Vol. 71, No. 6, June 1998
Supreme Court Digest
By Prof. Daniel D. Blinka & Prof. Thomas J. Hammer
| Attorneys | Civil Procedure | Criminal Law |
| Motor Vehicle Law | Worker's Compensation |
Attorneys
Attorney Fees - Contingent Fee Agreements
Gorton v. Hostak, Henzl & Bichler S.C., No. 96-2776 (filed 6 May 1998)
The plaintiffs were former clients who sued the law firm that
successfully represented them in a damages action. According to
the fee agreement, the defendant law firm was entitled to "40
percent of the gross amount of any recovery 'obtained after a
lawsuit which involves an appeal.'" In the underlying case, a
jury assessed actual damages at $129,000 and awarded punitive
damages of $50,000. On post-verdict motion, the court awarded
an additional $307,000 in reasonable attorney fees based on the
jury's finding that misrepresentations had been made concerning
the sale of an agricultural product under section 100.18 of the
Wisconsin Statutes. The court of appeals upheld the judgment and
awarded the plaintiffs additional reasonable attorney fees based
on the appellate litigation. Eventually, the original tortfeasor
tendered a check to the defendant law firm for more than $1 million
in damages, costs, and attorney fees. In this lawsuit the plaintiffs
(the former clients) allege that under terms of the contingent
fee agreement they are entitled to a 60 percent share in the entire
amount. The defendant law firm argued that the fee agreement did
not reach the award of attorney fees. The circuit court ruled
in favor of the plaintiffs.
The supreme court considered three issues that were certified
from the court of appeals. "First, when an attorney and a plaintiff
are parties to a contingent fee agreement, does a statutory award
of reasonable attorney fees pursuant to Wis. Stat. sec. 100.18
belong to 'the person suffering the pecuniary loss' or to the
representative attorney? Second, do principles of equity apply
to a Wis. Stat. sec. 806.04(8) award of appellate counsel fees
when the client suing a trial attorney has already been made more
than whole for damages sought in the circuit court proceedings?
Finally [the court also considered] whether multiple partners
in a lawsuit on behalf of a partnership may each collect $100
attorney fees as statutory items of cost under Wis. Stat. secs.
814.01(1) and 814.04(1)(a)." The supreme court, in an opinion
written by Justice Bradley, affirmed in part and reversed in part.
As to the first issue, the court held that under section 100.18
the attorney fees are awarded to the "person suffering pecuniary
loss," that is, the party, not the "representative attorney."
Fee agreements, such as the one in this case, "can control the
ultimate disposition of statutory fee awards." In this case the
fee agreement gave the law firm 40 percent of the "gross amount
recovered" following an appeal. The court held that "the burden
is on the attorney who possesses legal knowledge and who drafts
the agreement to state clearly the terms of the fee agreement
and to address specifically the allocation of court-awarded attorney
fees." Nor had there been a "mutual mistake" by the law firm and
the former clients. The law firm's failure to specify otherwise
meant that the plaintiffs were entitled to 60 percent of the reasonable
attorney fees awarded under section 100.18.
Second, the court upheld the trial judge's refusal to grant the
plaintiffs actual attorney fees against the defendant law firm
in this declaratory judgment action. Wisconsin adheres to the
American Rule, which embraces only "limited and narrow exceptions."
The supreme court declined "to adopt the rule proposed by the
plaintiffs that in every instance of a suit between a fiduciary
and a beneficiary the prevailing beneficiary is entitled to attorney
fees under Wis. Stat. sec. 806.04(8)."
Finally, sections 814.01(1) and 814.04(1)(a) did not permit each
of the four named plaintiffs to collect $100 in attorney fees
as items of cost. Rather, the statutes contemplated only a single
award of $100.
