Supreme Court Digest
This column summarizes all decisions of the Wisconsin Supreme Court (except
those involving lawyer or judicial discipline, which are digested elsewhere
in the magazine). Profs. Daniel D. Blinka and Thomas J. Hammer invite comments
and questions about the digests. They can be reached at Marquette University
Law School, 1103 W. Wisconsin Ave., Milwaukee, WI 53233, (414) 288-7090.
by Prof. Daniel D. Blinka &
Prof. Thomas J. Hammer
Business
Law
Wisconsin's Business Closing and Mass Layoff Law - Definition of "Business
Closing"
State v. T.J. International Inc.,
2001 WI 76 (filed 28 June 2001)
Defendant Norco Windows Inc. sold its window manufacturing plant in
Hawkins, Wis., to defendant Jeld-Wen Inc. The plant continuously operated
without interruption during the transfer of ownership, and Jeld-Wen hired
all but 47 of the 396 Norco employees who applied for jobs with the new
ownership.
The employees' collective bargaining representative filed a complaint
with the Department of Workforce Development, alleging a violation of
Wisconsin's Business Closing and Mass Layoff Law. See Wis. Stat. § 109.07
(1995-96). This statute requires employers to give 60-days' notice to
their employees and certain government officials of any "business closing,"
which is defined as a "permanent or temporary shutdown of an employment
site."
The department concluded that the sale in this case constituted a "business
closing" under the statute, and ordered both the seller and the buyer
to pay penalties for failure to give notice. The circuit court agreed,
but the court of appeals reversed.
In a unanimous decision authored by Justice Sykes, the supreme court
affirmed the court of appeals. It concluded that the definition of "business
closing" in section 109.07(1)(b) does not include the sale of business
assets where there is no actual operational shutdown - permanent or temporary
- of the employment site. "Where, as here, the transfer of ownership continues
rather than interrupts or ceases the operation of the employment site,
there is no 'business closing' under the statute, and no 60-day notice
of the sale is required" (¶ 4).
Civil Procedure
Appeals - Remand - Substitution
Jensen v. Wisconsin Patients Compensation
Fund, 2001 WI 66 (filed 19 June 2001)
This was a motion to reconsider part of an earlier decision in which
the court held that an attorney's pro hac vice status could not be withdrawn
without notice and an opportunity to respond. A defendant-respondent sought
"clarification" of the court's order that on remand the plaintiffs-appellants
had no right to substitute under Wis. Stat. section 801.58(7). In a terse,
per curiam opinion, the supreme court stated that the law relating to
substitutions on remand is controlled by State ex rel. J.H. Findorff v.
Circuit Court for Milwaukee County, 2000 WI 30, which the circuit court
is to apply. Dissenting, Chief Justice Abrahamson agreed "with the State
Bar and the Litigation Section that counsel should be given an opportunity
to be heard on the issue of substitution and that the appellate court
rather than the circuit court should apply Findorff" (¶ 6).
Criminal
Law
Theft of Firearms - Multiplicity
State v. Trawitzki, 2001 WI 77
(filed 29 June 2001)
During the course of a residential burglary the defendant and his co-actors
took 10 firearms from the home. The next day the defendant was involved
in concealing five of those stolen firearms near a bridge. Among the charges
lodged against the defendant were 10 counts of theft of a firearm and
five counts of concealing the stolen firearms.
A jury found the defendant guilty on all charges. His post-conviction
motion challenging the structure of charges as multiplicitous was denied
by the circuit court. The trial court also denied a post-conviction challenge
to the effectiveness of defense counsel relating to counsel's failure
to impeach three prosecution witnesses with the existence and number of
their prior criminal convictions. The court of appeals affirmed.
In a majority decision authored by Justice Crooks, the supreme court
affirmed the court of appeals. The court first considered whether the
10 theft of a firearm charges and the five concealing a stolen firearm
charges were multi-plicitous. These charges were all brought under the
general theft statute (Wis. Stat. section 943.20(1)(a)) and that part
of the theft statute which provides a special penalty when the property
stolen is a firearm (section 943.20(3)(d)5).
The majority rejected the defendant's claim of multiplicity. To determine
whether charges are multiplicitous, a court must determine whether the
charged offenses are identical in law and in fact. If they are identical
in law and in fact, they are multiplicitous and in violation of the protection
against double jeopardy. If the charged offenses are not identical in
law and in fact, a court must further determine whether the Legislature
intended multiple prosecutions for the charged offenses.
In this case, though the charges are identical in law, the majority
concluded that they were not identical in fact, because each theft charge
and each concealment charge required proof of an additional fact that
the other charges did not, namely, the identity of the individual firearm
involved in each count.
Because the charges against the defendant were not identical in fact,
the court presumed that the Legislature intended separate charges for
the theft and for the concealment of each firearm. The defendant could
rebut this presumption only by a clear indication of legislative intent
to the contrary which, in this case, he was unable to do.
Finally, the court held that the defendant's trial counsel was not ineffective
for failing to impeach the state's witnesses with their criminal records,
because the defendant did not establish that this failure was prejudicial
to his defense. Said the court, confidence in the outcome of the trial
was not undermined by defense counsel's failure to impeach. See 46.
