Opinion
NOT TO BE PUBLISHED
WCAB Case No. ADJ2025459 (STK 0174273).
CANTIL-SAKAUYE, J.
After making certain findings and orders, the workers’ compensation judge (WCJ) granted Mark Hancock’s petition to reopen for new and further disability relating to his bilateral shoulders. State Compensation Insurance Fund (SCIF) unsuccessfully petitioned the Workers’ Compensation Appeals Board (WCAB or Board) for reconsideration of the WCJ’s findings and orders.
We issued a writ of review in this case to consider whether the WCAB properly denied SCIF’s petition for reconsideration.
SCIF’s petition presents two questions: (1) “Did the WCAB err in allowing Hancock’s Petition for New and Further Disability to include body parts that were not part of the original award and were not compensable consequences of the injuries to the body parts of the original award?” (2) “Did the WCAB err in rejecting the parties’ stipulation resolving all issues of liability for any injury during Hancock’s entire period of employment with this employer despite no good cause to do so?”
We conclude the WCAB did not err in determining the parties’ stipulation did not preclude Hancock’s petition, but did err in authorizing the reopening of the prior stipulated award to add Hancock’s shoulder injuries. Reopening was not justified based on a new and further disability under Labor Code section 5410, nor was there, in the alternative, good cause to reopen under section 5803. We shall annul the order denying reconsideration and remand with directions to the Board to grant reconsideration.
Hereafter, undesignated statutory references are to the Labor Code.
FACTUAL AND PROCEDURAL BACKGROUND
In 2002 Hancock filed a cumulative trauma claim of injury to his low back, both knees, and both hands while employed as an ironworker by D & M Hancock, his family’s business.
Based on the medical reports of agreed medical examiner (AME) Dr. Michael Sommer, the parties settled Hancock’s claim in 2005 by way of stipulations with a request for award. As pertinent here, the parties stipulated Hancock sustained industrial cumulative injury through July 31, 2001, to his low back, left and right knees, and bilateral carpal tunnel. The parties stipulated for 49 percent permanent disability and the need for further medical treatment of such injuries. Paragraph 8 of the parties’ stipulated award contained, among other things, the following language: “This agreement resolves all issues of liability for any injury specific or cumulative for plaintiff’s entire period of employment with this employer.” The WCJ made an award to Hancock consistent with and expressly incorporating the stipulations of the parties.
Later in 2005, Hancock filed a petition to reopen for new and further disability. Hancock alleged his injury had worsened and that he had sustained new and further disability as a result of said injury. He alleged his disability had increased in his subjective complaints, objective findings, and increased work restrictions. As a result, he had a need for further temporary disability, permanent disability, medical treatment, and vocational rehabilitation. Finally, he also alleged injury to previously unmentioned body parts: his bilateral shoulders.
Hancock was reevaluated by AME Sommer in November 2006. As relevant here, Sommer noted in his updated history of the injury that Hancock was reporting some pain in his left shoulder and had marked on a drawing an indication of pain principally in his left shoulder, but minimally in his right shoulder. Sommer noted in his updated history report that Hancock told him “of continuing troubles with his knees and low back, but also with his shoulder, principally left-sided, since [they] talked last two and a half years ago. While when we first spoke, [Hancock] clearly placed symbols on the body image to show pain in his left shoulder, that anatomic part is never cited in my 13 page report. There is one citation to his right shoulder only[.]” Further discussing Hancock’s left shoulder, Sommer said Hancock “recalls sometime in the early 1990s that he was working as a steel erector and grabbed the flange of something with his left hand and had a real jerking injury to the left shoulder, was briefly off work and just sort of sucked it up and lived with it since then. He says that it has been a continuing problem and in the last couple of years, has been worse[.]”
Sommer examined Hancock’s shoulders and reviewed a CT scan and X-rays of his left shoulder. Sommer diagnosed Hancock with glenohumeral arthritis in his left shoulder. Sommer found “solid reason for [Hancock] to be symptomatic in the left shoulder, given the extent of osteoarthritis in the glenohumeral joint.” “Presuming that the history that Mr. Hancock gives is an accurate one (i.e., that the left shoulder symptoms began with a specific work injury in about 1991), then it surely does seem that the problem has industrial genesis and should be on the list of anatomic parts contributing to his disability and for which he should be receiving treatment.” Sommer believed Hancock would probably need a shoulder arthroplasty eventually, but in the meantime, it was appropriate to view Hancock as permanent and stationary with respect to his left shoulder. Again, assuming Hancock’s history was accurate, Sommer concluded this was a work injury and that it should properly be included with the cumulative July 31, 2001 injury event discussed in his previous reports.
