Court Opinion

ID: 4187172
Source: CourtListenerOpinion
Date Created: 2017-07-18 20:03:02.036551+00
Date Added: 2024-06-11T14:40:01.460632
License: Public Domain

In the United States Court of Federal Claims
                              OFFICE OF SPECIAL MASTERS
                                      No. 02-472V
                                    (To be published)

*************************
BRIAN HOOKER and                             *
MARCIE HOOKER,                               *
parents of SRH, a minor,                     *            Filed: April 11, 2017
                                             *
                      Petitioners,           *
                                             *            Vaccine Act Fees and Costs;
               v.                            *            Autism Case; Reasonable Basis
                                             *
SECRETARY OF HEALTH AND                      *
HUMAN SERVICES                               *
                                             *
                      Respondent.            *
*************************
Clifford Shoemaker, Shoemaker, Gentry & Knickelbein, Vienna, VA, for Petitioners.
Justine Walters, U.S. Department of Justice, Washington, DC, for Respondent.

                DECISION AWARDING ATTORNEYS’ FEES AND COSTS

HASTINGS, Special Master.

        In this case under the National Vaccine Injury Compensation Program (hereinafter “the
Program”1), in which Petitioners unsuccessfully contended that their child’s autism spectrum
disorder was vaccine-caused, Petitioners seek, pursuant to 42 U.S.C. § 300aa-15(e)(1), an award
for attorneys’ fees and other costs incurred in attempting to obtain Program compensation. After
careful consideration, I have determined to grant the request in part, but to deny it in significant
part, because it was not reasonable for Petitioners to continue to pursue their very weak case
after August 31, 2011. Their claim is for a total of $210,039.67 in fees and costs, but I award
only a total of $47,888.53.

1
        The applicable statutory provisions defining the Program are found at 42 U.S.C. § 300aa-
10 et seq. (2012 ed.). Hereinafter, for ease of citation, all "§" references will be to 42 U.S.C.
(2012 ed.). The statutory provisions defining the Program are also sometimes referred to as the
“Vaccine Act.”

                                                 1
                                                  I
  BACKGROUND LAW CONCERNING ATTORNEYS’ FEES AND COSTS AWARDS
A. General
        Special masters have the authority to award “reasonable” attorneys' fees and litigation
costs in Vaccine Act cases. §300aa–15(e)(1). This is true even when a petitioner is unsuccessful
on the merits of the case, if the petition was filed in good faith and with a reasonable basis. Id.
“The determination of the amount of reasonable attorneys' fees is within the special master's
discretion.” Saxton v. HHS, 3 F.3d 1517, 1520 (Fed. Cir. 1993); see also Shaw v. HHS, 609 F.3d
1372, 1377 (Fed. Cir. 2010).

        Further, as to all aspects of a claim for attorneys' fees and costs, the burden is on the
petitioner to demonstrate that the attorneys' fees claimed are “reasonable.” Sabella v. HHS, 86
Fed. Cl. 201, 215 (2009); Hensley v. Eckerhart, 461 U.S. 424, 437 (1983); Rupert v. HHS, 52
Fed. Cl. 684, 686 (2002); Wilcox v. HHS, No. 90–991V, 1997 WL 101572, at *4 (Fed. Cl. Spec.
Mstr. Feb. 14, 1997). The petitioner's burden of proof to demonstrate “reasonableness” applies
equally to costs as well as attorneys' fees. Perreira v. HHS, 27 Fed. Cl. 29, 34 (1992), aff'd, 33
F.3d 1375 (Fed. Cir. 1994).

         One test of the “reasonableness” of a fee or cost item is whether a hypothetical petitioner,
who had to use his own resources to pay his attorney for Vaccine Act representation, would be
willing to pay for such expenditure. Riggins v. HHS, No. 99–382V, 2009 WL 3319818, at *3
(Fed. Cl. Spec. Mstr. June 15, 2009), aff'd by unpublished order (Fed. Cl. Dec. 10, 2009), aff’d,
406 Fed. App’x. 479 (Fed. Cir. 2011); Sabella v. HHS, No. 02–1627V, 2008 WL 4426040, at
*28 (Fed. Cl. Spec. Mstr. Aug. 29, 2008), aff'd in part and rev'd in part, 86 Fed. Cl. 201 (2009).
In this regard, the United States Court of Appeals for the Federal Circuit has noted that:

       [i]n the private sector, ‘billing judgment’ is an important component in fee setting. It is
       no less important here. Hours that are not properly billed to one's client also are not
       properly billed to one's adversary pursuant to statutory authority.

Saxton, 3 F.3d at 1521 (emphasis in original) (quoting Hensley, 461 U.S. at 433–34). Therefore,
in assessing the number of hours reasonably expended by an attorney, the court must exclude
those “hours that are excessive, redundant, or otherwise unnecessary, just as a lawyer in private
practice ethically is obligated to exclude such hours from his fee submission.” Hensley, 461 U.S.
at 434; see also Riggins, 2009 WL 3319818, at *4.

        The Federal Circuit has also made clear that special masters may rely on their prior
experience in making reasonable fee determinations, without conducting a line-by-line analysis
of the fee bill, and are not required to rely on specific objections raised by respondent. See
Saxton, 3 F.3d at 1521; Sabella, 86 Fed. Cl. 201, 209 (2009); see also Wasson v. HHS, 24 Cl. Ct.
482, 484, 486 (1991), aff’d, 988 F.2d 131 (Fed. Cir. 1993) (holding that, in determining a
reasonable number of hours expended in any given case, a special master may rely on her
experience with the Vaccine Act and its attorneys, without basing her decision on a line-by-line

                                                  2
examination of the fee application). A unanimous Supreme Court has articulated a similar
holding:

       We emphasize, as we have before, that the determination of fees “should not result in a
       second major litigation.” The fee applicant (whether a plaintiff or a defendant) must, of
       course, submit appropriate documentation to meet “the burden of establishing entitlement
       to an award.” But trial courts need not, and indeed should not, become green-eyeshade
       accountants. The essential goal in shifting fees (to either party) is to do rough justice, not
       to achieve auditing perfection. So trial courts may take into account their overall sense of
       a suit, and may use estimates in calculating and allocating an attorney’s time. And
       appellate courts must give substantial deference to these determinations, in light of “the
       district court’s superior understanding of the litigation.” We can hardly think of a sphere
       of judicial decisionmaking in which appellate micromanagement has less to recommend
       it.

Fox v. Vice, 563 U.S. 826, 838 (2011) (internal citations omitted).

B. Reasonable basis
        As noted above, even if a petitioner is unsuccessful in obtaining Vaccine Act
compensation for an injury, a special master “may” award fees and costs. (§300aa–15(e)(1).) Of
course, as recently noted by Judge Campbell-Smith, the statutory use of the term “may” means
that a special master can also, in his or her discretion, decline to award any attorneys’ fees or
costs to a petitioner whose case is unsuccessful on the merits, if the special master does not find
that an award is deserved under all the circumstances. Chuisano v. HHS, 116 Fed. Cl. 276, 285-
286 (2014). In practice, special masters have generally awarded fees, or declined to do so, based
upon whether there was a “reasonable basis” for the claim advanced by the petitioners.
        The statute and legislative history afford no guidance as to the precise meaning of
“reasonable basis,” and the case law is relatively scant. Judge Campbell-Smith has explained
that not all claims should be found to have a reasonable basis, and that whether a reasonable
basis exists is determined by the “totality of the circumstances.” Chuisano v. HHS, 116 Fed. Cl.
at 285-86. A special master has “discretion” in determining whether a reasonable basis existed.
Murphy v. HHS, 30 Fed. Cl. 60, 61 (1993), aff’d without opinion, 48 F.3d 1236 (1995) (judge
affirmed a denial of reasonable basis, noting that the determination concerning reasonable basis
is reviewed under an “abuse of discretion” standard). In other cases in which, as in Murphy, a
judge affirmed a denial of reasonable basis, the court remarked that the special master’s
discretion is “wide” (Perreira v. HHS, 27 Fed. Cl. 29, 34 (1992)), and “very broad” (Silva v.
HHS, 108 Fed. Cl. 401, 405 (2012)). In fact, in Silva, the court remarked that it is “difficult to
imagine a broader grant of authority and discretion.” 108 Fed. Cl. at 405.
        In a significant number of Vaccine Act cases, special masters have found that no
reasonable basis existed either to file the case, or to prosecute it beyond a certain point. In most
of those instances, the petitioner either did not seek review, or the special master’s finding
concerning reasonable basis was upheld on review. See, e.g., Somosot v. HHS, No. 13-710V,
2014 WL 6536059 (Fed. Cl. Spec. Mstr. Oct. 31, 2014), aff’d, 120 Fed. Cl. 716 (2015);
Chuisano v. HHS, No. 07-452V, 2013 WL 6234660 (Fed. Cl. Spec. Mstr. Oct. 25, 2013), aff’d,
116 Fed. Cl. 276 (2014); Cortez v. HHS, No. 09-176V, 2014 WL 1604002 (Fed. Cl. Spec. Mstr.

                                                 3
Mar. 26, 2014); Silva v. HHS, No. 10-101V, 2012 WL 2890452 (Fed. Cl. Spec. Mstr. June 22,
2012), aff’d, 108 Fed. Cl. 401 (2012); Browning v. HHS, No. 07-453V, 2010 WL 4359237 (Fed.
Cl. Spec. Mstr. Sept. 27, 2010); Brown v. HHS, No. 99-539V, 2005 WL 1026713 (Fed. Cl. Spec.
Mstr. Mar. 11, 2005); Smith v. HHS, No. 91-057V, 1992 WL 210999 (Cl. Ct. Spec. Mstr. Aug.
13, 1992); Livingston v HHS, No. 12-268V, 2015 WL 4397705 (Fed. Cl. Spec. Mstr. June 26,
2015); Rydzewski v. HHS, No. 99-571V, 2008 WL 382930 (Fed. Cl. Spec. Mstr. Jan. 29, 2008);
McCabe v. HHS, No. 91-1540V, 1993 WL 135860 (Fed. Cl. Spec. Mstr. Apr. 15, 1993); Stevens
v. HHS, No. 90-221V, 1992 WL 159520 (Cl. Ct. Spec. Mstr. June 9, 1992), aff’d, 996 F.2d 1236
(Fed. Cir. 1993)(unpublished).
        One important opinion of the United States Court of Appeals for the Federal Circuit,
discussing the “reasonable basis” requirement in a Vaccine Act case, is Perreira v. HHS, 33 F.
3d 1375 (Fed. Cir. 1994). In Perreira, the special master concluded that the petitioners had a
reasonable basis for initially filing the petition and for the first part of their prosecution of the
case, but concluded that there was no reasonable basis for pursuing the case beyond the point
when the Perreiras submitted an expert report, at which time the Perreiras’ attorneys should have
realized that their expert’s theory was plainly deficient to demonstrate causation. 33 F.3d at
1376. The special master denied fees and costs for work performed after that point, in taking the
case to an evidentiary hearing. Id. Both the Court of Federal Claims (27 Fed. Cl. 29 (1992)), and
the Federal Circuit (33 F.3d at 1376-77) affirmed.
        The Court of Federal Claims judge rejected the Perreiras’ argument that they
automatically passed the “reasonable basis” test because they were relying on an expert’s report,
finding that argument to be “unreasonable.” 27 Fed. Cl. at 33-34. The judge found that under all
the circumstances of the case, for the petitioners to take the case to an evidentiary hearing “with
no support in the contemporaneous medical records,” and with no “reputable medical opinion or
scientific studies” (emphasis added) was “unreasonable.” Id. at 34.
         The Federal Circuit agreed with the court below, observing that “counsel’s duty to
zealously represent their client does not relieve them of their duty to the court to avoid frivolous
litigation.” 33 F.3d at 1377. The appellate court added that Congress did not intend that every
claimant qualify for an attorneys’ fee award “by merely having an expert state an unsupported
opinion that the vaccine was the cause in-fact of the injury.” Id. The court concluded that the
special master did not err in determining that the Perreiras “no longer had a reasonable basis for
claiming causation in-fact” after their expert report was filed. Id.2

2
        As to the issue of “reasonable basis” in autism cases, in a number of such cases in recent
years, special masters have concluded that there was no reasonable basis to file the case, or to
pursue it beyond a certain point when the case obviously was no longer viable. See the specific
discussion of those autism cases at Section II(B) of this Decision, below.
                                                  4
                                                 II

           BACKGROUND: THE OMNIBUS AUTISM PROCEEDING (“OAP”)

A. The OAP in general
        This case is one of more than 5,400 cases filed under the Program in which petitioners
alleged that conditions known as “autism” or “autism spectrum disorders” (“ASD”)3 were caused
by one or more vaccinations. A special proceeding known as the Omnibus Autism Proceeding
(“OAP”) was developed to manage these cases within the Office of Special Masters (“OSM”). A
detailed history of the controversy regarding vaccines and autism, along with a history of the
development of the OAP, was set forth in the six entitlement decisions issued as “test cases” for
two theories of causation litigated in the OAP (see cases cited below), and will only be
summarized here.

         A group called the Petitioners’ Steering Committee (“PSC”) was formed in 2002 by the
many attorneys who represented Vaccine Act petitioners who raised autism-related claims.
About 180 attorneys participated in the PSC. Their responsibility was to develop any available
evidence indicating that vaccines could contribute to causing autism, and eventually present that
evidence in a series of “test cases,” exploring the issue of whether vaccines could cause autism,
and, if so, in what circumstances. Ultimately, the PSC selected groups of attorneys to present
evidence in two different sets of “test cases” during many weeks of trial in 2007 and 2008. In
the six test cases, the PSC presented two separate theories concerning the causation of ASDs.
The first theory alleged that the measles portion of the measles, mumps, rubella (“MMR”)
vaccine could cause ASDs. That theory was presented in three separate Program test cases
during several weeks of trial in 2007. The second theory alleged that the mercury contained in
thimerosal-containing vaccines could directly affect an infant’s brain, thereby substantially
contributing to the causation of ASD. That theory was presented in three additional test cases
during several weeks of trial in 2008.