Civil Procedure
Statute of Limitations - "Foreign Causes" - Contract Actions
Abraham v. General Casualty Co., No. 95-2918 (filed 17 April 1998)
Paul Abraham had underinsured motorist (UIM) insurance issued
by General Casualty, which had its principal place of business
in Wisconsin. In 1988 Abraham was struck and injured by an underinsured
motorist in Florida. In late 1990 General Casualty refused to
pay UIM benefits to Abraham. In 1994 Abraham filed a declaratory
judgment action against the insurer seeking the UIM coverage.
The circuit court granted the insurer's motion to dismiss based
on the Florida statute of limitations. The court agreed that Abraham's
lawsuit was a "foreign cause of action" within the meaning of
section 893.07(1) of the Wisconsin Statutes. Moreover, the action
was governed by Florida's five year statute of limitations because
that state had the most significant contacts with the parties.
On certification from the court of appeals, the supreme court,
in an opinion written by Justice Wilcox, reversed. First, the
court held that Wisconsin's borrowing statute, section 893.07,
applies to contract actions as well as personal injury claims.
The court reaffirmed prior case law holding that in tort actions
the "place of injury" determines the applicable statute of limitations.
The place of injury was not, however, appropriate for contract
actions because it did little to further the interest of certainty.
Following federal case law, the supreme court held that "a claim
sounding in contract is a 'foreign cause of action' when the final
significant event giving rise to a suable claim occurs outside
the state of Wisconsin." In this case, Wisconsin's statute of
limitations controlled because the alleged contractual breach
consisted of General Casualty's denial of the UIM benefits requested
by Abraham.
Justice Bradley concurred but emphasized the need for clearer
standards for cases less clear than this one.
Default Judgments - Punitive Damages - Evidentiary Basis
Apex Electronics Corp. v. Gee, No. 97-0353-FT (filed 30 April 1998)
The plaintiff sued the defendant for breach of contract and conversion.
After the defendant failed to file an answer, the court entered
a default judgment for $356,000 plus costs. The amount included
$100,000 in punitive damages. The judge later denied a motion
to set aside the judgment based on excusable neglect and a meritorious
defense. The court of appeals affirmed but refused to address
any error involving punitive damages because the defendant had
failed to challenge the award at the trial court level.
The supreme court, in an opinion written by Chief Justice Abrahamson,
reversed. Initially, the court exercised its discretion to reach
the punitive damages issue despite the defendant's failure to
challenge the award in the motion to vacate the default judgment.
The defense argued that the trial judge erred by granting punitive
damages based solely on the complaint. The supreme court observed
that the punitive damages were based on the tort of conversion.
And despite the clear proscription of section 802.02(1m)(a) of
the Wisconsin Statutes, the plaintiff stated a dollar amount ($100,000)
in the complaint. Thus, the trial judge erred as a matter of law
in awarding punitive damages on the amount of money specified
in the complaint. Moreover, section 806.02 "makes clear that when
a complaint seeks unliquidated damages on a tort claim, a circuit
court must first determine whether proof of any fact is necessary
for the court to give judgment. Wisconsin courts have declared
that when determining damages for personal injury or other unliquidated
damages, a circuit court will require additional proof beyond
the complaint." Proof can take the form of affidavits or a hearing;
the form is within the court's discretion. No such proof was presented
in this case; therefore, reversible error occurred in granting
such damages.
Default Judgments - Excusable Neglect - Valid Defense
J.L. Phillips & Assoc. v. E & H Plastic Corp., No. 96-3151 (filed 24 April 1998)
A circuit court granted a default judgment against the defendant.
On a motion to vacate, the judge agreed that the defense had demonstrated
"excusable neglect or some good faith." Nevertheless, the judge
ruled that the defense must also show not just a valid defense,
but that it had a "good chance of success on the merits."
