Wisconsin Lawyer
Vol. 78, No. 8, August
2005
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
Civil Procedure
Frivolous Claims - Frivolous Appeals
Howell v.
Denomie, 2005 WI 81 (filed 22 June 2005)
As a result of litigation concerning a real estate transaction, a
circuit court found frivolous the answer and counterclaim of the
defendants, the Denomies. The court of appeals, in a summary
disposition, affirmed the circuit court and further determined that the
defendants' appeal also was frivolous.
The supreme court, in an opinion written by Justice Roggensack,
affirmed the court of appeals. The court's analysis was fact intensive.
A "mountain of evidence" supported the circuit court's determination:
"Given what the circuit court found the Denomies knew or should have
known regarding the transaction, the Denomies' initial position that
Howell defrauded them out of ownership in the property and fabricated
the mortgage was without any reasonable basis in law or equity" (¶
14).
The more significant issue before the court was "whether the court of
appeals, on its own motion and without a hearing, can declare an appeal
frivolous, as it did here. [The court] also ordered the parties to
'address the procedure by which the court of appeals may determine an
appeal is frivolous pursuant to Wis. Stat. § (Rule)
809.25(3)(c)'"
(¶ 16). The supreme court held that "there should be notice and
an opportunity to respond whenever the court of appeals is considering
ruling that an appeal is frivolous. We agree with the Appellate Practice
Section of the State Bar's position and conclude that in order to
determine that an appeal is frivolous, the court of appeals is required
to give notice that it is considering the issue. It must also give an
opportunity to respond to the issue before a determination is made"
(¶ 17).
More precisely, "[i]n order for parties before the court of appeals
to have the proper notice and opportunity to be heard, parties wishing
to raise frivolousness must do so by making a separate motion to the
court, whereafter the court will give the parties and counsel a chance
to be heard. We caution that a statement in a brief that asks that an
appeal be held frivolous is insufficient notice to raise this issue. The
court of appeals may also raise the issue of a frivolous appeal on its
own motion, but it must give notice that it is considering the issue and
grant an opportunity for the parties and counsel to be heard before it
makes a determination" (¶ 19).
In this case, the Denomies did not have a proper opportunity to be
heard before the court of appeals. But because the supreme court had
provided such notice and opportunity to be heard, the court therefore
could determine, as it did, that the Denomies' appeal was frivolous.
Claim Preclusion - Compulsory
Counterclaim Rule
Menard Inc. v. Liteway
Lighting Prods., 2005 WI 98 (filed 29 June 2005)
From 1993 to 1999, Liteway supplied Menard with lighting fixtures for
Menard to sell at retail. Menard often "held back" sums of money because
some of Liteway's products were allegedly defective. When Menard and
Liteway terminated their business relationship in 1999, they disputed
the amount of this "credit." Liteway initially sued Menard and obtained
a default judgment for unpaid invoices when Menard failed to file its
answer on time. Menard then sued Liteway for unjust enrichment and
breach of obligations under the Uniform Commercial Code. The circuit
court denied Liteway's summary judgment motion, a trial was held, and
Menard obtained a judgment against Liteway. The court of appeals
reversed on the ground that Liteway's earlier default judgment precluded
Menard's subsequent action.
In a decision authored by Justice Wilcox, the supreme court affirmed.
"The issue presented is whether a buyer's claims based on credit for
returned goods are barred under the doctrine of claim preclusion and the
common-law compulsory counterclaim rule when the seller had previously
sued the buyer for breach of contract based on unpaid invoices, a
default judgment was entered due to the buyer's failure to timely file
an answer, the parties had terminated their business relationship prior
to the instigation of the first suit, the defective goods were returned
prior to the time the first lawsuit was filed, and the issue of credit
for the defective goods was the basis of the entire dispute between the
parties that led to the filing of the initial lawsuit" (¶ 20).
The court held "that under these facts, the doctrine of claim
preclusion and the common-law compulsory counterclaim rule bar any
subsequent suit by the buyer for credit for the returned goods" (¶
20). The court extensively reviewed the law on counterclaims and claim
preclusion. "Claim preclusion, in addition to precluding a plaintiff in
a subsequent action from asserting claims that were litigated or could
have been litigated in a prior action, may operate to preclude a
plaintiff from asserting claims in a subsequent action that the party
failed to assert in a previous action in which it was a defendant"
(¶ 27).
"The common-law compulsory counterclaim rule creates an exception to
the permissive counterclaim statute and bars a subsequent action by a
party who was a defendant in a previous suit if 'a favorable judgment in
the second action would nullify the judgment in the original action or
impair rights established in the initial action.' ... [F]or the
common-law compulsory counterclaim rule to apply, a court must conclude
that all the elements of claim preclusion are present and that a verdict
favorable to the plaintiff in the second suit would undermine the
judgment in the first suit or impair the established legal rights of the
plaintiff in the initial action" (¶ 28).