        Decisions in each of the three test cases pertaining to the PSC’s first theory rejected the
petitioners’ causation theories. Cedillo v. HHS, No. 98-916V, 2009 WL 331968 (Fed. Cl. Spec.

3
        “Autism Spectrum Disorder” is a general classification which as of 2010 included five
different specific disorders: Autistic Disorder, Childhood Disintegrative Disorder, Asperger’s
Syndrome, Rett Syndrome, and Pervasive Developmental Disorder Not Otherwise Specified
(PDD-NOS). King v. HHS, No. 03-584V, 2009 WL 892296 at *5 (Fed. Cl. Spec. Mstr. Feb. 12,
2010). The term “autism” is often utilized to encompass all of the types of disorders falling
within the autism spectrum. (Id.) I recognize that since the OAP test cases, the consensus
description of ASDs, contained now in the “DSM-V” as opposed to the prior “DSM-IV,” revises
the prior subcategories of ASD set forth in the first sentence of this footnote. However, the
DSM-V retains the same general description of ASDs. An ASD is a serious form of
neurodevelopmental disorder defined by a collection of symptoms and behaviors, including
significant impairment of social interaction and language skills, and the presence of repetitive,
stereotyped interests. E.g., Snyder v. HHS, No. 01-162V, 2009 WL 332044, at *31 (Fed. Cl.
Spec. Mstr. Feb. 12, 2009).

                                                 5
Mstr. Feb. 12, 2009) aff’d, 89 Fed. Cl. 158 (2009), aff’d, 617 F.3d 1328 (Fed. Cir. 2010);
Hazlehurst v. HHS, No. 03-654V, 2009 WL 332306 (Fed. Cl. Spec. Mstr. Feb. 12, 2009), aff’d
88 Fed. Cl. 473 (2009), aff’d, 604 F.3d 1343 (Fed. Cir. 2010); Snyder v. HHS, No. 01-162V,
2009 WL 332044 (Fed. Cl. Spec. Mstr. Feb. 12, 2009), aff’d, 88 Fed. Cl. 706 (2009).4 Decisions
in each of the three “test cases” pertaining to the PSC’s second theory also rejected the
petitioners’ causation theories, and the petitioners in each of those three cases chose not to
appeal. Dwyer v. HHS, No. 03-1202V, 2010 WL 892250 (Fed. Cl. Spec. Mstr. Mar. 12, 2010);
King v. HHS, No. 03-584V, 2010 WL 892296 (Fed. Cl. Spec. Mstr. Mar 12, 2010); Mead v.
HHS, No. 03-215V, 2010 WL 892248 (Fed. Cl. Spec. Mstr. Mar. 12, 2010).

        The “test case” decisions were comprehensive, analyzing in detail all of the evidence
presented on both sides. The three test case decisions concerning the PSC’s first theory
(concerning the MMR vaccine) totaled more than 600 pages of detailed analysis, and were
solidly affirmed in many more pages of analysis in three different rulings by three different
judges of the United States Court of Federal Claims, and in two rulings by two separate panels of
the United States Court of Appeals for the Federal Circuit. The three special master decisions
concerning the PSC’s second theory (concerning vaccinations containing the preservative
“thimerosal”) were similarly comprehensive.

        All told, the 11 lengthy written rulings by the special masters, the judges of the U.S.
Court of Federal Claims, and the panels of the U.S. Court of Appeals for the Federal Circuit
unanimously rejected the petitioners’ claims, finding no persuasive evidence that either the
MMR vaccine or thimerosal-containing vaccines could contribute in any way to the causation of
autism.

        Thus, the proceedings in the six “test cases” concluded in 2010. Thereafter, the Petitioners
in this case, and the petitioners in other cases within the OAP, were instructed to decide how to
proceed with their own claims. The vast majority of those autism petitioners elected either to
withdraw their claims or, more commonly, to request that the special master file a decision denying
their claim on the written record, resulting in a decision rejecting the petitioner’s claim for lack of
support. However, a small minority of the autism petitioners have elected to continue to pursue
their cases, seeking other causation theories and/or other expert witnesses. A few such cases have
gone to trial before a special master, and in the cases of this type decided thus far, all have resulted
in rejection of petitioners’ claims that vaccines played a role in causing their child’s autism. See,
e.g., Henderson v. HHS, No. 09-616V, 2012 WL 5194060 (Fed. Cl. Spec. Mstr. Vowell Sept. 28,
2012) (autism not caused by pneumococcal vaccination); Blake v. HHS, No. 03-31V, 2014 WL
2769979 (Fed. Cl. Spec. Mstr. Vowell May 21, 2014) (autism not caused by MMR vaccination);
Murphy v. HHS, No. 05-1063V, 2016 WL 3034047 (Fed. Cl. Spec. Mstr. Corcoran Apr. 25, 2016)
(autism not caused by DTaP or MMR vaccines), aff’d, 2016 WL 4926207 (Fed. Cl. Aug. 15, 2016);
Franklin v. HHS, No. 99-855V, 2013 WL 3755954 (Fed. Cl. Spec. Mstr. Hastings May 16, 2013)
(MMR and other vaccines found not to contribute to autism); Coombs v. HHS, No. 08-818V, 2014
WL 1677584 (Fed. Cl. Spec. Mstr. Hastings Apr. 8, 2014) (autism not caused by MMR or Varivax
vaccines); Long v. HHS, No. 08-792V, 2015 WL 1011740 (Fed. Cl. Spec. Mstr. Hastings Feb. 19,
2015) (autism not caused by influenza vaccine); Brook v. HHS, No. 04-405V, 2015 WL 3799646

4
       The petitioners in Snyder did not appeal the decision of the U.S. Court of Federal Claims.
                                                   6
(Fed. Cl. Spec. Mstr. Hastings May 14, 2015) (autism not caused by MMR or Varivax vaccines);
Holt v. HHS, No. 05-136V, 2015 WL 4381588 (Fed. Cl. Spec. Mstr. Vowell June 24, 2015) (autism
not caused by hepatitis B vaccine) (on review); Lehner v. HHS, No. 08-554V, 2015 WL 5443461
(Fed. Cl. Spec. Mstr. Vowell July 22, 2015) (autism not caused by influenza vaccine); Miller v.
HHS, No. 02-235V, 2015 WL 5456093 (Fed. Cl. Spec. Mstr. Vowell August 18, 2015) (ASD not
caused by combination of vaccines); Allen v HHS, No. 02-1237V, 2015 WL 6160215 (Fed. Cl.
Spec. Mstr. Vowell Sept. 26, 2015) (autism not caused by MMR vaccination); R.K. v. HHS, No.
03-632V, 2015 WL 10936124 (Fed. Cl. Spec. Mstr. Vowell Sept. 28, 2015) (autism not caused by
influenza vaccine), aff’d, 125 Fed. Cl. 57 (2016), aff’d, 2016 WL 7174139 (Fed. Cir. Dec. 9, 2016);
Hardy v. HHS, No. 08-108V, 2015 WL 7732603 (Fed. Cl. Spec. Mstr. Hastings Nov. 3, 2015)
(autism not caused by several vaccines); Sturdivant v. HHS, No. 07-788V, 2016 WL 552529 (Fed.
Cl. Spec. Mstr. Hastings Jan. 21, 2016) (autism not caused by Hib and Prevnar vaccines); R.V. v.
HHS, No. 08-504V, 2016 WL 3882519 (Fed. Cl. Spec. Mstr. Corcoran Feb. 19, 2016) (autism not
caused by influenza vaccine), aff’d, 2016 WL 3647786 (Fed. Cl. June 2, 2016); Cunningham v.
HHS, No. 13-483V, 2016 WL 4529530 (Fed. Cl. Spec. Mstr. Hastings Aug. 1, 2016) (autism not
caused by MMR vaccine), aff’d, 2017 WL 1174448 (Fed. Cl. Jan. 25, 2017); T.M. v. HHS, No.
08-284V (Fed. Cl. Spec. Mstr. Corcoran Aug. 9, 2016) (not yet published) (autism not caused by
DTaP vaccine) (on review); Anderson v. HHS, No. 02-1314V, 2016 WL 8256278 (Fed. Cl. Spec.
Mstr. Corcoran Nov. 1, 2016) (autism not caused by MMR vaccination) (on review); Dempsey v.
HHS, No. 04-394V, 2017 WL 10548480 (Fed. Cl. Spec. Mstr. Hastings Feb. 23, 2017).

        In addition, some autism causation claims have been rejected without trial, at times over
the petitioner’s objection, in light of the failure of the petitioner to file plausible proof of
vaccine-causation. See, e.g., Waddell v. HHS, No. 10-316V, 2012 WL 4829291 (Fed. Cl. Spec.
Mstr. Campbell-Smith Sept. 19, 2012) (autism not caused by MMR vaccination); Fester v. HHS,
No. 10-243V, 2016 WL 1745436 (Fed. Cl. Spec. Mstr. Dorsey April 7, 2016) (autism not caused
by measles, mumps, rubella, and varicella (MMRV) vaccine); Fresco v. HHS, No. 06-469V,
2013 WL 364723 (Fed. Cl. Spec. Mstr. Vowell Jan. 7, 2013) (autism not caused by multiple
vaccines); Fesanco v. HHS, No. 02-1770, 2010 WL 4955721 (Fed. Cl. Spec. Mstr. Hastings
Nov. 9, 2010) (autism not caused by multiple vaccines); Miller v. HHS, No. 06-753V, 2012 WL
12507077 (Fed. Cl. Spec. Mstr. Hastings Sept. 25, 2012) (autism not caused by DTaP or MMR
vaccines); Pietrucha v. HHS, No. 00-269V, 2014 WL 4538058 (Fed. Cl. Spec. Mstr. Hastings
Aug. 22, 2014) (autism not caused by multiple vaccines); Bushnell v. HHS, No. 02-1648, 2015
WL 4099824 (Fed. Cl. Spec. Mstr. Hastings June 12, 2015) (autism not caused by multiple
vaccines); Bokmuller v. HHS, No. 08-573, 2015 WL 4467162 (Fed. Cl. Spec. Mstr. Hastings
June 26, 2015) (autism not caused by multiple vaccines); Canuto v. HHS, No. 04-1128, 2015 WL
9854939 (Fed. Cl. Spec. Mstr. Hastings Dec. 18, 2015) (autism not caused by DTP and DTaP
vaccines); Valle v. HHS, No. 02-220V, 2016 WL 2604782 (Fed. Cl. Spec. Mstr. Hastings April
13, 2016) (autism not caused by DTaP vaccine); Hooker v. HHS, 02-472V, 2016 WL 3456435
(Fed. Cl. Spec. Mstr. Hastings May 19, 2016) (autism not caused by multiple vaccines). Judges
of this court have affirmed the practice of dismissal without trial in such cases. E.g., Fesanco v.
HHS, 99 Fed. Cl. 28 (2011) (Judge Braden affirming); Canuto v. HHS, No. 04-1128V, 2016 WL
2586510 (Fed. Cl. Apr. 18, 2016) (Judge Yock affirming), aff’d, 2016 WL 5746370 (Fed. Cir.
Oct. 4, 2016).

                                                7
        In none of the rulings since the test cases has a special master or judge found any merit in
an allegation that any vaccine can contribute to causing autism.5

B. Fee requests and “reasonable basis” in autism-related claims
       In the OAP “test cases” decisions set forth above, the special masters found that the cases
had been filed and prosecuted with a reasonable basis, and very large amounts were awarded for
attorneys’ fees and expert costs. E.g., Cedillo v. HHS, No. 98-916V, 2008 WL 5329951 (Fed. Cl.
Spec. Mstr. Nov. 18, 2008); Cedillo v. HHS, No. 98-916V, 2009 WL 811449 (Fed. Cl. Spec.
Mstr. Mar. 11, 2009); Cedillo v. HHS, No. 98-916V, 2009 WL 1726228 (Fed. Cl. Spec. Mstr.
May 21, 2009); Cedillo v. HHS, No. 98-916V (Fed. Cl. Spec. Mstr. Mar. 16, 2010)(on Court
website); Cedillo v. HHS, No. 98-916V, 2010 WL 4853342 (Fed. Cl. Spec. Mstr. Nov. 08,
2010); Cedillo v. HHS, No. 98-916V (Fed. Cl. Spec. Mstr. Nov. 29, 2010) (on Court website);

5
        I am well aware, of course, that during the years since the “test cases” were decided, in
two cases involving vaccinees suffering from ASDs, Vaccine Act compensation was granted.
But in neither of those cases did the Respondent concede, nor did a special master find, that there
was any “causation-in-fact” connection between a vaccination and the vaccinee’s ASD. Instead,
in both cases it was conceded or found that the vaccinee displayed the symptoms of a Table
Injury within the Table time frame after vaccination.

        In Poling v. HHS, the presiding special master clarified that the family was compensated
because the Respondent conceded that the Poling child had suffered a Table Injury--not because
the Respondent or the special master had concluded that any vaccination had contributed to
causing or aggravating the child’s ASD. See Poling v. HHS, No. 02-1466V, 2011 WL 678559,
at *1 (Fed. Cir Spec. Mstr. Jan. 28, 2011) (a fees decision, but noting specifically that the case
was compensated as a Table Injury).

        Second, in Wright v. HHS, No. 12-423, 2015 WL 6665600 (Fed. Cl. Spec. Mstr. Sept. 21,
2015), Special Master Vowell concluded that a child, later diagnosed with ASD, suffered a
“Table Injury” after a vaccination. However, she stressed that she was not finding that the
vaccinee’s ASD in that case was “caused-in-fact” by the vaccination--to the contrary, she
specifically found that the evidence in that case did not support a “causation-in-fact” claim,
going so far as to remark that the petitioners’ “causation-in-fact” theory in that case was
“absurd.” Wright v. HHS, No. 12-423, 2015 WL 6665600, at *2 (Fed. Cl. Spec. Mstr. Sept. 21,
2015).

