful in terms of ability to work. Therefore, the numerical grade level that the claimant completed in school may not represent his or her actual educational abilities. These educational abilities may be higher or lower than the numerical grade level that the claimant completed. However, if there is no other evidence to contradict it, the Board uses the claimant's numerical grade level to determine the claimant's educational abilities. The term \u201ceducation\u201d also includes how well the claimant is able to communicate in English since this ability is often acquired or improved by education. In evaluating the claimant's educational level, the Board uses the following categories:\n\n(1)  Illiteracy.  Illiteracy means the inability to read or write. The Board will consider the claimant illiterate if he or she cannot read or write a simple message such as instructions or inventory lists even though the claimant can sign his or her name. Generally, the illiterate claimant has had little or no formal schooling.\n\n(2)  Marginal education.  Marginal education means ability in reasoning, arithmetic, and language skills which are needed to do simple, unskilled types of jobs. Generally, this means a 6th grade or less level of education.\n\n(3)  Limited education.  Limited education means ability in reasoning, arithmetic, and language skills, but not enough to allow a person with these educational qualifications to do most of the more complex duties needed in semi-skilled or skilled jobs. Generally, a limited education is a 7th grade through 11th grade level of education.\n\n(4)  High school education and above.  High school and above means abilities in reasoning, arithmetic, and language skills acquired through formal schooling at a 12th grade level or above. The claimant with this level of education is generally considered able to do semi-skilled through skilled work.\n\n(5)  Inability to communicate in English.  Since the ability to speak, read, and understand English is generally learned or increased at school, the Board may consider this an educational factor. Because English is the dominant language of the country, it may be difficult for the claimant who does not speak and understand English to do a job, regardless of the amount of education he or she may have in another language. The claimant's ability to speak, read and understand English will be considered when the Board evaluates what work, if any, he or she can do.\n\n(6)  Information about the claimant's education.  The Board will ask the claimant how long he or she attended school and whether he or she can speak, understand, read and write in English, and do at least simple calculations in arithmetic. The Board will also consider information about how much formal or informal education the claimant received from his or her previous work, community projects, hobbies and any other activities which might help him or her to work."], ["20:20:1.0.2.8.16.11.155.6", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.130 Work experience as a vocational factor.", "SSA", "", "", "", "(a)  General.   Work experience  means skills and abilities the claimant has acquired through work he or she has done which show the type of work he or she may be expected to do. Work the claimant has already been able to do shows the kind of work that he or she may be expected to do. The Board considers that the claimant's work experience is relevant and applies when it was done within the last 15 years, lasted long enough for him or her to learn to do it, and was substantial gainful activity. This work experience is called \u201cpast relevant work.\u201d The Board does not usually consider that work the claimant did 15 years or more before the time the Board is deciding whether he or she is disabled (or when the disability insured status requirement was last met, if earlier) applies. A gradual change occurs in most jobs so that after 15 years, it is no longer realistic to expect that skills and abilities acquired in a job done then continue to apply. The 15-year guide is intended to insure that remote work experience is not currently applied. If the claimant has no work experience or worked only \u201coff-and-on\u201d or for brief periods of time during the 15-year period, the Board generally considers that these do not apply. If the claimant has acquired skills through his or her past work, the Board considers the claimant to have these work skills unless he or she cannot use them in other skilled or semi-skilled work that he or she can do. If the claimant cannot use his or her skills in other skilled or semi-skilled work, the Board will consider his or her work background the same as unskilled. However, even if the claimant has no work experience, the Board may consider that the claimant is able to do unskilled work because it requires little or no judgment and can be learned in a short period of time.\n\n(b)  Information about the claimant's work.  (1) Sometimes the Board will need information about the claimant's past work to make a disability determination. The Board may request work information from\u2014\n\n(i) The claimant; and\n\n(ii) The claimant's employer or other person who knows about the claimant's work (member of family or co-worker) with the claimant's permission.\n\n(2) The Board will ask for the following information about all the jobs the claimant has had in the last 15 years:\n\n(i) The dates the claimant worked.\n\n(ii) All the duties the claimant did.\n\n(iii) Any tools, machinery, and equipment the claimant used.\n\n(iv) The amount of walking, standing, sitting, lifting and carrying the claimant did during the work day, as well as any other physical and mental duties of the job.\n\n(3) If all the claimant's work in the past 15 years has been arduous and unskilled, and the claimant has very little education, the Board will ask the claimant to tell about all of his or her work from the time he or she first began working. (See \u00a7 220.45(b).)"], ["20:20:1.0.2.8.16.11.155.7", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.131 Work which exists in the national economy.", "SSA", "", "", "", "(a)  General.  The Board considers that work exists in the national economy when it exists in significant numbers either in the region where the claimant lives or in several other regions of the country. It does not matter whether\u2014\n\n(1) Work exits in the immediate area in which the claimant lives,\n\n(2) A specific job vacancy exists for the claimant; or\n\n(3) The claimant would be hired if the claimant applied for work.\n\n(b)  How the Board determines the existence of work.  Work exists in the national economy when there are a significant number of jobs (in one or more occupations) having requirements which the claimant is able to meet with his or her physical or mental ability and vocational qualifications. Isolated jobs that exist in very limited numbers in relatively few locations outside the region where the claimant lives are not considered \u201cwork which exists in the national economy.\u201d The Board will not deny the claimant a disability annuity on the basis of the existence of these kinds of jobs. The Board will determine that the claimant is disabled if the work he or she can do does not exist in the national economy. If the work the claimant can do does exist in the national economy, the Board will determine that the claimant is not disabled.\n\n(c)  Inability to obtain work.  The Board will determine that the claimant is not disabled if he or she has the residual functional capacity and vocational abilities to do work which exists in the national economy but the claimant remains unemployed because of\u2014\n\n(1) His or her inability to get work;\n\n(2) Lack of work in his or her local area;\n\n(3) The hiring practices of employers;\n\n(4) Technological changes in the industry in which the claimant has worked;\n\n(5) Cyclical economic conditions;\n\n(6) No job openings for the claimant;\n\n(7) The claimant not actually being hired to do work he or she could otherwise do; or\n\n(8) The claimant not wishing to do a particular type of work.\n\n(d)  Administrative notice of job data.  The following sources are used when the Board determines that unskilled, sedentary, light and medium jobs exist in the national economy:\n\n(1)  Dictionary of Occupational Titles,  published by the Department of Labor.\n\n(2)  County Business Patterns,  published by the Bureau of the Census.\n\n(3)  Census Reports,  also published by the Bureau of the Census.\n\n(4)  Occupational Analyses,  prepared for the Social Security Administration by various State employment agencies.\n\n(5)  Occupational Outlook Handbook,  published by the Bureau of Labor Statistics.\n\n(e)  Use of vocational experts and other specialists.  If the issue in determining whether the claimant is disabled is whether his or her work skills can be used in other work and the specific occupations in which they can be used, or there is a similarly complex issue, the Board may use the services of a vocational expert or other specialist. The Board will decide whether to use a vocational expert or other specialist."], ["20:20:1.0.2.8.16.11.155.8", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.132 Physical exertion requirements.", "SSA", "", "", "", "To determine the physical exertion requirements of work in the national economy, jobs are classified as \u201csedentary\u201d, \u201clight\u201d, \u201cmedium\u201d, \u201cheavy\u201d, and \u201cvery heavy.\u201d These terms have the same meaning as they have in the Dictionary of Occupational Titles, published by the Department of Labor. In making disability determinations the Board uses the following definitions:\n\n(a)  Sedentary work.  Sedentary work involves lifting no more than 10 pounds at a time and occasionally lifting or carrying articles like docket files, ledgers, and small tools. Although a sedentary job is defined as one which involves sitting, a certain amount of walking and standing is often necessary in carrying out job duties. Jobs are sedentary if walking and standing are required occasionally and the other sedentary criteria are met.\n\n(b)  Light work.  Light work involves lifting no more than 20 pounds at a time with frequent lifting or carrying of objects weighing up to 10 pounds. Even though the weight lifted may be very little, a job is in this category when it requires a good deal of walking or standing, or when it involves sitting most of the time with some pushing and pulling of arm or leg controls. To be considered capable of performing a full or wide range of light work, the claimant must have the ability to do substantially all of these activities. If the claimant can do light work, the Board determines that he or she can also do sedentary work, unless there are additional limiting factors such as loss of fine dexerity or inability to sit for long periods of time.\n\n(c)  Medium work.  Medium work involves lifting no more than 50 pounds at a time with frequent lifting or carrying of objects weighing up to 25 pounds. If the claimant can do medium work, the Board determines that he or she can also do sedentary and light work.\n\n(d)  Heavy work.  Heavy work involves lifting no more than 100 pounds at a time with frequent lifting or carrying of objects weighing up to 50 pounds. If the claimant can do heavy work, the Board determines that he or she can also do medium, light, and sedentary work.\n\n(e)  Very heavy work.  Very heavy work involves lifting objects weighing more than 100 pounds at a time with frequent lifting or carrying of objects weighing 50 pounds or more. If the claimant can do very heavy work, the Board determines that he or she can also do heavy, medium, light and sedentary work."], ["20:20:1.0.2.8.16.11.155.9", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "K", "Subpart K\u2014Vocational Considerations", "", "\u00a7 220.133 Skill requirements.", "SSA", "", "", "", "(a)  General.  To evaluate skills and to help determine the existence in the national economy of work the claimant is able to do, occupations are classified as unskilled, semi-skilled, and skilled. In classifying these occupations, the Board uses materials published by the Department of Labor.\n\n(b)  Unskilled work.  Unskilled work is work which needs little or no judgment to do simple duties that can be learned on the job in a short period of time (30 days). The job may or may not require considerable strength. A job is considered unskilled if the claimant can usually learn to do the job in 30 days, and little job training and judgment are needed. The claimant does not gain work skills by doing unskilled jobs. For example, jobs are considered unskilled if primary work duties are\u2014\n\n(1) Handling;\n\n(2) Feeding;\n\n(3) Offbearing (placing or removing materials from machines which are automatic or operated by others); or\n\n(4) Machine tending.\n\n(c)  Semi-skilled work.  Semi-skilled work is work which needs some skills but does not require doing the more complex work duties. A job may be classified as semi-skilled where coordination and dexterity are necessary, as when hand or feet must be moved quickly to do repetitive tasks. Semi-skilled jobs may require\u2014\n\n(1) Alertness and close attention to watching machine processes;\n\n(2) Inspecting, testing, or otherwise looking for irregularities;\n\n(3) Tending or guarding equipment, property, materials, or persons against loss, damage, or injury; or\n\n(4) Other types of activities which are similarly less complex than skilled work but more complex than unskilled work.\n\n(d)  Skilled work.  Skilled work requires qualifications in which a person uses judgment to determine the machine and manual operations to be performed in order to obtain the proper form, quality, or quantity of material to be produced. Skilled jobs may require\u2014\n\n(1) Laying out work;\n\n(2) Estimating quality;\n\n(3) Determining suitability and needed quantities of materials;\n\n(4) Making precise measurements;\n\n(5) Reading blueprints or other specifications;\n\n(6) Making necessary computations or mechanical adjustments to control or regulate work; or\n\n(7) Dealing with people, facts, figures or abstract ideas at a high level of complexity.\n\n(e)  Skills that can be used in other work (transferability) \u2014(1)  What the Board means by transferable skills.  The Board considers the claimant to have skills that can be used in other jobs, when the skilled or semi-skilled work activities the claimant did in past work can be used to meet the requirements of skilled or semi-skilled work activities of other jobs or kinds of work. This depends largely on the similarity of occupationally significant work activities among different jobs.\n\n(2)  How the Board determines skills that can be transferred to other jobs.  Transferability is most probable and meaningful among jobs in which\u2014\n\n(i) The same or a lesser degree of skill is required;\n\n(ii) The same or similar tools and machines are used; and\n\n(iii) The same or similar raw materials, products, processes, or services are involved.\n\n(3)  Degrees of transferability.  There are degrees of transferability of skills ranging from very close similarities to remote and incidental similarities among jobs. A complete similarity of all three factors is not necessary for transferability. However, when skills are so specialized or have been acquired in such an isolated vocational setting (like many jobs in mining, agriculture, or fishing) that they are not readily usable in other industries, jobs, and work settings, they are considered not transferable."], ["20:20:1.0.2.8.16.12.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "L", "Subpart L\u2014Substantial Gainful Activity", "", "\u00a7 220.140 General.", "SSA", "", "", "", "The work that a claimant has done during any period in which the claimant believes he or she is disabled may show that the claimant is able to do work at the substantial gainful activity level. If the claimant is able to engage in substantial gainful activity, the Board will find that the claimant is not disabled for any regular employment under the Railroad Retirement Act. Even if the work the claimant has done was not substantial gainful activity, it may show that the claimant is able to do more work than he or she actually did. The Board will consider all of the medical and vocational evidence in the claimant's file to decide whether or not the claimant has the ability to engage in substantial gainful activity."], ["20:20:1.0.2.8.16.12.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "L", "Subpart L\u2014Substantial Gainful Activity", "", "\u00a7 220.141 Substantial gainful activity, defined.", "SSA", "", "", "", "Substantial gainful activity is work activity that is both substantial and gainful.\n\n(a)  Substantial work activity.  Substantial work activity is work activity that involves doing significant physical or mental activities. The claimant's work may be substantial even if it is done on a part-time basis or if the claimant does less, gets paid less, or has less responsibility than when the claimant worked before.\n\n(b)  Gainful work activity.  Gainful work activity is work activity that the claimant does for pay or profit. Work activity is gainful if it is the kind of work usually done for pay or profit, whether or not a profit is realized.\n\n(c)  Some other activities.  Generally, the Board does not consider activities like taking care of one's self, household tasks, hobbies, therapy, school attendance, club activities, or social programs to be substantial gainful activity."], ["20:20:1.0.2.8.16.12.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "L", "Subpart L\u2014Substantial Gainful Activity", "", "\u00a7 220.142 General information about work activity.", "SSA", "", "", "", "(a)  The nature of the claimant's work.  If the claimant's duties require use of the claimant's experience, skills, supervision and responsibilities, or contribute substantially to the operation of a business, this tends to show that the claimant has the ability to work at the substantial gainful activity level.\n\n(b)  How well the claimant performs.  The Board considers how well the claimant does his or her work when the Board determines whether or not the claimant is doing substantial gainful activity. If the claimant does his or her work satisfactorily, this may show that the claimant is working at the substantial gainful activity level. If the claimant is unable, because of his or her impairments, to do ordinary or simple tasks satisfactorily without more supervision or assistance than is usually given other people doing similar work, this may show that the claimant is not working at the substantial gainful activity level. If the claimant is doing work that involves minimal duties that make little or no demands on the claimant and that are of little or no use to the claimant's railroad or non-railroad employer, or to the operation of a business if the claimant is self-employed, this does not show that the claimant is working at the substantial gainful activity level.\n\n(c)  If the claimant's work is done under special conditions.  Even though the work the claimant is doing takes into account his or her impairment, such as work done in a sheltered workshop or as a patient in a hospital, it may still show that the claimant has the necessary skills and ability to work at the substantial gainful activity level.\n\n(d)  If the claimant is self-employed.  Supervisory, managerial, advisory or other significant personal services that the claimant performs as a self-employed person may show that the claimant is able to do substantial gainful activity.\n\n(e)  Time spent in work.  While the time the claimant spends in work is important, the Board will not decide whether or not the claimant is doing substantial gainful activity only on that basis. The Board will still evaluate the work to decide whether it is substantial and gainful regardless of whether the claimant spends more time or less time at the job than workers who are not impaired and who are doing similar work as a regular means of their livelihood."], ["20:20:1.0.2.8.16.12.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "L", "Subpart L\u2014Substantial Gainful Activity", "", "\u00a7 220.143 Evaluation guides for an employed claimant.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 64 FR 62976, Nov. 18, 1999; 72 FR 21101, Apr. 30, 2007]", "(a)  General.  The Board uses several guides to decide whether the work the claimant has done shows that he or she is able to do substantial gainful activity.\n\n(1)  The claimant's earnings may show the claimant has done substantial gainful activity.  The amount of the claimant's earnings from work the claimant has done may show that he or she has engaged in substantial gainful activity. Generally, if the claimant worked for substantial earnings, this will show that he or she is able to do substantial gainful activity. On the other hand, the fact that the claimant's earnings are not substantial will not necessarily show that the claimant is not able to do substantial gainful activity. The Board will generally consider work that the claimant is forced to stop after a short time because of his or her impairment(s) as an unsuccessful work attempt and the claimant's earnings from that work will not show that the claimant is able to do substantial gainful activity.\n\n(2)  The Board considers only the amount the claimant earns.  The Board does not consider any income not directly related to the claimant's productivity when the Board decides whether the claimant has done substantial gainful activity. If the claimant's earnings are subsidized, the amount of the subsidy is not counted when the Board determines whether or not the claimant's work is substantial gainful activity. Thus, where work is done under special conditions, the Board only considers the part of the claimant's pay which the claimant actually \u201cearns.\u201d For example, where a handicapped person does simple tasks under close and continuous supervision, the Board would not determine that the person worked at the substantial gainful activity level only on the basis of the amount of pay. A railroad or non-railroad employer may set a specific amount as a subsidy after figuring the reasonable value of the employee's services. If the claimant's work is subsidized and the claimant's railroad and non-railroad employer does not set the amount of the subsidy or does not adequately explain how the subsidy was figured, the Board will investigate to see how much the claimant's work is worth.\n\n(3)  If the claimant is working in a sheltered or special environment.  If the claimant is working in a sheltered workshop, the claimant may or may not be earning the amounts he or she is being paid. The fact that the sheltered workshop or similar facility is operating at a loss or is receiving some charitable contributions or governmental aid does not establish that the claimant is not earning all he or she is being paid. Since persons in military service being treated for a severe impairment usually continue to receive full pay, the Board evaluates work activity in a therapy program or while on limited duty by comparing it with similar work in the civilian work force or on the basis of reasonable worth of the work, rather than on the actual amount of the earnings.\n\n(b)  Earnings guidelines \u2014(1)  General.  If the claimant is employed, the Board first considers the criteria in paragraph (a) of this section and \u00a7 220.145, and then the guides in paragraphs (b)(2), (3), (4), (5), and (6) of this section.\n\n(2)  Earnings that will ordinarily show that the claimant has engaged in substantial gainful activity.  The Board will consider that the earnings from the employed claimant (including earnings from sheltered work, see paragraph (b)(4) of this section) show that the claimant engaged in substantial gainful activity if:\n\n(i)  Before January 1, 2001 , the earnings averaged more than the amount(s) in Table 1 of this section for the time(s) in which the claimant worked.\n\n(ii)  Beginning January 1, 2001 , the earnings are more than an amount determined for each calendar year to be the larger of:\n\n(A) The amount for the previous year, or\n\n(B) The amount established by the Social Security Administration to constitute substantial gainful activity for such year.\n\nTable 1\u2014Amounts Indicating Substantial Gainful Activity Performed\n\n(3)  Earnings that will ordinarily show that the claimant has not engaged in substantial gainful activity.  Beginning January 1, 2001, if the claimant's earnings are equal to or less than the amount(s) determined under paragraph (b)(2)(ii) of this section for the year(s) in which the claimant works, the Board will generally consider that the earnings from the claimant's work as an employee will show the claimant has not engaged in substantial gainful activity. Before January 1, 2001, if the claimant's earnings were less than the amount(s) in Table 2 of this section for the year(s) in which the claimant worked, the Board will generally consider that the earnings from the claimant's work as an employee will show that the claimant has not engaged in substantial gainful activity.\n\nTable 2\u2014Amounts Indicating Substantial Gainful Activity Not Performed\n\n(4)  If the claimant worked in a sheltered workshop.  Before January 1, 2001 if the claimant worked in a sheltered workshop or a comparable facility especially set up for severely impaired persons, the Board will ordinarily consider that the claimant's earnings from this work show that the claimant has engaged in substantial gainful activity if the claimant's earnings average more than the amounts in Table 1 of this section. Average monthly earnings from a sheltered workshop or a comparable facility that are equal to or less than those indicated in Table 1 of this section will ordinarily show that the claimant has not engaged in substantial gainful activity without the need to consider the other information, as described in paragraph (b)(6) of this section, regardless of whether they are more or less than those indicated in paragraph (b)(3) of this section. When the claimant's earnings from a sheltered workshop or comparable facility are equal to or less than those amounts indicated in Table 1 of this section, the Board will consider the provisions of paragraph (b)(6) of this section only if there is evidence that the claimant may have done substantial gainful activity. For work performed in a sheltered workshop or comparable facility beginning January 1, 2001, the rules of paragraph (b)(2), (3), and (6) apply the same as they do to any other work done by an employee.\n\n(5)  If there is evidence showing that the claimant may have done substantial gainful activity.  If there is evidence showing that the claimant may have done substantial gainful activity, the Board will apply the criteria in paragraph (b)(6) of this section regarding comparability and value of services.\n\n(6)  Earnings that are not high enough to ordinarily show that the claimant engaged in substantial gainful activity.  (i) Before January 1, 2001, if the claimant's average monthly earnings were between the amounts shown in paragraphs (b)(2) and (3) of this section, the Board will generally consider other information in addition to the claimant's earnings (see paragraph (b)(6)(iii) of this section). This rule generally applies to employees who did not work in a sheltered workshop or a comparable facility, although the Board may apply it to some people who work in sheltered workshops or comparable facilities (see paragraph (b)(4) of this section).\n\n(ii) Beginning January 1, 2001, if the claimant's average monthly earnings are equal to or less than the amounts determined under paragraph (b)(2) of this section, the Board will generally not consider other information in addition to the claimant's earnings unless there is evidence indicating that the claimant may be engaging in substantial gainful activity or that the claimant is in a position to defer or suppress his or her earnings.\n\n(iii) Examples of other information the Board may consider include, whether\u2014\n\n(A) The claimant's work is comparable to that of unimpaired people in the claimant's community who are doing the same or similar occupations as their means of livelihood, taking into account the time, energy, skill, and responsibility involved in the work, and\n\n(B) The claimant's work, although significantly less than that done by unimpaired people, is clearly worth the amounts shown in paragraph (b)(2) of this section, according to pay scales in the claimant's community."], ["20:20:1.0.2.8.16.12.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "L", "Subpart L\u2014Substantial Gainful Activity", "", "\u00a7 220.144 Evaluation guides for a self-employed claimant.", "SSA", "", "", "", "(a)  If the claimant is a self-employed claimant.  The Board will consider the claimant's activities and their value to the claimant's business to decide whether the claimant has engaged in substantial gainful activity if the claimant is self-employed. The Board will not consider the claimant's income alone since the amount of income the claimant actually receives may depend upon a number of different factors like capital investment, profit sharing agreements, etc. The Board will generally consider work that the claimant is forced to stop after a short time because of his or her impairment(s) as an unsuccessful work attempt and the claimant's income from that work will not show that the claimant is able to do substantial gainful activity. The Board will evaluate the claimant's work activity on the value to the business of the claimant's services regardless of whether the claimant receives an immediate income for his or her services. The Board considers that the claimant has engaged in substantial gainful activity if\u2014\n\n(1) The claimant's work activity, in terms of factors such as hours, skills, energy output, efficency, duties, and responsibilities, is comparable to that of unimpaired persons in the claimant's community who are in the same or similar businesses as their means of livelihood;\n\n(2) The claimant's work activity, although not comparable to that of unimpaired persons, is clearly worth the amount shown in \u00a7 220.143(b)(2) when considered in terms of its value to the business, or when compared to the salary that an owner would pay to an employed person to do the work the claimant is doing; or\n\n(3) The claimant renders services that are significant to the operation of the business and receives a substantial income from the business.