Justice Bradley filed a dissenting opinion that was joined by Chief
Justice Abrahamson and Justice Bablitch.
Criminal
Procedure
Costs Taxable to the Defendant - Expense of Producing the Defendant
from Prison for Circuit Court Appearances
State v. Dismuke, 2001 WI 75 (filed
28 June 2001)
While the defendant was serving a sentence in prison, he was repeatedly
transported to Milwaukee County on orders to produce for various court
appearances on two new charges. He eventually was convicted and the judgment
of conviction in the new case set costs at $957.20. Most of this amount
was attributable to sheriff's department costs for executing the orders
to produce the defendant from prison. The court of appeals affirmed. The
supreme court, in a unanimous decision authored by Justice Sykes, reversed.
Wis. Stat. section 973.06 provides that costs taxable against the defendant
include "fees of officers allowed by law." Construing the term "fees"
in a related subsection of this statute, the court had previously held
that the term includes only those sums "ordinarily charged to and payable
by another," not internal operating expenses of a governmental unit. See
State v. Ferguson, 202 Wis. 2d
233, 549 N.W.2d 718 (1996).
The record in this case contained conflicting information and no evidence
about whether the expenses associated with executing orders to produce
are generally "charged to and payable by another," or are merely internal
operating expenses of the Milwaukee County Sheriff's Department. The record
was similarly underdeveloped and unclear on the specific amounts assessed
against the defendant in this case.
Accordingly, the court held only that its earlier decision in Ferguson
applies to the determination of taxable "fees of officers allowed by law"
under section 973.06(1)(a). This requires a determination of whether the
expenses associated with the execution of orders to produce are ordinarily
charged to and payable by another or are merely internal operating expenses
of a governmental unit. If the former, they are taxable, provided they
are "allowed by law," which requires a further determination of whether
the actual assessments in this case were consistent with Wis. Stat. section
814.70, which deals with sheriff's fees for service of process. See 26.
The case was remanded to the circuit court for further proceedings consistent
with this decision.
Collateral Attack on Prior Convictions - Denial of Right to Counsel
State v. Peters, 2001 WI 74 (filed
28 June 2001)
The defendant was charged with a fifth offense of operating after revocation
of license (OAR). In order to avoid the progressively higher penalties
that flow from repeat OAR offenses, he moved to invalidate his second
OAR conviction, alleging that the no-contest plea upon which it was based
was entered without counsel by closed-circuit television from the county
jail, in violation of his statutory and constitutional rights.
The circuit court entertained the collateral challenge and held that
any error related to the television plea was harmless. The court of appeals
affirmed, concluding that while the defendant's statutory procedural rights
had been violated, no constitutional violation requiring reversal had
occurred. The supreme court, in a unanimous decision authored by Justice
Sykes, reversed the court of appeals.
The case concerns the extent to which a defendant may collaterally attack
a prior conviction in a subsequent criminal case where the prior conviction
is used to enhance the sentence for the subsequent crime. The general
rule is that a defendant may not collaterally attack the validity of a
prior conviction during an enhanced sentence proceeding predicated on
the prior conviction unless the offender alleges a violation of his constitutional
right to counsel. See State v. Hahn, 2000 WI 118 (modified by State
v. Hahn, 2001 WI 6). Because the current OAR prosecution is predicated
in part on a prior OAR conviction that was obtained when the defendant
was not represented by counsel, the court concluded that this case falls
within the right-to-counsel exception to the general rule against collateral
attacks on prior convictions used to enhance subsequent penalties. The
supreme court reversed, and remanded the case to the circuit court for
a consideration of whether the record in the second offense OAR case reflects
a knowing and voluntary waiver of counsel.
The court did not address the defendant's challenge to the constitutionality
of closed-circuit television guilty/no-contest pleas.
Employee
Benefits
Wisconsin Retirement System - Constitutionality of 1999 Wisconsin
Act 11 Changes to Pension System
Wisconsin Professional Police Association
Inc. v. Lightbourn, 2001 WI 59 (filed 12 June 2001)
In this original action the petitioners challenged the constitutionality
of portions of 1999 Wisconsin Act 11 as amended by Act 12 ("Act 11").
Together, these two acts made numerous changes in the Wisconsin retirement
system impacting the pension interests of more than 460,000 participants
in the system, as well as the fiscal responsibilities of the State of
Wisconsin and all government employers within this state whose past or
present employees are participants in the system.
In a lengthy majority decision authored by Justice Prosser, the supreme
court concluded that Act 11 is constitutional. It was approved by the
requisite number of votes in the Legislature. The Act does not take petitioners'
property without just compensation, nor does it impair the obligations
of their contract with the State of Wisconsin. Further, the Act does not
violate the fundamental principles of Wis. Stat. chapter 40 or any right
preserved in section 40.19(1), nor does it violate trust principles. Accordingly,
the court denied the declaratory relief sought by the petitioners and
lifted an injunction previously issued so that Act 11 may be enforced.
Justice Bablitch filed an opinion concurring in part and dissenting
in part.
