Court Opinion

ID: 4342222
Source: CourtListenerOpinion
Date Created: 2018-11-16 15:10:39.951671+00
Date Added: 2024-06-11T14:48:59.110338
License: Public Domain

IN THE COMMONWEALTH COURT OF PENNSYLVANIA

Armstrong World Industries, Inc.,            :
                       Petitioner            :
                                             :
                    v.                       :   No. 1089 C.D. 2017
                                             :   Argued: September 14, 2018
Workers’ Compensation Appeal                 :
Board (Cooper, deceased),                    :
                        Respondent           :

BEFORE:      HONORABLE RENÉE COHN JUBELIRER, Judge
             HONORABLE CHRISTINE FIZZANO CANNON, Judge
             HONORABLE JAMES GARDNER COLINS, Senior Judge

OPINION NOT REPORTED

MEMORANDUM OPINION BY
JUDGE COHN JUBELIRER                             FILED: November 16, 2018

      Armstrong World Industries, Inc. (Employer) petitions for review of the July
24, 2017 Order1 of the Workers’ Compensation Appeal Board (Board) reaffirming
its prior November 26, 2014 Order that upheld the Workers’ Compensation
Judge’s (WCJ) June 28, 2012 decision granting the Claim Petition filed by Gene
M. Cooper (Claimant).2 The WCJ found that Claimant had timely filed his Claim
Petition and granted the Claim Petition based on her finding that Claimant suffered

      1
        This matter was argued seriately with Cooper (Deceased) v. Workers’ Compensation
Appeal Board (Armstrong World Industries, Inc.) (Pa. Cmwlth., No. 1163 C.D. 2017, filed
November 16, 2018), which involves a separate appeal from this July 24, 2017 Order filed by
Claimant.
      2
        Claimant passed away on February 5, 2014.
from work-related toxic encephalopathy with Parkinsonian symptoms caused by
his exposure to a variety of chemicals and solvents at work. On appeal, Employer
argues the Board erred: (1) by applying the discovery rule to conclude the Claim
Petition was timely under Section 315 of the Workers’ Compensation Act3 (WC
Act); and (2) in holding that Claimant met his burden of proving that his condition
was caused by work-related exposure to trichloroethylene (TCE).4 After review,
we discern no error in the Board’s decision and, therefore, we affirm.5

                                             I. Background
          Now in its 11th year, this litigation has a procedurally complex and highly
contentious history. On December 17, 2007, Claimant filed the Claim Petition
alleging that he sustained “encephalopathy with dementia” as of June 15, 2004,
due to “toxic exposure” while in the course and scope of his employment. The
Claim Petition was amended, pursuant to Section 108(c) of the WC Act, 77 P.S. §

          3
              Act of June 2, 1915, P.L. 736, as amended, 77 P.S. § 602.
          4
              Employer asserts four issues in its brief, which have been consolidated into these two
issues.
         Also before this Court is Claimant’s Application to Strike the Pleadings filed by Barley
          5

Snyder, LLP, Employer’s counsel, (Application to Strike), in which Claimant alleges that, on
May 5, 2016, the WCJ issued an order, via email, that disqualified counsel from further
representing Employer and that this order was never vacated. Because this order remains in
effect, Claimant asserts, all of the pleadings and filings made by Employer’s counsel should be
stricken. Employer filed a response, asserting the Application to Strike is without merit and
should be dismissed. We agree. In a December 7, 2016 decision (2016 Decision), the WCJ
expressly denied all of Claimant’s motions and/or requests to disqualify Employer’s counsel
from further participation in the ongoing litigation in this matter. Thus, to the extent that the
WCJ’s May 5, 2016 email could be construed as Claimant asserts, the WCJ essentially vacated
that “order” when she denied all of Claimant’s motions and/or requests to disqualify counsel in
the 2016 Decision. Accordingly, Claimant’s Application to Strike is denied.

                                                   2
27.1(c),6 to reflect that “Claimant was diagnosed with a work[-]related brain
disease, Parkinson’s disease.”7 (WCJ Decision, June 28, 2012, Finding of Fact
(FOF) ¶¶ 1-2.) Claimant filed, on February 13, 2008, an occupational disease
claim alleging he had “solvent induced encephalopathy with dementia” due to
“[c]hronic exposure to hydrocarbon distillates and halogenated hydrocarbons.”
(Id. ¶ 4.) Employer filed answers, denying the allegations and raising the defense
that the petitions were barred by the statute of limitations. (Id. ¶¶ 3, 5.)
       Over three years,8 the WCJ held numerous hearings, at which all witnesses,
including experts, testified in person. Following those hearings, the WCJ rendered
a 96-page decision, which summarizes the testimony of the witnesses and evidence
presented in 97 findings of fact.          She issued credibility determinations and
provided explanations for those determinations.            The testimony and evidence
accepted as credible by the WCJ establish the following relevant facts. The facts
relevant to Employer’s defense, which were not found to be credible and/or
convincing, are also set forth as noted.
       Claimant began working for Employer in April 1974. Over the next 30
years, Claimant worked in various locations throughout Employer’s Lancaster
plant and Hempfield warehouse. He spent some time in “Job Placement,” which
meant he was sent to whatever department in the Lancaster plant needed

       6
          Section 108(c) was added by Section 1 of the Act of October 17, 1972, as amended, 77
P.S. § 27.1(c).
        7
          Claimant had begun to exhibit Parkinsonian symptoms, including rigidity and tremors.
        8
          During this time period, Claimant filed numerous Penalty Petitions against Employer,
including ones on December 28, 2010, August 2, 2011, and November 20, 2011, which were
addressed and denied by the WCJ in her June 28, 2012 decision. This denial was affirmed by the
Board in its November 26, 2014 decision. (Board Op., Nov. 26, 2014, (2014 Board Op.) at 25-
26.) Claimant did not appeal the denial of these Penalty Petitions.