As to the first element of claim preclusion, the supreme court held
that there was an identity of parties in both actions (see
¶ 29). More contentious was the second element: whether there was
an "identity of claims" between the actions. Applying a "transactional
approach" to the record, the court held there was. "Therefore, it is
clear that all the facts giving rise to Menard's suit were in existence
at the time Liteway filed its original action. More importantly, it is
obvious that these facts formed the foundation of both lawsuits. Liteway
sold goods to Menard on credit. Menard returned some of the goods as
allegedly defective and took a 'credit' for these and future customer
returns. Liteway demanded payment on the open accounts. The parties
stopped doing business and Menard did not pay the sum demanded by
Liteway for the invoices because it disputed the amount of
'credit' to which it was entitled for the returned goods. The claims
Menard asserts in its second suit are not based on a separate series of
underlying events; rather, they are defenses and counterclaims to
Liteway's original claims and are premised on the same common nucleus of
operative facts" (¶ 38). "Despite the different substantive
theories asserted by Menard, its position has always been that Liteway
was not entitled to as much money as it claimed because Menard was
entitled to an offset for defective products that were returned" (¶
39). (The supreme court explicitly rejected the court of appeals'
conclusion that shipment of goods followed by acceptance or return
should be treated as a "unit" (see ¶ 40).)
The final element concerned "whether a judgment in favor of Menard in
its suit would undermine Liteway's judgment or impair the rights of
Liteway that were established in the previous action" (¶ 46).
Emphasizing that "Wisconsin, by statute, is a permissive counterclaim
state," the court held that the "narrow exception" for compulsory
counterclaims "applies only where a favorable verdict to the plaintiff
in the second suit would undermine the judgment in the first suit or
impair legal rights established in the first suit"
(¶ 47). A fact-intensive analysis established that the
compulsory counterclaim rule applied.
Justice Crooks, joined by Justice Butler, dissented on the ground
that "there is no identity of claims or causes of action between the
first and second suits involving these parties, and Menard's claim here
does not come within the narrow exception to Wisconsin's permissive
counterclaim statute" (¶ 57).
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Criminal Law
Homicide by Intoxicated Use of Vehicle -
Jury Instructions -
Constitutionality of Wis. Stat. section 940.09
State v. Fonte,
2005 WI 77 (filed 15 June 2005)
The defendant was convicted of homicide by intoxicated use of a
vehicle under Wis. Stat. section 940.09 after a boati ng accident
resulted in the death of one of his friends. The court of appeals
reversed the conviction based on its conclusion that the jury
instruction regarding chemical tests for intoxication was misleading. In
a unanimous decision authored by Justice Roggensack, the supreme court
reversed.
During the investigation of the accident, the defendant submitted to
a breath test. The breath sample was obtained more than three hours
after the accident. Wis. Stat. section 885.235(3) provides: "If the
sample of breath, blood or urine was not taken within 3 hours after the
event to be proved, evidence of the amount of alcohol in the person's
blood or breath as shown by the chemical analysis is admissible only if
expert testimony establishes its probative value and may be given prima
facie effect only if the effect is established by expert testimony." At
trial the court instructed the jury that, if it found beyond a
reasonable doubt that at the time of operation of the vehicle, there was
0.1 percent or more by weight of alcohol in the defendant's blood or 0.1
grams or more of alcohol in 210 liters of the defendant's breath, the
jury could find from that fact alone that the defendant was under the
influence of an intoxicant at the time of the alleged operation of the
vehicle, but that it was not required to do so.
The defendant argued that this instruction was not appropriate in a
case involving a breath test conducted more than three hours after the
alleged operation of the vehicle. The supreme court disagreed. It
concluded that because the state's expert testified to a reasonable
degree of certainty as to what the defendant's blood alcohol level was
at the time of the accident, the circuit court did not err in giving the
objected-to instruction (see ¶ 18).
The court also concluded the following: there was sufficient evidence
in the record that the defendant was operating the boat at the time of
the accident to support the conviction; the defendant was not denied
effective assistance of counsel; and the circuit court's decision to
deny a defense motion for change of venue due to pretrial publicity was
appropriate (see ¶ 39).
Lastly, the court considered the defendant's argument that the
homicide by intoxicated use of a vehicle statute unconstitutionally
relieves the state of the burden of proving beyond a reasonable doubt a
causal connection between a defendant's intoxication and the death by
requiring the state to prove only that operation by an intoxicated
driver caused the death. The court previously rejected this precise
argument in State v. Caibaiosai, 122 Wis. 2d 587, 363 N.W.2d
574 (1985). In this decision it reaffirmed Caibaiosai.
Justice Crooks did not participate in this case.
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Criminal Procedure /
Criminal Evidence
Hearsay - Confrontation
State v. Manuel,
2005 WI 75 (filed 10 June 2005)
A jury convicted Manuel of attempted first-degree murder and related
offenses. The victim was shot in the neck as he sat in his car speaking
with a fellow gang member, Stamps. Several days later Stamps made
several statements to his girlfriend, Rhodes, that incriminated Manuel
by naming him as the shooter. Rhodes later related the statements to
police. At Manuel's trial, Stamps refused to testify and asserted the
privilege against self-incrimination. When Rhodes was called to the
stand, she asserted that she no longer recalled what she may have said
to police or what, if anything, Stamps had said about the shooting
(see ¶ 13). The trial court nonetheless admitted Stamps'
alleged statements (as related by police) into evidence. Manuel was
found guilty, and the court of appeals affirmed the conviction.
The supreme court, in an opinion written by Justice Butler, affirmed
the court of appeals. The court's opinion literally draws the map for
how hearsay may be used by the state in criminal trials after
Crawford v. Washington, 541 U.S. 36 (2004). The first issue was
whether the hearsay was properly admitted under the rules of evidence.
