The Social Security Act authorizes the payment of Supplemental
Security Income (SSI) benefits to,
inter alios, a child
who suffers from an impairment of "comparable severity"
Page 493 U. S. 522
to one that would render an adult disabled. An adult is disabled
if he is prevented from engaging in any
substantial
gainful activity by reason of certain medically determinable
physical or mental impairments. Petitioner Secretary of Health and
Human Services has created a 5-step test to determine
adult disability. At the test's third step, a claimant may
be found to be disabled if medical evidence of his impairment
matches or is equal to one of a listing of impairments presumed
severe enough to preclude
any gainful activity, thus
making further inquiry unnecessary. However, since the listings'
medical criteria are more restrictive than the statutory disability
standard, an adult claimant who does not qualify at the third step
may do so after showing, at the fourth and fifth steps, that he
cannot engage in his past work or other work in the economy, given
his age, education, and work experience. In contrast, the
Secretary's test for determining whether a
child claimant
is disabled ends if the claimant cannot show that his impairment
matches or is equal to a listed impairment, there being no further
inquiry corresponding to the final, vocational steps of the adult
test. Respondent Zebley, a child who was denied SSI benefits,
brought a class action in the District Court challenging the
child-disability regulations. The court granted summary judgment
for the Secretary. The Court of Appeals vacated the judgment in
part, finding the regulatory scheme to be inconsistent with the
Act, because the listings-only approach does not account for all
impairments of "comparable severity," and denies child claimants
the individualized functional assessment that the statutory
standard requires and that the Secretary provides to adults.
Held: The child-disability regulations are inconsistent
with the statutory standard of "comparable severity."
493 U.
S. 528-541.
(a) While adults who do not qualify under the listings still
have the opportunity to show that they are disabled at the last
steps of the Secretary's test, no similar opportunity exists for
children, who are denied benefits even if their impairments are of
"comparable severity" to ones that would actually (though not
presumptively) disable adults. Pp.
493 U. S.
529-536.
(b) The Secretary's regulatory scheme -- which applies the same
approach to child-disability claimants and to claimants for widows'
and widowers' Social Security disability benefits, despite the fact
that the Act uses a stricter standard for widows' benefits --
nullifies the congressional choice to link the child-disability
standard to the more liberal test applied to adult disability
claims.
493 U. S.
536-537.
(c) The Secretary's argument that the listings-only approach is
the only practicable way to determine whether a child's impairment
is comparable to one that would disable an adult is rejected. Even
if they were set at the statutory level of severity, no set of
listings could ensure that child claimants would receive benefits
whenever their impairments are of comparable severity to ones that
would qualify an adult for benefits under the individualized
functional analysis contemplated by the statute and provided to
adults. That a vocational analysis is inapplicable to children does
not mean that a
functional analysis cannot be applied to
them, since an inquiry into an impairment's impact on a child's
normal daily activities is no more amorphous or unmanageable than
an inquiry into the impact of an adult's impairment on his ability
to perform any kind of substantial gainful work that exists in the
economy. Moreover, the Secretary tacitly acknowledges that
functional assessment of child claimants is possible in that some
of his own listings are defined in terms of functional criteria,
and the test for cessation of disability involves an examination of
a child claimant's ability to perform age-appropriate activities.
Pp.
493 U. S.
538-541.
855 F.2d 67 (CA3 1988), affirmed.
BLACKMUN, J., delivered the opinion of the Court, in which
BRENNAN, MARSHALL, STEVENS, O'CONNOR, SCALIA, and KENNEDY, JJ.,
joined. WHITE, J., filed a dissenting opinion, in which REHNQUIST,
C.J., joined,
post, p.
493 U. S.
541.
Page 493 U. S. 523
Justice BLACKMUN delivered the opinion of the Court.
This case concerns a facial challenge to the method used by the
Secretary of Health and Human Services to determine whether a child
is "disabled," and therefore eligible for benefits under the
Supplemental Security Income Program, Title XVI of the Social
Security Act,
as added, 86 Stat. 1465,
and
amended, 42 U.S.C. § 1381
et seq. (1982 ed. and
Supp. V).
Page 493 U. S. 524
I
In 1972, Congress enacted the Supplemental Security Income
Program (SSI) to assist "individuals who have attained age 65 or
are blind or disabled" by setting a guaranteed minimum income level
for such persons. 42 U.S.C. § 1381. The program went into
effect January 1, 1974. Currently, about 2,000,000 claims for SSI
benefits are adjudicated each year. Of these, about 100,000 are
child-disability claims. [
Footnote
1]
A person is eligible for SSI benefits if his income and
financial resources are below a certain level, § 1382(a), and
if he is "disabled." Disability is defined in § 1382c(a)(5) as
follows:
"(A) An individual shall be considered to be disabled for
purposes of this subchapter if he is unable to engage in any
substantial gainful activity by reason of any medically
determinable physical or mental impairment which can be expected to
result in death or which has lasted or can be expected to last for
a continuous period of not less than twelve months (or, in the case
of a child under the age of 18, if he suffers from any medically
determinable physical or mental impairment of comparable
severity)."
"(B) For purposes of subparagraph (A), an individual shall be
determined to be under a disability only if his physical or mental
impairment or impairments are of such severity that he is not only
unable to do his previous work but cannot, considering his age,
education, and work experience, engage in any other kind of
substantial gainful work which exists in the national economy. . .
. "
"(C) For purposes of this paragraph, a physical or mental
impairment is an impairment that results from anatomical,
physiological, or psychological abnormalities which are
demonstrable by medically acceptable clinical and laboratory
diagnostic techniques.
Page 493 U. S. 525
This statutory definition of disability was taken from Title II
of the Social Security Act, 42 U.S.C. § 423
et seq.,
as amended (providing for payment of insurance benefits to disabled
workers who have contributed to the Social Security Program).
See §§ 423(d)(1)(A) and (d)(2)(A) (definitions
of disability)."
Pursuant to his statutory authority to implement the SSI
Program, [
Footnote 2] the
Secretary has promulgated regulations creating a 5-step test to
determine whether an adult claimant is disabled.
See Bowen v.
Yuckert, 482 U. S. 137,
482 U. S.
140-142 (1987). [
Footnote 3] The first two steps involve threshold
determinations that the claimant is not presently working, and has
an impairment which is of the required duration and which
significantly limits his ability to work.
See 20 CFR
§§ 416.920(a) through (c) (1989). In the third step, the
medical evidence of the claimant's impairment is compared to a list
of impairments presumed severe enough to preclude any gainful work.