                                              3
assistance. (Id. ¶¶ 14i, 50c, 98.) Employer did not know where Claimant worked
when he was on “Job Placement.”          (Id. ¶ 50c.)      He worked at Employer’s
warehouse from 1979 until 1983, when he was transferred to Employer’s
centralized Inspections Department (Inspections) at its Lancaster plant. (Id. ¶ 98.)
Claimant was assigned to work in the “Big Room” for most of his career, which
meant he inspected flooring product brought to that room from other areas of the
plant. (Id. ¶¶ 14l, m.) However, as part of his duties, Claimant would also travel
to production lines outside the “Big Room,” including “12 Line” and “Ten Table”
to inspect flooring there.    (Id. ¶ 98.)       Employer decentralized its inspections
operation in 2000, assigning inspectors to individual production departments to
inspect the flooring on the production line. (Id. ¶ 14m.) Claimant was transferred
to the Corlon Department (Corlon), which made commercial flooring. (Id. ¶¶ 14m,
98.) Claimant worked in Building 200 on “Ten Table.” (Id. ¶ 98.)
      While working in Inspections and Corlon, Claimant was required, as needed,
to travel to various production lines to inspect product and to use certain solvents
to clean equipment, such as parts and rollers. (Id. ¶¶ 11, 14n.) A solvent called
Chlorothene was used to clean on a daily or almost daily basis, although using that
solvent was not a major part of an inspector’s duties. (Id. ¶ 11.) In 2000,
Claimant’s wife (Wife) began to notice a difference in Claimant’s behavior, such
as his regularly becoming irritable over nothing. (Id. ¶ 25j.)
      While working in Corlon in September 2003, Claimant was called to assist
in cleaning up 500 to 750 gallons of “Top Foam” that had spilled in Employer’s
Rotogravure Department (Rotogravure). (Id. ¶¶ 21e-g, 30-31, 33, 99, 101.) Top
Foam was composed of, among other ingredients, “paste” (which contains some
arsenic), Intercide ABF-2 DINP BA, plastisols, and Solvesso. (Id. ¶¶ 21e, 30i-k,

                                            4
33z.) Solvesso was also used to clean the floors after the spill. (Id.) Wife testified
that, in the last week of September 2003, Claimant came home from work
screaming, crying, swearing, and coughing as Wife had never heard before. (Id. ¶
25k.) They sought treatment for Claimant’s cough, but it did not resolve after two
courses of antibiotics. She further explained that Claimant never had any difficulty
learning, having obtained a business and finance degree from Millersville College
(now University) in 1989 and completed coursework toward an insurance
certificate to sell securities at Villanova University. Yet, from September 2003
onward, Claimant’s mental and behavioral condition began to deteriorate.
      In April 2004, Claimant moved to an entry level position in Rotogravure.
(Id. ¶ 98.) Solvesso was commonly used as a cleaner in Rotogravure. (Id. ¶¶ 18d,
18k, 30l, 30u, 33f.)     After his transfer, Claimant had problems during his
Rotogravure training with forgetfulness and an inability to learn the job. (Id. ¶¶
18j, 30t, 30x, 38k.) Claimant left work sick on April 23, 2004, and never returned.
(Id. ¶ 104.)
      Following his departure, Claimant’s mental and physical conditions
continued to deteriorate until Wife had to obtain legal guardianship of Claimant
due to his incapacity. In 2006, Claimant was placed in a secure residential facility.
It was while Claimant was in this facility in November 2007 that Wife saw a
document, from Employer’s long-term disability carrier, on which Claimant’s
then-treating physician indicated that Claimant’s condition was work-related.
(Hr’g Tr., Feb. 7, 2008, at 9-10.) This, according to Wife, was the first time she
learned that Claimant’s condition could be work-related. (Id. at 11; 2012 FOF ¶
102.) Based on this information, she filed the December 17, 2007 Claim Petition.

                                          5
       During discovery, Claimant requested from Employer records related to the
chemicals to which Claimant was exposed during his work history. Employer
could not produce these records because, it stated, those records, along with other
records requested, had been inadvertently destroyed during the demolition of
numerous buildings at the Lancaster plant. Although Claimant questioned the
validity of Employer’s assertion, he presented other evidence to describe his
exposure to chemicals at work. Claimant presented multiple Material Safety Data
Sheets (MSDS) for chemicals and solvents used at the plant, which he had received
from Employer during discovery. These included:

            Chlorothene; 1, 1, 1 Trichloroethane (TCA or Trichloroethane),9 the
             main component of Chlorothene;

            Solvesso (also known as Aromatic 150);

            #4 Solvent;

            TCE, the main component of #4 Solvent;

            Methylene Chloride, another component of #4 Solvent; and

            ABF-2 DINP BA.

(2012 FOF ¶¶ 13, 20, 52, 58-60.) Of these materials, TCA, TCE, and Methylene
Chloride are halogenated hydrocarbons,10 and Solvesso is a hydrocarbon distillate.

       9
           Finding of fact 60 refers to Exhibit C-26 as a MSDS for “1, 1, 1 Trichloroethylene.”
(2012 FOF ¶ 60.) This appears to be a typographical error because the MSDS marked Exhibit C-
26 is for “1, 1, 1 Trichloroethane.” (Ex. C-26.)
        10
            Finding of fact 64i also refers to “1, 1, 1 Trichloroethylene.” Chemist agreed at the
September 29, 2009 hearing that “1, 1, 1 Trichloroethylene” is a halogenated hydrocarbon, but it
is unclear whether the substance “1, 1, 1 Trichloroethylene” exists. (Hr’g Tr., Sept. 29, 2009, at
34.)