Chief Justice Abrahamson filed a dissent that was joined by Justice
Bradley.
Milwaukee County Employees Vested in County Pension System - Discharged
Employees - No Denial of Pension Without Due Process Hearing
Milwaukee District Council 48 v. Milwaukee
County, 2001 WI 65 (filed 15 June 2001)
The Milwaukee County Employees' Retirement System is the only county-operated
retirement system in Wisconsin. Under county ordinances a Milwaukee County
employee has a property interest in a deferred vested pension after 10
years of creditable service, unless the employee is terminated for "fault
or delinquency." This contingency - termination for "fault or delinquency"
- nullifies the employee's pension eligibility, irrespective of the length
of the employee's service.
As described by the court, the principal issue in this case relates
to procedure: May Milwaukee County deny a pension to an employee who has
10 years of creditable service after terminating the employee for "cause"
(following a due process hearing), without also holding a due process
hearing to determine whether the employee was terminated for "fault or
delinquency"?
The enabling state legislation for the Milwaukee County Retirement System
and the controlling county ordinance draw a distinction between "cause"
and "fault or delinquency." The county ordinance identifies some 46 grounds
of "cause" to discharge a county employee, and there was no dispute that
county employees who have passed their probationary period have a protectable
property interest in their jobs because state law precludes their discharge
without "cause." But the ordinance does not clarify whether all 46 grounds,
plus others that might serve as the basis for discharge, constitute the
"fault or delinquency" that would need to be found as a statutory prerequisite
for denial of a vested pension.
In a unanimous decision authored by Justice Prosser, the supreme court
concluded that Milwaukee County may not deny a pension to an employee
who has satisfied the minimum requirements of credible service for a deferred
vested pension without first affording the employee the procedural due
process of a hearing to determine whether the employee is being or was
terminated for "fault or delinquency." The hearing must be preceded by
fair notice and the county must establish standards for "fault or delinquency."
See 62.
The court indicated that it was not holding or implying that the county
must hold a completely separate due process hearing for the denial of
a pension. The requirements of procedural due process are flexible enough
that the county may offer a hearing that considers both "cause" for discharge
and "fault or delinquency." See 63.
Employment
Law
Discharge of Employee-at-will - Public Policy Exception
Batteries Plus LLC v. Mohr, 2001
WI 80 (filed 29 June 200l)
Batteries Plus, a retail seller of batteries, sued the defendant, one
of its former at-will employees, for repayment of past wages. It claimed
that it had accidentally overpaid the defendant approximately $11,500
for mileage expenses when the defendant was a commercial sales specialist
for the company. The defendant counterclaimed, alleging that Batteries
Plus wrongfully discharged him when he refused to agree to reimburse the
company, through deductions from his future wages, for the alleged overpayment.
The jury returned a verdict in favor of the defendant, awarding him
damages for wrongful discharge and underpayment of wages. In allowing
the defendant's counterclaim, the circuit court ruled that Wis. Stat.
section 103.455 (1995-96) provided a well-established and important public
policy basis to preclude Batteries Plus from lawfully discharging the
defendant. The court of appeals affirmed. In a majority decision authored
by Justice Prosser, the supreme court reversed.
The jury found that the defendant was an employee-at-will. In Wisconsin,
the employment-at-will doctrine is an established general tenet of workplace
relations. The doctrine permits an employer to discharge an employee for
good cause, for no cause, or even for cause morally wrong, without being
thereby guilty of legal wrong. The supreme court has recognized a narrow
"public policy exception" to the employment-at-will doctrine, allowing
an employee a cause of action "for wrongful discharge when the discharge
is contrary to a fundamental and well-defined public policy as evidenced
by existing law." See Brockmeyer v. Dun & Bradstreet, 113 Wis.
2d 561, 572-73, 335 N.W.2d 834 (1983).
In this case the defendant relied upon section 103.455 as the basis
for his argument that the public policy exception should be applied to
him. This statute provides that "no employer shall make any deduction
from the wages due or earned by any employee ... for defective or faulty
workmanship, lost or stolen property, or damage to property ... ." The
present case did not involve the type of work-related loss described in
the statute; rather, it was a disagreement about an alleged overpayment
of expenses. The majority held that neither the letter nor the spirit
of section 103.455 covers the situation in which an employer claims that
it overpaid its employee by mistake and the employee gives the employer
no choice but to go to court to recover the money. Accordingly, the court
concluded that the defendant could not maintain an action for wrongful
discharge under these circumstances.
Chief Justice Abrahamson filed a dissenting opinion that was joined
by Justices Bablitch and Bradley.
Motor Vehicle
Law
Habitual Traffic Offenders - Effect of Rescission of HTO Status -
Wis. Stat. Section 351.09
State v. Hanson, 2001 WI 70 (filed
26 June 2001)
On four occasions in 1996, the defendant was convicted of operating
a motor vehicle after his license had been revoked or suspended (OAR/OAS),
contrary to Wis. Stat. section 343.44(1) (1995-96). [The OAR/OAS convictions
referred to in this case occurred prior to the separation of OAR and OAS
into distinct violations, which occurred as a result of legislation that
took effect on Aug. 1, 2000.] As a consequence of the four prior OAR/OAS
convictions, the defendant was classified as a habitual traffic offender
(HTO) in December 1996. His HTO classification resulted in the revocation
of his driving privileges for five years.