The court held that Stamps' statements to Rhodes fell within the
exception under Wis. Stat. section 908.045(2) for statements of recent
perception. They were not made in response to a person investigating the
claim, and Stamps did not act in bad faith or with a litigation-related
motive (see ¶¶ 27-34).
The court next addressed the critical confrontation issue. The
Crawford court held that so-called "testimonial" hearsay may be
admitted against a defendant only if the defendant has had a prior
opportunity to cross-examine an unavailable declarant. The
Crawford analysis turns on whether the hearsay in question is
"testimonial," yet the U.S. Supreme Court expressly declined to offer
any precise definition of the term "testimonial."
Observing that Crawford contains "three various
formulations" of testimonial hearsay (¶ 37), the Manuel
court "save[d] for another day whether any of these formulations, or for
that matter different formulations, surpass all others in defending the
right to confrontation. For now, at a minimum, we adopt all three of
Crawford's formulations" (¶ 39). Justice Butler next
applied all three Crawford formulations and concluded that
Stamps' statements were not "testimonial" under any of them. Of
particular interest was the third category, statements "made under
circumstances which would lead an objective witness reasonably to
believe that the statement would be available for use at a later trial"
(¶ 42). The court reviewed case law from across the country that
struggled to give meaning to this formulation. Of central importance to
the court was the fact that "Stamps made the statements to Rhodes, his
girlfriend, during what appears to be a spontaneous, private
conversation that occurred shortly after the shooting" (¶ 53).
The court next held that even nontestimonial hearsay is subject to
the confrontation protections afforded by Ohio v. Roberts, 448
U.S. 56 (1980). "While the Crawford Court abrogated
Roberts by highlighting its shortcomings and failures, the
Court declined to overrule Roberts and expressly stated that
the states were free to continue using Roberts when dealing
with nontestimonial hearsay" (¶ 60). On this record, the court
found that Stamps' hearsay statements satisfied both prongs of the
Roberts test for admissibility: the declarant (Stamps) was
"unavailable" to testify and his statements evinced sufficient indicia
of reliability even though the particular hearsay exception (recent
perception) was not "firmly rooted" for confrontation purposes
(see ¶¶ 62-70).
The final issue concerned whether Manuel's trial counsel was
ineffective for failing to attempt to impeach Stamps with evidence of
his four prior convictions. (Hearsay declarants may be impeached like
any witness.) The court held that Manuel was not prejudiced by this
omission, as Stamps' credibility was impeached by other evidence and
"overwhelming evidence" supported the verdict (see ¶¶
71-75).
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Criminal Procedure
Collateral Attack on Prior Conviction -
Procedures for Litigating Whether Defendant Validly Waived Counsel in
Prior Proceeding
State v. Ernst,
2005 WI 107 (filed 7 July 2005)
This case involved a collateral attack on a prior conviction on the
basis that the defendant did not validly waive counsel in the prior
proceeding. The defendant, Ernst, is subject to a prosecution for
operating a vehicle while intoxicated (OWI), in which the state seeks
enhanced penalties on the basis of a prior OWI conviction that resulted
from a guilty plea entered while Ernst was not represented by
counsel.
The first question addressed in the majority opinion, authored by
Justice Crooks, was whether the waiver-of-counsel requirements the court
imposed in State v. Klessig, 211 Wis. 2d 194, 564 N.W.2d 716
(1997), survive Iowa v. Tovar, 541 U.S. 77 (2004). In
Klessig the Wisconsin Supreme Court mandated the use of a
colloquy in every case in which a defendant seeks to proceed pro se, in
order to establish a knowing and voluntary waiver of counsel. "To prove
such a valid waiver of counsel, the circuit court must conduct a
colloquy designed to ensure that the defendant: (1) made a deliberate
choice to proceed without counsel, (2) was aware of the difficulties and
disadvantages of self-representation, (3) was aware of the seriousness
of the charge or charges against him, and (4) was aware of the general
range of penalties that could have been imposed on him. If the circuit
court fails to conduct such a colloquy, a reviewing court may not find,
based on the record, that there was a valid waiver of counsel" (¶
14, quoting Klessig).
In Tovar the U.S. Supreme Court held that the Sixth
Amendment requirements for a valid waiver of counsel are satisfied "when
the trial court informs the accused of the nature of the charges against
him, of his right to be counseled regarding his plea, and of the range
of allowable punishments attendant upon the entry of a guilty plea"
(¶ 15, quoting Tovar). The Wisconsin Supreme Court
concluded that the Klessig requirements are not based on the
Sixth Amendment and thus do not conflict with Tovar. "We
conclude that the Klessig colloquy requirement was and is a
valid use of the court's superintending and administrative authority
... and that such a rule does not conflict in any way with the
United States Supreme Court's decision in Tovar, but rather
receives endorsement from the Supreme Court's language in that decision"
(¶ 21).
