Vol. 78, No. 3, March
2005
Court of Appeals Digest
This column summarizes selected published opinions of the Wisconsin
Court of Appeals. Prof. Daniel D. Blinka and Prof. Thomas J. Hammer
invite comments and questions about the digests. They can be reached at
the Marquette University Law School, 1103 W. Wisconsin Ave., Milwaukee,
WI 53233, (414) 288-7090.
by Prof. Daniel D. Blinka & Prof. Thomas J. Hammer
Appellate Procedure
Notice of Intent to Pursue Postconviction Relief - Power of Court of
Appeals to Grant Time Extensions in Cases Alleging Ineffective
Assistance of Counsel
State v.
Quackenbush, 2005 WI App 2 (filed 30 Dec. 2004) (ordered
published 26 Jan. 2005)
The defendants moved for extensions of the time to file notices of
intent to pursue postconviction relief. The main issue on appeal was
whether analysis of their motions is controlled by State v.
Evans, 2004 WI 84, 273 Wis. 2d 192, 682 N.W.2d 784. In a per curiam
decision, the court of appeals answered in the negative.
A defendant commences the postconviction process by filing in circuit
court, within 20 days after sentencing, a notice of intent to pursue
postconviction relief. Rule 809.30(2)(a). If the notice requests
representation by the State Public Defender, the circuit court clerk
sends a copy of the notice to that office, which may then appoint
counsel and order transcripts and the court record. Rule
809.30(2)(c)-(g). Within 60 days after the later of service of the
transcript or service of the record, the defendant may file either a
postconviction motion or a notice of appeal. Rule 809.30(2)(h). Further
proceedings and decisions then occur in either the circuit court or the
court of appeals.
The appellate procedure rules in Wis. Stat. chapter 809 provide the
court of appeals with the authority to enlarge most times prescribed by
those rules, including all times provided in Rule 809.30. The
enlargement rule (Rule 809.82(2)(a)) provides in relevant part that,
except as provided elsewhere, "the court upon its own motion or upon
good cause shown by motion, may enlarge or reduce the time prescribed by
these rules or court order for doing any act, or waive or permit an act
to be done after the expiration of the prescribed time."
In Evans the court of appeals had granted a lengthy
extension of the time for the defendant to file a postconviction motion,
using its extension authority under Rule 809.82. The ground for the
motion was that Evans had not properly waived his right to appellate
counsel during his initial postconviction review, which had terminated
without the filing of either a postconviction motion or a notice of
appeal. The supreme court concluded that the court of appeals had
erroneously exercised its discretion by using its extension authority
under Rule 809.82 instead of requiring Evans to file a habeas corpus
petition (sometimes called a Knight petition) in the court of
appeals alleging ineffective assistance of appellate counsel. See
Evans, 2004 WI 84, ¶ 59; see also State v. Knight,
168 Wis. 2d 509, 484 N.W.2d 540 (1992). In the present case the state
argued that Evans also bars the court of appeals from using its
Rule 809.82 extension authority to extend the time to file a notice of
intent to pursue postconviction relief when the basis for the motion is
ineffective assistance of counsel.
Responding to the state's argument, the court of appeals
characterized Evans as "[being] concerned only with extensions
of the time to file a postconviction motion, when the ground
for the motion could be construed as ineffective assistance of
appellate counsel. The question, then, is whether
Evans should be extended to bar extensions of the time to file
a notice of intent to pursue postconviction relief, when the
ground for the motion could be construed as ineffective assistance of
trial counsel. We conclude that it should not be, and therefore
we decide these motions by using the `good cause' standard provided in
Wis. Stat. Rule 809.82. Extending Evans to notices of intent is
not supported by sound policy reasons and might have undesirable and
unintended side effects" (¶ 9).
"A possible unintended side effect of reading Evans to bar
extensions for notices of intent to pursue postconviction relief when
the ground is ineffective assistance, while extensions remain permitted
for `good cause' on other grounds, is that the distinction may give
defendants an incentive to plead in ways that deliberately avoid
suggesting ineffective assistance of counsel, even if that would be the
most appropriate characterization of what occurred" (¶ 20).