\n\n(b)  What the Board means by significant services \u2014(1)  Claimants who are not farm landlords.  If the claimant is not a farm landlord and the claimant operates a business entirely by himself or herself, any services that the claimant renders are significant to the business. If the claimant's business involves the services of more than one person, the Board will consider the claimant to be rendering significant services if he or she contributes more than half the total time required for the management of the business or he or she renders management services for more than 45 hours a month regardless of the total management time required by the business.\n\n(2)  Claimants who are farm landlords \u2014(i)  General.  If the claimant is a farm landlord, that is, the claimant rents farm land to another, the Board will consider the claimant to be rendering significant services if the claimant materially participates in the production or the management of the production of the things raised on the rented farm. If the claimant was given social security earnings credits because he or she materially participated in the activities of the farm and he or she continues these same activities, the Board will consider the claimant to be rendering significant services.\n\n(ii)  Material participation.  (A) The claimant will have established that he or she is materially participating if he or she\u2014\n\n( 1 ) Furnishes a large portion of the machinery, tools, and livestock used in the production of the things raised on the rented farm; or\n\n( 2 ) Furnishes or advances monies or assumes financial responsibility for a substantial part of the expense involved in the production of the things raised on the rented farm.\n\n(B) The claimant will have presented strong evidence that he or she is materially participating if he or she periodically\u2014\n\n( 1 ) Advise or consults with the other person who under the rental agreement produces the things raised on the rented farm; and\n\n( 2 ) Inspects the production activities on the land.\n\n(iii)  Production.  The term \u201cproduction\u201d refers to the physical work performed and the expenses incurred in producing the things raised on the farm. It includes activities like the actual work of planting, cultivating, and harvesting of crops, and the furnishing of machinery, implements, seed, and livestock.\n\n(iv)  Management of the production.  The term \u201cmanagement of the production\u201d refers to services performed in making managerial decisions about the production of the crop, such as when to plant, cultivate, dust, spray or harvest. It includes advising and consulting, making inspections, and making decisions on matters, such as rotation of crops, the type of crops to be grown, the type of livestock to be raised, and the type of machinery and implements to be furnished.\n\n(c)  What the Board means by substantial income.  After the claimant's normal business expenses are deducted from the claimant's gross income to determine net income, the Board will deduct the reasonable value of any unpaid help, any soil bank payments that were included as farm income, and impairment-related work expenses described in \u00a7 220.145 that have not been deducted in determining the claimant's net earnings from self-employment. The Board will consider the resulting amount of income from the business to be substantial if\u2014\n\n(1) It averages more than the amounts described in \u00a7 220.143(b)(2); or\n\n(2) It averages less than the amounts described in \u00a7 220.143(b)(2) but the livelihood which the claimant gets from the business is either comparable to what it was before the claimant became severely impaired or is comparable to that of unimpaired self-employed persons in the claimant's community who are in the same or similar businesses as their means of livelihood."], ["20:20:1.0.2.8.16.12.155.6", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "L", "Subpart L\u2014Substantial Gainful Activity", "", "\u00a7 220.145 Impairment-related work expenses.", "SSA", "", "", "", "(a)  General.  When the Board figures the claimant's earnings in deciding if the claimant has done substantial gainful activity, the Board will subtract the reasonable costs to the claimant of certain items and services which, because of his or her impairment(s), the claimant needs and uses to enable him or her to work. The costs are deductible even though the claimant also needs or uses the items and services to carry out daily living functions unrelated to his or her work. Paragraph (b) of this section explains the conditions for deducting work expenses. Paragraph (c) of this section describes the expenses the Board will deduct. Paragraph (d) of this section explains when expenses may be deducted. Paragraph (e) of this section describes how expenses may be allocated. Paragraph (f) of this section explains the limitations on deducting expenses. Paragraph (g) of this section explains the Board's verification procedures.\n\n(b)  Conditions for deducting impairment-related work expenses.  The Board will deduct impairment-related work expenses if\u2014\n\n(1) The claimant is otherwise disabled as defined in \u00a7 220.26;\n\n(2) The severity of the claimant's impairment(s) requires the claimant to purchase (or rent) certain items and services in order to work;\n\n(3) The claimant pays the cost of the item or service. No deduction will be allowed to the extent that payment has been or will be made by another source. No deduction will be allowed to the extent that the claimant has been, could be, or will be reimbursed for such cost by any other source (such as through a private insurance plan, Medicare or Medicaid, or other plan or agency). For example, if the claimant purchases crutches for $80 but the claimant was, could be, or will be reimbursed $64 by some agency, plan, or program, the Board will deduct only $16;\n\n(4) The claimant pays for the item or service in a month he or she is working (in accordance with paragraph (d) of this section); and\n\n(5) The claimant's payment is in cash (including checks or other forms of money). Payment in kind is not deductible.\n\n(c)  What expenses may be deducted \u2014(1)  Payments for attendant care services.  (i) If because of the claimant's impairment(s) the claimant needs assistance in traveling to and from work, or while at work the claimant needs assistance with personal functions (e.g., eating, toileting) or with work-related functions (e.g., reading, communicating), the payments the claimant makes for those services may be deducted.\n\n(ii) If because of the claimant's impairment(s) the claimant needs assistance with personal functions (e.g., dressing, administering medications) at home in preparation for going to and assistance in returning from work, the payments the claimant makes for those services may be deducted.\n\n(iii)(A) The Board will deduct payments the claimant makes to a family member for attendant care services only if such person, in order to perform the services, suffers an economic loss by terminating his or her employment or by reducing the number of hours he or she worked.\n\n(B) The Board considers a family member to be anyone who is related to the claimant by blood, marriage or adoption, whether or not that person lives with the claimant.\n\n(iv) If only part of the claimant's payment to a person is for services that come under the provisions of paragraph (c)(1) of this section, the Board will only deduct that part of the payment which is attributable to those services. For example, an attendant gets the claimant ready for work and helps the claimant in returning from work, which takes about 2 hours a day. The rest of the attendant's 8-hour day is spent cleaning the claimant's house and doing the claimant's laundry, etc. The Board would only deduct one-fourth of the attendant's daily wages as an impairment-related work expense.\n\n(2)  Payment for medical devices.  If the claimant's impairment(s) requires that the claimant utilize medical devices in order to work, the payments the claimant makes for those devices may be deducted. As used in this subparagraph, medical devices include durable medical equipment which can withstand repeated use, is customarily used for medical purposes, and is generally not useful to a person in the absence of an illness or injury. Examples of durable medical equipment are wheelchairs, hemodialysis equipment, canes, crutches, inhalators and pacemakers.\n\n(3)  Payments for prosthetic devices.  If the claimant's impairment(s) requires that the claimant utilize a prosthetic device in order to work, the payments the claimant makes for that device can be deducted. A prosthetic device is that which replaces an internal body organ or external body part. Examples of prosthetic devices are artificial replacements of arms, legs and other parts of the body.\n\n(4)  Payments for equipment \u2014(i)  Work-related equipment.  If the claimant's impairment(s) requires that the claimant utilize special equipment in order to do his or her job, the payments the claimant makes for that equipment may be deducted. Examples of work-related equipment are one-hand typewriters, vision aids, sensory aids for the blind, telecommunication devices for the deaf and tools specifically designed to accommodate a person's impairment(s).\n\n(ii)  Residential modifications.  If the claimant's impairment(s) requires that the claimant make modifications to his or her residence, the location of the claimant's place of work will determine if the cost of these modifications will be deducted. If the claimant is employed away from home, only the cost of changes made outside of the claimant's home to permit the claimant to get to his or her means of transportation (e.g., the installation of an exterior ramp for a wheelchair confined person or special exterior railings or pathways for someone who requires crutches) will be deducted. Costs relating to modifications of the inside of the claimant's home will not be deducted. If the claimant works at home, the costs of modifying the inside of the claimant's home in order to create a working space to accommodate the claimant's impairment(s) will be deducted to the extent that the changes pertain specifically to the space in which the claimant works. Examples of such changes are the enlargement of a doorway leading into the workspace or modification of the workspace to accommodate problems in dexterity. However, if the claimant is self-employed at home, any cost deducted as a business expense cannot be deducted as an impairment-related work expense.\n\n(iii)  Non-medical appliances and equipment.  Expenses for appliances and equipment which the claimant does not ordinarily use for medical purposes are generally not deductible. Examples of these items are portable room heaters, air conditioners, humidifiers, dehumidifiers, and electric air cleaners. However, expenses for such items may be deductible when unusual circumstances clearly establish an impairment-related and medically verified need for such an item because it is for the control of the claimant's disabling impairment(s), thus enabling the claimant to work. To be considered essential, the item must be of such a nature that if it were not available to the claimant there would be an immediate adverse impact on the claimant's ability to function in his or her work activity. In this situation, the expense is deductible whether the item is used at home or in the working place. An example would be the need for an electric air cleaner by a person with severe respiratory disease who cannot function in a non-purified air environment. An item such as an exercycle is not deductible if used for general physical fitness. If an exercycle is prescribed and used as necessary treatment to enable the claimant to work, the Board will deduct payments the claimant makes toward its cost.\n\n(5)  Payments for drugs and medical services.  (i) If the claimant must use drugs or medical services (including diagnostic procedures) to control his or her impairment(s), the payments the claimant makes for them may be deducted. The drugs or services must be prescribed (or utilized) to reduce or eliminate symptoms of the claimant's impairment(s) or to slow down its progression. The diagnostic procedures must be performed to ascertain how the impairment(s) is progressing or to determine what type of treatment should be provided for the impairment(s).\n\n(ii) Examples of deductible drugs and medical services are anti-convulsant drugs to control epilepsy or anticonvulsant blood level monitoring; antidepressant medication for mental impairments; medication used to allay the side effects of certain treatments; radiation treatment or chemotherapy for cancer patients; corrective surgery for spinal impairments; electroencephalograms and brain scans related to a disabling epileptic impairment; tests to determine the efficacy of medication on a diabetic condition; and immunosuppressive medications that kidney transplant patients regularly take to protect against graft rejection.\n\n(iii) The Board will only deduct the costs of drugs or services that are directly related to the claimant's impairment(s). Examples of non-deductible items are routine annual physical examinations, optician services (unrelated to a disabling visual impairment) and dental examinations.\n\n(6)  Payments for similar items and services \u2014(i)  General.  If the claimant is required to utilize items and services not specified in paragraphs (c)(1) through (5) of this section, but which are directly related to his or her impairment(s) and which the claimant needs to work, their costs are deductible. Examples of such items and services are medical supplies and services not discussed above, the purchase and maintenance of a dog guide which the claimant needs to work, and transportation.\n\n(ii)  Medical supplies and services not described above.  The Board will deduct payments the claimant makes for expendable medical supplies, such as incontinence pads, catheters, bandages, elastic stockings, face masks, irrigating kits, and disposable sheets and bags. The Board will also deduct payments the claimant makes for physical therapy which the claimant requires because of his or her impairment(s) and which the claimant needs in order to work.\n\n(iii)  Payments for transportation costs.  The Board will deduct transportation costs in these situations:\n\n(A) The claimant's impairment(s) requires that in order to get to work the claimant needs a vehicle that has structural or operational modifications. The modifications must be critical to the claimant's operation or use of the vehicle and directly related to the claimant's impairment(s). The Board will deduct the cost of the modifications, but not the cost of the vehicle. The Board will also deduct a mileage allowance for the trip to and from work. The allowance will be based on data compiled by the Federal Highway Administration relating to vehicle operating costs.\n\n(B) The claimant's impairment(s) requires the claimant to use driver assistance, taxicabs or other hired vehicles in order to work. The Board will deduct amounts paid to the driver and, if the claimant's own vehicle is used, the Board will also deduct a mileage allowance, as provided in paragraph (c)(6)(iii)(A) of this section, for the trip to and from work.\n\n(C) The claimant's impairment(s) prevents the claimant from taking available public transportation to and from work and the claimant must drive his or her (unmodified) vehicle to work. If the Board can verify through the claimant's physician or other sources that the need to drive is caused by the claimant's impairment(s) (and not due to the unavailability of public transportation), the Board will deduct a mileage allowance, as provided in paragraph (c)(6)(iii)(A) of this section, for the trip to and from work.\n\n(7)  Payments for installing, maintaining, and repairing deductible items.  If the device, equipment, appliance, etc., that the claimant utilizes qualifies as a deductible item as described in paragraphs (c)(2), (3), (4) and (6) of this section, the costs directly related to installing, maintaining and repairing these items are also deductible. (The costs which are associated with modifications to a vehicle are deductible. Except for a mileage allowance, as provided for in paragraph (c)(6)(iii)(A) of this section, the costs which are associated with the vehicle itself are not deductible.)\n\n(d)  When expenses may be deducted \u2014(1)  Effective date.  To be deductible, an expense must be incurred after November 30, 1980. An expense may be considered incurred after that date if it is paid thereafter even though pursuant to a contract or other arrangement entered into before December 1, 1980.\n\n(2)  Payments for services.  A payment the claimant makes for services may be deducted if the services are received while the claimant is working and the payment is made in a month the claimant is working. The Board considers the claimant to be working even though he or she must leave work temporarily to receive the services.\n\n(3)  Payments for items.  A payment the claimant makes toward the cost of a deductible item (regardless of when it is acquired) may be deducted if payment is made in a month claimant is working. See paragraph (e)(4) of this section when purchases are made in anticipation of work.\n\n(e)  How expenses are allocated \u2014(1)  Recurring expenses.  The claimant may pay for services on a regular periodic basis, or the claimant may purchase an item on credit and pay for it in regular periodic installments or the claimant may rent an item. If so, each payment the claimant makes for the services and each payment the claimant makes toward the purchase or rental (including interest) is deductible in the month it is made.\n\n(2)  Non-recurring expenses.  Part or all of the claimant's expenses may not be recurring. For example, the claimant may make a one-time payment in full for an item or service or make a downpayment. If the claimant is working when he or she makes the payment, the Board will either deduct the entire amount in the month the claimant pays it or allocate the amount over a 12-consecutive-month period beginning with the month of payment, whichever the claimant selects.\n\nIf A's earnings had been $15 above the substantial gainful activity earnings amount, A probably would select the option of projecting the $250 payment over the 12-month period, October 1981-September 1982, giving A an allowable deduction of $20.83 a month for each month of work during that period. This deduction would reduce A's earnings below the substantial gainful activity level for 12 months.\n\n(3)  Allocating downpayments.  If the claimant makes a downpayment, the Board will, if the claimant chooses, make a separate calculation for the downpayment in order to provide for uniform monthly deductions. In these situations the Board will determine the total payment that the claimant will make over a 12-consecutive-month period beginning with the month of the downpayment and allocate that amount over the 12 months. Beginning with the 13th month, the regular monthly payment will be deductible. This allocation process will be for a shorter period if the claimant's regular monthly payments will extend over a period of less than 12 months.\n\n(4)  Payments made in anticipation of work.  A payment made toward the cost of a deductible item that the claimant made in any of the 11 months preceding the month he or she started working will be taken into account in determining the claimant's impairment-related work expenses. When an item is paid for in full during the 11 months preceding the month the claiment started working, the payment will be allocated over the 12-consecutive-month period beginning with the month of the payment. However, the only portion of the payment which may be deductible is the portion allocated to the month work begins and the following months. For example, if an item is purchased 3 months before the month work began and is paid for with a one-time payment of $600, the deductible amount would be $450 ($600 divided by 12, multiplied by 9). Installment payments (including a downpayment) that the claimant made for a particular item during the 11 months preceding the month he or she started working will be totalled and considered to have been made in the month of the claimant's first payment for that item within this 11-month period. The sum of these payments will be allocated over the 12-consecutive-month period beginning with the month of the claimant's first payment (but never earlier than 11 months before the month work began). However, the only portion of the total which may be deductible is the portion allocated to the month work begins and the following months. For example, if an item is purchased 3 months before the month work began and is paid for in 3 monthly installments of $200 each, the total payment of $600 will be considered to have been made in the month of the first payment, that is, 3 months before the month work began. The deductible amount would be $450 ($600 divided by 12, multiplied by 9). The amount, as determined by these formulas, will then be considered to have been paid in the first month of work. The Board will deduct either this entire amount in the first month of work or allocate it over a 12-consecutive-month period, beginning with the first month of work, whichever the claimant selects. In the above examples, the claimant would have the choice of having the entire $450 deducted in the first month of work or having $37.50 a month ($450 divided by 12) deducted for each month that he or she works over a 12-consecutive-month period, beginning with the first month of work. To be deductible, the payments must be for durable items such as medical devices, prostheses, work-related equipment, residential modifications, non-medical appliances and vehicle modifications. Payments for services and expendable items such as drugs, oxygen, diagnostic procedures, medical supplies and vehicle operating costs are not deductible for the purpose of this paragraph.\n\n(f)  Limits on deductions.  (1) The Board will deduct the actual amounts the claimant pays towards his or her impairment-related work expenses unless the amounts are unreasonable. With respect to durable medical equipment, prosthetic devices, medical services, and similar medically-related items and services, the Board will apply the prevailing charges under Medicare (Part B of the title XVIII, Health Insurance for the Aged and Disabled) to the extent that this information is readily available. Where the Medicare guides are used, the Board will consider the amount that the claimant pays to be reasonable if it is no more than the prevailing charge for the same item or service under the Medicare guidelines. If the amount the claimant actually pays is more than the prevailing charge for the same item under the Medicare guidelines, the Board will deduct from the claimant's earnings the amount the claimant paid to the extent he or she establishes that the amount is consistent with the standard or normal charge for the same or similar item or service in his or her community. For items and services that are not listed in the Medicare guidelines, and for items and services that are listed in the Medicare guidelines but for which such guides cannot be used because the information is not readily available, the Board will consider the amount the claimant pays to be reasonable if it does not exceed the standard or normal charge for the same or similar item or service in the claimant's community.\n\n(2) Impairment-related work expenses are not deducted in computing the claimant's earnings for purposes of determining whether the claimant's work was \u201cservices\u201d as described in \u00a7 220.170.\n\n(3) The decision as to whether the claimant performed substantial gainful activity in a case involving impairment-related work expenses for items or services necessary for the claimant to work generally will be based upon the claimant's \u201cearnings\u201d and not on the value of \u201cservices\u201d the claimant rendered. (See \u00a7\u00a7 220.143 (b)(6)(i) and (ii), and 220.144(a)). This is not necessarily so, however, if the claimant is in a position to control or manipulate his or her earnings.\n\n(4) No deduction will be allowed to the extent that any other source has paid or will pay for an item or service. No deduction will be allowed to the extent that the claimant has been, could be, or will be reimbursed for payments he or she made. (See paragraph (b)(3) of this section.)\n\n(5) The provisions described in the foregoing paragraphs in this section are effective with respect to expenses incurred on or after December 1, 1980, although expenses incurred after November 1980, as a result of contractual or other arrangements entered into before December 1980, are deductible. For months before December 1980, the Board will deduct impairment-related work expenses from the claimant's earnings only to the extent they exceeded the normal work-related expenses the claimant would have had if the claimant did not have his or her impairment(s). The Board will not deduct expenses, however, for those things with the claimant needed even when he or she was not working.\n\n(g)  Verification.  The Board will verify the claimant's need for items or services for which deductions are claimed, and the amount of the charges for those items or services. The claimant will also be asked to provide proof that he or she paid for the items or services."], ["20:20:1.0.2.8.16.13.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "M", "Subpart M\u2014Disability Annuity Earnings Restrictions", "", "\u00a7 220.160 How work for a railroad employer affects a disability annuity.", "SSA", "", "", "", "A disability annuity is not payable and the annuity must be returned for any month in which the disabled annuitant works for an employer as defined in part 202 of this chapter."], ["20:20:1.0.2.8.16.13.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "M", "Subpart M\u2014Disability Annuity Earnings Restrictions", "", "\u00a7 220.161 How work affects an employee disability annuity.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 68 FR 39010, July 1, 2003]", "In addition to the condition in \u00a7 220.160, the employee's disability annuity is not payable and the employee must return the annuity payment for any month in which the employee earns more than $400 (after deduction of impairment-related work expenses) in employment or self-employment of any kind. Any annuity amounts withheld because the annuitant earned over $400 in a month may be paid after the end of the year, as shown in \u00a7 220.164. The $400 monthly limit no longer applies when the employee attains retirement age and the disability annuity is converted to a full age annuity. See \u00a7 220.145 for the definition of impairment-related work expenses."], ["20:20:1.0.2.8.16.13.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "M", "Subpart M\u2014Disability Annuity Earnings Restrictions", "", "\u00a7 220.162 Earnings report.", "SSA", "", "", "", "(a)  General.  Any annuitant receiving an annuity based on disability must report to the Board any work and earnings as described in \u00a7\u00a7 220.160 and 220.161. The report may be a written or oral statement by the annuitant, or a person acting for the annuitant, made or sent to a representative of the Board. The report should include the name and address of the railroad or non-railroad employer, a description of the work and the amount of gross wages (before deductions) or the net income from self-employment (earnings after deducting business expenses).\n\n(b)  Employee reports.  In addition to the requirement described in (a), a report of earnings over $400 a month must be made before the employee accepts a disability annuity (the annuity payment is issued and not returned) for the second month after the first month in which earnings are over $400. Along with the report, the employee must return the annuity payment for any month in which he or she earns over $400."], ["20:20:1.0.2.8.16.13.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "M", "Subpart M\u2014Disability Annuity Earnings Restrictions", "", "\u00a7 220.163 Employee penalty deductions.", "SSA", "", "", "", "If the employee earns over $400 in a month and does not report it within the time limit shown in \u00a7 220.162(b), a penalty is imposed. The penalty deduction for the first failure to report equals the annuity amount for the first month in which the employee earned over $400. The deduction for a second or later failure to report equals the annuity amount for each month in which the employee earned over $400 and failed to report it on time."], ["20:20:1.0.2.8.16.13.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "M", "Subpart M\u2014Disability Annuity Earnings Restrictions", "", "\u00a7 220.164 Employee end-of-year adjustment.", "SSA", "", "", "", "(a)  General.  After the end of a year, the employee whose annuity was withheld for earnings over $400 in a month receives a form on which to report his or her earnings for the year.\n\n(b)  Earnings are less than $5000.  If the employee's yearly earnings are less than $5000, all annuity payments and penalties withheld during the year because of earnings over $4800 are paid.\n\n(c)  Earnings are $5000 or more.  (1) If the employee's yearly earnings are $5000 or more, the annuity payments are adjusted so that the employee does not have more than one regular deduction for every $400 of earnings over $4800. The last $200 or more of earnings over $4800 is treated as if it were $400. If the annuity rate changes during the year, any annuities due at the end of the year are paid first for months in which the annuity rate is higher. Penalty deductions may also apply as described in paragraph (c)(2) of this section.