See 20 CFR pt. 404, subpt. P, App. 1 (pt. A) (1989). If
the claimant's impairment matches or is "equal" to one of the
listed impairments, he qualifies for benefits without further
inquiry. § 416.920(d). If the claimant cannot qualify under
the listings, the analysis proceeds to the fourth and fifth steps.
At these steps, the inquiry is whether the claimant can do his own
past work or any other work that exists in the
Page 493 U. S. 526
national economy, in view of his age, education, and work
experience. If the claimant cannot do his past work or other work,
he qualifies for benefits. §§ 416.920(e) and (f).
The Secretary's test for determining whether a
child
claimant is disabled is an abbreviated version of the adult test. A
child qualifies for benefits if he "is not doing any substantial
gainful activity," § 416.924(a), if his impairment meets the
duration requirement, § 416.924(b)(1), and if it matches or is
medically equal to a listed impairment, §§ 416.924(b)(2)
and (3). In evaluating a child's claim, both the general listings
and a special listing of children's impairments, 20 CFR pt. 404,
subpt. P, App. 1 (pt. B), are considered. If a child cannot qualify
under these listings, he is denied benefits. There is no further
inquiry corresponding to the fourth and fifth steps of the adult
test.
II
Respondent Brian Zebley, a child who had been denied SSI
benefits, brought a class action in the United States District
Court for the Eastern District of Pennsylvania to challenge the
child-disability regulations. [
Footnote 4] His complaint alleges that the Secretary
"has promulgated regulations and issued instructions . . .
whereby children have their entitlement to SSI disability benefits
based solely on the grounds that they have a listed impairment or
the medical equivalent of a listed impairment . . . in
contravention of the Act's requirement that a child be considered
disabled 'if he suffers from any medically determinable physical or
mental impairment of comparable severity' to that which
disables
Page 493 U. S. 527
an adult under the program."
Complaint in ED Pa. Civil Action No. 83-3314, � 2. The
District Court, on January 10, 1984, certified a class of all
persons
"who are now, or who in the future will be, entitled to an
administrative determination . . . as to whether supplemental
security income benefits are payable on account of a child who is
disabled, or as to whether such benefits have been improperly
denied, or improperly terminated, or should be resumed."
The court in due course granted summary judgment in the
Secretary's favor as to the class claims, ruling that the
regulations are not "facially invalid or incomplete . . . and
permi[t] the award of benefits in conformity with the intent of
Congress."
Zebley v. Heckler, 642 F.
Supp. 220,
222
(1986). The Court of Appeals for the Third Circuit vacated in part
that summary judgment.
Zebley ex rel. Zebley v. Bowen, 855
F.2d 67 (1988). The Third Circuit found the Secretary's regulatory
scheme for child disability benefits inconsistent with the statute,
because the listings-only approach of the regulations does not
account for all impairments of "comparable severity," and denies
child claimants the individualized functional assessment that the
statutory standard requires and that the Secretary provides to
adults.
Id. at 69. Although the Court of Appeals
recognized that the Secretary's interpretation of the statute is
entitled to deference, it rejected the regulations as contrary to
clear congressional intent. The court remanded the case to the
District Court with the direction that summary judgment be entered
in favor of the plaintiff class on the claim that the Secretary
must give child claimants an opportunity for individualized
assessment of their functional limitations.
Id. at 77. We
granted certiorari to resolve a conflict among the Circuits as to
the validity of the Secretary's approach to child disability. 490
U.S. 1064. [
Footnote 5]
Page 493 U. S. 528
II
Since the Social Security Act expressly grants the Secretary
rulemaking power,
see n 2,
supra,
"'our review is limited to determining whether the regulations
promulgated exceeded the Secretary's statutory authority and
whether they are arbitrary and capricious.'"
Bowen v. Yuckert, 482 U.S. at
482 U. S. 145
(quoting
Heckler v. Campbell, 461 U.
S. 458,
461 U. S. 466
(1983));
See Chevron U.S.A., Inc. v.
Natural Resources Defense Council, Inc.,
467 U. S. 837,
467 U. S.
843-844 (1984) ("If Congress has explicitly left a gap
for the agency to fill, there is an express delegation of authority
to the agency to elucidate a specific provision of the statute by
regulation. Such legislative regulations are given controlling
weight unless they are arbitrary, capricious, or manifestly
contrary to the statute"). We conclude, however, that the
Secretary's child-disability regulations cannot be reconciled with
the statute they purport to implement.
The statute generally defines "disability" in terms of an
individualized, functional inquiry into the effect of medical
problems on a person's ability to work.
Yuckert, 482 U.S.
at
482 U. S. 146
(Social Security Act adopts "functional approach");
Campbell, 461 U.S. at
461 U. S.
459-460,
461 U. S. 467
(Act "defines
disability' in terms of the effect a physical or
mental impairment has on a person's ability to function in the
workplace"; "statutory scheme contemplates that disability hearings
will be individualized determinations").
Page 493 U. S.
529
The statutory standard for child disability is explicitly linked
to this functional, individualized standard for adult disability. A
child is considered to be disabled "if he suffers from any . . .
impairment of comparable severity" to one that would render an
adult "unable to engage in any substantial gainful activity." 42
U.S.C. § 1382c(a)(3)(A). The next paragraph of the statute
elaborates on the adult disability standard, providing that an
adult is considered unable to engage in substantial gainful
activity, and is therefore disabled, if he is unable to do either
his own past work or other work. § 1382c(a)(3)(B). In plain
words, the two provisions together mean that a child is entitled to
benefits if his impairment is as severe as one that would prevent
an adult from working.
The question presented is whether the Secretary's method of
determining child disability conforms to this statutory standard.
Respondents argue, and the Third Circuit agreed, that it does not,
because the regulatory requirement that a child claimant's
impairment must match or be equivalent to a listed impairment
denies benefits to those children whose impairments are severe and
disabling even though the impairments are not listed and cannot
meaningfully be compared with the listings. The Secretary concedes
that his listings do not cover every impairment that could qualify
a child for benefits under the statutory standard, but insists that
the listings, together with the equivalence determination,
see 20 CFR § 416.924(b)(3), are sufficient to carry
out the statutory mandate that children with impairments of
"comparable severity" shall be considered disabled. To decide this
question, we must take a closer look at the regulations at
issue.
IV
The listings set out at 20 CFR pt. 404, subpt. P, App. I (pt.
