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Vol. 74, No. 12, December 2001
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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
Civil
Procedure
Sanctions - Failure to Settle
Gray v. Eggert, 2001
WI App 246 (filed 5 Sept. 2001) (ordered published 31 Oct. 2001)
Gray sued the defendant bus company for injuries she sustained when
she was hit by a bus. Lost wages and medical expenses were estimated at
less than $2,000, yet the bus company refused to pay them because it alleged
that Gray was negligent. The trial court ordered both parties to mediate
the dispute. At mediation, the bus company made a "zero" offer, which
it later increased to $100 at a pretrial conference. Exasperated, the
circuit court judge found that the bus company had not acted in "good
faith," contrary to the scheduling order, and entered judgment in favor
of the plaintiff for $5,000 as a sanction.
The court of appeals, in an opinion written by Judge Schudson, reversed.
Clearly the trial court has the discretionary authority to sanction violations
of its orders. Wis. Stat. § 805.03. Moreover, Wis. Stat. section 802.12
authorizes the court, as part of its scheduling order, to compel attempts
to mediate and settle. Nonetheless, not all cases will settle and parties
cannot be compelled to abandon tenable defenses or claims. No factual
basis existed for determining whether either party mediated in "good faith"
and the record disclosed that the judge misunderstood the nature of mediation.
In short, the trial judge violated the "restraint" recognized in case
law that permits judges to "suggest" settlement parameters but forbids
them from becoming "too persistent" or forcing a resolution (¶16).
Finally, a sanction that takes the form of striking pleadings and entering
judgment for the opposing party is justified only by "egregious" misconduct.
Contracts
Employment Contracts - Damages for Breach - Consequential Damages
Kramer v. Board of Educ. of
the School Dist. of the Menomonie Area, 2001 WI App 244 (filed
25 Sept. 2001) (ordered published 31 Oct. 2001)
The plaintiff had an employment contract with the School District of
the Menomonie Area for a two-year term beginning July 1, 1997, and ending
June 30, 1999. Before the end of the contract period, his position was
eliminated and he was terminated. His last day of work was Oct. 17, 1997.
The plaintiff was unemployed from Oct. 17, 1997, until Jan. 5, 1998,
when he secured new employment with the Rhinelander School District. He
remained in Rhinelander until June 30, 1998, and since July 1, 1998, has
worked for the Eau Claire School District. During the two-year period
covered by the plaintiff's contract with the Menomonie district, he received
more than $137,000 in wages, benefits, and unemployment compensation,
which was $46,000 more than he would have received if he had remained
in Menomonie.
The plaintiff sued the Menomonie district, alleging breach of his employment
contract. He sought damages including lost wages for his period of unemployment
between Oct. 17, 1997, and Jan. 5, 1998, as well as various consequential
damages. Trial was held only on the issue of damages. Before the trial,
the court concluded that because the plaintiff's actual wages during the
two-year contract period exceeded those he would have earned had he remained
with the Menomonie district, he was barred from recovering lost wages
when he was between jobs in late 1997 and early 1998. A jury did award
$16,000 in consequential damages (including lost Army Reserve wages and
other incidental losses and expenses). However, because the jury's $16,000
damage award, when combined with the income the plaintiff would have received
had he continued with the Menomonie district, did not exceed his actual
income during the two-year contract period, on post-trial motions the
court concluded that the plaintiff was not entitled to any damages.
In a decision authored by Chief Judge Cane, the court of appeals affirmed.
With regard to the plaintiff's claim for wages and benefits during his
brief period of unemployment, the court concluded that the plaintiff was
entitled to the salary he would have received during the unexpired term
of the contract plus the expenses of securing other employment, reduced
by the income that he earned during the unexpired term. As indicated above,
the latter exceeded his claim for lost wages and benefits. Therefore,
the trial court correctly concluded that the plaintiff was not entitled
to damages for lost wages and benefits.
