Wisconsin Lawyer
Vol. 79, No. 2, February
2006
Court of Appeals Digest
This column summarizes selected published opinions of the Wisconsin
Court of Appeals. Prof. Daniel D. Blinka and Prof. Thomas J. Hammer
invite comments and questions about the digests. They can be reached at
the Marquette University Law School, 1103 W. Wisconsin Ave., Milwaukee,
WI 53233, (414) 288-7090.
by Prof. Daniel D. Blinka & Prof. Thomas J. Hammer
Administrative Law
Judicial Review - Issue Preclusion
Kimberly Area Sch.
Dist. v. LIRC, 2005 WI App 262 (filed 15 Nov. 2005) (ordered
published 21 Dec. 2005)
A school district employee was terminated for using drugs and
misrepresenting his prior record. The employee filed a grievance
challenging the termination and also filed a fair employment
discrimination complaint against the district with the Department of
Workforce Development. An arbitrator ruled against the employee and in
favor of the school district. The school district then asked the
administrative law judge (ALJ) to dismiss the discrimination complaint
based on issue preclusion.
"According to the ALJ, issue preclusion could be applied, in part,
because the arbitrator's decision was subject to judicial review under
Wis. Stat. § 788.10(1). Further, the ALJ determined that even if
the decision was not subject to judicial review, it still would be
equitable to assign preclusive effect to the arbitrator's findings. The
ALJ concluded that the District's termination of [the employee] was
based on its investigation into his conduct and not his arrest record"
(¶ 6).
On review, the Labor and Industry Commission (LIRC) set aside the
ALJ's determination and remanded the case for a hearing. The school
district then challenged LIRC's decision in the circuit court. The
circuit court agreed with LIRC that "the decision was not subject to
judicial review under § 227.52 because it did not affect the
substantial interests of the District (¶ 8)."
The court of appeals, in an opinion authored by Chief Judge Cane,
affirmed. "An agency decision that denies a motion to dismiss and
requires a hearing on the merits is not an administrative decision
within the meaning of the statute because at this point the party
seeking review does not have substantial interests that have been
adversely affected. Whether the agency has jurisdiction to proceed to a
hearing may be challenged upon judicial review of the agency's final
decision" (¶ 11). "Here, the Commission's decision is not final
and, therefore, it is not subject to judicial review. The Commission
made no decision that conclusively determined the further legal rights
of the District. The Commission remanded the matter for further review
on the merits, and as the circuit court correctly recognizes, the
District `may ultimately prevail, and this opportunity for success on
the merits supports the conclusion that the [Commission's] decision is
interlocutory and not final.' The substantial rights of the District
remain undetermined and will remain so until the administrative process
has been completed in its entirety" (¶ 13).
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Contracts
Breach of Contract Action Against the State - Sovereign
Immunity - Wis. Stat. Section 775.01
Koshick v.
State, 2005 WI App 232 (filed 8 Sept. 2005) (ordered published
28 Oct. 2005)
Koshick sued the state of Wisconsin for breaching a contract to lease
the Wisconsin State Fair Park to him for an event called the Milwaukee
Metal Fest. He sought damages for lost profits and for expenses.
The state, relying on the doctrine of sovereign immunity, moved to
dismiss the complaint. The state argued that it has consented to suit
under the limited circumstances described in Wis. Stat. section 775.01,
which provides in part that "[u]pon the refusal of the legislature to
allow a claim against the state the claimant may commence an
action against the state..." (emphasis added). According to the state,
the meaning of "claim" in the statute does not encompass the types of
claims for which the plaintiff sought relief. The plaintiff argued that
"claim" includes a claim for breach of contract seeking money damages
and thus includes his breach of contract claim, in which he sought
compensation for expenses he incurred in anticipation of holding the
festival at the State Fair Park and for lost profits based on his
anticipated share of revenues from the sale of food, beverages,
merchandise, and tickets. The circuit court agreed with the state and
dismissed the complaint. In a decision authored by Judge Vergeront, the
court of appeals affirmed.
Sovereign immunity derives from article IV, section 27 of the
Wisconsin Constitution, which provides: "The legislature shall direct by
law in what manner and in what courts suits may be brought against the
state." The state waives its sovereign immunity and consents to suit
only as expressly directed by the legislature. The question before the
court was whether section 775.01 expresses a legislative intent that the
state may be sued for the breach of contract claim brought by the
plaintiff.
The court of appeals said that section 775.01 and its equivalent
predecessors have been a part of Wisconsin statutory law since 1850, and
their provisions have been interpreted in several decisions. An 1881
opinion construed a predecessor to section 775.01 in the following
manner: "It is manifest from the language of the section, and from the
whole chapter of which the section is a part, that the statute relates
only to actions upon those ordinary claims against the state which, if
valid, render the state a debtor to the claimant; and not to an
equitable action ..." (¶ 8, quoting Chicago, Milwaukee &
St. Paul Ry. Co. v. State, 53 Wis. 509, 10 N.W. 560 (1881)). In
Trempealeau County v. State, 260 Wis. 602, 51 N.W.2d 499
(1952), the court gave more definition to the term "debtor" as the term
is used to limit the types of claims authorized by the statute. The
court turned to the definition of "debt" in Corpus Juris
Secundum, according to which a "debt" is that for which an action
for debt or indebitatus assumpsit will lie; and includes a sum
of money due upon a contract, implied in law (see ¶
9).