While still subject to the HTO revocation, and perhaps to other suspensions
and revocations, the defendant was caught illegally driving a fifth time
in October 1998. He was charged with his fifth violation of the OAR/OAS
law and the complaint alleged that his OAR/OAS sentence was subject to
enhancement due to his HTO classification. This enhancement subjected
him to an additional $5,000 fine and a possible 180 additional days of
imprisonment.
Following issuance of the complaint, the defendant pursued a rescission
of his HTO status through the Department of Transportation (DOT). As part
of a 1997 legislative overhaul of the offense of OAR/OAS, which included
the removal of OAR/OAS as a predicate offense that may be used to classify
a driver as an HTO, DOT was authorized to redetermine a driver's HTO status
without consideration of OAR/OAS convictions. In February 1999, DOT rescinded
the defendant's HTO status, which was based on his prior OAR/OAS convictions,
pursuant to Wis. Stat. section 351.09.
Subsequent to the rescission of his HTO status, the defendant entered
a plea of no contest to the charge of OAR (fifth offense) as an HTO, as
alleged in the criminal complaint. The circuit court accepted his plea
of no contest, imposed a fine of $300, and sentenced the defendant to
20 days in jail.
Thereafter the defendant pursued post-conviction relief in which he
challenged the imposition of a term of imprisonment for his conviction.
He requested that the circuit court substitute the criminal sentence with
a civil forfeiture, his argument being premised on the rescission of his
HTO status. The circuit court denied the motion. The court of appeals
affirmed, concluding that the defendant had waived the right to challenge
his conviction and sentence by the entry of his no contest plea.
In a majority decision authored by Justice Bradley, the supreme court
reversed the court of appeals. It concluded that a criminal sentence based
solely upon the defendant's HTO status, which was rescinded under section
351.09 prior to his conviction, is a sentence in excess of that authorized
by law and is invalid under section 973.13. However, given the state of
the record, the court could not determine whether the defendant's driving
record supported a criminal sentence even without consideration of his
HTO status and, accordingly, remanded the case to the circuit court for
such determination.
In reaching its decision in this case, the majority rejected the state's
claim that the defendant waived the challenge to the sentence by entering
a plea of no contest. Wis. Stat. section 973.13 provides that when a court
imposes a sentence greater than that authorized by law, any excess sentence
is void. In this case, if the defendant received a criminal penalty based
solely on his HTO status, which was rescinded by DOT prior to his conviction,
such a sentence is in excess of that authorized by law. To apply the guilty/no
contest plea waiver rule would ignore the dictate of section 973.13. Accordingly,
the majority reached the merits of the defendant's appeal.
Justice Crooks filed a dissenting opinion that was joined by Justices
Wilcox and Prosser.
Real Property
Regulatory Takings - Categorical and Ad Hoc Analyses
R.W. Docks & Slips v. State, 2001
WI 73 (filed 28 June 2001)
R.W. Docks, a general partnership in the business of developing marinas,
is the riparian owner of 1,100 feet of frontage along Lake Superior in
Bayfield, Wis. In 1969 it began building a marina on this land. The marina
was built in stages, eventually containing 201 boat slips, related recreational
facilities, and various other improvements.
Several years later Docks applied to the Department of Natural Resources
for a permit to dredge 20,000 cubic yards of material from the lakebed,
a necessary prerequisite to the completion of the remaining 71 boat slips
in the project. Most of this request was denied and, given the denial,
the final 71 boat slips could not be built. The permit was denied primarily
for environmental reasons, because a small emergent weed bed had developed
near the shore within the marina.
After exhausting administrative appeals and judicial review of the DNR's
action, Docks sued the DNR in circuit court alleging an unconstitutional
taking of its property without just compensation. The circuit court granted
DNR's motion for summary judgment. The court of appeals affirmed.
In a unanimous decision authored by Justice Sykes, the supreme court
affirmed. The issue before the court was whether the DNR's denial of the
final dredging permit constituted a regulatory taking of Docks' property
without just compensation.
Both the Fifth Amendment to the U.S. Constitution and the Wisconsin
Constitution provide that private property shall not be taken without
just compensation. A "taking" need not arise from an actual physical occupation
of land by the government. A governmental regulation of property, if the
regulation goes too far, can also be recognized as a taking.
In determining whether a regulatory restriction "goes too far," courts
generally prefer to engage in ad hoc factual inquiries. However, at least
two discreet categories of regulatory action have been recognized as compensable
without case-specific inquiry into the public interest advanced in support
of the restraint. The first includes regulatory actions that bring about
some form of physical "invasion" of private property. The second includes
regulatory actions that deny "all economically beneficial or productive
use of land."
In this case the DNR's denial of the dredge permit did not bring about
a physical invasion of private property. Nor did it deny Docks all economically
beneficial or economic use of its property, or substantially all practical
use of its property, inasmuch as Docks retained the economic benefit and
use of the 201 boat slips and related recreational facilities at the marina.