Having reaffirmed the procedures mandated in Klessig for
waivers of counsel, the court issued several additional holdings
regarding collateral attacks on prior convictions when the claim is that
those convictions occurred when the unrepresented defendant had not
validly waived counsel: "Second, we hold that an alleged violation of
the requirements of Klessig can form the basis of a collateral
attack, as long as the defendant makes a prima facie showing [by
affidavit (see ¶ 27)], pointing to facts that demonstrate
that he or she did not knowingly, intelligently, and voluntarily waive
his or her constitutional right to counsel. Third, we conclude that when
the defendant successfully makes a prima facie showing, the burden to
prove [by clear and convincing evidence (see ¶ 27 n.6)]
that the defendant validly waived his or her right to counsel shifts to
the State (State of Wisconsin). Fourth, we hold that the State may call
and elicit testimony from the defendant at an evidentiary hearing in an
attempt to meet its burden and, in turn, the defendant may not raise his
or her Fifth Amendment privilege against testifying. Finally, we
conclude that the defendant's refusal to testify under these
circumstances allows a circuit court reasonably to infer that the State
has satisfied its burden of showing a knowing, intelligent, and
voluntary waiver of the right to counsel" (¶ 2).
The supreme court reversed the circuit court's order and remanded the
case for further proceedings consistent with its opinion.
Chief Justice Abrahamson filed a concurring opinion. Justice Prosser
filed a concurring opinion. Justice Wilcox filed an opinion concurring
in part and dissenting in part.
Right to Counsel - New Trial -
Harrison Hearing
State v. Anson,
2005 WI 96 (filed 29 June 2005)
In State v. Anson, 2002 WI App 270 (Anson
I), the court of appeals found that the defendant was
interrogated by police in violation of his Sixth Amendment right to
counsel. It then remanded the matter for an evidentiary hearing to
determine whether the state's use of the unlawfully obtained statement
"induced" Anson to testify at his trial. The circuit court determined
that any error was harmless. In State v. Anson, 2004 WI App 155
(Anson II) (this case), the court of appeals reversed
the circuit court's decision. The court of appeals relied on its
independent review of the record and its conclusion that the unlawfully
obtained statement had induced Anson's testimony.
The supreme court, in an opinion written by Justice Wilcox, affirmed
the court of appeals. The case involves a highly technical issue of
postconviction criminal procedure. When a so-called "Harrison
hearing" is conducted to determine whether the unlawful conduct by the
state induced the defendant's testimony, the "hearing is a paper review
during which a circuit court makes findings of historical fact based on
the record. The circuit court should make findings of historical fact
based on the entire record. While a circuit court may make
credibility determinations based on material in the record when making
its historical factual findings, it may not rely on its personal
knowledge of events not appearing in the record. The circuit court thus
may state that it found a witness' testimony at trial not credible or
implausible in light of other testimony and evidence presented. However,
the circuit court may not state, for example, its opinion [that] the
witness was being intimidated by the presence of several well-known gang
members in the courtroom, if the presence and behavior of these
individuals was not documented in the record. Once a circuit court
has made the requisite findings of historical fact, it must determine,
as a matter of law, whether the State proved beyond a reasonable doubt
that its prior constitutional violation did not impel the defendant to
testify under the standards set forth in Harrison. A
Harrison analysis is a two-part inquiry. First, the circuit
court must consider whether the defendant testified 'in order to
overcome the impact of [statements] illegally obtained and hence
improperly introduced[.]' Second, even if the court concludes that the
defendant would have taken the stand, it must determine whether the
defendant would have repeated the damaging testimonial admissions 'if
the prosecutor had not already spread the petitioner's confessions
before the jury'" (¶¶ 13-14) (citation omitted).
The court held that the state failed to prove beyond a reasonable
doubt that Anson did not take the stand "'in order to overcome the
impact of ... [the] illegally obtained and ... improperly
introduced [statement].'" Nor did the State dispel the "'natural
inference [] that no testimonial admission so damaging would have been
made if the prosecutor had not already spread [Anson's] confession []
before the jury'" (¶ 15) (citation omitted) (alterations in
original).
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Environmental Law
New Power Plants - Public Service
Commission Certificate of
Public Convenience and Necessity to Wisconsin Electric Corporation
Upheld
Clean Wisconsin Inc. v.
Public Serv. Comm'n of Wis., 2005 WI 93 (filed 28 June
2005)
This appeal involved a consolidation of five separate actions seeking
judicial review of a final decision and order of the Public Service
Commission of Wisconsin (PSC) in which the PSC issued a certificate of
public convenience and necessity (CPCN) to the Wisconsin Electric Corp.
(WEC) for the construction of two large super-critical, coal-fired
electric power plants on the shore of Lake Michigan in the city of Oak
Creek.
The circuit court vacated the PSC's order and remanded for further
proceedings, concluding that the PSC erred in determining that the WEC's
application was complete and that the PSC erred in commencing the CPCN
approval process based on that application. Additionally, the circuit
court concluded that the PSC erroneously issued its order because the
PSC did not comply with several statutes that govern the granting of
CPCNs. Finally, the circuit court vacated the PSC's modification of a
mitigation payment agreement between the city of Oak Creek and the WEC.
The PSC had ordered the WEC to reduce the amount of its mitigation
payment to Oak Creek, the host municipality, in light of increased
shared revenue payments that were available to the city under 2003 Wis.
Act 31.
The case was before the supreme court on bypass from the court of
appeals. In a majority decision authored by Justices Wilcox, Prosser,
Roggensack, and Butler, the supreme court reversed the decision of the
circuit court. In a 142-page decision complete with a table of contents
and a glossary of terms, it issued the following holdings:
"First, we uphold the PSC's determination that WEC's application was
'complete.' In reaching this conclusion, we hold: that the PSC's
determination of completeness is judicially reviewable; that the PSC
reasonably concluded that WEC's application contained two distinct site
alternatives; that WEC's application contained all necessary information
relating to DNR permits; and that WEC's application contained all
necessary information relating to transmission line agreements" (¶
32).