                                                6
(Id. ¶¶ 64i, 77o.) Each MSDS includes the material’s chemical makeup and
information pertaining to the safety and health concerns for the particular material.
Almost all of the MSDS presented reflect that exposure to these materials could
affect the central nervous system. (Id. ¶¶ 58-61.) The WCJ found the MSDS
accurately described the various chemical substances used at Employer’s Lancaster
plant. (Id. ¶ 96.) Claimant also offered Toxic Release Inventories (TRI), which
Employer sent to the Environmental Protection Agency and reflected that
Employer used TCE at its Lancaster plant and had released TCE “from its stacks”
into the air in 1993. (Id. ¶ 49.)
      Employer’s Global Environmental, Health and Safety (EHS) Manager Brent
Davis, who is also an industrial hygienist, testified that #4 Solvent, which contains
TCE, was used in Employer’s Tile Department, a place where Employer asserted
Claimant never worked. (Id. ¶¶ 77h, 78g.) However, he also acknowledged that
TCE “become[s] vapor[] at ambient temperatures and travel[s] everywhere.” (Id.
¶ 78g.) Mr. Davis also testified that TCE was “present in spray cans, [and] small
containers that maintenance would [use] throughout the plant” and that, for a
period of time, “Dow Chemical us[ed] the trade name of ‘Chlorothene’ for
trichloroethylene [TCE].” (Id. ¶¶ 78f, 78h.) Mr. Davis explained that TCA, like
other halogenated hydrocarbons, volatizes and becomes a part of the breathing
atmosphere so that “as soon as they [are] used, they contaminate the air that . . .
people breathe.”      (Id. ¶¶ 77p, 77q.)       He acknowledged that halogenated
hydrocarbons, hydrocarbon distillates, and petroleum distillates all volatize, were
subject to fugitive emissions, and can attack the brain. (Id. ¶¶ 77o, 77q, 77s.)
      In an effort to prove that TCE, via #4 Solvent, was used in Inspection and
Corlon where he had worked, Claimant presented the testimony of his co-worker

                                           7
John Yost. Mr. Yost testified that “Chloroethene” and something referred to as a
“safety solvent” was used in the areas where he and Claimant worked. (Hr’g Tr.,
May 29, 2008, at 26.) This resulted in some confusion over what substance was
used in Inspections and Corlon due to the similarity in the chemical names of the
relevant substances and because “Chloroethene” is a vinyl chloride monomer
(VCM) and a gas, not a solvent.           After additional testimony regarding the
differences between “Chloroethene,” “Chlorothene,” (which is TCA), and
“Trichloroethylene,” (which is TCE), the WCJ directed that Mr. Yost’s transcript
be corrected to reflect that “Chlorothene” (TCA) was the solvent used. (FOF ¶
11.) However, there were other instances in the record where the similarity of the
chemical names of TCA and TCE resulted in confusion regarding to which
substance the witnesses were referring.
      Both parties presented a number of expert witnesses in various medical and
scientific fields.    Claimant’s experts included: Reuban Gur, Ph.D., a
neuropsychologist; Ranhnish Chaudhry, M.D., a neurologist; Frederick W.
Fochtman, Ph.D., a board-certified toxicologist; and Timothy Martin, M.D., a
neurologist. The WCJ found the testimony of these witnesses to be credible,
convincing, and worthy of belief.
      Dr. Gur described the effects that exposure to halogenated hydrocarbons can
have on the brain’s structure and the corresponding changes to a person’s behavior.
(Id. ¶ 80.) According to Dr. Gur, Claimant’s PET scan revealed abnormal brain
function, and a February 2008 MRI revealed extensive damage mostly to
Claimant’s frontal lobe but extending into other areas, including the corpus
callosum, which is the connector between the left and right brain and which, in
Claimant, was more than two standard deviations lower than normal. (Id. ¶¶ 80o-

                                           8
q.)   The “[r]eduction of [corpus] callosum volume indicates solvents because
solvents work by melting fat” and the corpus callosum is a “body of nerve fibers
surrounded by myelin (fat).” (Id. ¶ 80r.) He explained that the effects of solvent
exposure on the structures of the mid-brain, such as the corpus callosum, can result
in Parkinsonian symptoms. (Id. ¶ 80w.) Based on his examination of Claimant,
Claimant’s MRIs, PET scan, the ruling out of other diagnoses for Claimant’s
condition by Claimant’s treating physicians, and the history of Claimant’s
exposure to solvents over time, Dr. Gur opined that Claimant had toxic
encephalopathy due to toxin exposure, and that this exposure also caused
Claimant’s Parkinsonian symptoms and dementia. (Id. ¶¶ 80w-y.) He explained
that while the brain may stabilize when exposure is stopped, there are certain
processes that are hard to reverse and can result in the continued deterioration of
the brain. (Id. ¶ 80ff.) Dr. Gur also indicated that Claimant’s deterioration was
faster than a typical Alzheimer’s patient. (Id. ¶ 80aa.)
       Dr. Chaudhry testified that he saw Claimant in July 2010, August 2010, and
November 2010, and that, in July, Claimant was unable to complete a neurologic
exam because Claimant would not or could not speak to him and/or follow
commands and could not stand or walk. (Id. ¶¶ 82b-c.) By August, Claimant was
starting to show Parkinsonian symptoms, and by November, Claimant’s behavior
was much worse. (Id. ¶¶ 82d-f.) Based on Wife’s description of Claimant’s
exposure history and the reports of Claimant’s industrial hygienist,11 which

       11
            Claimant’s industrial hygienist, Donna Wilson, testified that she “identified several
organic problems, halogenated solvents, and petroleum based solvents,” in the area Claimant
worked and, according to the TRI, there were halogenated hydrocarbons and hydrocarbon
distillates present at Employer’s plant. (FOF ¶¶ 74e, 74g.) The WCJ did not find this testimony
either credible or incredible because it was not germane because “as litigation developed the
(Footnote continued on next page…)

                                               9
reflected a history of toxic exposure at work to TCE, TCA, organic solvents, and
other toxins, and the fact that the differential diagnoses, such as trauma, stroke, and
tumors, were ruled out, Dr. Chaudhry opined that Claimant had organic brain
syndrome (encephalopathy or dementia) from that exposure. (Id. ¶¶ 82g-h.)
       Dr. Fochtman explained he was familiar with the hydrocarbon distillates to
which Claimant was exposed and explained how those, as well as halogenated
hydrocarbons, can enter the brain and cause toxic encephalopathy by attacking the
cells in the brain. (Id. ¶¶ 84c-d.) He explained that exposure to even small
amounts of these substances over time can build up and a single incident can push
the buildup “over the edge” and cause damage that, if severe enough, is
irreversible. (Id. ¶¶ 84e, k.) He opined that Claimant’s exposure to halogenated
hydrocarbons and hydrocarbon distillates caused Claimant’s toxic encephalopathy.
(Id. ¶ 84h.) As for Claimant’s Parkinsonian symptoms, Dr. Fochtman explained
that TCE exposure can cause those symptoms because of the way TCE
metabolizes. (Id. ¶¶ 84f, 84i.) Dr. Fochtman indicated that TCA and TCE are
different and, while their solvent effect on the body is similar, TCE is a more
harmful solvent. (Id. ¶ 84m.)
       Dr. Martin, a board-certified neurologist and psychiatrist, testified that he
was aware that Claimant had some exposure of solvents at work and later learned
more about that exposure. (Id. ¶¶ 86a-b, 86e.) Dr. Martin ruled out a variety of
differential diagnoses and opined that Claimant suffered from progressive
dementia secondary to solvent exposure. (Id. ¶¶ 86g-h.) He agreed with Dr. Gur’s

