Vol. 77, No. 7, July
2004
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
Attorneys
Lawyer-client Privilege - Waiver
Harold Sampson Children's
Trust v. The Linda Gale Sampson 1979 Trust, 2004 WI 57 (filed
25 May 2004)
During discovery, the clients' former attorney turned over documents
to the opposing party that their current lawyer asserted were
confidential. The documents had been prepared by a plaintiff for use by
her attorney and expressed her version of the facts and thoughts on
strategy. Current counsel demanded that the privileged documents be
returned. The circuit court appointed a referee who determined that the
documents were indeed privileged and that the clients had not consented
to their production. Based on the referee's findings of fact, the
circuit court ruled that the attorney could not waive the privilege,
which belonged to the clients, and that the clients had not consented to
waiver of the privilege. The court of appeals reversed on the theory
that the attorney acted as the clients' agent and that his disclosure
sufficed to waive the privilege.
The supreme court, in an opinion authored by Chief Justice
Abrahamson, reversed the court of appeals. It held that only the client
may waive the attorney-client privilege under Wis. Stat. section (Rule)
905.11; thus, "a lawyer without the consent or knowledge of a client,
cannot waive the attorney-client privilege by voluntarily producing
privileged documents (which the attorney does not recognize as
privileged)"
(¶ 4). Although several prior cases had addressed the issue of
"inadvertent" waivers, they were inapposite because here "the attorney
intended to release the documents in issue" (¶ 28). His "only
mistake" related to the documents' privileged status. Under section
905.03(2) as well as section 905.11(3), "the client holds and controls
the attorney-client privilege and only the client can waive it" (¶
32). Moreover, pertinent case law supports the conclusion that only the
client, not the lawyer, may waive the privilege (¶ 33).
Finally, "[t]he policies that supported imputing an attorney's
conduct to the client [in prior case law] do not support imputing to a
client an attorney's voluntary disclosure of attorney-client privileged
documents in a case like the one at bar" (¶ 39). Acknowledging the
impracticality of "unring[ing] the bell," the supreme court nonetheless
held that the only remedy available was the return of the documents and
the prohibition of their use by the opposing party (¶ 48).
Constitutional Law
Gaming Compact - Separation of Powers
Panzer v. Doyle,
2004 WI 52 (filed 13 May 2004)
The petitioners, a group of legislators, filed this original action
in the supreme court. They claimed that the governor had exceeded his
authority when he agreed to various amendments to an Indian gaming
compact. More specifically, the petitioners asserted that the governor
improperly 1) expanded the scope of gaming by adding games that were
previously unlawful; 2) extended the duration of the compact to the
point that it became "perpetual"; 3) committed the state to future
appropriations; and 4) waived the state's sovereign immunity (¶
3).
In its much publicized decision, written by Justice Prosser, the
supreme court held that the governor had exceeded his authority "when he
agreed unilaterally to a compact term that permanently removes the
subject of Indian gaming from the legislature's ability to establish
policy and make law." It further held that "the Governor acted contrary
to the public policy embodied in state law and therefore acted without
authority by agreeing to allow the [tribe] to conduct new games that are
prohibited by [the Wisconsin Constitution and criminal law]" (¶ 5).
Finally, "the Governor exceeded his authority by agreeing to waive the
state's sovereign immunity, an act which he had no inherent or delegated
power to undertake"(¶ 5). Although the opinion carries enormous
public policy implications, space limitations do not permit a more
detailed exegesis of the court's lengthy analysis and ruling.
Chief Justice Abrahamson, joined by Justices Bradley and Crooks,
dissented in a lengthy opinion that plumbs the practical implications of
the majority's decision while underscoring its analytical
shortcomings.
Criminal Procedure
Exculpatory Evidence - Failure of State to Disclose Material
Impeachment Evidence Prior to Defendant's Guilty Plea - Manifest
Injustice
State v. Harris,
2004 WI 64 (filed 8 June 2004)
This case involved a failure by the state to disclose material
exculpatory impeachment evidence before the defendant's entry of a
guilty plea despite a defense demand for exculpatory evidence. The
circuit court found that the defendant would not have entered a guilty
plea if the evidence had been disclosed, and the court permitted him to
withdraw his plea. In a published decision the court of appeals affirmed
the circuit court. See 2003 WI App 144.