On certification from the court of appeals, the supreme court
reversed. Writing for the court, Justice Wilcox first concluded
that "a party moving to vacate a default judgment pursuant to
sec. 806.07(1) (a) must: (1) demonstrate that the judgment against
him or her was obtained as a result of mistake, inadvertence,
surprise or excusable neglect; and (2) demonstrate that he or
she has a meritorious defense to the action." In addressing what
constituted an adequate demonstration of a meritorious defense,
the supreme court did "not deem it necessary or even equitable
to require a party who has met its burden under that standard
to establish a defense which is somehow more 'complete' or thorough
that a timely filed answer would need to be." Rather a "meritorious
defense is a defense good at law that requires no more and no
less than that which is needed to survive a motion for judgment
on the pleadings." In this case, judgment on the pleadings was
inappropriate because the answer raised issues of fact.
Criminal Law
Double Jeopardy - Multiple Homicide Convictions for the Same Death
- Multiple Endangering Safety Convictions Arising Out of a Single
Driving Episode
State v. Lechner, No. 96-2830-CR (filed 30 April 1998)
The defendant was driving his vehicle at 60-65 MPH through a no-passing
zone with a speed limit of 45 MPH. Within the course of driving
along a one-half mile stretch of highway at that speed, he negotiated
two separate passing maneuvers that caused both drivers to brake
to avoid a collision. On his third passing maneuver, he collided
head-on with a vehicle, killing a passenger in that vehicle and
seriously injuring the driver and one other occupant.
Though initially charged with 10 separate violations of state
law, the defendant pled no contest to a reduced number of charges,
including one count of second-degree reckless homicide, one count
of homicide by intoxicated use of a vehicle, and two counts of
second-degree recklessly endangering the safety of another.
One issue on appeal was whether the defendant's right to be free
from double jeopardy was violated when he was convicted and sentenced
on two counts of homicide for the death of but one person. In
a unanimous decision authored by Justice Steinmetz, the court
concluded that the multiple convictions were proper and did not
violate double jeopardy. The crime of reckless homicide and homicide
by intoxicated use of a vehicle each requires proof of a fact
for conviction which the other does not, and the court was unable
to identify any intention by the Legislature to preclude a conviction
on both charges even though only one victim was involved. The
court further concluded that the defendant's reliance on Wis.
Stat. section 939.66(2) was of no avail. This statute prohibits
convictions on both a more serious and a less serious type of
criminal homicide. In this instance each of the homicide offenses
were "equally serious" in that each carries the same maximum penalty
of 10 years in prison.
Among the other issues on appeal was whether the two convictions
for recklessly endangering safety violated the defendant's right
to be free from double jeopardy. These two counts involved the
two separate passing maneuvers described above that allegedly
endangered the safety of two different drivers. The court concluded
that the defendant's conduct supported the two convictions. He
committed at least two distinct acts of reckless conduct, putting
at risk the life of a different person with each act. Each time
he drove his vehicle across the center line of the highway, passed
a different vehicle, and abruptly reentered the traffic lane,
he created a separate, unreasonable, and substantial risk of harm
to a different human being, that is, the driver of the vehicle
he had just passed and cut off on the highway.
The court indicated that it was significant in this case that
the defendant did more than pass a continuous line of cars in
a single passing maneuver, putting each successive driver at risk
as he passed him or her. "Each of the defendant's decisions to
pass each successive vehicle was not the result of an original
impulse to pass the first vehicle, but rather was a fresh impulse.
Each of the defendant's acts of reckless conduct had come to an
end before a separate act began. Each time he pulled his vehicle
out and passed a different vehicle, the defendant commenced a
separate, conscious decision to act. Each time the defendant exited
and reentered the traffic lane, he completed a separate, distinct
act of criminally reckless conduct." Based on the facts described
above, the court concluded that there was a sufficient break in
the defendant's conduct to constitute at least two separate and
distinct criminal acts of reckless endangerment.