The other issue before the court of appeals involved the consequential
damages. The question was whether the consequential and incidental damages
should be reduced by the plaintiff's other income, benefits, and unemployment
compensation during the contract period. The court concluded that those
damages must be reduced to the extent the plaintiff mitigated his damages
by earning other income during the contract period. Because it was undisputed
that the $16,000 damage award, combined with the income the plaintiff
would have received had he continued with the Menomonie district, did
not exceed his actual income during the two-year contract period, the
plaintiff was not entitled to any damages.
Criminal
Law
Escape from Custody - Escape from Probation and Parole Agent
State v. Zimmerman,
2001 WI App 238 (filed 26 Sept. 2001) (ordered published 31 Oct. 2001)
Probation and parole agents of the Wisconsin Department of Corrections
were transporting the defendant to jail after having taken her into custody
for a violation of the terms of her probation or parole. [It was unclear
in this case whether the defendant was on probation or parole when she
was taken into custody. However, for purposes of this appeal, the appellate
court concluded that it is irrelevant whether she was a parolee or probationer
when she escaped because such persons are treated the same under the escape
statute and applicable administrative code provisions.] During the transport,
the defendant informed the agents that she felt ill and, when they stopped
the vehicle to let her out, she fled. The officers eventually located
her at her residence and took her into custody.
The defendant was charged with felony escape contrary to Wis. Stat.
section 946.42. To be guilty of escape, the defendant must have been in
custody. The relevant language of the escape statute defines custody to
include, without limitation, "actual custody of an institution ... or of
a peace officer or institution guard and constructive custody of prisoners
... temporarily outside the institution." Wis. Stat. § 946.42(1)(a). The
statute also contains an exception: "It [custody] does not include the
custody of a probationer [or] parolee ... unless the person is in actual
custody."
Applying these definitions, the court of appeals concluded that the
escape statute unambiguously excludes from the definition of "actual custody"
the physical custody of probation and parole officers. Because the defendant
was in the hands of probation and parole agents when she fled, she was
not chargeable with felony escape.
The language of the escape statute clearly articulates the categories
of custodians whose control over parolees and probationers constitutes
actual custody: an institution, peace officer, or guard. None of these
categories includes probation and parole agents.
Criminal
Procedure
Jury Trial - Convictions on Both Greater and Lesser-included Offenses
State v. Hughes, 2001
WI App 239 (filed 11 Sept. 2001) (ordered published 31 Oct. 2001)
The defendant was charged with possession of cocaine with intent to
deliver within 1,000 feet of a school. At his jury trial, three verdicts
were submitted to the jury: a guilty verdict on the charged offense, a
guilty verdict on the lesser-included offense of simple possession of
cocaine, and a not guilty verdict. The jury was instructed that it was
not to find the defendant guilty of more than one offense.
The jury returned verdicts finding the defendant guilty of both the
charged offense and the lesser-included offense. The trial court polled
the jury and each juror affirmed that the verdicts were the verdicts to
which he or she agreed. The trial court then entered judgment convicting
the defendant of the greater charged offense.
The court of appeals, in a decision authored by Judge Fine, affirmed.
According to the appellate court, whether the defendant is entitled to
either a new trial or entry of a judgment on the verdict finding him guilty
of the lesser-included offense of simple possession of cocaine is an issue
of first impression in Wisconsin. The court noted that this issue has
arisen in other jurisdictions and no court has held that a trial court
violates a defendant's rights by entering a judgment of conviction on
a verdict finding the defendant guilty on the greater charge when the
jury also finds the defendant guilty of the lesser-included offense.
The court found that the jury's unanimous findings that the defendant
possessed cocaine with the intent to deliver it and that he also possessed
that cocaine were not inconsistent. The "guilty" verdict on the lesser-included
offense, which affirmed that the defendant possessed cocaine, was mere
surplusage in that the jury also found that the defendant possessed that
cocaine with the intent to deliver it.
The court also observed that it might have been a better practice for
the trial court in this case to have asked the jury to continue its deliberations
and then return only one of the three verdicts that had been submitted
to it. Nevertheless, the trial court did not deprive the defendant of
any of his rights in proceeding as described above.