In a decision authored by Justice Wilcox, the supreme court affirmed
the court of appeals. It held that the state did not violate the
defendant's right to due process because, pursuant to the U.S. Supreme
Court decision in United States v. Ruiz, 536 U.S. 622 (2002),
due process does not require the disclosure of material exculpatory
impeachment information before a defendant enters into a plea bargain.
[In a footnote the court noted that its decision is limited to material
exculpatory impeachment evidence. "We do not determine whether
due process requires the disclosure of purely exculpatory information
prior to a plea bargain" (¶ 23 n. 15).]
However, the court concluded that the nondisclosure violated Wis.
Stat. section 971.23(1)(h), which requires that, upon demand, the
district attorney shall disclose "any exculpatory evidence" within a
reasonable time before trial. The nondisclosed evidence in this case was
of the type that should have been turned over pursuant to the statute,
because it was favorable to the defendant (it was impeachment evidence
that cast doubt on the credibility of the state's primary witnesses),
and the nondisclosure undermined the court's confidence in the judicial
proceeding because the defendant would not have pled guilty but for the
nondisclosure.
"We further hold that in order to comply with the mandate in §
971.23(1) that such information must be turned over within a reasonable
time before trial, the State was obligated to disclose this evidence at
a point when [the defendant] would have had sufficient time to make
effective use of the information. As [he] entered his plea bargain
within two weeks prior to the date his trial was scheduled to commence,
the State should have disclosed the suppressed evidence by at least this
point in the proceedings in order for [the defendant] to be able to
effectively use it. Given that 1) the [nondisclosed] evidence ... was
the type of evidence required to be disclosed under
§ 971.23(1)(h); 2) the State did not disclose this evidence
within a reasonable time before trial; and 3) [the defendant] would not
have pled guilty but for this nondisclosure, [the defendant] has
demonstrated that a withdrawal of his plea is necessary to avoid a
manifest injustice" (¶ 40).
Justice Wilcox also authored a separate concurring opinion. Justice
Sykes did not participate in this decision.
Criminal Procedure/Statutory
Interpretation
Judicial Review of Decision Not to Prosecute - Wis. Stat. section
968.02(3) Statutory Interpretation - Use of Extrinsic Aids to Interpret
Statutes - Legislative History
State ex rel. Kalal v.
Circuit Court for Dane County, 2004 WI 58 (filed 25 May
2004)
The legal context of this case is Wis. Stat. section 968.02(3), which
provides that "if a district attorney refuses or is unavailable to issue
a complaint, a circuit judge may permit the filing of a complaint, if
the judge finds there is probable cause to believe the person to be
charged committed an offense." The narrow issue before the supreme court
involved the meaning of the term "refuses" in the statute.
In a majority opinion authored by Justice Sykes, the court concluded
that "[t]o 'refuse' is to indicate unwillingness to do a thing. As the
term is commonly understood, a 'refusal' involves a decision to reject a
certain choice or course of action. A 'refusal,' however, need not
necessarily be expressed in particular or explicit terms to be
understood as a refusal. A district attorney's refusal to issue a
complaint for purposes of Wis. Stat. § 968.02(3) may be established
directly or circumstantially. We therefore reject the [petitioners']
argument that only a direct and unequivocal statement from the district
attorney - e.g., 'I refuse to issue a complaint' - can satisfy the
statute" (¶¶ 7-8).
The court concluded that because section 968.02(3) specifies an ex
parte procedure, a defendant named in a complaint issued pursuant to the
statute cannot challenge the judge's decision by way of a motion for
reconsideration. See ¶ 21. Further, "to the extent that a
circuit judge's decision to permit the filing of a complaint under Wis.
Stat. § 968.02(3) is legally or factually unsupported, the
defendant named in the complaint may seek its dismissal in the circuit
court after it has been filed, and may pursue standard appellate
remedies thereafter. But the statutory prerequisite that the judge find
a refusal to prosecute by the district attorney does not impose upon the
circuit judge a plain, clear, non-discretionary, and imperative duty of
the sort [that would be required for the issuance of a supervisory writ
by an appellate court]" (¶ 25).