This conclusion left the court with performing the traditional ad hoc
factual takings inquiry, which involves an analysis of the nature and
character of the governmental action, the severity of the economic impact
of the regulation on the property owner, and the degree to which the regulation
has interfered with the property owner's distinct investment-backed expectations
in the property. In this case, because the DNR's action affected only
riparian rights, which are subordinate to the public trust doctrine (under
which the state holds title to the beds of lakes, ponds, and rivers in
trust for the public), and affected only a small portion of the marina
development as a whole, the court concluded that denial of the permit
cannot be said to have resulted in the sort of severe economic impact
or interference with distinct investment-backed expectations as to constitute
a regulatory taking under traditional ad hoc takings analysis.
Seized Property
Return of Seized Property - Wis. Stat. Section 968.20 - In Rem Proceeding
City of Milwaukee v. Glass, 2001
WI 61 (filed 13 June 2001)
Wis. Stat. section 968.20 governs the return of property seized by the
authorities either pursuant to a search warrant or seized without a search
warrant. In this case the plaintiff filed a petition for the return of
property seized by the Milwaukee Police Department from his garage. The
city could not return the seized property because it no longer had possession
of it. After a series of hearings, the circuit court awarded the plaintiff
approximately $1,600, which the plaintiff had established as the fair
market value of the property seized.
The court of appeals reversed the circuit court order, concluding that
section 968.20 contemplates only a return of seized property and does
not authorize a circuit court to award money damages for failure to return
the seized property.
In a unanimous decision authored by Chief Justice Abrahamson, the supreme
court affirmed the court of appeals. Classifying a section 968.20 proceeding
as "in rem" in nature, the court concluded that the statute does not authorize
a circuit court to award money damages against the city when the city
cannot return the seized property because it no longer has possession
of that property. A judgment in an in rem proceeding is valid only against
the specific property and not against a defendant or a defendant's other
assets. The supreme court also concluded that the circuit court did not
gain personal jurisdiction over the city by virtue of its appearances
in this matter. No summons was ever served on the city and the city repeatedly
contested the circuit court's authority to award money damages at the
various hearings in this case.
Seized Property - Wis. Stat. Section 968.20(1m)(b) - Return of Dangerous
Weapon - Commission of a Crime Involving Use of the Dangerous Weapon
State v. Perez, 2001 WI 79 (filed
29 June 2001)
The defendant was convicted of carrying a concealed and dangerous weapon
in his van. He thereafter filed a motion pursuant to Wis. Stat. section
968.20 seeking the return of all items seized at the time of his arrest,
including several firearms. He claimed that he was in Wisconsin on business
at the time of the incident and was licensed to carry concealed weapons
in his home state of Florida for the purpose of hunting. The circuit court
granted the motion and the court of appeals affirmed.
The supreme court, in a majority decision authored by Justice Prosser,
reversed the court of appeals. The issue before the court was whether
a person who is convicted of carrying a concealed and dangerous weapon
under Wis. Stat. section 941.23 has "committed a crime involving the use
of the dangerous weapon," as that phrase is used in section 968.20(1m)(b),
so that a dangerous weapon seized from the person may not be returned.
The court concluded that a person convicted of going armed with a concealed
and dangerous weapon contrary to section 941.23 has "committed a crime
involving the use of the dangerous weapon" and that the return of the
dangerous weapon or weapons seized from the person is prohibited by section
968.20.
Justice Wilcox filed a concurring opinion that was joined by Justice
Crooks.
Sexually
Violent Persons
Appellate Rights - Right to Counsel - Ineffective Assistance
State of Wisconsin ex rel. Seibert v.
Macht, 2001 WI 67 (filed 19 June 2001)
Seibert was found to be a sexually violent person under Wis. Stat. chapter
980 and petitioned for supervised release. After the trial court denied
the petition, the court of appeals dismissed his appeal as untimely and
later rejected his petition for a writ of habeas corpus which contended
that this right to effective assistance of counsel had been violated.
The supreme court accepted Seibert's pro se petition for review and appointed
counsel.
The supreme court, in an opinion written by Justice Wilcox, reversed
the court of appeals. Addressing two issues, the court "adopt[ed] the
prophylactic framework of Anders and its progeny for Chapter 980 cases"
(¶ 20). First, due process and equal protection guarantee that "an
indigent sexually violent person is constitutionally entitled to assistance
of counsel in bringing a first appeal as of right from a denial of his
or her request for supervised release" (¶ 1). Second, based on the
"unique facts" presented in this case, the court held that ineffective
assistance of counsel occurred when the notice of appeal was filed one
day late in the trial court. Moreover, a string of supreme court cases
provide that "the court of appeals cannot conduct an independent review
for error where the individual lacks requested representation, whether
that representation encompasses briefing on the merits or an Anders brief"
(¶ 2). The individual need not demonstrate prejudice at an evidentiary
hearing (¶ 19).