"Second, we conclude that the PSC's approval of WEC's CPCN
application was not contrary to law or unreasonable. When it approves an
application for a power-generating facility like the one WEC proposed,
the PSC must interpret, harmonize, and apply the provisions of
Wisconsin's Energy Priority Law (Wis. Stat. § 1.12(4)), the Plant
Siting Law (Wis. Stat. § 196.491(3)(d)), and the Wisconsin
Environmental Policy Act (Wis. Stat. § 1.11). Applying a
deferential standard of review, we find that the PSC reasonably
performed all these tasks in issuing the CPCN. We also conclude that the
PSC did not exceed its authority in conditionally issuing the CPCN"
(¶ 33).
"Third, we conclude the PSC did not exceed its authority or act
irrationally when it reduced the mitigation payments from WEC to the
City of Oak Creek, as we conclude this decision was a proper exercise of
the PSC's ratemaking authority" (¶ 34).
Justice Butler filed a concurring opinion but joined the decision and
mandate of the court. Justice Bradley filed a dissenting opinion that
was joined by Chief Justice Abrahamson. Justice Crooks did not
participate.
Top of page
Insurance
Reducing Clauses - Underinsured Motorist
Policies - Relief from Judgment
Sukala v. Heritage Mut.
Ins. Co., 2005 WI 83 (filed 22 June 2005)
This appeal addresses the issue of a party's entitlement to relief
from a judgment or order because of a change in law. Thus, its
procedural context is critical. In litigation stemming from a 1996 auto
accident, Sukala sought to recover from two underinsured motorist (UIM)
policies issued by his insurer. The policies had limits of $250,000 each
and included reducing clauses that lowered the limits for payments
received from liability insurance and worker's compensation benefits.
Sukala had already received $100,000 from the tortfeasor's liability
carrier and about $800,000 in worker's compensation benefits.
Sukala challenged the legality of the reducing clauses, but the
circuit court upheld them and the court of appeals affirmed. The supreme
court denied Sukala's petition for review in 2000 (Sukala
I) but seven months later granted review in another case that
raised similar issues, Badger Mutual Insurance Co. v. Schmitz,
2002 WI 98. While Schmitz was pending, Sukala settled with his
insurer, and pursuant to stipulation, the case was dismissed in July
2001. After the supreme court decided Schmitz, Sukala moved
under Wis. Stat. section 806.07(1)(h) for relief from all judgments,
orders, releases, and stipulations from his case. The circuit court
denied the motion, but the court of appeals reversed.
The supreme court, in a decision authored by Justice Roggensack,
reversed the court of appeals. Section 806.07(1)(h) "permits reopening
of judgments based on subsequent changes in the law only in very limited
circumstances, and only if the motion is made within a reasonable
time"
(¶ 9). "Unique and extraordinary circumstances are those where
'the sanctity of the final judgment is outweighed by the incessant
command of the court's conscience that justice be done in light of
all the facts.' Courts should not interpret paragraph (1)(h) so
broadly as to erode the concept of finality, nor should courts interpret
it so narrowly that truly deserving claimants are denied relief. In
construing § 806.07(1)(h), courts seek to 'achieve a balance
between the competing values of finality and fairness in the resolution
of a dispute.' The party seeking relief bears the burden to prove that
the requisite conditions exist" (¶ 12).
The supreme court held that the circuit court properly exercised its
discretion in denying Sukala's motion. Although Schmitz
discussed and criticized Sukala I, the former did not
overrule the latter. Nor did the criticism "result in unique or
extraordinary facts that are necessary to grant relief" (¶ 18).
"The Sukalas are not unique 'victims of circumstances' ... but
rather, the Sukalas are similar to many parties who are not entitled to
relitigate their claims through Wis. Stat. § 806.07(1)(h) due to
our consideration of a similar issue" (¶ 20).
Justice Wilcox, joined by Justice Bradley, concurred in a separate
opinion that emphasized "that absent the most unique set of
circumstances, 'a change in the judicial view of an established rule of
law is not an extraordinary circumstance which justifies relief from a
final judgment'" (¶ 24).
Settlements - Underinsured Motorist
Policies -
"Consent-or-Substitute"
Pitts v.
Knueppel, 2005 WI 95 (filed 29 June 2005)
Pitts was injured in a car accident. She had $250,000 in underinsured
motorist (UIM) coverage issued by Sentry Insurance; the other driver had
liability coverage of $100,000. Shortly before trial, the other driver's
liability carrier tendered its $100,000 policy limits. When notified of
the tender, Sentry elected to substitute its own funds in order to
preserve its subrogation rights. The other driver's estate later offered
to pay Pitts $40,000 in return for a release. Sentry objected and
claimed that it was not required to consent or substitute its own funds
under the contract or existing case law. The circuit court agreed with
Sentry, and the court of appeals certified the appeal to the supreme
court.
The supreme court, in an opinion written by Justice Prosser, reversed
the circuit court. "The issue again is whether an underinsured motorist
(UIM) insurer has an obligation to consent to, or substitute its funds
for, a proposed settlement between its insured and the tortfeasor, where
the tortfeasor's insurer has already settled for its policy limit and
the tortfeasor is offering an additional settlement payment in exchange
for a full release" (¶ 12). The "starting point" was Vogt v.