A), are descriptions of various physical and mental illnesses and
abnormalities, most of which are categorized by
Page 493 U. S. 530
the body system they affect. [
Footnote 6] Each impairment is defined in terms of several
specific medical signs, symptoms, or laboratory test results.
[
Footnote 7] For a claimant to
show that his impairment matches a listing, it must meet all of the
specified medical criteria. An impairment that manifests only some
of those criteria, no matter how severely, does not qualify.
[
Footnote 8]
See
Social Security Ruling (SSR) 83-19, [
Footnote 9] West's Social Security Reporting Service
(Rulings Supp. Pamph.1988) 90, 91-92 ("An impairment
meets' a
listed condition . . . only when it manifests the specific findings
described in the set of medical criteria for that listed
impairment. . . . The level of severity in any particular
Page 493 U. S.
531
listing section is depicted by the given set of
findings, and not by the degree of severity of any single medical
finding -- no matter to what extent that finding may exceed the
listed value") (emphasis in original).
For a claimant to qualify for benefits by showing that his
unlisted impairment, or combination of impairments, is "equivalent"
to a listed impairment, he must present medical findings equal in
severity to
all the criteria for the one most similar
listed impairment. [
Footnote
10] 20 CFR § 416.926(a) (a claimant's impairment is
"equivalent" to a listed impairment "if the medical findings are at
least equal in severity" to the medical criteria for "the listed
impairment most like [the claimant's] impairment"); SSR 83-19, at
92 (a claimant's impairment is "equivalent" to a listing only if
his symptoms, signs, and laboratory findings are "at least
equivalent in severity to" the criteria for "the listed impairment
most like the individual's impairment(s)"; when a person has a
combination of impairments, "the medical findings of the combined
impairments will be compared to the findings of the listed
impairment most similar to the individual's most severe
impairment"). [
Footnote 11]
A claimant cannot qualify for benefits under the "equivalence" step
by showing that the overall functional impact of his unlisted
impairment or combination of impairments is as severe as that of a
listed impairment. SSR 83-19, at 92-93 ("it is incorrect to
consider whether the listing is equaled on the basis of an
assessment of
overall functional
Page 493 U. S. 532
impairment . . . The functional consequences of the impairments
. . . irrespective of their nature or extent, cannot justify a
determination of equivalence") (emphases in original).
The Secretary explicitly has set the medical criteria defining
the listed impairments at a higher level of severity than the
statutory standard. The listings define impairments that would
prevent an adult, regardless of his age, education, or work
experience, from performing
any gainful activity, not just
"substantial gainful activity."
See 20 CFR §
416.925(a) (purpose of listings is to describe impairments "severe
enough to prevent a person from doing any gainful activity"); SSR
83-19, at 91 (listings define "medical conditions which ordinarily
prevent an individual from engaging in any gainful activity"). The
reason for this difference between the listings' level of severity
and the statutory standard is that, for adults, the listings were
designed to operate as a presumption of disability that makes
further inquiry unnecessary. That is, if an adult is not actually
working and his impairment matches or is equivalent to a listed
impairment, he is presumed unable to work, and is awarded benefits
without a determination whether he actually can perform his own
prior work or other work.
See Yuckert, 482 U.S. at
482 U. S. 141
(if an adult's impairment "meets or equals one of the listed
impairments, the claimant is conclusively presumed to be disabled.
If the impairment is not one that is conclusively presumed to be
disabling, the evaluation proceeds to the fourth step"; the
listings "streamlin[e] the decision process by identifying those
claimants whose medical impairments are so severe that it is likely
they would be found disabled regardless of their vocational
background,"
id. at
482 U. S.
153);
Bowen v. City of New York, 476 U.
S. 467,
476 U. S. 471
(1986) ("If a claimant's condition meets or equals the listed
impairments, he is conclusively presumed to be disabled and
entitled to benefits"; if not, "the process moves to the fourth
step");
Campbell, 461 U.S. at
461 U. S. 460
("The regulations recognize that
Page 493 U. S. 533
certain impairments are so severe that they prevent a person
from pursuing any gainful work. . . . A claimant who establishes
that he suffers from one of these impairments will be considered
disabled without further inquiry. . . . If a claimant suffers from
a less severe impairment, the Secretary must determine whether the
claimant retains the ability to [work]").
When the Secretary developed the child-disability listings, he
set their medical criteria at the same level of severity as that of
the adult listings.
See 42 Fed.Reg. 14705 (1977) (the
child
Page 493 U. S. 534
disability listings describe impairments "of
comparable
severity' to the adult listing"); SSA Disability Insurance Letter
No. III [Footnote 12] (Jan.
9, 1974), App. 97 (child-disability listings describe impairments
that affect children "to the same extent as . . . the impairments
listed in the adult criteria" affect adults' ability to
work).
Thus, the listings in several ways are more restrictive than the
statutory standard. First, the listings obviously do not cover all
illnesses and abnormalities that actually can be disabling. The
Secretary himself has characterized the adult listing as merely
containing "over 100
examples of medical conditions which
ordinarily prevent" a person from working, and has recognized that
"it is difficult to include in the listing all the sets of medical
findings which describe impairments severe enough to prevent any
gainful work." SSR 83-19, at 91 (emphasis added).
See also
50 Fed.Reg. 50068, 50069 (1985) (listings contain only the most
"frequently diagnosed" impairments); 44 Fed.Reg. 18170, 18175
(1979) ("The Listing criteria are intended to identify the more
commonly occurring impairments"). Similarly, when the Secretary
published the child-disability listings for comment in 1977, he
described them as including only the "more common impairments"
affecting children. 42 Fed. Reg. 14706 (the child-disability
listings "provide a means to efficiently and equitably evaluate the
more common impairments"). [
Footnote 13]
Second, even those medical conditions that are covered in the
listings are defined by criteria setting a higher level of severity
than the statutory standard, so they exclude claimants who have
listed impairments in a form severe enough to preclude
substantial gainful activity, but not quite severe enough
to meet the listings level -- that which would preclude
any gainful activity. Third, the listings also exclude any
claimant whose impairment would not prevent any and all persons
from doing any kind of work, but which actually precludes the
particular claimant from working, given its actual effects on him
-- such as pain, consequences of medication, and other symptoms
that vary greatly with the individual [
Footnote 14] -- and given the claimant's age,
education, and work experience. Fourth, the equivalence analysis
excludes claimants who have unlisted impairments, or combinations
of impairments, that do not fulfill all the criteria for any one
listed impairment. Thus, there are several obvious categories of
claimants who would not qualify under the listings, but who
nonetheless would meet the statutory standard.