In a supplemental report written in November 2007, Sommer clarified with respect to Hancock’s shoulder injuries that he found no significant evidence of disability in Hancock’s right shoulder.
Hancock was seen by Dr. Tom Norris for his left shoulder osteoarthritis in July 2008. Norris noted that Hancock “dates his early injuries when he was working for National Semiconductor and/or Hewlett Packard, he remembers in the early 1990s, grabbing a spinning beam and thought he tore something in his left shoulder. He believes the reported date for the industrial injury is in 2001 when he was working for his father in that company, but he states that he has put off many injuries as long as possible and continued working so that he can earn a living.” After examining Hancock, Norris recommended total shoulder replacement.
When Hancock’s deposition was taken in a separate civil matter, Hancock referred to his work related injuries and testified to his belief that his problems with his knees, lower back, shoulder and carpal tunnel were pretty much a cumulative injury. He did remember a specific incident injuring his left shoulder and many incidents injuring his knees and lower back.
Hancock’s petition to reopen was submitted to the WCJ for decision based on the reports of Sommer, Norris and Hancock’s deposition. The parties waived the presentation of live testimony.
The WCJ initially found that Hancock did not sustain an industrial injury to either shoulder, that Hancock had not shown good cause to reopen his award of low back or carpal tunnel disability, and that the record was inadequate to determine Hancock’s claimed increase in disability to his knees. The denial of Hancock’s claim of industrial injury to his bilateral shoulders was based on the WCJ’s legal conclusion that the claim was waived by the parties’ stipulation in the prior award. The WCJ stated: “Simply to illustrate the situation a bit more thoroughly, if medical evidence existed that showed that [Hancock’s] shoulder(s) problems had arisen by sequelae, from the original cumulative injury, they could upon that basis now be found to be compensable. This is not, of course, the case here, the AME is essentially saying that the shoulders were industrially injured via the same cumulative trauma mechanism as the back, both knees and both carpal tunnels. Once again-the shoulders were neither settled nor reserved at the time of the original Stipulated Award. They were therefore waived.”
The WCJ vacated his decision and order, however, on Hancock’s petition for reconsideration. In a new set of findings and order, the WCJ found the parties had stipulated that Hancock sustained injury to his low back, both knees, and bilateral carpal tunnels as the result of cumulative trauma through July 31, 2001. The WCJ found Hancock had also sustained injury to his left shoulder and he may have sustained injury to his right shoulder. With respect to Hancock’s shoulder claim(s), the WCJ explained that “[d]iscussion between the parties and this WCJ at the trial on 10/22/09 had lead this WCJ to the (erroneous) understanding that medical evidence of a cumulative injury to either or both shoulders existed at the time of the Stipulated Award and that [Hancock] had thereby knowingly waived such a claim of injury, by entrance into the Stipulated Award. [Hancock’s] Petition for Reconsideration and [SCIF’s] Answer have clarified that misunderstanding.” The WCJ rejected SCIF’s argument that Hancock had sufficient knowledge to produce a legally-valid waiver of his shoulder claim.
This time SCIF petitioned for reconsideration. SCIF argued Hancock waived his shoulder claim, that it was not a new and further disability, and a petition to reopen was improper without the existence of evidence of a new and further disability at the time of the filing the petition to reopen.
SCIF does not reassert the last claim in its petition for review.
The WCJ recommended the Board deny SCIF’s petition. After repeating his opinion on decision, the WCJ concluded “the fundamental question is whether a worker may waive something that he has no knowledge of. [Hancock] and this WCJ believe that he cannot. [SCIF] believes that he can and has. This WCJ believes that [SCIF] is incorrect.”
The WCAB denied SCIF’s petition for reconsideration. The Board stated Hancock’s “left shoulder injury, and allegedly the right shoulder injury, is a newly disclosed injury which AME Sommer had not commented upon at [the] time the parties entered into the Stipulated Award[.]” Noting Sommer’s conclusion that the left shoulder problem has an industrial genesis and should be on the list of anatomic parts contributing to Hancock’s disability and for which he should be receiving treatment, the Board concluded the circumstances presented by Hancock’s petition to reopen gave it jurisdiction over his claim, “including the bilateral shoulders by amendment, pursuant to Labor Code sections 5803, 5804, and 5410.”