"Factors that we may consider in granting an extension for the filing
of a notice of intent under Wis. Stat. Rule 809.82(2)(a) include the
extent to which the delay appears to have been without fault of the
defendant; the promptness of the defendant's request for an extension;
and the avoidance of a disproportionate expenditure of judicial
resources to make factual findings regarding requests for relatively
short extensions. When deciding extension requests, we also seek to
screen out defendants who have simply changed their minds after
experiencing confinement or after having their probation revoked,
especially if a significant amount of time has elapsed since the
conviction, and we consider the need of crime victims and the public for
finality in criminal adjudications. These factors are not intended to be
exhaustive, but merely to provide sense of the factors we consider when
acting on extension requests" (¶ 14).
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Civil Procedure
Taxable Costs - Exhibits - Transcripts
Alswager v. Roundy's
Inc., 2005 WI App 3
(filed 29 Dec. 2004) (ordered published 26 Jan. 2005)
Alswager sued Roundy's, his former employer, after Roundy's fired
him. Most claims were dismissed before trial, and a jury found in
Roundy's favor on a defamation claim. The trial court ordered Alswager
to pay taxable costs, which included expenses for a so-called "exploded
trial exhibit" and the transcriptions from a CD-ROM of hours of
conversations surreptitiously recorded by Alswager during his
employment.
The court of appeals, in an opinion written by Judge Anderson,
affirmed in part and reversed in part. Alswager argued that the trial
court lacked authority to award costs for the "`transcription of
discovery materials' because Roundy's simply decided to have the
conversations provided on CD-ROM transcribed for its own convenience.
Roundy's counters that the transcripts of discovery material provided on
disk were `necessary disbursements' within the scope of Wis. Stat.
§ 814.04(2) and were properly allowed by the trial court in its
discretion pursuant to § 814.04(2) [which covers disbursements] and
Wis. Stat. § 814.036" [the omnibus cost provision] (¶ 8). The
trial court has discretion to determine whether a requested item is a
"necessary" cost under both statutes (see ¶ 9).
Addressing a matter of some importance to litigators, the court of
appeals explained that Kleinke v. Farmers Cooperative Supply &
Shipping, 202 Wis. 2d 138 (1996), held "that the omnibus statute
grants no substantive rights to recover costs not listed as recoverable
elsewhere in the costs statutes; it simply sets the times and
circumstances when such costs are recoverable" (¶ 13). The court of
appeals said that the Kleinke holding is confusing and that it
has the effect of emasculating the omnibus cost provision, and the court
urged the supreme court to revisit Kleinke (see
id.).
Nevertheless, applying Kleinke in this case, the court of
appeals held that "the trial court erred in awarding Roundy's costs for
the transcription of the secretly recorded conversations. As explained,
Kleinke instructs that the trial court's discretion is limited
to `when' the court may allow costs and not `what' costs are allowed.
Section 814.04(2) authorizes imposition of costs for `[a]ll the
necessary disbursements ... allowed by law.' Here, the record
demonstrates that Roundy's was provided with the surreptitiously
recorded conversations as audio files-a perfectly useable format.
Roundy's obtained the transcripts of the secretly recorded conversations
merely for its own convenience; the record demonstrates that Roundy's
simply thought that it could find the relevant material quicker. It has
long been the law that costs may not be allowed for such reasons"
(¶ 14) (citations omitted).
The court of appeals affirmed the award of costs for the "exploded
trial exhibit" because Alswager failed to develop the issues in his
brief (he failed to provide information about what was "blown up" and
how). The court declined to address another issue concerning a
protective order.