Appeals - Voluntary Dismissal
State v. Schulpius, 2001 WI 69
(filed 22 June 2001)
Schulpius was found to be a sexually violent person. He challenged his
chapter 980 commitment on numerous grounds after authorities were unable
to accommodate the court's order for supervised release. After a hearing,
the circuit court ordered Schulpius released from confinement at the Wisconsin
Resource Center. The state petitioned for leave to appeal a nonfinal order,
which the court of appeals granted, and Schulpius then petitioned the
supreme court for bypass. While the appellate matters were pending, the
circuit court granted the state's motion to reconsider, ruled that Schulpius
was no longer suitable for supervised release, and ordered him committed
to institutional care. The state then filed a notice of voluntary dismissal
in the supreme court. Complicating matters further, while this appeal
was pending, the U.S. Supreme Court issued its decision in Seling v. Young,
531 U.S. 250 (2001). The Wisconsin Supreme Court ordered supplemental
briefs.
An equally divided Wisconsin Supreme Court split over whether to accept
the state's notice of voluntary dismissal (Justice Prosser did not participate).
The court vacated its order granting bypass and remanded the case to the
court of appeals in order to promote the "efficient resolution of this
appeal."
Torts
Jury Trial - Bifurcation of Issues - Recreational Immunity - Social
Guest
Waters v. Pertzborn, 2001 WI 62
(filed 14 June 2001)
The plaintiff, age 10, was severely injured while sledding at the home
of the defendant neighbors. The circuit court rejected defendant's summary
judgment motion, because an issue of fact existed as to whether the plaintiff
was a "social guest" and therefore within an exception to recreational
use immunity. The court also ordered separate trials before different
juries on the issues of liability and damages. The plaintiffs were granted
leave to file an interlocutory appeal and the supreme court accepted this
case on certification.
The supreme court, in an opinion written by Justice Bradley, reversed
in part and affirmed in part. First, and most significant, the court held
that Wisconsin law does not permit separate trials on the issues of liability
and damages before different juries. The legislative history of Wis. Stat.
section 805.05(2) conclusively revealed that bifurcating such issues in
separate trials before different juries was closely considered and deliberately
rejected (¶ 20-24). Furthermore, such bifurcation is also precluded
by Wis. Stat. section 805.09(2), which requires that the same five-sixths
of a jury agree to all questions necessary to sustain a claim in order
for a jury's verdict to be valid. Put differently, the bifurcation order
in this case flatly collided with the five-sixths' statutory mandate.
Finally, neither the case law nor Wis. Stat. section 906.11 compelled
a different conclusion. (The court distinguished the very different procedural
posture of an appellate court's remand for trial limited to particular
issues, which would necessarily involve different juries addressing parts
of the same claim.)
The supreme court then turned to the cross-appeal filed by defendants,
which argued that recreational use immunity barred the claim. In sum,
the supreme court upheld the lower court's determination that summary
judgment was improper. On this record the social guest exception arguably
trumped the recreational use immunity provided by Wis. Stat. section 895.52.
An 11-year-old girl could be an "occupant" of the home authorized to "invite"
guests onto the property, a purely factual inference that found support
in the evidence. Nor was it material that the plaintiff was not specifically
invited to sled because section 895.52(6)(d) only requires an invitation
for the "occasion." (Whether the invitation had "expired" presented a
question of fact for trial.) Finally, the defense argued that the social
guest exception did not apply because the plaintiff was injured in the
street, not on their property. The court declined to construe the statute
so mechanistically as to have to calculate "the trajectory of Christopher's
downhill descent in a manner that would ignore the laws of physics" (¶
50).
Recreational Immunity - Adjacent Property - Easements - Exceptions
Urban v. Grasser, 2001 WI 63 (filed 14 June
2001)
Plaintiff Urban was injured while walking across property owned by David
G. when a dog chased him and he fell from a wall onto a concrete driveway.
Urban kept his boat docked on adjacent property owned by David's father,
Paul G. Paul held an easement for ingress and egress over David's property
pursuant to a written agreement. Moreover, Paul had granted Urban permission
to use David's property in accessing the boat, which was the only way
to get to the boat. Urban sued David and the circuit court granted David's
motion for summary judgment, dismissing the complaint based on recreational
use immunity.
The supreme court, in an opinion written by Justice Bablitch, affirmed
in an opinion that emphasized the fact-specific nature of recreational
immunity cases and expressed frustration over the judicial system's inability
to craft a useful test from the statute's vagaries (¶ 12-13). Until
the Legislature clarifies Wis. Stat. section 895.52, courts are left to
launder a list of nebulous factors including the intrinsic nature of the
activity, its purpose, its consequences, and the user's intent, as well
as the nature of the property and the property owner's intent, if any.
Applying this analysis to the summary judgment record, the court first
determined that David was an "owner" within the statute's meaning despite
Paul's easement. (The "dominant owner" obtains only a right to use the
land, not an "estate" in the property.) Second, Urban was engaged in recreational
activity when he was injured. Urban was walking across David's property
in order to access his boat via the only available route. Thus, the act
of walking was "inextricably connected" to the boat and hence a recreational
activity.