The decision of the Board relies on the 2007 report of Sommer and makes no mention of the 2008 report of Norris, which reflects a statement by Hancock describing a potentially different cause of his shoulder problems.
The Board then found Hancock had established good cause to reopen his stipulated award “based on his bilateral shoulder injuries, which at the time of the Stipulated Award were unknown, according to Dr. Sommer.” “Even if it is asserted that reopening for ‘new and further’ disability for the bilateral shoulders is not justified under section 5410, it is warranted under the broader ‘good cause’ standard of Labor Code section 5803.”
The Board rejected the claim that Hancock waived his claim of bilateral shoulder injury by stipulating in the original award that “this agreement resolves all issues of liability for any injury specific or cumulative for applicant’s entire period of employment with this employer.” The Board found there was no clear showing of Hancock’s intent to relinquish his claim of bilateral shoulder injury in the stipulated award since Hancock did not have knowledge that his shoulder problems were industrial until Sommer’s January 2007 report. “The general clause relied upon by [SCIF] is at best oblique and only alludes to the issue waiver.”
SCIF petitioned this court for review.
DISCUSSION
I.
The Language In Paragraph 8 Of The Stipulated Award Did Not Waive Hancock’s Claim Of Industrial Injury To His Shoulders
We choose to treat SCIF’s arguments in a slightly different order than they are presented in the petition for review.
The parties stipulated in Paragraph 8 of the 2005 stipulated award that: “This agreement resolves all issues of liability for any injury specific or cumulative for plaintiff’s entire period of employment with this employer.”
SCIF contends this language was agreed to in exchange for SCIF’s acceptance of liability for future medical treatment for Hancock’s left knee and was effective to resolve any and all potential claims of liability, not just “known” claims of liability. SCIF argues the WCAB therefore erred in rejecting the stipulation by reopening Hancock’s award.
Civil Code section 1542 (section 1542) provides: “A general release does not extend to claims which the creditor does not know or suspect to exist in his or her favor at the time of executing the release, which if known by him or her must have materially affected his or her settlement with the debtor.”
According to the California Supreme Court, section 1542 “was intended by its drafters to preclude the application of a release to unknown claims in the absence of a showing, apart from the words of the release of an intent to include such claims.” (Casey v. Proctor (1963) 59 Cal.2d 97, 109.) Whether the parties intended to release unknown claims is a question of fact. (Carmichael v. Industrial Accident Com. (1965) 234 Cal.App.2d 311, 315; see Jefferson v. Dept. of Youth Authority (2002) 28 Cal.4th 299, 304 [attachment to settlement agreement made it clear the parties intended to settle matters outside scope of workers’ compensation] (Jefferson); Gray v. Workers’ Comp. Appeals Bd. (1987) 52 Cal.Comp.Cases 536 (writ denied) [applicant’s knowledge from medical evidence combined with wording of compromise and release showed intent to release death benefits] (Gray).)
“Denials of petitions for writ of review reported in the California Compensation Cases are citable when they ‘point out the contemporaneous interpretation and application of the workers’ compensation laws by the Board.’ [Citation.]” (Baur v. Workers’ Comp. Appeals Bd. (2009)176 Cal.App.4th 1260, 1265, fn. 3.)
SCIF argues section 1542 has little or no significance in this case because the parties’ stipulation is not the sort of form release contemplated by the statute; rather the stipulation here was entered in open court, through counsel, and approved by the WCJ, placing it on a “higher plane” than a general release.
Nothing in section 1542 suggests it is limited to a specific kind of form release or that it is inapplicable to stipulated releases approved by the WCAB. In fact, a number of cases involving workers’ compensation releases either note the presence of section 1542 waivers or discuss the effect of section 1542 on releases. (Jefferson, supra, 28 Cal.4th at pp. 306-307; Sumner v. Workers’ Comp. Appeals Bd. (1983) 33 Cal.3d 965, 973, fn. 9; Gray, supra, 52 Cal.Comp.Cases 536 [release did not violate section 1542 where the wording and evidence indicated an intent to release death benefits].) And while we agree our Supreme Court has been “particularly rigorous about strictly enforcing broad release language in workers’ compensation settlements, because in that context, WCAB oversight helps to ensure fairness[, ]” the Supreme Court has at the same time “sought to protect the interests of workers who execute workers’ compensation settlement documents without a full appreciation of what claims or rights might later arise.” (Jefferson, supra, at p. 304.) In the context of workers’ compensation, “‘[a] waiver of a right cannot be established without a clear showing of an intent to relinquish such right, and doubtful cases will be decided against a waiver.’ [Citation.]” (Roberson v. Industrial Accident Com. (1956) 146 Cal.App.2d 627, 629.)