"26 C.J.S. explains that [a] `debt,' for which an action of debt will
lie, is `a specific sum of money which is due or owing from one to
another.' 26 C.J.S. Debt § 1 (2001). An essential element
of the action is that it is for a fixed and definite sum of money, or
one that can readily be made fixed and definite, either from fixed data
or agreement, or by mathematical computation or operation of law. Thus,
an action of debt does not lie to recover unliquidated or unascertained
damages. Further, the action cannot be maintained where the sum must be
ascertained by resorting to extraneous evidence. However, an action for
debt can be maintained for the reasonable value of goods and materials
where goods are sold and delivered ... or where the terms of a contract
furnish the means of ascertaining the exact amount due for specific
articles or services. 26 C.J.S. Debt § 4 (2001)" (¶
11).
Applying these principles, the court of appeals concluded that "[the
plaintiff's] breach of contract claim is plainly not an action on a
debt. He is not seeking an amount due for goods or services that he has
sold or delivered to the State; he is not, as was the plaintiff in
Trempealeau, seeking money that the State has received that he
asserts he is entitled to. The lost profits and the incurred expenses he
seeks to recover are not liquidated; they cannot be readily determined
from the terms of the alleged contract or from fixed data or
mathematical computation" (¶ 12). Accordingly, the court held that
the plaintiff's breach of contract claim seeking damages for lost
profits and expenses is not a "claim" within the meaning of section
775.01.
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Criminal Law
"Great Bodily Harm" - Hearsay
State v.
Ellington, 2005 WI App 243 (filed 25 Oct. 2005) (ordered
published 30 Nov. 2005)
Ellington was convicted by a jury of causing great bodily harm. The
court of appeals, in an opinion written by Judge Fine, affirmed the
conviction. First, the court of appeals held that the trial judge
properly instructed the jury that "great bodily harm" meant "serious
bodily injury." On appeal the defendant had "argue[d] that this was
error because without telling the jury the context of the phrase `other
serious bodily injury,' the jury was free ... to find him guilty for
acts that did not meet the great-bodily-injury threshold; in essence, he
seeks to have the phrase `other serious bodily injury' limited by the
preceding list [in the statutory definition], using a tool of statutory
construction known as ejusdem generis" (¶ 6). The argument
failed, however, because it rested on the erroneous "contention that the
legislature intended the phrase `other serious bodily injury' to assume
the coloration of the list of specific injuries that precede it. But
that was not the legislature's intent" (¶ 7). The court
rested its holding primarily on a 1978 decision that largely left the
phrase "serious bodily injury" to the jury's construction.
Second, the defendant's rights were not violated when the trial court
permitted a detective to read excerpts of medical records that were
already in evidence (see ¶ 12). Because the certified
medical records had been received into evidence without objection, the
lawyers were free to read them. "[The defendant] does not explain why
any witness could not also read pertinent excerpts to the jury.
Generally, the lawyer is the best reader in the courtroom, but there is
no rule or doctrine that prevents the lawyer from asking a witness to
read to the jury material that is in evidence" (¶ 13).
Third, although trial counsel's "relevancy" objection did not
preserve his confrontation objection, the court elected to analyze the
alleged error in the context of ineffective assistance of counsel. The
medical records were not testimonial hearsay within the meaning of
Crawford v. Washington, 541 U.S. 36 (2004) (see the digests
below of Hemphill and Savanh), but the defendant
argued that their reading violated the rule announced in State
v. Rundle, 166 Wis. 2d 715, 480 N.W.2d 518 (Ct. App.
1992). The court concluded, however, that the detective read only what
was "clinical and nondiagnostic," a phrase that included the victim's
descriptions of her injuries. In sum, trial counsel was not
constitutionally ineffective (see ¶¶ 15-17).
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Criminal Procedure
Hearsay - Confrontation
State v.
Hemphill, 2005 WI App 248 (filed 7 Sept. 2005) (ordered
published 30 Nov. 2005)
Police were dispatched to an address to check out "trouble" and a
possible "subject with gun." When they arrived, police saw a woman,
C.F., who pointed at two people who were walking away and said, in
effect, "That's them." The two people got into a car and drove off.
Police later pulled them over and seized a sawed-off shotgun from the
car. Hemphill was then arrested and charged with being a felon in
possession of a firearm. C.F. did not testify at the trial, but police
officers testified about her brief statement. Hemphill was
convicted.
The court of appeals, in an opinion written by Judge Wedemeyer,
affirmed the defendant's conviction. The court rejected the claim that
C.F.'s statement constituted "testimonial" hearsay that should have been
excluded under Crawford v. Washington, 541 U.S. 36 (2004),
because C.F. did not appear and was never subject to cross-examination.
The statement was "spontaneous" and unsolicited by police; thus, it fell
outside the sphere of "testimonial" hearsay that the Confrontation
Clause protects against and that is now subject to Crawford's
strictures. Yet because even nontestimonial hearsay is subject to the
pre-Crawford test set forth in Ohio v. Roberts, 448
U.S. 56 (1980), the court also determined that C.F.'s statement fell
within "firmly rooted" hearsay exceptions for present sense impressions
or excited utterances, and therefore that the Roberts'
"reliability" requirement was satisfied (see ¶¶
8-15).
Hearsay - Confrontation
State v.
Savanh, 2005 WI App 245 (filed 5 Oct. 2005) (ordered published
30 Nov. 2005)
Savanh was charged with drug-related offenses. During the jury trial,
an informant testified about statements made by the defendant's
accomplice, who did not testify. The defendant was convicted. He
appealed on the ground that the admission of this hearsay violated his
confrontation right.
