Court Opinion

ID: 2785183
Source: CourtListenerOpinion
Date Created: 2015-03-10 20:05:34.024991+00
Date Added: 2024-06-11T11:28:35.165479
License: Public Domain

In the United States Court of Federal Claims
                              OFFICE OF SPECIAL MASTERS

*********************
JESSIE CONTRERAS,         *                          No. 05-626V
                          *
              Petitioner, *                          Special Master Christian J. Moran
                          *
     v.                   *                          Filed: October 24, 2014
                          *
SECRETARY OF HEALTH       *                          hepatitis B vaccine; tetanus-
AND HUMAN SERVICES,       *                          diphtheria vaccine; transverse myelitis
                          *                          (TM); Guillain-Barré syndrome
              Respondent. *                          (GBS); one-day onset; decision on
                          *                          remand; credibility of expert;
                          *                          reliability of expert.
********************* ***

Jeffrey S. Pop, Jeffrey S. Pop, Attorney at Law, Beverly Hills, CA, for petitioner;
Linda S. Renzi, United States Dep’t of Justice, Washington, DC, for respondent.
              PUBLISHED DECISION ON REMAND DENYING ENTITLEMENT1

      On June 16, 2003, Mr. Contreras received the hepatitis B vaccine and the
tetanus-diphtheria vaccine. Approximately 24 hours later, he started experiencing
symptoms that marked the onset of a very severe neurologic disease, transverse
myelitis. Mr. Contreras claims that the vaccinations, particularly the hepatitis B
vaccine, caused his neurologic problems and seeks compensation through the
National Childhood Vaccine Injury Compensation Program, codified at 42
U.S.C. § 300aa—10 through 34 (2006).

       Judicial officials have issued four substantive rulings.2 In the most recent
one, the Court vacated a decision denying compensation and remanded for more

       1
          The E-Government Act of 2002, Pub. L. No. 107-347, 116 Stat. 2899, 2913 (Dec. 17,
2002), requires that the Court post this decision on its website. Pursuant to Vaccine Rule 18(b),
the parties have 14 days to file a motion proposing redaction of medical information or other
information described in 42 U.S.C. § 300aa-12(d)(4). Any redactions ordered by the special
master will appear in the document posted on the website.
specific findings of fact with respect to the experts’ credibility. This additional
fact-finding was necessitated by the revelation that Dr. Sladky, one of the two
experts who testified on behalf of the Secretary, misrepresented his background
and failed to disclose problems in his medical licensing. The dimensions of Dr.
Sladky’s misdeeds are set forth in a review of the procedural history of this case,
which is Section I below.

       The remainder of the Decision attempts to respond to the Court’s three
instructions. First, the Court required an “unambiguous assessment” of Dr.
Sladky’s credibility and reliability. For the reasons discussed in Section II, Dr.
Sladky was not credible regarding his background, but credible for his substantive
opinions. His substantive opinions were reliable because they were based upon a
sound methodology. Second, the Court required an evaluation of the credibility of
all the testifying experts and a comparison among them. Section III explains that
Dr. Sladky’s credibility was less than all but one of the other testifying doctors.
Third, the Court directed an assessment of the issues without regard for Dr.
Sladky’s evidence. Section IV reviews the evidence regarding diagnosis, timing,
theory, and logical sequence of cause and effect. Excluding Dr. Sladky’s evidence
does not change the outcome.

      Consequently, Mr. Contreras remains not entitled to compensation. The
Clerk’s Office is directed to enter judgment in accord with the decision unless
another motion for review is filed.

I.     Procedural History Focused on Dr. Sladky’s Misconduct

       On June 15, 2005, Mr. Contreras filed his petition. With it, Mr. Contreras
filed medical records and statements from three doctors who treated him, Dr. Fred
Kyazze, Dr. Mark Wagner, and Dr. Jeremy Garrett. Exhibits 11-13. Dr. Garrett
identified Mr. Contreras’s injury as “cervical transverse myelitis” and opined that
the hepatitis B vaccination caused the transverse myelitis. Exhibit 13 at 4 ¶ 7, 7 ¶
       2
          An April 5, 2012 Entitlement Decision denied compensation because Mr. Contreras did
not meet his burden of proof regarding the appropriate interval between vaccination and the
onset of the transverse myelitis. 2012 WL 1441315 (“Contreras 1”). The United States Court of
Federal Claims (“the Court”) vacated this decision and remanded with instructions. 107 Fed. Cl.
280 (2012) (“Contreras 2”). A November 19, 2013 Remand Decision again denied
compensation. 2013 WL 6698382 (“Contreras 3”). The Court also vacated the Remand
Decision. 116 Fed. Cl. 472 (2014) (“Contreras 4”).
       Citations to Contreras 3 will include both the page number to the version published on
Westlaw and, to maintain consistency with Contreras 4, the page number of the slip opinion.

                                                  2
12 (“[Mr. Contreras’s] diagnosis was thus established as transverse myelitis”), 13 ¶
17. In addition, Mr. Contreras submitted an affidavit from Dr. Charles Poser. Dr.
Poser, unlike Dr. Garrett, stated that Mr. Contreras suffered from Guillain-Barré
syndrome and transverse myelitis. Yet, like Dr. Garrett, Dr. Poser also proposed
that the vaccinations caused the Guillain-Barré syndrome and transverse myelitis.
Exhibit 22 at 3 ¶ 4-5. Dr. Poser found a causal relationship despite “[t]he very
short latency of the neurological complications following the vaccination,” which
Dr. Poser acknowledged was “unusual.” Id. at ¶ 5. Dr. Poser did not otherwise
propose a mechanism by which a vaccine can cause a neurologic injury in one day.
See exhibit 22. Dr. Poser, later, authored another affidavit, expanding upon the
bases for his assertion that the vaccines can cause neurologic injury. Exhibit 23.

       On October 27, 2005, the Secretary filed her report, pursuant to Vaccine
Rule 4. Before submitting Dr. Sladky’s first report, the Secretary raised the issue
of timing. Citing a 1994 report from the Institute of Medicine (IOM), the
Secretary asserted that “a plausible interval between vaccination and the onset of
symptoms is 5-45 days.” Resp’t’s Rep’t, filed Oct. 7, 2005, at 9.3 The Secretary
argued that Dr. Poser “offers no explanation as to how [Mr. Contreras’s] condition
could plausibly evolve within [24 hours]. Even the case studies referred to by Dr.
Poser do not describe symptoms immediately following vaccination.” Id. at 10.
The Secretary’s report concluded by maintaining that “the temporal relation
between vaccination and the onset of [Mr. Contreras’s] illness does not support the
conclusion that [Mr. Contreras’s] condition was caused by the administration of
the Hepatitis B vaccine; in fact, it supports the opposite,” and committed to submit
an expert report. Id.

      The Secretary filed a report from Dr. Sladky dated October 21, 2005, and his
curriculum vitae (“CV”), which were initially labelled as exhibits A and B. These
appear in the record as exhibit I and exhibit J.

       Dr. Sladky’s CV contained an error when it was submitted. Dr. Sladky
asserted that he was licensed to practice medicine in two states, Pennsylvania and
Georgia. However, it is now known that Dr. Sladky’s license in Pennsylvania had
expired in 1996, nine years earlier. The Court commented “Dr. Sladky’s CV,

       3
         The Secretary’s report contains two minor errors. First, while the Secretary recounts the
IOM’s estimate for latency as “5-45 days,” the IOM actually states “5 days to 6 weeks.” Second,
although the Secretary’s report accurately cites pages 37-49 of the 1994 IOM report (a more
precise citation is to page 45 and/or 47), the Secretary did not include those pages within the
document she actually submitted as exhibit A. She later filed pages 45-46 as exhibit F.

                                                    3
bearing no notation that his license in Pennsylvania had expired, misrepresented
Dr. Sladky’s credentials. Thus, the expert report filed by Dr. Sladky in 2005 was
supported by an inaccurate and misleading CV.” Contreras 4, 116 Fed. Cl. at 477.

        Dr. Sladky’s error in presenting his qualifications appears not to have carried
over to his report. There is no evidence or allegation that Dr. Sladky’s first report
was erroneous in any respect. Dr. Sladky’s first report emphasized the timing was
not appropriate for causation. He stated “the brief interval between the hepatitis B
vaccine administration and the onset of symptoms of transverse myelitis in Jessie
Contreras is the most compelling evidence that immunization and demyelinating
disease, in this instance, are purely coincident.” Exhibit I at 3. He explained
“[a]utoimmune demyelinating disorders such as transverse myelitis are caused by a
complex cascade of immunological events ultimately acting in concert to cause
injury to constituents of the central nervous system.” Id.4 Dr. Sladky then asserted
“[i]t is virtually impossible to believe that the intricate process of immune
activation, tissue targeting and ultimately immunologic attack on the nervous
system could occur within a 24 hour interval.” Id. Dr. Sladky’s basis was the
1994 IOM article that found that “the duration from immunization to onset of
symptoms should fall between 5 days at a minimum and 6 weeks at maximum to
conform to biological plausibility.” Id. He also described the basis for the 1994
IOM findings, noting that the IOM used animal models. Id. at 4-5 (citing exhibit K
(Divya J. Mekala et al., IL-10-dependent Infectious Tolerance After the Treatment
of Experimental Allergic Encephalomyelitis with Redirected CD4+CD25+ T
Lymphocytes, 102(33) PNAS 11817 (2005)); and exhibit D (E.P.K. Mensah-
Brown et al., Neuroglial Response After Induction of Experimental Allergic
Encephalomyelitis in Susceptible and Resistant Rat Strains, 233 Cellular
Immunology 140 (2005))).

        Thus, in 2005, timing was an important issue. Dr. Poser flagged the issue in
his first report, describing the latency as “unusual.” Exhibit 22 at 3 ¶ 5. The
Secretary raised this issue in her Rule 4 Report. Resp’t’s Rep’t, filed Oct. 7, 2005,
at 9. Separately, Dr. Sladky raised it in his October 21, 2005 report. Exhibit I.
Significantly, both the Secretary and Dr. Sladky relied upon the 1994 IOM report.
In the ensuing status conference, the then-presiding special master also discussed
the 1994 IOM report as well as Dr. Sladky’s opinion. The then-presiding special
master stated “whether there exists an adequate basis, grounded in principles of
       4
       Testimony from Dr. Steinman and Dr. Whitton elaborated on the concept of the
“complex cascade of immunological events.” See Tr. 123-38, 237-40, 413-23, 441-43.

                                                4
immunology, for the special master to find that the interval of less than 24 hours…
medically appropriate” may be a “potentially dispositive issue.” Order, filed Nov.
18, 2005, at 2.5

       The then-presiding special master’s response to the Secretary’s report and
Dr. Sladky’s report was to order Mr. Contreras to file a medical opinion from an
“immunologist or a neuroimmunologist.” Id. Mr. Contreras presented Dr.
Steinman’s first report on March 9, 2006. Exhibit 55. Dr. Steinman compared Mr.
Contreras’s asserted reaction to the vaccinations to a reaction to tuberculin. In Dr.
Steinman’s view because the latter reaction can take place in 24 hours, the former
reaction can happen in 24 hours as well. Id. at 3.

      Following the submission of Dr. Steinman’s report, the formal progression
of Mr. Contreras’s litigation largely stalled. Instead, the parties attempted to
resolve the dispute using alternative dispute resolution (“ADR”).

      During this interlude in the formal litigation, on August 19, 2008, Dr. Sladky
agreed not to practice medicine in Georgia while he was treated for alcohol
dependence. Resp’t’s Status Rep’t, filed May 1, 2013, at 4; see also Contreras 4,
116 Fed. Cl. at 476. Dr. Sladky, apparently, did not inform the Secretary that he
had agreed not to practice medicine because the Secretary did not disclose this
information until 2013. At the hearing, Dr. Sladky testified that he did not work on
Mr. Contreras’s case in 2008 or 2009. Tr. 321.

        The then-chief special master conducted an ADR session on September 3,
2008. However, the parties did not resolve their differences. Accordingly, the
parties resumed pursuing a formal resolution of Mr. Contreras’s petition for
compensation. As the first step in this renewed process, the Secretary was ordered
to file a response to Dr. Steinman’s report. Orders, filed Apr. 3, 2008, Jan. 21,
2009, and Feb. 10, 2009. The Secretary did not rely upon Dr. Sladky, who had
previously opined in this case. Instead, the Secretary opted to retain Dr. Whitton,
who has extensive experience in immunology. See exhibit M (CV).

      In 2009, the parties exchanged a series of reports written by Dr. Whitton and
Dr. Steinman. Exhibit L (Dr. Whitton’s Rep’t, filed Feb. 19, 2009); exhibit 105

       5
         While Mr. Contreras’s case was pending, the presiding special master adopted the 5-42
day interval between the introduction of an antigen and the development of a demyelinating
disease of the central nervous system. Fant v. Sec'y of Health & Human Servs., No. 02-1419V,
2007 WL 5161767, at *11 (Fed. Cl. Spec. Mstr. Mar. 9, 2007).

                                                  5
(Dr. Steinman’s Supp’l Rep’t, filed June 29, 2009); exhibit N (Dr. Whitton’s
Supp’l Rep’t, filed Sept. 8, 2009). In this back and forth, Dr. Whitton opined that
one day was not a sufficient amount of time to cause transverse myelitis and Dr.
Steinman maintained that it was. The Secretary’s continued use of Dr. Whitton in
2009 led to a question about whether the Secretary was maintaining her reliance on
Dr. Sladky.

        Meanwhile, as the parties were exchanging expert reports, there were
additional (unknown) developments with Dr. Sladky. Less than one year after he
voluntarily relinquished his medical license on a temporary basis, Dr. Sladky’s
dependence on alcohol was the basis for a more serious action by the Georgia
Composite State Board of Medical Examiners. On June 19, 2009, the Georgia
Board suspended Dr. Sladky’s license indefinitely. Resp’t’s Status Rep’t, filed
May 1, 2013, at 4; see also Contreras 4, 116 Fed. Cl. at 476. Again, the
Secretary’s disclosure of this suspension came in 2013, approximately four years
after it occurred.6

       On January 8, 2010, a status conference was held. It appeared that before
the interlude for ADR, the Secretary had been relying upon the opinion of Dr.
Sladky to respond to Dr. Poser, but after the litigation resumed, it appeared that the
Secretary was relying upon the opinion of Dr. Whitton as the Secretary had not
obtained a report from Dr. Sladky in response to Dr. Steinman’s report. Thus,
during the January 8, 2010 status conference, the parties discussed whether the
Secretary intended to present testimony from Dr. Sladky at the forthcoming
hearing. During this status conference, the Secretary apparently was ignorant of
the Georgia Board’s suspension of Dr. Sladky’s license.

       In response to the order from the January 8, 2010 status conference, the
Secretary disclosed that she intended to call Dr. Sladky at the hearing. In this
context, the Secretary stated, “Dr. Sladky is preparing a supplemental expert report
to address the issues raised by petitioner’s expert, Dr. Steinman. Respondent will
file Dr. Sladky’s report, an updated curriculum vitae, and referenced medical
articles, no later than March 8, 2010.” Resp’t’s Status Rep’t, filed Jan. 27, 2010, at
1; accord Contreras 4, 116 Fed. Cl. at 477. The Court’s recitation of this status
report emphasized that respondent recounted Dr. Sladky “is preparing” a
supplemental report.

       6
         The Georgia Board’s suspension was a public consent order that is, now, available
through a website. Whether the Georgia Board made this order available to the public through
its website in 2009 is not known.

                                                  6
       The Court cited the phrase “is preparing” as one piece of evidence that
showed Dr. Sladky was working on his supplemental report while his license to
practice medicine in Georgia was suspended. Other evidence supporting the same
proposition were “the detailed analysis of Dr. Steinman’s opinions in Dr. Sladky’s
second expert report” and “the date marked on Dr. Sladky’s report, March 4,
2010.” Contreras 4, 116 Fed. Cl. at 477.

       On March 4, 2010, the Georgia Board issued another Public Consent Order.
The Georgia Board restored Dr. Sladky’s medical license on a probationary basis.
The Georgia Board conditioned Dr. Sladky’s retention of his license on several
factors, including continued participation in support groups for alcoholics,
supervision by another doctor, and restrictions on the number of hours and location
of his practice. Resp’t’s Status Rep’t, filed May 1, 2013, at 4-13.

      March 4, 2010, is also the date at the top of Dr. Sladky’s supplemental
expert report. The Secretary filed this report, which is exhibit O, on March 8,
2010. The original submission lacked a signature. The Secretary submitted
another copy of the report dated March 4, 2010, still labelled as exhibit O, on
March 22, 2010. Dr. Sladky signed the second version.

       Dr. Sladky’s supplemental report, exhibit O, matched his initial report,
exhibit I, with respect to his ultimate opinion --- that there was no evidence to
support the conclusion that the vaccinations caused Mr. Contreras’s transverse
myelitis. The primary basis for Dr. Sladky’s opinion --- that the timing was
insufficient --- remained the same.

       Dr. Sladky did not reveal in his reports dated March 4, 2010, that the
Georgia Board had suspended his license and had restored his license to a
probationary status on the same day as he dated his report. The Court also noted
that the supplemental report remained “supported by an inaccurate and misleading
CV as to licensure in Pennsylvania.” Contreras 4, 116 Fed. Cl. at 477. The Court
also stated that “[t]here is no information in the record which explains why
respondent never filed an updated CV for Dr. Sladky to accompany his second
expert report, as promised in the January 27, 2010 status report.” Id.

       On April 20, 2010, Dr. Sladky testified at the hearing held in California.
The Secretary asked general questions about Dr. Sladky’s background. Dr. Sladky
stated that he was employed in the Department of Pediatric Neurology at Emory
University. Tr. 274-75. He elaborated:

                                             7
            I'm senior faculty in pediatric neurology at Emory. I see
            patients. I do a little bit of research. That's become
            markedly attenuated as I get eaten by the clinical monster
            as I think the rest of us are. And I teach medical
            students, residents and fellows.