_____________________________
(continued…)
Employer admitted the existence of these chemicals [(halogenated hydrocarbons and others)]” at
the Lancaster plant. (Id. ¶ 76.)

                                             10
findings and explained that demyelinating illnesses, such as Multiple Sclerosis,
have a very focal neurological process, but Claimant’s brain showed a global
change, with changes in his frontal, temporal, and parietal areas, and these changes
are progressive. (Id. ¶¶ 86i-j.) Dr. Martin further explained that Parkinsonian
symptoms can be seen with toxic encephalopathy because, with a general
deterioration of the brain, movement disorders and cognitive impairment can
develop. (Id. ¶ 86j.) Dr. Martin did not believe Claimant had Alzheimer’s disease
and could not find another “explanation for Claimant’s decline other than exposure
to some type of hydrocarbon, probably TCE if the history is exposure to that.” (Id.
¶¶ 86k-l.) However, if there was no history of exposure to solvents, Dr. Martin
would diagnose Claimant with dementia of unknown etiology. (Id. ¶ 86p.) After
receiving additional information about Claimant’s potential exposure to TCE, Dr.
Martin later testified more specifically as to how TCE effects the “basal ganglia
and substantia nigra structures, which is [from] where Parkinsonian symptoms
would have come.” (Id. ¶ 87c.)
      In opposition to the Claim Petition, Employer presented the testimony of
Gordon Sze, M.D., a neuroradiologist; and Michael Holland, M.D., who is board-
certified in emergency medicine, medical toxicology, occupational medicine, and
undersea and hyperbaric medicine.       Unlike Claimant’s witnesses, neither of
Employer’s witnesses examined or provided treatment to Claimant. (Id. ¶¶ 90d,
92b.) Employer’s witnesses disagreed that Claimant was suffering from toxic
encephalopathy with dementia and Parkinsonian symptoms as a result of solvent
exposure. (Id. ¶¶ 90e, 90i-j, 90n, 92.) Those experts opined that Claimant’s
medical records, MRIs, and PET scan did not support this diagnosis. (Id. ¶¶ 90f,
92c, 92h-i.) Dr. Sze testified, however, that he did not “want to deal with any

                                        11
occupational exposure issues” because “[i]t’s not [his] area of expertise.” (Id. ¶
90s.) Dr. Holland opined that Claimant had early onset Alzheimer’s disease. (Id. ¶
92f.) The WCJ found Dr. Sze’s opinions to be credible, but rejected them where
they differed from those of Claimant’s experts. (Id. ¶ 91.) The WCJ rejected Dr.
Holland’s testimony as not credible or convincing and, where his opinions differed
from Claimant’s experts, they were rejected. (Id. ¶ 93.)
      Based on the credited evidence and testimony, the WCJ found that over
Claimant’s 30-year tenure working for Employer, he was “exposed to various
chemicals, solvents and chemical compounds, such as specifically, but limited to
. . . Chlorothene, Trichloroethane, Trichloroethylene, #4 Solvent, Top Foam,
OB/Blue, Intercide ABF and Aromatic 150 (Solvesso) . . . .” (Id. ¶ 99.) The WCJ
further found that “Claimant . . . [was] exposed to various halogenated
hydrocarbons, hydrocarbon distillates, and petroleum distillates during his 30[-
]year tenure . . . with [Employer].” (Id. ¶ 100.) Due to this exposure, the WCJ
found, Claimant sustained “toxic encephalopathy resulting in Parkinsonian
symptoms as diagnosed by Dr. Reuben Gur.” (Id. ¶ 103.) Additionally, the WCJ
found that the Claim Petition was filed within the time required by the WC Act
because “Claimant became aware of the possibility of his medical condition being
related to an exposure of chemicals in the workplace in November 2007.” (Id. ¶
102.) For these reasons, the WCJ granted the Claim Petition, as of April 23, 2004,
and directed Employer to pay for Claimant’s reasonable and necessary medical
expenses and litigation costs in the amount of $99,684.04.12 (Id. ¶¶ 105-06, 108.)

      12
          The WCJ dismissed a separately-filed claim under The Pennsylvania Occupational
Disease Act, Act of June 21, 1939, P.L. 566, as amended, 77 P.S. §§ 1201-1603. (WCJ Order,
June 28, 2012.)

                                           12
The WCJ found Employer’s contest was reasonable and, therefore, did not award
unreasonable contest attorney’s fees. (Id. ¶ 109.)