For
adults, these shortcomings of the listings are
remedied at the final, vocational steps of the Secretary's test.
A
Page 493 U. S. 535
claimant who does not qualify for benefits under the listings,
for any of the reasons described above, still has the opportunity
to show that his impairment in fact prevents him from working. 20
CFR §§ 416.920(e) and (f);
Yuckert, 482 U.S. at
482 U. S. 141
(if an adult claimant's "impairment is not one that is conclusively
presumed to be disabling, the evaluation proceeds" to the fourth
and fifth steps);
Campbell, 461 U.S. at
461 U. S. 460
("If a claimant suffers from a less severe impairment" than the
listed impairments, "the Secretary must determine whether the
claimant retains the ability to perform either his former work or
some less demanding employment"). [
Footnote 15]
For children, however, there is no similar opportunity. Children
whose impairments are not quite severe enough to rise to the
presumptively disabling level set by the listings; children with
impairments that might not disable any and all children, but which
actually disable them, due to symptomatic effects such as pain,
nausea, side effects of medication, etc., or due to their
particular age, educational background, and circumstances; and
children with unlisted impairments or combinations of impairments
[
Footnote 16] that are not
equivalent to any one listing -- all these categories of child
claimants are simply
Page 493 U. S. 536
denied benefits, even if their impairments are of "comparable
severity" to ones that would actually (though not presumptively)
render an adult disabled. [
Footnote 17]
The child-disability regulations are simply inconsistent with
the statutory standard of "comparable severity." [
Footnote 18] This inconsistency
Page 493 U. S. 537
is aptly illustrated by the fact that the Secretary applies the
same approach to child-disability determinations under Title XVI
and to widows' and widowers' disability benefits under Title II,
despite the fact that Title II sets a stricter standard for widows'
benefits. Under the Secretary's regulations and rulings, both
widows and children qualify for benefits only if the medical
evidence of their impairments meets or equals a listing. SSR 8319,
at 94. Title II provides:
"A widow . . . or widower shall not be determined to be under a
disability . . . unless his or her . . . impairment or impairments
are of a level of severity which under regulations prescribed by
the Secretary is deemed to be sufficient to preclude an individual
from engaging in any gainful activity."
42 U.S.C. § 423(d)(2)(B). When Congress set out to provide
disabled children with benefits, it chose to link the disability
standard
not to this test, but instead to the more liberal
test set forth in § 423(d)(2)(A) and in § 1382c(a)(3)(A)
(any impairment making a claimant "unable to engage in any
substantial gainful activity" qualifies him for benefits). The
Secretary's regulations, treating child-disability claims like
claims for widows' benefits, nullify this congressional choice.
See Yuckert, 482 U.S. at
482 U. S.
163-164 (dissenting opinion) (contrasting widows'
disability statute with the § 423(d)(2)(A)/§ 1382c(a)(3)
test, which requires an individualized inquiry as to whether the
claimant can work); S.Rep. No. 744, 90th Cong., 1st Sess., 49
(1967), U.S.Code Cong. & Admin.News 1967, pp. 2834, 2883
(disabled widows' statutory "test of disability . . . is somewhat
more restrictive than that for disabled workers"). [
Footnote 19]
Page 493 U. S. 538
V
The Secretary does not seriously dispute the disparity in his
approach to child and adult disability determinations.
Page 493 U. S. 539
He argues, instead, that the listings-only approach is the only
practicable way to determine whether a child's impairment is
"comparable" to one that would disable an adult. An individualized,
functional approach to child-disability claims like that provided
for adults is not feasible, the Secretary asserts, since children
do not work; there is no available measure of their functional
abilities analogous to an adult's ability to work, so the only way
to measure "comparable severity" is to compare child claimants'
medical evidence with the standard of severity set by the listings.
Laying to one side the obvious point that such a comparison does
not properly implement the statute because the Secretary's current
listings set a level of severity higher than that prescribed by the
statute, this argument still is not persuasive. Even if the
listings were set at the same level of severity as the statute, and
expanded to cover many more childhood impairments, no set of
listings could ensure that child claimants would receive benefits
whenever their impairments are of "comparable severity" to ones
that would qualify an adult for benefits under the individualized,
functional analysis contemplated by the statute and provided to
adults by the Secretary. No decision process restricted to
comparing claimants' medical evidence to a fixed, finite set of
medical criteria can respond adequately to the infinite variety of
medical conditions and combinations thereof, the varying impact of
such conditions due to the claimant's individual characteristics,
and the constant evolution of medical diagnostic techniques.
The Secretary's claim that a functional analysis of child
disability claims is not feasible is unconvincing. The fact that a
vocational analysis is inapplicable to children does
not
Page 493 U. S. 540
mean that a
functional analysis cannot be applied to
them. An inquiry into the impact of an impairment on the normal
daily activities of a child of the claimant's age -- speaking,
walking, washing, dressing, and feeding oneself, going to school,
playing, etc. -- is, in our view, no more amorphous or unmanageable
than an inquiry into the impact of an adult's impairment on his
ability to perform "any other kind of substantial gainful work
which exists in the national economy," § 1382c(a)(3)(B).
[
Footnote 20] Moreover, the
Secretary tacitly acknowledges that functional assessment of child
claimants is possible, in that some of his own listings are defined
in terms of functional criteria.
See, e.g., 20 CFR pt.
404, subpt. P, App. I (pt. B), § 101.03 (listing for "Deficit
of musculoskeletal function" defined in terms of difficulty in
walking or "[i]nability to perform age-related personal self-care
activities involving feeding, dressing, and personal hygiene");
§ 111.02(B) (listing for "Major motor seizures" defined in
terms of "Significant interference with communication" or
"Significant emotional disorder," or "Where significant adverse
effects of medication interfere with major daily activities");
§ 112.05(C) (mental retardation listing for claimants with IQ
of 60-69 requiring "a physical or other mental impairment imposing
additional and significant restriction of function or developmental
progression"). [
Footnote 21]
Also, the Secretary's
Page 493 U. S. 541
own test for cessation of disability involves an examination of
a child claimant's ability to "perform age-appropriate activities."