The court of appeals, in an opinion written by Judge Nettesheim,
affirmed. The court of appeals applied the analysis set forth in
State v. Manuel, 2005 WI 75. First, the court determined that
the testimony was admissible under the rules of evidence; specifically
the hearsay fell within the exception for statements by coconspirators
(see ¶ 15). Second, the court considered whether the
hearsay was "testimonial," as that term was construed in Manuel
and in Crawford v. Washington. The Sixth Amendment
confrontation right, as construed in Crawford, restricts the
prosecution's use of testimonial hearsay regardless of the rules of
evidence, although the scope of "testimonial" hearsay remains unstable
in the law. Manuel provided three varying formulations of
testimonial hearsay as divined from Crawford. The court of
appeals held that the hearsay that was attributed to the defendant's
accomplice in this case fit within none of the three formulations
largely because the accomplice was unaware of the informant's status as
a government agent. In short, law enforcement "pressure" played no role
in "producing" the hearsay (¶ 28).
Although the hearsay was not testimonial within the reach of the
Crawford rule, Manuel nonetheless mandates that such
nontestimonial hearsay is still subject to the older rule set forth in
Ohio v. Roberts, 448 U.S. 56 (1980). Applying the
Roberts approach, the accomplice was plainly unavailable and
the hearsay fell within a firmly rooted, reliable hearsay exception
(¶ 31).
Withdrawal of Plea - Misinformation About Maximum
Sentence
State v.
Harden, 2005 WI App 252 (filed 4 Oct. 2005) (ordered published
30 Nov. 2005)
The defendant was convicted of delivering cocaine and THC after he
entered no contest pleas to the charges. The plea questionnaire, the
court's plea colloquy, and apparently the pleadings all misinformed the
defendant that he was subject to 19.5 years of imprisonment, when the
correct potential prison time was 16 years. The court imposed
consecutive sentences totaling three years of initial confinement and
four years of extended supervision.
The defendant subsequently moved to withdraw his pleas. At the
postconviction hearing, he testified that he would not have accepted the
plea agreement if he had known the correct maximum prison exposure was
three and one-half years less than he was told. The circuit court found
this testimony incredible as a matter of law and denied the motion.
In a decision authored by Judge Peterson, the court of appeals
reversed. For a no contest plea to be valid, it must be knowingly,
voluntarily, and intelligently entered. A plea is not knowingly or
voluntarily entered when the defendant enters the plea without knowledge
of the penalties the court could impose. The appellate court concluded
that in this case the defendant's pleas were not knowingly and
voluntarily entered, because the state presented no evidence that the
defendant knew the actual penalties that could be imposed for his
crimes. The court of appeals further concluded that the defendant was
not required to establish that the misinformation affected his plea
decisions (see ¶¶ 1, 5-6). Accordingly, the court of
appeals reversed the judgment and remanded the matter to the circuit
court with directions to grant the defendant's motion to withdraw his
pleas.
Sentencing - Aggravating Factors
State v.
Montroy, 2005 WI App 230 (filed 30 Aug. 2005) (ordered
published 28 Oct. 2005)
The defendant pleaded guilty to charges of burglary and possession of
cocaine with the intent to deliver. He then appealed from the judgments
of conviction and an order denying his postconviction motion for
sentence modification. Among the issues on appeal was the defendant's
claim that the circuit court erred in considering at sentencing
aggravating factors that were not proven beyond a reasonable doubt.
Specifically, the defendant contended that "the court's use of the
Wisconsin Sentencing Guidelines Worksheet in calculating his sentence
and consideration of facts not found by the jury, such as the type of
dwelling burglarized and whether children were present, violate the
rules articulated in Blakely v. Washington, 542 U.S. 296, 124
S. Ct. 2531 (2004), and United States v. Booker, 125 S. Ct. 738
(2005)" (¶ 20).
In a decision authored by Judge Peterson, the court of appeals
affirmed. Said the court, "Blakely invalidated Washington's
sentencing scheme that allowed courts to increase a sentence beyond the
standard range if they found `substantial and compelling reasons' to do
so. The Blakely Court applied the rule that, `other than the
fact of a prior conviction, any fact that increases the penalty for a
crime beyond the prescribed statutory maximum must be submitted to a
jury, and proved beyond a reasonable doubt.' The Court held that the
`statutory maximum' is `the maximum sentence a judge may impose solely
on the basis of the facts reflected in the jury verdict or admitted by
the defendant.' Because the sentencing court increased Blakely's
sentence beyond the statutory maximum based on its own factual findings,
the sentence violated Blakely's Sixth Amendment rights. The
Blakely holding was applied to the federal mandatory sentencing
guidelines in Booker. In Booker, the Court concluded
that because the guidelines were mandatory and increased sentences based
on additional facts found by a preponderance of the evidence, those
guidelines were unconstitutional" (¶¶ 21-22) (citations
omitted).
The defendant contended that the reasoning of Blakely and
Booker is applicable to his case and supports his conclusion
that his Sixth Amendment rights were violated. However, the court said,
"Blakely and Booker are implicated only when a
sentencing court considers a `fact that increases the penalty for a
crime beyond the prescribed statutory maximum.' Here the court
considered facts not found by the jury when considering the length of
[the defendant's sentence] within the statutory limits, not to
increase those limits" (¶ 23) (citations omitted).
The defendant also argued that the distinction between the mandatory
guidelines rejected in Booker and Wisconsin's advisory
guidelines is irrelevant because "the end result ... is exactly the
same." Rejecting this argument, the court of appeals turned to the
following language of Booker: "If the [federal] Guidelines as
currently written could be read as merely provisions that recommended,
rather than required, the selection of particular sentences in response
to differing sets of facts, their use would not implicate the Sixth
Amendment. We have never doubted the authority of a judge to exercise
broad discretion in imposing a sentence within a statutory range"
(¶ 24) (citations omitted).
Search and Seizure - Terry Frisks - Shaking
Waistband of Defendant's Pants
State v.