                                  II. Board Decision
      Employer appealed to the Board, arguing, as relevant here, that the WCJ
erred in finding the Claim Petition was timely filed and that Claimant met his
burden of proving a causal connection between his condition and his exposure to
chemicals at work. On the first issue, Employer argued the “discovery rule” did
not apply to toll the statute of limitations, set forth in Section 315 of the WC Act,
77 P.S. § 602, because this was not an occupational disease case. The Board
rejected this argument, stating “that a fair reading of the WCJ’s Decision
indicate[d] that she granted Claimant’s claim and awarded benefits under the
occupational disease provisions of the [WC] Act, and as such, the ‘discovery rule’
would apply for purposes of the statute of limitation.” (Board Op., Nov. 26, 2014,
(2014 Board Op.) at 4 n.5.) Because Claimant’s guardian, Wife, first received
notice that Claimant’s condition was work related in November 2007, when a
physician’s statement sent to Employer’s long-term disability carrier indicated as
much, the Board held that the claim was timely filed. (Id. at 4 (citing Temple Univ.
v. Workmen’s Comp. Appeal Bd. (Ins. Co. of N. Am.), 588 A.2d 63, 66 (Pa.
Cmwlth. 1991)).)
      On the second issue, whether Claimant met his burden of proof on causation,
the Board went through the testimony and evidence presented and concluded that

      [b]oth parties presented multiple witnesses who testified as to the
      presence of chemicals in [Employer’s] plant. While there was some
      dispute as to the extent Claimant may have been exposed to these
      chemicals . . . , the WCJ resolved this issue in Claimant’s favor based
      on the credible testimony of various witnesses that Claimant was

                                         13
       exposed to various chemicals and solvents during the course of his
       extensive career with [Employer] . . . . In addition, the WCJ accepted
       as credible Claimant’s medical experts, who all testified as the effects
       that the chemicals and solvents to which Claimant was exposed, had
       on his brain, which resulted in toxic encephalopathy, which led to
       Claimant’s mental decline.

(Id. at 21-22.) This credible evidence, the Board concluded, constituted substantial
evidence to support the WCJ’s findings. Accordingly, there was no error in the
WCJ granting the Claim Petition based on those findings.
       For these reasons, the Board affirmed these two determinations of the WCJ.
However, the Board remanded the matter for further proceedings on two matters.13
Following these proceedings, the Board issued its July 24, 2017 Order, in which it
certified its November 26, 2014 order as final, making it appealable. Employer
now petitions this Court for review.14

                                     III.       Discussion
                        A.      Whether the Claim Petition was Timely.
       Employer first argues that, pursuant to Section 315 of the WC Act, a claim
petition must be filed within three years after the date of injury. It acknowledges
that the “discovery rule” may toll this three-year period for an occupational disease
claim, City of McKeesport v. Workers’ Compensation Appeal Board (Miletti), 746
A.2d 87, 90 n.7 (Pa. 2000); however, that rule does not apply in a work injury

       13
          Employer also raised several other issues with which the Board agreed and either
modified the decision or remanded for further proceedings. (2014 Board Op. at 22-24.)
       14
          In reviewing Board orders, we determine “whether constitutional rights were violated,
whether the adjudication is in accordance with the law[,] or whether necessary findings of fact
are supported by substantial evidence.” City of Phila. v. Workers’ Comp. Appeal Bd. (Sherlock),
934 A.2d 156, 159 n.5 (Pa. Cmwlth. 2007).

                                              14
case, Armco, Inc. v. Workmen’s Compensation Appeal Board (Mattern), 667 A.2d
710, 717 (Pa. 1995). Employer asserts the WCJ did not treat Claimant’s claim as
an   occupational    disease   claim,   which   was   appropriate   because   toxic
encephalopathy is not mentioned as a specific occupational disease under Section
108 of the WC Act, 77 P.S. § 27.1. Accordingly, Employer argues, this claim is
time barred.
      Claimant responds that the WCJ found that the claim was timely because he
did not know that his injury, which was an “occupational disease” under the WC
Act because it was caused by “poisoning by . . . halogenated hydrocarbons . . . or
any preparations containing these chemicals,” was work related until he was
diagnosed with work-related toxic encephalopathy in November 2007.
(Claimant’s Brief (Br.) at 14 (quoting 77 P.S. § 27.1(c)).) Because his total
disability was due to an occupational disease under those provisions of the WC
Act, Claimant argues the discovery rule applies and the Claim Petition had to be
filed within three years of when he knew or should have known through reasonable
diligence that the disability was caused by an occupational disease. Jones &
Laughlin Steel Corp. v. Workmen’s Comp. Appeal Bd. (Feiertag), 496 A.2d 412,
419 (Pa. Cmwlth. 1985). Here, his Claim Petition was filed approximately one
month after the discovery that Claimant’s condition was work related and,
accordingly, it was timely. Temple Univ., 588 A.2d at 66.
      Section 315 of the WC Act addresses when claims for WC benefits must be
filed and provides, in relevant part:

                                         15
       In cases of personal injury[15] all claims for compensation shall be
       forever barred, unless, within three years after the injury, . . . one of
       the parties shall have filed a petition as provided in article four hereof
       . . . . The term “injury” in this section means, in cases of occupational
       disease, disability resulting from occupational disease.

77 P.S. § 602.         Under this section generally, a claimant seeking workers’
compensation benefits for an alleged work-related injury must file a claim within
three years of that injury or that claim will be time barred. Armco, Inc., 667 A.2d
at 717. However, where the “injury” is a claim for total disability caused by an
occupational disease, the three-year statute of limitations begins to run from “when
the claimant knows or should know that he or she suffers from total disability due
to occupational disease.” Price v. Workmen’s Comp. Appeal Bd. (Metallurgical
Res.), 626 A.2d 114, 115 (Pa. 1993) (emphasis omitted). “This knowledge will
most often occur [when] . . . a medical diagnosis of the total disability due to
occupational disease is made known to the claimant.” Id. The occupational
disease provisions of the WC Act are set forth in Section 108, which states, in
relevant part:

       The term “occupational disease,” as used in this act, shall mean only
       the following diseases.
       ....
       (c) Poisoning by . . . hydrocarbon distillates (naphthas and others)
       or halogenated hydrocarbons, . . . or any preparations containing
       these chemicals or any of them, in any occupation involving direct
       contact with, handling thereof, or exposure thereto.
       ....

       15
           The WC Act defines “personal injury” to include: (1) “an injury to an employe,
regardless of his previous physical condition, except as provided under subsection (f), arising in
the course of his employment and related thereto, and such disease or infection as naturally
results from the injury or is aggravated, reactivated or accelerated by the injury”; and (2)
“occupational disease as defined in section 108 of this act.” Section 301(c) of the WC Act, 77
P.S. § 411.

                                               16
      (n) All other diseases (1) to which the claimant is exposed by reason
      of his employment, and (2) which are causally related to the industry
      or occupation, and (3) the incidence of which is substantially greater
      in that industry or occupation than in the general population . . . .