20 CFR § 416.994(c). Finally, the Secretary's insistence that
child claimants must be assessed from "a medical perspective alone,
without individualized consideration of . . . residual functional
capacity," Brief for Petitioner 45, seems to us to make little
sense in light of the fact that standard medical diagnostic
techniques often include assessment of the functional impact of the
disorder. [
Footnote 22]
VI
We conclude that the Secretary's regulations and rulings
implementing the child-disability statute simply do not carry out
the statutory requirement that SSI benefits shall be provided to
children with "any . . . impairment of comparable severity" to an
impairment that would make an adult "unable to engage in any
substantial gainful activity." § 1382c(a)(3)(A). For that
reason, the Secretary's approach to child disability is "manifestly
contrary to the statute,"
Chevron, 467 U.S. at
467 U. S. 844,
and exceeds his statutory authority.
The judgment of the Court of Appeals, vacating in part the
District Court's grant of summary judgment in the Secretary's favor
as to the claims of the plaintiff class, is affirmed.
It is so ordered.
[
Footnote 1]
Social Security Administration, Office of Disability,
Preliminary Staff Report: Childhood Disability Study, p. B-1 (Sept.
20, 1989).
[
Footnote 2]
42 U.S.C. § 405(a), made applicable to Title XVI by §
1383(d)(1), reads:
"The Secretary shall have full power and authority to make rules
and regulations and to establish procedures, not inconsistent with
the provisions of this subchapter, which are necessary or
appropriate to carry out such provisions, and shall adopt
reasonable and proper rules and regulations to regulate and provide
for the nature and extent of the proofs and evidence . . . in order
to establish the right to benefits hereunder."
[
Footnote 3]
The regulations implementing the Title II disability standard,
42 U.S.C. § 423(d), at issue in
Yuckert, and those
implementing the identical Title XVI standard, § 1382c(a)(3),
at issue in this case, are the same in all relevant respects.
Compare 20 CFR §§ 404.1520-1530
with
§§ 416.920-930 (1989).
[
Footnote 4]
Respondents Joseph Love and Evelyn Raushi, two children who were
denied benefits, are the other two named plaintiffs in this action.
All three named plaintiffs' individual claims were eventually
remanded to the Secretary by the District Court; only the class
claims remain before this Court.
[
Footnote 5]
The First and Eleventh Circuits have upheld the validity of the
Secretary's approach to child disability.
Hinckley ex rel.
Martin v. Secretary of Health and Human Services, 742 F.2d 19
(CA1 1984);
Powell ex rel. Powell v. Schweiker, 688 F.2d
1357 (CA11 1982). Also, the Fifth and Eighth Circuits have ruled
that the Secretary properly applied the child-disability
regulations to deny benefits in a particular case, without
explicitly addressing the question whether the regulations are
valid.
Nash ex rel. Alexander v. Bowen, 882 F.2d 1291 (CA8
1989);
Burnside ex rel. Burnside v. Bowen, 845 F.2d 587
(CA5 1988). The Third Circuit in the present case acknowledged the
conflict.
Zebley ex rel. Zebley v. Bowen, 855 F.2d 67, 75
(1988).
[
Footnote 6]
There are 125 impairments defined in the adult listings, and an
additional 57 in the child listings. The body system categories in
the adult listings are: musculoskeletal, special senses and speech,
respiratory, cardiovascular, digestive, genito-urinary, hemic and
lymphatic, skin, and endocrine. In addition, there are four groups
of listings not categorized by body system: multiple body system
impairments, neurological impairments, mental disorders, and
malignant neoplastic diseases. The child-disability listings
include, in addition to all these, a category for growth
impairment.
[
Footnote 7]
For example, under the "growth impairment" category of the
child-disability listings, 20 CFR pt. 404, subpt. P, App. I (pt. B)
§ 100.00
et seq., there is a listing the medical
criteria of which require the claimant to show both a "[f]all of
greater than 25 percentiles in height which is sustained" and
"[b]one age greater than two standard deviations . . . below the
mean for chronological age." § 100.03. Another example is the
listing for "mental retardation," which requires that a child
claimant show "[a]chievement of only those developmental milestones
generally acquired by children no more than one-half the child's
chronological age," or "IQ of 59 or less," or "IQ of 60-69,
inclusive, and a physical or other mental impairment imposing
additional and significant restriction of function or developmental
progression." § 112.05.
[
Footnote 8]
For example, in the growth impairment listing described in
n 7,
supra, a child
claimant whose "bone age" was slightly less than two standard
deviations below normal would not qualify under the listing, even
if his height was much more than 25 percentiles below normal.
[
Footnote 9]
Social Security Rulings are agency rulings "published under the
authority of the Commissioner of Social Security and are binding on
all components of the Administration." 20 CFR § 422.408
(1989);
see Heckler v. Edwards, 465 U.
S. 870,
465 U. S. 873,
n. 3 (1984).
[
Footnote 10]
For example, a child claimant with Down syndrome (which
currently is not a listed impairment), a congenital disorder
usually manifested by mental retardation, skeletal deformity and
cardiovascular and digestive problems, would have to fulfill the
criteria for whichever single listing his condition most resembled.
See Brief for National Easter Seal Society,
et
al., as
Amici Curiae 17, n. 9.
[
Footnote 11]
For example, if a child has both a growth impairment slightly
less severe than required by listing § 100.03, and is mentally
retarded but has an IQ just above the cut-off level set by §
112.04, he cannot qualify for benefits under the "equivalence"
analysis -- no matter how devastating the combined impact of mental
retardation and impaired physical growth.
[
Footnote 12]
A Disability Insurance Letter (DIL) is an internal directive
sent by the Secretary to the state agencies responsible for
disability determinations.
See Brief for Petitioner
36.
[
Footnote 13]
There are, as yet, no specific listings for many well-known
childhood impairments, including spina bifida, Down syndrome,
muscular dystrophy, autism, AIDS, infant drug dependency, and fetal
alcohol syndrome.
See Brief for American Medical
Association,
et al., as
Amici Curiae (AMA Brief)
22. The Secretary, however, has proposed new listings for "Down
syndrome and other Hereditary, Congenital, and Acquired Disorders."
52 Fed.Reg. 37161 (1987).
See Reply Brief for Petitioner
19, n. 16.
[
Footnote 14]
The Secretary has stated that the severity of perceived symptoms
such as pain has no bearing on the determination whether a
claimant's impairment meets or equals a listing. Social Security
Ruling 82-58, DHHS Rulings, Cumulative Edition 1982, p. 121 ("No
alleged or reported intensity of the symptoms can be substituted to
elevate impairment severity to equivalency. . . . [C]omplaints of
severe,' `extreme,' or `constant' pain will not compensate for
. . . missing medical findings and permit an `equals'
determination") (emphasis deleted).