Here the language of the stipulation is broad, encompassing “all issues of liability for any injury specific or cumulative for plaintiff’s entire period of employment with this employer.” However, the stipulation contains no language waiving the protection of section 1542. The stipulation includes no reference to future or unknown claims of liability. The language of the stipulation is, in fact, susceptible to the interpretation urged by Hancock that “as of the date of execution and approval of the Stipulation with Request for Award, the parties had effectively negotiated all known issues (medical or indemnity) that pertained to Hancock’s claim of cumulative injury.” The language is ambiguous as to its scope for claims of industrial injury to additional body parts.
The WCAB reviewed the record and found the evidence outside the language of the stipulation insufficient to establish Hancock intended to relinquish his claim of bilateral shoulder injury in the stipulated award because Hancock did not have knowledge that his shoulder problems were industrial until AME Sommer’s January 2007 report. We may not redetermine this factual issue because the Board’s finding is supported by substantial evidence. (§§ 952, 5953; Dept. of Rehabilitation v. Workers’ Comp. Appeals Bd. (2003) 30 Cal.4th 1281, 1290 (Dept. of Rehabilitation); 2 Herlick, Cal. Workers’ Compensation Law (6th ed. 2009) § 20.04[1], pp. 20-8 to 20-9.)
In his January 2007 report, AME Sommer noted Hancock had placed symbols on a body image drawing to show pain in his shoulders (principally in his left shoulder) when he first spoke with Sommer. But Sommer apparently did not investigate or consider whether Hancock’s cumulative trauma injury included his shoulder problems. Sommer made no mention of Hancock’s left shoulder and only included a brief citation to the right shoulder in his 13-page report, on which the stipulated award was based. The stipulated award references only the industrial injuries to Hancock’s lower back, knees and carpal tunnels.
SCIF points out that prior to the stipulated award Hancock not only knew he had shoulder pain, he remembered a specific work-related incident that injured his left shoulder. He was living with the continuing symptoms. This is apparently true.
In 2007, Hancock told Sommer that he remembered injuring his left shoulder sometime in the 1990s when he “grabbed the flange of something with his left hand and had a real jerking injury to the left shoulder.” Hancock reported he was briefly off work and then just sort of sucked it up and lived with it since then. Hancock told Sommer it had been a continuing problem that had gotten worse in the last couple of years. If Hancock remembered the work-related incident in 2007, it is likely he knew of it prior to the stipulated award entered in 2005.
Nevertheless, it is undisputed Sommer did not opine in his original reports that Hancock’s shoulder injuries had an industrial cause, despite the injuries being pointed out to him. He did not include an opinion on the issue until 2007. Under these specific circumstances, we cannot say the WCAB unreasonably found Hancock did not know in 2005 that he had a claim for cumulative trauma to his shoulders. (See Nielsen v. Workers’ Comp. Appeals Bd. (1985) 164 Cal.App.3d 918, 927-930; City of Fresno v. Workers’ Comp. Appeals Bd. (1985) 163 Cal.App.3d 467, 471-473.) Thus, the WCAB was justified in finding that, since Hancock did not know he had an industrial injury to his shoulders when he entered into the stipulation in paragraph 8, there was no clear evidence he intended to waive that claim.
The stipulation did not preclude Hancock’s petition to reopen to add his shoulder injuries. The Board did not err in making this finding.
II.
The Record In This Case, However, Does Not Support The Reopening Of Hancock’s Award
The WCAB is authorized to reopen a decision or award upon a showing of “new and further disability” (§ 5410) or for “good cause” (§ 5803). (County of San Bernardino v. Workers’ Comp. Appeals Bd. (1981) 125 Cal.App.3d 679, 684.)
Section 5410 provides an injured worker may “institute proceedings for the collection of compensation... within five years after the date of the injury upon the ground that the original injury has caused new and further disability ....” (Italics added.)