        The compensation of these two cases, thus does not afford any support to the notion that
vaccinations can contribute to the causation of autism. In setting up the Vaccine Act
compensation system, Congress forthrightly acknowledged that the Table Injury presumptions
would result in compensation for some injuries that were not, in fact, truly vaccine-caused. H.R.
Rept. No. 99-908, 18, 1986 U.S.C.C.A.N. 6344, 6359. (“The Committee recognizes that there is
public debate over the incidence of illnesses that coincidentally occur within a short time of
vaccination. The Committee further recognizes that the deeming of a vaccine-relatedness
adopted here may provide compensation to some children whose illness is not, in fact, vaccine-
related.”)

                                                 8
Cedillo v. HHS, No. 98-916V, 2011 WL 1628009 (Fed. Cl. Spec. Mstr. Apr. 06, 2011); King v.
HHS, No. 03-584V, 2009 WL 2252534 (Fed. Cl. Spec. Mstr. July 10, 2009); King v. HHS, No.
03-584V, 2009 WL 2524564 (Fed. Cl. Spec. Mstr. July 27, 2009); King v. HHS, No. 03-584V,
2009 WL 3320508 (Fed. Cl. Spec. Mstr. Sept. 28, 2009); King v. HHS, No. 03-584V, 2010 WL
5644667 (Fed. Cl. Spec. Mstr. Jan. 07, 2010); King v. HHS, No. 03-584V, 2010 WL 5470787
(Fed. Cl. Spec. Mstr. Dec. 13, 2010); King v. HHS, No. 03-584V, 2011 WL 5926126 (Fed. Cl.
Spec. Mstr. Sept. 22, 2011); King v. HHS, No. 03-584V (Fed. Cl. Spec. Mstr. July 10, 2012) (on
Court website).

       After the “test cases,” as explained above, a number of additional petitioners have
attempted to demonstrate in Vaccine Act cases that persons diagnosed with autism had suffered
vaccine-caused injuries, and those attempts have been virtually always been unsuccessful. (See
discussion and case citations at pp. 5-7, above.) In most of the first few of those cases,
Respondent did not challenge whether there was a “reasonable basis” to file such cases or to
pursue them to a decision, and the special masters awarded compensation for the fees and costs
of pursuing the Vaccine Act case.
        However, as more and more such cases were prosecuted, Respondent and various special
masters began to question whether there was a reasonable basis to file such cases, or to pursue
them to a ruling by a special master. For example, in one autism case, Special Master Campbell-
Smith,6 in a ruling filed on March 22, 2012, evaluated the petitioners’ case, and concluded that
“there does not seem to be a reasonable basis for moving forward with this claim.” Edmonds v.
HHS, No. 04-87V, 2012 WL 1229149, at *8, fn. 22 (Fed. Cl. Spec. Mstr. March 22, 2012). In
another autism case, in an order filed on March 2, 2012, Special Master Campbell-Smith
evaluated the petitioners’ case, including the petitioners’ expert report, and concluded that “the
reasonableness of moving forward [with the case] is in question.” See Hardy v. HHS, No. 08-
108V, 2016 WL 4729530, at *7 (Fed. Cl. Spec. Mstr. Aug. 16, 2016).
        Similarly, in another autism case, Special Master Vowell, after hearing the petitioners’
causation claim in full, thoroughly rejected that claim in an emphatic opinion strongly suggesting
that she doubted the reasonableness of pursuing the claim to a decision. Miller v. HHS, 02-235V,
2015 WL 5456093 (Fed. Cl. Spec. Mstr. Aug. 18, 2015). She specifically remarked that one
aspect of petitioners’ claim was “unreasonable.” (Id. at *37)
        I myself have, in a number of cases, also addressed the issue of whether a reasonable
basis existed for a petitioners’ counsel to go forward with a very weak causation argument in an
autism case, in light of the test cases and the many subsequently denied cases set forth in Section
II(B), above. In several cases, I have, in the course of denying an autism-related causation claim,
included statements warning Vaccine Act attorneys that advancing similar theories, or certain
experts, might not be considered reasonable in autism cases. See, e.g., Long v. HHS, No. 08-
792V, 2015 WL 11011740, at *19-20 (Fed. Cl. Spec. Mstr. Feb. 9, 2015); Hardy v. HHS, No.
08-108V, 2015 WL 7732603, at *33-35 (Fed. Cl. Spec. Mstr. Nov. 3, 2015); Sturdivant v. HHS,
No. 07-788V, 2016 WL 552529, at *19-20 (Fed. Cl. Spec. Mstr. Jan. 21, 2016).
       Further, in several attorneys’ fees decisions in autism cases filed in 2016, I have found
that while it was reasonable to initially file the case, there was no reasonable basis to keep
6
       Former Special Master Campbell-Smith is now a Judge of this Court.
                                                 9
litigating the case after a certain point in time. See Miller v. HHS, No. 02-235V, 2016 WL
3746160 (Fed. Cl. Spec. Mstr. June 3, 2016)7 ($63,669 requested; $4,546 granted); Hardy v.
HHS, No. 08-108V, 2016 WL 4729530 (Fed. Cl. Spec. Mstr. Aug. 6, 2016) ($41,552 requested;
$7,619 granted); Hashi v. HHS, No. 08-307V, 2016 WL 5092917 (Fed. Cl. Spec. Mstr. Aug. 25,
2016); Hashi v. HHS, No. 08-308V, 2016 WL 5093039 (Fed. Cl. Spec. Mstr. Aug. 25, 2016).8
        I note also that, in a number of recent Vaccine Act cases involving autism, Chief Special
Master Dorsey, Special Master Corcoran, or the undersigned special master have notified
petitioners, sometime after the filing of a petition, that the special master saw no “reasonable
basis” for the petition to go forward.9 In one case, Chief Special Master Dorsey wrote that “[i]n
the absence of further medical and/or scientific developments, the undersigned is unlikely to be
persuaded of vaccine causation in future claims that vaccinations caused an autism spectrum
disorder. She will be disinclined to find a reasonable basis to compensate the attorneys, law
students, and/or experts involved in such cases.” Wilson v. HHS, No. 15-551V, 2017 WL
877278, at *6, fn. 14 (Fed. Cl. Spec. Mstr. Feb. 10, 2017).

                                                III
                         PROCEDURAL HISTORY OF THIS CASE10
A. Initial proceedings
       Petitioners filed a “Petition for Vaccine Compensation” on behalf of their son SRH on
May 10, 2002. (ECF No. 1.) The Petition alleged that as the direct result of MMR and Varivax
vaccinations that SRH received on February 25, 1999; the Hib vaccination he received on May
26, 1999; “and all the thimerosal containing vaccines” that he had received, SRH “developed
Autism.” (Petition, ¶¶ 7-8.)

7
        This is the same Miller case in which Special Master Vowell ruled on the merits of the
petitioners’ causation claim, cited above at p.7 of this Decision. After Special Master Vowell
retired from the OSM, I was assigned the case, and ruled upon the request for attorneys’ fees.
8
        I note also that in another autism case, Special Master Corcoran, while not finding that a
reasonable basis for pursuing the case ended at any particular point in time, did find that the
number of hours requested for litigating the latter stages of the case was greatly excessive, in
light of the cases cited above in this opinion in which autism claims have virtually always been
denied. R.V. v. HHS, No. 08-504V, 2016 WL 7575568 (Fed. Cl. Nov. 28, 2016), at *4. The
special master reduced a claim for more than $85,000 in fees and costs to $45,889.70. (Id. at *5.)
9
        These notifications were delivered orally and/or in written procedural orders that have not
been published or posted on this Court’s website, and thus I have no published document to cite
in these cases, but I am aware that a number of such orders have been issued by each of the two
other special masters as well as by myself.
10
      A more detailed procedural history of this case was presented in my Decision denying
compensation in this case. See 2016 WL 3456435, at *6-9.
                                                10
        On May 22, 2002, this case, along with many others, was stayed indefinitely pending
completion of the general inquiry under the Omnibus Autism Proceeding regarding the possible
causal relationship between certain vaccines and autistic spectrum disorders. (ECF No. 3.) (See
Section II of this Decision above.)

       This case was assigned to my docket on July 29, 2002. (ECF No. 6.)

B. The (first) Amended Petition

        Following the resolution of the autism “test cases” (see Section II above), Petitioners
filed an Amended Petition (“Am. Pet.”) on July 20, 2011, alleging that SRH developed “mercury
poisoning” as a result of the MMR vaccination he received on February 25, 1999, and his fourth
Hib vaccination, received on May 26, 1999. (Am. Pet., ECF No. 22, ¶¶ 7, 8, 15, 18.) (Although it
is noteworthy that one of those two vaccinations, the MMR, in fact did not contain any mercury.)

        After reviewing that Amended Petition, I conducted a telephonic status conference on
August 2, 2011. (See ECF No. 24.) During the conference, I specifically warned Petitioners’
counsel that if Petitioners continued to pursue their “mercury poisoning” causation claim, which
was no different from the theory pursued in the King, Mead, and Dwyer OAP “test cases”
described above, then it would be questionable whether I would find Petitioners’ efforts beyond
that date to be reasonable, for purposes of obtaining attorneys’ fees and costs. (Id.) I reiterated
that warning in a follow-up Order issued on August 15, 2011. (Id.)

        In that Order issued on August 15, 2011, I also notified Petitioners that if they wished to
go forward with their case, they would need to file an expert report in support of their claim, and
they must do so within 90 days. (ECF No. 24.) Over the course of the next fifteen months,
Petitioners filed a series of seven status reports describing their efforts to contact potential
experts who might be willing to opine about their claim. (ECF Nos. 25-31.)

         On December 6, 2012, I filed an Order noting that fifteen months had passed, but
Petitioners had not yet filed an expert report. (ECF No. 32.) That Order warned Petitioners that
if they failed to file an expert report within six months, their petition would be dismissed for
failure to prove the case. (Id.)

C. Initial expert report of Dr. Mark Geier

        Over the following six months, Petitioners filed three more status reports regarding their
attempts to obtain the opinion of a medical expert. (ECF Nos. 33-35.) Then, on June 6, 2013,
Petitioners filed the report of Dr. Mark Geier. (See Ex. 17, ECF No. 36-2.) A digitally-recorded
status conference was convened, on June 20, 2013, at the request of Respondent, to discuss Dr.
Geier’s report. (Order, filed June 27, 2013, ECF No. 39.) During that conference, Respondent
noted that: 1) Dr. Geier’s report was written in 2007, before the conclusion of the OAP test

                                                11
cases;11 2) Dr. Geier’s report expounded theories that were rejected in the OAP test cases; and 3)
Dr. Geier’s medical license had been revoked. (Id.)

       On August 20, 2013, Respondent filed a Motion to Dismiss this case, alleging that Dr.
Mark Geier lacked appropriate qualifications to opine on this matter. (ECF No. 40, pp. 7-8.)
Thereafter, Respondent filed Exhibits A and B, consisting of copies of official documents of the
Maryland State Board of Physicians, which first suspended, then revoked the medical license of
Dr. Mark Geier, effective as of August 22, 2012. (ECF No. 41, filed Sep. 4, 2013.)

D. Petitioners’ additional expert reports

        Petitioners on October 4, 2013, filed a response to Respondent’s Motion to Dismiss.
(ECF No. 43.) Petitioners on October 4, 2013, also filed Ex. 19. (ECF No. 44.) Ex. 19 included
a 69-page declaration of Brian Hooker, one of the Petitioners in this case, who is not a medical
doctor but has a Ph.D. in chemical engineering. That filing elaborates Dr. Hooker’s criticisms of
evidence presented by Respondent during the OAP “test case” litigation, his defense of the
qualifications of Dr. Geier, and various assertions of improper conduct by Respondent. The
balance of Ex. 19 consisted of various materials that Dr. Hooker cited in his critique.

        Also on October 4, 2013, Petitioners filed five expert reports. (ECF Nos. 45, 46.) These
reports included: Ex. 21, the report of David Geier; Ex. 23, the supplemental report of Dr. Mark
Geier; Ex. 25, the report of Janet Kern, Ph.D.; Ex. 27, the report of Boyd Haley, Ph.D.; and Ex.
29, the report of Stephen Smith, M.D. (Id.) On October 8, 2013, Petitioners filed Ex. 30, a
revised version of Dr. Kern’s previous expert report. (ECF No. 49.)

        A status conference convened on November 15, 2013, during which I denied
Respondent’s Motion to Dismiss. (Order, ECF No. 52, filed Nov. 20, 2013.) At that conference,
the parties also discussed the possible filing by Petitioners of another expert report, to be
prepared by Dr. Frances Kendall. Petitioners were allowed additional time to file that report.
(Id.) Petitioners subsequently filed a series of motions, each requesting additional time to file
such report, and those motions were granted. (See ECF Nos. 53, 55, 56, 57.) However, on the
ultimate due date for Dr. Kendall’s report, Petitioners instead filed the expert report of Mary
Megson, M.D. (See Ex. 32, ECF No. 58-2, filed April 18, 2014.) Respondent was allowed 60
days to file responsive expert reports. (ECF No. 59.)

        On April 22, 2014, Respondent moved to amend the procedural schedule, in order to
postpone the filing of Respondent’s “Rule 4 report” and expert report, until Petitioners submitted
multiple medical records. (ECF No. 60.) Accordingly, I amended the schedule. (ECF No. 61.)
Petitioners filed medical records and medical literature on various dates thereafter.

11
        Petitioners’ Ex. 17, signed by Dr. Geier, was dated Nov. 11, 2007; that is, about 5½ years
before it was filed, on June 6, 2013. (See Ex. 17, p. 11.)
                                                12
E. Respondent’s Report and (second) Motion to Dismiss

       On January 22, 2015, Respondent filed the reports of three medical experts,12 along with
medical literature. (ECF No. 83.) On that same date, Respondent filed a second Motion to
Dismiss, and Respondent’s “Rule 4 report,”13 stating Respondent’s position that Petitioners’
claim should be denied. (ECF No. 82.)