\n\n(2) If the employee's yearly earnings are $5000 or more and the employee failed to report monthly earnings over $400 within the time limit described in \u00a7 220.162(b), penalty deductions will also apply. If it is the employee's first failure to report, the penalty deduction is equal to one month's annuity. If it is the employee's second or later failure to report, the penalty deduction equals the annuity amount for each month in which the employee earned over $400 and failed to report it on time.\n\n(d) This section is illustrated by the following examples:"], ["20:20:1.0.2.8.16.14.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "N", "Subpart N\u2014Trial Work Period and Reentitlement Period for Annuitants Disabled for Any Regular Employment", "", "\u00a7 220.170 The trial work period.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 72 FR 21102, Apr. 30, 2007]", "(a)  Definition of the trial work period.  The trial work period is a period during which the annuitant may test his or her ability to work and still be considered disabled. The trial work period begins and ends as described in paragraph (e) of this section. During this period, the annuitant may perform \u201cservices\u201d (see paragraph (b) of this section) in as many as 9 months, but these months do not have to be consecutive. The Board will not consider those services as showing that the annuitant's disability has ended until the annuitant has performed services in at least 9 months. However, after the trial work period has ended, the Board will consider the work the annuitant did during the trial work period in determining whether the annuitant's disability has ended at any time after the trial work period.\n\n(b)  What the Board means by services.  When used in this section, services means any activity (whether legal or illegal), even though it is not substantial gainful activity, which is done in employment or self-employment for pay or profit, or is the kind normally done for pay or profit. We generally do not consider work done without remuneration to be services if it is done merely as therapy or training, or if it is work usually done in a daily routine around the house, or in self-care.\n\n(1)  If the claimant is an employee.  The Board will consider the claimant's work as an employee to be services if:\n\n(i) Before January 1, 2002, the claimant's earnings in a month were more than the amount(s) indicated in Table 1 of this section for the year(s) in which the claimant worked.\n\n(ii)  Beginning January 1, 2002 , the claimant's earnings in a month are more than an amount determined for each calendar year to be the larger of:\n\n(A) Such amount for the previous year, or\n\n(B) The amount established by the Social Security Administration for such year as constituting the amount of monthly earnings used to determine whether a person has performed services for counting trial work period months.\n\n(2)  If the claimant is self-employed.  The Board will consider the claimant's activities as a self-employed person to be services if:\n\n(i)  Before January 1, 2002 , the claimant's net earnings in a month were more than the amount(s) indicated in Table 2 of this section for the year(s) in which the claimant worked, or the hours the claimant worked in the business in a month are more than the number of hours per month indicated in Table 2 for the years in which the claimant worked.\n\n(ii)  Beginning January 1, 2002 , the claimant worked more than 80 hours a month in the business, or the claimant's net earnings in a month are more than an amount determined for each calendar year to be the larger of:\n\n(A) Such amount for the previous year, or\n\n(B) The amount established by the Social Security Administration for such year as constituting the amount of monthly earnings used to determine whether a person has performed services for counting trial work period months.\n\nTable 1\u2014For Non Self-Employed\n\nTable 2\u2014For the Self-Employed\n\n(c)  Limitations on the number of trial work periods.  The annuitant may have only one trial work period during each period in which he or she is disabled for any regular employment as defined in \u00a7 220.26.\n\n(d)  Who is and is not entitled to a trial work period.  (1) Generally, the annuitant is entitled to a trial work period if he or she is entitled to an annuity based on disability.\n\n(2) An annuitant is not entitled to a trial work period if he or she is in a second period of disability for which he or she did not have to complete a waiting period before qualifying for a disability annuity.\n\n(e)  Payment of the disability annuity during the trial work period.  (1) The disability annuity of an employee, child, or widow(er) who is disabled for any regular employment will not be paid for any month in the trial work period in which the annuitant works for an employer covered by the Railroad Retirement Act (see \u00a7 220.160).\n\n(2) The disability annuity of an employee who is disabled for any regular employment will not be paid for any month in this period in which the employee annuitant earns more than $400 in employment or self-employment (see \u00a7\u00a7 220.161 and 220.164).\n\n(3) If the disability annuity for an employee, child, or widow(er) who is disabled for any regular employment is stopped because of work during the trial work period, and the disability annuitant discontinues that work before the end of the trial work period, the disability annuity may be started again without a new application and a new determination of disability.\n\n(f)  When the trial work period begins and ends.  (1) The trial work period begins with whichever of the following calendar months is the later\u2014\n\n(i) The annuity beginning date;\n\n(ii) The month after the end of the appropriate waiting period; or\n\n(iii) The month the application for disability is filed.\n\n(2) The trial work period ends with the close of whichever of the following calendar months is the earlier\u2014\n\n(i) The 9th month (whether or not the months have been consecutive) in which the annuitant performed services; or\n\n(ii) The month in which new evidence, other than evidence relating to any work the annuitant did during the trial work period, shows that the annuitant is not disabled, even though he or she has not worked a full 9 months. The Board may find that the annuitant's disability has ended at any time during the trial work period if the medical or other evidence shows that the annuitant is no longer disabled."], ["20:20:1.0.2.8.16.14.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "N", "Subpart N\u2014Trial Work Period and Reentitlement Period for Annuitants Disabled for Any Regular Employment", "", "\u00a7 220.171 The reentitlement period.", "SSA", "", "", "", "(a)  General.  (1) The reentitlement period is an additional period after the 9 months of trial work during which the annuitant may continue to test his or her ability to work if he or she has a disabling impairment(s).\n\n(2) The disability annuity of an employee, child, or widow(er) who is disabled for any regular employment will not be paid for\u2014\n\n(i) Any month, after the 3rd month, in this period in which the annuitant does substantial gainful activity; or\n\n(ii) Any month in this period in which the annuitant works for an employer covered by the Railroad Retirement Act (see \u00a7 220.160).\n\n(3) The disability annuity of an employee who is disabled for any regular employment will not be paid for any month in this period in which the employee annuitant earns more than $400 in employment or self-employment (see \u00a7\u00a7 220.161 and 220.164).\n\n(4) If the disability annuity of an employee, child or widow(er) who is disabled for any regular employment is stopped because of work during the trial work period or reentitlement period, and the disability annuitant discontinues that work before the end of either period, the disability annuity may be started again without a new application or a new determination of disability.\n\n(b)  When the reentitlement period begins and ends.  The reentitlement period begins with the first month following completion of nine months of trial work but cannot begin earlier than December 1, 1980. It ends with whichever is earlier\u2014\n\n(1) The month before the first month in which the annuitant's impairment(s) no longer exists or is not medically disabling; or\n\n(2) The last day of the 36th month following the end of the annuitant's trial work period.\n\n(c)  When the annuitant is not entitled to a reentitlement period.  The annuitant is not entitled to a reentitlement period if\u2014\n\n(1) He or she is not entitled to a trial work period; or\n\n(2) His or her disability ended before the annuitant completed nine months of trial work in that period in which he or she was disabled."], ["20:20:1.0.2.8.16.15.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.175 Responsibility to notify the Board of events which affect disability.", "SSA", "", "", "", "If the annuitant is entitled to a disability annuity because he or she is disabled for any regular employment, the annuitant should promptly tell the Board if\u2014\n\n(a) His or her impairment(s) improves;\n\n(b) He or she returns to work;\n\n(c) He or she increases the amount of work; or\n\n(d) His or her earnings increase."], ["20:20:1.0.2.8.16.15.155.10", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.184 If the annuitant becomes disabled by another impairment(s).", "SSA", "", "", "", "If a new severe impairment(s) begins in or before the month in which the last impairment(s) ends, the Board will find that disability is continuing. The impairment(s) need not be expected to last 12 months or to result in death, but it must be severe enough to keep the annuitant from doing substantial gainful activity, or severe enough so that he or she is still disabled."], ["20:20:1.0.2.8.16.15.155.11", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.185 The Board may conduct a review to find out whether the annuitant continues to be disabled.", "SSA", "", "", "", "After the Board finds that the annuitant is disabled, the Board must evaluate the annuitant's impairment(s) from time to time to determine if the annuitant is still eligible for disability cash benefits. The Board calls this evaluation a continuing disability review. The Board may begin a continuing disability review for any number of reasons including the annuitant's failure to follow the provisions of the Railroad Retirement Act or these regulations. When the Board begins such a review, the Board will notify the annuitant that the Board is reviewing the annuitant's eligibility for disability benefits, why the Board is reviewing the annuitant's eligibility, that in medical reviews the medical improvement review standard will apply, that the Board's review could result in the termination of the annuitant's benefits, and that the annuitant has the right to submit medical and other evidence for the Board's consideration during the continuing disability review. In doing a medical review the Board will develop a complete medical history of at least the preceding 12 months in any case in which a determination is made that the annuitant is no longer under a disability. If this review shows that the Board should stop payment of cash benefits, the Board will notify the annuitant in writing and give the annuitant an opportunity to appeal. In \u00a7 220.186 the Board describes those events that may prompt it to review whether the annuitant continues to be disabled."], ["20:20:1.0.2.8.16.15.155.12", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.186 When and how often the Board will conduct a continuing disability review.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 65 FR 20372, Apr. 17, 2000; 74 FR 63603, Dec. 4, 2009]", "(a)  General.  The Board conducts continuing disability reviews to determine whether or not the annuitant continues to meet the disability requirements of the law. Payment of cash benefits or a period of disability ends if the medical or other evidence shows that the annuitant is not disabled under the standards set out in section 2 of the Railroad Retirement Act or section 223(f) of the Social Security Act.\n\n(b)  When the Board will conduct a continuing disability review.  A continuing disability review will be started if\u2014\n\n(1) The annuitant has been scheduled for a medical improvement expected diary review;\n\n(2) The annuitant has been scheduled for a periodic review in accordance with the provisions of paragraph (d) of this section;\n\n(3) The Board needs a current medical or other report to see if the annuitant's disability continues. (This could happen when, for example, an advance in medical technology, such as improved treatment for Alzheimer's disease or a change in vocational therapy or technology raises a disability issue.);\n\n(4) The annuitant returns to work and successfully completes a period of trial work;\n\n(5) Substantial earnings are reported to the annuitant's wage record;\n\n(6) The annuitant tells the Board that he or she has recovered from his or her disability or that he or she has returned to work;\n\n(7) A State Vocational Rehabilitation Agency tells the Board that\u2014\n\n(i) The services have been completed; or\n\n(ii) The annuitant is now working; or\n\n(iii) The annuitant is able to work;\n\n(8) Someone in a position to know of the annuitant's physical or mental condition tells the Board that the annuitant is not disabled, that the annuitant in not following prescribed treatment, that the annuitant has returned to work, or that the annuitant is failing to follow the provisions of the Social Security Act, the Railroad Retirement Act, or these regulations, and it appears that the report could be substantially correct; or\n\n(9) Evidence the Board receives raises a question as to whether the annuitant's disability continues.\n\n(c)  Definitions.  As used in this section\u2014\n\nMedical improvement expected diary\u2014  refers to a case which is scheduled for review at a later date because the individual's impairment(s) is expected to improve. Generally, the diary period is set for not less than 6 months or for not more than 18 months. Examples of cases likely to be scheduled for a medical improvement excepted diary are fractures and cases in which corrective surgery is planned and recovery can be anticipated. The term \u201cmedical improvement expected diary\u201d also includes a case which is scheduled for a review at a later date because the individual is undergoing vocational therapy, training or an educational program which may improve his or her ability to work so that the disability requirement of the law is no longer met. Generally, the diary period will be the length of the training, therapy, or program of education.\n\nPermanent impairment medical improvement not expected\u2014refers  to a case in which any medical improvement in the person's impairment(s) is not expected. This means an extremely severe condition determined on the basis of our experience in administering the disability program to be at least static, but more likely to be progressively disabling either by itself or by reason of impairment complications, and unlikely to improve so as to permit the individual to engage in substantial gainful activity. The interaction of the individual's age, impairment consequences and lack of recent attachment to the labor market may also be considered in determining whether an impairment is permanent. Improvement which is considered temporary under \u00a7 220.178(c)(3), will not be considered in deciding if an impairment is permanent. Examples of permanent impairments are as follows and are not intended to be all inclusive:\n\n(1) Parkinsonian syndrome with significant rigidity, brady kinesia, or tremor in two extremities, which, singly or in combination, result in sustained disturbance of gross and dexterous movements, or gait and station.\n\n(2) Amyotrophic lateral sclerosis, based on documentation of a clinically appropriate medical history, neurological findings consistent with the diagnosis of ALS, and the results of any electrophysiological and neuroimaging testing.\n\n(3) Diffuse pulmonary fibrosis in an individual age 55 or older which reduces FEV1 to 1.45 to 2.05 (L, BTPS) or less depending on the individual's height.\n\n(4) Amputation of leg at hip.\n\nNonpermanent impairment  refers to a case in which any medical improvement in the person's impairment(s) is possible. This means an impairment for which improvement cannot be predicted based on current experience and the facts of the particular case but which is not at the level of severity of an impairment that is considered permanent. Examples of nonpermanent impairments are: regional enteritis, hyperthyroidism, and chronic ulcerative colitis.\n\n(d)  Frequency of review.  If an annuitant's impairment is expected to improve, generally the Board will review the annuitant's continuing eligibility for disability benefits at intervals from 6 months to 18 months following the Board's most recent decision. The Board's notice to the annuitant about the review of the annuitant's case will tell the annuitant more precisely when the review will be conducted. If the annuitant's disability is not considered permanent but is such that any medical improvement in the annuitant's impairment(s) cannot be accurately predicted, the Board will review the annuitant's continuing eligibility for disability benefits at least once every 3 years. If no medical improvement is expected in the annuitant's impairment(s), the Board will not routinely review the annuitant's continuing eligibility. Regardless of the annuitant's classification, the Board will conduct an immediate continuing disability review if a question of continuing disability is raised pursuant to paragraph (b) of this section.\n\n(e)  Change in classification of impairment.  If the evidence developed during a continuing disability review demonstrates that the annuitant's impairment has improved, is expected to improve, or has worsened since the last review, the Board may reclassify the annuitant's impairment to reflect this change in severity. A change in the classification of the annuitant's impairment will change the frequency with which the Board will review the case. The Board may also reclassify certain impairments because of improved tests, treatment, and other technical advances concerning those impairments.\n\n(f)  Review after administrative appeal.  If the annuitant was found eligible to receive or to continue to receive disability benefits on the basis of a decision by a hearings officer, the three-member Board or a Federal court, the agency will not conduct a continuing disability review earlier than 3 years after that decision unless the annuitant's case should be scheduled for a medical improvement expected or vocational reexamination diary review or a question of continuing disability is raised pursuant to paragraph (b) of this section.\n\n(g)  Waiver of timeframes.  All cases involving a nonpermanent impairment will be reviewed by the Board at least once every 3 years unless the Board determines that the requirements should be waived to ensure that only the appropriate number of cases are reviewed. The appropriate number of cases to be reviewed is to be based on such considerations as the backlog of pending reviews, the projected number of new applications, and projected staffing levels. Therefore, an annuitant's continuing disability review may be delayed longer than 3 years following the Board's original decision or other review under certain circumstances. Such a delay would be based on the Board's need to ensure that backlogs, and new disability claims workloads are accomplished within available medical and other resources and that such reviews are done carefully and accurately."], ["20:20:1.0.2.8.16.15.155.13", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.187 If the annuitant's medical recovery was expected and the annuitant returned to work.", "SSA", "", "", "", "If the annuitant's impairment was expected to improve and the annuitant returned to full-time work with no significant medical limitations and acknowledges that medical improvement has occurred, the Board may find that the annuitant's disability ended in the month he or she returned to work. Unless there is evidence showing that the annuitant's disability has not ended, the Board will use the medical and other evidence already in the annuitant's file and the fact that he or she has returned to full-time work without significant limitations to determine that the annuitant is no longer disabled. (If the annuitant's impairment is not expected to improve, the Board will not ordinarily review his or her claim until the end of the trial work period, as described in \u00a7 220.170.)"], ["20:20:1.0.2.8.16.15.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.176 When disability continues or ends.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 68 FR 39010, July 1, 2003]", "There is a statutory requirement that, if an annuitant is entitled to a disability annuity, the annuitant's continued entitlement to such an annuity must be reviewed periodically until the employee or child annuitant reaches full retirement age and the widow(er) annuitant reaches age 60. When the annuitant is entitled to a disability annuity as a disabled employee, disabled widow(er) or as a person disabled since childhood, there are a number of factors to be considered in deciding whether his or her disability continues. The Board must first consider whether the annuitant has worked and, by doing so, demonstrated the ability to engage in substantial gainful activity. If so, the disability will end. If the annuitant has not demonstrated the ability to engage in substantial gainful activity, then the Board must determine if there has been any medical improvement in the annuitant's impairment(s) and, if so, whether this medical improvement is related to the annuitant's ability to work. If an impairment(s) has not medically improved, the Board must consider whether one or more of the exceptions to medical improvement applies. If medical improvement related to ability to work has not occurred and no exception applies, the disability will continue. Even the medical improvement related to ability to work has occurred or an exception applies (see \u00a7 220.179 for exceptions), in most cases the Board must also show that the annuitant is currently able to engage in substantial gainful activity before it can find that the annuitant is no longer disabled."], ["20:20:1.0.2.8.16.15.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.177 Terms and definitions.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 74 FR 63601, Dec. 4, 2009]", "There are several terms and definitions which are important to know in order to understand how the Board reviews whether a disability for any regular employment continues:\n\n(a)  Medical improvement.  Medical improvement is any decrease in the medical severity of an impairment(s) which was present at the time of the most recent favorable medical decision that the annuitant was disabled or continued to be disabled. A determination that there has been a decrease in medical severity must be based on a comparison of prior and current medical evidence showing changes (improvement) in the symptoms, signs or laboratory findings associated with the impairment(s).\n\nPostoperatively, a myelogram still shows evidence of a persistant deficit in his lumbar spine. He had pain in his back, and pain and a burning sensation in his right foot and leg. There were no muscle weakness or neurological changes and a modest decrease in motion in his back and leg. When the Board reviewed the annuitant's claim to determine whether his disability should be continued, his treating physician reported that he had seen the annuitant regularly every 2 to 3 months for the past 2 years. No further myelograms had been done, complaints of pain in the back and right leg continued especially on sitting or standing for more than a short period of time. The annuitant's doctor further reported a moderately decreased range of motion in the annuitant's back and right leg, but again no muscle atrophy or neurological changes were reported. Medical improvement has not occurred because there has been no decrease in the severity of the annuitant's back impairment as shown by changes in symptoms, signs or laboratory findings.\n\n(b)  Medical improvement not related to ability to do work.  Medical improvement is not related to the annuitant's ability to work if there has been a decrease in the severity of the impairment(s) (as defined in paragraph (a) of this section) present at the time of the most recent favorable medical decision, but no increase in that annuitant's functional capacity to do basic work activities as defined in paragraph (d) of this section. If there has been any medical improvement in an annuitant's impairment(s), but it is not related to the annuitant's ability to do work and none of the exceptions applies, the annuity will be continued.\n\n(c)  Medical improvement that is related to ability to do work.  Medical improvement is related to an annuitant's ability to work if there has been a decrease in the severity (as defined in paragraph (a) of this section) of the impairment(s) present at the time of the most recent favorable medical decision and an increase in the annuitant's functional capacity to do basic work activities as discussed in paragraph (d) of this section. A determination that medical improvement related to an annuitant's ability to do work has occurred does not, necessarily, mean that such annuitant's disability will be found to have ended unless it is also shown that the annuitant is currently able to engage in substantial gainful activity as discussed in paragraph (e) of this section.\n\nMedical improvement has occurred because there has been a decrease in the severity of the annuitant's impairments as shown by x-ray and clinical evidence of solid union and his return to full weight-bearing. This medical improvement is related to his ability to work because these findings no longer support an impairment of the severity of the impairment on which the finding that he was medically disabled was based (see \u00a7 220.178(c)(1)). Whether or not the annuitant's disability is found to have ended will depend on the Board's determination as to whether he can currently engage in substantial gainful activity.\n\n(d)  Functional capacity to do basic work activities.  (1) Under the law, disability is defined, in part, as the inability to do any regular employment by reason of a physical or mental impairment(s). \u201cRegular employment\u201d is defined in this part as \u201csubstantial gainful activity.\u201d In determining whether the annuitant is disabled under the law, the Board will measure, therefore, how and to what extent the annuitant's impairment(s) has affected his or her ability to do work. The Board does this by looking at how the annuitant's functional capacity for doing basic work activities has been affected. Basic work activities means the abilities and aptitudes necessary to do most jobs. Included are exertional abilities such as walking, standing, pushing, pulling, reaching and carrying, and non-exertional abilities and aptitudes such as seeing, hearing, speaking, remembering, using judgment, dealing with changes in a work setting and dealing with both supervisors and fellow workers. The annuitant who has no impairment(s) would be able to do all basic work activities at normal levels; he or she would have an unlimited functional capacity to do basic work activities. Depending on its nature and severity, an impairment(s) will result in some limitation to the functional capacity to do one or more of these basic work activities. Diabetes, for example, can result in circulatory problems which could limit the length of time the annuitant could stand or walk and can result in damage to his or her eyes as well, so that the annuitant also had limited vision. What the annuitant can still do, despite his or her impairment(s), is called his or her residual functional capacity. How the residual functional capacity is assessed is discussed in more detail in \u00a7 220.120. Unless an impairment is so severe that it is deemed to prevent the annuitant from doing substantial gainful activity ( i.e.,  the impairment(s) is medically disabling), it is this residual functional capacity that is used to determine whether the annuitant can still do his or her past work or, in conjunction with his or her age, education and work experience, do any other work.\n\n(2) A decrease in the severity of an impairment as measured by changes (improvement) in symptoms, signs or laboratory findings can, if great enough, result in an increase in the functional capacity to do work activities. Vascular surgery (e.g., femoropopliteal bypass) may sometimes reduce the severity of the circulatory complications of diabetes so that better circulation results and the annuitant can stand or walk for longer periods. When new evidence showing a change in medical findings establishes that both medical improvement has occurred and the annuitant's functional capacity to perform basic work activities, or residual functional capacity, has increased, the Board will find that medical improvement which is related to the annuitant's ability to do work has occurred. A residual functional capacity assessment is also used to determine whether an annuitant can engage in substantial gainful activity and, thus, whether he or she continues to be disabled (see paragraph (e) of this section).\n\n(3) Many impairment-related factors must be considered in assessing an annuitant's functional capacity for basic work activities. Age is one key factor. Medical literature shows that there is a gradual decrease in organ function with age; that major losses and deficits become irreversible over time and that maximum exercise performance diminishes with age. Other changes related to sustained periods of inactivity and the aging process include muscle atrophy, degenerative joint changes, decrease in range of motion, and changes in the cardiac and respiratory systems which limit the exertional range.