Under section 5803, the WCAB has “continuing jurisdiction over all its orders, decisions, and awards made and entered under the provisions of this division.... At any time, upon notice and after an opportunity to be heard is given to the parties in interest, the appeals board may rescind, alter, or amend any order, decision, or award, good cause appearing therefor. [¶] This power includes the right to review, grant or regrant, diminish, increase, or terminate, within the limits prescribed by this division, any compensation awarded, upon the grounds that the disability of the person in whose favor the award was made has either recurred, increased, diminished, or terminated.” (Italics added.) Under section 5804, the appeals board retains jurisdiction to rescind, alter or amend an award only where a petition to reopen is filed within five years of the date of injury.
We consider each statutory basis in turn.
A. Reopening Of Hancock’s Case Was Not Justified Under Section 5410
SCIF claims Hancock’s claim of shoulder injury is not a new and further disability that permits reopening of an award under section 5410. Specifically, SCIF contends the WCAB erred as a matter of law in allowing Hancock’s petition for new and further disability to include body parts that were not part of the original award and were not compensable consequences of the injuries to the body parts of the original award. We agree that reopening Hancock’s case to add his shoulder injuries was not justified under section 5410.
We begin by noting again that in our review of this matter the WCAB’s findings on questions of fact are conclusive where supported by substantial evidence. (§§ 5952, 5953; Dept. of Rehabilitation, supra, 30 Cal.4th at p. 1290.) The interpretation of labor statutes and their applicability to a given situation, however, are questions of law subject to our de novo review. (Department of Rehabilitation, supra, at p. 1290; Verga v. Workers’ Comp. Appeals Bd. (2008) 159 Cal.App.4th 174, 183; Rex Club v. Workers’ Comp. Appeals Bd. (1997) 53 Cal.App.4th 1465, 1470-1471; Western Growers Ins. Co. v. Workers’ Comp. Appeals Bd. (1993) 16 Cal.App.4th 227, 233.) We are mindful that “the WCAB’s statutory interpretation is entitled to great weight unless it is clearly erroneous. [Citation.]” (Verga v. Workers’ Comp. Appeals Bd., supra, at p. 183.) The WCAB’s own determination of its jurisdiction is also entitled to significant respect on judicial review. (Nickelsberg v. Workers’ Comp. Appeals Bd. (1991) 54 Cal.3d 288, 300 (Nickelsberg).)
“The fundamental rule of statutory construction is that a court should ascertain the intent of the Legislature so as to effectuate the purpose of the law. [Citation.] An equally basic rule of statutory construction is that courts are bound to give effect to statutes according to the usual and ordinary meaning of the language employed in framing them. [Citation.] Although a court may properly rely upon extrinsic aids, it should first look to the words of the statute to determine the Legislature’s intent. Where the words of the statute are clear, the court should not add to or alter them to accomplish a purpose that does not appear on the face of the statute or from its legislative history. [Citation.] If the Legislature has provided an express definition of a term, that meaning is binding on the courts. [Citation.] Further, where a word or phrase in a statute has been judicially construed, a strong presumption exists that the Legislature is using it in the precise sense which had been placed upon it by the courts. [Citation.]” (O’Kane v. Irvine (1996) 47 Cal.App.4th 207, 211-212.)
“[S]upplemental claims for ‘new and further disability’... are governed by section 5410, not sections 5803-5805. [Citations.]” (J. T. Thorp, Inc. v. Workers’ Comp. Appeals Bd. (1984) 153 Cal.App.3d 327, 335, fns. omitted.) “‘Although long the subject of misunderstanding and controversial litigation, it is now clear that Labor Code section 5410, and not section[s] 5804 [and 5803], control[] the Appeals Board’s continuing jurisdiction over new and further disability claims.” (Zurich Ins. Co. v. Workers’ Comp. Appeals Bd. (1973) 9 Cal.3d 848, 857 (conc. opn. of Sullivan, J.).)
Section 5410 provides: “Nothing in this chapter shall bar the right of any injured worker to institute proceedings for the collection of compensation, including vocational rehabilitation services, within five years after the date of the injury upon the ground that the original injury has caused new and further disability or that the provision of vocational rehabilitation services has become feasible because the employee’s medical condition has improved or because of other factors not capable of determination at the time the employer’s liability for vocational rehabilitation services otherwise terminated....” (Italics added.)