         The Motion to Dismiss was based on Respondent’s defense that the original Petition in
the case was untimely filed. (See ECF No. 82, pp. 18-21.) Respondent argued that the first
symptoms of SRH’s autism appeared prior to May 10, 1999, which date was three years before
the filing date of this petition. (Id.) Thus, Respondent contended that Petitioners failed to
comply with the Vaccine Act’s statute of limitations, which requires that a petition must be filed
within 36 months of the date when the symptoms of an alleged vaccine-related injury first
occurred.14 (Id.)

F. Petitioners’ Second Amended Petition

       On March 9, 2015, Petitioners filed a Second Amended Petition (“2nd Am. Pet.”), which
again alleged that SRH developed “mercury poisoning” as the direct result of the MMR
vaccination that he received on February 25, 1999, and the Hib vaccination he received on May
26, 1999. (2nd Am. Pet., ¶¶ 7, 8, 16, 20.) Petitioners once again alleged that they first noticed
symptoms of SRH’s condition “following the May 1999 vaccination.” (Id., ¶ 9.)

       This Second Amended Petition, however, added an alternative pleading that “the
vaccinations that [SRH] received within the three years prior to filing the Petition significantly
aggravated his autism.” (2nd Am. Pet., ¶18.) They followed that with a document filed on March
23, 2015, which stated that the vaccinations which allegedly caused the “significant aggravation”
were “the vaccinations that he received on May 26, 1999.” (ECF No. 95, p. 18.)

       On March 17, 2015, a status conference was held, to address the “significant
modifications of petitioners’ theory of this case,” namely their addition of the alternative

12
       See Ex. C, the report of Bennett Leventhal, M.D.; Ex. F, the report of Edward Cetaruk,
M.D.; and Ex. H, the report of Gerald Raymond, M.D.
13
        That report was labelled as a “supplemental” report, but was actually the only “Rule 4
report” that Respondent filed in this case.
14
        A document titled “Respondent’s Response to Petitioners’ Allegations of Misconduct and
Motion to Strike” was also filed on January 22, 2015. (ECF No. 81.) This filing presented
arguments that various paragraphs within Petitioners’ Exhibit 19, the affidavit of Brian Hooker,
should be stricken from the record because they contain, inter alia, baseless accusations that
attorneys of the U.S. Department of Justice committed misconduct. (Id.) Although I found no
reason to conclude that any of Respondent’s attorneys had committed misconduct, I did not
strike any of Ex. 19 from the record, which is unavailable to the public in any event.

                                                 13
“significant aggravation” theory. (Order, filed March 18, 2015, ECF No. 92.) As a result of that
discussion, Petitioners were instructed to file “supplemental expert reports from any of
petitioners’ experts who will participate in the trial of this case, explaining why they support the
theory stated in the [Second] Amended Petition.” (Id.)

       Petitioners asked for an enlargement of time to provide the medical records requested in
my Order, dated March 18, 2015. (ECF No. 103, filed May 1, 2015.) I granted Petitioners’
Motion, but included a specific reminder that “their expert reports are still due on May 18,
2015.” (Order, filed May 1, 2015, ECF No. 104.)

G. Filings in May of 2015

          On May 18, 2015, Petitioners filed a Status Report. (ECF No. 107.) That status report
stated:
                 Petitioner [sic] has discussed the reports filed by all the experts in this case
          with the experts for the Petitioner, and Petitioner does not feel that any further
          supplemental reports are necessary. Petitioner is ready to schedule this case for a
          hearing.

                   Both Dr. Smith and Dr. Megson have indicated that the vaccines
          administered on May 26, 1999 (DTaP, OPV, and Hib) triggered the onset of
          SRH’s encephalopathy resulting in autism. If the court determines that there were
          earlier symptoms of “autism”, something which Petitioners absolutely do not
          agree with, then it is clear from the medical records that his condition
          dramatically changed for the worse after the May 26, 1999 vaccinations, and the
          opinions of Drs. Megson and Smith would be that this dramatic change was
          triggered, as they have stated, by these 15 month vaccinations.

(ECF No. 107) (emphasis added.)

        Accordingly, on May 20, 2015, I filed an Order commenting on Petitioners’ failure to
provide supplemental expert reports in support of the new theory presented in Petitioners’
Second Amended Petition. (ECF No. 109.) I noted that, contrary to my specific direction,
Petitioners had expressly declined to file any supplemental expert reports to support their new
alternative theory of significant aggravation, preferring instead to rely on the previously
submitted expert reports of Dr. Smith and Dr. Megson. (Id.) Considering these factors, I
determined that the appropriate procedure to resolve this case would be to rule on the existing
written record, without an evidentiary hearing, pursuant to Vaccine Rule 8(d). (Id.)

       Petitioners did not object to the procedure outlined in my Order filed on May 20, 2015, or
even comment on it. Petitioners never filed any written request for an evidentiary hearing.

                                                    14
H. My Decision

       On May 19, 2016, I filed a Decision denying Petitioners’ claim for Program
compensation. Hooker v. HHS, No. 02-472V, 2016 WL 3456435 (Fed. Cl. Spec. Mstr. May 19,
2016). Petitioners did not seek review of that Decision, and judgment entered on June 27, 2016.
(ECF No. 121.)

I. Petitioners’ application for fees and costs

        On June 7, 2016, Petitioners filed an application seeking attorneys’ fees and costs
incurred in their attempt to gain compensation in this proceeding. (ECF No. 117.) They initially
sought a total of $199,652.67 in fees and costs. (Id.) Respondent filed a Response on August 8,
2016, arguing, among other things, that Petitioners had no reasonable basis for continuing
forward with their Petition after mid-2011, which was a few months after the “test cases” filed in
the OAP became final. (ECF No. 125, pp. 11-16.) Petitioners filed a reply brief on October 19,
2016. (ECF No. 129.) In that reply brief, they sought additional attorneys’ fees for their law
firm, so that they now seek a total of $207,142.72 for that firm’s fees and costs (ECF No. 129-2,
pp. 61-62), plus $2,896.95 in costs incurred by the Petitioners themselves (ECF No. 117, p. 3).

                                                 IV
          MY RULING CONCERNING “REASONABLE BASIS” IN THIS CASE

A. Introduction
        As noted above, Petitioners filed an application for attorneys’ fees and costs
(“Application”) in this case on June 7, 2016, and Respondent filed an opposition (“Opp.”) to that
motion on August 8, 2016. In that Opposition, Respondent argued in detail that Petitioners had
no “reasonable basis” for continuing forward with this case after mid-2011, a few months after
the “test case” decisions filed in the OAP became final. (Opp., pp. 11-16.)
        After considering the overall record of this case and the course of the OAP, I conclude
that there was a reasonable basis for filing the petition and pursuing it somewhat past the point
where the OAP “test cases” (see Section II of this Decision above) became final; but I also
conclude that, as Respondent argues, by mid-2011 there was no longer a reasonable basis to
continue pursuing this claim. Accordingly, I will award no fees and costs incurred after August
31, 2011 (except for the efforts involved in filing this fees application in 2016).

B. There was a reasonable basis to file this case, and to pursue the case until a few months
after the OAP “test cases” became final.
        As set forth above in Section II of this Decision, in the early 2000s major controversies
arose as to whether autism spectrum disorders might be caused or otherwise affected by either
MMR vaccines or thimerosal-containing vaccines. Therefore, thousands of parents filed Vaccine
Act claims during the early 2000s alleging that their children’s ASDs were vaccine-caused. I
and other special masters have generally found that those claims were brought in good faith and
with a reasonable basis. Further, given the scientific uncertainty at the time, I find that the filing

                                                 15
of this particular petition in 2002, along with thousands like it in the earlier 2000s, was
reasonable. It was further reasonable to keep such claims, including this one, pending until the
OAP “test cases” became final in 2010, and for some reasonable period of time thereafter, in
order for counsel to digest the complicated science, and to consult with qualified experts to see if
a reasonable basis to go forward with the claims could be found.
        Accordingly, in this case, I conclude that it was reasonable to file the petition in 2002,
given the fact that the autism “test case” rulings had not yet been issued, and to keep the claim
pending until after the test case rulings became final in late 2010. At that point, however,
Petitioners’ counsel should have carefully studied the test case decisions, along with the medical
records of SRH’s case, to determine whether there was any feasible chance of demonstrating that
SRH’s neurodevelopmental disorder was caused or aggravated by any vaccinations. I conclude
that there was no reasonable basis for Petitioners to continue this case for more than a brief time
after the test cases became final, a point at which most petitioners in the 5,000-plus autism cases
voluntarily ended their pursuit of their Vaccine Act claims.

C. There was no reasonable basis to further pursue this case after August 31, 2011.
       1. Petitioners’ causation claim and evidence in this case
        As noted above, Petitioners filed a “Petition for Vaccine Compensation” on behalf of
their son SRH on May 10, 2002. (ECF No. 1.) The Petition alleged that as the direct result of the
MMR and Varivax vaccinations that SRH received on February 25, 1999; the Hib vaccination he
received on May 26, 1999; “and all the thimerosal containing vaccines” that he had received,
SRH “developed Autism.” (Petition, ¶¶ 7-8.) Thus, the petition seemed to contend, as did a great
many of the 5,000-plus autism claims, that the “thimerosal” ingredient in a series of vaccinations
caused the vaccinee (in this case SRH) to develop autism.
        However, as also explained above, the three extensive “test case” opinions, concerning
the theory that thimerosal, which contains mercury, can contribute to the causation of autism, all
concluded emphatically that the evidence strongly indicated that thimerosal-containing vaccines
do not contribute to the causation of autism. Those opinions were issued by three different
special masters on March 12, 2010, and were not appealed. (See cases cited at p. 6 above.)
Further, three other lengthy “test case” opinions concerning the MMR vaccine, issued on
February 12, 2009, had all concluded that there is no good evidence that the MMR vaccination
can contribute to causing autism, and all three had been resoundingly affirmed by judges of this
Court, and two of them further affirmed by separate panels of the U.S. Court of Appeals for the
Federal Circuit, by August 27, 2010. (See cases cited at pp. 5-6, above.)
        Accordingly, by mid-2011, Petitioners’ counsel in this case had had well over a year to
study the three (unappealed) “thimerosal” autism test case opinions issued on March 12, 2010.
Further, the latter of the two Federal Circuit decisions rejecting the MMR vaccine’s alleged role
in causing autism had been filed on August 27, 2010.
        In late 2010 and early 2011, special masters of this Court filed Orders in all of the 5,000-
plus autism cases, questioning whether the petitioners in each case wished to further pursue their
cases, in light of the autism test case results. As noted above, at that point the vast majority of
those autism petitioners elected either to withdraw their claims, or to request that the special

                                                 16
master file a decision denying their claim on the written record, resulting in a brief decision
rejecting the petitioner’s claim for lack of support.
        In this case, I issued such an Order to Petitioners on May 19, 2011. (ECF No. 20.)
Unlike in most of the autism cases, however, in this case Petitioners’ attorney filed a response
indicating that Petitioners wanted to continue to pursue their claim. That response came in the
form of an Amended Petition filed on July 20, 2011, which alleged that as a “direct result” of his
MMR vaccination of February 25, 1999, and his Hib vaccination of May 26, 1999, SRH
developed “mercury poisoning.” (ECF No. 22, ¶¶ 7, 8, 15, 18.) (This allegation was somewhat
peculiar, since one of the two named vaccines, the MMR, does not contain mercury.)
       Petitioners later filed (on March 9, 2015), a Second Amended Petition, which again
alleged that SRH developed “mercury poisoning” as the direct result of his MMR vaccination of
February 25, 1999, and his Hib vaccination of May 26, 1999. (ECF No. 90, ¶¶ 7, 8, 16, 20.)
        After Petitioners filed their (first) Amended Petition on July 20, 2011, despite my
warning during the status conference of August 2, 2011, and the further warning contained in the
written Order filed on August 15, 2011, Petitioners elected to continue to file evidence allegedly
supporting their “mercury poisoning” claim (as noted above, an amount of mercury is part of the
preservative known as “thimerosal” used in some childhood vaccines). After seeking many
extensions of time to file such evidence, Petitioners finally filed an expert report, of Dr. Mark
Geier, on June 6, 2013. (Ex. 17, ECF No. 36-2.) On October 4, 2013, they filed an extensive set
of documents from SRH’s father Dr. Brian Hooker, who is not a medical doctor. (ECF No. 44.)
They further filed, also on October 4, 2013, five more expert reports, including another report
from Dr. Mark Geier. (ECF Nos. 45-46.) Petitioners then sought additional time to file the report
of yet another expert, Dr. Frances Kendall. (ECF No. 52.) Petitioners subsequently filed a series
of motions, each requesting additional time to file such report, and those motions were granted,
but on the ultimate due date for Dr. Kendall’s report, Petitioners instead filed the expert report of
Mary Megson, M.D. (See Ex. 32, ECF No. 58-2, filed April 18, 2014.)
        On January 22, 2015, Respondent filed the reports of three medical experts, along with
medical literature. (ECF No. 83.) On May 18, 2015, Petitioners filed a status report indicating
that Petitioners did not wish to file any further expert reports.
       2. My Decision rejecting Petitioners’ causation claims
        On May 19, 2016, I filed my Decision rejecting Petitioners’ causation claims. While I
indicated my sympathy for SRH and his family, I found Petitioners’ claim to be wholly without
merit. I found that the Petitioners’ experts were very poorly qualified, sometimes scandalously
so, and very unpersuasive in their reports. I found that Respondent’s expert reports were quite
persuasive. I found that Petitioners’ theory of causation, that SRH was injured by the mercury
contained in the thimerosal ingredient of one or more of SRH’s vaccinations, was exactly the
same theory rejected at extreme length and detail in the petitioners’ “second theory” “test cases”
in the OAP. In short, I found absolutely no merit in any of Petitioners’ causation evidence
advanced in this case.