Triplett, 2005 WI App 255 (filed 9 Nov. 2005) (ordered
published 21 Dec. 2005)
Police officers discovered cocaine during a Terry frisk of
the defendant for weapons. The search occurred while the police were
present in a residence to investigate complaints about drug dealing. The
cocaine fell out of the defendant's pants leg when one of the officers
gripped his belt loops and shook the waistband of his pants.
Under Terry v. Ohio, 392 U.S. 1 (1968), an officer may frisk
an individual if the officer reasonably believes that the person may
have a weapon. In this case the defendant did not argue that the
officers lacked reasonable suspicion to conduct the frisk. Rather, he
contended that shaking the waistband of his pants went beyond the scope
of a permissible Terry frisk.
The officer who conducted the frisk said that he found it difficult
to "get a good feel for that area" [the defendant's waist] because of
the defendant's large frame and the amount of clothing he was wearing.
The defendant was wearing a winter coat that hung slightly below the
waist, and his stomach hung slightly over the waistband. The officer
said that he thought he could conduct a better patdown if he first
loosened any weapons that might be hidden in the waistband, and so he
tugged on the defendant's belt loops and gave the waistband a few
shakes. A clear plastic bag containing cocaine then dropped from the
bottom of the defendant's right pants leg (see ¶ 5).
In a decision authored by Judge Brown, the court of appeals concluded
that the officer's manipulation of the defendant's waistband was a
minimally intrusive exploration of his outer clothing and that it was
designed to discover whether the defendant had a weapon. "The prevailing
rule seems to be that an officer is entitled not just to a patdown but
to an effective patdown in which he or she can reasonably
ascertain whether the subject of the patdown has a weapon; where an
effective patdown is not possible, the officer may take other action
reasonably necessary to discover a weapon" (¶ 12).
Applying these principles the court held that "the officer limited
his degree of interference with [the defendant's] person to what was
reasonably necessary under the circumstances. The officer could not tell
whether [the defendant] had any objects hidden in his waistband because
of [the defendant's] bulky frame and heavy clothing. In other words, the
officer could not get an effective pat-down. In concluding that his
alternative to the patdown was reasonable, we make two observations.
First, the officer testified that he shook [the defendant's] waistband
by his belt loops in order to loosen any possible weapons, so as to make
the patdown effective. The fact that he acted with the intent to
facilitate a traditional patdown supports that he only sought to
discover any possible weapons. Second, we note that shaking a waistband
by tugging on a belt loop confines the alternative method of looking for
weapons to manipulating the outer clothing. Thus, although it may not
qualify as a patdown, it is highly similar. Indeed, one might argue that
it intruded less upon the sanctity of [the defendant's] person
than a traditional patdown" (¶ 14).
Deferred Prosecution Agreements - No Contest Plea as
Component of Agreement
State v.
Daley, 2005 WI App 260 (filed 22 Nov. 2005) (ordered published
21 Dec. 2005)
The defendant was charged with recklessly endangering safety and
disorderly conduct. Negotiations with the state led to a deferred
prosecution agreement according to which the defendant would plead no
contest to the two charges, the case would be suspended, and entry of
the judgment of conviction would be stayed. If the defendant complied
with the agreement, the state would move to dismiss the charges. The
circuit court approved the agreement, accepted the defendant's pleas,
and then suspended proceedings according to the agreement.
After the defendant allegedly engaged in further criminal activity,
the state petitioned for termination of the deferred prosecution
agreement. At a hearing the court found that the defendant had violated
the agreement. The court revoked the agreement and found the defendant
guilty of the two crimes to which he had pleaded no contest. After
denying defense motions to vacate the no contest plea and finding of
guilt, the court proceeded to sentencing. It withheld sentence and
placed the defendant on probation.
One of the defendant's arguments on appeal was that the deferred
prosecution agreement that resulted in his convictions was statutorily
infirm and that the convictions that followed its revocation cannot be
maintained. He implied that requiring a plea as part of the agreement is
not permitted because it is not specifically authorized by Wis. Stat.
section 971.37, which governs these agreements. In a decision authored
by Judge Hoover, the court of appeals disagreed. Said the court, "the
legislature plainly contemplated that parties would negotiate
appropriate conditions in a deferred prosecution agreement commensurate
with the individual facts of each case. While § 971.37(1m)(b)
specifies certain components that shall be in a deferred
prosecution agreement, there is no indication these are to be the sole
components" (¶ 9).
Responding to the defendant's argument that it is bad policy to allow
the state to require a plea as part of a deferred prosecution agreement,
the court characterized such policy as "actually quite efficient"
(¶ 13). "Requiring a plea allows the State to avoid trial but still
allows the defendant to avoid the conviction if he or she complies with
the agreement. In that sense, it provides an even greater benefit to a
defendant than a traditional plea agreement, provided the defendant
fulfills the agreement's terms" (id.).
Truth-in-Sentencing - Reconfinement Proceedings Following
Revocation of Extended Supervision
State v.
Jones, 2005 WI App 259 (filed 2 Nov. 2005) (ordered published
21 Dec. 2005)
The defendant appealed from an order for reconfinement that was made
after the extended supervision component of his bifurcated sentence was
revoked. He argued that the circuit court failed to provide a sufficient
rationale for the reconfinement sentence, and that the court was
required to review the original sentencing transcript and presentence
investigation report before ruling on reconfinement.
The reconfinement hearing was held before a different judge than the
one who originally sentenced the defendant. At the reconfinement hearing
defense counsel and the defendant presented statements to the court
concerning the defendant's achievements since his original sentencing.