            I see patients every week, usually five half days a week,
            probably average 40-50 patients a week, and attend on
            the inpatient neurology service roughly three months a
            year, a little less. And during those periods, I have very
            hectic months very much like the one Dr. Steinman just
            survived. Congratulations, incidentally. We look at
            those as benchmarks in moving along life. Pretty
            standard, busy clinical and academic lifestyle.

Tr. 275. Dr. Sladky also provided information about his undergraduate education
(Yale University), his medical school (also Yale University), and fellowship
training (University of Pennsylvania). He stated he was board-certified in
pediatrics, neurology with a special competence in child neurology, and electro-
diagnostic medicine. Tr. 276. When the Secretary offered Dr. Sladky as an expert
witness in the area of pediatric neurology, the Secretary referenced Dr. Sladky’s
CV, exhibit J, which had been filed in 2005. Tr. 278.

       The Court noted that Dr. Sladky’s description of his responsibilities
regarding seeing 40-50 patients per week was “misleading.” The Court determined
that in “the two-year period of time leading up to this testimony, Dr. Sladky was
licensed to practice medicine for eight and a half of those twenty-four months, and
more than one month of the time that he was licensed to practice medicine during
that period was under supervised probation.” Contreras 4, 116 Fed. Cl. at 479.

      When given an opportunity to ask questions about Dr. Sladky’s background
on voir dire, petitioner’s counsel declined. Tr. 278. As the Court noted,

            [Dr. Sladky] did not state, and was not asked to state,
            whether he was licensed to practice medicine in
            Pennsylvania and Georgia. He was not asked whether
            his license to practice medicine was on probation (which
            it was at the time he testified), and he was not asked
            whether he had been subject to disciplinary proceedings
            which led to the suspension of his license.

                                            8
Contreras 4, 116 Fed. Cl. at 479.

      At the hearing, there was relatively little testimony from Dr. Sladky about
the medically acceptable interval between vaccination and the onset of transverse
myelitis. The Secretary elicited some as part of Dr. Sladky’s direct examination.
Tr. 310.7 On cross-examination, Mr. Contreras asked Dr. Sladky about his opinion
regarding the minimal amount of time for an immune-mediated response. Tr. 329-
30. Otherwise, Dr. Sladky’s testimony was on other topics, including how
Hispanics respond to vaccinations.

       Instead of using Dr. Sladky, the Secretary presented testimony from Dr.
Whitton about the immune system and how long the immune system requires to
generate a response that could lead to transverse myelitis. In support of his
opinion, Dr. Whitton testified about many articles, including Lafaille, Zamvil, and
Kakar. See Tr. 424-37, 441-43 (discussing exhibit 77 (Juan J. Lafaille, Myelin
Basic Protein-specific T Helper 2(Th2) Cells Cause Experimental Autoimmune
Encephalomyelitis in Immunodeficient Hosts Rather than Protect Them from the
Disease, 186(2) J. Experimental Med. 307 (1997)); exhibit 67 (Scott Zamvil et al.,
T-cell Clones Specific for Myelin Basic Protein Induce Chronic Relapsing
Paralysis and Demyelination, 317 Nature 355 (1985)); exhibit 72 (Atul Kakar &
P.K. Sethi, Guillain Barre Syndrome Associated with Hepatitis B Vaccination,
64(5) Indian J. Pediatrics 710 (1997))). Dr. Whitton was asked follow-up
questions about the anticipated interval. See Tr. 455-56, 462-64, 477-85.

       After the parties submitted a set of briefs, it appeared that the Odoardi article
could potentially assist Mr. Contreras in establishing that one day was an
appropriate interval. Exhibit 118 (F. Odoardi et al., Blood-borne soluble protein
antigen intensifies T cell activation in autoimmune CNS lesions and exacerbates
clinical disease, 104(47) PNAS 18625 (2007)). While both Dr. Steinman and Dr.
Whitton had testified about Odoardi during the April 2010 hearing, their testimony
seemed incomplete. See Tr. 175 (Dr. Steinman), 243-46 (same) 479-82 (Dr.
Whitton). Consequently, the undersigned requested another hearing to hear
testimony from Dr. Steinman and Dr. Whitton. Order, filed June 6, 2011; see also
Contreras 2, 107 Fed. Cl. at 289 n.19 (the topic of the second hearing “is indicative
of the special master’s increasing focus on Dr. Steinman’s and Dr. Whitton’s
diverging opinions as to the science relevant to determine a medically-appropriate

       7
         Dr. Sladky also discussed the onset of Mr. Contreras’s neurologic problem, Tr. 279-81,
but the precise number of hours between vaccination and onset has never been a material fact.

                                                   9
timeframe for the onset of Jessie’s illness”). Dr. Sladky did not participate in this
hearing because his expertise was not in immunology on which timing is based.

       After this second hearing, the case was submitted for adjudication. Mr.
Contreras was found not entitled to compensation because he had not established
that 24 hours is an appropriate temporal interval between vaccination and the onset
of symptoms. Contreras 1, 2012 WL 1441315 (Fed. Cl. Spec. Mstr. Apr. 5,
2012).8

      Mr. Contreras filed a motion for review, which was granted. The April 5,
2012 entitlement decision was vacated and the case was remanded. Contreras 2,
107 Fed. Cl. 280.

      While on remand, on May 1, 2013, the Secretary disclosed much of the
detrimental information about Dr. Sladky to Mr. Contreras and to the Office of
Special Masters.9 The Secretary’s citation to Shaffer Equip. Co. v. United States,
11 F.3d 450, 458-59 (4th Cir. 1993), suggested that the Secretary understood that
she was obligated to reveal information about her expert’s background once she
learned of the misrepresentations. Specifically, the Secretary revealed

                 Respondent has become aware that Dr. Sladky agreed not
                 to practice medicine in the state of Georgia from August
                 19, 2008 to March 18, 2009, and agreed to the indefinite
                 suspension of his license to practice medicine on June 17,
                 2009, and that on March 4, 2010, the suspension of his
                 license was lifted and his license to practice restored on a
                 probationary basis. The probation was terminated on
                 July 5, 2011. The details of the suspensions and
                 probation are set forth in the attached public orders of the
                 Georgia Composite Medical Board.

Resp’t’s Status Rep’t., filed May 1, 2013, at 1. In this status report, the Secretary
did not reveal that Dr. Sladky’s medical license for Pennsylvania had expired in
1996.

       8
           Section IV below discusses the reasoning in the Entitlement Decision in greater detail.
       9
          The Secretary filed substantively the same status report in every active case in which
Dr. Sladky had submitted a report. For closed cases, the Secretary submitted a letter notifying
the petitioner and the presiding special master of Dr. Sladky’s licensure issues.

                                                     10
       Mr. Contreras, however, discovered the misrepresentation on Dr. Sladky’s
2005 CV. Mr. Contreras presented evidence from the Pennsylvania Department of
State that Dr. Sladky’s license to practice medicine in that state expired on
December 31, 1996. Pet’r’s Status Rep’t, filed May 10, 2013, at exhibit 2. In
response to Shaffer Equip., Mr. Contreras appeared to acknowledge that his case
was different in the sense that there was no evidence that the Secretary or her
attorneys actually knew of Dr. Sladky’s licensing problems. Pet’r’s Status Rep’t,
filed May 10, 2013, at 4-5. Mr. Contreras proposed that the “Special Master
should find that [Dr.] Sladky’s opinion and conclusion carry little, if any[,] weight,
due to the circumstances under which he was providing testimony.” Id. at 9. Mr.
Contreras did not propose striking Dr. Sladky’s evidence.

       The Secretary was permitted to respond to Mr. Contreras’s arguments
regarding Dr. Sladky as part of her brief on remand. The Secretary mostly
addressed accusations about Dr. Sladky that Mr. Contreras did not substantiate, but
the Secretary did not address the accusation about Dr. Sladky’s Pennsylvania
license that Mr. Contreras did substantiate. The Secretary concluded that:

             [T]he opinion[] of . . . Dr. Sladky [is] based upon sound
             scientific principles that were clearly articulated at
             hearing and supported by the medical literature.
             Respondent’s disclosure of the temporary suspension and
             later probationary status of Dr. Sladky’s license . . .
             should not be used to circumvent the fact that petitioner
             has failed to prove causation.

Resp’t’s Resp., filed June 12, 2013, at 39.

        Mr. Contreras had the last word, repeating some of the problems with Dr.
Sladky. Pet’r’s Reply, filed Aug. 13, 2013, at 31-34. The reply brief argued that
Dr. Sladky’s testimony should be “scrutinized and given diminished importance.”
Id. at 34.

      On November 19, 2013, a 76-page decision on remand denied entitlement.
Approximately two and half pages were devoted to Dr. Sladky’s background.
Ultimately, the remand decision concluded that “Dr. Sladky’s opinions retain some
value.” Contreras 3, slip op. at 7, 2013 WL 6698382, at *5. Dr. Sladky’s name
appears in the remand decision in approximately 20 places, which are discussed at
length below. The Remand Decision included a statement that the analysis

                                              11
contained therein “does not rely upon Dr. Sladky’s opinion extensively.”
Contreras 3, slip op. at 71 n.51, 2013 WL 6698382, at *55 n.51.

      Mr. Contreras filed a second motion for review. In his objections, Mr.
Contreras argued, among other things, that:

             The Special Master heavily relied on the testimony of Dr.
             Sladky, despite the fact that Dr. Sladky has been
             discredited and failed to disclose to the Court and
             Counsel that his medical license was suspended and later
             he was on probation due to alcohol abuse problems at
             times he rendered his opinions.

Pet’r’s Second Mot. for Rev., filed Dec. 19, 2013, at 2. This objection was
developed as the first argument in the motion for review.

        After summarizing Dr. Sladky’s faults, Mr. Contreras concluded: “Dr.
Sladky’s lack of transparency and untruthfulness is appalling. He could not
actually see patients if he was suspended. Dr. Sladky’s medical license suspension
and later probation with restrictions when he testified is relevant. His incorrect
C.V. bears on his character and critically undermines his credibility as an expert.”
Id. at 5. Mr. Contreras’s motion for review argued that the Remand Decision’s
statement that “Dr. Sladky’s opinions retained ‘some’ value is a misnomer.” Id.
However, Mr. Contreras’s second motion for review did not argue for striking Dr.
Sladky’s opinion entirely.

       In deciding the second motion for review, the Court reviewed the disclosures
that the Secretary made regarding Dr. Sladky’s licensing in Georgia and the
information Mr. Contreras presented regarding Dr. Sladky’s licensing in
Pennsylvania. In addition, the Court reviewed information that Dr. Sladky had
presented in other cases, including Roberts v. Sec'y of Health & Human Servs.,
No. 09-427V, 2013 WL 5314698 (Fed. Cl. Spec. Mstr. Aug. 29, 2013), and Raymo
v. Sec'y of Health & Human Servs., No. 11-654V, 2014 WL 1092274 (Fed. Cl.
Spec. Mstr. Feb. 24, 2014). Contreras 4, 116 Fed. Cl. at 480. The Court vacated
the November 19, 2013 Remand Decision and ordered another decision that more
explicitly discusses Dr. Sladky’s credibility and reliability. Id. at 484.

       Upon remand, the parties were again ordered to file briefs. Order, issued
May 27, 2014. The Secretary’s brief, as discussed more thoroughly in section II.A
below, focused more upon the reliability of Dr. Sladky’s opinions and less upon
the credibility of Dr. Sladky. Resp’t’s Resp., filed June 23, 2014. Mr. Contreras
                                            12
also filed a response. His primary argument was that “Dr. Sladky’s testimony must
be completely disregarded.” Pet’r’s Resp., filed July 21, 2014, at 1 (capitalization
changed without notation). This request from relief differed from the remedy
(increased scrutiny) for which Mr. Contreras previously advocated. See Pet’r’s
Reply, filed Aug. 13, 2013, at 34.10 Mr. Contreras argued that the result in his case
should match the outcome in Raymo. Pet’r’s Resp., filed July 21, 2014, at 3.
Beyond citing Raymo, Mr. Contreras did not cite other cases, not even Roberts, a
case in which the special master considered Dr. Sladky’s evidence but found it
unpersuasive.

       Mr. Contreras’s July 21, 2014 response additionally discussed the
substantive issues in his case. For example, Mr. Contreras maintained that he
suffered from both Guillain-Barré syndrome and transverse myelitis. He also
argued that he had established that the hepatitis B vaccine caused his neurologic
injuries. Pet’r’s Resp., filed July 21, 2014, at 6-13.

       A status conference was held on July 30, 2014. The parties indicated that
they did not wish to submit additional information. Thus, the case is again ready
for adjudication.

       The remainder of this decision is organized into three large sections with
each section corresponding to a specific question the Court asked. The first section
addresses Dr. Sladky’s credibility and reliability. This section also encompasses
an evaluation of Mr. Contreras’s motion to strike Dr. Sladky’s evidence. The next
section compares Dr. Sladky’s credibility to other witnesses who testified either by
affidavit or in person. The third section assumes that Dr. Sladky’s evidence is not
part of the case and evaluates the remaining evidence. Before the conclusion, there
is a short section presenting “additional comments.”

II.    Dr. Sladky’s Credibility and Reliability

       A.     Background, including Court’s Instructions and Parties’
              Arguments

       After the Secretary disclosed Dr. Sladky’s alcohol problem and consequent
licensing problems in Georgia, Mr. Contreras discovered the additional

       10
         Mr. Contreras could justify his changed position because the Court’s June 16, 2014
Opinion and Order revealed details about Dr. Sladky’s misrepresentations in other cases about
which Mr. Contreras was previously uninformed.

                                                  13
misrepresentation on Dr. Sladky’s CV concerning the expiration of his
Pennsylvania license. See Pet’r’s Status Rep’t, filed May 10, 2013. Mr. Contreras
concluded his submission by arguing that his testimony should be “scrutinized and
diminished.” Id. at 10.

      The Remand Decision stated that Dr. Sladky’s opinion retained “some
value” (page 7) and added, in the context of the discussion regarding timing, “the
problems in Dr. Sladky’s licensing and the non-disclosure of these problems ha[ve]
minimal effect on this case.” Contreras 3, slip op. at 7, 71 n.51, 2013 WL
6698382, at *55 n.51. The Court held that this assessment was “ambiguous.”
Contreras 4, 116 Fed. Cl. at 481.

        In directing the scope of the remand, the Court stated the special master
“must first determine whether or not Dr. Sladky is a credible witness providing
reliable opinions.” Id. at 483. The Court ordered the special master to “provide an
unambiguous estimation of Dr. Sladky’s credibility and reliability as an expert.”
Id. at 484. The Court instructed:

             A distinction should be drawn between the content of Dr.
             Sladky’s opinions, which may match the special master’s
             view of the case, and the credibility of Dr. Sladky as an
             expert who provided two expert reports and testimony in
             this case. In essence, the question of credibility focuses
             on whether Dr. Sladky was a reliable source of expert
             opinion, not whether his opinions . . . were persuasive.

Id. at 484 n.12 (emphasis in original). Further, it appears that the Court expects
that Dr. Sladky’s credibility will be evaluated before the substance of his opinion is
weighed because, it appears, that if Dr. Sladky is not credible as a person, then his
opinion would be rejected entirely.

       The Secretary’s most recent brief seems to miss this distinction between the
credibility of a person and the reliability of the opinion a person offers. The
Secretary asserted that “[i]n assessing the credibility of an expert witness, factors
such as education, board certification, academic achievements, publications and
clinical experience are relevant.” Resp’t’s Resp., filed June 23, 2014, at 4. These
factors, in the Secretary’s view, are also relevant in determining “whether the
expert possesses the underlying expertise to render an accurate and reliable
opinion. . . . No matter how qualified an expert is, his opinion is only as reliable as
the underlying scientific principles on which he relies.” Id. The Secretary’s

                                              14
confusion between credibility and reliability is also evident later when the
Secretary argued that “[i]n assessing the credibility and reliability of Dr. Sladky’s
opinion in unambiguous terms, an emphasis should be placed on Dr. Sladky’s
professional qualifications and experience to offer a reliable opinion.” Id. at 8.

        What is missing from the Secretary’s list of factors to consider in assessing
a person’s credibility is, perhaps, the most basic aspect. Did the person understand
and appreciate the oath obliging him (or her) to tell the truth? To place this factor
in context with a factor that the Secretary cited (education), does Dr. Sladky’s
graduation from Yale University affect his ability to speak honestly? The
Secretary does not grapple with the tension between misleading testimony
regarding qualifications and accurate testimony regarding other topics, such as the
significance of medical articles. At best, the Secretary conceded that “Respondent
does not dispute Dr. Sladky’s decision not to be forthcoming with the professional
ramifications of his alcoholism raises legitimate concerns regarding his
credibility.” Id. at 3. In this characterization, the Secretary skips past the Court’s
strong admonishments.11

       In contrast, Mr. Contreras’s post-remand submission describes Dr. Sladky’s
misrepresentations. In his post-remand view, Mr. Contreras argues that “the only
remedy is to disregard his entire testimony.” Pet’r’s Resp., filed July 21, 2014, at 5
(emphasis omitted). In support, Mr. Contreras cites Raymo, a case in which the
chief special master refused to give weight to Dr. Sladky’s evidence.

       While the Secretary can be faulted for not paying sufficient attention to Dr.
Sladky’s misconduct, Mr. Contreras goes to the other extreme. In his view, the
“only” penalty for an expert’s misrepresentations in qualifications is disregarding
the testimony entirely. However, this absolute consequence is not required in all
cases. Striking testimony from an expert who misrepresented his (or her)
background may be an appropriate penalty in some cases, but it is not the singular

       11
           The Court commented “Dr. Sladky was not candid about the events chronicled here
with either respondent’s counsel or the court. . . . Dr. Sladky’s curriculum vitae misrepresented
the state of his medical licensure at all times relevant to this litigation.” Contreras 4, 116 Fed.
Cl. at 476 (emphasis in original). “Thus, the expert report filed by Dr. Sladky in 2005 was
supported by an inaccurate and misleading CV.” Id. at 477. “Here, Dr. Sladky’s inaccurate CV
prevented the special master and petitioner from ascertaining the true nature of Dr. Sladky’s
medical practice and credentials at the times he opined as an expert in this case.” Id. “Dr.
Sladky’s testimony, like his CV, failed to fully represent the existing state of his credentials and
the existing conditions of his medical practice.” Id. at 479. Dr. Sladky’s testimony about the
nature of his practice “is misleading.” Id.