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Eminent Domain
Wis. Stat. Section 32.09(6) - Partial Takings - Severance
Damages
Justmann v. Portage
County, 2005 WI App 9 (filed 16 Dec. 2004) (ordered published
26 Jan. 2005)
This eminent domain case arose from Portage County's condemnation of
a part of the plaintiffs' property for highway use. Wis. Stat. section
32.09(6) provides that, when an exercise of eminent domain results in a
partial taking, "the compensation to be paid by the condemnor shall be
the greater of either the fair market value of the property taken as of
the date of evaluation or the sum determined by deducting from the fair
market value of the whole property immediately before the date of
evaluation, the fair market value of the remainder immediately after the
date of evaluation, assuming the completion of the public improvement
and giving effect, without allowance of offset for general
benefits,and without restriction because of enumeration but without
duplication, to the followingitems of loss or damage to the property
where shown to exist" (emphasis added).
The parties agreed that this section entitles the property owner to
the greater of 1) the fair market value of the part of the property
taken, or 2) the difference between the value of the whole property
immediately before the taking and the value of the remaining property
immediately after the taking (the "before and after" method). They
disputed whether the severance damages portion of section 32.09(6) [the
statutory language emphasized above] applies to both methods of
calculating compensation or only to the before and after method.
["Severance damages" are defined as "the diminution in the fair market
value of the remaining land that occurs because of [a] taking" (¶ 1
n.2) (citation omitted).]
In a decision authored by Judge Dykman, the court of appeals
concluded that "the language of the statute unambiguously provides for
severance damages only under the `before and after' method of
compensation" (¶ 9).
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Insurance
Reducing Clause - UM Coverage - Worker's Compensation
Teschendorf v. State Farm
Ins. Co., 2005 WI App
10 (filed 7 Dec. 2004) (ordered published 26 Jan. 2005)
The plaintiffs' adult son was killed in a car accident that occurred
while the son was in the course of his employment in Minnesota. An
uninsured motorist caused the accident. The parents filed this wrongful
death action under Wis. Stat. section 895.04 and sought to collect
uninsured motorist (UM) benefits under two policies purchased by their
son. The son was unmarried and had no children. Under applicable
worker's compensation statutes, about $160,000 (the "majority" of the
death benefits) was paid to the state's "benefit fund." The circuit
court granted summary judgment in favor of the insurer "because the net
limits of those policies, totaling $150,000, must be reduced by the
amount of worker's compensation paid to the State by the worker's
compensation carrier or the employer, which in this case exceeded
$150,000" (¶ 4).
The court of appeals, in a decision authored by Judge Kessler,
reversed. The court "conclude[d] that § 632.32(5)(i)2. does not
permit reduction of coverage by payments made by other persons or
entities to the State and, interpreting the reducing clause consistent
with the statute, neither does the reducing clause in American Family's
policy"(¶ 9). "Although § 632.32(5)(i)2. does not explicitly
state that the payments must be paid or payable to the insured
under any worker's compensation law, these words are implied from the
context of the overall statutory scheme in which they occur. We conclude
that § 632.32(5)(i)2. unambiguously includes only those payments
paid or payable to the insured or the insured's heirs or estate" (¶
13). To hold otherwise, said the court, would deny the son the benefit
of his premiums and produce a windfall for the insurer (see
¶ 15).
Judge Fine dissented. He argued that the parents could not maintain a
wrongful death action arising out of a Minnesota accident, and he
disagreed with the merits of the majority's reducing clause
analysis.
"Other Insurance" Clause - Occupancy
Progressive N. Ins. Co. v.
Hall, 2005 WI App 17 (filed 21 Dec. 2004) (ordered published 26
Jan. 2005)
The issue in this case was "whether the Wisconsin Statutes permit
Progressive to provide uninsured motorist [UM] coverage that is primary
coverage to its named insured but is excess coverage to an occupancy
insured. The answer will determine whether Progressive or [a second
insurer] must pay the first $100,000 of damages for an injured
passenger, Edward Hall" (¶ 1). The court of appeals, in an opinion
written by Judge Kessler, affirmed the trial court's finding "that
Progressive's `other insurance' clause (purporting to provide only
excess coverage for an occupant) was void because it violated Wis. Stat.
§ 632.32(3)(a) (2001-02)" (¶ 1).