The court referenced the original offense and sentence, the time
available for reconfinement, and the recommendation of the Department of
Corrections (reconfinement for seven months and six days). The court
also specifically referenced the defendant's numerous extended
supervision violations. It ultimately concluded, "It just seems that the
defendant is unwilling to be supervised in the community. And
unfortunately what that reflects is that if he's going to rehabilitate
himself, it's going to have to be done in a structured confined
setting." The court ordered the defendant reconfined for a period of two
years (see ¶ 4).
In a decision authored by Judge Snyder, the court of appeals
affirmed. It concluded that the circuit court exercised its discretion
based on facts that are of record or that are reasonably inferable from
the record and imposed a reconfinement sentence that is founded on
proper legal standards. In a footnote the court of appeals encouraged
sentencing courts imposing reconfinement sentences to make complete
records of the underlying facts, the sentencing objectives, and how the
sentences imposed fulfill those objectives (see ¶ 15
n.5).
The defendant also contended that the circuit court failed to review
the original sentencing transcript and presentence investigation report
prior to ordering reconfinement and thereby violated State v.
Reynolds, 2002 WI App 15, 249 Wis. 2d 798, 643 N.W.2d 165. The
Reynolds court held that when the "record does not reflect the
sentencing judge's awareness of the information in the presentence
investigation report, and of the factors the trial judge found
significant in ... the withholding of sentence, resentencing is
appropriate." Reynolds, 2002 WI App 15, ¶2. "We conclude
that Reynolds is not applicable here because of a significant
and meaningful difference in the procedural background. In
Reynolds, the circuit court withheld sentence and placed
Reynolds on probation; a different judge imposed sentence for the
first time after revocation of Reynolds's probation. We conclude
that Reynolds is not sufficiently analogous to the case at hand
and reject [the defendant's] arguments to the contrary" (¶ 13)
(citation omitted).
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Employment Law
Whistleblower Statute - Personnel Commission - Loss of
Jurisdiction When Federal Lawsuit Filed
Albrechtsen v.
Wisconsin Dep't of Workforce Dev., 2005 WI App 241 (filed 13
Oct. 2005) (ordered published 30 Nov. 2005)
This case involved Wisconsin's whistleblower statutes. "Wisconsin
Stat. ch. 230 provides protections for state employees who engage in
`whistleblowing,' which is the disclosure of `information gained by the
employee which the employee reasonably believes demonstrates ... [a]
violation of any state or federal law, rule or regulation ... [or]
[m]ismanagement or abuse of authority in state or local government, a
substantial waste of public funds or a danger to public health and
safety.' Wis. Stat. § 230.80(5); see § 230.81(1).
Specifically, a state employing unit may not `initiate or administer, or
threaten to initiate or administer, any retaliatory action against an
employee' who `lawfully disclosed information ... or filed a complaint'
alleging a violation of the whistleblower statutes" (¶ 2).
The plaintiff, a University of Wisconsin employee, commenced an
action in federal court alleging a violation of Wis. Stat. section
230.83(1) (prohibiting retaliation for whistleblowing). The Wisconsin
Personnel Commission concluded that it thereby lost jurisdiction over
the plaintiff's earlier complaint to the commission alleging the same
violation. The circuit court affirmed the commission's decision, and the
plaintiff appealed. [Editors' Note: When the plaintiff filed
his complaint and the commission dismissed it, Wis. Stat. section 230.85
(2001-02) provided that complaints of violations of the whistleblower
statutes were to be filed with the commission. After the commission
issued the decision under review in this litigation, the commission's
responsibilities under section 230.85 were transferred to the Equal
Rights Division in the Department of Workforce Development. See
¶ 1 n.1.]
In a decision authored by Judge Deininger, the court of appeals
affirmed. On the jurisdiction issue, one of several issues raised on
this appeal, the court turned to section 230.88(2)(c), which provides in
part that upon an employee's commencement of an action in a court of
record alleging matters prohibited under section 230.83(1), the
commission "has no jurisdiction to process a complaint filed under s.
230.85 except to dismiss the complaint ..." (emphasis added). The court
of appeals agreed with the argument of the commission and the university
that "the plain meaning of the statutory language emphasized above
can lead to no other conclusion but that the Commission lost its subject
matter jurisdiction over [the plaintiff's] whistleblower complaint once
he filed an action in the federal district court that included
allegations of state whistleblower violations" (¶ 10).
[Editors' Note: The federal lawsuit ended up being dismissed
without prejudice after the state challenged the court's jurisdiction
and the plaintiff filed a motion to dismiss.]
Judge Vergeront filed a dissenting opinion.
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Family Law
Adoption - Effect of Adoption on Child Support
Arrearage
Hernandez v.
Allen, 2005 WI App 247 (filed 12 Oct. 2005) (ordered published
30 Nov. 2005)
"The issue raised in this case is one of first impression in
Wisconsin: whether an order for adoption extinguishes the former
parent's support arrearage" (¶ 1). The respondent owed past-due
child support; he had been ordered to pay child support at the time he
and his wife divorced. He argued that the arrearage was extinguished
when the child was adopted by her stepfather following a voluntary
termination of the respondent's parental rights. The respondent relied
on Wis. Stat. section 48.92(2), which provides that "[a]fter the order
of adoption is entered the relationship of parent and child between the
adopted person and the adopted person's birth parents ... shall be
completely altered and all the rights, duties and other legal
consequences of the relationship shall cease to exist."
In a decision authored by Judge Nettesheim, the court of appeals
rejected the respondent's position. The court held that, "when read as
part of a cohesive whole, Wis. Stat. § 48.92(2) does not relieve a
birth parent of the obligation to pay child support arrearages for which
he or she became liable before such parent's parental rights were
terminated. The statute contemplates a point in time at which, from then
on, the legal status of the adoptive parent(s), birth parent(s) and
adopted child are completely altered. It does not offer relief for a
child support obligation incurred prior to the termination of the
obligor parent's parental rights" (¶ 27).