Schroeder, 129 Wis. 2d 3, 383 N.W.2d 876 (1986), in which the court
"confirm[ed] that an underinsurer does have a right to subrogation as
long as it substitutes its funds for those proffered by the tortfeasor's
insurer. However, if the underinsurer chooses simply to consent to the
settlement, it forfeits its right to subrogation" (¶ 35).
The court next addressed the "stylized dance between the underinsurer
and its insured" brought on by the underinsurer's conflicting interests
in minimizing its insured's damages "while it is negotiating with its
insured" and maximizing those same damages should it pursue payment from
the tortfeasor (¶¶ 41-42). Sentry had asked the trial court to
adjudicate Pitts' damages so that all three parties (Sentry, the
tortfeasor, and the Pittses) would have a "rock-solid number from which
to negotiate," but this approach was foreclosed by Vogt. And
although Vogt involved a single settlement, its reasoning
applied with full force to this case's dual settlement, which had the
same effect - "the full release of both the tortfeasor and the
tortfeasor's insurer" (¶ 49).
"In summary, we believe that the procedure prescribed in
Vogt to govern allocation of risk has equal applicability here.
When the subrogated underinsurer substitutes its own funds for the
settlement funds, it gains the right to proceed against the party or
parties that would have been fully released by the settlement agreement.
Our continued endorsement of the prescribed Vogt procedure will
afford a higher degree of certainty to the settlement process in
underinsurance claims. Therefore, we hold that an UIM insurer has an
obligation to consent to, or substitute its own funds for, a proposed
settlement between its insured and the tortfeasor, where the
tortfeasor's insurer has already settled for its policy limit and the
tortfeasor is offering an additional settlement payment. This obligation
is not triggered, however, if the insured has failed to satisfy its
contractual obligation to provide information to the underinsurer to
assist the underinsurer in determining damages" (¶¶
58-59).
Justice Wilcox did not participate in this case.
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Juvenile Law
Delinquency Proceedings - Personal
Jurisdiction
State v.
Aufderhaar, 2005 WI 108 (filed 7 July 2005)
In this case the defendant contended that the juvenile court, which
held a waiver hearing and waived him into adult criminal court, failed
to follow the statutory requirements for service of process in juvenile
cases and that therefore neither the juvenile court nor the adult court
had personal jurisdiction over him. In a unanimous decision authored by
Justice Roggensack, the supreme court concluded that the failure to
follow the statutory requirements for service defeated the state's
assertion of personal jurisdiction and requires the circuit court to
dismiss the criminal charges without prejudice and the juvenile court to
vacate the waiver order.
Wis. Stat. section 938.27(3)(a)1. requires a circuit court to
"notify, under s. 938.273, the juvenile, any parent, guardian and legal
custodian of the juvenile ... of all hearings involving the juvenile
under this subchapter, except hearings on motions for which notice need
only be provided to the juvenile and his or her counsel." The parties
agreed that section 938.27(3)(a)1. plainly requires service of a summons
or notice on both the defendant and his parents and that section
938.273(1) describes how such service is to be accomplished. The latter
statute describes three ways in which statutorily sufficient notice may
be provided: "(1) by mailing a summons or notice for appearance in
regard to the delinquency petition and the juvenile and any
parent appear; (2) by personal service on the juvenile and any parent;
or (3) if the court is satisfied that it is impracticable to serve the
summons or notice personally, by certified mail addressed to the last
known addresses of the persons to be served" (¶ 17).
In this case the defendant did not appear at his initial hearing.
Thus the statute required the juvenile court to grant a continuance and
to order personal service or service via certified mail. The juvenile
court did none of these things, but instead ordered a capias under
section 938.28. "This was insufficient to cause personal jurisdiction to
attach" (¶ 19). "[U]nless the defect is waived by appearance,
compliance with statutory provisions regarding service of process is
required before a juvenile court has personal jurisdiction" (¶ 27).
The court rejected the state's argument that personal jurisdiction
attaches simply by the filing of a delinquency petition (see
¶¶ 23-26). It also noted that "a juvenile's actual knowledge
of the pendency of the action is not equivalent to service" (¶
27).
With regard to the appropriate remedy in this case, the court
concluded that "because personal jurisdiction never attached, the
juvenile court could not waive [the defendant] into adult court.
Therefore, the waiver order was ineffective, and we reverse the court of
appeals['] decision affirming the circuit court's denial of [the
defendant's] motion to dismiss the criminal action in adult court.
However, we do so without prejudice. Additionally, because the juvenile
proceeding commenced before [the defendant] turned seventeen years old
... this proceeding should be returned to the point at which the
jurisdictional defect occurred. Thereafter, the juvenile court can
determine whether it will attempt service sufficient to satisfy Wis.
Stat. § 938.273(1). If it does obtain sufficient service to accord
personal jurisdiction over [the defendant], it may file yet another
waiver petition to transfer the matter into adult court. Or in the
alternative, the court may dismiss the delinquency petition. We leave
that decision to the judgment of the juvenile court" (¶ 28).