                                                     15
appropriate response. For example, in a case not involving Dr. Sladky, the
Secretary’s cross-examination revealed instances of an expert’s “resume padding,”
yet the special master proceeded to analyze the substance of the expert’s opinion.
Snyder v. Sec'y of Health & Human Servs., No. 01-162V, 2009 WL 332044, at
*14-15, *52 (Fed. Cl. Spec. Mstr. Feb. 12, 2009), mot. for rev. denied, 88 Fed. Cl.
706, 744 n.65 (2009). In addition, as discussed by the Court, in Roberts, the
special master did not strike Dr. Sladky’s testimony. Instead, the special master
described Dr. Sladky’s opinion as “questionable” and found the petitioners’ experts
more reliable and persuasive. Contreras 4, 116 Fed. Cl. at 481 (citing Roberts,
2013 WL 5314698, at *9). Mr. Contreras does not present any reasoned basis for
preferring the outcome in Raymo, rather than the outcome in Roberts.

      B.     Standards for Adjudication

       A survey of cases from other jurisdictions suggests that admitting evidence
relating to an expert witness’s failure to disclose problems with licensing tends to
be a question for the trial judge to consider as a matter of discretion. See George
L. Blum, Annotation, Propriety of questioning expert witness regarding specific
incidents or allegations of professional conduct or professional negligence, 11
A.L.R. 5th 1 (1993). For example, appellate courts have held cross-examination
about the expert’s record before a disciplinary board to be improper. Foley v. Mad
River Internal Med., No. 2006-311, 2007 WL 5313351 (Vt. 2007) (exclusion of
evidence sustained as within trial court’s discretion); Tormey v. Trout, 748 So.2d
303 (Fla. Dist. Ct. App. 1999) (finding admission of testimony to be harmless
error); Poole v. Univ. of Chicago, 542 N.E.2d 746, 750-51 (Ill. App. Ct. 1989)
(ordering new trial). Similarly, a district court acts within its discretion to exclude
testimony about misrepresentations in qualifications about a doctor in a
malpractice trial. White v. United States, 148 F.3d 787, 791-92 (7th Cir. 1998).

      At the other end of a spectrum are cases in which courts have reasoned that
experts who misrepresent their qualifications should not be permitted to testify at
all. Hamilton v. Negi, No. 09-CV-0860, 2012 WL 1067857 (W.D. La. Mar. 15,
2012) (magistrate recommendation). A case that approved this result is In re
Unisys Savings Plan Litig., 173 F.3d 145 (3d Cir. 1999).

      In Unisys, the plaintiffs alleged that their employer breached its fiduciary
duty as prescribed by the Employee Retirement Income Security Act of 1974. The
case was tried to the district court, not to a jury. The district court excluded the
testimony of the plaintiff’s proposed expert for three reasons, one of which was the
expert had testified untruthfully about his credentials during voir dire. Id. at 156.

                                             16
The three-judge panel of the Third Circuit split in its review of the decision to
exclude the plaintiff’s witness.

       The majority of the panel affirmed the district court’s decision to exclude the
testimony as within the trial court’s discretion. The majority reasoned that the fact
that the district court was acting as both the gatekeeper who admits expert
testimony and the finder of fact which weighs expert testimony was significant.
Once the district court judge found that he could not find the expert’s testimony
credible, the judge was not required to hear “the witness’s direct examination,
cross-examination, and rebuttal examination in an extended trial when [the judge]
knew that he would only reject it as unbelievable.” Id. at 157.

       Chief Judge Becker dissented from the ruling regarding the admissibility of
the expert’s testimony. Chief Judge Becker distinguished two aspects of
reliability. In his view, the reliability of an expert’s opinion under Daubert
concerns the expert’s methodology. “Credibility plays no appropriate part in the
analysis of the reliability of a proposed expert’s methodology.” Unisys, 173 F.3d
at 166 (citing Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 579, 593-94
(1993)). Because, according to the dissent, the expert’s methodology was
otherwise appropriate, the district court should have admitted the testimony. Chief
Judge Becker asserted “that there is a reasonable chance that, if the District Court
had given [the expert] the opportunity to present his testimony in full, it would
have found him to be a credible witness.” Id. at 173.

       As noted, Chief Judge Becker’s Unisys opinion was a dissent. However, in
the next year, he wrote for a unanimous panel that reviewed a district court’s
decision to admit expert testimony in a case tried to a jury. Elcock v. Kmart Corp.,
233 F.3d 734 (3d Cir. 2000). The Third Circuit held that the district court erred in
admitting the expert’s testimony without conducting a Daubert hearing to address
the reliability of the expert’s testimony because of concerns about the expert’s
methodology. As guidance for the remand, the Third Circuit also discussed
whether the expert’s dishonesty should affect the reliability inquiry. (The expert
had pleaded guilty to embezzlement and knowing conversion of federal property.)
The Third Circuit held “in reaching our conclusion about the reliability of [the
expert’s] methods, we do not consider evidence regarding [the expert’s] credibility,
or his alleged character for untruthfulness.” Id. at 750. The Third Circuit declined
to follow the outcome of Unisys because, in part, the finder of fact in Elcock was a
jury, not a judge. Id. at 751. The District Court retained discretion to limit the
cross-examination about the details about the expert’s acts of dishonesty in front of
the jury.

                                             17
        The approach taken in Elcock has been used frequently. In several cases, the
trial court has permitted the expert to testify, has allowed the opposing side to
cross-examine the expert about the professional misconduct (and the failure to
disclose the misconduct), and expected that the finder of fact might consider the
misconduct. See, e.g., Pikas v. Williams Companies, Inc., No. 8-CV-101, 2013
WL 622234 (N.D. Okla. 2013) (despite actuary’s misrepresentation in his
qualifications, his declarations would be considered); In re Heparin Prod. Liab.
Litig., 803 F.Supp. 2d 712, 752 (N.D. Ohio 2011) (an expert who misrepresented
his qualifications would not be excluded but the jury would be instructed that it
may give his opinions greater scrutiny), aff'd sub nom. Rodrigues v. Baxter
Healthcare Corp., 567 F. App'x 359 (6th Cir. 2014); Fitzpatrick v. Teleflex, Inc.,
763 F.Supp. 2d 224, 236 (D. Me. 2011) (finding that the proffered person remains
an expert in accounting despite having his CPA license revoked and stating that if
the expert “testifies the factfinders will be allowed to hear about [his] difficulties
with the licensing authority and that in spite of his license being suspended, he
described himself as a CPA. A factfinder might well decide to give his opinion
little weight in light of his professional difficulties, or not”). On appeal, this
approach has been recognized as within the trial court’s discretion. Creighton v.
Thompson, 639 N.E.2d 234, 239-40 (Ill. App. Ct. 1994) (distinguishing Poole).
Notably, even the majority of the Third Circuit in Unisys recognized that
“‘appellate decisions affirming the trial court [regarding the qualifications of an
expert witness] do not necessarily stand for the proposition that the opposite ruling
would constitute error.’” In re Unisys, 173 F.3d at 157 n.17 (quoting Hanson v.
Baker, 534 A.2d 665, 667 (Me. 1987)).

       Here, the Remand Decision attempted to follow the course for which Chief
Judge Becker advocated. Because Mr. Contreras had not filed a motion to strike
Dr. Sladky’s evidence and merely argued that this evidence receive greater
scrutiny, an explicit assessment about the admissibility of his testimony seemed
unnecessary. Therefore, the Remand Decision weighed the evidence coming from
Dr. Sladky. See 42 U.S.C. § 300aa—13 (directing special master to make decision
upon the entire record).

       After the second remand, the status of Dr. Sladky’s evidence has changed in
two respects. First, the Court independently investigated Dr. Sladky’s disclosures
in other Vaccine Program cases, including Crosby v. Sec'y of Health & Human
Servs., No. 07-799V, 2012 WL 3758430 (Fed. Cl. Spec. Mstr. June 19, 2012).

                                             18
Contreras 4, 116 Fed. Cl. at 478.12 Second, Mr. Contreras has now argued for the
striking of Dr. Sladky’s evidence. Pet’r’s Resp., filed July 21, 2014, at 1.

      The Court’s instructions included a direction that “the special master must
address Dr. Sladky’s credibility and reliability in light of the consistent pattern of
misrepresentations by Dr. Sladky in his work as an expert for respondent and
provide an unambiguous estimation of Dr. Sladky’s credibility and reliability as an
expert.” Contreras 4, 116 Fed. Cl. at 484. The Court appears to have adopted,
implicitly, the views of the trial court and panel-majority from Unisys --- some
expert witnesses may be so untruthful that they cannot be trusted in any respect.
Nonetheless, the Court recognized that the initial evaluation of the expert’s
credibility and reliability is for the special master. Id. at 484 (citing Piscopo v.
Sec’y of Health & Human Servs., 66 Fed. Cl. 49, 53 (2005)).

       C.      Assessments

      The Court has ordered evaluations of two aspects of Dr. Sladky, his
credibility and his reliability. The following sections attempts to respond to the
Court’s instructions regarding credibility and reliability.

               1.     Credibility

      As suggested earlier, the parties’ briefs concerning the standards by which to
evaluate an expert’s credibility were not particularly helpful. The Secretary’s brief
tended to focus on factors that contribute to the expert’s reliability and
persuasiveness, while ignoring the factors that concern truthfulness. Mr.
Contreras, in turn, seemed to assume that once Dr. Sladky’s pattern of misconduct
was revealed, the sanction of striking his testimony would follow as a matter of
rote.

       12
           Coincidentally, one issue in Crosby resembles an issue Mr. Contreras’s case. As a
preliminary matter, the special master determined that the vaccinee (a child) started to experience
symptoms of transverse myelitis one day after vaccination. Crosby, 2012 WL 3758430, at *5.
The ensuing question, which matches a question in the case at hand, was whether 24 hours was a
sufficient amount of time for the vaccine to have caused transverse myelitis. Based upon the
evidence presented, the special master found “that 96 hours was the minimum amount of time
necessary for an adaptive immune response, which is the type of immune response petitioner
alleged caused the [transverse myelitis]. This evidence was agreed to by petitioner’s own
immunologist … [who] specifically testified that onset within 24 hours would not be an
appropriate time frame.” Id.

                                                   19
       Neither party identified any Federal Circuit decisions addressing how a trial
court should respond to the revelation that an expert misrepresented his
qualifications. Independent research also has not discovered any Federal Circuit
cases. On the topic of the credibility of expert witnesses more generally, the
Federal Circuit has given limited, and arguably inconsistent, guidance.13 The
Federal Circuit has explicitly recognized that a “finder of fact has to make the
effort to decide which side has the stronger case. This can be based on the
demeanor of the witnesses (if so, the trial judge should say) or the intellectual
strength of the evidence based thereon.” Andrew Corp. v. Gabriel Elec., Inc., 847
F.2d 819, 824 (Fed. Cir. 1988) (quoting United States v. Gen. Motors Corp., 561
F.2d 923, 933 (D.C. Cir. 1977)).

      In a trial before the court, the right of a judge to weigh the expert’s
credibility was implicitly recognized in Energy Capital Corp. v. United States, 302
F.3d 1314 (Fed. Cir. 2002). The Federal Circuit stated: “As for the relative weight
given to both sides’ expert witnesses, we accord the trial court broad discretion in
determining credibility because the court saw the witnesses and heard the
testimony.” Id. at 1329.

      Consistent with those cases, which concerned judges as finders of fact, the
Federal Circuit has accepted a special master’s reliance upon an expert’s
credibility. The Federal Circuit commented:

               Summarizing his assessment of the experts’ testimony on
               the issue of causation, the special master credited Dr.
               Snyder's evidence, but found the testimony given by Dr.
               Conkling and Dr. Lewis “unpersuasive.” Those findings,
               which are at the core of the special master's decision in
               this case, are largely based on his assessments of the
               credibility of the witnesses and the relative

       13
          Some of the inconsistency may stem from imprecision in the term “credibility.” See
Isaac v. Sec'y of Health & Human Servs., No. 08-601V, 2012 WL 3609993, at *19 (Fed. Cl.
Spec. Mstr. July 30, 2012) (stating “[w]hat is meant by credibility in the Vaccine Program is not
coextensive with the concept of reliability as applied to fact witnesses in a conventional trial
setting. In the Vaccine Program, the concept is closer to reliability than believability”) (footnote
omitted), mot. for rev. denied, 108 Fed. Cl. 743, aff’d without op., 540 Fed. Appx. 999 (Fed. Cir.
2013); cf. Haebe v. Dep’t of Justice, 288 F.3d 1288, 1300 (Fed. Cir. 2002) (noting imprecision in
the use of “deference” as it relates to “concepts of credibility and demeanor”).

                                                    20
             persuasiveness of the competing medical theories of the
             case.

Lampe v. Sec'y of Health & Human Servs., 219 F.3d 1357, 1361-62 (Fed. Cir.
2000) (affirming a judgment denying compensation because the special master’s
determinations are “virtually unchallengeable on appeal”).

       But, the Federal Circuit’s resolution of Lampe included a dissenting opinion
from Judge Plager. Although acknowledging that “evaluations of credibility are
‘virtually unreviewable,’” the dissent asserted that “credibility is not really the
issue in this case.” Id. at 1373 (Plager, J., dissenting) (citation omitted). The
dissent proposed that the special master’s finding that petitioner’s experts were not
persuasive was arbitrary and capricious. Id. at 1374 (“my quarrel is with the
special master’s evaluation of the evidence”).

       The Federal Circuit again discussed an expert’s credibility in a 2009 case
originating in the Vaccine Program. In that case, the special master found that
petitioners were not entitled to compensation for three reasons: “(A) conflicts
between [the child’s] clinical presentation and Dr. Tornatore’s [(the petitioners’
expert)] theory; (B) the weight of the medical research showing no connection
between DPT and afebrile seizures; and (C) my assessment of witness credibility.”
Andreu v. Sec’y of Health & Human Servs., No. 98-817V, 2008 WL 2517179, at
*5 (Fed. Cl. Spec. Mstr. May 29, 2008). When the case reached the Federal
Circuit, it stated, “[t]he special master framed her rejection of [petitioners’
expert’s] theory of causation under the rubric of a ‘credibility’ determination.”
Andreu v. Sec'y of Health & Human Servs., 569 F.3d 1367, 1379 (Fed. Cir 2009).

       The Federal Circuit held that this was an error because special masters may
not disguise an “erroneous legal standard” as a “credibility determination”
regarding an expert witness. Id. The dissent from Lampe was the sole authority
cited in support for the conclusion that a “trial court makes a credibility
determination in order to assess the candor of a fact witness, not to evaluate
whether an expert witness’ medical theory is supported by the weight of
epidemiological evidence.” Andreu, 569 F.3d at 1379. After identifying this error,
the Federal Circuit reviewed the evidence, found “the totality of the evidence . . .
sufficient to meet the Vaccine Act’s preponderant evidence standard,” and ruled
the petitioners were entitled to compensation, reversing the Court’s judgment,
based upon the special master’s dismissal. Id. at 1382.

                                            21
       The Federal Circuit’s reversal in Andreu led to a conclusion that special
masters should not consider an expert’s credibility. See Rotoli v. Sec’y of Health
& Human Servs., 89 Fed. Cl. 71, 80-81 (2009), rev’d on this ground sub nom.
Porter v. Sec'y of Health & Human Servs., 663 F.3d 1242 (Fed. Cir. 2011). But,
interpreting Andreu to mean that special masters may never consider an expert’s
credibility was held to be too extreme. The Federal Circuit explained:

             [T]he Claims Court read Andreu to mean that it is
             inappropriate for a special master to consider a
             petitioner's expert's credibility in evaluating a petitioner's
             showing of causation in fact.

             The Claims Court's reading of Andreu is incorrect.
             Indeed, this court has unambiguously explained that
             special masters are expected to consider the credibility of
             expert witnesses in evaluating petitions for compensation
             under the Vaccine Act.

Porter, 663 F.3d at 1250. In this context, the Federal Circuit discussed opinions
issued after Andreu, including Moberly, 592 F.3d at 1325, and Broekelschen, 618
F.3d at 1347. Porter, 663 F.3d at 1250 (citing Andreu, 569 F.3d at 1379; Moberly
v. Sec'y of Health & Human Servs., 592 F.3d 1315, 1325 (Fed. Cir. 2010); and
Broekelschen v. Sec'y of Health & Human Servs., 618 F.3d 1339, 1347 (Fed. Cir.
2010)).

        Nevertheless, after Moberly and Porter, special masters rarely comment
directly on an expert’s credibility (in the sense of truthfulness) for several reasons.
First, special masters may be faulted, after Andreu, of using credibility to escape
appellate review. Second, the experts usually appear to be speaking honestly.
Although the experts have differences in opinions and reach different conclusions,
those disagreements frequently appear to be caused by differences in backgrounds
and philosophies. In these circumstances, there is little to be gained by stating that
each expert testified truthfully. Third, special masters generally respect the experts
and appreciate their willingness to participate in the Vaccine Program. This
gratitude typically extends even to those experts whom special masters do not find
persuasive. Thus, special masters are often reluctant to criticize an expert on a
personal level, such as by saying the expert appeared to be lying or misleading.
But, when the special master needs to tell it like it is, the special master will
describe instances of dishonest conduct. See King v. Sec'y of Health & Human
Servs., 03-584V, 2011 WL 5926126, at *12 (Fed. Cl. Spec. Mstr. Sept. 22, 2011)

                                              22
(citing cases involving Dr. Mark Geier); Baker v. Sec'y of Health & Human Servs.,
No. 99-653V, 2003 WL 22416622, at *33-36 (Fed. Cl. Spec. Mstr. Sept. 26, 2003)
(Dr. John Barthelow Classen), mot. for rev. denied, 61 Fed. Cl. 669 (2004), appeal
dismissed, 112 Fed. Appx. 35 (Fed. Cir. 2004); Mahaffey v. Sec'y of Health &
Human Servs., No. 01-392V, 2003 WL 22424989, at *12 (Fed. Cl. Spec. Mstr.
May 30, 2003), aff’d on other grounds, 368 F.3d 1378 (Fed. Cir. 2004).