The phrase “new and further disability” is not defined in the statute and judicial interpretation has not flushed out all its potential permutations. Thus, its meaning is not entirely clear. However, it has been judicially defined “‘to mean disability... result[ing] from some demonstrable change in an employee’s condition.’ [Citation.]” (Nicky Blair’s Restaurant v. Workers’ Comp. Appeals Bd. (1980) 109 Cal.App.3d 941, 955 (Nicky Blair’s).) Common examples of “new and further disability” are a recurrence of temporary disability, a change of a temporary disability into a permanent disability, a gradual increase in disability, or a new need for medical treatment all constitute new and further disability. (Ibid.) The Supreme Court has also suggested it may be “‘a disability in addition to that for which the employer previously provided benefits as required by the statute.’” (Nickelsberg, supra, 54 Cal.3d 288, 301; see also Nicky Blair’s, supra, at p. 955; Pizza Hut of San Diego, Inc. v. Workers’ Comp. Appeals Bd. (1978) 76 Cal.App.3d 818, 825 & fn. 4.)
Section 5410 also expressly requires the petition allege that “the original injury has caused new and further disability.” (Italics added.) This is demonstrated in cases applying the statute, where the claimed new and further disability has been either to the same body part (see Sarabi v. Workers’ Comp. Appeals Bd. (2007) 151 Cal.App.4th 920, 922-923, 926-927 [industrial injury to right shoulder with additional claimed period of temporary disability related to worsening condition and need for further surgery on right shoulder]) or injury to a new body part which is alleged as a compensable consequence of the original injury. (See Southern Cal. Rapid Transit Dist., Inc. v. Workers’ Comp. Appeals Bd. (1979) 23 Cal.3d 158, 165-166 [employee injured in car accident on the way home from delivering required work release note for prior compensable injury]; Liberty Mutual Ins. Co. v. Industrial Accident Com. (1964) 231 Cal.App.2d 501, 504, 506 [development of asthma found to be directly attributable to industrial injury to the back].)
Based on the statute’s express language, and the judicial interpretations of that language, we have no difficulty concluding that a petition to reopen for new and further disability under section 5410 requires there to be a causal connection between the alleged “new and further disability” and the original industrial injury. Put another way, the new and further disability must be a result or an effect of the prior compensable injury. This causal connection may be in the way of further injury to the same body part or injury to a new body part as a compensable consequence of the original injury.
Here, nothing in the record supports a conclusion that Hancock’s shoulder injuries, an injury to a new body part, were a compensable consequence of his original injuries. There is no evidence that they were a result or an effect of the industrial injuries to his low back, knees or carpal tunnels. No evidence suggests any causal connection between the injuries that were covered by Hancock’s prior award and the new claim for his shoulder problems. The evidence reflects Hancock’s shoulders were injured at the time of his other injuries.
Thus, even assuming Hancock’s shoulder injuries could fall within the scope of “new and further disability, ” a point we do not decide, there is insufficient evidence of a causal connection to bring the injuries within the reopening authority of section 5410. To the extent the WCAB relied on section 5410 in allowing the reopening of Hancock’s stipulated award to include his shoulder injuries, it erred.
B. Reopening Of Hancock’s Case Was Not Justified Under Section 5803
“[I]rrespective of whether or not there has been ‘new and further disability, ’ ‘good cause’ to reopen under section 5803 may exist.” (Nicky Blair’s, supra, 109 Cal.App.3d at p. 955; Beaida v. Workers’ Comp. Appeals Bd. (1968) 263 Cal.App.2d 204, 210 [“section 5803 is available as an alternate source of supplementary relief”].) The WCAB in this case relied on section 5803 as an alternative basis for permitting the reopening of Hancock’s case. It stated: “Even if it is asserted that reopening for ‘new and further’ disability for the bilateral shoulders is not justified under section 5410, it is warranted under the broader ‘good cause’ standard of Labor Code section 5803.”
“[I]t is well settled that any factor or circumstance unknown at the time the original award or order was made which renders the previous findings and award ‘inequitable, ’ will justify the reopening of a case and amendment of the findings and award.” (LeBoeuf v. Workers’ Comp. Appeals Bd. (1983) 34 Cal.3d 234, 242; see Walters v. Industrial Accident Com. (1962) 57 Cal.2d 387, 395; Aliano v. Workers’ Comp. Appeals Bd. (1979) 100 Cal.App.3d 341, 366.) “‘What constitutes “good cause” depends largely upon the circumstances of each case.’” (Pullman Co. v. Industrial Accident Com. (1946) 28 Cal.2d 379, 387-388; accord Nicky Blair’s, supra, 109 Cal.App.3d at p. 955.)