                                                 17
       3. The lack of reasonable basis to pursue this case after August 31, 2011
        As demonstrated by (1) the summary of Petitioners’ causation claim and evidence, and
(2) the summary of my lengthy decision completely rejecting that claim, it is very clear that
Petitioners and their experts presented an extremely defective causation claim in this case. I
conclude that Petitioners’ entire presentation of expert reports, medical literature, and the filings
of Dr. Hooker himself, were so defective that their presentation was, in essence, frivolous.

               a. Petitioners’ experts were completely unqualified and unpersuasive, some
                  with a history of severe professional disciplinary sanctions.
       In my Decision filed on May 29, 2016, in this case, I described at considerable length the
very poor qualifications of the experts upon whom the Petitioners relied in this case, and the
unpersuasiveness of their written reports. (2016 WL 3456435, at *13-18, 29-38.) I will highlight
a few examples here.

                       i. Mark Geier, M.D.
       The first expert report filed was that of Dr. Mark Geier, and it was shocking to me that in
2013 any Vaccine Act attorney would rely on Dr. Geier, for several reasons.
        First, in King v. HHS, No. 03-584V, 2010 WL 5470787, at *5-17 (Fed. Cl. Spec. Mstr.
Dec. 13, 2010),15 I found that it would be unreasonable for the Vaccine Program to compensate
counsel for paying Dr. Geier and his co-authors for writing a medical article. In that ruling, I
described in great detail a multitude of criticisms of Dr. Geier’s past expert reports and court
testimony, both by many special masters of this court and by judges of other courts. Those
criticisms related both to conclusions that Dr. Geier lacked honesty and candor, and to his
willingness to testify concerning medical areas in which he was not qualified. (Id. at *10-15.)
         Further, exhibits filed in this case show that the Maryland State Board of Physicians
(“Board”) suspended Dr. Geier’s license to practice medicine on April 27, 2011 (Ex. B, ECF No.
41-2, p. 46), and then revoked that license on August 22, 2012. (Ex. A, ECF No. 41-1, p. 15.)
Even more disappointingly, when Petitioners’ counsel filed a curriculum vitae of Dr. Geier on
October 4, 2013, the fact that his medical license had been suspended and later revoked was not
mentioned. (Ex. 24.) Further, those exhibits also showed that the Board, in fact, based its actions
against Dr. Geier specifically on a review of Dr. Geier’s medical care for multiple patients
afflicted with ASDs. Among the many reasons given by the Board for revoking Dr. Geier’s
medical license were: a) his failure to meet basic medical standards for evaluating patients and
keeping adequate records (Ex. A, p. 2); b) his prescriptions of risky “chelation” therapy to
patients who did not need chelation (id., p. 3); c) his administration of medications not approved
by the Food and Drug Administration, without obtaining adequate informed consent, and his
failure to properly monitor the outcome of such treatments (id., p. 4); and d) his willful

15
        That King opinion was remanded to me for additional consideration, but on remand I
issued another opinion that reached the same conclusion, based on the same evidence,
concerning Dr. Geier. See King v. HHS, No. 03-584V, 2011 WL 5926126 (Fed. Cl. Spec. Mstr.
Sep. 22, 2011).

                                                 18
falsification of his professional credentials (id., p. 5). The Board concluded that Dr. Geier had
displayed “an almost total disregard of basic medical and ethical standards” (id., p. 14), and that,
“[i]n plain words, Dr. Geier exploited these patients under the guise of providing competent
medical treatment” (id., p. 15).
        Further, while Dr. Geier has published many medical articles concerning ASDs, the
Institute of Medicine16 has evaluated a number of these articles and concluded that they are
riddled with problems, and thus are essentially without any value whatsoever in terms of
contributing to the study of the causation of ASDs. See King v. HHS, 2010 WL 5470787, at
*12-14; Institute of Medicine, Immunization Safety Review: Vaccines and Autism (2004), filed
on compact disc on June 2, 2015, as Respondent’s Ex. BBB, pp. 55-62.17

                       ii. Stephen Smith, M.D.
         The curriculum vitae of another of Petitioners’ experts, Dr. Stephen Smith, was never
filed. Thus, the only filed information concerning Dr. Smith’s educational background and
qualifications consists of his own brief statements about his practice contained in his expert
report, plus copies of disciplinary rulings against him by a state regulatory agency.18 Those
rulings indicate that Dr. Smith graduated from medical school in 1980, and received a license to
practice medicine in June 1981. (Ex. J, p. 6 of 12.) He did not complete any medical residency
(id.), and is not board-certified in any medical specialty (Ex. K, p. 2, ¶ 2.1). He “practices
allopathic medicine as well as alternative medicine.” (Ex. J, p. 6 of 12.)

16
        The Institute of Medicine is the medical arm of the National Academy of Sciences. The
National Academy of Sciences (“NAS”) was created by Congress in 1863 to be an advisor to the
federal government on scientific and technical matters (see An Act to Incorporate the National
Academy of Sciences, 37 Cong. Ch. 111, 12 Stat. 806 (1863)), and the Institute of Medicine
(“IOM”) is an offshoot of the NAS established in 1970 to provide advice concerning medical
issues. (Ex. BBB, p. iv.) When it enacted the Vaccine Act in 1986, Congress specifically
directed that the IOM conduct studies concerning potential causal relationships between vaccines
and illnesses. (§ 300aa-1 note.)
17
        Mr. Shoemaker has previously shown astoundingly poor judgment in attempting to bill
the Program for amounts to be paid to Dr. Geier. For example, in one case, Mr. Shoemaker,
almost unbelievably, attempted to bill the Program for the costs of a trip by himself, Dr. Mark
Geier, and David Geier to France and Italy, allegedly to interview medical experts. The special
master denied the claimed costs, labelling the attempt to bill such costs as an “extreme example
of [Mr. Shoemaker’s] error in billing judgment.” Riggins v. HHS, No. 99–382V, 2009 WL
3319818, at *12-13 (Fed. Cl. Spec. Mstr. June 15, 2009), aff'd by unpublished order (Fed. Cl.
Dec. 10, 2009), aff’d, 406 Fed. Appx. 479 (Fed. Cir. 2011).
18
       Respondent filed copies of official documents which describe disciplinary actions taken
by the Department of Health of the State of Washington, against Stephen L. Smith, M.D., in
2007 and 2014. (Ex. J, ECF No. 83-8; and Ex. K, ECF No. 83-9, both filed on January 22,
2015.)

                                                 19
         Further, the above-mentioned disciplinary actions against Dr. Smith are directly relevant
to the issues presented in this case. Exhibit J describes the ruling of the Washington State
Medical Quality Assurance Commission (“Commission”) in 2007, concerning Dr. Smith’s
prescription of “multiple traditional and non-traditional medications” to a teenage patient that Dr.
Smith diagnosed as suffering from “mercury toxicity.” (Ex. J, pp. 6-7 of 12.) The Commission
determined that Dr. Smith subjected the patient to risky treatment without proper justification.
(Id., pp. 7-8.) The Commission determined that Dr. Smith’s actions constituted unprofessional
conduct. (Id., p. 9.)
        Exhibit K describes a ruling in 2014, concerning Dr. Smith’s treatment of a different
teenager, who had been diagnosed with autism. (Ex. K, p. 2 of 10.) In that case, Dr. Smith
diagnosed a “toxic encephalopathy” related to lead poisoning (id., p. 4), and used a risky
procedure known as “chelation” to treat the alleged excess lead in the patient’s system (id., pp. 2-
3). The Commission identified multiple failures by Dr. Smith to meet the standard of care for
this patient, including his diagnosis of “toxic encephalopathy or lead poisoning despite the fact
that there was no evidence to support this diagnosis.” (Id., pp. 3-4.) As a result of these findings,
the Commission imposed a fine and prohibited Dr. Smith from treating patients under the age of
18. (Id., pp. 5-6.)

                       iii. Mr. David Geier
        Petitioners’ counsel also submitted as an “expert” report a report from Mr. David Geier,
the son of Dr. Mark Geier. However, David Geier, according to his own curriculum vitae, lacks
any sort of medical education or training. (See generally Ex. 22.) In fact, his most significant
qualification is a Bachelor of Arts degree, with a major in biology. (Id., p.1.) Further, David
Geier was a co-author with his father on most of the medical articles described above, found by
the Institute of Medicine to be worthless. See King v. HHS, 2010 WL 5470787, at *12-14.
        I also note that in Riggins v. HHS, No. 99–382V, 2009 WL 3319818, at *6–7 (Fed. Cl.
Spec. Mstr. June 15, 2009), aff'd, 406 Fed. Appx. 479 (Fed. Cir. 2011), Special Master
Golkiewicz found that David Geier was “not qualified to serve as a consultant on the medical
issues presented in the Vaccine Program.” I reached the same conclusion in King v. HHS, 2010
WL 5470787, at *20.
                       iv. Janet Kern, Ph.D.
       Janet Kern has collaborated with both of the above-mentioned Geiers in producing many
research papers. Their expert opinions concerning the alleged hazards of thimerosal-containing
vaccines are very similar. See Hooker v. HHS, 2016 WL 3456435, at *30-33. Dr. Kern
commenced her collaboration with the Geiers in 2009, even though the Geiers’ previous medical
research had been severely criticized as described above, and her decision to commence that
collaboration reflects poorly on her credibility. (Id. at *32.) Further, Dr. Kern’s opinion was
persuasively criticized by Respondent’s highly qualified expert witness medical doctors, Drs.
Raymond and Cetaruk. (Id. at *37-38.)

                                                 20
                       v. Boyd Haley, Ph.D.
       Like Janet Kern, Boyd Haley is not a medical doctor, and his expert report was strongly
rebutted by Respondent’s much better-qualified medical doctor, Dr. Cetaruk. See Hooker v.
HHS, 2016 WL 3456435, at *33, 37.

                       vi. Mary Megson, M.D.
        Dr. Megson is, at least, a medical doctor, a pediatrician, and has considerable experience
treating children with ASDs. Hooker, 2016 WL 3456435, at *33. However, her expert report
was effectively rebutted by Respondent’s much better-qualified experts, Drs. Raymond and
Cetaruk. (Id. at *37-38.) I found her expert report to be wholly unpersuasive.19

                       vii. Summary concerning Petitioners’ expert reports
        It was shocking to me that Petitioners’ counsel even filed the reports of Dr. Mark Geier,
Dr. Stephen Smith, and David Geier, in light of the above-described rejection by the Institute of
Medicine of the works of the two Geiers, the complete lack of qualifications of David Geier, and
the condemnations of both Dr. Geier and Dr. Smith by the medical boards of their respective
states.
       Further, the reports of the two Ph.D.s, Boyd Haley and Janet Kern, and the report of Dr.
Megson, were also totally unpersuasive, for the reasons stated in the pages above and in my
Decision on the merits in this case. See Hooker, 2016 WL 3456435 at *28-38.
       Accordingly, I found that the very poor quality and complete lack of persuasiveness of
the expert reports that the Petitioners filed in this case supports my conclusion that it was quite
unreasonable for Petitioners’ counsel to pursue this case after August of 2011.20

               b. The medical records plainly contradict Petitioners’ key factual allegations.
        Another strong reason for finding that there was no reasonable basis to pursue this case
after August of 2011, is that SRH’s medical records plainly contradict several of Petitioners’ key
factual allegations as to the timing or existence of symptoms in SRH.

19
        In addition, in another decision, after hearing Dr. Megson testify orally in person that an
autism patient’s disorder was vaccine-caused, I found Dr. Megson’s testimony to be exceedingly
unpersuasive. Long v. HHS, No. 08-792V, 2015 WL 1011740, (Fed. Cl. Spec. Mstr. Feb. 9,
2015) at *19. I also note that another special master has evaluated Dr. Megson’s testimony, and
similarly found her testimony to be poorly presented and unreliable. Doe 21 v. HHS, No. 02-
411V, 2009 WL 3288295, at *19-20 (Fed. Cl. Spec. Mstr. Jan. 16, 2009), vacated and remanded
on other grounds, 88 Fed. Cl. 178 (2009), reinstated sub. nom., Paterek v. HHS, 527 F. App’x
875 (Fed. Cir. 2013).
20
        I have also considered the filings of Dr. Hooker himself, but, as explained in my Decision
of May 19, 2016 (Hooker, 2016 WL 3456435 at *38-39), I found no substantial support for
Petitioners’ case in Dr. Hooker’s filings, and those filings do not indicate that there was any
reasonable basis to pursue this case.
                                                 21
                       i. The first symptoms of SRH’s autism appeared prior to when
                       Petitioners alleged.
         From the beginning of this litigation, Petitioners have contended that the first symptom of
SRH’s autism took place shortly after his vaccination of May 26, 1999. (E.g., Petition, ECF No.
1, ¶ 9; (first) Amended Petition, ECF No. 22, ¶ 9.) However, SRH’s records tell a different
story, indicating that SRH was exhibiting the initial onset of a neurodevelopmental disorder,
later diagnosed as an autism spectrum disorder, prior to May 10, 1999. First, SRH’s
pediatrician, Dr. Heller-Bair, carefully recorded SRH’s developmental progress during most
pediatric visits during his first 15 months of life, using the Denver II Developmental Screening
Test. (Ex. 35, pp. 4, 5, 11, 13, 24.) This screening tool allows medical personnel to indicate a
“pass” (“P”) or “fail” (“F”) for each infant milestone, on a chart divided into age groups. At four
months of age, Dr. Heller-Bair noted “fail” for three developmental milestones that SRH had not
achieved. (Ex. 35, p. 24.) At six months of age, there are notations indicating that SRH failed to
achieve three milestones. (Id.) At nine months, he failed two milestones, as he was not using
“mama/dada” and could not sit up alone. (Id.) At his twelve-month check-up, on February 25,
1999, he could speak only two words, and was not yet able to drink from a cup. (Id.)
        Second, Respondent’s expert witness Dr. Bennett Leventhal, with by far the best
qualifications regarding the study of ASDs of any expert who filed reports for either party in this
case, reviewed SRH’s medical records in exhaustive detail, and presented the following opinion
regarding the time of onset of SRH’s ASD.
       There is little doubt that [SRH’s] early onset neurodevelopmental disorder began as early
       as 4 months of age. Certainly, early signs of developmental disruption were present by
       4-8 months of age (trouble with changes in routine, sleep problems, noise
       hypersensitivity, staring at lights) with increasing evidence culminating in virtual
       certainty not later than 15 months of age when he was below expected levels on
       developmental examinations.
(Ex. C, p. 31, emphasis added.)
        Dr. Leventhal also pointed to a lengthy list of unusual features of SRH’s medical history
exhibited prior to May 10, 1999, indicating the onset of ASD symptoms prior to that date. (Ex.
C, pp. 29-30 of 35, ¶¶ a through h.) Included in that list of symptoms were a number of features
that are particularly indicative of autism. For example, at his check-up on October 17, 1998, it
was noted that SRH had “noise sensitivity.” (Ex. 35, p. 7.) Dr. Leventhal pointed to that record,
and explained that noise sensitivity “is a symptom associated with ASD (Autism Spectrum
Disorder).” (Ex. C, p. 6; see also further discussion of noise sensitivity in SRH as a symptom of
ASD by Dr. Leventhal at Ex. C, p. 7.)
        Also included in Dr. Leventhal’s list of early symptoms of a developmental disorder was
another symptom particularly indicative of ASD -- “evidence of language delay and reports of
social interaction problems” at age 12 months. (Ex. C, p. 30 of 35, ¶ g.) Language delay and
social interaction problems are classic symptoms of autism. See, e.g., Snyder v. HHS, No. 01-
162V, 2009 WL 332044, at *31 (Fed. Cl. Spec. Mstr. Feb. 12, 2009).

