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Vol. 72, No. 8, August 1999 |
Court of Appeals Digest
By Prof. Daniel D. Blinka
& Prof. Thomas J. Hammer
| Appellate Procedure | Attorneys
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| Campaign Contributions | Criminal
Law | Criminal Procedure
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| Evidence | Frivolous
Actions | Trade Secrets
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Appellate Procedure
Timeliness - President's Day
Klingbeil v. Perschke,
No. 99-0488 (filed 20 May 1999) (ordered published 30 June 1999)
The court of appeals, per curiam, dismissed a defendant's
appeal as untimely. Since a notice of entry of judgment had been
filed, the defendant had 45 days to file a notice of appeal.
The forty-fifth day was Saturday, Feb. 13, 1999. It was undisputed
that the defendant had one more day to file the notice of appeal.
The issue was whether the additional day was Monday, which happened
to be President's Day, or the next day, Tuesday. The defendant
filed the notice of appeal on Tuesday.
The court of appeals held that the notice was untimely by
application of section
801.15(1)(b) of the Wisconsin Statutes. Although President's
Day was a holiday for purposes of some statutes, the circuit
court clerk's office was open that day and thus the defendant
was obligated to file the notice of appeal that Monday.
Attorneys
Clients - Confidentiality - Release of Records
Thiery v. Bye,
No. 98-2796 (filed 4 May 1999) (ordered published 30 June 1999)
A client brought claims for legal malpractice and invasion
of privacy against her lawyer and his firm. The lawyer had represented
the client in a personal injury claim that was later settled.
The lawyer requested the client's consent to use her medical
records and deposition transcripts in a class taught at a technical
college by a nurse/investigator employed by the lawyer's
office. The lawyer promised in writing that the client's
identity would be "sanitized" through redaction. The
records were never redacted but the client did receive $500 in
exchange for the technical college's right to use the material.
The trial judge dismissed the claims, ruling that the lawyer
had no duty to redact the documents.
The court of appeals, in an opinion written by Judge Myse,
affirmed in part and reversed in part. First, the lawyer clearly
had a duty. The record belied the lawyer's claim that no
attorney-client relationship existed at the time of the request
to use the records (for example, the settlement had not yet been
distributed). The lawyer's breach of his promise to redact
the records is "measured from the time he made the representation
to her," even though the actual breach occurred after the
"attorney-client relationship terminated." Moreover,
"the confidentiality of a client's records is ongoing
and transcends the termination of the case." The court relied
in part on SCR
20:1.6(a) (1998), the commentary to which provides: "The
duty of confidentiality continues after the client-lawyer relationship
has terminated."
Summarizing its holding, the court stated "that an attorney
has a duty to maintain the confidentiality of documents in his
possession as a result of legal services rendered to a client.
This duty exists notwithstanding that litigation may or may not
be pending or that services are completed. To contend otherwise
is inconsistent with an agent's duty to protect a principal's
confidential information and would limit an attorney's obligation
to his client to only that conduct performed while litigation
is being prosecuted. It would remove any obligation for the reasonable
care and handling of confidential documents in counsel's
possession as a result of his legal representation of a client."
The lawyer also acquired a duty based on his representation
to the client that her identity would be redacted before the
records were released. Thus, the lawyer had no authority to release
the client's confidential records other "than in accordance
with the conditions imposed pursuant to his representation and
[the client's] authorization." (The court also held
that expert testimony was not necessary to establish the duty.)
Finally, the court upheld the dismissal of the client's
claim against the nurse/investigator in her capacity as a law
firm employee. Her work as an instructor was entirely separate
from her employment with the firm. For purposes of summary judgment,
the record supported the trial court's finding that the
nurse/investigator acted entirely within her capacity as a technical
college instructor when soliciting and copying the records.
Campaign Contributions
Lobbyists - Contributions by Spouses of Lobbyists
Katzman v. Wisconsin
Ethics Board, No. 98-2884 (filed 6 May 1999) (ordered
published 30 June 1999)
William Katzman is a lobbyist, licensed by and registered
with the Ethics Board to engage in lobbying. His wife Joanne
is not a lobbyist. The circuit court concluded that the statute
prohibiting lobbyists from making contributions to incumbents
and candidates for partisan elective state office, except during
a specified period preceding general elections, cannot be violated
when a political contribution is made by a lobbyist's spouse
from marital funds. The court thus enjoined the board from investigating
political contributions made by Joanne except to the limited
extent necessary to determine whether she made any such contributions
from William's separate property.
The court of appeals, in a decision authored by Judge Deininger,
affirmed. It concluded that the trial court correctly interpreted
the statutes governing political contributions. Wis. Stat. section
13.625(1)(c) contains no prohibition against a lobbyist's
spouse making political contributions, from any source, at any
time. The conduct of a lobbyist's spouse is not addressed
at all in any of the lobby law provisions of chapter 13.
The court also looked to chapter 11 of the Wisconsin Statutes,
which governs campaign financing, to determine what is and what
is not permissible with respect to the making of campaign contributions.