Warrantless Search of Dwellings
- Exigent Circumstances to Prevent Destruction of Evidence
State v. Garrett, 2001
WI App 240 (filed 5 Sept. 2001) (ordered published 31 Oct. 2001)
Two individuals were arrested for selling narcotics to an undercover
police officer in the defendant's apartment building. Minutes later a
detective observed the defendant open the front door of his apartment
while holding a baggie of what appeared to be cocaine (the same kind of
narcotic involved in the two arrests described above). The detective approached
the defendant's doorway, but the defendant quickly slammed the door shut.
Moments later, one of the arresting officers reported to the detective
that one of the arrested subjects said that they bought the cocaine from
a person fitting the defendant's description at the defendant's apartment.
A warrantless entry of the defendant's apartment was then made and the
defendant was apprehended. Inside, various weapons were recovered. The
defendant was charged with being a felon in possession of a firearm.
Among the issues on appeal was the lawfulness of the warrantless entry
into the defendant's apartment. In a decision authored by Judge Curley,
the court concluded that the entry was indeed lawful. An exception to
the warrant requirement arises when the state can demonstrate both probable
cause and exigent circumstances that overcome an individual's right to
be free from government interference. In this case, there was no dispute
that probable cause to search existed.
With regard to exigent circumstances, one such circumstance justifying
warrantless entry is a risk that evidence will be destroyed. Based on
the information the officers had received regarding the drug transaction
in the defendant's apartment minutes before, combined with the defendant's
own activities of casually opening his apartment door holding a bag of
cocaine, slamming the door shut after seeing the detective, and then failing
to answer the door, the court concluded that it was reasonable to believe
that the defendant identified the detective as a police officer, which
created a strong incentive for him to destroy evidence. Accordingly, the
court was satisfied that the warrantless entry of the defendant's apartment
was justified by exigent circumstances.
Sentence Modification -
"New Factor" - Erroneous Information Relied Upon by Sentencing Judge
State v. Norton, 2001
WI App 245 (filed 11 Sept. 2001) (ordered published 31 Oct. 2001)
The defendant was convicted of felony theft from a person in connection
with a purse snatching. At the time of this offense, he was serving two
years' probation for a misdemeanor theft conviction. The probation included
a nine-month period of incarceration, which had been stayed.
In the pre-sentence investigation report in the current purse snatching
case, the defendant's probation agent advised the court that the defendant's
probation in the misdemeanor theft case would not be revoked. The trial
court then sentenced the defendant to 42 months in prison, "consecutive
to any other sentence."
Six weeks after sentencing in the felony case, the probation officer
contacted the defendant and suggested that he voluntarily agree to submit
to the revocation of his probation in the misdemeanor case, telling him
that the nine-month stayed sentence could be served concurrently with
the 42-month sentence on the felony. Based on these representations, the
defendant agreed to a voluntary revocation of his probation. However,
because of the trial court's "consecutive to any other sentence" language
in the felony case, the nine-month stayed sentence on the misdemeanor
could not be served concurrently, and the defendant thus faced 51 months
in prison.
The defendant filed a post-conviction motion in the felony case, alleging
that the revocation of his misdemeanor probation and the extension of
his sentence constituted a new factor warranting sentence modification.
The trial court denied the motion.
In a decision authored by Judge Wedemeyer, the court of appeals reversed.
Erroneous or inaccurate information used at sentencing may constitute
a "new factor" warranting resentencing if it was highly relevant to the
imposed sentence and was relied upon by the trial court. Although the
court of appeals agreed with the state that, in general, revocation of
probation in another case does not ordinarily present a new factor, the
specific facts involved in this case require an exception to the general
rule. "It is clear from the sentencing transcript that everyone understood
that [the defendant's] probation [in the misdemeanor case] would not be
revoked at the time of sentencing, or subsequent to sentencing, as a result
of the felony theft" ( ¶10).