In essence, Progressive contended that section 632.32(3)(a) applies
only to liability insurance, not to "indemnity insurance like UM
coverage" (¶ 11). In rejecting this argument, the court of appeals
relied on case law that applied the omnibus statute to both liability
and indemnity coverage (see ¶ 14). Progressive also argued
that it was entitled to provide "different UM coverage to an occupancy
insured than it would to its own named insured" under Wis. Stat. section
632.32(5)(e). The court flatly rejected this contention: "Providing
different levels of UM coverage for non-relative occupants is prohibited
by § 632.32(3)(a); nothing in § 632.32(5)(e) alters that
prohibition" (¶ 17). The court of appeals ordered Progressive to
pay the first $100,000 in damages based on these holdings.
UIM Coverage - Umbrella Policy
Rebernick v. Wausau Gen.
Ins. Co., 2005 WI App
15 (filed 14 Dec. 2004) (ordered published 26 Jan. 2005)
Rebernick was seriously injured when the lawn mower he was riding was
struck by a car. He collected the liability limits of $25,000 from the
car's insurer and the maximum $100,000 underinsured motorist (UIM)
coverage provided by his own American Family policy. When Rebernick
sought additional monies from his American Family umbrella policy, he
was told that the policy excluded UIM coverage. The Rebernicks sought to
reform the umbrella policy to provide UIM coverage on the ground that
American Family violated Wis. Stat. section 632.32(4m) by not telling
them about such coverage. The trial court ruled in favor of the
insurer.
The court of appeals, in an opinion written by Judge Fine, affirmed.
"[T]he umbrella policy's reference to underinsured-motorist coverage
declares that there is none `unless this policy is endorsed to provide
such coverage.' This sufficiently tells the policy holder that
underinsured-motorist coverage is available by endorsement. We thus must
turn to the second mandate of Wis. Stat. § 632.32(4m), namely that
there be `a brief description of the coverage.' The umbrella policy does
not give any description of underinsured-motorist coverage. But that
does not end our inquiry. As the trial court pointed out, on the
umbrella policy's effective date the Rebernicks were already covered by
an underlying automobile policy also issued by American Family. The
underlying automobile policy not only gave them underinsured-motorist
coverage but it also defined the coverage in a special full-page
endorsement attached to the policy" (¶¶ 9-10). Moreover, "the
Rebernicks have not disputed on appeal the trial court's conclusion that
they `obviously knew' about underinsured-motorist coverage" (¶
11).
In short, "[t]he Rebernicks knew both: (1) that their umbrella policy
could give them underinsured-motorist coverage via an
endorsement to that policy, and (2) what underinsured-motorist coverage
encompassed. As the trial court recognized, there is no warrant in the
context of an equitable reformation action to relieve the Rebernicks of
the consequences of their decision to forego an underinsured-motorist
coverage endorsement in their American Family umbrella policy, thereby
requiring American Family to pay for a risk it did not assume" (¶
13).
Judge Kessler concurred in part and dissented in part. Specifically,
she disagreed with the majority's conclusion that American Family met
its obligation to notify the Rebernicks about the UIM coverage.
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Juvenile Law
Sex Offenders - Jury Trial - Civil Liberties
State v. Jeremy P.,
2005 WI App 13 (filed 7 Dec. 2004) (ordered published 26 Jan. 2005)
Jeremy P. was adjudicated a delinquent after the court found that he
committed a third-degree sexual assault. The dispositional order
required him to register as a sex offender. Jeremy attacked the
mandatory registration of juvenile sex offenders on multiple
constitutional grounds.
The court of appeals, in an opinion authored by Judge Kessler,
affirmed in part and reversed in part. First, the court disagreed with
Jeremy's argument that the statutory scheme denied his constitutional
right to a jury trial. The argument foundered on the court's analysis of
several state and federal cases, especially cases holding that sex
offender registration "is not criminal punishment" (¶ 13).
Second, the court refused to identify "a new constitutional liberty
interest" within the "`penumbra' of the Bill of Rights" (¶ 17). "As
Jeremy acknowledges, neither the United States Supreme Court nor the
Wisconsin Supreme Court has recognized that children have a fundamental
liberty interest in having their best interest considered in any
decision the government makes in their lives" (¶ 19). The court was
"unconvinced that this interest is so rooted in the traditions and
conscience of our people as to be ranked as fundamental" (¶
21).