77 P.S. § 27.1(c), (n) (emphasis added). Subsection (c) refers to a particular type
of disease, poisoning by, among other things, hydrocarbon distillates or
halogenated hydrocarbons, and subsection (n) is referred to as the “catch-all”
provision. Pawlosky v. Workmen’s Comp. Appeal Bd. (Latrobe Brewing Co.), 473
A.2d 260, 261 n.4 (Pa. Cmwlth. 1984), aff’d, 525 A.2d 1204 (Pa. 1987).
      Here, Claimant filed petitions that specifically included claims under Section
108(c) and (n) of the WC Act. Employer argues this matter cannot be considered
an occupational disease claim because toxic encephalopathy is not a disease
specifically listed in Section 108(c), which refers only to “[p]oisoning.”
(Employer’s Br. at 33 and n.7.)      However, our Supreme Court affirmed the
application of the discovery rule to a claim under Section 108(a) of the WC Act for
“lead encephalopathy” caused by work-related exposure to lead notwithstanding
that this section refers to “poisoning by . . . lead” but not specifically to
“encephalopathy.” Price, 626 A.2d at 117. Moreover, the claimant in Temple
University successfully asserted a claim pursuant to Section 108(c) for organic
brain damage and an immune dysfunction, neither of which is specifically
referenced by this section, due to her overexposure to halogenated hydrocarbons.
588 A.2d at 64-65. Like the “lead encephalopathy” and “organic brain damage” at
issue in Price and Temple University, “toxic encephalopathy” is a type of
“poisoning” caused by exposure to halogenated hydrocarbons and hydrocarbon
distillates under Section 108(c) of the WC Act, and reading Section 108 as
narrowly as Employer asserts is inconsistent with our precedent.

                                        17
      Although the WCJ did not specifically find that Claimant suffered from an
occupational disease, she did find that Claimant’s toxic encephalopathy was caused
by his work exposure to, among other chemicals, halogenated hydrocarbons and
hydrocarbon distillates. “Poisoning” by these chemicals is expressly addressed as
an occupational disease in Section 108(c) of the WC Act. As the Board held, a
“fair reading” of the WCJ’s decision was that Claimant’s claim was based on the
occupational disease provisions of the WC Act.       (Board 2014 Op. at 4 n.5.)
Because Claimant sought compensation for total disability due to an occupational
disease, he had three years from when he knew or should have known that his total
disability was work-related. Price, 626 A.2d at 115. The WCJ found that this
occurred in November 2007, when Wife learned, from a document signed by
Claimant’s then-treating physician, that Claimant was suffering from work-related
toxic encephalopathy. The December 2007 Claim Petition was filed within three
years of November 2007 and, therefore, was timely.

      B.    Whether Claimant Met His Burden of Proof on the Claim Petition.
      Employer next argues the Board erred in affirming the grant of the Claim
Petition because there was no competent medical evidence to support the
conclusion that Claimant’s condition was caused by his exposure to TCE in the
workplace. Employer further asserts there is no evidence to support the findings
that Claimant experienced significant exposure to TCE, via #4 Solvent, because
that solvent was not used where Claimant worked and no TCE was present in the
September 25, 2003 spill. To the extent Claimant continues to argue that he was
exposed to TCE, Employer asserts Claimant relies only upon the uncorrected
transcript of Mr. Yost’s testimony which Claimant contends indicated that TCE
was used in Inspections and Corlon. Absent evidence of significant exposure to

                                       18
TCE, which does not exist, Employer argues, Claimant’s experts’ testimony is not
competent because they all relied upon Claimant’s exposure to TCE to diagnose
him with toxic encephalopathy with Parkinsonian symptoms. City of Phila. v.
Workers’ Comp. Appeal Bd. (Kriebel), 29 A.3d 762, 764 (Pa. 2011) (stating that an
expert’s testimony that is based on an inaccurate history cannot be substantial
evidence to support an award of benefits).      In particular, Employer cites Dr.
Martin’s testimony on cross-examination that he would have no other explanation
for Claimant’s condition, and the Parkinsonian symptoms in particular, if Claimant
had not been exposed to TCE at work and that, absent that exposure, the diagnosis
would be dementia of an unknown etiology. (Reproduced Record (R.R.) at 190a-
91a.) Finally, Employer points out that the WCJ repeatedly confused TCA and
TCE and that, while Claimant may have established exposure to TCA and
Solvesso, those materials would not have caused Claimant’s Parkinsonian
symptoms.
      Claimant asserts there is substantial evidence to support that he was exposed
to TCE while working at Employer’s Lancaster plant. He asserts that, in response
to Claimant’s discovery request for his Exposure and Medical Records, Employer
produced the MSDS for, among other materials, #4 Solvent, which is a blend of
two hydrocarbon solvents, TCE and methyl ethyl ketone. According to Claimant,
Employer took the position that it was producing only items that it thought were
“relevant” to Claimant’s employment, and giving him the MSDS for #4 Solvent
indicates that it was relevant. Claimant also asserts that his witness, Mr. Yost,
testified that Chloroethene was used throughout the plant as a cleaning agent.
Thus, Claimant argues, the WCJ had evidence in the record to support her

                                        19
conclusion that Claimant was exposed to “Trichloroethene,[16] Trichloroethylene
[and] #4 Solvent,” and the causation opinions of his experts were supported by the
evidence. (Claimant’s Br. at 22.)
      In a claim petition proceeding, the claimant bears the burden of establishing
all of the elements necessary to support an award of WC benefits, including the
existence of an injury and disability, and a causal relationship between the injury
and the claimant’s work.      Giant Eagle, Inc. v. Workers’ Comp. Appeal Bd.
(Thomas), 725 A.2d 873, 876 (Pa. Cmwlth. 1999). Pursuant to Section 108(c) of
the WC Act, an occupational disease includes “[p]oisoning by . . . hydrocarbon
distillates . . . or halogenated hydrocarbons, . . . or any preparations containing
these chemicals . . ., in any occupation involving direct contact with, handling
thereof, or exposure thereto.” 77 P.S. § 27.1(c).
      Employer contends Claimant did not meet his burden of proof on the Claim
Petition, and challenges the WCJ’s factual determination that Claimant was
exposed to, among other halogenated hydrocarbons, TCE, as well as the
competency of Claimant’s expert witnesses. Where a party challenges a WCJ’s
findings on the basis that they are not supported by substantial evidence, we are
guided by the following well-settled legal principles. The WCJ, as the ultimate
fact-finder, “has exclusive province over questions of credibility and evidentiary
weight[,]” and we are bound by those determinations. A & J Builders, Inc. v.
Workers’ Comp. Appeal Bd. (Verdi), 78 A.3d 1233, 1238 (Pa. Cmwlth. 2013)
(quoting Anderson v. Workers’ Comp. Appeal Bd. (Penn Ctr. for Rehab.), 15 A.3d
944, 949 (Pa. Cmwlth. 2010)). “The WCJ may accept or reject the testimony of

