The Effect of Jandrt
on Satellite Litigation
Jandrt's probable effects
on trial counsel
The supreme court's decision to uphold a frivolous litigation
sanction in Jandrt v. Jerome Foods Inc. will alter the
nature of satellite litigation under sections 802.05 and 814.025
and may very well change the overall practice methods of all
civil litigators in Wisconsin. The Advisory Committee Notes to
Federal Rules of Civil Procedure 11 refer to litigation over
the imposition of sanctions under Rule 11 as litigation that
is "satellite" to the main litigation from which it
was derived.
by Janine P. Geske & William
C. Gleisner III
ccording to Chief Justice
Abrahamson in her dissent to the Supreme Court's Denial of the
Motion to Reconsider its decision in Jandrt
v. Jerome Foods Inc., 1
"[t]he court's opinion will have a significant effect on
the practice of law in this state for both plaintiffs' and defendants'
counsel and on the people of the state of Wisconsin seeking redress
of wrongs or defending themselves in court."2
In Jandrt, the Wisconsin Supreme Court substantially
upheld the trial court's imposition of a $716,081 sanction against
a Milwaukee law firm. In essence, the supreme court concluded
that while a lawsuit commenced on May 10, 1995, was not frivolous,
it became frivolous just 43 days later. The basis for why the
suit became frivolous, and the supreme court's discussion of
Wisconsin sanction law in connection with its finding of frivolousness,
should be of serious concern to all Wisconsin litigators.
At
a minimum, the Jandrt decision will almost certainly alter
and increase the nature of "satellite"3
litigation in Wisconsin under sections 802.05
and 814.025
of the Wisconsin Statutes. At its worst, this decision may very
well change the overall practice methods of all civil litigators
in Wisconsin, regardless of whether they represent plaintiffs
or defendants, and may harm clients and the trial bar, and unacceptably
increase the business of the courts.
The Jandrt decision reflects, in part, some of the
deficiencies of our existing sanction rules, as those rules are
set forth in sections 802.05
and 814.025.
As demonstrated in this article, the adoption of the current
standards under Rule 11 of the Federal Rules of Civil Procedure
(FRCP) could ameliorate many of the adverse consequences of Jandrt
without diminishing the manifest necessity of regulating and
discouraging frivolous litigation.
The Majority Decision
In Jandrt, upon certification from the Wisconsin Court
of Appeals, a majority of the Wisconsin Supreme Court reversed
the trial court's decision that the Milwaukee law firm of Previant,
Goldberg, Uelmen, Gratz, Miller & Brueggeman (Previant) had
commenced a frivolous action against Jerome Foods.4
However, the supreme court's majority upheld the trial
court's determination that Previant's continued prosecution of
that action became frivolous.5
While it remanded the action to the trial court for a recalculation
of the sanction amount that should be imposed against Previant,
the court's majority did not directly criticize the trial court's
imposition of a $716,081 sanction against Previant.6
The sanction represented a portion of the fees and costs incurred
by Jerome Foods Inc. (JFI) in defending the Previant action.
Jandrt involved an alleged toxic tort. Previant commenced
an action against JFI alleging that several children had been
born with birth defects due to the leaking of certain chemicals
into the atmosphere of the JFI plant.7
The action was styled a class action and had two main claims:
a claim for common law negligence and a claim for a violation
of Wisconsin's Safe Place law under section
101.11 (2) of the Wisconsin Statutes.8
Both the majority and dissent in Jandrt considered the
chronology of events before and after the filing of the action
to be significant.
Relevant Chronology. The relevant chronology according
to the majority's decision follows.
- In November 1994 Previant received a referral from a trusted
referring attorney, who had made a preliminary investigation
that had disclosed to him that between 12 and 15 women had indicated
problem pregnancies while working at JFI. Referring counsel had
done a medical literature search for evidence of a possible relationship
between carbon dioxide or ammonia and birth defects. The referring
attorney also had a statement from one of his clients stating
that her doctor had told her that JFI was probably responsible
for her child having a birth defect.9
- In February 1995 the mothers of the children with birth defects
first retained Previant.10
- In February 1995 Previant had an associate and a law librarian
conduct a medical literature search. Previant also consulted
with a toxic tort consultant MD, who told Previant that "in
order to obtain an expert opinion on causation it [will] be necessary
to commence an action and obtain
discovery."11
- On March 1, 1995, Senate Bill 11 was passed by the Wisconsin
Legislature, significantly altering the law on joint and several
liability.12
- In April 1995 Previant was advised by numerous sources, including
its malpractice carrier, that suit should be filed in order to
protect the rights of clients such as the plaintiffs in Jandrt.13
- On or about May 10, 1995, Previant commenced suit sooner
than it otherwise would have because of its concerns relative
to Senate Bill 11.14
- On May 17, 1995, Senate Bill 11 became
law.15
- In May and again on June 21, 1995, Previant formally requested
documents from JFI, which request JFI resisted on the grounds
that it would only produce documents under an order of confidentiality.16
- On July 8, 1995, JFI learned from its expert that there was
no way in which the plaintiffs could prove a causal relationship
between the chemicals at JFI and the birth defects.17
JFI nevertheless retained one local and one national law firm,
several experts on negligence and causation, a public relations
firm, and a private investigation firm.18
- On July 13, 1995, JFI answered the Previant complaint, without
making any mention of its belief that causation could not be
proved. In fact, JFI did not in any way affirmatively raise the
possible frivolousness of the Previant claim in its answer.19
- On Dec. 7, 1995, after extensive negotiations, an order of
confidentiality was entered.20
- On Jan. 31, 1996 and Feb. 1, 1996, Previant first had an
opportunity to review more than 200,000 documents produced by
JFI.21
- Previant consulted with two experts; one of those experts
consulted with an out-of-state expert, who advised Previant that
cause could not be proved (none of the experts saw the documents
produced by JFI).22
- On Feb. 28, 1996, Previant voluntarily dismissed its action,
and only then was put on notice by JFI of its intention to seek
sanctions under sections 802.05
and 814.025.23
The majority's decision is divided roughly into two parts.
The first part analyzes whether Previant frivolously commenced
an action under section
802.05. The second part analyzes whether Previant frivolously
continued the action under section
814.025.
Was the action frivolously commenced under section 802.05?
The majority stated that it would turn to federal case law interpreting
Rule 11 in order to determine whether the trial court had correctly
concluded that the action had been frivolously commenced.24 However, the majority relied
upon federal authorities from prior to a fundamental and critical
1993 amendment to Rule 11. Citing a 1993 case, the majority stated
that the circuit court is to apply an objective standard of conduct
for litigants and attorneys.25
Citing federal decisions from 1983, 1987, and 1989, the majority
then stated that decisions under Rule 11 are not to be made using
the wisdom of hindsight.26
The majority then states that the single allegation in the
Previant complaint upon which JFI based its claim that the action
against it had been frivolously commenced was Paragraph 28, which
contained an allegation of cause "on information and belief."27 The majority focused on Previant's
failure to deal with the issue of causation under its common
law negligence claim, while dismissing Previant's point made
that the alternate claim for relief under Wisconsin's Safe Place
law required no proof of causation.28
It appears clear that negligence or safe place law constituted
completely alternate causes of action in every sense and either
theory could have allowed for a recovery against JFI for the
alleged harm done to the plaintiffs.29
Then citing federal authorities from 1985, 1986, 1987, 1992,
and 1993, the majority concluded that Previant had no right to
rely upon what the referring attorney or the client said about
the claim.30
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