The appellate court concluded that the circumstances of this case as
described above do constitute a new factor and that resentencing is required
because the inaccurate information relied on by the trial court frustrated
the purpose of the felony sentence. The court imposed the sentence that
it did with the understanding that the stayed misdemeanor sentence would
not have any impact on the sentence imposed in the felony case. The trial
court did not know at the time of sentencing in the felony case that the
defendant's probation would be revoked. Rather, the court was advised
by the probation agent that probation was not going to be revoked. Thus,
the trial court imposed a sentence in the felony case that was based on
inaccurate information.
The defendant has a right to be sentenced on accurate information. Accordingly,
the court reversed and remanded the felony conviction for resentencing
to permit the trial court an opportunity to review the sentence with the
benefit of the new information, that is, that the defendant must serve
the nine-month sentence on the misdemeanor theft.
Discovery - Confidential
Records
State v. Navarro, 2001
WI App 225 (filed 27 Sept. 2001) (ordered published 31 Oct. 2001)
The defendant, a prison inmate, was charged with battery by a prisoner
for assaulting a corrections officer. The defendant moved the court for
an in camera inspection of the officer's confidential employment records
for evidence that he had abused other inmates. The trial court denied
the motion.
The court of appeals, in an opinion written by Judge Deininger, reversed
on the ground that the judge had "prematurely" denied the request without
giving the defendant an opportunity to establish the records' materiality.
First, nothing in the "Shiffra" line of cases limits the doctrine
to mental health records. Second, such requests cannot be denied simply
because the records are not in the prosecutor's possession (¶9).
Third, the "Shiffra materiality inquiry" is not limited by Wis. Stat.
section 971.23(1).
In this case, the defense alleged it needed the information to establish
a claim of self-defense, a defense that rests in part upon the defendant's
state of mind at the time of the act. Thus, his "fear" of the victim based
on the officer's reputation for past violent acts is relevant. On this
record, the defendant made a showing "sufficient to permit him to make
the requisite showing of materiality at an evidentiary hearing," an issue
distinct from whether the showing was sufficient to compel an in camera
inspection (¶15). The court of appeals further instructed the defendant
to provide more detail about the specific information and records he seeks.
Jurors - Discovery Violations
- Other Act Evidence - Demonstrative Evidence - Sentencing
State v. Gribble, 2001
WI App 227 (filed 27 Sept. 2001) (ordered published 31 Oct. 2001)
The court of appeals, in an opinion written by Judge Vergeront, affirmed
in part and reversed in part the defendant's conviction for first-degree
reckless homicide. The victim was the defendant's 2-year-old child, who
died of severe head injuries that resulted from "shaken-baby" or "shaken-impact"
syndrome. At trial the defendant denied any complicity and blamed the
injuries on the child's mother. On appeal he raised a series of different
issues, including several relating to sentencing that are fact intensive
and therefore will not be discussed in any detail.
First, the defendant alleged that the trial judge erred by questioning
prospective jurors outside his presence, and his attorney's, with respect
to hardships and infirmities relating to their service. The court held
that the defendant did not have a federal or state constitutional right
to be present with counsel when the judge questioned prospective jurors
regarding their service under Wis. Stat. section 756.03. It distinguished
questions about hardships and infirmities from those relating to fundamental
issues, such as fairness and impartiality. Addressing the alleged statutory
violation, the court held that the court's questioning under section 756.03
is not part of the "voir dire" for which the defendant must be present,
as provided by Wis. Stat. section 971.04(1)(c). Put differently, the judge
or clerk acts in an administrative capacity under section 756.03. Questions
about possible bias occur only after potential jurors are sworn: "We conclude
that the procedure described in § 805.08(1) is the 'voir dire of the trial
jury' referred to in sec. 971.04(c)" (¶18).
Second, the trial court acted properly when it excluded testimony by
a defense witness because the defendant failed to provide the witness's
statement as required by Wis. Stat. section 971.23(2m). Specifically,
the defendant named a witness on his witness list but did not disclose
his recorded statement. Section 971.23(2m) "requires that if a witness
is named on a list under para. (a), any relevant written or recorded statements
of that witness must be disclosed" (¶27). Defendants may choose not
to disclose witnesses who may be called in rebuttal or for impeachment,
but once the witness is named on the list provided by para. (a), the recorded
statement must be turned over. Excluding the witness was a proper exercise
of discretion because the defendant's sole reason for not making the disclosure
was his disagreement with the trial court's interpretation of the statute.