Finally, the court found that no exceptions were applicable to recreational
use immunity. Urban was not David's "social guest" because Paul permitted
his use of the easement, not David. Thus, "permissive entrants" fall outside
the social guest exception. Nor did Urban fall within the "profit" exception
under Wis. Stat. section 895.52(6)(a). Although Urban bought the boat
from Paul for $4,000, nothing indicated that Paul's permission to use
the boat slip affected the purchase price.
Justice Wilcox concurred that David was entitled to recreational immunity
but rejected the majority's position that courts should consider the nature
of the property and the property owner's subjective intent, a position
he explained in his dissent to Minnesota Fire and Cas. Ins. Co. v. Paper
Recycling of La Crosse, 2001 WI 64 (see below).
Chief Justice Abrahamson, joined by Justice Bradley, dissented on grounds
that immunity does not extend to owners of servient estates, such as David.
Furthermore, Urban was not engaged in any recreational activity while
on David's property.
Recreational Immunity - Child's Play - Nature of the Property - Owner's
Purpose
Minnesota Fire & Cas. Ins. Co. v. Paper
Recycling of La Crosse, 2001 WI 64 (filed 14 June 2001)
Three young boys, one age 11, entered the property of a recycling plant,
where they crawled through stacks of baled paper, lit matches, and played
in the labyrinth. The 11-year-old boy died in a resulting fire. In separate
but related actions, two circuit court judges from the same county reached
opposite conclusions about whether the recycler was entitled to recreational
immunity under Wis. Stat. section 895.52(2). The court of appeals held
that the recycler was not entitled to immunity.
The supreme court, in an opinion written by Justice Crooks, affirmed.
The court first addressed whether the boys were engaged in "recreation"
within the statute's meaning. Every outdoor activity is not an immunized
recreational activity. The statute broadly defines recreation as "any
outdoor activity undertaken for the purpose of exercise, relaxation or
pleasure" and then provides 28 illustrations plus a catch-all that embraces
all "substantially similar" activities. Most important, Minnesota Fire
explicitly held that in determining whether an activity is "recreation"
courts should examine the nature of the property and the owner's purpose.
Here the company leased the property solely to operate its recycling business,
which is a far cry from any of the activities listed in section 895.52(2).
Nor was the children's play dispositive. Applying an objective "adult"
standard, the court held that a "reasonable adult would not consider crawling
around lighting fires to be a recreational activity" (¶ 31). Nothing
about the intrinsic nature, purpose, and consequence of this activity
was substantially similar to the enumerated forms of recreation, such
as exploring caves. Finally, the court considered the stare decisis effect
of its holding on the doctrine of attractive nuisance; namely, a contrary
holding might give commercial property owners less incentive to monitor
their property and prevent children from trespassing.
Justice Bradley, joined by Chief Justice Abrahamson, concurred and wrote
separately to stress the difficulties courts have encountered in interpreting
section 895.52 and to invite the Legislature to "revisit" the matter.
Justice Wilcox, joined by Justice Prosser, dissented based on the majority's
construction of the statute, particularly its reliance on the nature of
the property as a "significant factor."
Emotional Distress - Bystanders - Injured Animals - Frivolous Claims
Rabideau v. City of Racine, 2001
WI 57 (filed 12 June 2001)
Police shot and killed the plaintiff's dog while she watched. She brought
this tort action against the city. The circuit court granted summary judgment
to the city, dismissed the complaint, and also found that the claim was
frivolous. The court of appeals affirmed.
The supreme court, in an opinion written by Justice Bablitch, affirmed
in part and reversed in part. First, the court found that the plaintiff
could not bring a claim for negligent infliction of emotional distress
because she was not related to the "victim" as spouse, parent-child, grandparent-grandchild,
or sibling. Moreover, public policy considerations, particularly the lack
of any just stopping point, foreclosed a claim for negligent damage to
"property" such as pet animals. Second, the defense was entitled to summary
judgment on her claim for intentional infliction of emotional distress.
The plaintiff did state a claim, however, for damages for property loss
(that is, her dead dog). The court also found that the record raised a
material fact as to whether the officer was lawfully entitled to shoot
plaintiff's pet. Finally, the supreme court overturned the trial court's
finding that the action was frivolous. The complaint did, after all, encompass
a proper claim for property loss and plaintiff's attorney proffered the
other, albeit unsuccessful, claims in good faith.
Vicarious Liability - Medical Malpractice - Nurses and Doctors - "Captain
of the Ship" Theory
Lewis v. Physicians Ins. Co.,
2001 WI 60 (filed 13 June 2001)
In this medical malpractice action, the plaintiff alleged that the surgeon
was vicariously liable for the failure of two hospital nurses to account
accurately for sponges used during his gallbladder surgery (one was left
in his abdomen). As a county facility, the hospital's statutory liability
was limited to $50,000 for the nurses' negligence, which was paid to the
plaintiff. The parties stipulated that the surgeon was not negligent.
The sole remaining claim was that the surgeon was vicariously liable for
the nurses' negligence. The circuit court concluded that the surgeon was
liable, but the court of appeals reversed.