Divorce - Pension Benefits
Dahm v. City of
Milwaukee, 2005 WI App 258 (filed 22 Nov. 2005) (ordered
published 21 Dec. 2005)
Dahm (the husband) married his first wife in 1978, and they were
divorced in 2001. The husband married again in 2002. He died in 2003.
The second wife brought this declaratory judgment action seeking a
declaration that she alone was entitled to the husband's pension
benefits. The former wife argued that as the husband's "first wife" and
the designated beneficiary of his pension benefits, she was entitled to
the pension. The circuit court ruled that the second wife was entitled
to the benefits.
The court of appeals, in an opinion written by Judge Fine, affirmed.
"As material here, §§ 854.15(3)(a) and (5)(f) provide that `a
divorce ... [r]evokes any revocable disposition of property made by the
decedent to the former spouse,' unless `[t]here is a finding of the
decedent's contrary intent. Extrinsic evidence may be used to construe
that intent.' Thus, § 854.15(3)(a) creates a presumption that a
divorce severs the former spouse's interest in a `disposition of
property made by the decedent to the former spouse' if, under the
instrument, the disposition was `revocable' by the decedent when he or
she was alive" (¶ 5).
Without dispute, the second wife established the basic facts of the
presumption, and so the former wife acquired the burden of proving the
nonexistence of the presumed fact. Namely, the former wife had to prove
that the husband had not revoked the former wife's designation
as beneficiary, and she failed to carry her burden. The court carefully
reviewed the record presented and found the former wife's proof
insufficient to overcome the presumed fact.
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Insurance
Duty to Defend - Educational Employment
Employers Mut. Cas. Co.
v. Horace Mann Ins. Co., 2005 WI App 237 (filed 25 Aug. 2005)
(ordered published 30 Nov. 2005)
The court of appeals, in an opinion written by Judge Dykman, affirmed
the circuit court's holding that Horace Mann Insurance Co. had no duty
to defend or indemnify a county in two civil cases involving teacher
misconduct. The court of appeals held that the teacher's conduct -
alleged sexual battery - did not fall within the insurer's policy
coverage for damages incurred in the course of the insured's educational
employment activities.
"Here, the provision is not ambiguous because `educational employment
activities' is defined within the policy and the definition excludes the
alleged misconduct for which [the teacher] was sued. ... In applying the
policy to [the teacher's] alleged conduct, we conclude that [the
teacher's] alleged conduct did not constitute `activities ... performed
pursuant to the express or implied terms of his ... employment,' the
contract's definition of `educational employment activities'" (¶
9). Although "student interactions" fall within the broad terms of a
teacher's employment, "[g]roping and bruising cannot be said to be
within the terms of [the teacher's] employment, even though the conduct
may involve student interaction" (¶ 10).
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Motor Vehicle Law
OWI - "Driving with a Detectable Amount of a Restricted
Controlled Substance"
State v. Smet,
2005 WI App 263 (filed 9 Nov. 2005) (ordered published 21 Dec. 2005)
The defendant appealed from a judgment of conviction for operating a
motor vehicle with "a detectable amount of a restricted controlled
substance" in his blood, contrary to Wis. Stat. section 346.63(1)(am)
(2003-04). On appeal he challenged the constitutionality of this
statute. He contended that it exceeds the scope of the legislature's
police power and thereby violates the constitutional guarantees of due
process, fundamental fairness, and equal protection.
With regard to due process and fundamental fairness, the defendant
argued that Wis. Stat. section 346.63(1)(am), which requires only proof
of "a detectable amount" of a banned substance and not proof of
impairment, represents an unconstitutional overstep by the legislature
in the exercise of its police power. In an opinion authored by Judge
Nettesheim, the court of appeals disagreed. The court held that the
police power is the inherent power of the government to promote the
general welfare and covers all matters having a reasonable relation to
the protection of the public safety, health, and general welfare. When
the exercise of the police power is challenged on due process grounds,
the test is whether the means chosen have a reasonable and rational
relationship to the purpose or object of the enactment. If they do, and
the object is a real and proper one, the exercise of the police power is
valid (see ¶ 7).
The court of appeals concluded that "[the defendant] has not
shouldered his heavy burden of demonstrating unconstitutionality beyond
a reasonable doubt. Indisputably, regulating the safety of our roadways
is a proper exercise of the police power. We hold that the per se ban on
driving or operating a motor vehicle with a detectable amount of a
restricted controlled substance in one's blood, as set out in Wis. Stat.
§ 346.63(1)(am), bears a reasonable and rational relationship to
that goal and is not fundamentally unfair, such that we see no due
process violation. We also hold that the statute does not offend
principles of equal protection since [the defendant] has not established
that the statute either interferes with a fundamental right or operates
to the peculiar disadvantage of a suspect class. His constitutional
challenges to § 346.63(1)(am) fail" (¶ 30).
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Property Law
Condemnation - Leases
Wisconsin Mall Props.
LLC v. Younkers Inc., 2005 WI App 261 (filed 1 Nov. 2005)
(ordered published 21 Dec. 2005)
The city unsuccessfully attempted to negotiate terms of a "friendly
condemnation" before it commenced a condemnation proceeding under Wis.