This decision is of particular significance in view of its language
dealing with techniques of statutory interpretation. The court concluded
that "the general framework for statutory interpretation in Wisconsin
requires some clarification. It is, of course, a solemn obligation of
the judiciary to faithfully give effect to the laws enacted by the
legislature, and to do so requires a determination of statutory meaning.
Judicial deference to the policy choices enacted into law by the
legislature requires that statutory interpretation focus primarily on
the language of the statute. We assume that the legislature's intent is
expressed in the statutory language. Extrinsic evidence of legislative
intent may become relevant to statutory interpretation in some
circumstances, but is not the primary focus of inquiry. It is the
enacted law, not the unenacted intent, that is binding on the public.
Therefore, the purpose of statutory interpretation is to determine what
the statute means so that it may be given its full, proper, and intended
effect" (¶ 44).
The court has repeatedly held that statutory interpretation begins
with the language of the statute. If the meaning of the statute is
plain, the inquiry ordinarily stops. However, if a statute is ambiguous,
the cases have often stated that the reviewing court turns to the scope,
history, context, and purpose of the statute. But in this decision the
court characterized this common formulation as "somewhat misleading:
scope, context, and purpose are perfectly relevant to a plain-meaning
interpretation of an unambiguous statute as long as the scope, context,
and purpose are ascertainable from the text and structure of the statute
itself, rather than extrinsic sources, such as legislative history"
(¶ 48).
What is clear, said the court, "is that Wisconsin courts ordinarily
do not consult extrinsic sources of statutory interpretation unless the
language of the statute is ambiguous. By 'extrinsic sources' we mean
interpretive resources outside the statutory text - typically items of
legislative history ... We have repeatedly emphasized that
traditionally, resort to legislative history is not appropriate in the
absence of a finding of ambiguity. This rule generally prevents courts
from tapping legislative history to show that an unambiguous statute is
ambiguous. That is, the rule prevents the use of extrinsic sources of
interpretation to vary or contradict the plain meaning of a statute,
ascertained by application of the foregoing principles of
interpretation. Thus, as a general matter, legislative history need not
be and is not consulted except to resolve an ambiguity in the statutory
language, although legislative history is sometimes consulted to confirm
or verify a plain-meaning interpretation" (¶¶ 50-51)
(citations and internal quotes omitted). In a footnote the court stated
its intent to "refocus the primary statutory interpretation inquiry on
intrinsic, textual sources of statutory meaning and reiterate the rule
that extrinsic sources of interpretation are generally not consulted
unless there is a need to resolve an ambiguity in the statutory
language" (¶ 49 n.8).
Chief Justice Abrahamson and Justice Bradley filed separate
concurring opinions.
Sentencing - Correction of Sentencing Errors to Achieve Original
Purpose of Sentence
State v.
Gruetzmacher, 2004 WI 55 (filed 18 May 2004)
The defendant was convicted of numerous offenses. At the sentencing
hearing on Feb. 19, 2002, the court clearly articulated that it believed
that 40 months of confinement was the minimum necessary confinement for
this defendant. For one of the crimes the court sentenced the defendant
to 40 months of confinement followed by 20 months of extended
supervision. A variety of less severe dispositions was given for the
other crimes.
Later that day the court realized that 24 months was the maximum
confinement time for the offense for which it had imposed 40 months of
confinement. The court then attempted to contact counsel and schedule
another hearing. The parties could not reconvene until two days later
and ultimately the court held a resentencing hearing on March 5, 2002.
In the meantime the court had entered a temporary stay with respect to
all sentences so that the defendant would not be sent to prison.
At the resentencing hearing the court sentenced the defendant to the
maximum 24 months of confinement on the crime for which 40 months had
been erroneously ordered. It also increased the sentence on another
charge from 12 years probation to 40 months confinement (plus 20 months
of extended supervision) with the sentences to run concurrently. Among
the issues on appeal was whether a Wisconsin circuit court that makes a
mistake in sentencing may correct obvious errors when the sentencing
judge made a good faith mistake during sentencing, promptly recognized
the error, and, although he increased a sentence on one count and
reduced punishment on another count, achieved what the court originally
intended.