[
Footnote 15]
About 25% of adult claimants qualify for benefits under steps
four and five of the Secretary's test. House Committee on Ways and
Means, Background Material and Data On Programs Within the
Jurisdiction of the Committee on Ways and Means, 1989 Ed., 101st
Cong., 1st Sess., 46 (Comm.Print).
[
Footnote 16]
As the dissent points out,
post at
493 U. S.
546-547, 42 U.S.C. § 1382c(a)(3)(F), requires that
"the combined impact of [multiple] impairments shall be considered
throughout the disability determination process," and 20 CFR §
416.923 promises that "we will consider the combined effect of all
your impairments." This assurance may be of value to adult
claimants, but not to children, for whom the combined effect of
multiple impairments is considered
only within the
confines of the equivalence determination, "whether the combination
of your impairments is medically equal to
any listed
impairment." 20 CFR § 416.926(a). As the Court of Appeals
noted,
if children are afforded the individualized
consideration given to adults,
then § 416.923 would
fulfill the statutory mandate as to children with multiple
impairments. 855 F.2d at 76.
[
Footnote 17]
Empirical evidence suggests that the rigidity of the Secretary's
listings-only approach has a severe impact on child claimants.
There are many rare childhood diseases that cannot meaningfully be
compared with any of the listings. AMA Brief 6, 25 (it is unlikely
"that any physician could make meaningful comparisons between
extremely rare diseases and the set medical criteria listed by the
Secretary"). Moreover, the listings-only approach disregards
factors such as pain, side effects of medication, feeding problems,
dependence on medical equipment, confinement at home, and frequent
hospitalization, that vary with each individual case. A recent
study suggests that children with multiple impairments, young
children who cannot be subjected to the clinical tests required by
the, listings criteria, and children whose impairments have a
severe functional impact but which do not match listings criteria,
are often denied benefits. H. Fox & A. Greaney, Disabled
Children's Access to Supplemental Security Income and Medicaid
Benefits (1988).
A telling example of the effect of the listings-only approach is
found in
Wilkinson ex rel. Wilkinson v. Bowen, 847 F.2d
660 (CA11 1987) (child with rare liver disorder causing severe
swelling, food allergies and fever, and requiring constant care and
confinement at home, does not qualify for benefits because his
impairment does not meet or equal the criteria for any listing);
see also Zebley ex rel. Zebley v. Bowen, 855 F.2d 67 (CA3
1988) (plaintiff Zebley denied benefits despite evidence of
congenital brain damage, mental retardation, development delay, eye
problems and musculoskeletal impairment, because his condition did
not meet or equal any listing).
The disparity in the Secretary's treatment of child and adult
claimants is thrown into sharp relief in cases where an
unsuccessful child claimant, upon reaching age 18, is awarded
benefits on the basis of the
same impairment deemed
insufficient to qualify him for child disability benefits.
See,
e.g., Wills v. Secretary of Health and Human
Services, 686 F.
Supp. 171, 172, and n. 1 (WD Mich.1987); Brief of National
Organization of Social Security Claimants' Representatives as
Amicus Curiae, A-3 to A-24 (ALJ decisions awarding
benefits when child claimant turns 18).
See also Tr. of
Oral Arg. 13-14.
[
Footnote 18]
The dissent proposes that children who fail to qualify for
benefits under the Secretary's current approach can simply "make
their case before the Secretary, and take the case to court if
their claims are rejected."
Post at
493 U. S. 545.
We fail to see why each child denied benefits because his
impairment falls within the several categories of impairments that
meet the statutory standard but do not qualify under the
Secretary's listings-only approach should be compelled to raise a
separate, as-applied challenge to the regulations, or why a facial
challenge is not a proper response to the systemic disparity
between the statutory standard and the Secretary's approach to
child disability claims.
[
Footnote 19]
The dissent,
post at
493 U. S. 547,
n. 2, appears to accept the Secretary's argument that Congress
expressly indicated its approval of his approach to child
disability in 1976, when it directed him to "publish criteria" to
be employed to determine disability in children's cases.
Unemployment Compensation Amendments of 1976, § 501(b), 90
Stat. 2683, 2685 (1976). At that time, however, Congress could not
have known the exact contours of the Secretary's approach. Congress
had before it only the Secretary's 1973 and 1974 DILs and
accompanying "medical guides" that eventually became the
child-disability listings, and the proposed regulations published
for comment at 39 Fed.Reg. 1624 (1974).
The DILs are ambiguous as to the scope of the child disability
determination. The 1973 DIL says that "childhood disability will be
determined solely in consideration of medical factors," but it also
says that "disability in children must be defined in terms of the
primary activity in which they engage, namely growth and
development," and that
"[d]escriptions of a child's activities, behavioral adjustment,
and school achievement may be considered in relationship to the
overall medical history regarding severity of the impairment."
SSA Disability Insurance Letter No. III-11 (1973), App. 90-91.
The 1974 DIL does reflect the listings-only approach, but its
discussion of the "equivalence" determination suggests a broader
inquiry than the Secretary's present rules allow. SSA Disability
Insurance Letter No. III-11, Supp. I (1974), App. 97 ("
medical
equivalency' concept . . . takes into account the particular effect
of disease processes in childhood"; when used to evaluate multiple
impairments, "[e]ach impairment must have some substantial adverse
effect on the child's major daily activities, and together must
`equal' the specified impact"). Congress could not have guessed
that these early directives would evolve into the present
regulatory scheme.
Similarly, the 1974 proposed regulations provide that a child
with an unlisted impairment qualifies for benefits if his
impairment is
"determined . . . with appropriate consideration of the
particular effect of disease processes in childhood, to be
medically the equivalent of a listed impairment."
39 Fed.Reg. at 1626. The regulation defining "medical
equivalence" says only that an impairment is equivalent to a listed
one
"only if the medical findings with respect thereto are at least
equivalent in severity and duration to the listing findings of the
listed impairment."
Id.; cf. 20 CFR § 416.926 (1989) (current
definition of equivalence, requiring claimant to meet all criteria
for the one most similar listed impairment). Thus, the proposed
regulations gave little warning of the Secretary's current,
strictly limited equivalence analysis. At least until SSR 83-19 was
promulgated in 1983, it did not become clear that the listings
criteria would be applied so rigidly, and that proof of equivalence
would require a strict matching of the criteria for the single most
similar listed impairment.