                                                22
        Third, several representations by the Petitioners themselves indicate that SRH was
suffering from developmental problems, likely early symptoms of his ASD, well prior to May
10, 1999. For example, SRH’s parents reported that at one year of age (about February 10,
1999), he seemed “delayed in interactive skills.” (Ex. 2, p. 46.) On September 14, 1999, SRH’s
parents reported that they had been worried about developmental delays “for about 6 months,”
which would put the onset around March of 1999. (Ex. 6, p. 19.) And on occasions, SRH’s
parents identified the onset of SRH’s developmental problems as occurring about the time of his
MMR vaccination, which took place on February 25, 1999. (See Ex. 5, p. 30 (SRH lost eye
contact “after his MMR shot”); Ex. 14, p. 38 (“delays, deterioration of verbal skills coincidental
[with] MMR”)).
        Accordingly, it was unreasonable for Petitioners’ counsel to pursue this case when the
medical records, and Petitioners’ own statements quoted above, contradicted the key factual
allegations of Petitioners’ causation theory.

                      ii. Some of Petitioners’ other key factual allegations were contradicted
                      by the medical records.
        Another reason that it was unreasonable for Petitioners’ counsel to pursue this case past
August of 2011 is that several other key representations of Petitioners concerning SRH’s medical
history were contradicted by the contemporaneous medical records.
        For example, Petitioners represented to Dr. Smith that SRH experienced a “regression”
within two weeks of his 15-month vaccinations on May 26, 1999 (Ex. 29, p. 1), and to Dr.
Megson that SRH experienced “a prolonged fever,” “chronic inflammation,” and “regressive
encephalopathy” after those same vaccinations (Ex. 32, p. 12). However, the medical records
contradict both the allegations of a “regression” within two weeks of May 26, 1999, and also Dr.
Megson’s statements that SRH experienced “prolonged fever,” “chronic inflammation,” and
“regressive encephalopathy” soon after May 26, 1999.
       In this regard, I note first that I have carefully reviewed the contemporaneous records
created around that time period, and have found no medical notations at all created between May
26, 1999, and June 8, 1999. Therefore, during those two weeks, SRH apparently did not exhibit
any adverse symptoms that seemed significant enough to result in a trip to his health care
providers -- which certainly makes it seem impossible that SRH was in fact suffering, during
those two weeks, any of the symptoms upon which Dr. Smith and Dr. Megson relied.
       Even more importantly, SRH did visit physicians on several occasions between June 8
and June 30, 1999, and none of those records indicate that in late May and early June SRH had
undergone a “regression,” “prolonged fever,” “chronic inflammation,” or “regressive
encephalopathy,” as stated by Drs. Smith and Megson. Those records, in fact, indicate to the
contrary.
       On June 8, 1999, SRH’s parents brought him to the office of Dr. Randall Fong, an
otolaryngologist, for an evaluation before surgery to place ear tubes. (Ex. 7, p. 4.) Dr. Fong
noted SRH’s ongoing ear issues, and an extensive pre-operative discussion with his parents,
during which “all questions were answered, and informed consent was obtained.” (Id.) There
were no parental concerns noted regarding the recent onset of any neurological problems.

                                                23
        Six days later, on June 14, 1999, the pediatrician, Dr. Heller-Bair, examined SRH
because he had a fever. (Ex. 35, ECF No. 62-3, p. 14.) She recorded that he presented with a “1-
day history of low-grade fever, irritability, decreased appetite, nasal congestion.” (Id.) Dr.
Heller-Bair diagnosed a viral upper respiratory infection, but declined to prescribe antibiotics,
and reassured SRH’s mother that he did not have an ear infection at that time. (Id.)
         On June 16, 1999, Dr. Fong performed another pre-operative examination of SRH. (Ex.
7, filed Sept. 7, 2007, p. 5.) He concluded that SRH appeared to be recovering from a viral
illness, but he planned to proceed with the insertion of ear tubes on June 18, 1999, if there was
no recurrence of fever. (Id.) Dr. Fong’s pre-operative assessment, once again, did not describe
any symptoms suggestive of a “regression” or neurodevelopmental problems of any kind. SRH,
in fact, had his ear tube surgery on June 18, as planned, and Dr. Fong performed another
complete examination just before that procedure. (Ex. 10, filed Sept. 7, 2007, p. 107.) He
characterized SRH as a “well-developed, well-nourished white male in no acute distress.” (Id.)
After the surgery, on June 30, 1999, Dr. Fong re-examined his patient and conducted a hearing
test. (Ex. 7, p. 6.) The physical exam was unremarkable, while SRH’s conductive hearing loss
was somewhat “improved.” (Id.)
        Then, notably, for ten weeks, between June 14 and August 30 of 1999, SRH’s parents did
not bring him for evaluation by his pediatrician. There were no reports to Dr. Heller-Bair of
adverse neurodevelopmental symptoms during this time period, although Petitioners in this case
have claimed that SRH suffered a “toxic encephalopathy” or a “regression” soon after May 26,
1999.
       In short, there is nothing in any of these many medical records, created during June 1999,
that would lend any support at all to Petitioners’ representation to Dr. Smith that SRH suffered a
“regression” within two weeks after the vaccinations of May 26, 1999. Certainly, these
physicians, especially the treating pediatrician, would have commented on such a regression if
symptoms had actually appeared during the time period just prior to these physician visits.
        Moreover, these physician records of June 1999 also directly contradict the
representations that Petitioners apparently made to Dr. Megson. Note that Dr. Heller-Bair on
June 14 noted only a “1-day history of low-grade fever.” (Ex. 35, p. 14.) This report of a “one-
day” low-grade fever contradicts several allegations of fact in Dr. Megson’s report, including her
statements that after the May 26 vaccinations SRH experienced a “prolonged fever” (Ex. 32, p.
12); a fever from “May 26, 1999 to June 14, 1999,*** for 2 weeks” (Ex. 32, p. 3); and a fever
“for 18 days” plus “3 additional days” (Ex. 32, p. 11).
        Further, while Dr. Megson stated that SRH also experienced “chronic inflammation” and
“regressive encephalopathy” after the May 26 vaccinations, the lack of any physician visits
between May 26 and June 8, and particularly the above-described records of June 8 through June
30, also contradict those representations made to Dr. Megson.

                                               24
                       iii. Summary concerning the contradiction of Petitioners’ factual claims
                       by the medical records
       In short, as explained above, the key factual representations upon which Petitioners’
causation claim was based were contradicted by the medical records. Therefore, it was not
reasonable for Petitioners’ counsel to pursue this case when it was so plainly contradicted.

       c. Petitioners relied in this case on the same causation theory that was rejected in the
       OAP “test cases.”
       A third strong reason, for concluding that there was no reasonable basis for Petitioners’
counsel to pursue this case past August of 2011, is that Petitioners’ causation theory was exactly
the same causation theory that was resoundingly rejected in the second group of OAP “test
cases” described above.
        That is, the causation theory upon which the Petitioners relied in this case, the theory that
the mercury-based “thimerosal” preservative contained in certain vaccines can cause or
aggravate ASDs, was litigated at extreme length in the second group of three OAP “test cases,”
as explained above. Three different special masters, after listening to weeks of testimony from
multiple ASD experts from around the world, and studying multiple medical studies from around
the world concluding that there was no evidence of any correlation between thimerosal-
containing vaccines and ASDs, each wrote very extensive opinions (310, 169, and 117 pages,
respectively, single-spaced, in length), finding no persuasive evidence of a causal link between
thimerosal-containing vaccines and autism, and finding that the available evidence indicated
strongly to the contrary. Mead v. HHS, No. 03-215V, 2010 WL 892248 (Fed. Cl. Spec. Mstr.
Campbell-Smith Mar. 12, 2010); Dwyer v. HHS, No. 03-1202V, 2010 WL 892250 (Fed. Cl.
Spec. Mstr. Vowell Mar. 12, 2010); King v. HHS, No. 03-584V, 2010 WL 892296 (Fed. Cl.
Spec. Mstr. Hastings Mar. 12, 2010). Those three opinions detailed several major, very
persuasive reasons to reject the theory that thimerosal-containing vaccines can contribute to the
causation or aggravation of autism. Some examples are noted below.
       First, while different forms of mercury clearly can be quite harmful to humans at
substantial doses (depending on the type of mercury), there is extensive scientific evidence
showing clearly that the type of mercury contained in thimerosal-containing vaccines is not
harmful to humans in the small amounts contained in thimerosal-containing vaccines. E.g., King
v. HHS, 2010 WL 892296 at *29.
         Second, extensive scientific evidence shows that when mercury is harmful to humans --
that is, when the human brain is exposed to dosages of mercury far higher than the amounts
present in all the thimerosal-containing vaccines that a young child would receive -- the harm
looks nothing like autism. E.g., King, 2010 WL 892296 at *30.
       Third, autopsy studies, comparing brains of autistic children to those of non-autistic
children, indicate that autistic brains show a number of abnormal features that necessarily would
have occurred during specific parts of the prenatal period, contradicting the theory that
vaccinations received after birth could cause autism. E.g., King, 2010 WL 892296 at *32.

                                                 25
       Fourth, in the several years after the theory was first proposed that thimerosal-containing
vaccines could cause ASDs, a large number of epidemiological studies21 were carried out, in
many countries world-wide, specifically to explore whether there was any association between
exposure to thimerosal-containing vaccines and the occurrence of autism. All of the competent,
well-designed studies reached the conclusion that no association between thimerosal-containing
vaccines and autism had been shown. E.g., King, 2010 WL 892296 at *63-67, 75.
       Fifth, a number of prestigious medical groups, including the Institute of Medicine; the
World Health Organization; the American Academy of Pediatrics; the European Agency for the
Evaluation of Medical Products; the U.S. Centers for Disease Control and Prevention; and the
National Advisory Committee on Immunization of the Public Health Agency of Canada, have
concluded that the scientific evidence does not support a causal relationship between thimerosal-
containing vaccines and autism. E.g., King, 2010 WL 892296 at *75-77.

D. Summary concerning “reasonable basis” issue
        At the time that this case was filed, there was considerable uncertainty concerning how
claims alleging that vaccines could contribute to the causation of autism would fare in this Court,
so I have concluded that it was reasonable to file this case and to pursue it for a reasonable
amount of time thereafter. However, for the reasons set forth in detail in the sections of this
Decision immediately above, I conclude that Petitioners’ case ceased to have a reasonable basis
after the end of August of 2011.
       In short, by August 31, 2011, Petitioners’ counsel had had well over a year to analyze the
extensive and extremely detailed analysis of those three “test-case” opinions, which rejected the
same theory advanced by Petitioners in this case.22 Dwyer v. HHS, No. 03-1202V, 2010 WL
892250 (Fed. Cl. Spec. Mstr. Mar. 12, 2010); King v. HHS, No. 03-584V, 2010 WL 892296
(Fed. Cl. Spec. Mstr. Mar 12, 2010); Mead v. HHS, No. 03-215V, 2010 WL 892248 (Fed. Cl.
Spec. Mstr. Mar. 12, 2010).