\n\n(4) Studies have also shown that the longer the annuitant is away from the workplace and is inactive, the more difficult it becomes to return to ongoing gainful employment. In addition, a gradual change occurs in most jobs so that after about 15 years, it is no longer realistic to expect that skills and abilities acquired in these jobs will continue to apply to the current workplace. Thus, if the annuitant is age 50 or over and had been receiving a disability annuity for a considerable period of time, the Board will consider this factor along with his or her age in assessing the residual functional capacity. This will ensure that the disadvantages resulting from inactivity and the aging process during a longer period of disability will be considered. In some instances where available evidence does not resolve what the annuitant can or cannot do on a sustained basis, the Board may provide special work evaluations or other appropriate testing.\n\n(e)  Ability to engage in substantial gainful activity.  In most instances, the Board must show that the annuitant is able to engage in substantial gainful activity before stopping his or her annuity. When doing this, the Board will consider all of the annuitant's current impairments not just that impairment(s) present at the time of the most recent favorable determination. If the Board cannot determine that the annuitant is still disabled based on medical considerations alone (as discussed in \u00a7\u00a7 220.110 through 220.115), it will use the new symptoms, signs and laboratory findings to make an objective assessment of functional capacity to do basic work activities (or residual functional capacity) and will consider vocational factors. See \u00a7\u00a7 220.120 through 220.134.\n\n(f)  Evidence and basis for the Board's decision.  The Board's decisions under this section will be made on a neutral basis without any initial inference as to the presence or absence of disability being drawn from the fact that the annuitant had previously been determined to be disabled. The Board will consider all of the evidence the annuitant submits. An annuitant must give the Board reports from his or her physician, psychologist, or others who have treated or evaluated him or her, as well as any other evidence that will help the board determine if he or she is still disabled (see \u00a7 220.45). The annuitant must have a good reason for not giving the Board this information or the Board may find that his or her disability has ended (see \u00a7 220.178(b)(2)). If the Board asks the annuitant, he or she must contact his or her medical sources to help the Board get the medical reports. The Board will make every reasonable effort to help the annuitant in getting medical reports when he or she gives the Board permission to request them from his or her physician, psychologist, or other medical sources, Every reasonable effort means that the Board will make an initial request and, after 20 days, one follow-up request to the annuitant's medical source to obtain the medical evidence necessary to make a determination before the Board evaluates medical evidence obtained from another source on a consultative basis. The medical source will have 10 days from the follow-up to reply (unless experience indicates that a longer period is advisable in a particular case). In some instances the Board may order a consultative examination while awaiting receipt of medical source evidence. Before deciding that an annuitant's disability has ended, the Board will develop a complete medical history covering at least the preceding 12 months (See \u00a7 220.45(b)). A consultative examination may be purchased when the Board needs additional evidence to determine whether or not an annuitant's disability continues. As a result, the Board may ask the annuitant, upon the Board request and reasonable notice, to undergo consultative examinations and tests to help the Board determine whether the annuitant is still disabled (see \u00a7 220.50). The Board will decide whether or not to purchase a consultative examination in accordance with the standards in \u00a7\u00a7 220.53 through 220.54.\n\n(g)  Point of comparison.  For purposes of determining whether medical improvement has occurred, the Board will compare the current medical severity of that impairment(s), which was present at the time of the most recent favorable medical decision that the annuitant was disabled or continued to be disabled, to the medical severity of that impairment(s) at that time. If medical improvement has occurred, the Board will compare the annuitant's current functional capacity to do basic work activities (i.e., his or her residual functional capacity) based on this previously existing impairment(s) with the annuitant's prior residual functional capacity in order to determine whether the medical improvement is related to his or her ability to do work. The most recent favorable medical decision is the latest decision involving a consideration of the medical evidence and the issue of whether the annuitant was disabled or continued to be disabled which became final."], ["20:20:1.0.2.8.16.15.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.178 Determining medical improvement and its relationship to the annuitant's ability to do work.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 74 FR 63602, Dec. 4, 2009]", "(a)  General.  Paragraphs (a), (b), and (c) of \u00a7 220.177 discuss what is meant by medical improvement, medical improvement not related to the ability to work and medical improvement that is related to the ability to work. How the Board will arrive at the decision that medical improvement has occurred and its relationship to the ability to do work, is discussed in paragraphs (b) and (c) of this section.\n\n(b)  Determining if medical improvement is related to ability to work.  If there is a decrease in medical severity as shown by the symptoms, signs and laboratory findings, the Board then must determine if it is related to the annuitant's ability to do work. In \u00a7 220.177(d) the relationship between medical severity and limitation on functional capacity to do basic work activities (or residual functional capacity) and how changes in medical severity can affect the annuitant's residual functional capacity is explained. In determining whether medical improvement that has occurred is related to the annuitant's ability to do work, the Board will assess the annuitant's residual functional capacity (in accordance with \u00a7 220.177(d)) based on the current severity of the impairment(s) which was present at that annuitant's last favorable medical decision. The annuitant's new residual functional capacity will then be compared to the annuitant's residual functional capcity at the time of the Board's most recent favorable medical decision. Unless an increase in the current residual functional capacity is based on changes in the signs, symptoms, or laboratory findings, any medical improvement that has occurred will not be considered to be related to the annuitant's ability to do work.\n\n(c)  Additional factors and considerations.  The Board will also apply the following in its determinations of medical improvement and its relationship to the annuitant's ability to do work:\n\n(1)  Previous impairment was medically disabling.  If the Board's most recent favorable decision was based on the fact that the annuitant's impairment(s) at that time was medically disabling, an assessment of his or her residual functional capacity would not have been made. If medical improvement has occurred and the current severity of the prior impairment(s) is no longer medically disabling based on the standard ( see  \u00a7 220.100(b)(3)) applied at the time of that decision, the Board will find that the medical improvement was related to the annuitant's ability to work. If the medical findings support impairment(s) that is currently so severe as to be medically disabling, the annuitant is deemed, in the absence of evidence to the contrary, to be unable to engage in substantial gainful activity. If there has been medical improvement to the degree that the impairment(s) is not currently medically disabling, then there has been medical improvement related to the annuitant's ability to work. The Board must, of course, also establish that the annuitant can currently engage in gainful activity before finding that his or her disability has ended.\n\n(2)  Prior residual functional capacity assessment made.  The residual functional capacity assessment used in making the most recent favorable medical decision will be compared to the residual functional capacity assessment based on current evidence in order to determine if an annuitant's functional capacity for basic work activities has increased. There will be no attempt made to reassess the prior residual functional capacity.\n\n(3)  Prior residual functional capacity assessment should have been made, but was not.  If the most recent favorable medical decision should have contained an assessment of the annuitant's residual functional capacity (i.e., his or her impairment(s) was not medically disabling) but does not, either because this assessment is missing from the annuitant's file or because it was not done, the Board will reconstruct the residual functional capacity. This reconstructed residual functional capacity will accurately and objectively assess the annuitant's functional capacity to do basic work activities. The Board will assign the maximum functional capacity consistent with an allowance.\n\n(4)  Impairment subject to temporary remission.  In some cases the evidence shows that the annuitant's impairment(s) are subject to temporary remission. In assessing whether medical improvement has occurred in annuitants with this type of impairment(s), the Board will be careful to consider the longitudinal history of the impairment(s), including the occurrence of prior remission, and prospects for future worsenings. Improvement in such impairment(s) that is only temporary, i.e., less than 1 year, will not warrant a finding of medical improvement.\n\n(5)  Prior file cannot be located.  If the prior file cannot be located, the Board will first determine whether the annuitant is able to now engage in substantial gainful activity based on all of his or her current impairments. (In this way, the Board will be able to determine that his or her disability continues at the earliest point without addressing the often lengthy process of reconstructing prior evidence.) If the annuitant cannot engage in substantial gainful activity currently, his or her disability will continue unless one of the second group of exceptions applies (see \u00a7 220.179(b))."], ["20:20:1.0.2.8.16.15.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.179 Exceptions to medical improvement.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 74 FR 63602, Dec. 4, 2009]", "(a)  First group of exceptions to medical improvement.  The law provides for certain limited situations when the annuitant's disability can be found to have ended even though medical improvement has not occurred, if he or she can engage in substantial gainful activity. These exceptions to medical improvement are intended to provide a way of finding that the annuitant is no longer disabled in those limited situations where, even though there has been no decrease in severity of the impairment(s), evidence shows that the annuitant should no longer be considered disabled or never should have been considered disabled. If one of these exceptions applies, the Board must also show that, taking all of the annuitant's current impairment(s) into account, not just those that existed at the time of the Board's most recent favorable medical decision, the annuitant is now able to engage in substantial gainful activity before his or her disability can be found to have ended. As part of the review process, the annuitant will be asked about any medical or vocational therapy that he or she has received or is receiving. Those answers and the evidence gathered as a result as well as all other evidence, will serve as the basis for the finding that an exception applies.\n\n(1)  Substantial evidence shows that the annuitant is the beneficiary of advances in medical or vocational therapy or technology (related to his or her ability to work).  Advances in medical or vocational therapy or technology are improvements in treatment or rehabilitative methods which have increased the annuitant's ability to do basic work activities. The Board will apply this exception when substantial evidence shows that the annuitant has been the beneficiary of services which reflect these advances and they have favorably affected the severity of his or her impairment(s) or ability to do basic work activities. This decision will be based on new medical evidence and a new residual functional capacity assessment. In many instances, an advanced medical therapy or technology will result in a decrease in severity as shown by symptoms, signs and laboratory findings which will meet the definition of medical improvement. This exception will, therefore, see very limited application.\n\n(2)  Substantial evidence shows that the annuitant has undergone vocational therapy (related to his or her ability to work).  Vocational therapy (related to the annuitant's ability to work) may include, but is not limited to, additional education, training, or work experience that improves his or her ability to meet the vocational requirements of more jobs. This decision will be based on substantial evidence which includes new medical evidence and a new residual functional capacity assessment. If, at the time of the Board's review the annuitant has not completed vocational therapy which could affect the continuance of his or her disability, the Board will review such annuitant's claim upon completion of the therapy.\n\n(3)  Substantial evidence shows that based on new or improved diagnostic or evaluative techniques the annuitant's impairment(s) is not as disabling as it was considered to be at the time of the most recent favorable decision.  Changing methodologies and advances in medical and other diagnostic or evaluative techniques have given, and will continue to give, rise to improved methods for measuring and documenting the effect of various impairments on the ability to do work. Where, by such new or improved methods, substantial evidence shows that the annuitant's impairment(s) is not as severe as was determined at the time of the Board's most recent favorable medical decision, such evidence may serve as a basis for finding that the annuitant can engage in substantial gainful activity and is no longer disabled. In order to be used under this exception, however, the new or improved techniques must have become generally available after the date of the Board's most recent favorable medical decision.\n\n(i)  How the Board will determine which methods are new or improved techniques and when they become generally available.  New or improved diagnostic techniques or evaluations will come to the Board's attention by several methods. In reviewing cases, the Board often becomes aware of new techniques when their results are presented as evidence. Such techniques and evaluations are also discussed and acknowledged in medical literature by medical professional groups and other governmental entities. Through these sources, the Board develops listings of new techniques and when they become generally available.\n\n(ii)  How the annuitant will know which methods are new or improved techniques and when they become generally available.  The Board will let annuitants know which methods it considers to be new or improved techniques and when they become available.\n\n(4)  Substantial evidence demonstrates that any prior disability decision was in error.  The Board will apply the exception to medical improvement based on error if substantial evidence (which may be evidence on the record at the time any prior determination of the entitlement to an annuity based on disability was made, or newly obtained evidence which relates to that determination) demonstrates that a prior determination was in error. A prior determination will be found in error only if:\n\n(i) Substantial evidence shows on its face that the decision in question should not have been made (e.g., the evidence in file such as pulmonary function study values was misread or an adjudicative standard such as a medical/vocational rule in appendix 2 of this part was misapplied).\n\n(ii) At the time of the prior evaluation, required and material evidence of the severity of the annuitant's impairment(s) was missing. That evidence becomes available upon review, and substantial evidence demonstrates that had such evidence been present at the time of the prior determination, disability would not have been found.\n\n(iii) Substantial evidence which is new evidence relating to the prior determination (of allowance or continuance) refutes the conclusions that were based upon the prior evidence (e.g., a tumor thought to be malignant was later shown to have actually been benign). Substantial evidence must show that had the new evidence (which relates to the prior determination) been considered at the time of the prior decision, the disability would not have been allowed or continued. A substitution of current judgment for that used in the prior favorable decision will not be the basis for applying this exception.\n\n(5)  The annuitant is currently engaging in substantial gainful activity.  If the annuitant is currently engaging in substantial gainful activity, before the Board determines whether he or she is no longer disabled because of his or her work activity, the Board will consider whether he or she is entitled to a trial work period as set out in \u00a7 220.170. The Board will find that the annuitant's disability has ended in the month in which he or she demonstrated the ability to engage in substantial gainful activity (following completion of a trial work period, where it applies). This exception does not apply in determining whether the annuitant continues to have a disabling impairment(s) for purposes of deciding his or her eligibility for a reentitlement period.\n\n(b)  Second group of exceptions to medical improvement.  In addition to the first group of exceptions to medical improvement, the following exceptions may result in a determination that the annuitant is no longer disabled. In these situations the decision will be made without a determination that the annuitant has medically improved or can engage in substantial gainful activity.\n\n(1)  A prior determination was fraudulently obtained.  If the Board finds that any prior favorable determination was obtained by fraud, it may find that the annuitant is not disabled. In addition, the Board may reopen the claim.\n\n(2)  Failure to cooperate with the Board.  If there is a question about whether the annuitant continues to be disabled and the Board requests that he or she submit medical or other evidence or go for a physical or mental examination by a certain date, the Board will find that the annuitant's disability has ended if he or she fails (without good cause) to do what is requested. The month in which the annuitant's disability ends will be the first month in which he or she failed to do what was requested.\n\n(3)  Inability of the Board to locate the annuitant.  If there is question about whether the annuitant continues to be disabled and the Board is unable to find him or her to resolve the question, the Board will suspend annuity payments. If, after a suitable investigation, the Board is still unable to locate the annuitant, the Board will determine that the annuitant's disability has ended. The month such annuitant's disability ends will be the first month in which the question arose and the annuitant could not be found.\n\n(4)  Failure of the annuitant to follow prescribed treatment which would be expected to restore the ability to engage in substantial gainful activity.  If treatment has been prescribed for the annuitant which would be expected to restore his or her ability to work, he or she must follow that treatment in order to be paid a disability annuity. If the annuitant is not following that treatment and he or she does not have good cause for failing to follow the treatment, the Board will find that his or her disability has ended. The month such annuitant's disability ends will be the first month in which he or she failed to follow the prescribed treatment."], ["20:20:1.0.2.8.16.15.155.6", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.180 Determining continuation or cessation of disability.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 74 FR 63603, Dec. 4, 2009]", "Evaluation steps.  To assure that disability reviews are carried out in a uniform manner, that decisions of continuing disability can be made in the most expeditious and administratively efficient way, and that any decisions to stop a disability annuity are made objectively, neutrally and are fully documented, the Board will follow specific steps in reviewing the question of whether an annuitant's disability continues. The Board's review may cease and the disability may be continued at any point if the Board determines that there is sufficient evidence to find that the annuitant is still unable to engage in substantial gainful activity. The steps are\u2014\n\n(a) Is the annuitant engaging in substantial gainful activity? If he or she is (and any applicable trial work period has been completed), the Board will find disability to have ended (see \u00a7 220.179(a)(5));\n\n(b) If the annuitant is not engaging in substantial gainful activity, does he or she have an impairment or combination of impairments which is medically disabling? If the annuitant's impairment(s) is medically disabling, his or her disability will be found to continue;\n\n(c) If the annuitant's impairment(s) is not medically disabling, has there been medical improvement as defined in \u00a7 220.177(a)? If there has been medical improvement as shown by a decrease in medical severity, see step (d). If there has been no decrease in medical severity, then there has been no medical improvement; (See step (e));\n\n(d) If there has been medical improvement, the Board must determine whether it is related to the annuitant's ability to do work in accordance with paragraphs (a) through (d) of \u00a7 220.177, (i.e., whether or not there has been an increase in the residual functional capacity based on the impairment(s) that was present at the time of the most recent favorable medical determination). If medical improvement is not related to the annuitant's ability to do work, see step (e). If medical improvement is related to the annuitant's ability to do work, see step (f);\n\n(e) If the Board found at step (c) that there has been no medical improvement or if it found at step (d) that the medical improvement is not related to the annuitant's ability to work, the Board considers whether any of the exceptions in \u00a7 220.178 apply. If none of them apply, disability will be found to continue. If one of the first group of exceptions to medical improvement applies, see step (f). If an exception from the second group of exceptions to medical improvement applies, disability will be found to have ended. The second group of exceptions to medical improvement may be considered at any point in this process;\n\n(f) If medical improvement is shown to be related to the annuitant's ability to do work or if one of the first group of exceptions to medical improvement applies, the Board will determine whether all of the annuitant's current impairments in combination are severe. This determination will consider all current impairments and the impact of the combination of those impairments on the ability to function. If the residual functional capacity assessment in step (d) above shows significant limitation of ability to do basic work activities, see step (g). When the evidence shows that all current impairments in combination do not significantly limit physical or mental abilities to do basic work activities, these impairments will not be considered severe in nature, and the annuitant will no longer be consider to be disabled;\n\n(g) If the annuitant's impairment(s) is severe, the Board will assess his or her current ability to engage in substantial gainful activity. That is, the Board will assess the annuitant's residual functional capacity based on all of his or her current impairments and consider whether he or she can still do work that was done in the past. If he or she can do such work, disability will be found to have ended; and\n\n(h) If the annuitant is not able to do work he or she has done in the past, the Board will consider one final step. Given the residual functional capacity assessment and considering the annuitant's age, education and past work experience, can he or she do other work? If the annuitant can do other work, disability will be found to have ended. If he or she cannot do other work, disability will be found to continue."], ["20:20:1.0.2.8.16.15.155.7", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.181 The month in which the Board will find that the annuitant is no longer disabled.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 74 FR 63603, Dec. 4, 2009]", "If the evidence shows that the annuitant is no longer disabled, the Board will find that his or her disability ended in the earliest of the following months\u2014\n\n(a) The month the Board mails the annuitant a notice saying that the Board finds that he or she is no longer disabled based on evidence showing:\n\n(1) There has been medical improvement in the annuitant's impairments related to the ability to work and the annuitant has the capacity to engage in substantial gainful work under the rules set out in \u00a7\u00a7 220.177 and 220.178; or\n\n(2) There has been no medical improvement in the annuitant's impairments related to the ability to work but the annuitant has the capacity to engage in substantial gainful work and one of the exceptions to medical improvement set out in \u00a7 220.179(a)(1), (2), (3) or (4) applies.\n\n(b) The month in which the annuitant demonstrated his or her ability to engage in substantial gainful activity (following completion of a trial work period);\n\n(c) The month in which the annuitant actually does substantical gainful activity where such annuitant is not entitled to a trial work period;\n\n(d) The month in which the annuitant returns to full-time work, with no significant medical restrictions and acknowledges that medical improvement has occurred, and the Board expected the annuitant's impairment(s) to improve;\n\n(e) The first month in which the annuitant failed without good cause to do what the Board asked, when the rule set out in paragraph (b)(2) of \u00a7 220.179 applies;\n\n(f) The first month in which the question of continuing disability arose and the Board could not locate the annuitant after a suitable investigation (see \u00a7 220.179(b)(3));\n\n(g) The first month in which the annuitant failed without good cause to follow prescribed treatment, when the rule set out in paragraph (b)(4) of \u00a7 220.179 applies; or\n\n(h) The first month the annuitant was told by his or her physician that he or she could return to work provided there is no substantial conflict between the physician's and the annuitant's statements regarding that annuitant's awareness of his or her capacity for work and the earlier date is supported by the medical evidence.\n\n(i) The month the evidence shows that the annuitant is no longer disabled under the rules set out in \u00a7\u00a7 220.177 through 220.180, and he or she was disabled only for a specified period of time in the past as discussed in \u00a7 220.21 or \u00a7 220.105;"], ["20:20:1.0.2.8.16.15.155.8", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.182 Before a disability annuity is stopped.", "SSA", "", "", "", "Before the Board stops a disability annuity, it will give the annuitant a chance to explain why it should not do so."], ["20:20:1.0.2.8.16.15.155.9", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "O", "Subpart O\u2014Continuing or Stopping Disability Due to Substantial Gainful Activity or Medical Improvement", "", "\u00a7 220.183 Notice that the annuitant is not disabled.", "SSA", "", "", "", "(a)  General.  If the Board determines that the annuitant does not meet the disability requirements of the law, the disability annuity will generally stop. Except in the circumstance described in paragraph (d) of this section, the Board will give the annuitant advance written notice when the Board has determined that he or she is not now disabled.\n\n(b)  What the advance written notice will tell the annuitant.  The advance written notice will provide\u2014\n\n(1) A summary of the information the Board has and an explanation of why the Board believes the annuitant is no longer disabled. If it is because of medical reasons, the notice will tell the annuitant what the medical information in his or her file shows. If it is because of the annuitant's work activity, the notice will tell the annuitant what information the Board has about the work he or she is doing or has done, and why this work shows that he or she is not disabled. If it is because of the annuitant's failure to give the Board information the Board needs or failure to do what the Board asks, the notice will tell the annuitant what information the Board needs and why, or what the annuitant has to do and why;\n\n(2) The date the disability annuity will stop;\n\n(3) An opportunity for the annuitant to submit evidence within a specified period to support continuance of disability before the decision becomes final; and\n\n(4) An explanation of the annuitant's rights to reconsideration and appeal after the decision becomes final.\n\n(c)  What the annuitant should do if he or she receives an advance written notice.  If the annuitant agrees with the advance written notice, he or she does not need to take any action. If the annuitant desires further information or disagrees with what the Board has told him or her, the annuitant should immediately write or visit a Board office. If the annuitant believes he or she is now disabled, the annuitant should tell the Board why. The annuitant may give the Board any additional or new information, including reports from doctors, hospitals, railroad or non-railroad employers, or others that he or she believes the Board should have. The annuitant should send these as soon as possible to a Board office.\n\n(d)  When the Board will not give the annuitant advance written notice.  