Third, the trial court acted within its discretion when it admitted
other act evidence in accordance with the three-step test set forth in
Sullivan. There were four other acts: one was a burn to the victim's armpit
and three involved separate instances of abuse to another child entrusted
to the defendant's care. As for the burn incident, although the defendant
denied any responsibility, there was sufficient evidence in the record
from which a reasonable jury could have found to the contrary. The other
three incidents also were properly admitted, in particular to demonstrate
the defendant's "awareness of the type of conduct that could cause great
bodily harm to an infant" (¶49).
Fourth, the trial court properly permitted a medical doctor to demonstrate
with a doll the force used to cause the victim's injuries. The demonstration
was consistent with the doctor's opinion that death resulted from a severe
impact to the head. Although other experts opined that death resulted
from "shaken-baby syndrome," this consideration affected only the weight
of the in-court demonstration.
Fifth, the defendant challenged the inclusion of the cost of counseling
for the "victim's" mother and his aunt in the $20,000 restitution order.
Concluding that the statutory term "victim" was ambiguous in the context
of this case, the court held that the meaning of "victim" in Wis. Stat.
section 973.20(1r) is most reasonably interpreted using the definition
in Wis. Stat. section 950.02(4)(a). Clearly the child's mother was a "family
member" and thus a "victim" under this provision. The aunt did not, however,
fall within the term "victim." Thus, the cost of her counseling should
not have been included.
Insurance
Coverage - Jury Instructions
- Resident of a Home
Muskevitsch-Otto v. Otto,
2001 WI App 242 (filed 1 Aug. 2001) (ordered published 31 Oct. 2001)
At age 2, Kyle was injured while a passenger in a car driven by his
mother, who was solely negligent in the mishap. Kyle settled with his
mother's insurer and then made a claim against Allstate, which insured
his paternal grandmother, Linda, who was like a "second mother" to him.
After Allstate denied coverage, a jury found that Kyle was not a "resident"
of Linda's home and therefore, Allstate provided no coverage.
The court of appeals, in an opinion written by Judge Anderson, affirmed
in an opinion that addressed the accuracy of the jury instruction that
defined "Resident of a Household." In the absence of a standard civil
jury instruction on this question, the trial judge gave one that was suggested
in the April 2000 Wisconsin Lawyer. The jury instruction properly "focused"
on Kyle's intent while instructing the jury to consider the frequency
and duration of his stays at his grandmother's home. The instruction explicitly
reminded the jury that Kyle was but 2 years old. Moreover, the jury could
"infer" that it had to look to the "adult actors in this case who spoke
for Kyle" (¶9).
Sexually
Violent Persons
Issue Preclusion - Offensive Use
State v. Sorenson, 2001
WI App 251 (filed 20 Sept. 2001) (ordered published 31 Oct. 2001)
In 1985 a jury convicted Sorenson of sexually assaulting his 7-year-old
daughter, L.S. During that trial, L.S. claimed that she had been assaulted
by both the defendant and his brother, Donald. In 1991 Sorenson filed
a motion for a new trial based on newly discovered evidence, namely, L.S.'s
recantation of her trial testimony. He later withdrew the motion, however,
as a part of a plea bargain that resulted in a reduced sentence and parole.
Sorenson's parole was later revoked, in part because of new allegations
of indecent behavior, and in 1995, he was committed under Wis. Stat. chapter
980 as a sexually violent person. The trial court refused to permit him
to present evidence of L.S.'s recantation and he was committed under chapter
980.
The court of appeals, in an opinion written by Judge Lundsten, reversed
and remanded so that a hearing could be held on the propriety of issue
preclusion. Sorenson claimed that issue preclusion could not be used offensively
in a chapter 980 trial to prohibit him from presenting evidence that he
did not commit a sexually violent offense. After helpfully explaining
the difference between "offensive" (preventing a defendant from
relitigating an issue) and "defensive" (preventing a plaintiff from
relitigating an issue) uses of issue preclusion, the court turned to chapter
980 trials, while leaving for another day whether offensive issue preclusion
is ever permissible in criminal cases generally.