       The revelation that Dr. Sladky was not forthright in disclosing his Georgia
licensing problems places Mr. Contreras’s case among the minority of cases in
which the expert’s credibility (again, in the sense of truthfulness) is a factor. A list
of factors to consider in evaluating whether a person speaks credibly (or honestly)
is based upon jury instructions. These factors include: “(1) the witness’s
demeanor; (2) the witness’s motives, biases, interests, and prejudices; (3) whether
the witness is contradicted by prior inconsistent statements or by other evidence;
(4) the reasonableness of the witness’s testimony, in light of other evidence; and
(5) any other factors that bear on believability.” Hennessey v. Sec'y of Health &
Human Servs., No. 01-190V, 2009 WL 1709053, at *43 n.136 (Fed. Cl. Spec.
Mstr. May 29, 2009), mot. for rev. denied, 91 Fed. Cl. 126 (2010). This list of
factors to consider in evaluating the credibility of an expert witness from
Hennessey is very similar to the Merit System Protection Board’s list of factors to
consider in evaluating the credibility of a percipient witness. The MSPB’s factors
are

               (1) The witness's opportunity and capacity to observe the
               event or act in question; (2) the witness's character; (3)
               any prior inconsistent statement by the witness; (4) a
               witness’s bias, or lack of bias; (5) the contradiction of the
               witness’s version of events by other evidence or its
               consistency with other evidence; (6) the inherent
               improbability of the witness’s version of events; and (7)
               the witness’s demeanor.

Hillen v. Dep’t of the Army, 35 M.S.P.R. 453, 458 (1987), quoted in Haebe, 288
F.3d at 1301 n.30. By these standards, Dr. Sladky was credible at times and not
credible at other times.14

       14
          To be more precise, “credibility” in this context is roughly synonymous with honesty.
“Credibility” also has a measure of accuracy, attention to detail, forthrightness, and impartiality.

                                                     23
         The evidence has revealed four instances where Dr. Sladky was not truthful
and all relate to his background. Presented in chronological order, beginning with
the earliest, these events occurred as follows. First, Dr. Sladky did not change his
CV to note that his license to practice medicine in Pennsylvania had expired
although Dr. Sladky changed his CV in other respects. Second, Dr. Sladky’s
alcoholism led to issues at the Georgia State Medical Board.15 Third, Dr. Sladky
failed to disclose the loss and restriction of his license. Fourth, Dr. Sladky testified
misleadingly about the nature of his practice.

      This list also roughly corresponds to the degree of severity. Dr. Sladky’s
alcoholism does not, by itself, reduce Dr. Sladky’s credibility. The issues that
underlie Dr. Sladky’s alcoholism are not necessarily the same as an inability or an
unwillingness to speak truthfully. See Settle v. Basinger, No. 11CV1342, 2013
COA 18, ¶ 81-86, 2013 WL 781110, at *11-12 (Colo. App. Feb. 28, 2013), cert.
denied, 2013 WL 6804561 (Colo. 2013); State v. Porter, 738 A.2d 1271, 1274
(N.H. 1999). The problem, however, is that Dr. Sladky did not disclose how his
alcoholism affected his medical license.

        The lack of disclosure (the third event) more significantly reduces Dr.
Sladky’s credibility than the mistake in Dr. Sladky’s CV (the first event). Dr.
Sladky should have indicated that his license to practice medicine in Pennsylvania
expired. His failure to show the correct status of his license was an error. But, the
error still appears to be an oversight, not an intentional effort to mislead the parties,
the undersigned, or the Court. The basis for this conclusion is that Dr. Sladky
would be unlikely to believe that the Secretary or he would gain any advantage in
litigation because he was licensed to practice medicine in two states (Pennsylvania
and Georgia), rather than one state (Georgia). The Court found that Dr. Sladky did
not correct the status of his Pennsylvania license in his CV submitted in other
cases, despite updates in other respects. Contreras 4, 116 Fed. Cl. at 478. This is
true. Nevertheless, this pattern does not show an intent to deceive. The pattern is
consistent with an oversight that remains unnoticed (and, therefore, uncorrected).16
If Dr. Sladky’s only fault were a misstatement about his licensure status in one
jurisdiction, he would be found credible to testify.

       15
          A sequence of events took place before the Georgia Board: a voluntary relinquishment
of Dr. Sladky’s license for a time, a suspension of his license, and the restoration of the license
with conditions. All these problems seem to flow from his alcoholism.
       16
          If an error in an expert’s CV were called to the expert’s attention and the expert did not
correct the error, the inference of intent to deceive could be found more readily.

                                                    24
       However, as discussed at length, Dr. Sladky’s mistakes did not end with the
expired Pennsylvania license. He also failed to disclose that his Georgia license
was voluntarily relinquished, suspended, and restored on a probationary basis.
District courts, usually in the context of cases being tried to a jury, have not always
excluded the expert’s testimony due to misrepresentations in the proposed expert’s
qualifications. Instead, the district court has admitted the testimony, allowed
cross-examination, and left the finder of fact to weigh the expert’s testimony.
White, 148 F.3d at 791-92 (finding doctor’s credibility was a collateral issue);
Fitzpatrick, 763 F.Supp. 2d at 236 (finding expert remained qualified due to
experience); Pikas, 2013 WL 622234, at *2 (court considered declaration of
actuary when it ruled on damages issues).

       Unlike the situation regarding the Pennsylvania license, Dr. Sladky’s lack of
disclosure for Georgia problems appears to be intentional. Dr. Sladky could easily
have understood that a doctor’s experience in treating patients may affect how a
special master evaluates testimony from that doctor. For example, a neurologist
with 15 years of experience may be more readily accepted than a neurologist with
only 5 years of experience. In not being forthcoming about his licensing issues in
Georgia, Dr. Sladky was implicitly representing himself as a doctor with
experience in neurology since at least 1983, when he received his board
certification. See exhibit J (CV) at 3. However, as the Court calculated, he could
not practice medicine for 15 and a half months. Contreras 4, 116 Fed. Cl. at 479.
Thus, he did not really have the experience he claimed.

       In addition, the loss of his license leads to questions about why it was lost.
If the Georgia State Medical Board suspended Dr. Sladky’s license due to errors in
treating patients, then this disciplinary action would undermine Dr. Sladky’s
medical knowledge. It is relatively easy to find that Dr. Sladky feared answering
questions about why he lost his license and his fear motivated him to do what he
could to avoid answering those questions. What Dr. Sladky did to protect himself
was to remain silent. This was an error on Dr. Sladky’s part and this error appears
to be intentional.

       The final factor weighing against Dr. Sladky’s credibility was his testimony
regarding his practice. He, again, did not disclose his Georgia licensure problems.
The Court found “Dr. Sladky’s testimony was misleading as to his experience and
qualifications to testify as an expert.” Contreras 4, 116 Fed. Cl. at 479.

      On the basis of these four factors, the chief special master in Raymo found
that Dr. Sladky “demonstrated a lack of candor that, although not related directly to

                                             25
the substance of [his] causation opinions, reflect[s] [a] willingness to, at the very
least, shade the truth.” Raymo, 2014 WL 1092274, at *16. Thus, the chief special
master in Raymo found that Dr. Sladky’s testimony should not be credited in any
respect and did not further analyze the substance of his testimony.

        Given that Dr. Sladky testified in Mr. Contreras’s case, it is appropriate to
review the remainder of his testimony to look for places when he could be viewed,
in the words of the chief special master in Raymo, as shading the truth. See In re
Unisys, 173 F.3d at 173 (Becker, C.J., dissenting) (“there is a reasonable chance
that, if the District Court had given [the expert] the opportunity to present his
testimony in full, it would have found him to be a credible witness”). The
remainder of Dr. Sladky’s testimony should be considered in evaluating his
credibility because special masters should consider the entire record in making a
decision. 42 U.S.C. § 300aa—13.

       Does Dr. Sladky’s substantive testimony demonstrate other examples of
presenting something other than the truth, the whole truth, and nothing but the
truth? Apart from the aspect of his testimony concerning his personal
qualifications, Dr. Sladky appeared accurate, honest, and forthcoming. Dr. Sladky
was accurate, for instance, in 2005, when he cited the 1994 IOM report for the
proposition this group of scientists found that the minimum amount of time for an
immune-mediated response is 5 days. Exhibit I at 3. The IOM actually does assert
“a conservative estimate of the limits of the latencies for both GBS and ADEM is
conserved to be from 5 days to 6 weeks.” Exhibit F at 45. Dr. Sladky’s reliance
on the 1994 IOM report does not appear to constitute an attempt to mislead the
special master or to shade the truth.

      Moreover, Dr. Sladky was forthcoming in his substantive opinion. He was
not adverse to everything Mr. Contreras asserted. For example, Dr. Sladky
conceded that he did not identify any factor that could have caused Mr. Contreras’s
transverse myelitis. Tr. 299, 351. Dr. Sladky maintained that Mr. Contreras’s
previous exposure to the Epstein Barr virus did not make Mr. Contreras vulnerable
to developing transverse myelitis. Tr. 301. These opinions helped Mr. Contreras
because they negated the possibility of the Secretary mounting a defense based
upon a factor unrelated to a vaccine caused the transverse myelitis.

      More significantly, Dr. Sladky assisted Mr. Contreras regarding Mr.
Contreras’s attempt to establish the first prong of Althen. Althen v. Sec'y of
Health & Human Servs., 418 F.3d 1274, 1278 (Fed. Cir. 2005). In the context of
considering whether a medical theory supported the claim that the hepatitis B

                                            26
vaccine can cause transverse myelitis, Dr. Sladky was asked about the factors from
Daubert. Dr. Sladky stated that he believed that a majority of neurologists would
accept that vaccines can cause transverse myelitis. Tr. 386. The Remand Decision
discussed this concession. Contreras 3, slip op. at 46, 2013 WL 6698382, at *36.

       For purposes of assessing Dr. Sladky’s credibility or his willingness to shade
the truth, it is important to recognize that Dr. Sladky was not compelled to opine
that the theory that vaccines can cause transverse myelitis is generally accepted.
He could have asserted that very few neurologists accepted this theory because
there was no way to verify Dr. Sladky’s assertion. This example demonstrates that
Dr. Sladky was willing to be honest about information that was detrimental to the
Secretary’s position on one occasion. Cf. Tr. 395 (Dr. Sladky testified that he
recommended that the Secretary compensate a petitioner in a case 12-13 years
earlier).

      For his substantive opinions, Dr. Sladky appeared credible. When asked on
cross-examination whether he tried to be “fair and straightforward with the Court
on what [he] saw and what [his] opinions are,” Dr. Sladky responded affirmatively.
Tr. 328. Notably, the Secretary queried whether Dr. Sladky interpreted a peer-
review article incorrectly. Resp’t’s Resp., filed June 23, 2014, at 8. Yet, given this
challenge, Mr. Contreras did not propose that Dr. Sladky misinterpreted an article.
Mr. Contreras did not identify any instances in which Dr. Sladky arguably
presented a shaded opinion in substance. See Pet’r’s Resp., filed July 21, 2014; at
1-5.

      On the whole, Dr. Sladky’s candor on substantive matters offsets his lack of
disclosures regarding personal matters. Dr. Sladky is sufficiently credible that his
testimony should be evaluated for its reliability.

               2.     Reliability17

       Within the Vaccine Program, the reliability of an expert’s opinion is often
analyzed using the Daubert factors. See Caves v. Sec’y of Health & Human
Servs., 100 Fed. Cl. 119, 133 (2011), aff’d per curiam, 463 Fed. Appx. 932 (Fed.
Cir. 2012). This evaluation is usually for petitioner’s expert because the petitioner
usually bears the burden of demonstrating the reliability of the opinion. The
Daubert factors include:

       17
          The reliability of Dr. Sladky’s opinion does not take into account the lack of
disclosures that diminish his credibility.

                                                    27
            (1) whether a theory or technique can be (and has been)
            tested; (2) whether the theory or technique has been
            subjected to peer review and publication; (3) whether
            there is a known or potential rate of error and whether
            there are standards for controlling the error; and, (4)
            whether the theory or technique enjoys general
            acceptance within a relevant scientific community.

Daubert, 509 U.S. at 592-95. Assessing the reliability of the expert’s opinion
usually includes considering the expert’s methodology. Gen. Elec. Co. v. Joiner,
522 U.S. 136, 146 (1998) (citing Daubert, 509 U.S. at 595).

      The Remand Decision analyzed all the evidence regarding the theory that the
hepatitis B vaccine can cause transverse myelitis via molecular mimicry.
Contreras 3, slip op. at 43-48, 2013 WL 6698382, at *34-38. However,
Contreras 3 did not separately evaluate Dr. Sladky’s opinion. Because the Court
has required an appraisal of Dr. Sladky’s “reliability,” this task is undertaken now
with respect to Dr. Sladky’s opinions regarding diagnosis, timing, and causation.
See Contreras 4, 116 Fed. Cl. at 484.

                   a)    Diagnosis

       From October 2005 through the April 20, 2010 hearing, Dr. Sladky opined
that Mr. Contreras suffered from transverse myelitis and only transverse myelitis.
The aspect of Dr. Sladky’s opinion that Mr. Contreras suffered from transverse
myelitis was not contested. The second MRI showed a lesion in Mr. Contreras’s
spinal cord, indicating inflammation in his spinal cord. Exhibit 7 at 177, 1723.
The consensus among the experts about transverse myelitis establishes the
reliability of Dr. Sladky’s opinion for transverse myelitis.

        The aspect of Dr. Sladky’s opinion that Mr. Contreras suffered from only
transverse myelitis (and not Guillain-Barré syndrome) is disputed. During this
litigation, Dr. Steinman and Dr. Poser revived Guillain-Barré syndrome. However,
a mere disagreement among experts does not necessarily make one expert’s
opinion unreliable. The opinion could be reliable but not persuasive.

      Here, Dr. Sladky followed an appropriate methodology in ruling out
Guillain-Barré syndrome as a diagnosis for Mr. Contreras. See Tr. 281-93. Mr.
Contreras did not present any persuasive evidence that Dr. Sladky deviated from
general medical practice by, for instance, using an outdated set of diagnostic

                                           28
criteria or ignoring test results.18 Dr. Sladky’s opinion regarding diagnosis is
reliable.

                       b)     Timing

       The next opinion from Dr. Sladky is an assertion that one day is not a
sufficient amount of time for a vaccine to cause a demyelinating disease. Dr.
Sladky expressed this opinion in his October 21, 2005 report (exhibit J at 4-5), in
his March 4, 2010 supplemental report (exhibit O at 2), and in his testimony on
cross-examination (Tr. 329).19

       A substantial amount of evidence supports the reliability of Dr. Sladky’s
opinion. The most important article is the 1994 report from the Institute of
Medicine (IOM). Exhibits A, F, and V. Cases from the Vaccine Program have
cited the 1994 IOM report because of the expertise of the contributors to the IOM
report and Congress directed the IOM to research the safety of vaccines as part of
the Vaccine Program. See Kelley v. Sec'y of Health & Human Servs., 68 Fed. Cl.
84, 91 n.11 (2005); Kuperus v. Sec'y of Health & Human Servs., No. 01-60V, 2003
WL 22912885, at *10 (Fed. Cl. Spec. Mstr. Oct. 23, 2003); White v. Sec'y of
Health & Human Servs., No. 98-426V, 2002 WL 1488764, at *6, *11 (Fed. Cl.
Spec. Mstr. May 10, 2002) (setting forth petitioner’s arguments and accepting
petitioner’s argument regarding timing); Exhibit C (Institute of Medicine,
Immunization Safety Review: Hepatitis B Vaccine and Demyelinating
Neurological Disorders (Kathleen Stratton et al., eds. 2002)) at 2 (discussing
congressional mandate for vaccine safety research).20

       18
           Dr. Sladky appears to have weighed results of some tests particularly the Babinski
reflex differently than Dr. Steinman. But, assigning different weights to a test is not the same as
ignoring the test.
       19
          The Secretary, on direct examination, elicited a small amount of testimony from Dr.
Sladky about the timing between vaccination and onset. Tr. 279-81, 310 (discussing rodent
studies).
       20
          For examples of appellate authorities endorsing a special master’s reliance on reports
from the IOM other than the 1994 report, see Porter, 663 F.3d at 1252-54 (2002 report); Cucuras
v. Sec'y of Health & Human Servs., 993 F.2d 1525, 1529 (Fed. Cir. 1993) (1991 report); Isaac v.
Sec'y of Health & Human Servs., 108 Fed. Cl. 743, 768-74 (2013), aff’d, 540 Fed. Appx. 999
(Fed. Cir. 2013) (2011 pre-publication report); Terran v. Sec'y of Health & Human Servs., 41
Fed. Cl. 330, 337 (1998) (1991 report and different 1994 report), aff’d, 195 F.3d 1302, 1317
(Fed. Cir. 1999).

                                                    29
      The 1994 IOM report stated that an immune-mediated response leading to a
demyelinating disease would take “5 days to 6 weeks.” Exhibit F at 45. The
Secretary cited the 1994 IOM report in her October 7, 2005 Rule 4 Report and Dr.
Sladky also cited it in his October 21, 2005 report. Exhibit J at 3.

       Given the pedigree of the IOM report, Dr. Sladky’s reliance on it means that
his opinion easily surpasses the minimum standards for reliability. A methodology
of relying upon the work from a set of extremely well-qualified experts is sound.
Mr. Contreras has not called into question the findings of the 1994 IOM panel by
challenging their credibility or expertise.21

       Other articles, although less prestigious than an IOM report, further buttress
the reliability of Dr. Sladky’s opinion regarding latency. Two articles collected
case reports of patients who developed neurological problems after vaccination.
One stated “[a]cute transverse myelitis . . . begins three to 14 days after an
antecedent immunization.” Exhibit 29 (L. Reik, Jr., Neurological complications of
immunization, 2 Neurology Infections & Epidemiology 69, 75 (1997)) at 7. In the
other case series, the minimum amount of time between vaccination and the onset
of neurologic symptoms was four days. Exhibit 34 (A. Tourbah et al., Encephalitis
after hepatitis B vaccination: Recurrent disseminated encephalitis or MS?, 53
Neurology 396 (1999)).