Third, the court rejected Jeremy's equal protection attack. "Jeremy
acknowledges that neither the Wisconsin Supreme Court nor the United
States Supreme Court has recognized that minors have a fundamental
constitutional right to have their best interest considered in any
decision made about them by the State, and that neither court has
recognized children as a suspect class. We reject Jeremy's argument with
respect to recognizing a new fundamental liberty interest for the same
reasons articulated with respect to substantive due process" (¶
25).
The court also disagreed with Jeremy's contention that children
constitute a "suspect class." "As the State points out, recognizing
children as a suspect class would create a giant class of persons, as
all children under the age of eighteen would be members of the class.
Such a class would also be transient, as children would emerge from the
class upon reaching the age of majority. We conclude that recognizing
all children as members of a suspect class would be inconsistent with
other classes where those in the class retain that classification for
life, and have been singled out for purposeful, unequal treatment"
(¶ 28).
Finally, the court did reverse and remand "so that the trial court
can consider whether to stay the registration component of the
dispositional order. In its written order, the trial court specifically
concluded that it lacked the discretion to stay the sex offender
registration requirement. Subsequent to the trial court's decision, the
Wisconsin Supreme Court decided Cesar [State v. Cesar
G., 2004 WI 61], which concluded that `[a] circuit court has
discretion under Wis. Stat. § 938.34(16) to stay that part of a
dispositional order requiring a delinquent child to register as a sex
offender.' We conclude that it is appropriate to give the trial court an
opportunity to exercise discretion, as of the date of its original
decision, with respect to staying the sex offender registration
component of Jeremy's dispositional order. Although Jeremy did not
explicitly seek this remedy, the heart of his appeal is his desire to
avoid having to register as a sex offender" (¶¶ 30-31).
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Prisoner Litigation
Writ of Certiorari - Failure of Circuit Court to Consider
Administrative Proceedings
State ex rel. Kaufman v.
Karlen, 2005 WI App 14 (filed 2 Dec. 2004) (ordered published
26 Jan. 2005)
Kaufman filed a petition for a writ of certiorari seeking review of
prison disciplinary actions against him. Attached to his petition were
various documents relevant to each disputed action, including the
conduct report, the disciplinary decision, and the appeal to the warden.
The circuit court did not issue a signed writ of certiorari for service
on the warden and consequently the prison records custodian never filed
a certified return. Ultimately, the circuit court, acting sua
sponte, dismissed the petition. The court reviewed the petition and
the documents submitted and concluded that the disciplinary decisions
were reasonable.
On appeal, Kaufman contended that the circuit court erred by refusing
or failing to issue a signed writ of certiorari that would have required
the prison records custodian to file a certified return of the record
developed during the disciplinary committee proceedings and the
administrative appeals. In a decision authored by Judge Higginbotham,
the appellate court reversed. It concluded that the circuit court erred
by refusing to issue a writ of certiorari and by sua sponte
dismissing the prisoner's petition on its merits without consideration
of the full record and briefs from the parties.
Due process requires the court to base its decision on a complete
record of the proceedings below and on briefs submitted by the parties.
The petition for the writ is not the full development of the
petitioner's position. "We conclude [the petitioner's] right to be heard
in this case has been limited by the court's decision to decide the case
without the record and by failing to afford [the petitioner] the
opportunity to argue his objections to the disciplinary committee's
decisions" (¶ 9). The court of appeals held that the circuit
court's actions violated the dictates of due process (see
id.).
In a footnote, the court indicated that it was not suggesting "that a
circuit court may not dismiss a certiorari petition without ordering a
return if the petition fails to state a claim, such as where the
petition fails to allege or attach documents showing that the petitioner
exhausted his or her administrative remedies or when a petition shows on
its face that it is untimely or for the other reasons as stated in Wis.
Stat. § 802.05(3)(b)" (¶ 9 n.3).