In effect, Sorenson argued that respondents (like him) should be permitted
to relitigate their underlying sexual assault convictions. Parsing the
statutes, the court concluded that the legislature never "intended to
subject victims and their families to the ordeal of a second trial when
the respondent has already been found guilty" (¶24).
In short, the court held that "the doctrine of issue preclusion is available
for use offensively in chapter 980 trials. When a respondent was previously
convicted of a sexually violent offense in a trial, issue preclusion may
be used to prevent the respondent from offering evidence to show that
he or she did not commit the prior offense" (28). The court of appeals
remanded the case so that the circuit court could apply the standards
of issue preclusion, which involve fact-intensive discretionary considerations.
If the offensive use of issue preclusion was improper, Sorenson must be
granted a new chapter 980 trial. If it was appropriate, however, the judgment
shall be reinstated.
Judge Dykman concurred in part and dissented in part. He agreed that
the judgment should be reversed but contended that the jury should weigh
the victim's recantation, Sorenson's testimony (if any), and the other
evidence in determining whether it was substantially probable he would
reoffend in the future. Judge Dykman agreed that the state was permitted
to use issue preclusion offensively in chapter 980 trials but disagreed
with the majority that Sorenson's statutory construction would mark a
"dramatic shift" in chapter 980 trials.
Torts
Negligence Per Se - Perverse Damage Award
Burg v. Cincinnati Casualty
Ins. Co., 2001 WI App 241 (filed 11 Sept. 2001) (ordered published
31 Oct. 2001)
Burg was seriously injured when his snowmobile struck another snowmobile
that was "parked" in a snowmobile lane at night with its lights out. The
defendant and his friend had stopped their snowmobiles in order to discuss
their route. When stopped, they switched off the snowmobiles' engines,
which in turn automatically shut off their head and tail lamps. A jury
found that the defendant was not negligent with respect to the snowmobile's
use.
The court of appeals, in an opinion written by Judge Schudson, reversed.
First, the court held that on this record the defendant was negligent
per se. Although the trial judge had decried the "stupid" definition of
"operating" that, he thought, precluded a finding of negligence per se,
the court of appeals held that the defendant's conduct did constitute
"operating" within the meaning of Wis. Stat. section 350.01(9r). The statute
defines "operate" to include "the exercise of physical control over the
speed or direction of a snowmobile" (¶10). The court held that this
language necessarily embraces "stopping" and "restraining" its operation
as well. To support this conclusion, the court looked to cases construing
"operate" under OWI law. Second, the court also concluded that the jury's
damage award was so perverse that a new trial on damages was warranted.
The defense offered no medical evidence that challenged the permanency
of the plaintiff's injuries.
Judge Curley dissented. "Operate" refers to control over the speed or
direction of the vehicle, or when one physically manipulates or activates
controls. The record in this case reflected that the defendant's engine
had been off for five minutes. The dissent saw no logical stopping point
to the majority's construction of "operate."
Lawyers - Third-party Liability - Fraud - Conspiracy
Lane v. Sharp Packaging Sys.
Inc., 2001 WI App 250 (filed 26 Sept. 2001) (ordered published
31 Oct. 2001)
Lane sued his former employer, Sharp Packaging, its owners, and their
personal attorney, J.N., as well as his law firm. In 1992 Lane was hired
and made the chief operating officer of Sharp Packaging. In 1995 he entered
into a new employment agreement that gave him a 25 percent interest in
the value of the company. Lane also was on Sharp's board of directors
and in 1995 he caused the company to replace J.N. as corporate counsel.