       For his opinion regarding timing, Dr. Sladky easily meets the Daubert
criteria for peer review and general acceptance. Thus, his opinion is reliable.

                     c)     Causation

       A third opinion offered by Dr. Sladky was that the evidence did not support
a finding that the hepatitis B vaccine can cause transverse myelitis. One reason
was that the epidemiological studies, such as Touze, that investigated a possible
connection between the hepatitis B vaccine and demyelinating diseases and found
none. See exhibit I at 4 (citing exhibit E (E. Merelli & F. Casoni, Prognostic
factors in multiple sclerosis: role of intercurrent infections and vaccinations against
influenza and hepatitis B, 21 Neurological Science S853 (2000)); exhibit G
(Emmanuel Touze et al., Hepatitis B Vaccination and First Central Nervous

       21
          In the context of cross-examining Dr. Whitton, who relied upon yet another IOM
report, Mr. Contreras suggested that the IOM required scientific certainty. Tr. 464-66.
However, Dr. Whitton understood that the standard for proof in the Vaccine Program is more
likely than not. Tr. 500.

                                                 30
System Demyelinating Event: A Case-Control Study, 21 Neuroepidemiology 180
(2002)); and exhibit H (Frauke Zipp et al., No increase in demyelinating diseases
after hepatitis B vaccination, 5(9) Nature Medicine 964 (1999)). In emphasizing
the results of epidemiologic studies, Dr. Sladky downplayed the significance of
case reports. Tr. 295-97.

      This methodology is reliable, both from a medical perspective and a legal
perspective. As discussed in the Remand Decision, Dr. Chen from the Centers of
Disease Control stated “[i]n the hierarchy of weight of scientific evidence, data
from well-designed randomized clinical trials clearly outweighs that from well-
controlled observational studies, which in turn, is hierarchically better than
uncontrolled observational studies, case series, and then finally, case reports.”
Exhibit 15 (Robert T. Chen et al., Epidemiology of Autoimmune Reactions
Induced by Vaccination, 16 Journal of Autoimmunity 309, 312 (2001)) at 4.
Similarly, the 2002 IOM panel placed little weight on case reports, commenting
“[c]ase reports are useful for describing the domain of concerns, but the data are
usually uncorroborated clinical descriptions that are insufficient to permit
meaningful comment or to contribute to a causality argument.” Exhibit C (2002
IOM) at 39. In addition, the Federal Judicial Center has published guidance to
judges, indicating that case reports are usually not sufficient to show causation.
David H. Kaye & David A. Freedman, Reference Guide on Statistics, in Reference
Manual on Scientific Evidence 211, 218 (Federal Judicial Center, 3d ed. 2011).
Thus, Dr. Sladky, in reaching his conclusion that the evidence does not show that
hepatitis B vaccine causes demyelinating diseases, followed an appropriate
methodology.22

                                            Overall

      Dr. Sladky satisfies the minimal standard for credibility. Dr. Sladky also
offered opinions based upon reliable methodologies. His opinions, therefore,
remain in the record and, to the extent that Mr. Contreras has argued that his
testimony should be stricken, Mr. Contreras’s request is denied.

       22
          Dr. Sladky’s methodology is appropriate for a doctor. The standards for this profession
differ from the standards special masters use in adjudicating claims. In the Vaccine Program, a
petitioner is not required to submit epidemiological studies, but when those studies are
submitted, the special master may consider them. Andreu, 569 F.3d at 1379.

                                                  31
III.   Comparisons

       The Court directed a second determination: “the special master must
compare Dr. Sladky’s credibility to the credibility of the experts for the petitioner
and the witnesses testifying for petitioner.” Contreras 4, 116 Fed. Cl. at 484. The
standards for reviewing an expert’s credibility were set forth in the preceding
section. See section II.B. The relevant factors include the testifying witness’s
demeanor. See Bailey v. United States, 54 Fed. Cl. 459, 461-63 (2002) (citing
cases), aff’d, 94 Fed. Appx. 828 (Fed. Cir. 2004). In accord with the Court’s
instructions, the following is an assessment of credibility listed from the least
credible to the most credible.

       Dr. Wagner: Dr. Wagner’s background indicates that he is knowledgeable
about emergency room medicine and the records created on June 17, 2003, show
that he used his skills to stabilize Mr. Contreras. Exhibit 13 (CV) at 13-19; exhibit
6 (medical records). His testimony about how he cared for Mr. Contreras largely
tracked the records from that time. Tr. 67-90. His testimony about Mr.
Contreras’s signs and symptoms and Dr. Wagner’s response to those signs and
symptoms was believable. There is no doubt that Dr. Wagner sincerely thought
that transverse myelitis, Guillain-Barré syndrome, and other diseases were
potentially affecting Mr. Contreras.

       Dr. Wagner’s differential diagnosis, although honest, is not worth as much
as the more definitive conclusion reached by Mr. Contreras’s treating neurologist,
Dr. Lake, that Mr. Contreras suffered from transverse myelitis and not Guillain-
Barré syndrome. Dr. Wagner’s opinion regarding diagnosis is discounted for two
reasons, neither of which implicates his credibility. First, Dr. Wagner saw Mr.
Contreras for approximately five hours. Tr. 91; see exhibit 6 at 9 (showing
examination time as 12:20); Tr. 67 (same); exhibit 6 at 5 (showing discharge time
as 4:59 P.M.). During this five-hour period, Mr. Contreras underwent one MRI.
However, after Mr. Contreras left Dr. Wagner’s hospital for a facility that provided
a higher level of care, Mr. Contreras had another MRI. See Tr. 89. This second
MRI, which Dr. Wagner never reviewed, was the basis for Dr. Lake’s conclusion
that Mr. Contreras suffered from transverse myelitis. See Tr. 84 (Dr. Wagner
acknowledging that an early MRI may not show transverse myelitis). The second
reason for crediting Dr. Lake’s opinion over Dr. Wagner’s opinion is that Dr. Lake
is a neurologist. She specializes in diseases that affect the nervous system, such as
transverse myelitis and Guillain-Barré syndrome. Thus, she had better information
about Mr. Contreras and is better qualified to interpret that information.

                                             32
      Although Dr. Wagner was credible but not persuasive in opining about Mr.
Contreras’s diagnosis, his opinion regarding etiology was much less credible. Dr.
Wagner is not a specialist is immunology or neurology, the two specialties most
relevant to Mr. Contreras’s claim. Tr. 90. In addition, Dr. Wagner displayed a
prejudice in favoring a claim that vaccines can cause harm. Dr. Wagner appeared
angry that a vaccine, given to him in the 1970’s, harmed him. Tr. 93.

       In addition, as noted in the Entitlement Decision, Dr. Wagner informed his
opinion that the hepatitis B vaccine harmed Mr. Contreras based on a review of
only the reports of Drs. Garrett and Steinman, and not those of Drs. Sladky or
Whitton. Contreras 1, 2012 WL 1441315, at * 22 (citing Tr. 97-98). This
selective review suggests that Dr. Wagner formed an opinion about causation and
then looked for support for that opinion. He did not consider an opposing
viewpoint. This lack of neutrality made Dr. Wagner appear to be more of an
advocate than an expert who sees his role as being one to help the finder of fact
make informed decisions. Special masters have given biased testimony from
experts less weight. Brousard-Pacot v. Sec'y of Health & Human Servs., No.
09-107V, 2012 WL 5357478, at *13 (Fed. Cl. Spec. Mstr. Sept. 4, 2012) (rejecting
testimony of expert who “reasoned backwards”); Isaac, 2012 WL 3609993, at *23
n.37 (“[t]o the extent that [petitioner’s expert’s] opinion appears to be that of a
partisan rather than an objective expert, his opinion carries less weight”); Hopkins
v. Sec'y of Health & Human Servs., No. 00-746V, 2007 WL 5403504, at *6 (Fed.
Cl. Spec. Mstr. Dec. 14, 2007) (citing position statement of American Academy of
Emergency Medicine that a member must “impartially assist the Court”), mot. for
rev. denied, 84 Fed. Cl. 517 (2008).

       This bias about the issues in Mr. Contreras’s case makes Dr. Wagner a
witness with less credibility than Dr. Sladky. Although Dr. Sladky was misleading
about his background, Dr. Sladky testified accurately about the issues in Mr.
Contreras’s case. Accurate testimony about the issues in the case is more
important to me than accurate testimony about a person’s background. Although
other finders of fact could reasonably weigh these factors differently, my sense is
that Dr. Wagner is less credible than Dr. Sladky.

      Dr. Sladky: The next witness in terms of credibility is Dr. Sladky. He was
deceptive with respect to his background but forthright on issues involving Mr.
Contreras.

                                            33
       Dr. Steinman: Dr. Steinman’s credibility has not been called into question
in the way that Dr. Sladky’s credibility has been diminished. There has been no
argument that he was deceptive or misleading about his background.

        Nonetheless, there are concerns about his credibility. Dr. Steinman’s
demeanor suggests that he saw his role as advocate for the party retaining him and
he, at times, used language to elicit an emotional response to favor Mr. Contreras.
Tr. 116, 155, 221 (“I’m trying to argue as strongly as I can”), 256, 262 (“I choose
to look at that part of the story to strengthen the case here for the Petitioner”), 535.
His interpretation of some articles seemed far-fetched and evidenced a willingness
to stretch to find some material to support his position.23 See Tr. 218-22. He was
not always precise in recounting what an experiment showed. See Tr. 243-49
(discussing exhibit 118 (Odoardi)).

      Dr. Steinman also was inconsistent at times. Within Mr. Contreras’s case,
Dr. Steinman’s opinion about race and ethnicity seemed to fluctuate, depending
upon whether the result helped or hurt Mr. Contreras. Dr. Steinman argued that
epidemiological studies like Zipp (exhibit H) and Touze (exhibit G), which made a
causal connection between vaccinations and neurologic disease less likely, could
not be applied to Mr. Contreras because of his Hispanic ancestry. Tr. 192. Yet,
Dr. Steinman drew upon case reports of injuries occurring after vaccination in non-
Hispanic people as well as the Bogdanos study (exhibit 61) that also did not
involve Hispanics. Tr. 193-95, 256 (discussing Dimitrios-Petrou Bogdanos et al.,
A study of molecular mimicry and immunological cross-reactivity between
hepatitis B surface antigen and myelin mimics, 12(3) Clinical & Developmental
Immunology 217 (2005). This inconsistent treatment diminishes Dr. Steinman’s
credibility to some degree.24

       23
           Another special master made a similar appraisal of Dr. Steinman’s approach to
litigation. See Mueller v. Sec'y of Health & Human Servs., No. 06-775V, 2011 WL 1467938, at
*19 n.19 (Fed. Cl. Spec. Mstr. Mar. 16, 2011) (“advocating a position is not credible”).
       24
           While the example of racial background occurred solely within Mr. Contreras’s case,
Dr. Steinman appears to have offered an opinion in Mr. Contreras’s case that is inconsistent with
opinions Dr. Steinman offered in other cases. Whether evidence from other cases may be a
factor in determining an expert’s credibility is unclear. The Court stated that “a special master
should not base his findings on causation-in-fact in one case on other Vaccine Act cases.”
Contreras 2, 107 Fed. Cl. at 308. The Court also considered Dr. Sladky’s CV in Crosby.
Contreras 4, 116 Fed. Cl. at 478.
                                                                                      (continued…)
                                                   34
      Dr. Poser: Dr. Poser submitted two affidavits and did not testify in person.
Thus, there was no opportunity to assess his demeanor.

       There is no evidence to suggest that Dr. Poser was deceptive about his
background or made assertions in his affidavits that he knew were untruthful. In
that sense, Dr. Poser was credible.

       On the other hand, Dr. Poser’s affidavits present generalities. For example,
although Dr. Poser recognized that the minimum time for an immune-mediated
reaction is usually five days, Dr. Poser also asserted that there would always be
people who react differently from the masses. Exhibit 23 at 3-4, ¶ 6. Dr. Poser did
not explain why an “outlier” could react in only one day. The lack of explicit
reasoning from Dr. Poser calls into question the reliability of his assertion. This
determination probably is better characterized as a lack of persuasiveness (as
opposed to a lack of credibility).

      Dr. Garrett: Dr. Garrett, like Dr. Poser, testified by affidavit. Since he did
not appear in person, there was no opportunity to observe his demeanor.

      Dr. Garrett appeared credible in his role as a treating doctor. When caring
for Mr. Contreras, he deferred to Dr. Lake’s opinion on diagnosis. Exhibit 7 at
136. He also refrained from speculating about the cause of Mr. Contreras’s
transverse myelitis when counseling Mr. Contreras’s parents. Id. at 147.

        If outside evidence were an appropriate source for finding inconsistent opinions, then
there would be more examples of Dr. Steinman’s inconsistency. Cf. Holmes v. Sec'y of Health
& Human Servs., 115 Fed. Cl. 469, 490-91 (2014) (suggesting, but not deciding, that a special
master may consider other cases’ determination of an expert’s reputation and credibility). In
other cases, Dr. Steinman has asserted that the time for a vaccine to cause an injury via
molecular mimicry is several days. Dillon v. Sec'y of Health & Human Servs., No. 10-850V,
2013 WL 3745900, at *9 (Fed. Cl. Spec. Mstr. June 25, 2013) (Dr. Steinman “observed that the
medically accepted time frame for the onset of a post-vaccinal transverse myelitis would be a
few weeks”); Brown v. Sec'y of Health & Human Servs., No. 09-426V, 2011 WL 5029865, at
*21 (Fed. Cl. Spec. Mstr. Sept. 30, 2011) (“Dr. Steinman accepts a causal interval of a week or
two up to 10 weeks”); Ricci v. Sec'y of Health & Human Servs., No. 99-524V, 2011 WL
2260391, at *12 (Fed. Cl. Spec. Mstr. May 16, 2011) (quoting Dr. Steinman as testifying that the
process of molecular mimicry can damage a part of the brain and cause a seizure “within a week.
A lot short than that, we could have problems making the argument”), mot. for rev. denied, 101
Fed. Cl. 385 (2011). When the Secretary asked about at least one of these instances on cross-
examination, Dr. Steinman requested an opportunity to review the transcript from his earlier
testimony. Tr. 202.

                                                  35
        In this litigation, Dr. Garrett opined that the hepatitis B vaccine caused Mr.
Contreras’s transverse myelitis. Dr. Garrett did not explain the reasoning for a
change in his views regarding etiology from first not knowing the cause, to then
identifying the vaccine as a cause. This lack of explanation undercuts Dr. Garrett’s
opinion. The Court has previously recognized that a special master may give less
weight to the statement of a treating doctor that is presented in the context of
litigation, especially when the treater’s statement “is devoid of any supporting
evidence.” Ruiz v. Sec'y of Health & Human Servs., No. 02-156V, 2007 WL
5161754, at *15 (Fed. Cl. Oct. 15, 2007).

       Like Dr. Poser, Dr. Garrett’s conclusion that one day is an appropriate
temporal interval was not persuasive. He appeared to use a methodology in which
he looked for examples (case reports) of demyelinating diseases that appeared after
vaccination. The problem, as discussed in the Remand Decision, is that none of
the case reports Dr. Garrett cites shows such a quick onset. Contreras 3, slip op. at
52, 2013 WL 6698382, at *41. The lack of corroboration from the material that
Dr. Garrett cited makes his opinion less persuasive, and maybe less credible.

      Dr. Kyazze: Dr. Kyazze appeared credible. He testified in accord with the
examination he conducted of Mr. Contreras on June 16, 2003. Exhibit 4 at 25; Tr.
43-52, 59-61 (indicating that Dr. Kyazze reviewed his records before testifying).

       Dr. Kyazze appeared to care that what he was saying was accurate. For
example, he stated that although some infections cause an increase in white blood
cells, not all infections do. Tr. 53.

      Similarly, he was not willing to exceed the basis of his knowledge. He
would not say that the vaccinations caused the transverse myelitis because he did
not know that assertion to be accurate. Tr. 56.

     Overall, Dr. Kyazze was a believable doctor. He testified about what he
knew and refrained from testifying about what he did not know.

      Dr. Whitton: Of all the testifying doctors, the most credible witness was
Dr. Whitton. His demeanor suggested that he undertook the role of an expert from
the perspective of someone who was asked to present a report. See Tr. 473. Dr.
Whitton, in contrast to Dr. Steinman, appeared interested in providing the most
accurate information, not the information that would help “his side” prevail.

      Dr. Whitton appeared to possess prudent judgment. For example, he
declined the position of editor for one important journal because he was already
                                             36
serving as an editor on another journal. Dr. Whitton did not want to hinder the
dissemination of multiple viewpoints. Tr. 410. Although he relied upon
epidemiological studies, he also appreciated that epidemiological studies are
limited. Tr. 469.

       Before concluding that one day was not a medically appropriate interval
from which to infer causation, Dr. Whitton reviewed Dr. Steinman’s reports and
the articles cited in those reports with care. Dr. Whitton appeared to look to see if
anything supported Dr. Steinman’s views. See Tr. 434-38, 473. Dr. Whitton
brought a positive tone to the hearings. See Tr. 435, 438 (complimenting the work
of Dr. Steinman and colleagues at Stanford and calling Drs. Steinman and Poser
“renowned” neurologists). This lack of bias contributed to Dr. Whitton’s extremely
high credibility.25

IV.    Adjudication after Excluding Dr. Sladky

      For the reasons explained in Section II, Dr. Sladky is sufficiently credible
and sufficiently reliable that his evidence should remain in the record. Thus, the
outcome of the Remand Decision, a denial of compensation, does not differ.

       Nonetheless, the Court’s third (and final) instruction was for the undersigned
to make alternative findings of fact without any consideration of Dr. Sladky’s
evidence. This section complies with the Court’s direction. The section begins
with the standards for adjudication, which are brief because they have been set
forth in earlier discussions and decisions in this case.

       Next, there are four sections corresponding to four aspects of Mr.
Contreras’s case: diagnosis, timing, theory, and logical sequence. For each of
these sections, the Remand Decision is summarized, highlighting the citations to
Dr. Sladky’s evidence. Then, the effect of excluding Dr. Sladky’s evidence is
described. The same result is reached because of the strength of the other evidence
remaining in the case.