       Counsel also had more than two years to study the three lengthy special master decisions
concerning the other causation theory advanced by the petitioners in the OAP, concerning the
MMR vaccine, and even a year to study the very last of the five appellate decisions strongly
affirming the three special master decisions. Cedillo v. HHS, No. 98-916V, 2009 WL 331968
(Fed. Cl. Spec. Mstr. Feb. 12, 2009), aff’d, 89 Fed. Cl. 158 (2009), aff’d, 617 F.3d 1328 (Fed.
Cir. 2010); Hazlehurst v. HHS, No. 03-654V, 2009 WL 332306 (Fed. Cl. Spec. Mstr. Feb. 12,
2009), aff’d, 88 Fed. Cl. 473 (2009), aff’d, 604 F.3d 1343 (Fed. Cir. 2010); Snyder v. HHS, No.
01-162V, 2009 WL 332044 (Fed. Cl. Spec. Mstr. Feb. 12, 2009), aff’d, 88 Fed. Cl. 706 (2009).
21
        Epidemiology is “the study of the factors determining and influencing the frequency and
distribution of disease, injury, and other health-related events and their causes in a defined
human population.” Dorland’s Illustrated Medical Dictionary (32nd ed. 2012), p. 631.
22
        It is further indicative of the extremely illogical causation presentation in this case that in
the Petitioners’ (first) Amended Petition and Second Amended Petition, Petitioners continued to
rely on their thoroughly rejected “mercury poisoning” theory, yet pointed to only two
vaccinations, one of which, the MMR vaccination, does not even contain thimerosal or any form
of mercury. (ECF No. 22, ¶¶ 7, 8, 15; ECF No. 90, ¶¶ 7, 8, 16.)
                                                  26
(The last of those decisions to be filed was the Federal Circuit’s affirmance of Cedillo, on
August 27, 2010.)
        But counsel continued to move forward with a causation theory that had been thoroughly
rejected and discredited. He moved forward by filing the expert reports of a collection of totally
unimpressive and unpersuasive expert witnesses -- two of whom had been severely sanctioned
by their state medical boards, one of whom (David Geier) had no qualifications whatsoever, and
the balance consisting of two Ph.D.s and one medical doctor whose expert reports were
completely unpersuasive. He moved forward based upon factual representations by his clients
which were in fact strongly contradicted by SRH’s medical records. And he moved forward
despite two specific warnings from me, orally on August 2, 2011, and in a written Order filed on
August 15, 2011, that if Petitioners continued to move forward with their flawed, rejected, and
discredited causation theory, it was questionable whether they would receive compensation for
pursuing the case beyond that point.
        Based on these factors, I find that there was no reasonable basis for Petitioners’ counsel
to continue to pursue their case after the end of August of 2011, and I will make no award for
fees and costs incurred after that date, except for a small amount awarded for filing the fees and
costs application.23

23
        Other special masters have reached similar conclusions in other Vaccine Act cases. The
adequacy of an attorney’s investigation into the factual basis of a petitioner’s claim has been
found to be key to determining whether reasonable basis existed for a claim. Di Roma v. HHS,
No. 90-3277, 1993 WL 496981, at *2 (Fed. Cl. Spec. Mstr. Nov. 18, 1993) (“Case law teaches us
that basic inquiries are required prior to the filing of any paper under the Act,” citing Lamb v.
HHS, 24 Cl. Ct. 255, 258–59 (1991)). Although in the history of the Vaccine Program special
masters have tended to be generous in finding a reasonable basis to grant fee awards in
unsuccessful cases, that generosity does not extend to situations in which counsel fails to
sufficiently investigate the facts underlying the claim, or persists in litigating a case when the
evidence is clearly insufficient. Riley v. HHS, No. 09–276V, 2011 WL 2036976, at *3 (Fed. Cl.
Spec. Mstr. Apr. 29, 2011); see also Murphy v. HHS, 30 Fed. Cl. 60, 62 (1993) (affirming denial
of attorneys’ fees where contemporaneous records provided no basis for alleged injury), aff’d, 48
F.3d 1236 (Fed. Cir. 1995); Di Roma, 1993 WL 496981 at *3 (denying attorney’s fees and costs
where “[m]inimal research and good sense should have indicated that this case had no basis
under the law.”); Curran v. HHS, 2016 WL 4272069, at *3 (Fed. Cl. Spec. Mstr. June 16, 2016),
aff’d in relevant part, 130 Fed. Cl. 1, 7-8 (2016).

         Further, special masters have held that the reasonableness of a claim must be re-examined
at various stages of the proceeding. Riley, 2011 WL 2036976, at *8 (admonishing
counsel to “ensure that a reasonable basis is present at every stage of the case”) (emphasis in
original). If a petitioner’s efforts to address questions and concerns about a vaccine claim reveal
critical deficiencies, dismissal of the petition may be appropriate, and reasonably incurred
attorneys’ fees and costs, to that point, may be awarded. Stevens v. HHS, No. 90-221V, 1992
WL 159520, at *3 (Cl. Ct. June 9, 1992), aff’d, 996 F.2d 1236 (Fed. Cir. 1993). In addition,
prompt and responsive action by counsel is encouraged in Program proceedings once a claim’s
serious shortcomings have been identified and the reasonableness of maintaining the claim is
                                                27
                                                      V
            PETITIONERS’ ARGUMENTS CONCERNING “REASONABLE BASIS”
        In their reply memorandum filed on October 19, 2016 (“Reply”), Petitioners’ counsel
countered Respondent’s arguments concerning “reasonable basis.” (ECF No. 129.) I have
carefully considered Petitioners’ arguments in that regard, and find merit in some of them. I
have taken those arguments into account in reaching my findings concerning “reasonable basis”
in Section IV of this Decision.

         For example, Petitioners first argue (Reply, pp. 1-2) that it was reasonable to originally
file the case, and to continue to pursue it through August of 2011. I agree, for the reasons set
forth above.

        Petitioners also argue that it was reasonable for them to continue to seek evidence for
their theory after August of 2011. They contend that, during the digitally recorded status
conference held on August 2, 2011, the undersigned special master “instructed” them “to find
other theories”-- i.e., theories other than the previously-discredited “mercury poisoning” theory
advanced in their Petition and their (first) Amended Petition. (Reply, p. 3, line 3; see also Reply,
pp. 2-4 generally.) This argument is misleading, and not persuasive. In neither the status
conference of August 2, 2011, or in my follow-up Order filed on August 15, 2011, did I
“instruct” Petitioners to “find other theories.” Rather, in both instances I warned Petitioners’
counsel that if they continued to pursue the same theory that was thoroughly rejected in the
“second theory” OAP test cases, their further efforts would likely not be considered reasonable.
In light of those warnings, Petitioners and their counsel could have, like most of the Vaccine Act
autism petitioners, withdrawn their claim or sought a ruling denying their claim on the written
record. (See discussion at p. 6 above.) Or they could have instead advanced a different theory,
with at least some credibility. Petitioners and their counsel took neither of those options.
Instead, they proceeded with the same discredited theory for four more years, supplying as
“evidence” for that theory only the dismal collection of alleged “expert” reports discussed at
length above, and the completely unpersuasive set of materials presented by SRH’s father, who
is not a medical doctor.

        Thus, having ignored my warnings, and having chosen to present a frivolous theory,
Petitioners’ argument that their counsel should be awarded over $200,000 in Program funds for
vainly seeking support for that frivolous theory, is wholly unpersuasive.

called into question. Compare Riley, 2011 WL 2036976, at *7-8 (awarding fees when counsel
acted quickly in winding down a case after recognizing that it was no longer reasonable to
continue), and Turner v. HHS, No. 99-544V, 2007 WL 4410030, at *10 (Fed. Cl. Spec. Mstr.
Nov. 30, 2007) (awarding partial fees when counsel promptly moved for judgment on the record
upon recognizing the deficiencies in the claim), with Stevens, 1992 WL 159520, at *3-4 (denying
fees when petitioners’ counsel “failed to react” to the ample notice provided of the factual
shortcomings of the case); and Curran, 2016 WL 4272069, at *3 (denying fees for the time
period after the claim’s defects became clear).

                                                 28
         In this regard, Petitioners’ counsel also argues that he should be compensated for his
activities after August of 2011, because he allegedly had an “ethical obligation” to “represent
Petitioners’ position.” (ECF No. 129, p. 4.) I cannot agree.

         To be sure, as counsel for Petitioners, Mr. Shoemaker would have an obligation, if he
remained their counsel, to present whatever arguments his clients instructed him to make, if he
found such arguments to be reasonable. However, Mr. Shoemaker has much experience
representing Vaccine Act claimants, including autism claimants, and thus seeks a very high
hourly rate (at $430 per hour for work in 2016) on account of his experience. Mr. Shoemaker
plainly should have realized, by the end of August 2011 at the latest, that the causation claim
that Petitioners wished to pursue in this case was not only contradicted by the facts of the case,
but was also contradicted by all available reliable scientific knowledge, and thus amounted to a
frivolous claim in this case. Mr. Shoemaker, as an officer of the court, had an ethical obligation
to tell that to his clients, and, if he could not influence them, to withdraw from representing these
Petitioners. It was not reasonable for him to, instead, continue to pursue the claim, and thereby
require the presiding special master to spend time writing a 58-page opinion evaluating the
Petitioners’ unpersuasive and frivolous claim.24 And it is certainly not reasonable for him now to
seek more than $200,000 in Program funds to compensate him for his ill-advised and futile
efforts at pursuing such a frivolous claim over the four following years, from 2011 to 2015.

       In short, I have reached the conclusions concerning “reasonable basis” set forth in
Section IV above, after carefully considering the arguments of Petitioners’ counsel in his
Response filed on October 19, 2016.

                                                      VI
              OBJECTIONS RAISED BY RESPONDENT TO SPECIFIC PARTS OF
                         PETITIONERS’ APPLICATION
        At pp. 16-19 of Respondent’s Opposition (ECF No. 125), Respondent raised several
specific objections to items included in Petitioners’ application for fees and costs in this case.

A. Knickelbein fees
        First, referring to an attorney in the firm of Petitioners’ counsel of record, Respondent
argued that “the majority of the work billed by Sabrina Knickelbein was for paralegal tasks
billed at an attorney rate.” (ECF No. 125, p. 17.) The Reply filed by Petitioners’ counsel did not
address this issue. (See ECF No. 129, p. 4.) In any event, most of Ms. Knickelbein’s work
occurred after August of 2011, and therefore will not be compensated at all, on “reasonable
basis” grounds as discussed above. (An exception concerns work that Ms. Knickelbein
performed concerning the fees and costs application in 2016, which I will discuss below.)

24
        The Vaccine Act special masters in recent years have been overwhelmed by vastly more
cases than they had in prior years. Thus, special master time spent on resolving frivolous claims,
such as the claim in this case, inevitably means that Vaccine Act petitioners with meritorious
cases must wait longer for their claims to be decided.
                                                 29
        As to the small amount of work performed by Ms. Knickelbein in 2005, 2007, and early
2011, after a review of her billing records, I will award her claimed attorney’s rate for those
years. However, as to hours billed by Ms. Knickelbein in 2016, relating to the attorneys’ fee
application and litigation, those hours, from their description in the billing records, appear to be,
as Respondent argued, for paralegal-level tasks. (ECF No. 129-2, pp. 60-61.) And as noted
above, Petitioners’ reply did not challenge Respondent’s argument concerning this point. (See
ECF No. 129, p. 4.) Accordingly, I will compensate these hours at a paralegal rate of $140 per
hour. (See McCulloch v. HHS, No. 09-293V, 2015 WL 5634323, at *21 (Fed. Cl. Spec. Mstr.
Sept. 1, 2015).)

B. Hours spent on general causation issues 2003-2010
       Respondent next contends (ECF No. 125, p. 17) that Petitioners’ counsel of record, Mr.
Shoemaker, “inappropriately billed an excessive number of hours in this case leading up to and
including the OAP proceedings for tasks that were geared towards the general causation question
addressed within the OAP proceedings.” It is true that Mr. Shoemaker participated in the
prosecution of the OAP test cases and was compensated for that work. (See Cedillo v. HHS, No.
98-816 (Fed. Cl. Spec. Mstr. Nov. 29, 2010) (on Court website); King v. HHS, No. 03-584V,
2009 WL 3320508 (Fed. Cl. Spec. Mstr. Sept. 28, 2009). But none of the hours billed in this
case seem to be the same hours billed in the OAP test cases.
        Nevertheless, I find that Respondent is correct that during the years 2003 through March
of 2010, Mr. Shoemaker spent a great many hours in working on the thimerosal general
causation theory, which was eventually addressed at length in the second set of three OAP test
cases that were issued on March 12, 2010. A review of Mr. Shoemaker’s billing sheets indicates
that Mr. Shoemaker (using the initials “CJS”) billed many hours for general causation matters in
2003, 2004, 2005, 2006, 2007, 2008, 2009, and in January through March 12 of 2010. (ECF No.
129-2, pp. 1-20.) Was it reasonable for Mr. Shoemaker to spend so many hours on the very
general causation issue that was at the same time being developed and litigated in the second set
of OAP test cases? I conclude that it was not.
         As the special master who had all of the approximately 5,000 autism cases on my docket
in the early 2000s through early 2007, and then one-third of the autism cases thereafter, I am
aware of the general practice of most attorneys who were counsel of record in autism cases from
2002 through March of 2010. As was anticipated when the “test case” system of litigating these
5,000 cases was devised, the vast majority of such counsel billed very few or no hours during
this period for developing “general causation” theories. This made sense, since a small group of
specific counsel had been selected by the Petitioners’ Steering Committee to assemble the
evidence concerning the general causation issue, and present any appropriate evidence during the
test case evidentiary hearings. It made sense that most of the other counsel with autism cases,
who were not part of that select group, simply waited for the outcome of the test cases, to see
whether the test case opinions found any validity in the vaccine-causation theories presented in
the test cases. As noted above, when the exhaustive test case opinions, and the appeals thereof,
found no validity to the proffered vaccine-causation theories, most of the counsel with autism
cases withdrew or otherwise disposed of their clients’ claims relatively quickly thereafter, in
effect accepting the outcome of the test cases.