The Board will not give the annuitant advance written notice when the Board determines that he or she is not now disabled if the Board recently told the annuitant that\u2014\n\n(1) The information the Board has shows that he or she is not disabled;\n\n(2) The Board was gathering more information; and\n\n(3) The disability annuity would stop."], ["20:20:1.0.2.8.16.2.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "B", "Subpart B\u2014General Definitions of Terms Used in This Part", "", "\u00a7 220.5 Definitions as used in this part.", "SSA", "", "", "", "Act  means the Railroad Retirement Act of 1974.\n\nApplication  refers only to a form described in part 217 of this chapter.\n\nBoard  means the Railroad Retirement Board.\n\nClaimant  means the person for whom an application for an annuity, period of disability or Medicare coverage is filed.\n\nEligible  means that a person would meet all the requirements for payment of an annuity but has not yet applied.\n\nEmployee  is defined in part 203 of this title.\n\nEntitled  means that a person has applied and has proven his or her right to have the annuity, period of disability, or Medicare coverage begin.\n\nMedical source  refers to both a treating source and a source of record.\n\nReview physician  means a medical doctor either employed by or under contract to the Board who upon request reviews medical evidence and provides medical advice.\n\nSocial security overall minimum  refers to the provision of the Railroad Retirement Act which guarantees that the total monthly annuities payable to an employee and his or her family will not be less than the total monthly amount which would be payable under the Social Security Act if the employee's railroad service were credited as employment under the Social Security Act.\n\nSource of record  means a hospital, clinic or other source that has provided a claimant with medical treatment or evaluation, as well as a physician or psychologist who has treated or evaluated a claimant but does not have an ongoing relationship with him or her.\n\nTreating source  means the claimant's own physician or psychologist who has provided the claimant with medical treatment or evaluation and who has an ongoing treatment relationship with him or her."], ["20:20:1.0.2.8.16.3.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.10 Disability for work in an employee's regular railroad occupation.", "SSA", "", "", "[63 FR 7541, Feb. 13, 1998]", "(a) In order to receive an occupational disability annuity an eligible employee must be found by the Board to be disabled for work in his or her regular railroad occupation because of a permanent physical or mental impairment. In this subpart the Board describes in general terms how it evaluates a claim for an occupational disability annuity. In accordance with section 2(a)(2) of the Railroad Retirement Act this subpart was developed with the cooperation of employers and employees. This subpart is supplemented by an Occupational Disability Claims Manual (Manual) \n 1 \n   which was also developed with the cooperation of employers and employees.\n\n1  The Manual may be obtained from the Board's headquarters at 844 North Rush Street, Chicago, IL 60611.\n\n(b) In accordance with section 2(a)(2) of the Railroad Retirement Act, the Board shall select two physicians, one from recommendations made by representatives of employers and one from recommendations made by representatives of employees. These individuals shall comprise the Occupational Disability Advisory Committee (Committee). This Committee shall periodically review, as necessary, this subpart and the Manual and make recommendations to the Board with respect to amendments to this subpart or to the Manual. The Board shall confer with the Committee before it amends either this subpart or the Manual."], ["20:20:1.0.2.8.16.3.155.10", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.19 Payment of the disability annuity during the trial work period and the reentitlement period.", "SSA", "", "", "", "(a) The employee who is entitled to an occupational disability annuity will not be paid an annuity for each month in the trial work period or reentitlement period in which he or she\u2014\n\n(1) Works for an employer covered by the Railroad Retirement Act (see \u00a7 220.160); or\n\n(2) Earns more than $400 (after deduction of impairment-related work expenses) in employment or self-employment (see \u00a7\u00a7 220.161 and 220.164). See \u00a7 220.145 for the definition of impairment-related work expenses.\n\n(b) If the employee's occupational disability annuity is stopped because of work during the trial work period or reentitlement period, and the employee discontinues that work before the end of either period, the disability annuity may be started again without a new application and a new determination of disability."], ["20:20:1.0.2.8.16.3.155.11", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.20 Notice that an annuitant is no longer disabled.", "SSA", "", "", "", "The regulation explaining the Board's responsibilities in notifying the annuitant, and the annuitant's rights when the disability annuity is stopped is found in \u00a7 220.183."], ["20:20:1.0.2.8.16.3.155.12", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.21 Initial evaluation of a previous occupational disability.", "SSA", "", "", "", "(a) In some cases, the Board may determine that a claimant is not currently disabled for work in his or her regular occupation but was previously disabled for a specified period of time in the past. This can occur when\u2014\n\n(1) The disability application was filed before the claimant's occupational disability ended, but the Board did not make the initial determination of occupational disability until after the claimant's disability ended; or\n\n(2) The disability application was filed after the claimant's occupational disability ended but no later than the 12th month after the month the disability ended.\n\n(b) When evaluating a claim for a previous occupational disability, the Board follows the steps in \u00a7 220.13 to determine whether an occupational disability existed, and follows the steps in \u00a7\u00a7 220.16 and 220.17 to determine when the occupational disability ended."], ["20:20:1.0.2.8.16.3.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.11 Definitions as used in this subpart.", "SSA", "", "", "[63 FR 7541, Feb. 13, 1998]", "Functional capacity test  means one of a number of tests which provide objective measures of a claimant's maximal work ability and includes functional capacity evaluations which provide a systematic comprehensive assessment of a claimant's overall strength, mobility, endurance and capacity to perform physically demanding tasks, such as standing, walking, lifting, crouching, stooping or bending, climbing or kneeling.\n\nIndependent Case Evaluation  (ICE) means the process for evaluating claims not covered by appendix 3 of this part.\n\nPermanent physical or mental impairment  means a physical or mental impairment or combination of impairments that can be expected to result in death or has lasted or can be expected to last for a continuous period of not less than 12 months.\n\nRegular railroad occupation  means an employee's railroad occupation in which he or she has engaged in service for hire in more calendar months than the calendar months in which he or she has been engaged in service for hire in any other occupation during the last preceding five calendar years, whether or not consecutive; or has engaged in service for hire in not less than one-half of all of the months in which he or she has been engaged in service for hire during the last preceding 15 consecutive calendar years. If an employee last worked as an officer or employee of a railway labor organization and if continuance in such employment is no longer available to him or her, the \u201cregular occupation\u201d shall be the position to which the employee holds seniority rights or the position which he or she left to work for a railway labor organization.\n\nResidual functional capacity  has the same meaning as found in \u00a7 220.120."], ["20:20:1.0.2.8.16.3.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.12 Evidence considered.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991. Redesignated at 63 FR 7541, Feb. 13, 1998]", "The regulations explaining the employee's responsibility to provide evidence of disability, the kind of evidence, what medical evidence consists of, and the consequences of refusing or failing to provide evidence or to have a medical examination are found in \u00a7 220.45 through \u00a7 220.48. The regulations explaining when the employee may be requested to report for a consultative examination are found in \u00a7 220.50 and \u00a7 220.51. The regulations explaining how the Board evaluates conclusions by physicians concerning the employee's disability, how the Board evaluates the employee's symptoms, what medical findings consist of, and the need to follow prescribed treatment are found in \u00a7 220.112 through \u00a7 220.115."], ["20:20:1.0.2.8.16.3.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.13 Establishment of permanent disability for work in regular railroad occupation.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 63 FR 7541, Feb. 13, 1998; 74 FR 63600, Dec. 4, 2009]", "The Board will presume that a claimant who is not allowed to continue working for medical reasons by his employer has been found, under standards contained in this subpart, disabled unless the Board finds that no person could reasonably conclude on the basis of evidence presented that the claimant can no longer perform his or her regular railroad occupation for medical reasons. (See \u00a7 220.21 if the claimant is not currently disabled, but was previously occupationally disabled for a specified period of time in the past). The Board uses the following evaluation process in determining disability for work in the regular occupation:\n\n(a) The Board evaluates the employee's medically documented physical and mental impairment(s) to determine if the employee is medically disabled. In order to be found medically disabled, the employee's impairments must be severe enough to prevent a person from doing any substantial gainful activity. The Board makes this determination based on the guidelines set out in \u00a7 220.100(b)(3). If the Board finds that an employee has an impairment which is medically disabling, it will find the employee disabled for work in his or her regular occupation without considering the duties of his or her regular occupation.\n\n(b) If the Board finds that the claimant does not have an impairment described in paragraph (a) of this section, it will\u2014\n\n(1) Determine the employee's regular railroad occupation, as defined in \u00a7 220.11, based upon the employee's own description of his or her job;\n\n(2) Evaluate whether the claimant is disabled as follows:\n\n(i) The Board first determines whether the employee's regular railroad occupation is an occupation covered under appendix 3 of this part. Second, the Board will determine whether the employee's claimed impairment(s) is covered under appendix 3 of this part. If claimant's regular railroad occupation or impairment(s) is not covered under appendix 3 of this part, then the Board will determine if the employee is disabled under ICE as set forth in paragraph (b)(2)(iv) of this section.\n\n(ii)(A) If the Board determines that, in accordance with paragraph (b)(2)(i) of this section, appendix 3 of this part applies, then the Board will confirm the existence of the employee's impairment(s) using\u2014\n\n( 1 ) The \u201chighly recommended\u201d and \u201crecommended\u201d tests set forth in appendix 3 of this part that relate to the body part affected by the claimant's impairment(s); or\n\n( 2 ) By using valid diagnostic tests accepted by the medical community as described in \u00a7 220.27.\n\n(B) If the employee's impairment(s) cannot be confirmed because there are significant differences in objective tests such as imaging study, electrocardiograms or other test results, and these differences cannot be readily resolved, the Board will determine if the employee is disabled under ICE as set forth in paragraph (b)(2)(iv) of this section. However, if the employee's impairment(s) cannot be confirmed, and there are no significant differences in objective medical tests which cannot be readily resolved, then the employee will be found not disabled.\n\n(iii) Once the impairment(s) is confirmed, as provided for in paragraph (b)(2)(ii) of this section, the Board will apply appendix 3 of this part. If appendix 3 of this part dictates a \u201cD\u201d (disabled) finding, the Board will find the claimant disabled.\n\n(iv) If the Board does not find the employee disabled using the standards in appendix 3 of this part, then the Board will determine if the employee is disabled using ICE. To evaluate a claim under ICE the Board will use the following steps:\n\n(A)  Step 1.  The Board will determine if the medical evidence is complete. Under this step the Board may request the claimant to take additional medical tests such as a functional capacity test or other consultative examinations;\n\n(B)  Step 2.  If the employee's impairment(s) has not been confirmed, as provided for in paragraph (b)(2)(ii)(A)( 2 ) of this section, the Board will next confirm the employee's impairment(s), as described in paragraph (b)(2)(ii)(A)( 2 ) of this section;\n\n(C)  Step 3.  The Board will determine whether the opinions among the physicians regarding medical findings are consistent, by reviewing the employee's medical history, physical and mental examination findings, laboratory or other test results, and other information provided by the employee or obtained by the Board. If such records reveal that there are significant differences in the medical findings, significant differences in opinions concerning the residual functional capacity evaluations among treating physicians, or significant differences between the results of functional capacity evaluations and residual functional capacity examinations, then the Board may request additional evidence from treating physicians, additional consultative examinations and/or residual functional capacity tests to resolve the inconsistencies;\n\n(D)  Step 4.  When the Board determines that there is concordance of medical findings, then the Board will assess the quality of the evidence in accordance with \u00a7 220.112, which describes the weight to be given to the opinions of various physicians, and \u00a7 220.114, which describes how the Board evaluates symptoms such as pain. The Board will also assess the weight of evidence by utilizing \u00a7 220.14, which outlines factors to be used in determining the weight to be attributed to certain types of evidence. If, after assessment, the Board determines that there is no substantial objective evidence of an impairment, the Board will determine that the employee is not disabled;\n\n(E)  Step 5.  Next, the Board determines the physical and mental demands of the employee's regular railroad occupation. In determining the job demands of the employee's regular railroad occupation, the Board will not only consider the employee's own description of his or her regular railroad occupation, but shall also consider the employer's description of the physical requirements and environmental factors relating to the employee's regular railroad occupation, as provided by the employer on the appropriate form set forth in appendix 3 of this part, and consult other sources such as the Dictionary of Occupational Titles and the job descriptions of occupations found in the Occupational Disability Claims Manual, as provided for in \u00a7 220.10;\n\n(F)  Step 6.  Based upon the assessment of the evidence in paragraph (b)(2)(iv)(D) of this section, the Board shall determine the employee's residual functional capacity. The Board will then compare the job demands of the employee's regular railroad occupation, as determined in paragraph (b)(2)(iv)(E) of this section. If the demands of the employee's regular railroad occupation exceed the employee's residual functional capacity, then the Board will find the employee disabled. If the demands do not exceed the employee's residual functional capacity, then the Board will find the employee not disabled."], ["20:20:1.0.2.8.16.3.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.14 Weighing of evidence.", "SSA", "", "", "[63 FR 7542, Feb. 13, 1998]", "(a)  Factors which support greater weight.  Evidence will generally be given more weight if it meets one or more of the following criteria:\n\n(1) The residual functional capacity evaluation is based upon functional objective tests with high validity and reliability;\n\n(2) The medical evidence shows multiple impairments which have a cumulative effect on the employee's residual functional capacity;\n\n(3) Symptoms associated with limitations are consistent with objective findings;\n\n(4) There exists an adequate trial of therapies with good compliance, but poor outcome;\n\n(5) There exists consistent history of conditions between treating physicians and other health care providers.\n\n(b)  Factors which support lesser weight.  Evidence will generally be given lesser weight if it meets one or more of the following criteria:\n\n(1) There is an inconsistency between the diagnoses of the treating physicians;\n\n(2) There is inconsistency between reports of pain and functional impact;\n\n(3) There is inconsistency between subjective symptoms and physical examination findings;\n\n(4) There is evidence of poor compliance with treatment regimen, keeping appointments, or cooperating with treatment;\n\n(5) There is evidence of exam findings which is indicative of exaggerated or potential malingering response;\n\n(6) The evidence consists of objective findings of exams that have poor reliability or validity;\n\n(7) The evidence consists of imaging findings which are nonspecific and largely present in the general population;\n\n(8) The evidence consists of a residual functional capacity evaluation which is supported by limited objective data without consideration for functional capacity testing."], ["20:20:1.0.2.8.16.3.155.6", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.15 Effects of work on occupational disability.", "SSA", "", "", "", "(a)  Disability onset when the employee works despite impairment.  An employee who has stopped work in his or her regular occupation due to a permanent physical or mental impairment(s) may make an effort to return to work in his or her regular occupation. If the employee is subsequently forced to stop that work after a short time because of his or her impairment(s), the Board will generally consider that work as an unsuccessful work attempt. In this situation, the Board may determine that the employee became disabled for work in his or her regular occupation before the last date the employee worked in his or her regular occupation. No annuity will be payable, however, until after the last date worked.\n\n(b)  Occupational disability annuitant work restrictions.  The restrictions which apply to an annuitant who is disabled for work in his or her regular occupation are found in \u00a7\u00a7 220.160 through 220.164."], ["20:20:1.0.2.8.16.3.155.7", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.16 Responsibility to notify the Board of events which affect disability.", "SSA", "", "", "", "If the annuitant is entitled to a disability annuity because he or she is disabled for work in his or her regular occupation, the annuitant should promptly tell the Board if\u2014\n\n(a) His or her impairment(s) improves;\n\n(b) He or she returns to any type of work;\n\n(c) He or she increases the amount of work; or\n\n(d) His or her earnings increase."], ["20:20:1.0.2.8.16.3.155.8", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.17 Recovery from disability for work in the regular occupation.", "SSA", "", "", "", "(a)  General.  Disability for work in the regular occupation will end if\u2014\n\n(1) There is medical improvement in the annuitant's impairment(s) to the extent that the annuitant is able to perform the duties of his or her regular occupation; or\n\n(2) The annuitant demonstrates the ability to perform the duties of his or her regular occupation. The Board provides a trial work period before terminating a disability annuity because of the annuitant's return to work.\n\n(b)  Definition of the trial work period.  The trial work period is a period during which the annuitant may test his or her ability to work and still be considered occupationally disabled. It begins and ends as described in paragraph (e) of this section. During this period, the annuitant may perform \u201cservices\u201d (see paragraph (c) of this section) in as many as 9 months, but these months do not have to be consecutive. The Board will not consider those services as showing that the annuitant's occupational disability has ended until the annuitant has performed services in at least 9 months. However, after the trial work period has ended, the Board will consider the work the annuitant did during the trial work period in determining whether the annuitant's occupational disability has ended at any time after the trial work period.\n\n(c)  What the Board means by services in an occupational disability case.  When used in this section, \u201cservices\u201d means any activity which, even though it may not be substantial gainful activity as defined in \u00a7 220.141, is\u2014\n\n(1) Done by a person in employment or self-employment for pay or profit, or is the kind normally done for pay or profit; and\n\n(2) The activity is a return to the same duties of the annuitant's regular occupation or the activity so closely approximates the duties of the regular occupation as to demonstrate the ability to perform those duties.\n\n(d)  Limitations on the number of trial work periods.  The annuitant may have only one trial work period during each period in which he or she is occupationally disabled.\n\n(e)  When the trial work period begins and ends.  (1) The trial work period begins with whichever of the following calendar months is the latest\u2014\n\n(i) The annuity beginning date;\n\n(ii) The month after the end of the appropriate waiting period; or\n\n(iii) The month the application for disability is filed.\n\n(2) The trial work period ends with the close of whichever of the following calendar months is the earlier\u2014\n\n(i) The ninth month (whether or not the months have been consecutive) in which the annuitant performed services; or\n\n(ii) The month in which new evidence, other than evidence relating to any work the annuitant did during the trial work period, shows that the annuitant is not disabled, even though the annuitant has not worked a full nine months. The Board may find that the annuitant's disability has ended at any time during the trial work period if the medical or other evidence shows that the annuitant is no longer disabled."], ["20:20:1.0.2.8.16.3.155.9", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "C", "Subpart C\u2014Disability Under the Railroad Retirement Act for Work in an Employee's Regular Railroad Occupation", "", "\u00a7 220.18 The reentitlement period.", "SSA", "", "", "", "(a)  General.  The reentitlement period is an additional period after the nine months of trial work during which the annuitant may continue to test his or her ability to work if the annuitant has a disabling impairment.\n\n(b)  When the reentitlement period begins and ends.  The reentitlement period begins with the first month following completion of nine months of trial work but cannot begin earlier than December 1, 1980. It ends with whichever is earlier\u2014\n\n(1) The month before the first month in which the annuitant's impairment(s) no longer exists or is not medically disabling; or\n\n(2) The last day of the 36th month following the end of the annuitant's trial work period.\n\n(c)  When the annuitant is not entitled to a reentitlement period.  The annuitant is not entitled to a reentitlement period if\u2014\n\n(1) The annuitant is not entitled to a trial work period; or\n\n(2) The annuitant's disability ended before the annuitant completed nine months of trial work in that period in which he or she was disabled."], ["20:20:1.0.2.8.16.4.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "D", "Subpart D\u2014Disability Under the Railroad Retirement Act for Any Regular Employment", "", "\u00a7 220.25 General.", "SSA", "", "", "", "The definition and discussion of disability for any regular employment are found in \u00a7\u00a7 220.26 through 220.184."], ["20:20:1.0.2.8.16.4.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "D", "Subpart D\u2014Disability Under the Railroad Retirement Act for Any Regular Employment", "", "\u00a7 220.26 Disability for any regular employment, defined.", "SSA", "", "", "", "An employee, widow(er), or child is disabled for any regular employment if he or she is unable to do any substantial gainful activity because of a medically determinable physical or mental impairment which meets the duration requirement defined in \u00a7 220.28. In the case of a widow(er), the permanent physical or mental impairment must have prevented work in any regular employment before the end of a specific period (see \u00a7 220.30). In the case of a child, the permanent physical or mental impairment must have prevented work in any regular employment since before age 22. To meet this definition of disability, a claimant must have a severe impairment, which makes him or her unable to do any previous work or other substantial gainful activity which exists in the national economy. To determine whether a claimant is able to do any other work, the Board considers a claimant's residual functional capacity, age, education and work experience. See \u00a7 220.100 for the process by which the Board evaluates disability for any regular employment. This process applies to employees, widow(er)s, or children who apply for annuities based on disability for any regular employment. This process does not apply to surviving divorced spouses or remarried widow(er)s who apply for annuities based on disability."], ["20:20:1.0.2.8.16.4.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "D", "Subpart D\u2014Disability Under the Railroad Retirement Act for Any Regular Employment", "", "\u00a7 220.27 What is needed to show an impairment.", "SSA", "", "", "", "A physical or mental impairment must result from anatomical, physiological, or psychological abnormalities which can be shown by medically acceptable clinical and laboratory diagnostic techniques. A physical or mental impairment must be established by medical evidence consisting of signs, symptoms, and laboratory findings, not only by the claimant's statement of symptoms. (See \u00a7 220.113 for further information about what is meant by symptoms, signs, and laboratory findings.) (See also \u00a7 220.112 for the effect of a medical opinion about whether or not a claimant is disabled.)"], ["20:20:1.0.2.8.16.4.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "D", "Subpart D\u2014Disability Under the Railroad Retirement Act for Any Regular Employment", "", "\u00a7 220.28 How long the impairment must last.", "SSA", "", "", "", "Unless the claimant's impairment is expected to result in death, it must have lasted or must be expected to last for a continuous period of at least 12 months. This is known as the duration requirement."], ["20:20:1.0.2.8.16.4.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "D", "Subpart D\u2014Disability Under the Railroad Retirement Act for Any Regular Employment", "", "\u00a7 220.29 Work that is considered substantial gainful activity.", "SSA", "", "", "", "Work is considered to be substantial gainful activity if it\u2014\n\n(a) Involves doing significant and productive physical or mental duties; and\n\n(b) Is done or is intended to be done for pay or profit. (See \u00a7 220.141 for a detailed explanation of what is substantial gainful activity.)"], ["20:20:1.0.2.8.16.4.155.6", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "D", "Subpart D\u2014Disability Under the Railroad Retirement Act for Any Regular Employment", "", "\u00a7 220.30 Special period required for eligibility of widow(er)s.", "SSA", "", "", "", "In order to be found disabled for any regular employment, a widow(er) must have a permanent physical or mental impairment which prevented work in any regular employment since before the end of a specific period as defined in part 216 of this chapter."], ["20:20:1.0.2.8.16.5.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "E", "Subpart E\u2014Disability Determinations Governed by the Regulations of the Social Security Administration", "", "\u00a7 220.35 Introduction.", "SSA", "", "", "", "In addition to its authority to decide whether a claimant is disabled under the Railroad Retirement Act, the Board has authority in certain instances to decide whether a claimant is disabled as that term is defined in the Social Security Act. In making these decisions the Board must apply the regulations of the Social Security Administration in the same manner as does the Secretary of Health and Human Services in making disability decisions under the Social Security Act. Regulations of the Social Security Administration concerning disability are found at part 404, subpart P of this title."], ["20:20:1.0.2.8.16.5.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "E", "Subpart E\u2014Disability Determinations Governed by the Regulations of the Social Security Administration", "", "\u00a7 220.36 Period of disability.", "SSA", "", "", "", "(a)  General.  In order to receive an annuity based upon a disability, an employee must be found disabled under the Railroad Retirement Act. If an employee is found disabled under the Railroad Retirement Act, the Board will determine whether he is disabled under the Social Security Act to qualify for a period of disability as defined in that Act.\n\n(b)  Period of disability \u2014(1)  Definition and effect.  A period of disability is a continuous period of time during which an employee is disabled as that term is defined in \u00a7 404.1505 of this title. A period of disability established by the Board\u2014\n\n(i) Preserves the disabled employee's earnings record as it is when the period begins;\n\n(ii) Protects the insured status required for entitlement to social security overall minimum;\n\n(iii) May cause an increase in the rate of an employee, spouse, or survivor annuity; or\n\n(iv) May permit a disabled employee to receive Medicare benefits in addition to an annuity under the Railroad Retirement Act.