       25
         Another special master “found Dr. Whitton’s testimony on the lack of evidence for
molecular mimicry at work in humans after viral infection to be highly persuasive.” Hennessey,
2009 WL 1709053, at *53 n.156. Dr. Whitton “was an exceptionally good expert witness, one
who made difficult immunologic concepts readily understandable. His thoughtful (and helpful)
responses to questions both on cross-examination and from the court could serve as a model for
what expert testimony should be, and unfortunately, so rarely is.” Id. at *11.

                                                 37
      A.     Standards for Adjudication

       The Court previously set forth the parties’ respective burdens and the
elements of compensation. Contreras 2, 107 Fed. Cl. at 291-92. Those statements
are incorporated into this decision.

      In brief, Mr. Contreras seeks compensation on the theory that he suffered
Guillain-Barré syndrome, he must establish that he actually suffered from Guillain-
Barré syndrome. In addition, Mr. Contreras must satisfy the three prongs from
Althen. 418 F.3d 1274, 1278. For each of these aspects of Mr. Contreras’s case,
his burden of proof is the preponderance of the evidence.

      B.   Did Mr. Contreras Suffer from Guillain-Barré Syndrome in
      Addition to Transverse Myelitis?

      The first issue for resolution is identifying the disease or diseases afflicting
Mr. Contreras. As noted in the Remand Decision, everyone agrees that he suffers
from transverse myelitis. The second MRI revealed a lesion in Mr. Contreras’s
cervical spine. The radiologist interpreting the image (Dr. Lipson) and Mr.
Contreras’s treating neurologist (Dr. Lake) determined that this was evidence of
transverse myelitis, not Guillain-Barré syndrome. Exhibit 7 at 167-71, 177-78.
The discharge report from Miller’s Children’s Hospital identified Mr. Contreras’s
condition as “cervical transverse myelitis.” Id. at 6.

       In this litigation, Mr. Contreras obtained an affidavit from Dr. Garrett. Dr.
Garrett was a member of the team of doctors who cared for Mr. Contreras during
his approximately two-month stay at Miller’s Children’s Hospital. In the part that
is pertinent to this aspect of the decision, Mr. Garrett averred that Mr. Contreras’s
disease was transverse myelitis. Exhibit 13 at 7.

      Mr. Contreras also obtained two reports from Dr. Poser, of which the first
presented Dr. Poser’s opinion regarding the diseases affecting Mr. Contreras. Dr.
Poser recognized that “[t]he original diagnosis of [GBS] . . . was then changed to
cervical transverse myelitis as a result of a second MRI . . . on June 18, 2003,” yet
opined that “[f]rom the clinical examination and the MRI, it is clear that [Mr.
Contreras] suffered from a combination of [GBS] . . . and . . . transverse myelitis.”
Exhibit 22 at 2, ¶ 3, 3, ¶ 4.

       Dr. Poser’s report, however, does not explain the bases for his opinion
regarding diagnosis. Dr. Poser’s assessment of the June 18, 2003 MRI conflicts
directly with the view of Dr. Lipson, who saw the MRI as not consistent with GBS.
                                             38
Dr. Poser’s reference to Mr. Contreras’s clinical course is also in conflict with the
conclusions reached by Dr. Lake, who, after the June 18, 2003 MRI, consistently
stated that Mr. Contreras suffered from transverse myelitis. Dr. Poser’s report
leaves unanswered the question of why Dr. Poser thinks that his opinion about Mr.
Contreras’s diagnosis is more accurate than the opinions reached by the team of
doctors who cared for him. Despite the views of Dr. Lake, Dr. Lipson, and Dr.
Garrett, Mr. Contreras claimed that the vaccinations caused him to suffer both
transverse myelitis and Guillain-Barré syndrome. Pet. at 1; Pet’r’s Resp., filed
July 21, 2014, at 6-10.

       In October 2005, Dr. Sladky wrote his first report. As to diagnosis, Dr.
Sladky agreed with the treating doctors that the diagnosis was transverse myelitis.
Exhibit I at 2. Both Dr. Garrett and Dr. Sladky discussed Mr. Contreras as
suffering from transverse myelitis only, not transverse myelitis and Guillain-Barré
syndrome. Thus, a complete disregard of Dr. Sladky’s October 2005 report does
not mean that the evidence concerning Mr. Contreras’s diagnosis is on Mr.
Contreras’s side entirely.

       More evidence favoring Mr. Contreras’s position that he suffered from both
transverse myelitis and GBS came when Mr. Contreras filed Dr. Steinman’s first
report. Dr. Steinman agreed with the diagnosis of transverse myelitis. Dr.
Steinman also asserted “a secondary diagnosis of inflammatory
polyradiculopathy/polyneuropathy [Guillain-Barre Syndrome] could also be
made.” Exhibit 55 at 2 (bracketed material in original). Dr. Steinman did not
provide any basis for this conclusion.

       Before Dr. Steinman had an opportunity to explain the basis for his
suggestion that “a secondary diagnosis” of Guillain-Barré syndrome “could also be
made,” exhibit 55 at 2, the Federal Circuit issued Broekelschen. 618 F.3d at 1325.
In Broekelschen, the Federal Circuit declared that in the circumstances of that case
“it was appropriate in this case for the special master to first determine which
injury was best supported by the evidence presented in the record before applying
the Althen test.” Broekelschen, 618 F.3d at 1346.26 Broekelschen, a binding
precedent, prompted attention to the correct diagnosis for Mr. Contreras. See
order, issued Feb. 16, 2010 (requesting the parties set forth their positions
regarding diagnosis in a pre-trial brief).

       26
           The Court held that “the Broekelschen exception to the general rule is inapplicable to
this case.” Contreras 2, 107 Fed. Cl. at 293.

                                                    39
      In accord with the February 16, 2010 order, Mr. Contreras elicited testimony
from Dr. Steinman about the disease or diseases that affected Mr. Contreras. Dr.
Steinman stated that Mr. Contreras suffered from both transverse myelitis and
Guillain-Barré syndrome. He testified on direct examination:

              I think there are elements of both transverse myelitis and
              elements of Guillain-Barre. They’re nice textbook
              entries where we talk about transverse myelitis as being
              an inflammatory disease of the spinal cord, and a nice
              textbook description[] of Guillain-Barre being an
              inflammatory disease of the peripheral nerve. The
              peripheral nerve ends at a certain varied definitive
              boundary with the central nervous system. However, the
              diseases unfortunately sometimes blend, and sometimes
              you can have elements of both inflammations in the
              central nervous system and inflammation in the
              peripheral nervous system. And those are the realities we
              have to deal with.

              So Jesse Contreras had elements of both the transverse
              myelitis and the Guillain-Barre. . . . [It’s] not possible to
              say he had only one or only the other. He had elements
              of both.

Tr. 118-19.

       On cross-examination, Dr. Steinman was asked more about the basis for his
opinion that Mr. Contreras suffered from Guillain-Barré syndrome. He conceded
that none of the MRIs showed peripheral nerve involvement, although MRIs,
according to Dr. Steinman, are not very useful in detecting peripheral problems.
Tr. 184. Dr. Steinman agreed that a better method of testing peripheral nerves is
an electromyelogram (EMG), but the doctors did not order that test for Mr.
Contreras. Tr. 185. Dr. Steinman’s main support for his conclusion that Mr.
Contreras also suffered from Guillain-Barré syndrome was Mr. Contreras’s
Babinski’s response. Tr. 186, 255-56.27

       27
          Dr. Steinman’s testimony about the Babinski response was, unfortunately, not as clear
as it might have been. In this part of his testimony, Dr. Steinman stated:
                                                                                 (continued…)
                                                 40
      Dr. Sladky disagreed with Dr. Steinman’s conclusion about the significance
of Mr. Contreras’s downward going Babinski reflex. To summarize, Dr. Sladky
opined that Mr. Contreras’s results should be considered in context, such as who
performed the test and when the test was performed and in the context of other
evaluations. Tr. 281-86, 333-34. This testimony tended to balance, to some
degree, Dr. Steinman’s testimony. This testimony was one place in the Remand
Decision where Dr. Sladky’s opinion was credited and not redundant with other
witness’s testimony. Contreras 3, slip op. at 11 n.6, 2013 WL 6698382, at *9 n.6.

       If Dr. Sladky’s testimony is removed, then Mr. Contreras’s claim that he
suffered from two diseases is more plausible. The meaningful evidence would
include, on one hand, Dr. Steinman’s report and testimony, and, on the other hand,
the conclusions reached by Dr. Lake, Dr. Garrett, and the other doctors who treated
Mr. Contreras. In this circumstance, the evidence still preponderates in favor of
Mr. Contreras suffering from a single disease, transverse myelitis.

      The Remand Decision found Dr. Lake’s opinion “highly persuasive.”
Contreras 3, slip op. at 30, 2013 WL 6698382, at *24. Similarly, the Remand
Decision found that, among the witnesses who testified, Dr. Garrett was the “most
persuasive.” Contreras 3, slip op. at 30, 2013 WL 6698382, at *25. This
assessment did not depend (and does not depend) on Dr. Sladky’s opinion. As
pointed out in the Remand Decision, Dr. Lake saw Mr. Contreras almost every day
for nearly three months. Dr. Lake, who performed a Babinski test on Mr.
Contreras, specifically revised her tentative diagnosis that Mr. Contreras suffered
from atypical Guillain-Barré syndrome due to the MRI results. Exhibit 7 at 1723.
Her conclusion was persuasive to Dr. Babbitt, who, as a resident, was assisting Dr.
Garrett in caring for Mr. Contreras. Id. at 123.

               [Guillain-Barré syndrome] was the presentation and the lack of
               Babinskis when the neurologist was eliciting the -- you know,
               usually if you have severe damage to the upper motor neurons,
               you're going to lose your plantar responses and you're going to
               have an upgoing Babinski response. And that wasn't seen. So
               again, I feel that this was a combination of Guillain-Barre and
               transverse myelitis. It doesn't perfectly fit into either category.
Tr. 186.
        It appears that when Dr. Steinman used the phrase “upper motor neurons,” he was
referring to nerves in the spinal cord meaning transverse myelitis. But, Dr. Steinman did not
explain (and was not asked to explain) how Mr. Contreras could have downgoing Babinski
response if he were suffering from both transverse myelitis and Guillain-Barré syndrome.

                                                     41
       The combined value of Dr. Lake and Dr. Garrett --- without any assistance
from Dr. Sladky --- is greater than the opinion of Dr. Steinman. In most cases, the
treating doctors’ views about the disease that afflicts their patients are likely to be
persuasive because the doctors have the advantage of touching, seeing, and hearing
their patient.28 Occasionally, doctors retained in the Vaccine Program have such a
great amount of expertise in relatively arcane subjects that they are able to add
insights about a person’s diagnosis simply by reviewing the medical records. See,
e.g., Barclay v. Sec'y of Health & Human Servs., No. 07-605V, 2014 WL
2925245, at *1 (Fed. Cl. Spec. Mstr. Feb. 7, 2014) (respondent’s doctor
recommended genetic testing); cf. 42 U.S.C. § 300aa—13(b) (statements of
treating doctors are not binding on special masters). But, Mr. Contreras’s case is
not one in which the treating doctors’ diagnosis can be readily dismissed. Dr.
Steinman’s citation to the Babinski test provides a colorable basis for his
suggestion that Dr. Lake and Dr. Garrett missed the fact that Mr. Contreras was
suffering from not one, but two neurologic problems. But, ultimately, Dr. Lake’s
treatment of Mr. Contreras was thorough, caring, and professional. So was Dr.
Garrett’s. These factors, and not the opinion of Dr. Sladky, support the conclusion
in the Remand Decision that Mr. Contreras did not suffer from Guillain-Barré
syndrome.

      The Remand Decision also discussed other evidence concerning the proper
diagnosis, but this other evidence is weak. While Dr. Whitton, in his first report,
accepted Dr. Poser’s and Dr. Steinman’s dual diagnosis, upon additional reflection,
Dr. Whitton backed away from that conclusion. Compare exhibit L at 3 with
exhibit N at 5. Dr. Poser, as discussed above, did not specify what factors in Mr.
Contreras’s MRI or his clinical presentation led Dr. Poser to add Guillain-Barré
syndrome. Finally, Dr. Wagner’s opinion that Mr. Contreras suffered from
atypical Guillain-Barré syndrome, exhibit 6 at 5, was based upon less than five
hours of observation and only one MRI. His opinion, although valuable in 2003,
when he transferred Mr. Contreras to a higher care facility, cannot match the
opinions of Doctors Lake and Garrett, who had much more information available
to them.

       The possibility that Mr. Contreras might suffer from “atypical” Guillain-
Barré syndrome was a consideration very early in his hospitalizations. See exhibit
6 at 5 (Dr. Wagner); exhibit 7 at 1735 (Dr. Lake). Dr. Lake ceased to consider this
possibility once she received the second MRI. Exhibit 7 at 1723.

      28
           Dr. Sladky, too, recognized the value of Dr. Garrett’s opinion on diagnosis. Tr. 345.

                                                    42
       In this litigation, Dr. Poser and Dr. Steinman have attempted to raise the
dual diagnosis again. In doing so, they appear to be straining to fit a square peg
into a round hole. Moreover, the persistence of Mr. Contreras’s arguments appears
to be overlooking the big picture of how his diagnosis fits with his claim for
compensation. As the Remand Decision attempted to explain, if, on a strictly
hypothetical basis, Mr. Contreras were persuasive in claiming that he suffered from
both a central nervous system problem (transverse myelitis) and a peripheral
nervous system problem (Guillain-Barré syndrome), see exhibit C (2002 IOM) at
28, Mr. Contreras’s claim for compensation in the Vaccine Program would be
more complicated. Mr. Contreras would be required to show how the hepatitis B
vaccination can cause neurologic problems in two areas of the body involving two
types of nerves within approximately one day of vaccination. See Tr. 447 (Dr.
Whitton’s opinion that one day is too short a latency period would not change
depending upon the demyelinating disease).

       C.      Timing

      By far, the most important issue in this case has been the one-day interval
between vaccination and the onset of neurological problems. This issue has been
discussed throughout the case.

       After the parties submitted briefs in 2011, Mr. Contreras was denied
compensation. The sole and sufficient reason was that Mr. Contreras did not
establish that the timing was medically appropriate for causation. Contreras 1,
2012 WL 1441315, at *23-24. The Entitlement Decision did not evaluate either
the second or third prong from Althen. The Entitlement Decision also did not
discuss whether factors other than the vaccines could have caused Mr. Contreras’s
transverse myelitis.29

       The analysis of Mr. Contreras’s arguments regarding timing was divided
into discrete sections. These were:

       29
          In Mr. Contreras’s first motion for review, he argued that the exclusive focus on timing
(Althen prong 3) was an error. The Court, however, disagreed and, stated that a special master
may resolve a case based upon just one Althen prong. Contreras 2, 107 Fed. Cl. at 295. After
the Court’s first remand, the Federal Circuit has explicitly approved the resolution of a Vaccine
Program case without an evaluation of all Althen prongs. Hibbard v. Sec’y of Health & Human
Servs., 698 F.3d 1355, 1364-65 (Fed. Cir. 2012).

                                                   43
      1. Steps Involved in Molecular Mimicry
      2. How Much Time Does Molecular Mimicry Take
      3. Observations of Molecular Mimicry in Medical Articles
            a. Odoardi
            b. Additional Medical Articles (Lafaille, Zamvil, Mensah-Brown,
                Mekala, Ufret-Vincentry)
            c. Kakar Case Report
            d. Summary Regarding Medical Articles
      4. Petitioner’s Explanation that Molecular Mimicry Can Occur in One Day
            a. Tuberculin Response
            b. Priming
      5. Treating Doctors
            a. Dr. Kyazze
            b. Dr. Wagner
            c. Dr. Garrett
      6. Synopsis on Timing

      The analysis largely, but not entirely, focused on the competing opinions of
Dr. Steinman and Dr. Whitton. For example, the basic explanation for molecular
mimicry came from Dr. Steinman upon which Dr. Whitton elaborated. In this
section, Dr. Sladky was cited only in a footnote and not for any substantive
information about molecular mimicry. Contreras 1, 2012 WL 1441315, at *10
n.10.

       In the second section, the Entitlement Decision relied primarily upon Dr.
Whitton for finding that “at least five days is needed for molecular mimicry.” It
found one step in the process of molecular mimicry that takes three days by itself
and stated, “Dr. Whitton was superbly qualified to express [this] opinion.” This
section also credited Dr. Whitton’s reliance on the blood-brain barrier and noted
that “Dr. Steinman offered no persuasive response.” Contreras 1, 2012 WL
1441315, at *11-12.

      This section also cited Dr. Sladky’s opinion in three places. It quoted Dr.
Sladky’s initial report. It also referenced Dr. Sladky’s opinion regarding the
blood-brain barrier as a “see also” cite, supporting Dr. Whitton’s testimony.
Finally, the summary paragraph mentioned Dr. Sladky’s opinion in conjunction
with Dr. Whitton’s opinion. Id. at 12.

      The Entitlement Decision’s third section on timing was a multi-part
discussion about medical articles. The Odoardi article was a significant reason Mr.

                                            44
Contreras was denied compensation, warranting a part by itself. Id. at 12 (stating
“[t]he most important article about the timing of molecular mimicry was exhibit
118”). This discussion did not include any citations to Dr. Sladky, who had not
testified about Odoardi. Although Dr. Steinman pointed to this article as an
experiment in which an animal developed a central nervous system problem within
one day of receiving an antigen that was roughly equivalent to a vaccination (see
exhibit 105 (Supp’l Rep’t) at 7; Tr. 243-46, 589-90), the article, in fact, did not
illustrate this chronology. The Entitlement Decision found persuasive Dr.
Whitton’s assessment that Dr. Steinman “did not understand” the Odoardi
experiment. Contreras 1, 2012 WL 1441315, at *13 (quoting Tr. 633). Dr.
Steinman’s misinterpretation of the article that appeared to be the most helpful
article to Mr. Contreras’s claim severely diminished Dr. Steinman’s
persuasiveness.