Wisconsin Prisoners Housed in Out-of-State Prisons - Certiorari
Review of Disciplinary Actions
State ex rel. Myers v.
Swenson, 2004 WI App 24 (filed 18 Nov. 2004) (ordered published
21 Dec. 2004)
The petitioner, a Wisconsin inmate confined at a prison in Minnesota,
was subjected to disciplinary action in Minnesota and sought certiorari
review of the disciplinary decision in a Wisconsin circuit court. He
never sought judicial review in a Minnesota court. The Wisconsin circuit
court granted a motion to quash the writ, in part because it concluded
that it lacked competency to review the out-of-state disciplinary
decision. In a majority decision authored by Judge Lundsten, the court
of appeals affirmed.
Wis. Stat. section 302.02(3t) provides that when a Wisconsin inmate
is disciplined while at an out-of-state prison, judicial review of that
disciplinary action may proceed in the state where the prison is
located. "It follows that Wisconsin courts generally lack competency to
conduct certiorari review of out-of-state disciplinary proceedings"
(¶ 9). Although this is the general rule, the court recognized in
State ex rel. Curtis v. Litscher, 2002 WI App 172, 256 Wis. 2d
787, 650 N.W.2d 43, that exceptions may be made in "unique
circumstances." "We concluded in Curtis that the 'unique
circumstances' in the case precluded Wis. Stat. § 302.02(3t) from
affording the inmates judicial review in Tennessee' because the
Wisconsin inmates lacked 'access to the Tennessee courts'" (¶ 10)
(internal citations omitted).
In this case the appellate court elaborated on the meaning of
Curtis. The court concluded that section 302.02(3t) deprives
Wisconsin courts of competency to conduct certiorari review of
out-of-state prison disciplinary decisions unless the inmate can show
that he or she was denied judicial review on jurisdictional or
competency grounds in the state where the disciplinary action occurred.
In this case the petitioner never sought judicial review in Minnesota,
and thus he never obtained a court decision asserting a lack of
jurisdiction or competency to review the matter in that state.
Accordingly, he failed to make the showing that judicial review was
unavailable under the statute, and the Wisconsin circuit court thus
lacked competency to review the matter. The court also rejected the
inmate's claim that section 302.02(3t) is unconstitutional on equal
protection grounds.
Judge Dykman filed a concurring opinion.
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Motor Vehicle Law
OWI - Counting Prior Convictions for Penalty Enhancement
Purposes
State v. Matke,
2005 WI App 4 (filed 9 Dec. 2004) (ordered published 26 Jan. 2005)
The defendant was charged with operating a motor vehicle while
intoxicated (OWI) (fourth offense) for a violation committed in June
2001. At the time he had three prior OWI convictions. However, between
the June 2001 offense and the date on which he was convicted of that
offense, he committed and was convicted of two more OWI offenses. The
prosecutor therefore amended the OWI charge for the June 2001 offense to
a sixth offense. The defendant was convicted and sentenced as a sixth
offender.
On appeal he argued that the trial court erred in sentencing him for
a sixth offense because, at the time he committed the June 2001 offense,
he had only three OWI convictions. In a decision authored by Judge
Deininger, the court of appeals affirmed.
The appellate court concluded that the circuit court properly
sentenced the defendant as a sixth offender, because he had five prior
OWI convictions at the time of sentencing on the June 2001 offense. The
OWI penalty statute (Wis. Stat. § 346.65(2)) provides for enhanced
penalties if the total number of relevant prior convictions within a
specified period of time equals a certain number. The supreme court has
concluded that this language evinces the legislature's intent that
enhanced penalties apply when the requisite number of convictions has
accumulated within the period specified by law, regardless of the order
in which the offenses were committed and the convictions were entered.
See State v. Banks, 105 Wis. 2d 32, 313 N.W.2d 67 (1981).