      16
          The WCJ actually found that Claimant was exposed to “Trichloroethane,” not
“Trichloroethene” as Claimant indicates in his brief.

                                         20
any witness, including a medical witness, in whole or in part.” Id. In a substantial
evidence challenge, we “view the evidence in the light most favorable to the
prevailing party and give [that party] the benefit of all inferences reasonably
deduced from the evidence.” Id. “Substantial evidence is such relevant evidence a
reasonable mind might accept as adequate to support a conclusion.” WAWA v.
Workers’ Comp. Appeal Bd. (Seltzer), 951 A.2d 405, 407 n.4 (Pa. Cmwlth. 2008).
“[I]t is irrelevant whether the record contains evidence to support findings other
than those made by the WCJ; the critical inquiry is whether there is evidence to
support the findings actually made.” Minicozzi v. Workers’ Comp. Appeal Bd.
(Indus. Metal Plating, Inc.), 873 A.2d 25, 29 (Pa. Cmwlth. 2005). If there is “such
evidence, the findings must be upheld.” A & J Builders, Inc., 78 A.3d at 1238-39.
      The WCJ found that Claimant was exposed to numerous chemicals,
including multiple halogenated hydrocarbons, such as TCE and TCA, and
hydrocarbon distillates, such as Solvesso.      The WCJ concluded that it was
Claimant’s exposure to these materials, not just TCE, that caused his toxic
encephalopathy with Parkinsonian symptoms. The record supports the finding that
Claimant was exposed to TCA, via the solvent Chlorothene, while working in
Inspections and Corlon, as well as Solvesso, while assisting in cleaning up the
September 2003 spill and working in Rotogravure beginning in 2004. Employer’s
Global EHS Manager, Mr. Davis, testified that, like TCE, TCA and Solvesso
volatize and become part of the atmosphere, contaminate the breathing air, and can
attack the brain. (Hr’g Tr., Sept. 29, 2009, at 114; FOF ¶¶ 78g-h.)
      Employer appears only to challenge the finding that Claimant was exposed
to TCE.    We agree with Employer that Claimant’s reliance on Mr. Yost’s
testimony to support his contention that he was exposed to TCE is misplaced. The

                                        21
original transcript reflected that Mr. Yost testified that he and Claimant used
Chloroethene/VCM to clean parts and rollers, but Chloroethene/VCM is a gas, not
a solvent. Upon reviewing other evidence, the WCJ found that the transcript of
Mr. Yost’s testimony should have reflected that Chlorothene was used to clean.
(FOF ¶ 11.)      Nevertheless, we agree with the Board that both Claimant and
Employer presented evidence regarding Claimant’s exposure to chemicals,
including TCE, at work. And, while there were disputes regarding the extent to
which Claimant may have been exposed, the WCJ carefully reviewed the evidence
and, acting within her role as fact finder and arbiter of credibility and evidentiary
weight, credited the evidence of exposure, rather than non-exposure.17 Our review
of the record reveals evidence that, when viewed in the light most favorable to
Claimant as the prevailing party, supports the WCJ’s findings and conclusion that
Claimant satisfied his burden of proof.
       For example, there was testimony that TCE was used throughout Employer’s
Lancaster plant, including by maintenance workers, who had it in spray cans and
buckets. (Hr’g Tr., Sept. 29, 2009, at 115-16; Hr’g Tr., Nov. 4, 2011, at 228; FOF
¶ 78f.) Additional testimony indicated that, at some point, “Chlorothene,” the
name of the solvent utilized in Corlon, was also used by Dow Chemical as the
trade name for “trichloroethylene,” which is TCE. (Hr’g Tr., Nov. 4, 2011, at 304;
FOF ¶ 78h.) According to other testimony, “trichloroethylene” was used at the
Ten Table “early on” and in the maintenance shop in the Big Room, places where
Claimant worked between 1983 and 2004. (Hr’g Tr., July 30, 2009, at 165-66,

       17
          To the extent Employer asserts the WCJ was confused by the differences between TCE
and TCA, the WCJ presided over this matter for almost a decade and was aware of the various
terms and their meanings. While there may have been the occasional misstatement of a scientific
term in the WCJ’s opinion, such errors do not establish that the WCJ was confused.

                                              22
169; see FOF ¶¶ 14m, 53l, 98.) The MSDS for #4 Solvent, which contains TCE,
was given to Claimant during discovery as evidence described by Employer as
relevant to his claim. (FOF ¶ 58; Ex. C-24.) The evidence further reveals that
Employer’s plant used and disposed of, at some points, hundreds of thousands of
pounds of TCE, 900,000 pounds of which were released into the air in one year.
(FOF ¶ 49; Ex. C-22; Hr’g Tr., Nov. 4, 2011, at 297-98.) Viewing this credited
evidence, and the reasonable inferences deducible therefrom, in the light most
favorable to Claimant, a reasonable mind might accept it as evidence that Claimant
was exposed to TCE, along with other halogenated hydrocarbons and hydrocarbon
distillates, during his 30 years working for Employer. Accordingly, the WCJ’s
findings in this regard are supported by the record.
      Employer also challenges the competency of Claimant’s expert witnesses,
arguing that they all erroneously relied on evidence of Claimant’s exposure to TCE
in rendering their opinions regarding the work-relatedness of Claimant’s
diagnoses. “Medical evidence that relies on possibilities, or is less than positive” is
equivocal and not legally competent evidence on causation. Kriebel, 29 A.3d at
769 (quotation omitted). An expert may base an opinion on facts of which the
expert does not have personal knowledge, but “those facts must be supported by
record evidence.” Id. at 771. Whether an expert’s opinion is competent is a
question of law subject to plenary review. Lewis v. Workmen’s Comp. Appeal Bd.
(Pittsburgh Bd. of Educ.), 498 A.2d 800, 803 (Pa. 1985). “In conducting such
review the medical witness’s entire testimony must be reviewed and taken as a
whole[,] and a final decision ‘should not rest upon a few words taken out of the
context of the entire testimony.’” Id. (quoting Wilkes–Barre City v. Workmen’s