      The next part discussed five medical articles. Three of them were cited by
Dr. Steinman. Two (Mensah-Brown (exhibit D) and Mekala (exhibit K)) came
from Dr. Sladky. Eliminating these two does not change the analysis because the
remaining three articles also did not show a one-day interval.

      The third part of the section about medical articles on timing was a
discussion of a case report by Kakar. Exhibit 72. Kakar reported on a patient who
received the hepatitis B vaccine and developed a condition like Guillain-Barré
syndrome the next day. Id. The Entitlement Decision cited Dr. Sladky and Dr.
Whitton for their views that case reports usually do not provide valuable
information regarding causation. Contreras 1, 2012 WL 1441315, at *16-17.
Eliminating Dr. Sladky’s testimony would not affect the outcome because Dr.
Whitton’s similar testimony would remain. Moreover, the value that Dr. Sladky,
Dr. Whitton, or Dr. Steinman place upon any piece of evidence is not decisive
because the special master, ultimately, must evaluate all the evidence. See
Whitecotton v. Sec’y of Health & Human Servs., 81 F.3d 1099, 1108 (Fed. Cir.
1996) (“Congress desired the special masters to have very wide discretion with
respect to the evidence they would consider and the weight to be assigned that
evidence”).

      While the witnesses’ comments about the (lack of) value about case reports
may be helpful, the undersigned did not need Dr. Sladky to testify, as he did, that
Kakar presents a sequence of events from which causality cannot be presumed. Tr.
298-99. The authors of the Kakar case report noted that one possibility was the
patient’s “GBS was unrelated to the vaccine.” Exhibit 72 (Kakar) at 711. Thus,

                                           45
even if Dr. Sladky’s evidence were entirely excluded, Kakar would have minimal
weight for the reasons Dr. Whitton explained. See Tr. 430.

      The section on medical articles concludes with a short summary, which
again mentions Dr. Sladky. However, in light of the overwhelming reliance on Dr.
Whitton, the result would have been the same in the absence of Dr. Sladky.

       The fourth section of the Entitlement Decision discusses two explanations
for why Mr. Contreras could have reacted more quickly than expected by medical
science: tuberculin and priming. For tuberculin, the Entitlement Decision often
cited and eventually credited the testimony of Dr. Whitton. Although Dr. Sladky is
occasionally mentioned, citations to Dr. Sladky are usually to his testimony as a
supporting, not primary, authority. For priming, Dr. Sladky is not cited at all.
Contreras 1, 2012 WL 1441315, at *20-21.

      The fifth section discusses the views of treating doctors whose testimony
Mr. Contreras presented either by affidavit (Dr. Garrett) or by affidavit and orally
(Dr. Kyazze and Dr. Wagner). This aspect did not cite Dr. Sladky. Contreras 1,
2012 WL 1441315, at *21-23.

       After Mr. Contreras filed a motion for review, the Court vacated the
Entitlement Decision. Among other failures, the Entitlement Decision did “not
convince the court that the special master considered all the relevant evidence in
the record that bears upon Althen prong three.” Contreras 2, 107 Fed. Cl. at 296.
The Court stated “the special master committed legal error in failing to give the
opinions of Dr. Wagner and Dr. Garrett significant weight in his analysis of the
evidence relevant to Althen prong three.” Id. at 300. The Court also stated the
“special master erred when he crafted a higher standard of proof than that required
in de Bazan.” Id. at 303 (citation omitted). The Court also disagreed with the
special master’s reliance on Porter, which the Entitlement Decision had interpreted
as finding a special master’s attribution of little value for case reports not arbitrary
and capricious. Id. at 304. Consequently, the Court remanded the case with
specific instructions, including a re-analysis of Althen prong 3. Id. at 308-09.

       In accord with these instructions, the Remand Decision re-evaluated the
evidence regarding timing, organized into the following parts. This section began
with a brief review of the previous adjudications, mentioning Dr. Sladky four times
--- once as a matter of procedural history, once in the context of a summary of his
testimony, and twice in conjunction with testimony from Dr. Whitton.

                                              46
      Next, there is a synopsis of 11 types of evidence. An asterisk marks the
sections in which Dr. Sladky is mentioned.

      b)     Synopsis of Evidence (*)
             (1) Dr. Wagner
             (2) Dr. Garrett
             (3) Dr. Cheung
             (4) Dr. Poser
             (5) Dr. Steinman
             (6) Dr. Sladky (*)
             (7) Dr. Whitton
             (8) Newly Cited Case Reports
             (9) Other Case Reports
             (10) Review Articles
             (11) Animal Studies

       The assessment of the evidence ran approximately four pages in which Dr.
Sladky’s testimony was cited twice. In the first place, Dr. Sladky’s opinion was
cited in conjunction with Dr. Whitton. The Remand Decision noted that Dr.
Sladky had opined that a one-day onset was “virtually impossible.” Contreras 3,
slip op. at 59, 2013 WL 6698382, at *46 (citing exhibit I at 3). The next sentence
indicated that Dr. Whitton had opined that it was “‘exceedingly unlikely’ that Mr.
Contreras could have developed an immune response to his vaccination within 24
hours.” Id. (citing exhibit N at 9). The second place where Dr. Sladky was cited
was in the context of describing the contents of the record. Id. at *47. Neither
citation to Dr. Sladky was consequential.

       The Remand Decision found “the testimony of Dr. Whitton to be the most
persuasive.” Contreras 3, slip op. at 61, 2013 WL 6698382, at *48. Two reasons
for crediting Dr. Whitton’s testimony were his study, the Whitmire article, that
showed memory T cells in mice required at least three days to divide, and the
Odoardi article. Id. (citing exhibit L, tab 31 (Jason K. Whitmire, Tentative T Cells:
Memory Cells Are Quick to Respond, but Slow to Divide, 4 PLos Pathogens
e1000041 (2008)) at e1000042. Dr. Sladky did not enhance the value of the
Whitmire article or the Odoardi article. He did not testify about them.

     If all evidence originating with Dr. Sladky were struck, would the result
change? The answer is no.

                                            47
       The fundamental problem with Mr. Contreras’s case is that his evidence is
not persuasive. Mr. Contreras bears the burden of “establish[ing] by a
preponderance of the evidence that his onset of symptoms occurred within a
timeframe for which it is medically acceptable to infer causation-in-fact.”
Contreras 2, 107 Fed. Cl. at 303. There is no dispute that the onset of symptoms
occurred approximately 24 hours after vaccination. The ensuing question,
therefore, becomes is 24 hours a “timeframe for which it is medically acceptable to
infer causation-in-fact?”

       Mr. Contreras’s supporting evidence consists of the affidavit from Dr.
Garrett, the affidavit and testimony from Dr. Wagner, the affidavits from Dr.
Poser, and the affidavit and testimony from Dr. Steinman. Of these, Dr. Poser and
Dr. Wagner contribute very little. Although each says that the timing was
acceptable, neither presents any basis for the doctor’s opinion. Special masters are
not required to accept the unsupported testimony of an expert. Snyder, 88 Fed. Cl.
at 742 (citing Gen. Elec. Co., 522 U.S. at 146); see also Cedillo v. Sec'y of Health
& Human Servs., 617 F.3d 1328, 1339 (Fed. Cir. 2010) (citing Gen. Elec. Co., 522
U.S. at 146).

       On the face of it, Dr. Garrett and Dr. Steinman stand on ground that is more
solid. They cite many case reports in which the administration of different
vaccines preceded the onset of assorted illnesses. The details of the case reports
were presented in the Entitlement Decision (Contreras 1, 2012 WL 1441315, at
*16-17), and the Remand Decision (Contreras 3, slip op. at 55-57, 2013 WL
6698382, at *43-43). The details about vaccine / disease combination are largely
irrelevant. The logical fallacy of attempting to draw causal conclusions from
isolated reports can be temporarily set aside, too. For purposes of determining
whether Dr. Garrett, or Dr. Steinman, or Dr. Garrett and Dr. Steinman were
persuasive in opining that one day is a “medically acceptable” timeframe, the
temporal interval in the case reports is most important.

       Except for Kakar (exhibit 72), the interval is usually not close to one day.
For example, Iniguez reported a case of transverse myelitis one week after a
hepatitis B vaccination. Exhibit 47 (C. Iniguez et al., Acute transverse myelitis
secondary to hepatitis B vaccination, 31(5) Rev. Neurol. 430 (2000)). How does
Iniguez’s report of a seven-day interval support Dr. Steinman, who cited Iniguez,
in asserting that one day is medically acceptable? Iniguez and most of the other
articles are entirely consistent with Dr. Whitton’s opinion that, assuming that
molecular mimicry actually explains how a vaccine can cause a demyelinating
disease, the process of molecular mimicry probably takes five days.

                                            48
       After elimination of the case reports in which the onset is five days or
longer, Dr. Garrett is similarly situated with Dr. Wagner and Dr. Poser.30 Dr.
Garrett asserted an opinion without any supporting basis. As a matter of law, the
opinion of doctor who treats a person is not elevated to such a favored status that
the special master must accept it. See 42 U.S.C. § 300aa—13(b); see also Ruiz,
2007 WL 5161754, at *15 (stating “The fact that [a treating doctor] did not identify
the hepatitis B vaccine as the cause of Ms. Ruiz's psychological injury until well
after his treatment relationship with petitioner had ended undermines the
persuasiveness of his findings”). To be persuasive, Dr. Garrett does not have to
dot every “i” and to cross every “t” because petitioners do not bear the burden of
proving their case to a scientific certainty. Bunting v. Sec’y of Health & Human
Servs., 931 F.2d 867, 872-73 (Fed. Cir. 1991). Yet, special masters may examine
petitioner’s case to see whether the expert’s opinion is “sound.” Knudsen v. Sec’y
of Health & Human Servs., 35 F.3d 543, 548 (Fed. Cir. 1994).

       It might be argued that any examination of Dr. Garrett’s opinion is
erroneous. After all, Dr. Garrett treated Mr. Contreras and “treating physicians are
likely to be in the best position to determine whether a logical sequence of cause
and effect show[s] that the vaccination was the reason for the injury.” Capizzano v.
Sec'y of Health & Human Servs., 440 F.3d 1317, 1326 (Fed. Cir. 2006) (citation
and quotation marks omitted).

      This argument, however, is belied by Bazan. There, a petitioner presented
the opinion from her treating doctor that a repeat dose of the tetanus-diphtheria
vaccine caused the onset of a demyelinating disease of the central nervous system,
acute disseminated encephalomyelitis (“ADEM”), 11 hours later. The special
master did not accept the opinion of this treating doctor and credited, instead, the
opinion of the Secretary’s expert. On appeal, the Federal Circuit did not require
the special master to defer to the opinion of the treating doctor. The Federal
Circuit ruled that the special master’s finding regarding timing was not arbitrary or
capricious. Bazan v. Sec'y of Health & Human Servs., 539 F.3d 1347, 1352-53
(Fed. Cir. 2008).

       30
           Dr. Garrett cited an article written by Dr. Poser. Exhibit 13 at 11, ¶ 15 (citing exhibit
21 (Charles M. Poser, Neurologic syndromes that arise unpredictably, Consultant 45 (Jan.
1987))). In this 1987 article, Dr. Poser wrote that “[a]s a general rule, postvaccinal
complications develop between one and six weeks after vaccination, although shorter periods
have been reported… [T]his period can be as short as 12 to 24 hours.” Exhibit 21 (Posner) at 46-
47. Dr. Poser provided no basis for this assertion. In addition, Dr. Poser does not specify what
type of reaction could take place in 12 hours.

                                                    49
       Although a simple review of the literature Dr. Garrett cited erodes the basis
for his conclusion that one day is medically acceptable, Dr. Steinman’s opinion is
slightly stronger. Certainly, the Kakar article, which presents a sequence in which
an Indian girl received a hepatitis B vaccine and then developed Guillain-Barré
syndrome (or something like GBS) within 24 hours, supports Dr. Steinman’s
opinion that one day is medically acceptable. As Dr. Steinman testified, the
presence of one case report makes the petitioner’s case more persuasive than if
there are no case reports. Tr. 164.

      Two other articles are helpful to Mr. Contreras by reporting instances of
demyelinating diseases that developed less than five days after vaccination.
Douglas A. Kerr and Harold Ayetey cited a case report of transverse myelitis
developing two days after influenza vaccination.31 Exhibit N, tab 2 (Douglas A.
Kerr & Harold Ayetey, Immunopathogenesis of Acute Transverse Myelitis, 15(3)
Current Opinion in Neurology 339 (2002)). Sinsawaiwong presents an occasion
on which hepatitis B vaccination preceded Guillain-Barré syndrome by three days.
Exhibit 71 (Suwanna Sinsawaiwong & Pornpen Thampanitchawong, Guillain-
Barré Syndome Following Recombinant Hepatitis B Vaccine and Literature
Review, 83 J. Med. Assoc’n Thai 1124 (2000)).

       In addition, there are two reports of diseases that are not demyelinating
diseases developing within one day of vaccination. These could lend some support
if the difference between the reported injury and demyelinating disease is ignored.
See exhibit 38 (B. Biacabe et al., A case report of fluctuant sensorineural hearing
loss after hepatitis B vaccination, 24 Auris Nasus Larynx 457 (1997)) (hearing
loss); and exhibit 45 (P.M. Bantz et al., Peripheral neurological symptoms after
hepatitis B virus vaccination, 96 Q. J. Med. 611 (2003)) (vertigo and dysarthria).

       Thus, the core of Mr. Contreras’s case is Dr. Steinman’s opinion as
supported by at least one and potentially as many as five case reports. Does this
constitute a persuasive case? If the record consisted of only this material, it could
satisfy petitioner’s burden. But, there is other evidence and a special master may
consider evidence that contradicts a petitioner’s case before determining whether
the petitioner has met the burden of proof. Bazan, 539 F.3d at 1354.

       31
            Doctors Kerr and Ayetey noted that “such case reports must be viewed with caution, as
it is entirely possible that two events occurred in close proximity by chance alone.” Exhibit N,
tab 2 at 341.

                                                  50
       Here, the Secretary presented Dr. Whitton’s report and testimony that
effectively undermined Mr. Contreras’s evidence, which came from Dr. Poser, Dr.
Garrett, Dr. Wagner, and Dr. Steinman. Dr. Whitton persuasively showed that the
process of a molecular mimicry reaction takes time. This time is measured in days,
not hours. Hence, one day is not a medically acceptable timeframe to infer
causation.

       The Remand Decision also discussed theories by which Mr. Contreras
proposed that his circumstances made relying upon the normally accepted minimal
amount of time, five days, inappropriate. See Contreras 3, slip op. at 19-21, 2013
WL 6698382, at *16-17. He suggested five factors could have accelerated his
response: (1) previous exposures / priming, (2) his Hispanic ethnicity, (3) receipt
of two vaccines at once, (4) the adjuvant, and (5) exposure to previous infections
(the Epstein-Barr virus and mycoplasma pneumonia). The general impression left
about these ideas was that Mr. Contreras and Dr. Steinman were throwing out ideas
to see what would stick.

       Mr. Contreras’s presentation on each of these topics was discussed in the
Remand Decision. The Remand Decision also cited the Secretary’s evidence,
which, at times, included Dr. Sladky. Even if Dr. Sladky’s evidence were
excluded,32 Mr. Contreras has failed to present persuasive basis for finding that any
of these proposed factors would make it possible for him to respond in one day,
when normal people would require at least five days.

        The Entitlement Decision closed its analysis about timing with a quotation
from Dr. Whitton that a one-day onset presents a “black and white” issue. In Dr.
Whitton’s opinion, one day was well outside of any shades of grey about which
reasonable people could differ. Contreras 1, 2012 WL 1441315, at *23. On the
first motion for review, the Court wondered if the situation were truly as stark as
Dr. Whitton contended and suggested that if it were weighing the evidence in the
first instance, the evidence might present a “close call.” Contreras 2, 107 Fed. Cl.
at 307. Contreras 3 attempted to address the Court’s concern and cited Dr.
Whitton as an example of an immunologist who understands the relevant biologic
processes and the necessary amount of time for them. See Broekelschen, 618 F.3d
at 1345 (holding “a petitioner must provide a reputable medical or scientific
explanation that pertains specifically to the petitioner’s case”). Dr. Sladky’s

       32
         Regarding Mr. Contreras’s prior infections with Epstein-Barr virus and mycoplasma
pneumonia, Dr. Sladky testified that they played no role in his neurologic disease. This
testimony actually helps Mr. Contreras by eliminating potential alternative causes.

                                                51
evidence added little to the analysis. Thus, eliminating the (meager) contributions
from Dr. Sladky does not change the undersigned’s view that the evidence is not
close. The evidence preponderates in favor of finding that the minimal amount of
time needed for molecular mimicry exceeds one day and is likely to be around five
days.

      D.    Theory

       The initial Entitlement Decision did not address the first prong of Althen
because the finding that Mr. Contreras did not establish the third prong of Althen
was sufficient to deny compensation. Contreras 1, 2012 WL 1441315, at *1. As
part of its instructions for the first remand, the Court ordered a consideration of
prong one. Contreras 2, 107 Fed. Cl. at 295. The Remand Decision analyzed the
relevant evidence, which included evidence from Dr. Sladky, and concluded that
Mr. Contreras did not meet his burden of proof. Contreras 3, slip op. at 32-49,
2013 WL 6698382, at *26-39. Contreras 3 organized the analysis of Althen prong
1 into the following sections with an asterisk marking the sections in which Dr.
Sladky is mentioned:

      1. Synopsis of Mr. Contreras’s Evidence
           a. Dr. Kyazze
           b. Dr. Wagner
           c. Dr. Garrett
           d. Dr. Poser
           e. Dr. Steinman
      2. Synopsis of the Secretary’s Evidence
           a. Dr. Sladky *
           b. Dr. Whitton
      3. Assessment of Evidence
           a. Treating Doctors
           b. Dr. Poser and Dr. Steinman
           c. Daubert Analysis of Molecular Mimicry Theory
                   i. Whether the theory of molecular mimicry can be (and has
                      been) tested
                  ii. Whether the theory or technique has been subject to peer
                      review and publication
                 iii. Whether there is a known potential error rate and whether
                      there are methods for controlling the error
                 iv. Whether the theory or technique enjoys general acceptance
                      within a relevant scientific community *

                                           52
                  v. Epidemiologic studies *
                 vi. Case Reports *
      4. Finding on Althen Prong One *

       As mentioned in the Remand Decision, Dr. Sladky’s opinion played little
role in this analysis. Dr. Sladky could not affect how the opinions of the treating
doctors were weighed because he did not treat Mr. Contreras. The Remand
Decision found that the opinions of Dr. Lake and Dr. Cheung were better informed
than the opinions of Dr. Garrett and Dr. Wagner. Contreras 3, slip op. at 42, 2013
WL 6698382, at *34. Dr. Lake and Dr. Cheung each indicated that the
vaccinations did not cause Mr. Contreras’s transverse myelitis. Exhibit 7 at 126,
147.