The defendant also argued that he was denied due process when the
court sentenced him for a sixth OWI offense without requiring the state
to convince a jury beyond a reasonable doubt that he had five prior
convictions. For this argument he relied on Apprendi v. New
Jersey, 530 U.S. 466 (2000), in which the U.S. Supreme Court
concluded that penalty enhancers that increase the maximum penalty for
the underlying offense must be proved beyond a reasonable doubt to the
jury. The Wisconsin appellate court rejected this interpretation of
Apprendi: "The Court specifically excluded sentence
enhancements for prior convictions from its holding in
Apprendi: `Other than the fact of a prior conviction,
any fact that increases the penalty for a crime beyond the prescribed
statutory maximum must be submitted to a jury, and proved beyond a
reasonable doubt'" (¶ 16, quoting Apprendi, 530 U.S. at
490) (emphasis added).
Lastly, the appellate court rejected the defendant's argument that
the trial court erroneously exercised its discretion in ordering his
sentence for the June 2001 offense to be served consecutively to any
sentences he was then serving. Among the court's reasons for upholding
the consecutive sentence was the court's agreement with the prosecution
that "imposing concurrent sentences for successive [OWI] convictions
would contravene the legislature's clearly expressed intent that
multiple [OWI] offenders receive harsher punishment upon each successive
conviction" (¶ 19).
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Torts
Common Carrier - Special Verdict - Insurance
Hunt v. Clarendon Nat'l Ins.
Servs. Inc., 2005 WI
App 11 (filed 14 Dec. 2004) (ordered published 26 Jan. 2005)
Clairene was struck by a car while crossing a street after being
dropped off by her school bus. The plaintiffs sued the bus driver, the
bus company, and the insurer. A jury decided that the defendants were
not liable for Clairene's injuries.
The court of appeals, in an opinion written by Judge Kessler,
reversed. First, the trial court should have instructed the jury that
the school bus company was a common carrier with heightened duties.
Specifically, the bus company "makes itself available to public school
districts, offers to transport persons identified by the district to
various locations at various times (also identified by the district),
and receives payment from the district for those services. Clearly, the
service is for hire" (¶ 11). Absent the standard common carrier
instruction, the jury was probably misled because it would have held the
bus driver to the same standard of care as Clairene, instead of the
"very high degree" of care applicable to common carriers (see
¶ 17).
Second, the trial court erroneously declared that the bus company's
uninsured motorist coverage would not cover Clairene's injuries.
(Apparently the driver who hit her was uninsured.) "We conclude that an
insured, purchasing coverage for a school bus, would expect that a child
exiting a school bus and immediately walking behind the bus to cross the
street would come within the definition of occupying and would be
afforded coverage if injured during that process" (¶ 30).
Third, the plaintiffs argued that the driver of the car should not
have been placed on the verdict because there was no evidence of her
negligence. The court of appeals reminded the trial court that, on
remand, there must be sufficient evidence of that driver's negligence to
warrant placing her on the special verdict (¶ 31). The court also
addressed an evidence issue that is fact intensive and not of general
interest.
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Trespass
Public Highways - Abutting Landowners - Right of Access
Geyso v. Daly, 2005
WI App 18 (filed 15 Dec. 2004) (ordered published 26 Jan. 2005)
The plaintiffs owned the land beneath a county highway and the
adjacent right-of-way. The defendants owned land abutting the
right-of-way. The defendants can access the highway using three routes,
two of which cross the right-of-way on the plaintiffs' property. One
route is the defendants' main driveway, and the plaintiffs did not
dispute the defendants' right to use it to access the highway. However,
the plaintiffs sought injunctive relief to prohibit the defendants from
accessing the highway by using the "second gate" route to cross the
plaintiffs' property.
The principal question before the appellate court was whether the
defendants have an unlimited right of access to the highway or
alternatively, as urged by the plaintiffs, only a right to reasonable
access. As members of the public, the defendants have but an "easement
of passage" in the right-of-way and may use it only for highway
purposes. "Here, however, the [defendants'] use of the second gate
achieves a private means of ingress and egress that does not further the
purpose of the public easement. We agree with the [plaintiffs] that the
[defendants'] use of the second gate is inconsistent with the rights of
the general public; therefore, the [defendants] cannot claim that the
public easement grants them a privilege to enter onto the [plaintiffs']
property" (¶ 9).