Stat. section 32.05. In what the court of appeals described as a "novel"
and "unique" approach, the city condemned not only the property but also
the mall's lease to Younker's department store (Saks). "Generally, when
a leased property is condemned the lease will terminate in the absence
of an agreement to the contrary. However, we are unable to identify, and
the parties fail to provide, a case citation in any jurisdiction
involving the condemnation of property and also the lessor's rights
under a lease" (¶ 6). Here the mall argued that "the condemnation
of the lease does not preclude it from seeking breach of contract
damages in circuit court, particularly because it began its suit for
breach of contract prior to the condemnation. [The mall] contends that
Saks breached the le ase by colluding with the City in the condemnation
and by failing to pay the Mall the amount Saks owed under the lease"
(¶ 7).
The court of appeals, in an opinion written by Chief Judge Cane,
affirmed the circuit court's dismissal of the mall's breach of contract
claim against Saks. The mall's contentions failed to account for the law
of eminent domain. Once the city replaced the mall as the lessor, the
mall could not purse its breach of contract action, "even an action that
it began prior to the condemnation, under a lease in which it no longer
has any interest" (¶ 9). The damages sought by the mall in the
breach of contract action were the very damages compensated in the
condemnation award (see ¶¶ 11-12). "Since the Mall
must appeal the award of compensation through the procedures in Wis.
Stat. §§ 32.05(9) or 32.05(11), the condemnation commission or
the circuit court must consider the terms of the lease and Saks' alleged
default when conducting its inquiry into the sufficiency of the award of
compensation. Failing to do so would permit a party, through an invited
or collusive condemnation by a municipality, to avoid its obligations
set forth in a contract" (¶ 13).
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Torts
Recreational Immunity - Volunteer
Rintelman v. Boys &
Girls Clubs of Greater Milwaukee Inc., 2005 WI App 246 (filed
25 Oct. 2005) (ordered published 30 Nov. 2005)
Rintelman volunteered to chaperone an event for children held at a
camp owned by a boys and girls club. She fell and was injured while she
walked from one building to another in order to use the showers and
bathroom. Although the plaintiff contended that her walk was
"utilitarian only" ("to get from here to there") (¶ 4), the circuit
court granted summary judgment to the defendant and dismissed the claim
as barred by the recreational use immunity statute, Wis. Stat. section
895.52.
The court of appeals, in an opinion written by Judge Fine, reversed.
This long, prolix statute has made it difficult for courts to articulate
any meaningful standard for when recreational immunity is appropriate;
rather, courts are forced to consider a wide range of factors. In this
case, the court analyzed seven factors. The plaintiff was "walking," but
she was not walking for "exercise" or "to enjoy the scenery" but rather
only to move from one building to another, an activity that is not
"inextricably connected to an activity that is recreational"
(¶ 13). For summary judgment purposes, there was no evidence that
the plaintiff was at the camp "to participate in [any] recreational
activity" (¶ 13). Indeed, the record was "devoid" of any proof that
the plaintiff had participated in any recreational activities, planned
or unplanned, while serving as a volunteer chaperone (¶ 17).
Several factors did favor immunity, particularly the nature of the
property - a rural camp - and the owner's intent that the camp's
predominant purpose be for recreational activities (see
¶¶ 15-16). On balance, however, the defendants had not carried
their burden on summary judgment of proving the applicability of section
895.52 (see ¶ 18).
Res Ipsa Loquitor - Instructions - Waiver - Ostensible
(State) Agent
Suchomel v. University
of Wis. Hosp. & Clinics, 2005 WI App 234 (filed 20 Oct.
2005) (ordered published 30 Nov. 2005)
A doctor was found liable for medical malpractice arising from back
surgery that he performed on Suchomel. On appeal the doctor's prime
contention was that the trial judge's res ipsa loquitur jury instruction
was erroneous because the "instrumentality" that caused Suchomel's
injuries was not in his exclusive control. He also alleged that the
judge erred by amending the pleadings after the verdict and awarding
damages to Suchomel's husband.
The court of appeals, in an opinion written by Judge Higginbotham,
affirmed. It held that the doctor waived any objection to error in
giving of the instruction by failing to object in motions after verdict.
The doctor contended, apparently without dispute, that he had objected
to the instruction during the jury instruction conference, as required
by Wis. Stat. section 805.13(3), but he conceded that he had not renewed
the objection by a motion after verdict. The court of appeals said that
case law establishes that "a party waives all claims of error not raised
in motions after verdict although a timely objection was made at trial.
We see no reason why this rule should not apply to an asserted jury
instruction error" (¶ 11).
Nor did the trial court err when it amended the pleadings after the
jury verdict. The original complaint contained a claim for past and
future medical expenses for Suchomel. After the trial, her husband filed
a motion adding a claim for past and future medical expenses and costs.
The trial judge ruled that the defendants had an opportunity to
challenge the husband's claim for his wife's medical expenses and did
not suffer prejudice by the amendment (see ¶ 15). The
issue had been tried by the "implicit consent of all parties" (¶
16). Moreover, defense counsel conceded that his presentation of the
case would not have been affected in any way (see ¶
17).
In their cross-appeal, the plaintiffs argued that error occurred when
the trial court, relying on Wis. Stat. section 233.17(2), precluded
their claim that the doctor acted as an ostensible agent of the UW
Hospital. "The plain language of Wis. Stat. § 233.17(2)(b) prevents
a faculty member from being deemed an agent of UW Hospital, either
ostensibly or in fact. ... [B]ased on the unambiguous language of this
statute, if Resnick is either a faculty member or academic staff of the
University of Wisconsin System and was acting within the scope of his
employment when he negligently performed surgery on [Suchomel], then he
was not acting as `an agent of the authority,' ostensibly or otherwise"
(¶ 26). The statute's very purpose was to "avoid liability" for the
UW Hospital and it encompasses "all forms of agency" (¶ 29).