J.N. had represented Sharp for 10 years. According to Lane's complaint,
thereafter J.N. "secretly" provided services to Sharp and in 1998-99 engineered
a "shareholder distribution" plan by which the owners, who remained J.N.'s
personal clients, received nearly $4 million. Lane was terminated in early
1999, at which time he discovered that the shareholder distribution had
drastically diminished the value of the company's stock and hence his
25 percent interest. In his lawsuit Lane raised the following issues:
1) fraudulent transfer, 2) breach of the employment contract, 3) breach
of the stock option agreement, 4) civil conspiracy, 5) request for an
accounting, and 6) declaratory and injunctive relief.
The circuit court granted J.N.'s motion to dismiss Lane's claims against
him and his law firm on the ground that a party may not state a claim
against another party's attorney. The court of appeals, in a decision
written by Judge Nettesheim, reversed in an opinion that addresses three
issues relating to an attorney's liability to third parties.
First, the court addressed "whether a lawyer can be liable to a third
party nonclient for acts committed within the attorney-client relationship
where the attorney does not have direct contact with the third party."
As a general rule, attorneys are immunized from liability to nonclients,
but case law recognizes an exception for fraudulent conduct. J.N. argued
that his alleged conduct did not fall within the exception because he
had no "direct contact" with Lane. The court of appeals rejected this
contention, however, because no authority makes "direct contact" a condition
of the fraud or collusion exception.
Second, J.N. argued that it was "legally impossible" for an attorney
and client to conspire, based on the principle recognized in other cases
that a corporation and its subsidiary are incapable of conspiring. The
court rejected J.N.'s "single unit" theory. J.N. and his law firm were
a "legal entity distinct and separate" from Sharp and the owners; thus,
they had the capacity to conspire. Other allegations supported sufficient
wrongdoing by the owners and J.N. to withstand the motion to dismiss.
Finally, the circuit court erred by dismissing the complaint against
J.N. based on policy considerations in Badger Cab Co. v. Soule,
171 Wis. 2d 754 (Ct. App. 1992), which involved a defendant whose counterclaim
joined plaintiff's counsel and alleged that counsel's prosecution of the
action was an abuse of process and a civil conspiracy to the same end.
Badger Cab rejected such counterclaims because they generated a conflict
of interest that required a substitution of counsel and would likely have
a negative effect on the attorney-client relationship and work product
protection. In particular, such counterclaims invited jury confusion about
the merits of the claim and the merit of bringing an action. In this case,
however, such potential confusion was not an issue because the claims
alleged J.N.'s "alleged fraudulent or conspiratorial conduct prior to
this litigation - not from his conduct relating to the litigation itself
or his representations of the Sharp defendants during that process" (¶29).
Worker's
Compensation
Death Benefits - Statute of Limitations
International Paper Co. v. Labor
and Industry Review Comm'n, 2001 WI App 248 (filed 25 Sept. 2001)
(ordered published 31 Oct. 2001)
Lorraine Wieseler's husband died 16 years after he suffered injury from
exposure to asbestos at work. The date of injury was in 1983 and the death
was in 1999. In 1999 Wieseler filed a claim for death benefits under section
102.46 of the Worker's Compensation Act.
It was undisputed that Wieseler can collect death benefits. The issue
is whether the employer or the Work Injury Supplemental Benefit Fund (the
fund) is liable to pay the benefits. An administrative law judge concluded
that because Wieseler had not filed a claim for death benefits within
12 years of her husband's injury, the fund was responsible for
the payments.
The Labor and Industry Review Commission (LIRC) reversed. It concluded
that the 12-year statute of limitations for death benefit claims began
to run when Wieseler's husband died, rather than when he was injured.
Because Wieseler filed her claim for benefits within 12 years of her husband's
death, the employer was liable to make the payments.
The circuit court affirmed and the court of appeals, in a decision authored
by Chief Judge Cane, affirmed as well. It concluded that LIRC's conclusions
were reasonable and consistent with the general rule that statutes of
limitation begin to run at the time the cause of action accrues.
In a footnote, the court observed that Wieseler will receive death benefits
regardless of whether the fund or the employer pays them but that she
seeks to have the fund pay, because she asserts that any benefits paid
by the fund would not be reduced by settlements her husband reached with
several asbestos manufacturers.
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