The 1976 directive to publish criteria therefore has little
bearing on the question whether the Secretary's present approach to
child disability is consistent with the statute.
[
Footnote 20]
The Secretary's own regulations state that this inquiry involves
assessment of an adult claimant's ability to "do physical
activities such as walking, standing, lifting, carrying, pushing,
pulling, reaching, handling," and his ability "to carry out and
remember instructions, and to respond appropriately to supervision,
coworkers and work pressures in a work setting." 20 CFR
§§ 416.945(b) and (c) (1989). It is difficult to see why
such functional assessment would be feasible for adults and not for
children.
[
Footnote 21]
The Secretary contends that, because some of the
child-disability listings include functional criteria, his approach
to child disability adequately takes account of functional
considerations. Brief for Petitioner 42. This argument is
unavailing. The fact that some of the listed impairments are
defined in terms of functional criteria is small comfort to child
claimants who do not have one of those impairments, and who fail to
qualify for benefits for one of the reasons discussed above.
[
Footnote 22]
See AMA Brief 5 ("The view that proper study or
treatment of pediatric illness and injury must include an
assessment of the child's functional capacity to perform
age-appropriate activities is well accepted in the medical
community. . . The biological severity of an illness is an
abstraction, measured only by proxies, the most familiar of which
are physiological severity, functional severity and burden of
illness").
Justice WHITE, with whom THE CHIEF JUSTICE joins,
dissenting.
Only two Terms ago, when reviewing an aspect of the Secretary's
methodology for evaluating disability applications
Page 493 U. S. 542
under this Act, we emphasized that "Congress has
conferred
on the Secretary exceptionally broad authority'" in this context,
and we stated that the Secretary's regulations were therefore
entitled to great deference. Bowen v. Yuckert,
482 U. S. 137,
482 U. S. 145
(1987), quoting Heckler v. Campbell, 461 U.
S. 458, 461 U. S. 466
(1983). Because the majority has failed to abide by this principle,
I respectfully dissent.
As this case involves a challenge to an agency's interpretation
of a statute that the agency was entrusted to administer,
Chevron U.S.A. Inc. v.
Natural Resources Defense Council, Inc.,
467 U. S. 837
(1984), provides the framework for our review. We should therefore
first ask whether Congress has expressed a clear intent on the
question at issue here; if so, we should enforce that intent. If
not, as I think is the case, we should defer to the agency's
interpretation as long as it is permissible.
Id. at
467 U. S.
842-845.
Section 1614(a)(3)(A) of the Social Security Act, 42 U.S.C.
§ 1382c(a)(3)(A) (1982 ed.) provides that a person is disabled
if he is unable by reason of any medically determinable physical or
mental impairment to engage in any substantial gainful employment;
subsection (a)(3)(B) further defines "disability" by providing that
the impairment or impairments must be severe enough, considering
the person's age, education, and work experience, to prevent him
from engaging in any kind of substantial gainful employment which
exists in the national economy. The Secretary has implemented the
statute with respect to adults by regulations listing certain
impairments that he will, without more, consider disabling because
each of them would prevent an adult from engaging in any kind of
gainful employment. 20 CFR pt. 404, Appendix 1 to subpart P (1989).
If not suffering from one of those impairments or its equivalent,
an adult is then given further consideration as required by
subsection (a)(3)(B) in order to determine whether, in light of his
impairment and the specified nonmedical factors, he could perform
any substantial gainful activities in the national labor
market.
Page 493 U. S. 543
At the end of 42 U.S.C. § 1382c(a)(3)(A), with its
definition of disability, is a parenthetical provision defining
that term in the case of persons under 18:
"or, in the case of a child under the age of 18, if he suffers
from any medically determinable physical or mental impairment of
comparable severity."
There is no reference to nonmedical factors in this definition
and no references to specific consequences that an impairment must
or should produce. Furthermore, neither "comparable", "severity",
nor the two words together are there or elsewhere defined in the
Act, and their meaning is anything but clear. The severity of an
impairment that disables an adult is measured by its effects on the
ability to engage in gainful employment. But that yardstick is not
useful with respect to children, whose inability to work is not due
to mental or physical impairment, but to the stage of their
development and the labor market. Given this task of comparing
apples and oranges, it is understandable that the Secretary
implemented the statute with respect to children in a somewhat
different manner than he did for adults, and surely there is no
direction in the statute to employ the same methodology for both
groups.
Under the regulations applying to children, a person under 18
will be considered disabled if suffering from a Part A impairment
listed for adults or its equivalent, as long as the disease's
processes have a similar effect on adults and younger persons.
Because vocational considerations are largely beside the point in
dealing with children -- a fact that the Secretary submits Congress
recognized in referring only to medical considerations in
subsection (a)(3)(A)'s definition of what would disable a child --
the regulations do not provide for further consideration of the
child in light of such factors. Instead, a child not suffering from
a Part A impairment is evaluated under an additional listing of
impairments in Part B of Appendix 1 to subpart P, any of which, or
its equivalent, will be deemed sufficient to disable a child. The
preamble to Part B, published in 1977, 42 Fed.Reg. 14705, stated
that, in
Page 493 U. S. 544
identifying medical criteria that would establish disability for
a child, the Secretary had placed primary emphasis on the effects
of physical and mental impairments in children, and the
restrictions on growth, learning, and development imposed on the
child by the impairments. The impairments that were determined to
affect the child's development to the same extent that the adult
criteria have on an adult's ability to engage in substantial
gainful activity were deemed to be of "comparable severity" to the
disabling adult impairments.
I do not find this approach to be an impermissible
implementation of the rather ambiguous congressional directives
with respect to children. Surely it cannot be said that the
regulations, insofar as they use the Part A and Part B listings,
singly or in combination, to identify disability in children, are
inconsistent with the statute and void on their face. And as I
understand it, no one claims that they are. What is submitted is,
first, that the listings do not identify all of the specific
medical impairments that should be considered disabling, and
second, that each child not deemed disabled under Parts A and B
must be evaluated in terms of both his or her medical impairments
and nonmedical factors, as are adults.