In a unanimous decision authored by Justice Crooks, the supreme court
concluded that "the circuit court acted appropriately in notifying the
parties and holding another hearing two days later and resentencing [the
defendant] two weeks later, in March, 2002, in order to correct a
sentencing error. As is evidenced by the statements made during
sentencing, the circuit court clearly intended to sentence [the
defendant] to 40 months initial confinement. [The defendant] did not
have an expectation of finality at his initial sentencing, because of
the prompt actions of the court, so the sentence could be modified to
correct the sentencing error" (¶ 2).
The court declined the state's invitation to overrule State v.
North, 91 Wis. 2d 507, 283 N.W.2d 457 (Ct. App. 1979).
"Nevertheless, we withdraw the per se rule language in North
that states that modification to correct sentencing errors is contrary
to the double jeopardy provisions when the court seeks to increase a
sentence already being served. We emphasize that the remainder of
North remains intact, and is to be read with the factors set
forth in State v. Jones, 2002 WI App 208, 257 Wis.2d 163, 650
N.W.2d 844" (¶ 3).
In Jones, the court of appeals noted that Wisconsin courts
have long recognized expectation of finality in a sentence as a key
consideration in determining whether there has been a violation of
double jeopardy. Said the court in Jones, "we, therefore,
adhere to the tenet that the analytical touchstone for double jeopardy
is the defendant's legitimate expectation of finality in the sentence,
which may be influenced by many factors, such as the completion of the
sentence, the passage of time, the pendency of an appeal, or the
defendant's misconduct in obtaining sentence." 2002 WI App 208, ¶
10.
In this case the circuit court clearly intended to sentence the
defendant to 40 months of initial confinement. It discovered the
sentencing error the same day, and the parties would have reconvened
that day if the judge did not have other assignments outside the county.
Instead the court notified the parties and everyone was back in court
two days later to address the matter. The defendant was kept in the
county jail until resentencing and was not sent to prison in the
meantime.
"The fact that the justice system as a whole had not yet begun to act
upon the circuit court's sentence is an important fact that bears
emphasis. Moreover, this was not a case where, upon mere reflection, the
circuit court decided to increase [the defendant's] sentence. [The]
sentence was not increased, and the circuit court merely corrected its
mistake, so that [the defendant] could serve the intended 40-month
sentence. Given the abovementioned considerations, we conclude that [the
defendant] did not have a legitimate expectation of finality when
sentenced in February, 2002" (¶ 38).
Justice Sykes did not participate in this decision.
Resentencing - Judicial Vindictiveness
State v. Naydihor,
2004 WI 43 (filed 15 April 2004)
The defendant entered a guilty plea on a charge of causing injury by
the intoxicated use of a vehicle. The circuit court sentenced him to
three years in prison and five years of extended supervision. In
postconviction proceedings the defendant claimed that the prosecutor had
breached the plea agreement during the state's sentencing argument. The
circuit court granted the defendant's motion and it ordered resentencing
in the case before a different judge. The second judge imposed a
sentence of five years' confinement and five years of extended
supervision, justifying the increased sentence on the ground that the
victim's condition had deteriorated since the original sentencing and
her medical bills had substantially increased.
The defendant appealed. Among other things, he contended that the
increased sentence violated due process because it was the product of
judicial vindictiveness. The court of appeals affirmed, concluding that
the resentencing court was entitled to consider the victim's
deteriorated condition in resentencing the defendant and therefore that
the increased sentence was not a product of judicial vindictiveness.
See 2002 WI App 272.
In a unanimous decision authored by Justice Wilcox, the supreme court
affirmed the court of appeals. It rejected the defendant's contention
that his increased sentence created a presumption of judicial
vindictiveness that was never rebutted. The defendant's argument was
based on North Carolina v. Pearce, 395 U.S. 711 (1969), in
which the U.S. Supreme Court concluded that due process prohibited a
defendant from being given a harsher sentence at resentencing because of
vindictiveness for having successfully attacked his or her first
conviction. [Note: Subsequent cases have interpreted Pearce as
applying a presumption of vindictiveness that may be overcome only by a
showing of objective information in the record justifying the increased
sentence. When the presumption is inapplicable, a defendant must
demonstrate actual vindictiveness in order to prevail.]