\n\n(2)  Effect on benefits.  The establishment of a period of disability for the employee will never cause a denial or reduction in benefits under the Railroad Retirement Act or Social Security Act, but it will always be used to establish Medicare entitlement before age 65.\n\n(3)  Who may establish a period of disability.  The Railroad Retirement Board or the Social Security Administration may establish a period of disability. However, the decision of one agency is not binding upon the other agency.\n\n(4)  When the Board may establish a period of disability.  The Board has independent authority to decide whether or not to establish a period of disability for any employee who was awarded an annuity under the Railroad Retirement Act, or who\u2014\n\n(i) Has applied for a disability annuity; and\n\n(ii) Has at least 10 years of railroad service.\n\n(5)  When an employee is entitled to a period of disability.  An employee is entitled to a period of disability if he or she meets the following requirements:\n\n(i) The employee is disabled under the Social Security Act, as described in \u00a7 404.1505 of this title.\n\n(ii) The employee is insured for a period of disability under \u00a7 404.130 of this title based on combined railroad and social security earnings.\n\n(iii) The employee files an application as shown in subparagraph (b)(6) of this section.\n\n(iv) At least 5 consecutive months elapse from the month in which the period of disability begins and before the month in which it would end.\n\n(6)  Application for a period of disability.  (i) An application for an employee disability annuity under the Railroad Retirement Act or an employee disability benefit under the Social Security Act is also an application for a period of disability.\n\n(ii) An employee who is receiving an age annuity or who was previously denied a period of disability must file a separate application for a period of disability.\n\n(iii) In order to be entitled to a period of disability, an employee must apply while he or she is disabled or not later than 12 months after the month in which the period of disability ends.\n\n(iv) An employee who is unable to apply within the 12-month period after the period of disability ends because his or her physical condition limited his or her activities to the extent that he or she could not complete and sign an application or because he or she was mentally incompetent, may apply no later than 36 months after the period of disability ends.\n\n(v) A period of disability can also be established on the basis of an application filed within 3 months after the month a disabled employee died.\n\n(c)  Social security overall minimum.  The social security overall minimum provision of the Railroad Retirement Act guarantees that the total monthly annuities payable to an employee and his or her family will not be less than the total monthly benefit which would be payable under the Social Security Act if the employee's railroad service were credited as employment under the Social Security Act."], ["20:20:1.0.2.8.16.5.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "E", "Subpart E\u2014Disability Determinations Governed by the Regulations of the Social Security Administration", "", "\u00a7 220.37 When a child's disability determination is governed by the regulations of the Social Security Administration.", "SSA", "", "", "", "(a) In order to receive an annuity based upon disability, a child of a deceased employee must be found disabled under the Railroad Retirement Act. However, in addition to this determination, the child must be found disabled under the Social Security Act in order to qualify for Medicare based upon disability.\n\n(b) Although the child of a living employee may not receive an annuity under the Railroad Retirement Act, he or she, if found disabled under the Social Security Act, may qualify for the following:\n\n(1) Inclusion as a disabled child in the employee's annuity rate under the social security overall minimum.\n\n(2) Entitlement to Medicare based upon disability."], ["20:20:1.0.2.8.16.5.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "E", "Subpart E\u2014Disability Determinations Governed by the Regulations of the Social Security Administration", "", "\u00a7 220.38 When a widow(er)'s disability determination is governed by the regulations of the Social Security Administration.", "SSA", "", "", "", "In order to receive an annuity based upon disability, a widow(er) must be found disabled under the Railroad Retirement Act. However, in addition to this determination, the widow(er) must be found disabled under the Social Security Act in order to qualify for early Medicare based upon disability."], ["20:20:1.0.2.8.16.5.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "E", "Subpart E\u2014Disability Determinations Governed by the Regulations of the Social Security Administration", "", "\u00a7 220.39 Disability determination for a surviving divorced spouse or remarried widow(er).", "SSA", "", "", "", "A surviving divorced spouse or a remarried widow(er) must be found disabled under the Social Security Act in order to qualify for both an annuity under the Railroad Retirement Act and early Medicare based upon disability. Disability determinations for surviving divorced spouses and remarried widow(er)s are governed by the applicable regulations of the Social Security Administration, found at \u00a7 404.1577 of this title."], ["20:20:1.0.2.8.16.6.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "F", "Subpart F\u2014Evidence of Disability", "", "\u00a7 220.45 Providing evidence of disability.", "SSA", "", "", "[89 FR 78238, Sept. 25, 2024]", "(a)  General.  You are responsible for providing all evidence of the claimed disability and the effect of the disability on your ability to work. You must inform the Board about or submit all evidence known to you that relates to the claimed disability. This duty is ongoing and requires you to disclose any additional related evidence about which you become aware. This duty applies at each level of the administrative review process, including the appeals level, if the evidence relates to the period on or before the date of the hearings officer's decision. The Board will assist you, when necessary, in obtaining the required evidence. At its discretion, the Board will arrange for an examination by a consultant at the expense of the Board as explained in \u00a7\u00a7 220.50 and 220.51.\n\n(b)  Kind of evidence.  (1) You must provide medical evidence proving that you have an impairment(s) and how severe it is during the time you claim to be disabled. The Board will consider only impairment(s) you claim to have or about which the Board receives evidence. Before deciding that you are not disabled, the Board will develop a complete medical history ( i.e.,  evidence from the records of your medical sources) covering at least the preceding 12 months, unless you say that your disability began less than 12 months before you filed an application. The Board will make every reasonable effort to help you in getting medical reports from your own medical sources when you give the Board permission to request them. Every reasonable effort means that the Board will make an initial request and, after 20 days, one follow-up request to your medical source to obtain the medical evidence necessary to make a determination before the Board evaluates medical evidence obtained from another source on a consultative basis. The medical source will have 10 days from the follow-up request to reply (unless experience indicates that a longer period is advisable in a particular case). In order to expedite processing, the Board may order a consultative exam from a non-treating source while awaiting receipt of medical source evidence. If the Board asks you to do so, you must contact the medical sources to help us get the medical reports.\n\n(2)  Exceptions.  Notwithstanding paragraph (a) of this section, evidence does not include:\n\n(i) Oral or written communications between you and your representative that are subject to the attorney-client privilege, unless you voluntarily disclose the communications to us; or\n\n(ii) Your representative's analysis of your claim, unless you or your representative voluntarily disclose it to us. Your representative's \u201canalysis of your claim\u201d means information that is subject to the attorney work product doctrine, but it does not include medical evidence, medical source opinions, or any other factual matter that we may consider in determining whether or not you are entitled to benefits (see paragraph (b)(2)(iv) of this section).\n\n(iii) The provisions of paragraph (b)(2)(i) of this section apply to communications between you and your non-attorney representative only if the communications would be subject to the attorney-client privilege if your non-attorney representative were an attorney. The provisions of paragraph (b)(2)(ii) of this section apply to the analysis of your claim by your non-attorney representative only if the analysis of your claim would be subject to the attorney work product doctrine if your non-attorney representative were an attorney.\n\n(iv) The attorney-client privilege generally protects confidential communications between an attorney and the attorney's client that are related to providing or obtaining legal advice. The attorney work product doctrine generally protects an attorney's analysis, theories, mental impressions, and notes. In the context of your disability claim, neither the attorney-client privilege nor the attorney work product doctrine allows you to withhold factual information, medical source opinions, or other medical evidence that we may consider in determining whether or not you are entitled to benefits. For example, if you tell your representative about the medical sources you have seen, your representative cannot refuse to disclose the identity of those medical sources to us based on the attorney-client privilege. As another example, if your representative asks a medical source to complete an opinion form related to your impairment(s), symptoms, or limitations, your representative cannot withhold the completed opinion form from us based on the attorney work product doctrine. The attorney work product doctrine would not protect the source's opinions on the completed form, regardless of whether or not your representative used the form in an analysis of your claim or made handwritten notes on the face of the report.\n\n(c)  Your responsibility.  You must inform us about or submit all evidence known to you that relates to whether or not you are blind or disabled. When you submit evidence received from another source, you must submit that evidence in its entirety, unless you previously submitted the same evidence to us or we instruct you otherwise. The Board may also ask you to provide evidence about:\n\n(1) Your age;\n\n(2) Your education and training;\n\n(3) Your work experience;\n\n(4) Your daily activities both before and after the date you say that you became disabled;\n\n(5) Your efforts to work; and\n\n(6) Any other evidence showing how your impairment(s) affects your ability to work. (In \u00a7\u00a7 220.125 through 220.134, we discuss in more detail the evidence the Board needs when it considers vocational factors.)"], ["20:20:1.0.2.8.16.6.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "F", "Subpart F\u2014Evidence of Disability", "", "\u00a7 220.46 Medical evidence.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 90 FR 4627, Jan. 16, 2025]", "(a)  Acceptable medical sources.  The Board needs reports about the claimant's impairment(s) from acceptable medical sources. Acceptable medical sources are\u2014\n\n(1) Licensed physicians (medical or osteopathic doctors);\n\n(2) Licensed or certified psychologists at the independent practice level;\n\n(3) Licensed or certified school psychologists, or other licensed or certified individuals with another title who perform the same function as a school psychologist in a school setting (for impairments of intellectual disability, learning disabilities, and borderline intellectual functioning only);\n\n(4) Licensed optometrists (for impairments of visual disorders, or for the measurement of visual acuity and visual fields only, depending on the scope of practice in the State in which the optometrist practices);\n\n(5) Licensed podiatrists (for impairments of the foot only, or foot and ankle only, depending on the scope of practice in the State in which the podiatrist practices);\n\n(6) Qualified speech-language pathologists (for speech or language impairments only.) For this source,  qualified  means that the speech-language pathologist must be licensed by the State professional licensing agency, or be fully certified by the State education agency in the State in which the speech-language pathologist practices, or hold a Certificate of Clinical Competence in Speech-Language Pathology from the American Speech-Language-Hearing Association;\n\n(7) Licensed audiologists (for impairments of hearing loss, auditory processing disorders, and balance disorders within the licensed scope of practice only);\n\n(8) Licensed Advanced Practice Registered Nurses or other licensed advance practice nurses with another title (for impairments within the individual's licensed scope of practice only);\n\n(9) Licensed Physician Assistants/Physician Associates (for impairments within the individual's licensed scope of practice); or\n\n(10) Persons authorized to furnish a copy or summary of the records of a medical facility. Generally, the copy or summary should be certified as accurate by the custodian or by any authorized employee of the Railroad Retirement Board, Social Security Administration, Department of Veterans Affairs, or State agency.\n\n(b)  Other medical sources.  Individuals who are licensed as healthcare workers by a State and are working within the scope of practice permitted under State or Federal law, other than acceptable medical sources identified in paragraph (a) of this section, are other medical sources. Examples include licensed clinical social workers, naturopaths, and chiropractors. The Board will accept and consider evidence from other medical sources about the claimant's impairment(s) and the effect on the claimant's ability to work, but the presence of a medically determinable physical or mental impairment must be established with objective medical evidence from an acceptable medical source as defined in paragraph (a) of this section.\n\n(c)  Medical reports.  Medical reports should include\u2014\n\n(1) Medical history;\n\n(2) Clinical findings (such as the results of physical or mental status examinations);\n\n(3) Laboratory findings (such as blood pressure, x-rays);\n\n(4) Diagnosis (statement of disease or injury based on its signs and symptoms);\n\n(5) Treatment prescribed, with response to treatment and prognosis; and\n\n(6)(i) Statements about what the claimant can still do despite his or her impairment(s) based on the medical source's findings on factors in paragraphs (c)(1) through (5) of this section (except in disability claims for remarried widow's and surviving divorced spouses). (See \u00a7 220.112).\n\n(ii) Statements about what the claimant can still do (based on the medical source's findings on factors in paragraphs (c)(1) through (5) of this section) should describe\u2014\n\n(A) The medical source's opinion about the claimant's ability, despite his or her impairment(s), to do work-related activities such as sitting, standing, moving about, lifting, carrying, handling objects, hearing, speaking, and traveling; and\n\n(B) In cases of mental impairment(s), the medical source's opinion about the claimant's ability to reason or make occupational, personal, or social adjustments. (See \u00a7 220.112).\n\n(d)  Completeness.  The medical evidence, including the clinical and laboratory findings, must be complete and detailed enough for the Board to determine whether the claimant is disabled. Specifically, it must allow the Board to determine\u2014\n\n(1) The nature and limiting effects of the claimant's impairment(s) for any period in question;\n\n(2) The probable duration of the claimant's impairment(s); and\n\n(3) The claimant's residual functional capacity to do work-related physical and mental activities.\n\n(e)  Evidence from treating medical sources.  A statement by or the opinion of the claimant's treating medical source will not determine whether the claimant is disabled. However, the medical evidence provided by a treating medical source will be considered by the Board in making a disability decision. A treating medical source is a medical source to whom the claimant has been going for treatment on a continuing basis. The claimant may have more than one treating medical source. The Board may use consulting physicians or other medical consultants for specialized examinations or tests, to obtain more complete evidence, and to resolve any conflicts. A consulting physician is a doctor (often a specialist) to whom the claimant is referred for an examination once or on a limited basis. (See \u00a7 220.50 for an explanation of when the Board may request a consultative examination.)\n\n(f)  Information from non-medical sources.  Information from other sources may also help the Board understand how an impairment affects the claimant's ability to work. Other sources include\u2014\n\n(1) Public and private social welfare agency personnel;\n\n(2) Family members, caregivers, friends, and neighbors of the claimant;\n\n(3) Educational personnel such as teachers, counselors, and daycare center workers;\n\n(4) Railroad and nonrailroad employers; and,\n\n(5) The claimants themselves."], ["20:20:1.0.2.8.16.6.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "F", "Subpart F\u2014Evidence of Disability", "", "\u00a7 220.47 Purchase of existing medical evidence.", "SSA", "", "", "", "The Board needs specific medical evidence to determine whether a claimant is disabled. The claimant is responsible for providing that evidence. However, at its discretion, the Board will pay the reasonable cost to obtain medical evidence that it needs and requests from physicians not employed by the Federal government and other non-Federal providers of medical services."], ["20:20:1.0.2.8.16.6.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "F", "Subpart F\u2014Evidence of Disability", "", "\u00a7 220.48 If the claimant fails to submit medical or other evidence.", "SSA", "", "", "", "The Board may request a claimant to submit medical or other evidence. If the claimant does not submit that evidence, the Board will make a decision on other evidence which is either already available in the claimant's case or which the Board may develop from other sources, including reports of consultative examinations."], ["20:20:1.0.2.8.16.7.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.50 Consultative examinations at the Board's expense.", "SSA", "", "", "", "A consultative examination is a physical or mental examination or test purchased for a claimant at the Board's request and expense. If the claimant's medical sources cannot provide sufficient medical evidence about the claimant's impairment(s) in order to enable the Board to determine whether the claimant is disabled, the Board may ask the claimant to have one or more consultative examinations or tests. The decision to purchase a consultative examination will be made on an individual case basis in accordance with the provisions of \u00a7\u00a7 220.53 through 220.56. Selection of the source for the examination will be consistent with the provisions of \u00a7 220.64 (Program Integrity)."], ["20:20:1.0.2.8.16.7.155.10", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.59 Requesting examination by a specific physician, psychologist or institution\u2014hearings officer hearing level.", "SSA", "", "", "", "In an unusual case, a hearings officer may have reason to request an examination by a particular physician, psychologist or institution. Some examples include the following:\n\n(a) Conflicts in the existing medical evidence require resolution by a recognized authority in a particular specialty:\n\n(b) The impairment requires hospitalization for diagnostic purposes; or\n\n(c) The claimant's treating physician or psychologist is in the best position to submit a meaningful report."], ["20:20:1.0.2.8.16.7.155.11", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.60 Diagnostic surgical procedures.", "SSA", "", "", "", "The Board will not order diagnostic surgical procedures such as myelograms and arteriograms for the evaluation of disability under the Board's disability program. In addition, the Board will not order procedures such as cardiac catheterization and surgical biopsy. However, if any of these procedures have been performed as part of a workup by the claimant's treating physician or other medical source, the results may be secured and used to help evaluate an impairment(s)'s severity."], ["20:20:1.0.2.8.16.7.155.12", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.61 Informing the examining physician or psychologist of examination scheduling, report content and signature requirements.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 74 FR 63600, Dec. 4, 2009]", "Consulting physicians or psychologists will be fully informed at the time the Board contacts them of the following obligations:\n\n(a)  General.  In scheduling full consultative examinations, sufficient time should be allowed to permit the examining physician to take a case history and perform the examination (including any needed tests).\n\n(b)  Report content.  The reported results of the claimant's medical history, examination, pertinent requested laboratory findings, discussions and conclusions must conform to accepted professional standards and practices in the medical field for a complete and competent examination. The facts in a particular case and the information and findings already reported in the medical and other evidence of record will dictate the extent of detail needed in the consultative examination report for that case. Thus, the detail and format for reporting the results of a purchased examination will vary depending upon the type of examination or testing requested. The reporting of information will differ from one type of examination to another when the requested examination relates to the performance of tests such as ventilatory function tests, treadmill exercise tests, or audiological tests. The medical report must be complete enough to help the Board determine the nature, severity, duration of the impairment, and residual functional capacity. Pertinent points in the claimant's medical history, such as a description of chest pain, will reflect the claimant's statements of his or her symptoms, not simply the physician's or psychologist's statements or conclusions. The examining physician's or psychologist's report of the consultative examination will include the objective medical facts.\n\n(c)  Elements of a complete examination.  A complete examination is one which involves all the elements of a standard examination in the applicable medical specialty. When a complete examination is involved, the report will include the following elements:\n\n(1) The claimant's major or chief complaint(s).\n\n(2) A detailed description, within the area of speciality of the examination, of the history of the claimant's major complaint(s).\n\n(3) A description, and disposition, of pertinent \u201cpositive,\u201d as well as \u201cnegative,\u201d detailed findings based on the history, examination and laboratory test(s) related to the major complaint(s) and any other abnormalities reported or found during examination or laboratory testing.\n\n(4) The results of laboratory and other tests ( e.g.,  x-rays) performed according to the requirements stated in the Board's directions to the examining physician or psychologist.\n\n(5) The diagnosis and prognosis for the claimant's impairment(s).\n\n(6) A statement as to what the claimant can still do despite his or her impairment(s) (except in disability claims for remarried widows and widowers, and surviving divorced spouses). This statement must describe the consultative physician's or psychologist's opinion concerning the claimant's ability, despite his or her impairment(s), to do basic work activities such as sitting, standing, lifting, carrying, handling objects, hearing, speaking, and traveling: and, in cases of mental impairment(s), the consultative physician's or psychologist's opinion as to the claimant's ability to reason or make occupational, personal, or social adjustments.\n\n(7) When less than a complete examination is required (for example, a specific test or study is needed), not every element is required.\n\n(d)  Signature requirements.  All consultative examination reports will be personally reviewed and signed by the physician or psychologist who actually performed the examination. This attests to the fact that the physician or psychologist doing the examination or testing is solely responsible for the report contents and for the conclusions, explanations or comments provided with respect to the history, examination and evaluation of laboratory test results."], ["20:20:1.0.2.8.16.7.155.13", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.62 Reviewing reports of consultative examinations.", "SSA", "", "", "", "(a) The Board will review the report of the consultative examination to determine whether the specific information requested has been furnished. The Board will consider these factors in reviewing the report:\n\n(1) Whether the report provides evidence which serves as an adequate basis for decision-making in terms of the impairment it assesses.\n\n(2) Whether the report is internally consistent. Whether all the diseases, impairments and complaints described in the history are adequately assessed and reported in the physical findings. Whether the conclusions correlate the findings from the claimant's medical history, physical examination and laboratory tests and explain all abnormalities.\n\n(3) Whether the report is consistent with the other information available to the Board within the specialty of the examination requested. Whether the report fails to mention an important or relevant complaint within the speciality that is noted on other evidence in the file (e.g., blindness in one eye, amputations, flail limbs or claw hands, etc.).\n\n(4) Whether the report is properly signed.\n\n(b) If the report is inadequate or incomplete, the Board will contact the examining consultative physician or psychologist, give an explanation of the Board's evidentiary needs, and ask that the physician or psychologist furnish the missing information or prepare a revised report.\n\n(c) Where the examination discloses new diagnostic information or test results which are significant to the claimant's treatment, the Board will consider referral of the consultative examination report to the claimant's treating physician or psychologist.\n\n(d) The Board will take steps to ensure that consultative examinations are scheduled only with medical sources who have the equipment required to provide an adequate assessment and record of the level of severity of the claimant's alleged impairments."], ["20:20:1.0.2.8.16.7.155.14", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.63 Conflict of interest.", "SSA", "", "", "", "All implications of possible conflict of interest between Board medical consultants and their medical practices will be avoided. Board review physicians or psychologists will not perform consultative examinations for the Board's disability programs without prior approval. In addition, they will not acquire or maintain, directly or indirectly, including any member of their families, any financial interest in a medical partnership or similar relationship in which consultative examinations are provided. Sometimes one of the Board's review physicians or psychologists will have prior knowledge of a case (e.g., the claimant was a patient). Where this is so, the physician or psychologist will not participate in the review or determination of the case. This does not preclude the physician or psychologist from submitting medical evidence based on prior treatment or examination of the claimant."], ["20:20:1.0.2.8.16.7.155.15", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.64 Program integrity.", "SSA", "", "", "", "The Board will not use in its program any individual or entity who is excluded, suspended, or otherwise barred from participation in the Medicare or Medicaid programs, or any other Federal or Federally-assisted program; who has been convicted, under Federal or State law, in connection with the delivery of health care services, of fraud, theft, embezzlement, breach of fiduciary responsibility or financial abuse; who has been convicted under Federal or State law of unlawful manufacture, distribution, prescription, or dispensing of a controlled substance; whose license to provide health care services is revoked or suspended by any State licensing authority for reasons bearing on professional competence, professional conduct, or financial integrity; who has surrendered such a license while formal disciplinary proceedings involving professional conduct were pending; or who has had a civil monetary assessment or penalty imposed on such individual or entity for any activity described in this section or as a result of formal disciplinary proceedings. Also see \u00a7\u00a7 220.53 and 220.57(b)."], ["20:20:1.0.2.8.16.7.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.51 Notice of the examination.", "SSA", "", "", "", "If the Board arranges for an examination or test, the claimant will be provided with reasonable notice of the date, time, and place of the examination or test and the name of the person who will do it. The Board will also give the examiner any necessary background information about the claimant's impairment(s)."], ["20:20:1.0.2.8.16.7.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.52 Failure to appear at a consultative examination.", "SSA", "", "", "", "(a)  General.  