The supreme court, in an opinion written by Justice Wilcox, affirmed
the court of appeals in a decision that addresses the tensions between
the "basic principle of individual responsibility" and the "severe exception"
to that rule posed by vicarious liability (¶ 11). The surgeon did
not employ either nurse, which eliminated respondeat superior as a theory
of vicarious liability, and there was no claim that they were "borrowed
servants." The court declined to read Fehrman v. Smirl, 25 Wis. 2d 645
(1964) (Fehrman II) as "imposing vicarious liability on a doctor whenever
the doctor continues to actively care for and participate in the treatment
of the patient" (¶ 13). Nor did Fehrman II support an "alternative
liability" theory or a new species of tort labeled the "continuing active
management" theory. In short, existing Wisconsin law provided no viable
doctrine supporting the surgeon's vicarious liability.
The supreme court next addressed whether Wisconsin law should adopt
some variant of a "captain of the ship" theory of liability. It declined
to do so. The doctor as "captain of the ship" reflects an inaccurate,
outmoded view of hospitals as mere places where doctors treat and care
for patients instead of their vital role in the billion dollar health
care industry (see 24).
Chief Justice Abrahamson, joined by Justice Bradley, concurred in the
mandate and wrote separately to emphasize the limits of the court's "broad
language," particularly as it related to a surgeon's duty to supervise
and control assisting nurses and personnel.
Psychotherapists - Negligent Treatment - Confidentiality - Chapter
655 - Statute of Limitations
Johnson v. Rogers Memorial Hospital Inc.,
2001 WI 68 (filed 19 June 2001)
In 1991 the plaintiffs' daughter, Charlotte, began receiving psychotherapy
at Rogers Memorial Hospital (RMH). She was later admitted as an inpatient,
which plaintiffs agreed to pay for. During treatment, Charlotte "recalled"
having been physically and sexually abused by her parents and ceased her
relationship with them. In 1996 her parents sued RMH and other providers
on a variety of theories for implanting false memories in their daughter.
The circuit court dismissed the complaint and the court of appeals affirmed.
The supreme court, in an opinion written by Justice Bablitch, reversed.
The central issue in this case, whether the parents of an adult child
can maintain a third-party professional negligence action against therapists
based on allegations of planting false memories, was decided in the affirmative
in Sawyer v. Midelfort, 227 Wis. 2d 124 (1999), while this case was pending.
Nonetheless, the court of appeals found Sawyer distinguishable because
the claims in this case imposed a "significant collateral burden" on the
confidentiality of the therapist-patient relationship.
Justice Bablitch addressed three issues. First, as to the potential
burden of such claims on the confidentiality of the therapist-patient
relationship, the court held that the factual record was insufficiently
developed to permit a public policy analysis. The record did not reveal
whether Charlotte waived the privilege or whether it even applied because
of the plaintiffs' participation in various sessions. Second, the plaintiffs
are permitted to maintain their claim against RMH based on breach of contract;
"chapter 655 is not the exclusive remedy for such claims" (¶ 20).
Finally, the record did not dispositively resolve whether the statute
of limitations barred the action. The case was remanded to the circuit
court.
Zoning
Variances - Use and Area - DNR
State v. Outagamie County Board of Adjustment,
2001 WI 78 (filed 29 June 2001)
In 1984 the Warnings built a home on their land. Although they built
according to their permit, the basement was about four feet below the
100-year regional flood elevation and six feet below the flood protection
elevation in violation of state regulations and county zoning ordinances.
In 1994 the Warnings sought permission to build a sun porch. Eventually,
they applied for an "after the fact" variance for their nonconforming
basement from the county board of adjustment. The DNR opposed the request.
The board unanimously granted the variance. The state sought certiorari
review in the circuit court, which affirmed the board and rejected the
DNR's contention that Wis. Admin. Code § NR 116.13(2) prohibited such
variances.
The court of appeals reversed, based on its construction of State v.
Kenosha County Board of Adjustment, 218 Wis. 2d 396 (1998), and § NR 116.13(2).
Clearly troubled by the result, the court of appeals noted the anomaly
of using zoning laws designed to protect basements in a way that would
likely authorize the destruction of one that had been trouble- free since
1984. Kenosha County, according to Justice Sykes' opinion in this case,
had "eliminated the previous distinction between area and use variances
and established a 'no reasonable use of the property' standard for the
issuance of either type of variance, thereby making all variances almost
impossible to obtain" (¶ 4).
The Wisconsin Supreme Court reversed the court of appeals. Space restrictions
permit only a summary of the court's various opinions. Justice Sykes wrote
the lead opinion. Joined by Justices Bablitch and Prosser, she would overrule
Kenosha County because its "radical change in variance law was unwarranted."
Justice Crooks and Justice Wilcox saw no need to overrule Kenosha County,
but concurred in the mandate because they found no impediment to the Warnings'
variance. Four members of the court joined Justice Sykes in concluding
that "because Wis. Admin. Code § NR 116.13(2) categorically prohibits
variances for any deviation from basement elevation requirements in floodplains,
it inexorably conflicts with the discretionary authority over variances
vested in local boards of adjustment by state statute, and therefore must
give way" (¶ 5).
Justice Prosser filed a separate concurring opinion that explained his
reasons for joining the lead opinion.
Chief Justice Abrahamson, joined by Justice Bradley, dissented.
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