While Pearce created a rebuttable presumption of
vindictiveness, its rule has been limited by subsequent cases. "The
United States Supreme Court has since explained that it has restricted
application of Pearce to areas where its objectives are thought
most efficaciously served. Such circumstances are those in which there
is a reasonable likelihood that the increase in sentence is the product
of actual vindictiveness on the part of the sentencing authority"
(¶ 36) (citations and internal quotes omitted). "The Court has also
explained that a reasonable likelihood of vindictiveness exists only if
there is a realistic possibility that the sentencing court, after being
reversed, may engage in self-vindication and retaliate against the
defendant for having successfully pursued appellate relief" (¶
37).
In this case the court concluded that "the Pearce
presumption of vindictiveness does not apply here because the defendant
was resentenced by a different judicial authority at his request due to
a non-judicial defect at the original sentence hearing, and the
resentencing was granted by the original court in which the defect
occurred. In such circumstances there is no realistic motive for
vindictive sentencing, such that it can be said there was a reasonable
likelihood of vindictiveness, much less a possibility of vindictiveness.
As there was no hazard that [the defendant] was being penalized for
seeking enforcement of the terms of his plea bargain, the
Pearce presumption does not apply to this case" (¶ 56)
(citations and internal quotes omitted).
The supreme court also held that, even if there were a presumption of
vindictiveness, it was overcome "because new information regarding the
deteriorated condition of the crime victim constituted objective
evidence of an event occurring after the initial sentence that provided
a nonvindictive justification for the circuit court's imposition of a
more severe sentence" (¶ 57). Accordingly, the defendant's due
process rights were not violated by the imposition of an increased
sentence upon resentencing.
Municipal Law
Police and Fire Commissions - Statutory Appeal of Commission
Disciplinary Action - Review by Common Law Writ of
Certiorari
Gentilli v. Board of Police
& Fire Commissioners of City of Madison, 2004 WI 60 (filed
2 June 2004)
The Madison Police and Fire Commission (PFC) discharged the
petitioner, a firefighter employed by the city of Madison, for various
violations of department rules. The petitioner sought review of the
PFC's decision in two parallel actions in the circuit court. He pursued
a statutory appeal pursuant to Wis. Stat. section 62.13(5)(i) in which
the question was whether "just cause" for his termination was
demonstrated at the PFC hearing. The second action was a petition for a
writ of certiorari to determine whether the PFC had kept within its
jurisdiction and proceeded on a correct theory of law (the issues in the
certiorari action being whether department rules involved in the
termination were vague and overbroad).
In the statutory appeal the circuit court concluded that there was
"just cause" for the termination. This decision was final because by
statute it is not appealable. The court then dismissed the certiorari
action, concluding that all of the issues raised therein were
encompassed within the statutory appeal. The petitioner appealed the
dismissal of the certiorari action. The case was before the supreme
court on certification from the court of appeals.
As described by the supreme court, the appeal "concerns the
interaction of Wis. Stat. § 62.13(5)(i), governing circuit court
review of an order of a board of police and fire commissioners, and
common law certiorari review of such an order. More specifically, the
question is whether
§ 62.13(5)(i) as amended in 1993 is the exclusive remedy for
[the petitioner's] claim that the rules he was found to have violated
were unconstitutionally vague and overbroad" (¶ 2).
In a unanimous decision authored by Chief Justice Abrahamson, the
supreme court concluded that
"§ 62.13(5)(i) as amended in 1993 is not the exclusive remedy
for a claim that the rules a subordinate was found to have violated were
unconstitutionally vague and overbroad. The constitutional issues of
vagueness or overbreadth of administrative rules that [the petitioner]
raised in his petition for a writ of certiorari are issues of law that
even if somewhat overlapping with the issues in the statutory appeal
proceeding may be considered under certiorari because they concern
whether the PFC board kept within its jurisdiction and proceeded on a
correct theory of the law" (¶ 3). Whether an administrative agency
like the PFC kept within its jurisdiction and whether the agency
proceeded on a correct theory of the law are traditional questions
reviewable by a writ of certiorari.