The Board may find that the claimant is not disabled if he or she does not have good reason for failing or refusing to take part in a consultative examination or test which was arranged by the Board. If the individual is already receiving an annuity and does not have a good reason for failing or refusing to take part in a consultative examination or test which the Board arranged, the Board may determine that the individual's disability has stopped because of his or her failure or refusal. The claimant for whom an examination or test has been scheduled should notify the Board as soon as possible before the scheduled date of the examination or test if he or she has any reason why he or she cannot go to the examination or test. If the Board finds that the claimant has a good reason for failure to appear, another examination or test will be scheduled.\n\n(b)  Examples of good reasons for failure to appear.  Some examples of good reasons for not going to a scheduled examination or test include\u2014\n\n(1) Illness on the date of the scheduled examination or test;\n\n(2) Failure to receive notice or timely notice of an examination or test;\n\n(3) Receipt of incorrect or incomplete information about the examination or test; or\n\n(4) A death or serious illness in the claimant's immediate family.\n\n(c)  Objections by a claimant's physician.  The Board should be notified immediately if the claimant is advised by his or her treating physician not to take an examination or test. In some cases, the Board may be able to secure the information which is needed in another way or the treating physician may agree to another type of examination for the same purpose."], ["20:20:1.0.2.8.16.7.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.53 When the Board will purchase a consultative examination and how it will be used.", "SSA", "", "", "", "(a)(1)  General.  The decision to purchase a consultative examination for a claimant will be made after full consideration is given to whether the additional information needed (e.g., clinical findings, laboratory tests, diagnosis, and prognosis, etc.) is readily available from the records of the claimant's medical sources. Upon filing an application for a disability annuity, a claimant will be required to obtain from his or her medical source(s) information regarding the claimed impairments. The Board will seek clarification from a medical source who has provided a report when that report contains a conflict or ambiguity, or does not contain all necessary information or when the information supplied is not based on objective evidence. The Board will not, however, seek clarification from a medical source when it is clear that the source either cannot or will not provide the necessary findings, or cannot reconcile a conflict or ambiguity in the findings provided from the source's records. Therefore, before purchasing a consultative examination, the Board will consider not only existing medical reports, but also the background report containing the claimant's allegations and information about the claimant's vocational background, as well as other pertinent evidence in his or her file.\n\n(2) When the Board purchases a consultative examination, we will use the report from the consultative examination to try to resolve a conflict or ambiguity if one exists. The Board will do this by comparing the persuasiveness and value of the evidence. The Board will also use a consultative examination to secure needed medical evidence the file does not contain such as clinical findings, laboratory tests, a diagnosis or prognosis necessary for decision.\n\n(b)  Situations requiring a consultative examination.  A consultative examination may be purchased when the evidence as a whole, both medical and non-medical, is not sufficient to support a decision on the claim. In addition, other situations, such as one or more of the following, will normally require a consultative examination (these situations are not all-inclusive):\n\n(1) The specific additional evidence needed for adjudication has been pinpointed and high probability exists for obtaining it through purchase.\n\n(2) The additional evidence needed is not contained in the records of the claimant's treating sources.\n\n(3) Evidence that may be needed from the claimant's treating or other medical sources cannot be obtained for reasons beyond his or her control, such as death or noncooperation of the medical source.\n\n(4) Highly technical or specialized medical evidence which is needed is not available from the claimant's treating sources.\n\n(5) A conflict, inconsistency, ambiguity or insufficiency in the evidence must be resolved.\n\n(6) There is an indication of a change in the claimant's condition that is likely to affect his or her ability to function, but current severity is not documented.\n\n(7) Information provided by any source appears not to be supported by objective evidence."], ["20:20:1.0.2.8.16.7.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.54 When the Board will not purchase a consultative examination.", "SSA", "", "", "", "A consultative examination will not be purchased in the following situations (these situations are not all-inclusive):\n\n(a) In disabled widow(er) benefit claims, when the alleged month of disability is after the end of the 7-year period specified in \u00a7 216.38 and there is no possibility of establishing an earlier onset, or when the 7-year period expired in the past and all the medical evidence in the claimant's file establishes that he or she was not disabled on or before the expiration date.\n\n(b) When any issues about the actual performance of substantial gainful activity have not been resolved.\n\n(c) In childhood disability claims, when it is determined that the claimant's alleged childhood disability did not begin before the month of attainment of age 22. In this situation, the claimant could not be entitled to benefits as a disabled child unless found disabled before age 22.\n\n(d) When, on the basis of the claimant's allegations and all available medical reports in his or her case file, it is apparent that he or she does not have an impairment which will have more than a minimal effect on his or her capacity to work.\n\n(e) Childhood disability claims filed concurrently with the employee's claim and entitlement cannot be established for the employee.\n\n(f) Survivors childhood disability claims where entitlement is precluded based on non-disability factors."], ["20:20:1.0.2.8.16.7.155.6", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.55 Purchase of consultative examinations at the reconsideration level.", "SSA", "", "", "", "(a) When a claimant requests a review of the Board's initial determination at the reconsideration level of review, consultative medical examinations will be obtained when needed, but not routinely. A consultative examination will not, if possible, be performed by the same physician or psychologist used in the initial claim.\n\n(b) Where the evidence tends to substantiate an affirmation of the initial denial but the claimant states that the treating physician or psychologist considers him or her to be disabled, the Board will assist the claimant in securing medical reports or records from the treating physician."], ["20:20:1.0.2.8.16.7.155.7", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.56 Securing medical evidence at the hearings officer hearing level.", "SSA", "", "", "", "(a) Where there is a conflict in the medical evidence at the hearing level of review before a hearings officer, the hearings officer will try to resolve it by comparing the persuasiveness and value of the conflicting evidence. The hearings officer's reasoning will be explained in the decision rationale. Where such resolution is not possible, the hearings officer will secure additional medical evidence (e.g., clinical findings, laboratory test, diagnosis, prognosis, etc.) to resolve the conflict. Even in the absence of a conflict, the hearings officer will also secure additional medical evidence when the file does not contain findings, laboratory tests, a diagnosis, or a prognosis necessary for a decision.\n\n(b) Before requesting a consultative examination, the hearings officer will ascertain whether the information is available as a result of a recent examination by any of the claimant's medical sources. If it is, the hearings officer will request the evidence from that medical practitioner. If contact with the medical source is not productive for any reason, or if there is no recent examination by a medical source, the hearings officer will obtain a consultative examination."], ["20:20:1.0.2.8.16.7.155.8", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.57 Types of purchased examinations and selection of sources.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 87 FR 27513, May 9, 2022]", "(a)  Additional evidence needed for disability determination.  The types of examinations and tests the Board will purchase depends upon the additional evidence needed for the disability determination. The Board will purchase only the specific evidence needed. For example, if special tests (such as X-rays, blood studies, or EKG) will furnish the additional evidence needed for the disability determination, a more comprehensive medical examination will not be authorized.\n\n(b)  The physician or psychologist selected to do the examination or test must be qualified.  The physician's or psychologist's qualifications must indicate that the physician or psychologist is currently licensed in the State and has the training and experience to perform the type of examination or test requested. The physician or psychologist may use support staff to help perform the examination. Any such support staff must meet appropriate licensing or certification requirements of the State. See also \u00a7 220.64.\n\n(c)  Use of video teleconferencing technology.  Video teleconferencing technology (VTT) may be used for a psychological or a psychiatric consultative examination provided that the following requirements are met:\n\n(1) The examining physician or psychologist is currently state-licensed in the state in which the provider practices;\n\n(2) The examining physician or psychologist has the training and experience to perform the type of examination requested;\n\n(3) The examining physician or psychologist has access to video teleconferencing technology;\n\n(4) The examining physician or psychologist is permitted to perform the exam in accordance with state licensing laws and regulations;\n\n(5) The protocol for the examination does not require physical contact;\n\n(6) The claimant has the right to refuse a VTT examination without penalty; and\n\n(7) The VTT examination complies with all requirements in this subpart governing consultative examinations."], ["20:20:1.0.2.8.16.7.155.9", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "G", "Subpart G\u2014Consultative Examinations", "", "\u00a7 220.58 Objections to the designated physician or psychologist.", "SSA", "", "", "", "A claimant or his or her representative may object to his or her being examined by a designated physician or psychologist. If there is a good reason for the objection, the Board will schedule the examination with another physician or psychologist. A good reason may be where the consultative examination physician or psychologist had previously represented an interest adverse to the claimant. For example, the physician or psychologist may have represented the claimant's employer in a worker's compensation case or may have been involved in an insurance claim or legal action adverse to the claimant. Other things the Board will consider are: language barrier, office location of consultative examination physician or psychologist (2nd floor, no elevator, etc.), travel restrictions, and examination by the physician or psychologist in connection with a previous unfavorable determination. If the objection is because a physician or psychologist allegedly \u201clacks objectivity\u201d (in general, but not in relation to the claimant personally) the Board will review the allegations. To avoid a delay in processing the claimant's claim, the consultative examination in such a case will be changed to another physician or psychologist while a review is being conducted. Any objection to use of the substitute physician or psychologist will be handled in the same manner. However, if the Board or the Social Security Administration had previously conducted such a review and found that the reports of the consultative physician or psychologist in question conform to the Board's guidelines, then the Board will not change the claimant's examination."], ["20:20:1.0.2.8.16.8.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "H", "Subpart H\u2014Evaluation of Disability", "", "\u00a7 220.100 Evaluation of disability for any regular employment.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 74 FR 63600, Dec. 4, 2009]", "(a)  General.  The Board uses a set evaluation process, explained in paragraph (b) of this section, to determine whether a claimant is disabled for any regular employment. This evaluation process applies to employees, widow(er)s, and children who have applied for annuities under the Railroad Retirement Act based on disability for any regular employment. Regular employment means substantial gainful activity as that term is defined in \u00a7 220.141.\n\n(b)  Steps in evaluating disability.  A set order is followed to determine whether disability exists. The duration requirement, as described in \u00a7 220.28, must be met for a claimant to be found disabled. The Board reviews any current work activity, the severity of the claimant's impairment(s), the claimant's residual functional capacity, and the claimant's age, education, and work experience. If the Board finds that the claimant is disabled or is not disabled at any step in the process, the Board does not review further. (See \u00a7 220.105 if the claimant is not currently disabled but was previously disabled for a specified period of time in the past.) The steps are as follows:\n\n(1)  Claimant is working.  If the claimant is working, and the work is substantial gainful activity, the Board will find that he or she is not disabled regardless of his or her impairments, age, education, or work experience. If the claimant is not performing substantial gainful activity, the Board will follow paragraph (2) of this section.\n\n(2)  Impairment(s) not severe.  If the claimant does not have an impairment or combination of impairments which significantly limit his or her physical or mental ability to do basic work activities, the Board will find that the claimant is not disabled without consideration of age, education, or work experience. If the claimant has an impairment or combination of impairments which significantly limit his or her ability to do basic work activities, the Board will follow paragraph (3) of this section. (See \u00a7 220.102(b) for a definition of basic work activities.)\n\n(3)  Impairment(s) is medically disabling.  If the claimant has an impairment or a combination of impairments which meets the duration requirement and which the Board finds is medically disabling, the Board will find the claimant disabled without considering his or her age, education or work experience. In determining whether an impairment or combination of impairments is medically disabling, the Board will consider factors such as the nature and limiting effects of the impairment(s); the effects of the treatment the claimant has undergone, is undergoing, and/or will continue to undergo; the prognosis for the claimant; medical records furnished in support of the claimant's claim; whether the severity of the impairment(s) would fall within any of the impairments included in the Listing of Impairments as issued by the Social Security Administration and as amended from time to time (20 CFR part 404, subpart P, appendix 1); or whether the impairment(s) meet such other criteria which the agency by administrative ruling of general applicability has determined to be medically disabling.\n\n(4)  Impairment(s) must prevent past relevant work.  If the claimant's impairment or combination of impairments is not medically disabling, the Board will then review the claimant's residual functional capacity ( see  \u00a7 220.120) and the physical and mental demands of past relevant work (see \u00a7 220.130). If the Board determines that the claimant is still able to do his or her past relevant work, the Board will find that he or she is not disabled. If the claimant is unable to do his or her past relevant work, the Board will follow paragraph (b)(5) of this section.\n\n(5)  Impairment(s) must prevent any other work.  (i) If the claimant is unable to do his or her past relevant work because of his or her impairment or combination of impairments, the Board will review the claimant's residual functional capacity and his or her age, education and work experience to determine if the claimant is able to do any other work. If the claimant cannot do other work, the Board will find him or her disabled. If the claimant can do other work, the Board will find the claimant not disabled.\n\n(ii) If the claimant has only a marginal education (see \u00a7 220.129) and long work experience (i.e., 35 years or more) in which he or she only did arduous unskilled physical labor, and the claimant can no longer do this kind of work, the Board will use a different rule (see \u00a7 220.127) to determine disability.\n\n(c) Once a claimant has been found eligible to receive a disability annuity, the Board follows a somewhat different order of evaluation to determine whether the claimant's eligibility continues as explained in \u00a7 220.180."], ["20:20:1.0.2.8.16.8.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "H", "Subpart H\u2014Evaluation of Disability", "", "\u00a7 220.101 Evaluation of mental impairments.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 74 FR 63600, Dec. 4, 2009]", "(a)  General.  The steps outlined in \u00a7 220.100 apply to the evaluation of physical and mental impairments. In addition, in evaluating the severity of a mental impairment(s), the Board will follow a special procedure at each administrative level of review. Following this procedure will assist the Board in\u2014\n\n(1) Identifying additional evidence necessary for the determination of impairment severity;\n\n(2) Considering and evaluating aspects of the mental impairment(s) relevant to the claimant's ability to work; and\n\n(3) Organizing and presenting the findings in a clear, concise, and consistent manner.\n\n(b)  Use of the procedure to record pertinent findings and rate the degree of functional loss.  (1) This procedure requires the Board to record the pertinent signs, symptoms, findings, functional limitations, and effects of treatment contained in the claimant's case record. This will assist the Board in determining if a mental impairment(s) exists. Whether or not a mental impairment(s) exists is decided in the same way the question of a physical impairment is decided, i.e., the evidence must be carefully reviewed and conclusions supported by it. The mental status examination and psychiatric history will ordinarily provide the needed information. (See \u00a7 220.27 for further information about what is needed to show an impairment.)\n\n(2) If the Board determines that a mental impairment(s) exists, this procedure then requires the Board to indicate whether certain medical findings which have been found especially relevant to the ability to work are present or absent.\n\n(3) The procedure then requires the Board to rate the degree of functional loss resulting from the impairment(s). Four areas of function considered by the Board as essential to work have been identified, and the degree of functional loss in those areas must be rated on a scale that ranges from no limitation to a level of severity which is incompatible with the ability to perform those work-related functions.\n\nFor the first two areas (activities of daily living and social functioning), the rating is done based upon the following five-point scale; none, slight, moderate, marked, and extreme. For the third area (concentration, persistence, or pace), the following five-point scale is used: never, seldom, often, frequent, and constant. For the fourth area (deterioration or decompensation in work or work-like settings), the following four-point scale is used: never, once or twice, repeated (three or more), and continual. The last two points for each of these scales represent a degree of limitation which is incompatible with the ability to perform the work-related function.\n\n(c)  Use of the procedure to evaluate mental impairments.  Following the rating of the degree of functional loss resulting from the impairment(s), the Board then determines the severity of the mental impairment(s).\n\n(1) If the four areas considered by the Board as essential to work have been rated to indicate a degree of limitation as \u201cnone\u201d or \u201cslight\u201d in the first and second area, \u201cnever\u201d or \u201cseldom\u201d in the third area, and \u201cnever\u201d in the fourth area, the Board can generally conclude that the impairment(s) is not severe, unless the evidence otherwise indicates that there is significant limitation of the claimant's mental ability to do basic work activities (see \u00a7 220.102).\n\n(2) If the claimant's mental impairment(s) is severe, the Board must then determine if it is medically disabling using the Board's prior conclusions based on this procedure (i.e., the presence of certain medical findings considered by the Board as especially relevant to a claimant's ability to work and the Board's rating of functional loss resulting from the mental impairment(s)).\n\n(3) If the claimant has a severe impairment(s), but the impairment(s) is not medically disabling, the Board will then do a residual functional capacity assessment for those claimants (employees, widow(er)s, and children) whose applications are based on disability for any regular employment under the Railroad Retirement Act.\n\n(4) At all adjudicative levels, the Board will, in each case, incorporate the pertinent findings and conclusions based on this procedure in its decision rationale. The Board's rationale must show the significant history, including examination, laboratory findings, and functional limitations that the Board considered in reaching conclusions about the severity of the mental impairment(s)."], ["20:20:1.0.2.8.16.8.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "H", "Subpart H\u2014Evaluation of Disability", "", "\u00a7 220.102 Non-severe impairment(s), defined.", "SSA", "", "", "", "(a)  Non-severe impairment(s).  An impairment or combination of impairments is not severe if it does not significantly limit the claimant's physical or mental ability to do basic work activities.\n\n(b)  Basic work activities.  Basic work activities means the ability and aptitudes necessary to do most jobs. Examples of these include\u2014\n\n(1) Physical functions such as walking, standing, sitting, lifting, pushing, pulling, reaching, carrying, or handling;\n\n(2) Capacities for seeing, hearing, and speaking;\n\n(3) Understanding, carrying out, and remembering simple instructions;\n\n(4) Use of judgment;\n\n(5) Responding appropriately to supervision, co-workers and usual work situations; and\n\n(6) Dealing with changes in a routine work setting."], ["20:20:1.0.2.8.16.8.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "H", "Subpart H\u2014Evaluation of Disability", "", "\u00a7 220.103 Two or more unrelated impairments\u2014initial claims.", "SSA", "", "", "", "(a)  Unrelated severe impairments.  Two or more unrelated severe impairments cannot be combined to meet the 12-month duration test. If the claimant has a severe impairment(s) and then develops another unrelated severe impairment(s) but neither one is expected to last for 12 months, he or she cannot be found disabled even though the 2 impairments in combination last for 12 months.\n\n(b)  Concurrent impairments.  If the claimant has 2 or more concurrent impairments which, when considered in combination, are severe, the board must also determine whether the combined effect of the impairments can be expected to continue to be severe for 12 months. If 1 or more of the claimant's impairments improves or is expected to improve within 12 months, so that the combined effect of the claimant's impairments is no longer severe, he or she will be found to not meet the 12-month duration test."], ["20:20:1.0.2.8.16.8.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "H", "Subpart H\u2014Evaluation of Disability", "", "\u00a7 220.104 Multiple impairments.", "SSA", "", "", "", "To determine whether the claimant's physical or mental impairment or impairments are of a sufficient medical severity that such impairment or impairments could be the basis of eligiblity under the law, the combined effect of all of the claimant's impairments are considered regardless of whether any such impairment, if considered separately, would be of sufficient severity. If a medically severe combination of impairments is found, it will be considered throughout the disability evaluation process. If a medically severe combination of impairments is not found, the claimant will be determined to be not disabled."], ["20:20:1.0.2.8.16.8.155.6", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "H", "Subpart H\u2014Evaluation of Disability", "", "\u00a7 220.105 Initial evaluation of a previous disability.", "SSA", "", "", "", "(a) In some cases, the Board may determine that a claimant is not currently disabled but was previously disabled for a specified period of time in the past. This can occur when\u2014\n\n(1) The disability application was filed before the claimant's disability ended but the Board did not make the initial determination of disability until after the claimant's disability ended; or\n\n(2) The disability application was filed after the claimant's disability ended but no later than the 12th month after the month the disability ended.\n\n(b) When evaluating a claim for a previous disability, the Board follows the steps in \u00a7 220.100 to determine whether a disability existed, and follows the steps in \u00a7 220.180 to determine when the disability ended.\n\nThe claimant, although fully recovered medically and regularly employed, filed an application on December 3, 1984 for a determination of disability for the period June 16, 1982 through January 31, 1984. The Board reviewed his claim in January 1985 and determined that he was disabled for the prior period which began June 16, 1982 and continued through January 31, 1984. A disability annuity is payable to the employee only for the period December 1, 1983 through January 31, 1984.\n\nAn annuity may not begin any earlier than the 1st of the 12th month before the month in which the application was filed (See part 218 of this chapter for the rules on when an annuity may begin)."], ["20:20:1.0.2.8.16.9.155.1", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "I", "Subpart I\u2014Medical Considerations", "", "\u00a7 220.110 Medically disabled.", "SSA", "", "", "[74 FR 63601, Dec. 4, 2009]", "(a) \u201c Medically disabled.\u201d  The term \u201cmedically disabled \u201drefers to disability based solely on impairment(s) which are considered to be so medically severe as to prevent a person from doing any substantial gainful activity. The Board will base its decision about whether the claimant's impairment(s) is medically disabling on medical evidence only, without consideration of the claimant's residual functional capacity, age, education or work experience. The Board will also consider the medical opinion given by one or more physicians employed or engaged by the Board or the Social Security Administration to make medical judgments. The medical evidence used to establish a diagnosis or confirm the existence of an impairment, and to establish the severity of the impairment includes medical findings consisting of signs, symptoms and laboratory findings. The medical findings must be based on medically acceptable clinical and laboratory diagnostic techniques. If the claimant has more than one impairment, but none of the impairments, by themselves, is medically disabling, the Board will review the signs, symptoms, and laboratory findings of all of the impairments to determine whether the combination of impairments is medically disabling. In general, impairments that the Board considers to be medically disabling are:\n\n(1) Permanent;\n\n(2) Expected to result in death; or\n\n(3) Have a specific length of duration.\n\n(b)  Diagnosis of impairments.  A diagnosis of a particular impairment is not sufficient for a finding of medical disability, unless the diagnosis is supported by medical findings that are based on medically acceptable clinical and laboratory techniques.\n\n(c)  Addiction to alcohol or drugs.  If a claimant has a condition diagnosed as addiction to alcohol or drugs, this condition will not, by itself, be a basis for determining whether the claimant is, or is not, disabled. As with any other medical condition, the Board will decide whether the claimant is disabled based on symptoms, signs, and laboratory findings."], ["20:20:1.0.2.8.16.9.155.2", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "I", "Subpart I\u2014Medical Considerations", "", "\u00a7 220.111 [Reserved]", "SSA", "", "", "", ""], ["20:20:1.0.2.8.16.9.155.3", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "I", "Subpart I\u2014Medical Considerations", "", "\u00a7 220.112 Conclusions by physicians concerning the claimant's disability.", "SSA", "", "", "[56 FR 12980, Mar. 28, 1991, as amended at 68 FR 60291, Oct. 22, 2003; 74 FR 63601, Dec. 4, 2009]", "(a)  General.  Under the statute, the Board is responsible for making the decision about whether a claimant meets the statutory definition of disability. A claimant can only be found disabled if he or she is unable to do any substantial gainful activity by reason of any medically determinable physical or mental impairment which can be expected to result in death or which has lasted or can be expected to last for a continuous period of not less than 12 months. (See \u00a7 220.28). A claimant's impairment must result from anatomical, physiological, or psychological abnormalities which are demonstrable by medically acceptable clinical and laboratory diagnostic techniques. (See \u00a7 220.27). The decision as to whether a claimant is disabled may involve more than medical considerations and the Board may have to consider such factors as age, education and past work experience. Such vocational factors are not within the expertise of medical sources.