Delinquency - Expiration of Dispositional
Orders - Temporary
Extension of Orders
State v. Michael
S., 2005 WI 82
(filed 22 June 2005)
The issue before the supreme court in this case was whether a circuit
court may, pursuant to Wis. Stat. section 938.365(6), extend a
juvenile's one-year dispositional order temporarily for 30 days if the
30-day extension order is entered after the one-year dispositional order
has expired. The statute provides that if a request to extend a
dispositional order is made before termination of the order, but the
circuit court is unable to conduct a hearing on the request before the
order's termination date, the circuit court may extend the dispositional
order for not more than 30 days. In this case the state requested an
extension of the dispositional order before its termination. The circuit
court was unable to conduct a hearing before the termination date of the
order. The court did not, however, extend the order before its
termination.
In a majority decision authored by Chief Justice Abrahamson, the
supreme court held that "after a juvenile's one-year dispositional order
expires, a circuit court may not grant a 30-day temporary extension of
the order under Wis. Stat. § 938.365(6). Further, consistent with
caselaw, the expiration of the one-year dispositional order cannot be
waived. Because no 30-day temporary extension or new dispositional order
was granted prior to the expiration of the one-year dispositional order,
the circuit court could not act with respect to [the respondent
juvenile] once the one-year dispositional order expired" (¶ 2).
The state argued that the circuit court can extend a dispositional
order by implication, by inference, or nunc pro tunc. The supreme court
disagreed. "A circuit court must follow the statutory procedure for
extending an order. The statute does not allow for an extension by
implication, by inference, or after the fact" (¶ 40, citing Wis.
Stat. § 938.365(1m)).
The court addressed the state's reliance on a new provision in the
Juvenile Justice Code (Wis. Stat. § 938.315(3)), on which the state
relied to argue that the juvenile's failure to object to the delay
waived the time limit. Section 938.315(3) provides that "[f]ailure to
comply with any time limit specified in this chapter does not deprive
the court of personal or subject matter jurisdiction or of competency to
exercise that jurisdiction. Failure to object to a period of delay or a
continuance waives the time limit that is the subject of the period of
delay or continuance." The court concluded that section 938.315(3) does
not apply in the present case to extend the one-year dispositional
order. The court said, "the expiration date of a dispositional order is
not a 'time limit' contemplated in Wis. Stat. § 938.315(3)" (¶
61).
Justice Roggensack filed a dissenting opinion that was joined by
Justices Wilcox and Prosser.
Termination of Parental Rights - Failure
to Comply with
Statutory Time Limits - Loss of Competency - Waiver
Sheboygan County Dep't
of Social Servs. v. Matthew S., 2005 WI 84 (filed 22 June
2005)
In this termination of parental rights case, the petitioner (the
mother) argued that the circuit court lost competency to proceed because
it violated the mandatory statutory time limitation set forth in Wis.
Stat. section 48.422(2), which provides that "[i]f the petition is
contested the court shall set a date for a fact-finding hearing to be
held within 45 days of the hearing on the petition, unless all of the
necessary parties agree to commence with the hearing on the merits
immediately."
The issue before the supreme court was whether a competency challenge
based on a violation of this statutory time limitation is waived if not
first made before the circuit court. In a majority decision authored by
Justice Crooks, the court concluded that "such a competency challenge
based on the violation of the statutory time limitation of Wis. Stat.
§ 48.422(2) cannot be waived, even though it was not raised in the
circuit court. The court of appeals erred in extending the holding in
Village of Trempealeau v. Mikrut, 2004 WI 79, 273 Wis. 2d 76,
681 N.W.2d 190, to violations of such a mandatory statutory time
limitation under Wis. Stat. ch. 48. The circuit court did not hold the
fact-finding hearing within the time limits established by §
48.422(2), and never granted a proper extension or continuance pursuant
to Wis. Stat. §§ 48.315(1)(a) and (2), and thus it lost
competency to proceed before it ordered the termination of [the
mother's] parental rights" (¶ 2).
The court also addressed the impact of recently enacted Wis. Stat.
section 48.315(2m)(b), which provides that "failure to comply with any
time limit specified in [sec. 48.315(2m)(a)] does not deprive the court
of personal or subject matter jurisdiction or of competency to exercise
that jurisdiction." It concluded that the mandatory statutory time limit
at issue in this case is not among those referred to in section
48.315(2m)(a) (see ¶ 33).
Justice Wilcox filed a dissenting opinion that was joined by Justices
Prosser and Roggensack.
Termination of Parental Rights -
Definition of
"Parent"
State v. James
P., 2005 WI 80
(filed 17 June 2005)
A circuit court terminated the parental rights of James P. on the
ground that he had failed to assume parental responsibility for the
child. The court of appeals affirmed.
The supreme court, in a decision authored by Justice Wilcox, affirmed
the court of appeals. James argued that because he had not been
adjudicated the biological father of the child before the alleged
abandonment, he was not her "parent" within the meaning of Wis. Stat.
section 48.02(13). The court disagreed. "We hold that an individual who
is in fact the biological father of a nonmarital child satisfies the
definition of 'parent' in § 48.02(13), as he is a 'biological
parent,' notwithstanding that he has not officially been adjudicated as
the child's biological father. Because such an individual satisfies the
definition of 'parent,' he may have his parental rights terminated based
on periods of abandonment that occurred prior to his official
adjudication as the child's biological father, assuming he has failed to
establish a 'good cause' affirmative defense to the ground of
abandonment" (¶ 15).