Accordingly, the supreme court reversed the order of the circuit
court dismissing the certiorari action and remanded the matter to the
circuit court.
Justice Roggensack did not participate in this decision.
Sex Offenders
Registration - Juveniles - Stays
State v. Cesar G.,
2004 WI 61 (filed 3 June 2004)
Cesar G., then age 12, was adjudicated delinquent for his role in the
sexual assault of a young girl. The dispositional order included a
requirement that Cesar register as a sex offender. After the circuit
court denied a defense motion to stay that part of the order, the court
of appeals affirmed. Two issues were before the supreme court. First, is
a circuit court authorized to stay an order requiring a delinquent child
to register as a sex offender? Second, if it has such discretion, what
criteria should be applied in making the determination?
The supreme court, in an opinion written by Chief Justice Abrahamson,
reversed the court of appeals and remanded the matter. First, Wis. Stat.
section 938.34(16) authorizes a circuit court to stay dispositional
orders requiring a delinquent child to register as a sex offender. The
holding is rooted in the "text, history, and purpose" of the pertinent
statute. In particular, "[a] statutory scheme designed to give circuit
courts flexibility to tailor dispositional orders to the circumstances
of a particular case would give a circuit court discretion to stay all
or some portions of a dispositional order, including sex offender
registration" (¶ 33). "In sum, we conclude that the sex offender
registration requirement established in Wis. Stat. § 938.34(15m) is
a disposition. Furthermore, Wis. Stat. § 938.34(16) allows the
circuit court to stay one or more of the § 938.34 dispositions
contained in its dispositional order, including the disposition
requiring the juvenile to register as a sex offender" (¶ 40).
Second, the record revealed that the circuit court had erroneously
denied the stay based on its mistaken conclusion that it lacked
authority to do so. See ¶ 46. The supreme court held that
on remand the lower court should consider the factors set forth in Wis.
Stat. sections 938.34(15m)(c) and 301.45(1m)(e), along with the
seriousness of the offense, in determining whether a stay is
appropriate.
Torts
Dog-bite Cases - Summary Judgment - Public Policy Factors
Fandrey v. American Fam. Mut.
Ins. Co., 2004 WI 62
(filed 3 June 2004)
A woman took her 3-year-old daughter with her to deliver cookies to
friends. The mother and child entered the home of the defendant, a close
friend, through an unlocked door and discovered that she was not home.
The mother put the child down as she wrote a note to her friend. At some
point, the defendant's dog bit the child on the mouth and injured her.
The child sued the defendant homeowner and her insurance company
pursuant to the dog-bite statute, Wis. Stat. section 174.02. The circuit
court granted summary judgment on behalf of the defendants based on
public policy grounds.
On certification, the supreme court affirmed in an opinion written by
Justice Wilcox. First, public policy analysis may be properly applied to
strict liability statutes generally and to section 174.02 in particular,
especially since a dog owner's liability is subject to comparative
negligence principles (¶ 20). The majority opinion extensively
discussed the origins and evolution of the public policy analysis and
its replacement of the older concept of "proximate cause." See
¶15.
Second, on this record the circuit court properly applied public
policy analysis at the summary judgment stage, and the supreme court had
no difficulty making its own determination. The facts were truly
undisputed (the plaintiff did not even submit competing summary judgment
material). "When the policy questions are fully presented to us and the
facts are easily ascertainable, this court can utilize public policy to
preclude liability before a trial" (¶ 27). The remainder of the
opinion is a record-intensive application of the public policy factors
to the facts in this case (for example, "were we to allow liability
here, the door would be open to imposing liability on a homeowner when a
burglar enters his or her home and is injured by a dog") (¶
39).
Justice Bradley, joined by Chief Justice Abrahamson, concurred and
wrote separately to emphasize that "proximate cause" and "public policy
factors" are not interchangeable; rather, "in Wisconsin we use public
policy factors, not proximate cause, to limit liability" (¶
45).