“Grounds commonly urged as good cause for reopening are (1) mistake of fact, occasioned by failure or inability to produce certain evidence at a prior hearing; (2) mistake of law disclosed by a subsequent appellate court ruling on the same point in another case; (3) inadvertence, such as when the Board issues a decision under the mistaken impression that a party appearing as a witness had been served with notice of joinder as a party defendant; (4) newly discovered evidence that is more than merely cumulative; and (5) fraud, such as may be perpetrated through perjury and false statements.” (2 Hanna, Cal. Law of Employee Injuries and Workers’ Compensation (Rev. 2d ed. 2010) § 31.04[2][c], pp. 31-16 to 31-17, fns. omitted (Hanna); see Nicky Blair’s, supra, 109 Cal.App.3d at p. 956.)
Similarly, “an award based [on] an executed stipulation may be reopened and rescinded if the stipulation ‘has been “entered into through inadvertence, excusable neglect, fraud, mistake of fact or law, where the facts stipulated have changed or there has been a change in the underlying conditions that could not have been anticipated, or where special circumstances exist rendering it unjust to enforce the stipulation.”’ [Citation.]” (Brannen v. Workers’ Comp. Appeals Bd. (1996) 46 Cal.App.4th 377, 382.)
Here the Board stated, “[t]he left shoulder injury, and allegedly the right shoulder injury, is a newly disclosed injury which AME Sommer had not commented upon at [the] time the parties entered into the Stipulated Award[.]” That there was new evidence, thus, appears to be the basis for the Board’s later finding of good cause.
“‘[I]n order to constitute “good cause” for reopening, new evidence (a) must present some good ground, not previously known to the Appeals Board, which renders the original award inequitable, (b) must be more than merely cumulative or a restatement of the original evidence or contentions, and (c) must be accompanied by a showing that such evidence could not with reasonable diligence have been discovered and produced at the original hearing.’ [Citations.]” (Nicky Blair’s, supra, 109 Cal.App.3d at pp. 956-957 (italics added); accord, LeBoeuf v. Workers’ Comp. Appeals Bd., supra, 34 Cal.3d at p. 241; 2 Hanna, supra, § 31.04[2][d], pp. 31-17 to 31-18.)
Hancock’s petition for new and further disability contains no showing of diligence. In fact, the record before the WCJ and Board suggests a lack of diligence. The evidence reflects Hancock had shoulder pain before the entry of the stipulated award and had indicated such pain to AME Sommer in his first visit to Sommer. Hancock remembered a specific incident when he injured his left shoulder at work, which resulted in him taking time off work. He also testified at a deposition that he believed the problems with his shoulder were part of his work-related cumulative injury. Given these circumstances, when Sommer produced a report that entirely failed to address Hancock’s left shoulder and made only one brief mention of the right shoulder, Hancock, represented by counsel, should have brought to Sommer’s attention his mistaken omission. Instead, the record reflects Hancock agreed to submit his claim and stipulate to an award based, in part, on Sommer’s existing report. If Hancock had shoulder pain and believed it could be work-related, he should have done something more to obtain a medical opinion regarding its industrial origin.
In the absence of evidence of due diligence, there was an insufficient basis for finding good cause to reopen under section 5803 on the ground of newly discovered evidence.
Even if we were to consider the circumstances of this case under the rubric of excusable neglect or mistake of fact (two other grounds that arguably could apply to these circumstances), diligence would still be required. By definition, excusable neglect must be “excusable.” Mistake of fact requires a lack of full knowledge of the facts despite the exercise of due diligence to ascertain them. (Brannen v. Workers’ Comp. Appeals Bd., supra, 46 Cal.App.4th at p. 382; Huston v. Workers’ Comp. Appeals Bd. (1979) 95 Cal.App.3d 856, 866.) Our conclusion would be the same.
“While the WCAB’s determination of what constitutes ‘good cause’ may be accorded great weight it is not conclusive. [Citation.]” (Aliano v. Workers’ Comp. Appeals Bd., supra, 100 Cal.App.3d at p. 366.) “In the absence of ‘good cause, ’ the appeals board is powerless to act. [Citation].” (Ibid.)
DISPOSITION
The order of the Workers’ Compensation Appeals Board denying State Compensation Insurance Fund’s petition for reconsideration is annulled and the matter is remanded to the Board with directions to grant reconsideration consistent with this opinion.
We concur: BLEASE, Acting P.J., RAYE, J.