Motor Vehicle Law
Breath Testing Instruments - Intoxilyzer 5000 Series 6600 - Presumption
of Accuracy and Reliability
State v. Busch, No. 96-2822 (filed 30 April 1998)
The defendant was arrested for operating a motor vehicle while
under the influence of an intoxicant and he agreed to submit to
a chemical test of his breath. The chemical test was conducted
using Intoxilyzer Model 5000 Series 6600. The test results indicated
a prohibited alcohol concentration.
The defendant filed a motion to suppress the chemical test results,
asserting that the Intoxylizer Model 5000 Series 6600 had not
been evaluated and approved for use in accordance with the Statutes
and Administrative Code. The Series 6600 is a modified version
of the Series 6400 machine. The defendant argued that although
the Series 6400 had previously been evaluated and approved according
to law, the Series 6600 had not. The circuit court denied the
motion to suppress; the court of appeals reversed; and the supreme
court, in an opinion authored by Justice Crooks, unanimously reversed
the court of appeals.
The supreme court concluded that under Wis. Admin. Code section
Trans 311.04(1), the chief of the chemical test section of the
Department of Transportation (DOT) is charged with approving all
instruments used for the quantitative analysis of alcohol in the
breath. It also held that under section Trans 311.04(2) the chief
of the chemical test section must evaluate all models of breath
testing instruments, but is given the authority to determine the
procedures for the evaluation of such instruments.
In the present case, the circuit court received detailed testimony
from the DOT that the Series 6600 had not been separately evaluated
prior to approval because the modifications did not alter the
analytical functioning of the Series 6600, and that the Series
6400 had been previously evaluated. Based upon this testimony,
the supreme court concluded that the circuit court did not erroneously
exercise its discretion in finding that the Series 6400 and the
Series 6600 were essentially the "same machine" due to their identical
analytical processing.
Accordingly, the defendant's blood alcohol test results obtained
by using the Series 6600 are afforded a presumption of accuracy
and reliability, because a machine identical in analytical functioning
(the Series 6400) has already been tested, evaluated, and approved
for use in Wisconsin.
Worker's Compensation
Worker's Pain and Suffering - Actions by the Insurer
Threshermens Mutual Ins. Co. v. Page, No. 95-2942 (filed 5 May 1998)
Dorothy Gross was injured when she fell in her employer's parking
lot. Her worker's compensation carrier (the insurer) sued various
third party defendants for Gross's injuries. Gross declined to
actively participate in the suit and was later joined as an involuntary
plaintiff under section 102.29 of the Wisconsin Statutes. The
judge later precluded the insurer from offering any evidence of
Gross's pain and suffering. The court of appeals reversed and
the defendants appealed.
The supreme court, in an opinion written by Justice Geske, affirmed.
First, the court rejected the defendant's arguments that the insurer
could not claim Gross's pain and suffering because a worker's
compensation carrier has no legal liability for such damages.
Allowing the carrier to recover for the worker's pain and suffering
fully comported with the policy underlying the Worker's Compensation
Act. An injured worker's physical pain "has always been a factor
in calculating the rating level of disability, upon which impairment
of earning capacity is established." Nor did it matter whether
Gross cooperated or participated in the suit against the third
party. The Act permits the insurer to maintain such actions on
its own behalf.
Finally, the court determined that permitting such recoveries
did not contravene the statute of limitations, which had since
lapsed as to Gross's own claims during the appeal process. In
essence, the defendants argued that Gross could no longer assert
her own claim for pain and suffering, yet under section 102.29(1)
she was entitled to share in the proceeds that her insurer might
recover; hence, the insurer's claim must also be deemed "extinguished."
The argument failed because the statutory distribution formula
necessarily restricts the insurer's reimbursement to the amount
actually paid to the employee: "The ability to assert a claim
for the injured employee's pain and suffering only means that
the insurer may come closer to receiving a full reimbursement
for the amount it paid."
Justice Bradley dissented on the ground that the majority's opinion
"changes the terms" of the historic compromise between employers
and employees embodied in the Worker's Compensation Act.
This column summarizes all decisions of the Wisconsin Supreme
Court. 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.
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