Damages - "No Case" Rule - Interest
Weber v. White, 2004
WI 63 (filed 8 June 2004)
A jury awarded the plaintiffs $5,000 for future health care expenses.
The court of appeals reversed the award because it was based on "fatally
contradictory testimony."
The supreme court, in an opinion authored by Justice Bradley,
reversed the court of appeals. Because the circuit court had approved
the jury's verdict, the supreme court applied an "erroneous exercise of
discretion" standard of review (¶ 18). That said, the court
wrestled with the application of the "no case rule" articulated in
Ianni v. Grain Dealers Mutual Insurance Co., 42 Wis. 2d 354
(1969), which held that "no case is made" when a party relies on the
testimony of a single witness that is "contradictory and conflicting
with no explanation of the contradiction" (¶ 24). The court refused
to apply the "no case" rule here because the asserted contradictions by
the expert witness were "contrived." (They related to the number of
future chiropractic treatments the plaintiff might require.) "The law
does not require mathematical certainty to determine future health care
expenses. As long as the decision is based on probability and not
possibility, the court can make such an award" (¶ 30).
A second issue involved the defendant's request to pay a portion of
the judgment to the clerk of courts to avoid the accumulation of further
statutory interest. The supreme court upheld the trial court's
application of the four-factor analysis set forth in
prior case law, particularly the concern that "if the money were paid
directly to the clerk, the [plaintiffs] would not have control of it and
would not receive the statutory interest on the judgment" (¶
39).
Zoning
Variances - Standard Applicable to Area Variances
State v. Waushara County Bd.
of Adjustment, 2004 WI 56 (filed 18 May 2004)
Zoning variances are of two types: use variances and area variances.
"A use variance is one that permits a use other than that prescribed by
the zoning ordinance in a particular district. An area variance has no
relationship to a change of use. It is primarily a grant to erect,
alter, or use a structure for a permitted use in a manner other than
that prescribed by the restrictions of a zoning ordinance." State v.
Outagamie County Bd. of Adjustment, 2001 WI 78, ¶ 34.
In this case the supreme court was called on to determine the correct
legal standard to be applied by a board of adjustment when considering
whether to grant an area variance. "More specifically, is the correct
legal standard whether the failure to receive the variance will create,
for the property owner, an unnecessary hardship in light of the purposes
of the zoning ordinance, or is it whether the owner will have no
reasonable use of the property without a variance?" (¶ 1)
In a majority decision authored by Justice Crooks, the supreme court
concluded that, in evaluating whether to grant an area variance to a
zoning ordinance, a board of adjustment should focus on the purpose of
the zoning law at issue in determining whether an unnecessary hardship
exists for the property owner seeking such variance. "We further
conclude that the facts of the case should be analyzed in light of that
purpose, and that boards of adjustment must be afforded flexibility so
that they may appropriately exercise their discretion. We also again
recognize and emphasize the presumption that the board's decision is
correct" (¶ 35).
The court reaffirmed the definition of the statutory term
"unnecessary hardship" articulated in Snyder v. Waukesha County
Zoning Bd. of Adjustment, 74 Wis. 2d 468, 247 N.W.2d 98 (1976),
because the Snyder definition best encompasses the appropriate
test for granting an area variance. In Snyder the court stated
that the test for unnecessary hardship relating to area variances is
"[w]hether compliance with the strict letter of the restrictions
governing area, set backs, frontage, height, bulk or density would
unreasonably prevent the owner from using the property for a permitted
purpose or would render conformity with such restrictions unnecessarily
burdensome." Id. at 475.
The court further concluded that the "no reasonable use of the
property without a variance" standard, as set forth in State v.
Kenosha County Board of Adjustment, 218 Wis. 2d 396, 577 N.W.2d 813
(1998), is no longer applicable when an area variance is being
considered. Moreover, while there was a claim in this case that the
variance implicated shoreland zoning concerns, "it should be noted that
the proposed addition would not bring the [petitioners'] home any closer
to [the lake]" (¶ 35).
Justice Bradley filed a dissenting opinion that was joined by Chief
Justice Abrahamson. Justice Roggensack did not participate in this
decision.
Wisconsin Lawyer