Section
11.24(1) provides, among other things, that "no person
may, directly or indirectly, furnish funds or property to another
person for the purpose of making a contribution in other than
the person's own name." The court concluded that it
is clear that neither a lobbyist nor anyone else may "furnish
funds" to another person for subsequent transfer to a candidate,
in an effort to disguise the true source of a political contribution.
However, it held that when a married person makes a contribution
to a candidate from his or her marital property, the person does
so with his or her own funds, which means that the funds were
not "furnished" by his or her spouse within the meaning
of section 11.24(1).
Criminal Law
Sexual Assault of a Child - "Person Responsible
for Welfare of Child"
State v. Ward,
No. 98-2530-CR (filed 13 May 1999) (ordered published 30 June
1999)
The defendant was convicted of four counts of failing to act
to protect a child from sexual assault when she had a duty to
do as a "person responsible for the welfare of a child."
See Wis. Stat. §
948.02(3). She argued that the trial court erred when it
instructed the jury that a "person responsible for the welfare
of a child," which is defined at section 948.01(3), includes
a person "used by" one legally responsible for the
child's welfare to exercise temporary control or care for
the child. The statute speaks in terms of a person employed by
one legally responsible for a child's welfare to exercise
temporary control or care for the child. The defendant argued
that she was not so employed. The evidence showed that the assaults
happened when neighbor children visited the defendant's
house trailer. They paid such visits regularly, the visits were
with the permission of the victims' parents, and the visits
were welcomed by the defendant. The defendant was never paid
for caring for any of the victims.
In a decision authored by Judge Dykman, the court concluded
that the defendant was a person responsible for the welfare of
a child within the meaning of section 948.02(3). The Wisconsin
Supreme Court has held that a person may be responsible for the
welfare of a child if he or she is "used by the child's
legal guardian to act as a caretaker for the child." See
State v. Sostre, 198 Wis.
2d 409, 542 N.W.2d 774 (1996). Therefore, all that is necessary
for establishing that one is legally responsible for a child's
welfare is that the person who is legally responsible for the
child's welfare "make use of" a person who then
knowingly fails to prevent the sexual assault of the child. The
circuit court therefore did not erroneously exercise its discretion
by instructing the jury that "a person employed or used
by one legally responsible for the child's welfare to exercise
temporary control or care for the child" could be found
guilty of failing to act to protect a child from sexual assault.
Attempted First-degree Intentional Homicide and
First-degree Reckless Injury - Fetus as the Victim
of Its Mother's Acts
State v. Deborah
J.Z., No. 96-2797-CR (filed 26 May 1999) (ordered published
30 June 1999)
One week before her due date, the defendant was drinking in
a local tavern when she believed she was going to have her baby.
At the hospital she was uncooperative, belligerent at times,
and very intoxicated. Her blood alcohol concentration exceeded
0.30 percent. The defendant allegedly told a nurse, "if
you don't keep me here, I'm just going to go home and
keep drinking and drink myself to death, and I'm going to
kill this thing because I don't want it anyways."
The defendant consented to a cesarean section and gave birth
to a baby girl. At birth the baby was extremely small, her physical
features presented fetal alcohol effects, and her blood alcohol
level was .199 percent. After a few weeks the baby was discharged
to a foster family.
The state charged the defendant with attempted first-degree
intentional homicide and first-degree reckless injury. She was
bound over following preliminary hearing and was permitted to
appeal the denial of a motion to dismiss the information for
lack of probable cause at the preliminary examination.
On appeal the defendant argued that the state did not establish
at the preliminary hearing that it had probable cause to charge
her with these crimes. She urged that her alleged act of consuming
alcohol while pregnant does not satisfy the statutes' requirement
that the act be perpetrated against another "human being."
In a decision authored by Judge Anderson, the court of appeals
concluded that the term "human being" as used in the
statutes involved in this case was not intended by the legislature
to refer to an unborn child. Section
939.22(16) of the Wisconsin Statutes defines a human being
as "one who has been born alive." The court concluded
that this definition applies to any statute using that term in
chapter
940 of the Criminal Code. According to the plain language
of the statutes, the court determined that the Legislature did
not intend for the statutes under which the defendant was charged
to apply to actions directed against an unborn child.
The state also argued that because the unborn child survived
and was successfully delivered, the "born alive" doctrine
permits prosecution. The appellate court noted that 31 states,
by judicial decision, have adopted the "born alive"
rule that if an unborn child suffers a prenatal injury at the
hands of a third party and is born alive, certain civil or criminal
charges may be brought against the third party. However, the
state was unable to point to a case with a situation, similar
to that in this case, in which the "born alive" rule
has been applied for self-abuse by the mother which negatively
impacts an unborn child that is later "born alive."
Said the court in summary, to be convicted of attempted first-degree
intentional homicide and first-degree reckless injury, the defendant
must attempt to kill or injure someone who has been born alive.
This is not what the defendant was charged with doing in this
case. The decision whether to include an unborn child in the
definition of a "human being" is a policy issue best
addressed by the Legislature.
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