                                                 30
       Mr. Shoemaker, however, proceeded quite differently from most counsel with Vaccine
Act autism cases. As noted, during the period 2003 to 2010, while the test cases were being
researched, prepared, and litigated by the attorneys selected by the Petitioners’ Steering
Committee, Mr. Shoemaker for some reason chose to spend approximately 76.4 hours doing his
own work relating to the general causation theory that thimerosal can cause or aggravate autism.
        I conclude that Mr. Shoemaker did not act reasonably in this regard. As noted,
Respondent has argued that it was not reasonable for Mr. Shoemaker to bill “an excessive
number of hours in this case,” in the time period leading up to the “second theory” test case
decisions, “for tasks that were geared towards the [same] general causation question addressed
within the OAP” test cases. (ECF No. 125, p. 17.) And Mr. Shoemaker largely failed even to
respond to this argument of Respondent. He acknowledged that many of his hours billed in the
case were for work that was “similar” to that done by other attorneys in the “test cases” -- i.e.,
“developing theories of causation.” (ECF No. 129, p. 2, line 5.) But he failed to even attempt to
explain why his work of this type was reasonable in this case. (Id.)
        In reviewing counsel’s billing records from 2003 to 2010, I found that many of the hours
that were billed involved general causation matters, rather than the specific claims made in this
case. I therefore conclude that the hours during 2003-2010 that Mr. Shoemaker spent on
“developing” the same theory that was presented in the second theory test cases were not
reasonably spent, and this will not be compensated in this case. I will disallow those hours, as
specified below. (In this regard, I will also disallow most of the hours counsel spent interacting
with Drs. Geier and Megson. Based on my discussion of Dr. Geier above, I find that all hours
spent dealing with that disreputable individual are per se unreasonable. As to Dr. Megson, it
was reasonable for counsel to work with her concerning Petitioners’ unpersuasive general
causation theory, but only until the same general causation theory was considered and rejected in
2010, in the published decisions of all three special masters who presided over the autism test
cases.)
        Studying counsel’s billing records (see ECF No. 129-2, pp. 1-20) , I find that the
noncompensable hours in this regard include: 1.6 hours in 2003, consisting of 0.5 on 5/12, 0.5
on 12/8, 0.6 on 12/10; 24.1 hours in 2004, consisting of 0.5 on 2/10, 10.0 on 3/3, 1.0 on 3/15,
0.8 on 3/16, 1.0 on 3/21, 0.5 on 3/26, 0.5 on 3/31, 0.4 on 4/1, 0.6 on 4/3, 0.4 on 4/15, 3.0
combined on 5/25, 0.5 on 6/16, 1.0 on 7/21, 0.5 on 8/12, 0.5 on 8/14, 0.3 on 8/19, 0.7 on 9/10,
0.5 on 10/26, 0.4 on 12/6, 1.0 on 12/14; 18.0 hours in 2005, consisting of 0.5 on 1/7, 0.5 on 1/9,
0.5 on 1/11, 0.5 on 1/12, 0.4 on 1/20, 1.0 on 2/15, 0.5 on 3/11, 0.4 on 3/19, 2.0 on 5/10, 0.5 on
5/11, 1.0 on 6/1, 1.0 on 6/10, 2.0 on 6/28, 0.4 on 7/11, 0.5 on 7/26, 1.0 on 8/8, 0.5 on 8/25, 0.5 on
8/28, 0.4 on 8/29, 0.5 on 9/13, 1.0 on 9/25, 0.4 on 10/29, 2.0 on 11/8; 7.2 hours in 2006,
consisting of 1.0 on 2/15, 1.4 combined on 2/27, 1.0 on 3/15, 1.0 on 3/22, 0.3 on 7/26, 0.3 on 9/9,
1.0 on 11/5, 0.5 combined on 11/7, 0.7 on 11/11; 14.8 hours in 2007, consisting of 0.1 on 1/3,
0.4 on 1/24, 0.4 on 1/28, 0.5 on 2/8, 0.3 on 2/16, 0.3 on 3/30, 0.1 on 4/8, 0.4 on 5/29, 0.3 on 5/31,
0.2 on 6/1, 0.3 on 6/30, 0.6 on 8/10, 0.3 on 11/5, 3.4 combined on 11/7, 2.5 on 11/8, 2.0 on 11/9,
1.0 on 11/10, 1.0 on 11/15, 0.7 on 12/16; 2.6 hours in 2008, consisting of 0.7 on 3/8, 0.2 on
3/11, 0.5 on 4/5, 0.7 on 8/16, 0.5 on 12/7; 2.8 hours in 2009; consisting of 0.5 on 1/21, 0.8 on

                                                 31
4/12, 1.5 on 8/21; 3.1 hours in early 2010, consisting of 1.5 on 3/6, 1.6 on 3/7.25 These hours
will be subtracted from the yearly subtotals of Mr. Shoemaker’s billed hours, at the end of each
year from 2003 through 2010.

C. Hourly rates
        Respondent also objects to the hourly rates claimed by Petitioners’ attorneys. (ECF No.
125, p. 18.) I will grant the hourly rates claimed by attorneys Gentry, Shoemaker, and
Knickelbein in the firm’s billing entries for the years 2002 through 2011. (ECF No. 129-2,
pp. 1-20.) (Shoemaker: 2002 -- $258; 2003 -- $268; 2004 -- $278; 2005 -- $288; 2006 -- $299;
2007 -- $310; 2008 -- $324.26; 2009 -- $336.58; 2010 -- $346; 2011 -- $358) (Gentry 2002 --
$242; 2003 -- $251; 2004 -- $260; 2006 -- $280; 2007 -- $290) (Knickelbein: 2005 -- $225; 2007
-- $261; 2011 -- $300). For the hours billed in 2016 by both Mr. Shoemaker and Ms. Gentry
pertaining to the fees application and litigation, I will pay Mr. Shoemaker and Ms. Gentry at the
claimed rates of $430 and $415, respectively, for the hours that I find reasonable. See
McCulloch v. HHS, No. 09-293V, 2015 WL 5634323, at *18-19 (Fed. Cl. Spec. Mstr. Sept. 1,
2015); Jaffri v. HHS, No. 13-484V, 2016 WL 7319407, at *6 (Fed. Cl. Spec. Mstr. Sept. 30,
2016).

25
       I note that in doing this calculation, I found many other billing entries that were
questionable, but I have given Petitioners’ counsel the “benefit of the doubt” concerning those
additional time claims.

                                               32
                                                   VII
                                           COMPUTATIONS
A. Shoemaker fees 2001-2011
(See ECF No. 129-2, pp. 1-20.)

      For 2001: .33 hours billed x $250                               =    $   82.50

      For 2002: 3.4 hours billed x $258                               =    $ 877.20

      For 2003: 7.4 hours billed less 1.6 hours
                 deducted above as unreasonable = 5.8 hours x $268     =    $ 1,554.40

      For 2004: 42.1 hours billed less 24.1 hours
                 deducted above as unreasonable = 18 hours x $278      =    $ 5,004.00

      For 2005: 32.4 hours billed less 18 hours
                 deducted above as unreasonable = 14.4 hours x $288    =    $ 4,147.20

      For 2006: 14.5 hours billed less 7.2 hours
                 deducted above as unreasonable = 7.3 hours x $299     =    $ 2,182.70

      For 2007: 34.15 hours billed less 14.8 hours
                 deducted above as unreasonable = 19.35 hours x $310   =    $ 5,998.50

      For 2008: 9.3 hours billed less 2.6 hours
                 deducted above as unreasonable = 6.7 hours x $324.26 =     $ 2,172.54

      For 2009: 7.1 hours billed less 2.8 hours
                 deducted above as unreasonable = 4.3 hours x $336.58 =     $ 1,447.29

      For 2010: 14.6 hours billed less 3.1 hours
                 deducted above as unreasonable = 11.5 hours x $346    =    $ 3,979.00

      For 2011 through 8-31-11: 10.2 hours billed x $358              =    $ 3,651.60

                                            Total Shoemaker Fees       =   $ 31,096.93

                                              33
B. Gentry fees 2002-2011
(See ECF No. 129-2, pp. 46-47) (no reductions)

        For 2002: 6.15 hours billed x $242                                  =       $ 1,488.30

        For 2003: 1.5 hours billed x $251                                   =       $    376.50

        For 2004: 2.0 hours billed x $260                                   =       $    520.00

        For 2006: 0.1 hours billed x $280                                   =       $     28.00

        For 2007: 1.5 hours billed x $290                                   =       $    435.00

                                                      Total Gentry Fees      =       $ 2,847.80

C. Knickelbein fees 2005 - 2011
(See ECF No. 129-2, pp. 47-49) (no reductions)

        For 2005: 0.6 hours billed x $225                                   =       $    135.00

        For 2007: 3.4 hours billed x $261                                   =       $    887.40

        For 2011: 1.5 hours billed x $300                                   =       $    450.00__
                                                Total Knickelbein Fees       =       $ 1,472.40

D. Fees for fees application and related briefing
        After carefully reviewing the billing records for the fees application and related briefing,
I will compensate Ms. Knickelbein for 1.2 hours x $14026 = $ 168.00 (see ECF No. 129-2, pp.
60-61). I will compensate Ms. Gentry for 14.6 hours x $415 = $ 6,059.00 (see ECF No. 129-2,
p. 47). I will compensate Mr. Shoemaker for 6.0 hours x $430 = $2,580.00 (see ECF No. 129-2,
p. 45). (I conclude that the total attorney hours allowed for the fees application and related
briefing is reasonable, and likely generous, for the work-product produced.)

E. Costs of Petitioners’ counsel
       I will allow all the costs claimed through 2011 with two exceptions: (1) the $3,675
claimed for “Mark Greenspan,” which is not explained; and (2) the $18,660 claimed for Dr.
Mark Geier -- I find that it was quite unreasonable, even in 2008, to contract with Dr. Geier, for
reasons set forth above at Section IV(C)(3)(a)(i) of this Decision, and in King v. HHS, No. 03-
584V, 2010 WL 5470787, at *5-17 (Fed. Cl. Spec. Mstr. Dec. 13, 2010). Costs incurred after
August 2011 will not be allowed, on “reasonable basis” grounds, as explained above.

26
         See the discussion of Ms. Knickelbein’s hourly rate at Section VI(A).
                                                 34
       The costs allowed at ECF No. 129-2, p. 61 equal $ 768.35.

F. Petitioners’ own costs
       Petitioners have applied for reimbursement of $2,896.05 for costs that they incurred
themselves. (ECF No. 117, p. 3.) I will allow those costs as claimed.

G. Summary
       Shoemaker fees 2002-2011:             $ 31,096.93
       Gentry fees 2002-2011:                $ 2,847.80
       Knickelbein fees 2005-2011:           $ 1,472.40
       Fees for Fees Application:            $ 8,807.00
       Counsel’s costs:                      $     768.35
        Attorneys’ fees and cost subtotal    $ 44,992.48
       Petitioners’ costs:           $ 2,896.05
       ______________________________________________
       Total award                   =       $ 47,888.53

                                                 VII

     NOTATION CONCERNING “REASONABLE BASIS” IN AUTISM CASES IN
                            GENERAL

       As discussed above in Section II of this Decision, in the early 2000s controversies arose
concerning whether autism spectrum disorders might be caused or affected by vaccines. Thus,
thousands of Vaccine Act claims were filed during those years alleging that ASDs were vaccine-
caused. These claims were certainly brought in good faith. Further, in light of the scientific
uncertainty at the time, I find that the filing of those petitions was reasonable. It was also
reasonable to keep such claims pending until the OAP “test cases” became final in 2010, and for
some short period of time thereafter, in order for counsel for each petitioner to digest the
complicated science, and to consult with experts to see if a reasonable basis to go forward could
be found.

        However, by the end of 2010, the two major theories concerning vaccine-causation of
autism had been thoroughly considered and rejected in the OAP test cases, with opinions that,
among other things, found that all of the many reputable epidemiological studies had found no
association between any vaccines and autism. At that point, the vast majority of the
approximately 5,000 autism petitioners each elected either to withdraw their claim, or to request
that the special master enter a decision denying their claim on the written record. Only a small
minority of the autism petitioners elected to continue to pursue their cases, seeking other

                                                 35
causation theories and/or other expert witnesses. Since 2010, a number of such cases have gone
to trial before special masters, and in the cases of this type decided thus far, all have resulted in
rejection of petitioners’ claims that vaccines played a role in causing or aggravating their child’s
autism or autistic symptoms. See the cases cited above in Section II.

        There is now, therefore, a serious question concerning whether it is reasonable for
additional Vaccine Act petitioners to continue to pursue highly speculative theories concerning
vaccinees with autism spectrum disorders. In each such case, of course, a case-specific decision
must be made concerning if and when it became unreasonable, under all the circumstances of the
case, to continue to go forward. In many of the cases decided since 2010, petitioners have tried
to avoid the conclusions of the test cases by alleging that a child suffered a vaccine-caused
“encephalopathy” that resulted in “autistic-like features,” or that a child had an underlying
“mitochondrial disorder” that somehow made the child more vulnerable to injuries by vaccines,
or that an “autoimmune” process was involved. But all such cases, in essence, have amounted to
attempts to prove that vaccines can cause or aggravate symptoms of ASDs. And, except for the
two highly unusual Table Injury cases described at footnote 5 above, all such theories have been
rejected.

        Further, a review of the post-test case decisions enumerated in Section II above
demonstrates that those cases typically involved expert witnesses who were quite underqualified
to opine on the vaccine-causation issues at hand, and/or presented theories with no substantial
scientific merit, and/or disregarded the facts contained in the medical records of the case.

        Accordingly, I hereby put counsel, especially in autism-related cases, on notice, once
again, that if counsel continue to go forward with such extremely weak cases, I am not likely to
find that there was a reasonable basis for their continued prosecution of the case. (See also
Wilson v. HHS, No. 15-551V, 2017 WL 877278, fn. 14 (Fed. Cl. Spec. Mstr. Feb. 10, 2017),
quoted at p. 10 above.)

                                                VIII
                                          CONCLUSION

       For the foregoing reasons, I hereby award the following attorneys’ fees and costs
pursuant to 42 U.S.C. § 300aa-15(e)(1):
       •       a lump sum of $44,992.48, in the form of a check payable jointly to Petitioners
               and Petitioners’ counsel, Clifford Shoemaker, for services performed by counsel’s
               law firm.
       •       a lump sum of $2,896.05, in the form of a check payable to Petitioners, which
               represents Petitioners’ own litigation expenses in this case.

                                                 36
       In the absence of a timely-filed motion for review filed pursuant to Appendix B of the
Rules of the U.S. Court of Federal Claims, the clerk of the court shall enter judgment in
accordance herewith.27

IT IS SO ORDERED.

                                                    /s/ George L. Hastings, Jr.
                                                    George L. Hastings, Jr.
                                                    Special Master

27
        Pursuant to Vaccine Rule 11(a), the parties may expedite entry of judgment by filing
notices renouncing the right to seek review.
                                               37