\n\n(b)  Medical opinions that are conclusive.  A medical opinion by a treating source will be conclusive as to the medical issues of the nature and severity of a claimant's impairment(s) where the Board finds that (1) it is fully supported by medically acceptable clinical and laboratory diagnostic techniques and (2) it is not inconsistent with the other substantial medical evidence of record. A medical opinion that is not fully supported will not be conclusive.\n\n(c)  Medical opinions that are not fully supported.  If an opinion by a treating source(s) is not fully supported, the Board will make every reasonable effort (i.e., an initial request and, after 20 days, one follow-up request) to obtain from the claimant's treating source(s) the relevant evidence that supports the medical opinion(s) before the Board makes a determination as to whether a claimant is disabled.\n\n(d)  Inconsistent medical opinions.  Where the Board finds that the opinion of a treating source regarding medical issues is inconsistent with the evidence of record, including opinions of other sources that are supported by medically acceptable clinical and laboratory diagnostic techniques, the Board must resolve the inconsistency. If necessary to resolve the inconsistency, the Board will secure additional independent evidence and/or further interpretation or explanation from the treating source(s) and/or the consultative physician or psychologist. The Board's determination will be based on all the evidence in the case record, including the opinions of the medical sources. In resolving an inconsistency, the Board will give some extra weight to the treating source's supported opinion(s) which interprets the medical findings about the nature and severity of the impairment(s).\n\n(e)  Medical opinions that will not be considered conclusive nor given extra weight.  The Board will not consider as conclusive nor give extra weight to medical opinions which are not in accord with the statutory or regulatory standards for establishing disability. Thus, opinions that the individual's impairments are medically disabling where the medical findings which are the basis for that conclusion would not support an impairment so severe as to preclude any substantial gainful activity will not be conclusive nor given extra weight. Likewise, an opinion(s) as to the individual's residual functional capacity which is not in accord with regulatory requirements set forth in \u00a7\u00a7 220.120 and 220.121 will not be conclusive nor given extra weight."], ["20:20:1.0.2.8.16.9.155.4", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "I", "Subpart I\u2014Medical Considerations", "", "\u00a7 220.113 Symptoms, signs, and laboratory findings.", "SSA", "", "", "", "Medical findings consist of symptoms, signs, and laboratory findings:\n\n(a)  Symptoms  are the claimant's own description of his or her physical or mental impairment(s). The claimant's statements alone are not enough to establish that there is a physical or mental impairment(s).\n\n(b)  Signs  are anatomical, physiological, or psychological abnormalities which can be observed, apart from the claimant's own statements (symptoms). Signs must be shown by medically acceptable clinical diagnostic techniques. Psychiatric signs are medically demonstrable phenomena which indicate specific abnormalities of behavior, affect, thought, memory, orientation and contact with reality. They must also be shown by observable facts that can be medically described and evaluated.\n\n(c)  Laboratory findings  are anatomical, physiological, or psychological phenomena which can be shown by the use of medically acceptable laboratory diagnostic techniques. Some of these diagnostic techniques include chemical tests, electrophysiological studies (electrocardiogram, electroencephalogram, etc.) x-rays, and psychological tests."], ["20:20:1.0.2.8.16.9.155.5", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "I", "Subpart I\u2014Medical Considerations", "", "\u00a7 220.114 Evaluation of symptoms, including pain.", "SSA", "", "", "[68 FR 60291, Oct. 22, 2003, as amended at 74 FR 63601, Dec. 4, 2009]", "(a)  General.  In determining whether the claimant is disabled, the Board considers all of the claimant's symptoms, including pain, and the extent to which the claimant's symptoms can reasonably be accepted as consistent with the objective medical evidence and other evidence. By objective medical evidence, the Board means medical signs and laboratory findings as defined in \u00a7\u00a7 220.113(b) and (c) of this part. By other evidence, the Board means the kinds of evidence described in \u00a7\u00a7 220.45 and 220.46 of this part. These include statements or reports from the claimant, the claimant's treating or examining physician or psychologist, and others about the claimant's medical history, diagnosis, prescribed treatment, daily activities, efforts to work, and any other evidence showing how the claimant's impairment(s) and any related symptoms affect the claimant's ability to work. The Board will consider all of the claimant's statements about his or her symptoms, such as pain, and any description by the claimant, the claimant's physician, or psychologist, or other persons about how the symptoms affect the claimant's activities of daily living and ability to work. However, statements alone about the claimant's pain or other symptoms will not establish that the claimant is disabled; there must be medical signs and laboratory findings which show that the claimant has a medical impairment(s) which could reasonably be expected to produce the pain or other symptoms alleged and which, when considered with all of the other evidence (including statements about the intensity and persistence of the claimant's pain or other symptoms which may reasonably be accepted as consistent with the medical signs and laboratory findings), would lead to a conclusion that the claimant is disabled. In evaluating the intensity and persistence of the claimant's symptoms, including pain, the Board will consider all of the available evidence, including the claimant's medical history, the medical signs and laboratory findings and statements about how the claimant's symptoms affect the claimant. (Section 220.112(b) of this part explains how the Board considers opinions of the claimant's treating source and other medical opinions on the existence and severity of the claimant's symptoms, such as pain.) The Board will then determine the extent to which the claimant's alleged functional limitations and restrictions due to pain or other symptoms can reasonably be accepted as consistent with the medical signs and laboratory findings and other evidence to decide how the claimant's symptoms affect the claimant's ability to work.\n\n(b)  Need for medically determinable impairment that could reasonably be expected to produce symptoms, such as pain.  The claimant's symptoms, such as pain, fatigue, shortness of breath, weakness, or nervousness, will not be found to affect the claimant's ability to do basic work activities unless medical signs or laboratory findings show that a medically determinable impairment(s) is present. Medical signs and laboratory findings, established by medically acceptable clinical or laboratory diagnostic techniques, must show the existence of a medical impairment(s) which results from anatomical, physiological, or psychological abnormalities and which could reasonably be expected to produce the pain or other symptoms alleged. The finding that the claimant's impairment(s) could reasonably be expected to produce the claimant's pain or other symptoms does not involve a determination as to the intensity, persistence, or functionally limiting effects of the claimant's symptoms. The Board will develop evidence regarding the possibility of a medically determinable mental impairment when the Board has information to suggest that such an impairment exists, and the claimant alleges pain or other symptoms but the medical signs and laboratory findings do not substantiate any physical impairment(s) capable of producing the pain or other symptoms.\n\n(c)  Evaluating the intensity and persistence of symptoms, such as pain, and determining the extent to which the claimant's symptoms limit his or her capacity for work \u2014(1)  General.  When the medical signs or laboratory findings show that the claimant has a medically determinable impairment(s) that could reasonably be expected to produce the claimant's symptoms, such as pain, the Board must then evaluate the intensity and persistence of the claimant's symptoms so that it can determine how the claimant's symptoms limit the claimant's capacity for work. In evaluating the intensity and persistence of the claimant's symptoms, the Board considers all of the available evidence, including the claimant's medical history, the medical signs and laboratory findings, and statements from the claimant, the claimant's treating or examining physician or psychologist, or other persons about how the claimant's symptoms affect the claimant. The Board also considers the medical opinions of the claimant's treating source and other medical opinions as explained in \u00a7 220.112 of this part. Paragraphs (c)(2) through (c)(4) of this section explain further how the Board evaluates the intensity and persistence of the claimant's symptoms and how it determines the extent to which the claimant's symptoms limit the claimant's capacity for work, when the medical signs or laboratory findings show that the claimant has a medically determinable impairment(s) that could reasonably be expected to produce the claimant's symptoms, such as pain.\n\n(2)  Consideration of objective medical evidence.  Objective medical evidence is evidence obtained from the application of medically acceptable clinical and laboratory diagnostic techniques, such as evidence of reduced joint motion, muscle spasm, sensory deficit or motor disruption. Objective medical evidence of this type is a useful indicator to assist the Board in making reasonable conclusions about the intensity and persistence of the claimant's symptoms and the effect those symptoms, such as pain, may have on the claimant's ability to work. The Board must always attempt to obtain objective medical evidence and, when it is obtained, the Board will consider it in reaching a conclusion as to whether the claimant is disabled. However, the Board will not reject the claimant's statements about the intensity and persistence of the claimant's pain or other symptoms or about the effect the claimant's symptoms have on the claimant's ability to work solely because the available objective medical evidence does not substantiate the claimant's statements.\n\n(3)  Consideration of other evidence.  Since symptoms sometimes suggest a greater severity of impairment than can be shown by objective medical evidence alone, the Board will carefully consider any other information the claimant may submit about his or her symptoms. The information that the claimant, the claimant's treating or examining physician or psychologist, or other persons provide about the claimant's pain or other symptoms ( e.g.,  what may precipitate or aggravate the claimant's symptoms, what medications, treatments or other methods he or she uses to alleviate them, and how the symptoms may affect the claimant's pattern of daily living) is also an important indicator of the intensity and persistence of the claimant's symptoms. Because symptoms, such as pain, are subjective and difficult to quantify, any symptom-related functional limitations and restrictions which the claimant, his or her treating or examining physician or psychologist, or other persons report, which can reasonably be accepted as consistent with the objective medical evidence and other evidence, will be taken into account as explained in paragraph (c)(4) of this section in reaching a conclusion as to whether the claimant is disabled. The Board will consider all of the evidence presented, including information about the claimant's prior work record, the claimant's statements about his or her symptoms, evidence submitted by the claimant's treating, examining or consulting physician or psychologist, and observations by Board employees and other persons. Section 220.112 of this part explains in detail how the Board considers and weighs treating source and other medical opinions about the nature and severity of the claimant's impairment(s) and any related symptoms, such as pain. Factors relevant to the claimant's symptoms, such as pain, which the Board will consider include:\n\n(i) The claimant's daily activities;\n\n(ii) The location, duration, frequency, and intensity of the claimant's pain or other symptoms;\n\n(iii) Precipitating and aggravating factors;\n\n(iv) The type, dosage, effectiveness, and side effects of any medication the claimant takes or has taken to alleviate the claimant's pain or other symptoms;\n\n(v) Treatment, other than medication, the claimant receives or has received for relief of pain or other symptoms;\n\n(vi) Any measures the claimant uses or has used to relieve pain or other symptoms ( e.g.,  lying flat on the claimant's back, standing for 15 to 20 minutes every hour, sleeping on a board, etc.); and\n\n(vii) Other factors concerning the claimant's functional limitations and restrictions due to pain or other symptoms.\n\n(4)  How the Board determines the extent to which symptoms, such as pain, affect the claimant's capacity to perform basic work activities.  In determining the extent to which the claimant's symptoms, such as pain, affect the claimant's capacity to perform basic work activities, the Board considers all of the available evidence described in paragraphs (c)(1) through (c)(3) of this section. The Board will consider the claimant's statements about the intensity, persistence, and limiting effects of the claimant's symptoms, and the Board will evaluate the claimant's statements in relation to the objective medical evidence and other evidence, in reaching a conclusion as to whether the claimant is disabled. The Board will consider whether there are any inconsistencies in the evidence and the extent to which there are any conflicts between the claimant's statements and the rest of the evidence, including the claimant's medical history, the medical signs and laboratory findings, and statements by the claimant's treating or examining physician or psychologist or other persons about how the claimant's symptoms affect the claimant. The claimant's symptoms, including pain, will be determined to diminish the claimant's capacity for basic work activities to the extent that the claimant's alleged functional limitations and restrictions due to symptoms, such as pain, can reasonably be accepted as consistent with the objective medical evidence and other evidence.\n\n(d)  Consideration of symptoms in the disability determination process.  The Board follows a set order of steps to determine whether the claimant is disabled. If the claimant is not doing substantial gainful activity, the Board considers the claimant's symptoms, such as pain, to evaluate whether the claimant has a severe physical or mental impairment(s), and at each of the remaining steps in the process. Section 220.100 explains this process in detail. The Board also considers the claimant's symptoms, such as pain, at the appropriate steps in the Board's review when the Board considers whether the claimant's disability continues. Subpart O of this part explains the procedure the Board follows in reviewing whether the claimant's disability continues.\n\n(1)  Need to establish a severe medically determinable impairment(s).  The claimant's symptoms, such as pain, fatigue, shortness of breath, weakness, or nervousness, are considered in making a determination as to whether the claimant's impairment or combination of impairment(s) is severe. ( See  \u00a7 220.100(b)(2) of this part).\n\n(2)  Decision of whether impairment(s) is medically disabling.  The Board will not substitute the claimant's allegations of pain or other symptoms for a missing or deficient sign or laboratory finding to raise the severity of the claimant's impairment(s) to that of being medically disabling. If the symptoms, signs, and laboratory findings of the claimant's impairment(s) are found by the Board to be so severe as to prevent any substantial gainful activity, the Board will find the claimant disabled. If it does not, the Board will consider the impact of the claimant's symptoms on the claimant's residual functional capacity. ( See  paragraph (d)(3) of this section.)\n\n(3)  Impact of symptoms (including pain) on residual functional capacity.  If the claimant has a medically determinable severe physical or mental impairment(s), but the claimant's impairment(s) is not medically disabling, the Board will consider the impact of the claimant's impairment(s) and any related symptoms, including pain, on the claimant's residual functional capacity. ( See  \u00a7 220.120 of this part.)"], ["20:20:1.0.2.8.16.9.155.6", 20, "Employees' Benefits", "II", "B", "220", "PART 220\u2014DETERMINING DISABILITY", "I", "Subpart I\u2014Medical Considerations", "", "\u00a7 220.115 Need to follow prescribed treatment.", "SSA", "", "", "", "(a)  What treatment the claimant must follow.  In order to get a disability annuity, the claimant must follow treatment prescribed by his or her physician if this treatment can restore the claimant's ability to work.\n\n(b)  When the claimant does not follow prescribed treatment.  If the claimant does not follow the prescribed treatment without a good reason, the Board will find him or her not disabled or, if the claimant is already receiving a disability annuity, the Board will stop paying the annuity.\n\n(c)  Acceptable reasons for failure to follow prescribed treatment.  The following are examples of a good reason for not following treatment:\n\n(1) The specific medical treatment is contrary to the established teaching and tenets of the claimant's religion.\n\n(2) The prescribed treatment would be cataract surgery for one eye, when there is an impairment of the other eye resulting in a severe loss of vision and is not subject to improvement through surgery.\n\n(3) Surgery was previously performed with unsuccessful results and the same surgery is again being recommended for the same impairment.\n\n(4) The treatment because of its magnitude (e.g., open heart surgery), unusual nature (e.g., organ transplant), or other reason is very risky for the claimant.\n\n(5) The treatment involves amputation of an extremity, or a major part of an extremity."], ["24:24:2.1.1.2.12.2.158.1", 24, "Housing and Urban Development", "II", "B", "220", "PART 220\u2014MORTGAGE INSURANCE AND INSURED IMPROVEMENT LOANS FOR URBAN RENEWAL AND CONCENTRATED DEVELOPMENT AREAS", "B", "Subpart B\u2014Contract Rights and Obligations\u2014Homes", "", "\u00a7 220.251 Cross-reference.", "HUD", "", "", "[36 FR 24573, Dec. 22, 1971, as amended at 42 FR 29304, June 8, 1977; 48 FR 28807, June 23, 1983; 51 FR 21874, June 16, 1986; 52 FR 8069, Mar. 16, 1987; 52 FR 28470, July 30, 1987; 52 FR 48203, Dec. 21, 1987; 53 FR 9869, Mar. 28, 1988; 55 FR 34808, Aug. 24, 1990]", "(a) All of the provisions of subpart B, part 203 of this chapter covering mortgages insured under section 203 of the National Housing Act apply to mortgages covering 1- to 11-family dwellings insured under section 220 of the National Housing Act, except the following:\n\nSec. \n \n 203.258 Substitute mortgagors.\n \n 203.259 Scope.\n \n 203.280 One-time MIP.\n \n 203.281 Calculation of one-time MIP.\n \n 203.282 Mortgagee's late charge and interest.\n \n 203.283 Refund of one-time MIP.\n \n 203.340 Conditions of special forbearance relief. \n \n 203.342 Recasting of mortgage. \n \n 203.343 Partial release, addition or substitution of security. \n \n 203.350 Assignment of defaulted mortgage\u2014ingeneral. \n \n 203.350a Assignment of defaulted mortgage.\n \n 203.351 Application for insurance benefits and fiscal data. \n \n 203.353 Certification by mortgagee. \n \n 203.400 Method of payment. \n \n 203.402a Reimbursement for uncollected interest. \n \n 203.420 Nature of Mutual Mortgage Insurance Fund. \n \n 203.421 Allocation of Mutual Mortgage Insurance Fund income or loss. \n \n 203.422 Right and liability under Mutual Mortgage Insurance Fund. \n \n 203.423 Distribution of distributive shares \n \n 203.424 Maximum amount of distributive shares. \n \n 203.425 Finality of determination. \n \n 203.438 Mortgages on Indian land insured pursuant to section 248 of the National Housing Act.\n \n 203.439 Mortgages on Hawaiian home lands insured pursuant to section 247 of the National Housing Act.\n \n 203.439a Mortgages on property in Allegany Reservation of Seneca Nation of Indians authorized by section 203(q) of the National Housing Act.\n\nSec.\n\n203.258 Substitute mortgagors.\n\n203.259 Scope.\n\n203.280 One-time MIP.\n\n203.281 Calculation of one-time MIP.\n\n203.282 Mortgagee's late charge and interest.\n\n203.283 Refund of one-time MIP.\n\n203.340 Conditions of special forbearance relief.\n\n203.342 Recasting of mortgage.\n\n203.343 Partial release, addition or substitution of security.\n\n203.350 Assignment of defaulted mortgage\u2014ingeneral.\n\n203.350a Assignment of defaulted mortgage.\n\n203.351 Application for insurance benefits and fiscal data.\n\n203.353 Certification by mortgagee.\n\n203.400 Method of payment.\n\n203.402a Reimbursement for uncollected interest.\n\n203.420 Nature of Mutual Mortgage Insurance Fund.\n\n203.421 Allocation of Mutual Mortgage Insurance Fund income or loss.\n\n203.422 Right and liability under Mutual Mortgage Insurance Fund.\n\n203.423 Distribution of distributive shares\n\n203.424 Maximum amount of distributive shares.\n\n203.425 Finality of determination.\n\n203.438 Mortgages on Indian land insured pursuant to section 248 of the National Housing Act.\n\n203.439 Mortgages on Hawaiian home lands insured pursuant to section 247 of the National Housing Act.\n\n203.439a Mortgages on property in Allegany Reservation of Seneca Nation of Indians authorized by section 203(q) of the National Housing Act.\n\n(b) For the purposes of this subpart, all references in part 203 of this chapter to section 203 of the act shall be construed to refer to section 220 of the act, and all references to the Mutual Mortgage Insurance Fund shall be construed to refer to the General Insurance Fund."], ["24:24:2.1.1.2.12.2.158.2", 24, "Housing and Urban Development", "II", "B", "220", "PART 220\u2014MORTGAGE INSURANCE AND INSURED IMPROVEMENT LOANS FOR URBAN RENEWAL AND CONCENTRATED DEVELOPMENT AREAS", "B", "Subpart B\u2014Contract Rights and Obligations\u2014Homes", "", "\u00a7 220.252 Forbearance of foreclosure and assignment of mortgage.", "HUD", "", "", "", "All of the provisions of \u00a7\u00a7 203.340 through 203.342, 203.350, 203.352 and 203.353 of this chapter shall apply to mortgages insured under this subpart, except that the provisions relating to forbearance of foreclosure, recasting of the mortgage and assignment of a defaulted mortgage, shall be applicable only to a mortgage covering a property having not more than four dwelling units."], ["24:24:2.1.1.2.12.2.158.3", 24, "Housing and Urban Development", "II", "B", "220", "PART 220\u2014MORTGAGE INSURANCE AND INSURED IMPROVEMENT LOANS FOR URBAN RENEWAL AND CONCENTRATED DEVELOPMENT AREAS", "B", "Subpart B\u2014Contract Rights and Obligations\u2014Homes", "", "\u00a7 220.253 Substitute mortgagors.", "HUD", "", "", "[55 FR 34808, Aug. 24, 1990, as amended at 57 FR 58351, Dec. 9, 1992]", "(a)  Selling mortgagor.  The mortgagee may effect the release of a mortgagor from personal liability on the mortgage note only if it obtains the Commissioner's approval of a substitute mortgagor, as provided by this section.\n\n(b)  Purchasing mortgagor.  (1) The Commissioner may approve a substitute mortgagor with respect to any mortgage insured under subpart A of this part, if the substitute mortgagor is to occupy the dwelling as a principal residence or a secondary residence (as these terms are defined in \u00a7 220.30(d)).\n\n(2) The Commissioner may approve as a substitute mortgagor an eligible non-occupant mortgagor (as defined in \u00a7 220.30(d)) with respect to any mortgage insured under this part, only if the outstanding balance of the mortgage does not exceed the Commissioner's estimate of:\n\n(i) The replacement cost of the property as of the date the mortgage was originally accepted for insurance, or the date the substitute mortgagor is approved by the Commissioner, which ever is greater, in the case of a dwelling described in \u00a7 220.30(a) (1) or (2); or\n\n(ii) The cost of repair or rehabilitation, plus the Commissioner's estimate of the replacement cost of the property as of either the date the mortgage was originally accepted for insurance, or the date the substitute mortgagor is approved by the Commissioner, whichever is greater, in the case of a dwelling described in \u00a7 220.30(a) (3) or (4).\n\n(c)  Applicability\u2014current mortgagor.  Paragraph (b) of this section applies to the Commissioner's approval of a substitute mortgagor, only if the mortgage executed by the original mortgagor met the conditions of \u00a7 203.258(c) of this chapter.\n\n(d)  Applicability\u2014earlier mortgagor.  The occupancy and similar requirements set forth in \u00a7 203.258(d) of this chapter apply to mortgages insured under subpart A of this part.\n\n(e) Mortgagees approved for participation in the Direct Endorsement program under \u00a7 203.3 may, subject to limitations established by the Commissioner, themselves approve an appropriate substitute mortgagor under this section for mortgages which they own or service, and need not obtain further specific approval from the Commissioner.\n\n(f)  Definition.  As used in this section, the term  substitute mortgagor  includes: (1) Persons who, upon the release by a mortgagee of a previous mortgagor from personal liability on the mortgage note, assume this liability and agree to pay the mortgage debts; and (2) persons who purchase without assuming liability on the mortgage note, or purchase where no release is given by the mortgagee to the previous mortgagor."]], "truncated": false, "filtered_table_rows_count": 195, "expanded_columns": [], "expandable_columns": [], "columns": ["section_id", "title_number", "title_name", "chapter", "subchapter", "part_number", "part_name", "subpart", "subpart_name", "section_number", "section_heading", "agency", "authority", "source_citation", "amendment_citations", "full_text"], "primary_keys": ["section_id"], "units": {}, "query": {"sql": "select section_id, title_number, title_name, chapter, subchapter, part_number, part_name, subpart, subpart_name, section_number, section_heading, agency, authority, source_citation, amendment_citations, full_text from cfr_sections where \"part_number\" = :p0 order by section_id limit 101", "params": {"p0": "220"}}, "facet_results": {"title_number": {"name": "title_number", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=220", "results": [{"value": 20, "label": 20, "count": 97, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&title_number=20", "selected": false}, {"value": 49, "label": 49, "count": 36, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&title_number=49", "selected": false}, {"value": 24, "label": 24, "count": 35, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&title_number=24", "selected": false}, {"value": 7, "label": 7, "count": 23, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&title_number=7", "selected": false}, {"value": 40, "label": 40, "count": 4, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&title_number=40", "selected": false}], "truncated": false}, "agency": {"name": "agency", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=220", "results": [{"value": "SSA", "label": "SSA", "count": 97, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&agency=SSA", "selected": false}, {"value": "FRA", "label": "FRA", "count": 36, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&agency=FRA", "selected": false}, {"value": "HUD", "label": "HUD", "count": 35, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&agency=HUD", "selected": false}, {"value": "FNS", "label": "FNS", "count": 23, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&agency=FNS", "selected": false}, {"value": "EPA", "label": "EPA", "count": 4, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&agency=EPA", "selected": false}], "truncated": false}, "part_number": {"name": "part_number", "type": "column", "hideable": false, "toggle_url": "/openregs/cfr_sections.json?part_number=220", "results": [{"value": "220", "label": "220", "count": 195, "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json", "selected": true}], "truncated": false}}, "suggested_facets": [{"name": "title_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&_facet=title_name"}, {"name": "chapter", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&_facet=chapter"}, {"name": "subchapter", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&_facet=subchapter"}, {"name": "part_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&_facet=part_name"}, {"name": "subpart", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&_facet=subpart"}, {"name": "subpart_name", "toggle_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&_facet=subpart_name"}], "next": "24~3A24~3A2~2E1~2E1~2E2~2E12~2E2~2E158~2E3,24~3A24~3A2~2E1~2E1~2E2~2E12~2E2~2E158~2E3", "next_url": "https://www.pawtectors.org/openregs/cfr_sections.json?part_number=220&_next=24~3A24~3A2~2E1~2E1~2E2~2E12~2E2~2E158~2E3%2C24~3A24~3A2~2E1~2E1~2E2~2E12~2E2~2E158~2E3&_sort=section_id", "private": false, "allow_execute_sql": true, "query_ms": 2449.8183979885653, "source": "Federal Register API & Regulations.gov API", "source_url": "https://www.federalregister.gov/developers/api/v1", "license": "Public Domain (U.S. Government data)", "license_url": "https://www.regulations.gov/faq"}