                                          23
Comp. Appeal Bd. (Scott), 420 A.2d 795, 798 (Pa. Cmwlth. 1980)) (emphasis
added).
       On the issue of causation, the WCJ found that Claimant was exposed to a
number of halogenated hydrocarbons and hydrocarbon distillates, and that his work
injury was, as diagnosed by Dr. Gur, “toxic encephalopathy resulting in
Parkinsonian symptoms.”          (FOF ¶¶ 100, 103.)          Employer narrowly reads
Claimant’s experts’ testimony as being that Claimant’s exposure to TCE alone
caused his toxic encephalopathy with Parkinsonian symptoms.                  However, as
concluded above, the WCJ’s finding that Claimant was exposed to TCE over his
30 years working for Employer is supported by the record. Therefore, to the extent
Claimant’s experts relied upon TCE exposure to reach their conclusions, that
reliance did not render their testimony not legally competent.18
       Moreover, although the parties focus on Claimant’s exposure to TCE, the
WCJ found that Claimant’s toxic encephalopathy with Parkinsonian symptoms was
the result of Claimant’s work-related exposure to numerous chemicals and
solvents, only one of which was TCE. (FOF ¶¶ 80w-y, 82g-h, 86k, 100, 103.)
Carefully reviewing the credited expert testimony as a whole, as we must, Lewis,
498 A.2d at 803, that expert testimony also supports the WCJ’s more general
finding that exposure to halogenated hydrocarbons and/or hydrocarbon distillates
caused Claimant’s condition. Dr. Gur explained how halogenated hydrocarbon
and hydrocarbon distillate solvents attacked Claimant’s brain and caused his
encephalopathy. (Hr’g Tr., Nov. 10, 2010, at 32-50, 61-62, 85.) He indicated that

       18
          Employer also contends that Claimant’s experts’ opinions were based on their
understanding that Claimant was exposed to a significant amount of TCE. However, several of
Claimant’s experts testified that exposure to small amounts of halogenated hydrocarbons over
long periods of time can cause brain damage like the damage Claimant sustained.

                                            24
even small doses over a long period of time can result in toxic encephalopathy,
which can produce symptoms that cross disease barriers, such as seizures and
Parkinsonian symptoms.     (Id. at 63, 69-71.)   Although TCE was one of the
materials Dr. Gur was told Claimant was exposed to at work, it was not the only
halogenated hydrocarbon on that list. Dr. Fochtman explained that Claimant’s
exposure to hydrocarbon distillates, such as Solvesso, could cause toxic
encephalopathy.    (Hr’g Tr., Jan. 5, 2011, at 12.)       He further opined that
hydrocarbons, generally, have a solvating effect on the brain and can cause toxic
encephalopathy. (Id. at 16-17, 37.) Dr. Fochtman explained that if there was no
exposure to solvents, then his diagnosis would be dementia of unknown etiology.
(Id. at 54.) Dr. Martin agreed with Dr. Gur’s testimony, and he indicated that
chronic exposure to lower levels of solvents over time could cause toxic
encephalopathy.    (Id. at 72-73, 84.)    He further explained that Parkinsonian
symptoms can occur when there is a general deterioration of the brain. (Id. at 91-
92.) The testimony of Dr. Martin cited by Employer in its brief occurred during
cross-examination and focused on TCE as the cause of Claimant’s Parkinsonian
symptoms. (Hr’g Tr., Oct. 6, 2011, at 37-38.) However, Dr. Martin also testified
that exposure to halogenated hydrocarbons generally can cause toxic
encephalopathy, that general brain deterioration can result in Parkinsonian
symptoms, and that Claimant’s condition was caused by his exposure to
halogenated hydrocarbons at work. The WCJ credited these experts’ testimony
and, viewing this evidence and the reasonable inferences deducible therefrom in
the light most favorable to Claimant, a reasonable mind might accept it as evidence
that supports the WCJ’s findings and conclusion that Claimant met his burden of
proof on the Claim Petition.

                                         25
                                     IV.       Conclusion
       Because the Board did not err in concluding that the Claim Petition was
timely filed and that the WCJ’s findings and conclusions that Claimant met his
burden of proof on the Claim Petition were supported by substantial, competent
evidence, we affirm.19

                                           _____________________________________
                                           RENÉE COHN JUBELIRER, Judge

Judges McCullough and Ceisler did not participate in the decision in this case.

       19
         For these reasons, we dismiss what Claimant has filed and called an Application for a
Writ of Mandamus, which seeks the same relief as Claimant’s other filings, a remand for further
proceedings on the Claim Petition.

                                              26
       IN THE COMMONWEALTH COURT OF PENNSYLVANIA

Armstrong World Industries, Inc.,      :
                       Petitioner      :
                                       :
                 v.                    :   No. 1089 C.D. 2017
                                       :
Workers’ Compensation Appeal           :
Board (Cooper, deceased),              :
                        Respondent     :

                                    ORDER

     NOW,     November 16, 2018, the Order of the Workers’ Compensation
Appeal Board, entered in the above-captioned matter, is AFFIRMED. In addition,
the Application to Strike the Pleadings filed by Barley Snyder, LLP, filed by
counsel for Gene M. Cooper (deceased) (Claimant), is DENIED, and the
Application for a Writ of Mandamus filed by Claimant is DISMISSED.

                                     _____________________________________
                                     RENÉE COHN JUBELIRER, Judge