The defendants also argued that their privilege to cross the
plaintiffs' property stems from their status as abutting landowners.
They relied on Wis. Stat. section 80.47, which states: "The owners of
land abutting on any highway ... shall have a common right in the free
and unobstructed use thereof to its full width...." They argued that the
statute codifies the common-law right of a property owner to the free
and unobstructed use of streets and highways upon which the property
abuts.
Landowners whose property abuts a public roadway, but who have no
ownership interest in the land under the roadway, are abutting
landowners for purposes of access rights. However, they do not have an
unfettered right to access the highway. The appellate court drew on
cases from Wisconsin and other jurisdictions to conclude that the right
attributed to an abutting landowner is the "right of reasonable access"
(¶ 12). In this case the question thus was whether the second gate
is necessary to provide the defendants with reasonable access to the
highway. If not, the defendants have no privilege to enter onto the
plaintiffs' property using that entrance.
The appellate court concluded that "the record clearly supports the
jury finding that the [defendants] trespassed on the [plaintiffs']
property by driving vehicles and farm equipment on the right-of-way
using the second gate. The jury's answer to the first question of the
special verdict indicates that it believed the main driveway provided
the [defendants] with reasonable access to [the county highway]" (¶
16).
In a footnote, the court observed that "[g]enerally, an abutting
landowner owns to the center of the highway. See Miller v. City of
Wauwatosa, 87 Wis. 2d 676, 680, 275 N.W.2d 876 (1979). Here, the
[defendants] do not own to the center of [the highway] because the land
extending to the eastern edge of the highway and its right-of-way is
privately owned by the [plaintiffs]" (¶ 11 n.1).
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Worker's Compensation
Job Duties - Departures
E.C. Styberg Eng'g Co. v.
Labor & Indus. Review Comm'n, 2005 WI App 20 (filed 22 Dec.
2004) (ordered published 26 Jan. 2005)
An employee, Hetchler, injured his knee while playing softball on
company property during a paid company break. Although an administrative
law judge sided with the company, Styberg, in finding that Hetchler's
injury was not covered by worker's compensation, the Labor and Industry
Review Commission (LIRC) reversed. "First, Styberg had put up the
basketball hoop on its premises and invited employees to use it. Second,
credible testimony in the record established that after this time
workers frequently played basketball and softball. LIRC concluded that
based on its affirmative actions with regard to the hoop, Styberg should
have become aware by the time of Hetchler's injury that employees were
playing sports during their breaks" (¶ 15). The circuit court
upheld LIRC's decision.
The court of appeals, in an opinion written by Judge Brown, affirmed.
Since LIRC's determination involved a "value judgment" that employed its
"significant expertise," the court "defer[s] to the agency's conclusions
so long as they are reasonable, even if [the court] might have decided
differently" (¶ 18). De novo review was not warranted.
Under the deferential review standard, LIRC's determination was
reasonable. "Despite what respondents imply, the agency did not find
Styberg liable for every conceivable type of sporting activity that
might potentially occur on its premises merely because it put up a
basketball hoop. Rather, it inferred that because Styberg affirmatively
encouraged some sporting activity on its premises, this action
hastened the point at which it should have discovered the
employees' frequent softball games. Again, LIRC placed special emphasis
on the fact that the employees had been `playing softball on the
employer's premises for some time.' We see nothing unreasonable in
LIRC's determination that the softball games had persisted long enough
for Styberg to become aware of them by the time of Hetchler's injury.
Certainly one could reasonably conclude that when an employer
invites some sporting activity on its premises, the employer
will discover how employees are using the designated area sooner than if
the employer attributed no particular significance to a part of the
premises not set aside for any special, sports-related purpose" (¶
28). Moreover, LIRC reasonably applied this rule as set forth in a
leading worker's compensation treatise [Larson's Workers'
Compensation Law], especially since case law was somewhat muddled
and the determination "comported both with the statutory language and
purpose" (¶ 33).
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Wisconsin Lawyer