These alleged deficiencies are said to be sufficient to
invalidate the regulations on their face. But surely these claims,
if true, only would demonstrate that the regulations do not go far
enough. Furthermore, the claims purport to be supported by
descriptions of various unlisted impairments and anecdotal
evidence, none of which, it seems to me, has been adjudged by a
court to be sufficient to demonstrate that the Part B impairments,
or their equivalents, fail to identify impairments that will have
comparably severe effects on a child's development as the disabling
impairments for an adult will have on an adult's ability to engage
in substantial gainful employment. If there are medically
determinable diseases or impairments that should be considered
disabling because of comparable severity to those affecting adults,
the children
Page 493 U. S. 545
suffering from them should claim disability, make their case
before the Secretary, and take the case to court if their claims
are rejected. [
Footnote 2/1] As for
the more general attack on the regulation -- that they do not
provide for individualized evaluation based on nonmedical factors
-- the Secretary contends that it is a reasonable construction of
Section 3-A to confine disabling criteria to medical factors where
children are concerned. In any event, rather than declaring the
regulations wholly or partly void on their face, the Court would be
better advised to insist on children making out their claims in
individual cases; only then can a court confidently say that the
medically identifiable impairment, though neither a listed
impairment nor its equivalent, is nevertheless of "comparable
severity" and hence disabling when considered with nonmedical
factors.
I thus largely agree with District Judge Fullam's view of this
case:
"Plaintiff's argument may well be valid, in many cases; but
errors in applying the regulations in some cases do not demonstrate
invalidity of the regulations themselves. Part B of the Secretary's
listings of impairments, 20 CFR § 416.925, is not facially
invalid or incomplete,
Page 493 U. S. 546
seems to provide the necessary flexibility, and, in my view,
permits the award of benefits in conformity with the intent of
Congress. If these criteria are being misapplied or misinterpreted,
the remedy lies in the appeal process in individual cases, not in a
class-action decree."
Zebley v. Heckler, 642 F.
Supp. 220,
222 (ED
Pa.1986).
The difference, furthermore, between the Secretary's regulatory
approach toward adults and his approach toward children accords
with the different purposes underlying the disability programs for
the two groups. Congress provided disability benefits for adults in
order to ensure "the basic means of replacing earnings that have
been lost as a result of . . . disability" for those who "are not
able to support themselves through work. . . ." H.R.Rep. No.
92-231, pp. 146-147 (1971), U.S.Code Cong. & Admin.News 1972,
pp. 4989, 5132, 5133. For this reason, insofar as adults are
concerned, the Act defines disabilities in terms of the effect that
the disabilities have on the claimant's ability to function in the
workplace. In light of this purpose, it is appropriate for the
Secretary to evaluate adults not only in terms of the severity of
their impairment but also in terms of their residual functional
capacity to perform work.
By contrast, Congress had a different set of considerations in
mind when it provided for children's benefits. Recognizing that
disabled children from low-income households are "among the most
disadvantaged of all Americans," Congress provided special
disability benefits for these persons "because their needs are
often greater than those of nondisabled children." H.R. Rep. No.
92-231,
supra at 147-148. U.S. Code Cong. & Admin.News
1972, p. 5134.
In other words, Congress' aim in providing benefits to these
individuals was not to replace lost income, but rather to provide
for their special health care expenses, such as the home health
care costs arising out of the child's medical disability. It is
consistent with this quite distinct purpose to focus consideration
on the severity of the child's impairment from a medical
perspective alone, without individualized consideration
Page 493 U. S. 547
of vocational or similar factors or the claimant's residual
functional capacity. The nature and severity of a child's
impairment, rather than the child's ability to contribute to his
family's income, will necessarily determine the child's entitlement
to benefits. [
Footnote 2/2]
I also note that the majority faults the regulations on the
grounds that they do not adequately provide for considering
multiple impairments together.
Ante at
493 U. S. 534.
As 42 U.S.C. § 1382c(a)(3)(F) (1982 ed., Supp. IV) requires,
however, the regulations expressly provide that impairments in
combination may add up to qualify for benefits. 20 CFR §
416.923 (1989). The Court of Appeals recognized that the
Secretary's regulations faithfully implement the statutory
mandate
"by providing generally that the combined effect of all of a
claimant's impairments will be considered throughout the disability
determination process."
Zebley v. Bowen, 855 F.2d 67, 76 (CA3 1988). There is
no cross-petition challenging this aspect of the judgment below,
and the Court should therefore not expand the relief obtained in
the Court of Appeals.
In sum, because I cannot conclude that the Secretary's method
for evaluating child disability claims is an impermissible
Page 493 U. S. 548
construction of the Act, I dissent. The Social Security
Administration processes over 100,000 child disability claims a
year. The agency has a finite amount of funds with which to work.
By requiring the Secretary to conduct unspecified individualized
determinations in cases where an applicant fails to satisfy the
agency that he is otherwise disabled, the majority imposes costs on
the agency that surely will detract from the pool of benefits
available to the unfortunate children that Congress has sought to
protect through the Supplemental Security Income Program.
[
Footnote 2/1]
The majority suggests that the agency has conceded that its
listing approach is not intended to satisfy the statutory standard
of "comparable severity" because the Secretary only designed the
lists to compensate claimants who suffer from disabilities that
prevent any gainful activity, rather than claimants who suffer from
disabilities that prevent any substantial gainful activity. It is
difficult, however, particularly in light of the agency's
interpretation of its own regulations, to extract from them an
admission on the agency's part that it has failed to fulfill its
statutory responsibilities. The regulations specifically state both
that
"[t]he law defines disability as the inability to do any
substantial gainful activity by reason of any medically
determinable physical or mental impairment . . ."
and that
"[i]f you are under age 18, we will consider you disabled if you
are suffering from any medically determinable physical or mental
impairment which compares in severity to an impairment that would
make an adult (a person over 18) disabled."
20 CFR §§ 416.905, 416.906 ( 1989).
[
Footnote 2/2]
Congress' acquiescence in the Secretary's regulatory technique
for assessing child disability applications supports the position
that the Secretary's approach is reasonable. In 1976, Congress
directed the Secretary to publish his criteria for evaluating
disability payments for children. Unemployment Compensation
Amendments of 1976, § 501(b), 90 Stat. 2685. Despite the
majority's contention to the contrary, the history of this
legislation indicates that Congress understood and, at least
implicitly, condoned the Secretary's methodology for evaluating
child disability claims. The Senate Report states:
"The regulations which have been issued with regard to
disability for children state that, if a child's impairments are
not those listed, eligibility may still be met if the
impairments"
"singly or in combination . . . are determined by the Social
Security Administration, with appropriate consideration of the
particular effect of the disease processes in childhood, to be
medically the equivalent of a listed impairment."
S.Rep. No. 94-1265, p. 24 (1976), U.S.Code Cong. & Admin.
News 1976, pp. 5997, 6018.