       Dr. Sladky also did not affect the analysis of the first three Daubert factors.
Mr. Contreras could have used the first two Daubert factors,33 concerning
testability and peer-review, to demonstrate the persuasiveness of Dr. Steinman’s
theory that the hepatitis B vaccine can cause transverse myelitis via molecular
mimicry. See Veryzer v. Sec'y of Health & Human Servs., No. 06-522V, 2010
WL 2507791, at *8 n.14 (Fed. Cl. Spec. Mstr. June 15, 2010) (quoting In re Paoli
R.R. Yard PCB Litigation, 35 F.3d 717, 744 (3d Cir. 1994)), mot. for rev. denied,
100 Fed. Cl. 344 (2011), aff’d without op., 475 Fed. Appx. 765 (Fed. Cir. 2012);
Robles v. Sec'y of Health & Human Servs., No. 90-3001V, 2000 WL 748169, at *2
n.10 (Fed. Cl. Spec. Mstr. May 19, 2000) (quoting Daubert, at 1316). Mr.
Contreras did not present any supporting evidence. Dr. Sladky did not contribute
to the lack of evidence from Mr. Contreras. Thus, the same result would have been
reached even if there were no evidence from Dr. Sladky.

       For the fourth Daubert factor, concerning general acceptance, Dr. Sladky’s
testimony actually helped Mr. Contreras. Dr. Sladky’s concession on this factor, in
turn, was mentioned as part of the overall finding. Contreras 3, slip op. at 49, 2013
WL 6698382, at *38-39. Striking Dr. Sladky’s testimony would weaken this
specific aspect of Mr. Contreras’s case.

       The next factor, epidemiological studies, is a place where Dr. Sladky’s
evidence played some role. Dr. Sladky was the expert who originally placed into
the record two studies the Remand Decision discussed, exhibit G (Touze) and

      33
           The third Daubert factor (error rate) does not apply to molecular mimicry.

                                                    53
exhibit H (Zipp). See exhibit I (Dr. Sladky’s Oct. 21, 2005 report) at 4.34 To avoid
any dispute about the scope of the Court’s instruction for removing Dr. Sladky’s
evidence, the Touze and Zipp articles will be disregarded.

       Removing Touze and Zipp does not eliminate all epidemiological studies.
Dr. Whitton cited a very important study by Mikaeloff. Exhibit L, tab 29 (Yann
Mikaeloff et al., Hepatitis B vaccine and the risk of relapse after a first childhood
episode of CNS inflammatory demylination, 130 Brain 1105 (2007)). The
Mikaeloff article was informative because these researchers studied 356 people
who had experienced an episode of demyelination in their central nervous system
before age 16. These participants were given a dose of the hepatitis B vaccine and
followed for more than five years on average to see whether they had a relapse
lasting more than 24 hours. The authors found that the hepatitis B vaccine “was
not associated with a significant increase in the risk of relapse.” Exhibit L, tab 29
(Mikaeloff) at 1108.

      In addition to Mikaeloff, Dr. Whitton cited other epidemiological studies,
although these were not as relevant. These studies analyzed a possible connection
between vaccinations and other neurological diseases, such as multiple sclerosis
and Guillain-Barré syndrome. See Contreras 3, slip op. at 39 n.29, 2013 WL
6698382, at *31 n.29.

       The sixth factor (case reports) also did not depend on Dr. Sladky’s evidence.
Dr. Sladky was cited as providing testimony that supported a statement that case
reports may signal the need for additional study. Although the Remand Decision
cited Dr. Sladky, special masters are very familiar with this concept.

       The role of case reports as a signal was part of a more basic question
concerning whether routine case reports provide meaningful information on which
an informed judgment on causation may be made. The Remand Decision cited
both Dr. Sladky and Dr. Whitton as people who find case reports carry relatively

       34
          The 2002 IOM report, which the Secretary had placed into evidence before Dr.
Sladky’s report, cited Touze and Zipp. Exhibit C (2002 IOM) at 57, 61. After Dr. Sladky’s
report, Dr. Steinman also cited to Touze and Zipp and Mr. Contreras submitted these studies as
exhibits 75 and 76. Conceivably, even if Dr. Sladky had not cited Touze and Zipp, Dr. Steinman
could have presented the epidemiological studies in accord with an expert’s duty to present all
relevant information to the judicial official. However, a voluntary presentation seems unlikely as
Dr. Steinman has not previously cited Touze and Zipp in relatively similar circumstances.

                                                   54
little value. The Remand Decision also noted that Dr. Poser and Dr. Steinman,
contrastingly, more readily valued case reports.

       Ultimately, the opinion of any witness, including Dr. Sladky, about the
strength or weakness of the evidence is not particularly important. The views of
Dr. Steinman, Dr. Whitton, Dr. Poser, and Dr. Sladky are interesting because these
people are educated and trained in medicine. Thus, the undersigned considers and
reflects on those informed views in weighing the evidence. But, at the end of the
day, “Congress made clear that the initial decision in these cases was the Special
Master’s.” Hodges v. Sec'y of Health & Human Servs., 9 F.3d 958, 962 (Fed. Cir.
1993).

       As suggested in the Remand Decision, the undersigned chooses to give
routine case reports little, if any, weight in determining causation. The
undersigned has reached this conclusion after hearing not only the testimony of Dr.
Sladky, Dr. Whitton, and Dr. Steinman, but also similar testimony from many
doctors in many different hearings. See Porter v. Sec'y of Health & Human Servs.,
No. 99-639V, 2008 WL 4483740, at *13 (Fed. Cl. Spec. Mstr. Oct. 2, 2008) (citing
cases), mot. for rev. granted sub nom., Rotoli, 89 Fed. Cl. at 86-87, reinstated,
Porter, 663 F.3d at 1254; Tiufekchiev v. Sec'y of Health & Human Servs., No.
05-437V, 2008 WL 3522297, at *9 (Fed. Cl. Spec. Mstr. July 24, 2008) (quoting
testimony from petitioner’s expert and citing cases). The undersigned has also
considered --- and the Remand Decision cited --- the teachings from the Reference
Manual on Scientific Evidence, published by the Federal Judicial Center. In
addition, numerous cases in which plaintiffs claim exposure to a substance caused
them harm have also discussed case reports. These, too, have affected the
undersigned’s orientation to the usefulness of case reports.

       Against this background, Dr. Sladky’s testimony that case reports do not
provide meaningful information about causation amounts to little more than a drop
in a bucket. Even in the absence of Dr. Sladky’s evidence, the undersigned would
have assessed the case reports the same way. Although an appellate tribunal may
determine that the weight the undersigned assigned to case reports was arbitrary
and capricious (but see Porter, 663 F.3d at 1254 (ruling that the weight given to the
evidence including case reports was not arbitrary or capricious)); that finding
would be a determination about the undersigned’s weighing of the evidence, not
Dr. Sladky’s weighing of the evidence.

      On the whole, striking Dr. Sladky’s evidence does not change the outcome
regarding Althen prong one. The main weakness in Mr. Contreras’s case was that

                                            55
he failed to show the persuasiveness of Dr. Steinman’s theory as measured against
the Daubert factors. Dr. Steinman’s theory that the hepatitis B vaccine can cause
transverse myelitis via molecular mimicry is a plausible construct. But,
plausibility does not satisfy Mr. Contreras’s burden and the Secretary does not bear
the burden of establishing that a petitioner’s theory is impossible. See Moberly,
592 F.3d at 1322. The Remand Decision cited evidence from Dr. Sladky (Touze
and Zipp) because those studies further undermined Dr. Steinman’s theory that
molecular mimicry can explain how the hepatitis B vaccine can cause transverse
myelitis. But, striking those epidemiological studies does not strengthen Mr.
Contreras’s case, especially since another epidemiological study remains. In other
words, Mr. Contreras needed to have more positive support for Dr. Steinman’s
theory.35 Subtracting negative evidence does not equal adding positive evidence.

       E.      Althen Prong 2

       The remaining Althen prong is the second. Because Mr. Contreras has not
established through preponderant evidence that the hepatitis B vaccine can cause
transverse myelitis (prong 1) and has not established that his transverse myelitis
arose in time for which it is medically acceptable to infer causation (prong 3), he
cannot establish “a logical sequence” between the vaccination and his transverse
myelitis. Nonetheless, in accord with the Court’s instructions, the evidence
regarding this element is again reviewed without any consideration of Dr. Sladky’s
evidence.

       35
           Saying that Mr. Contreras required more evidence to demonstrate the persuasiveness of
Dr. Steinman’s theory is not the same as saying that Mr. Contreras had to establish Dr.
Steinman’s theory to a level of medical certainty. See La Londe v. Sec'y of Health & Human
Servs., 110 Fed. Cl. 184, 201 (2013) (the petitioner’s expert “could not back up his hypothesis
with a reliable medical or scientific explanation. . . . [The special master] quite properly required
petitioner to carry her burden to bring forward a reliable or scientific explanation”), aff’d, 746
F.3d 1334, 1340 (Fed. Cir. 2014); Langland v. Sec'y of Health & Human Servs., 109 Fed. Cl.
421, 441 (2013) (“the Special Master did not commit a legal error by requiring a sufficiently-
detailed explanation” of how a vaccine can cause a disease); Taylor v. Sec'y of Health & Human
Servs., 108 Fed. Cl. 807, 819 (2013) (“the mere existence” of expert testimony about a theory “is
insufficient to satisfy the burden of showing a ‘persuasive’ medical theory --- this theory must
also preponderate”). Petitioners are required to present preponderant cases, not certain cases.
Hodges, 9 F.3d at 961-62 (“[t]he fact that the opinion of petitioner’s doctors was rejected does
not mean that the Special Master was demanding scientific certainty; he might simply have been
demanding some degree of acceptable scientific support when concluding that the [petitioners’]
claim for causation in-fact was not supported by a preponderance of the evidence”).

                                                    56
       The Remand Decision addressed two types of evidence. The first type was
reports from treating doctors. The Remand Decision did not find persuasive the
testimony from Dr. Garrett and Dr. Wagner, and found more persuasive the
statements that Dr. Babbitt, Dr. Cheung, and Dr. Lake made during their course of
treating Mr. Contreras. Dr. Sladky’s evidence played no role regarding this first
type of evidence.

       The second type of evidence was evidence of alternative cause as the Court
directed. See Contreras 2, 107 Fed. Cl. at 296-97. The Remand Decision cited Dr.
Sladky as not identifying any other potential cause. Contreras 3, slip op. at 73,
2013 WL 6698382, at *57 (citing Tr. 351). Dr. Sladky’s position was not special.
The treating doctors did not identify any possible other cause. See exhibit 7 at 6-8
(discharge report); exhibit 13 (Dr. Garrett’s affidavit) at 6-7 ¶ 12. Thus, even if Dr.
Sladky’s testimony were eliminated, there would still be no other alternative causal
factor.

      As discussed in the Remand Decision, the lack of a known alternative factor
does not mean that the vaccinations caused Mr. Contreras’s transverse myelitis.
See Caves, 100 Fed. Cl. at 141; Fadelalla v. United States, 45 Fed. Cl. 196, 201
(1999). The lack of alternative factors might be more significant if Mr. Contreras
had established that the hepatitis B vaccine can cause transverse myelitis and if Mr.
Contreras had established that the hepatitis B vaccine can cause transverse myelitis
in one day. But, for the reasons explained above in sections IV.C-D, Mr. Contreras
has not established these predicates even if Dr. Sladky’s evidence is excluded.

      In the absence of a finding that the vaccinations caused Mr. Contreras’s
transverse myelitis, the cause of his tragic disease remains unknown. See Tr. 263-
64 (Dr. Steinman: the vast majority of TM cases are idiopathic).

V.    Additional Comments

       On a personal level, Mr. Contreras’s episode with transverse myelitis was a
terrible ordeal. The attention given to him by Dr. Wagner, Dr. Garrett, Dr. Lake
and other doctors sustained him during a perilous time. It is fortunate that he has
recovered as much as he has, even though his health remains impaired. He
deserves sympathy for his suffering.

       The process of litigating this Vaccine Program claim is, almost certainly,
bringing more disappointment to Mr. Contreras. For reasons not entirely within
Mr. Contreras’s control, the litigation has been an unduly lengthy process. The
fact that the most recent delay is to address misconduct by the Secretary’s expert
                                              57
witness may be especially irritating. Mr. Contreras may understandably question
how the Secretary can prevail after relying upon a witness who was deceptive
about his background.

      This Decision has attempted to demonstrate that the penalty for a witness’s
deception is not always the striking of the witness’s testimony. On occasion, a
reasonable remedy is to bar the witness from testifying and to strike all evidence
associated with that witness. The chief special master in Raymo took a similar
approach for Dr. Sladky by refusing to give his testimony any weight. But, another
special master kept Dr. Sladky’s evidence in the record. Roberts, 2013 WL
5314698, at *9. These two cases demonstrate that there can be more than one
(correct) answer to the question “what should happen to Dr. Sladky’s evidence?”

       As discussed in section II.A, the response in the Remand Decision was
closer to Roberts than Raymo. However, the overall outcome in Mr. Contreras is
the opposite of the outcome in Roberts and Raymo. How can these disparate
outcomes be reconciled?

       The evidence among the three cases is much different. In Roberts, the
primary dispute was whether the vaccinee suffered from transverse myelitis as
three of her treating doctors testified or suffered from an embolism as the
Secretary’s experts, Dr. Sladky and a neuroradiologist, testified. The special
master credited the views of the treating doctors. She found Dr. Sladky’s
testimony not “as reliable and persuasive as the testimony” of petitioner’s treating
doctors for multiple reasons, one of which was Dr. Sladky’s failure to disclose his
licensing problems. Roberts, 2013 WL 5314698, at *9. The special master also
considered that the Secretary’s neuroradiologist thought the vaccinee’s imaging
presented a close call between the two diagnoses. Thus, the balance of the
evidence was on petitioners’ side.

       In Raymo, after the chief special master disregarded Dr. Sladky’s testimony,
the Secretary had “no other witnesses to counter Dr. Kinsbourne’s theory that [the
vaccinee] suffered from [acute transverse myelitis].” Raymo, 2014 WL 1092274,
at *2 n.9. The chief special master returned to the absence of evidence in
beginning her analysis. She stated:

             Because I attach no weight to the opinions of Drs. Sladky
             and Becker, Dr. Kinsbourne’s opinion is largely
             unrebutted. Although I have considered the expert report
             and testimony of Dr. Gill, her evidence was almost

                                            58
             exclusively focused on demonstrating that Dr. Becker's
             theory regarding a vascular cause for [the vaccinee’s]
             infarction was unsound, and thus is not relevant to the
             causation theory still before me.

Id. at 17 (footnote omitted). The “largely unrebutted” testimony from Dr.
Kinsbourne persuaded the chief special master to find in petitioner’s favor.

       Here, even if Dr. Sladky’s testimony were excluded, Mr. Contreras’s
evidence is far from “largely unrebutted.” There is conflicting evidence on
virtually every point. For example, Dr. Garrett’s opinion about the diagnosis does
not match the opinions of Dr. Steinman and Dr. Poser.

       The most prominent example of a conflict in evidence, independent of Dr.
Sladky’s evidence, concerns timing. Here, the contest was largely between Dr.
Steinman and Dr. Whitton. Dr. Whitton persuasively explained why a one-day
interval between vaccination and the onset of neurologic symptoms associated with
a lesion in the cervical spine was not biologically possible. Dr. Whitton’s position
is in accord with the 1994 IOM report (exhibits A, F, and V). In contrast, Dr.
Steinman could present only weak and unpersuasive support for his opinion that all
the steps associated with molecular mimicry can happen within one day. Dr.
Whitton’s testimony on timing was very strong and persuasive, making Dr.
Sladky’s testimony on this topic redundant. See Hulbert v. Sec'y of Health &
Human Servs., 49 Fed. Cl. 485, 490 (2001) (ruling that special master did not
commit reversible error in declining to strike one expert’s testimony when the
denial of compensation rested upon the testimony of another expert), aff’d, 35 Fed.
Appx 899 (Fed. Cir. 2002).

VI.   Conclusion

       Contreras 4, 116 Fed. Cl. at 484, remanded this case for a discussion of three
issues. First, the Court ordered an assessment of Dr. Sladky’s credibility and
reliability. Dr. Sladky, despite some misleading testimony about his qualifications,
remained credible enough to offer opinions. His opinions were based upon a
reliable methodology. In conjunction with these findings, Mr. Contreras’s post-
remand motion to strike Dr. Sladky’s evidence is denied. Second, the Court
ordered a comparison of credibility among the different people who testified either
by affidavit or in person. Dr. Sladky falls near the bottom of the list and Dr.
Whitton is at the top. Third, the Court ordered an analysis of the evidence
remaining after Dr. Sladky’s evidence was removed. This analysis does not

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change the outcome of the case. Mr. Contreras would still have failed to establish
the Althen prongs.

        Mr. Contreras remains not entitled to compensation. The Clerk’s Office is
instructed to enter judgment in accord with this decision unless a motion for review
is filed. The Clerk’s Office is also instructed to provide this decision to the
presiding judge pursuant to Vaccine Rule 28.1(a).

      IT IS SO ORDERED.

                                                   s/Christian J. Moran
                                                   Christian J. Moran
                                                   Special Master

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