Public Nuisance - Safe Place
Holt v.
Hegwood, 2005 WI App 257 (filed 4 Oct. 2005) (ordered published
21 Dec. 2005)
Holt was allegedly injured and his car damaged when a tree branch
fell during a windy day. The incident occurred in an apartment driveway
where Holt and his cousin were washing a car. Holt sued the apartment
building's owner (Hegwood) and the owners of the adjacent property, on
which the tree stood. The circuit court dismissed Holt's public nuisance
and safe-place statute claims.
The court of appeals, in an opinion written by Judge Kessler,
affirmed. First, the public nuisance claim was properly dismissed. The
circuit court properly refused to take judicial notice that a specific
city ordinance regulating trees and shrubs created a private cause of
action. Nothing in the ordinance suggested that the city council
intended to create a private cause of action in addition to the fines
assessed for violations. Nor was there evidence to prove that the
ordinance itself had been violated in this case. "Holt has presented no
evidence that the alleged neglect of a single tree had any effect on the
use of a public place or on the entire community's activities. In the
absence of this evidence, the trial court properly granted summary
judgment in the defendants' favor on the public nuisance issue" (¶
18).
Second, the safe place claim was also properly dismissed. "The
statute applies to employers, to owners of places of employment and to
owners of public buildings. It does not create liability for purely
private property not owned by an employer, on which no employment
occurs, and which is not open to the public" (¶ 19). There was no
evidence that Hegwood was an employer or that the building was a "place
of employment." Nor was there evidence that it was even a "public
building." "There is nothing in the record that indicates three or more
tenants occupy the building, or that it is a place to which the public
generally has access. In short, the existing record establishes nothing
more than that a tree, located on private property, lost a limb that
also landed on private property. That, as the trial court correctly
concluded, is insufficient to permit a jury to consider whether there
was a violation of the safe place statute" (¶ 22).
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Trusts
Charitable Trusts - Amendment of Administrative
Provisions
League of Women Voters
v. Madison Cmty. Found., 2005 WI App 239 (filed 13 Oct. 2005)
(ordered published 30 Nov. 2005)
The circuit court approved a petition by a foundation to amend an
administrative provision of its charitable trust instrument pursuant to
the trust's grant of power to its board of governors to make such
amendments. The court determined that Wis. Stat. section 701.10(2)(b),
which utilizes a more demanding standard than that called for in the
trust instrument, did not apply to the foundation's request.
Trust instruments have two types of provisions, dispositive and
administrative. Dispositive provisions may name beneficiaries, determine
the amount or size of the financial benefits the beneficiaries will
receive, and state the purpose of the trust. Administrative provisions
govern how the trust is managed to accomplish its purpose (see
¶ 6).
This case involved the proposed amendment of the administrative
provisions of a charitable trust. Section 701.10(2)(b) authorizes courts
to modify administrative provisions of charitable trust instruments
under certain circumstances: "If any administrative provision of a
charitable trust or part of a plan set forth by the settlor to achieve
the settlor's charitable purpose is or becomes impractical, unlawful,
inconvenient or undesirable, and a modification of such provision or
plan will enable the trustee to achieve more effectively the basic
charitable purpose, the court may by appropriate order modify the
provision or plan."
The appellant argued that this statute applies to the proposed trust
amendment in this case because the statute applies to all
amendments to administrative provisions of charitable trust instruments.
In a decision authored by Judge Lundsten, the court of appeals
disagreed. Said the court, "[n]othing in the text of Wis. Stat. §
701.10(2)(b) suggests that it overrides the provisions of a trust.
Simply put, if a trust instrument provides a specified procedure for
altering administrative provisions of the trust, there is no reason to
suppose the legislature intended that § 701.10(2)(b) be used to
override such a procedure" (¶ 7).
Judge Dykman filed a dissenting opinion.
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Worker's Compensation
Injury Caused by Occupational Disease - Absence of
Identifiable Traumatic Injury-causing Event
Wisconsin Ins. Sec.
Fund v. Labor & Indus. Review Comm'n, 2005 WI App 242
(filed 20 Oct. 2005) (ordered published 30 Nov. 2005)
The employee began working for a cheese factory in 1985. His job
involved manually cutting and stacking cheese blocks that weighed about
35 pounds apiece. In 2000 he was diagnosed with a herniated disk and
degenerative disk disease. He now suffers a 15 percent permanent partial
disability as a result of these back problems.
In this worker's compensation proceeding, the Labor and Industry
Review Commission (LIRC) concluded that the employee suffered a
compensable occupational disease injury as a result of repetitive
strenuous job activity over an extended period of time. The circuit
court and the court of appeals agreed.
"Worker's compensation cases involve two types of compensable
injuries: those caused by accidents, and those caused by occupational
diseases. An accidental injury is one that 'results from a definite
mishap; a fortuitous event, unexpected and unforeseen by the injured
person.' An occupational disease injury is an injury that is 'acquired
as the result and an incident of working in an industry over an extended
period of time'" (¶ 10) (citations omitted). This case involved an
occupational disease injury and the parties disputed whether a back
injury caused by job activity, but not caused by one or more
identifiable traumatic events, is a compensable occupational disease
injury within the meaning of Wis. Stat. section 102.03(1)(e).
In a decision authored by Judge Lundsten, the court of appeals
concluded that "a compensable occupational disease injury may occur when
an injury is caused by job activity over a period of time, regardless
whether there are identifiable traumatic injury-causing events" (¶
16). The court of appeals thus affirmed LIRC and the circuit court on
this issue. (The court of appeals reversed LIRC and the circuit court on
a reimbursement issue not discussed here.)
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Wisconsin
Lawyer