The court said that its conclusion followed from the statute's plain
text (see ¶ 38). "[O]ur interpretation - which recognizes
that an individual who is, in fact, the biological father of a child has
always been the child's biological parent - encourages putative fathers
to acknowledge their fatherhood or have a court determine their
parenthood as soon as possible, encourages such individuals to fulfill
their responsibilities as parents, and holds such individuals
accountable when they fail to do so. If someone who is the actual
biological father of a nonmarital child establishes a substantial
relationship with that child and thereafter refuses to fulfill his legal
duties and responsibilities by abandoning the child, our interpretation
protects the child by allowing the State to terminate the father's
rights 'at the earliest possible time'" (¶ 42).
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Municipal Law
Zoning - Conditional Use Permits - Power
of County Boards of Adjustment
Osterhues v. Board of
Adjustment for Washburn County, 2005 WI 92 (filed 28 June
2005)
The Washburn County Highway Department applied to the county zoning
committee for a conditional use permit to open a gravel pit. Despite
opposition from individuals who owned property near the proposed site,
the committee granted the highway department's application.
The property owners appealed to the Washburn County Board of
Adjustment. They argued that the board could conduct a de novo review of
the zoning committee's decision. The board concluded that its only role
was to correct errors, and because the zoning committee had made none,
it could not reverse the granting of the permit. On certiorari review
the circuit court agreed with the plaintiffs and remanded the case to
the board to conduct a de novo review of the zoning committee's
decision. The court of appeals reversed the circuit court, holding that
a county board of adjustment does not have the authority to conduct a de
novo review of a county zoning committee's decision. See 2004
WI App 101.
In a unanimous decision authored by Justice Prosser, the supreme
court reversed the court of appeals. It concluded that, "[w]hen
reviewing the decision to grant or deny a conditional use permit, a
county board of adjustment has the authority to conduct a de novo review
of the record and substitute its judgment for the county zoning
committee's judgment. Moreover, under the applicable state statute, a
board has authority to take new evidence. Wis. Stat. § 59.694
(2001-02)" (¶ 2).
The court reached this conclusion for the following reasons: "First,
the plain language of the statute gives the board 'all of the powers of
the officer from whom the appeal is taken' when 'error is alleged.'
[See Wis. Stat. § 59.694(8).] Second, the Wisconsin law is
based on a model statute enacted by almost all states [the Standard
State Zoning Enabling Act], and other states have consistently agreed
that the board of adjustment has the power of de novo review. Third, it
appears from prior appellate decisions that boards of adjustment in this
state commonly exercise the power of de novo review, and take additional
evidence, when reviewing grants and denials of conditional use permits"
(¶ 2).
Accordingly, since the board of adjustment proceeded on an incorrect
theory of law (that is, that it could do nothing but review procedural
errors committed by the zoning committee), the supreme court reversed
the decision of the court of appeals and remanded the case to the
circuit court, so that the circuit court may in turn remand the matter
to the board of adjustment for reconsideration in accord with the
principles expressed in this opinion (see ¶ 43).
Zoning - Estoppel - Ordinance
Enforcement
Village of Hobart v.
Brown County, 2005 WI 78 (filed 15 June 2005)
The village of Hobart sought to enjoin Brown County from constructing
and operating a transfer station at a county landfill because, among
other things, doing so violated the village's zoning ordinance. Brown
County attempted to have the village's claim dismissed on a theory of
equitable estoppel. The circuit court granted summary judgment in favor
of the county. The court of appeals reversed the summary judgment order
and remanded the case, holding that a circuit court can apply equitable
estoppel to bar a municipality from enforcing a zoning ordinance but
that the requirements for estoppel had not been established in this
case. See 2004 WI App 66. In a majority opinion authored by
Justice Crooks, the supreme court affirmed the court of appeals.
The supreme court concluded that summary judgment should not have
been granted because several genuine issues of material fact exist. The
court indicated that, on remand, the circuit court must address whether
the construction and operation of the transfer station violated a zoning
ordinance, or any related ordinance, of the village (see ¶
22). If the circuit court determines that the county violated a village
ordinance, the next issue will be whether the village can be estopped
from asserting such a violation. The court concluded that "a
municipality cannot be estopped from asserting a violation and seeking
to enforce its ordinances, but that a circuit court has authority to
exercise its discretion in deciding whether to grant enforcement"
(¶ 30).
The last issue considered by the supreme court involved the proper
procedure for the circuit court to apply if it finds that there was a
violation of the village's zoning ordinance, or any related ordinance,
and the municipality asserts such a violation and attempts to enforce
it. "This court has established that when a party seeks to enforce an
ordinance by pursuing an injunction, or other such relief, the circuit
court can exercise its discretion in deciding whether, and in what form,
to grant the injunctive relief. Specifically, we have determined that
'[i]njunctive relief is not ordered as a matter of course, but instead
rests on the sound discretion of the court, to be used in accordance
with well-settled equitable principles and in light of all the facts and
circumstances of the case.' Thus, in this case, the circuit court must
determine if its equitable power to deny an injunction, or any other
enforcement mechanisms, is appropriate under the totality of the
circumstances presented" (¶ 32) (citations omitted).
The court cited the guidance it provided in Forest County v.
Goode, 219 Wis. 2d 654, 579 N.W.2d 715 (1998) on how to apply
equitable considerations: "[T]he circuit court should take evidence and
weigh any applicable equitable considerations including the substantial
interest of the citizens of Wisconsin ... the extent of the
violation, the good faith of other parties, any available equitable
defenses such as laches, estoppel or unclean hands, the degree of
hardship compliance will create, and the role, if any, the government
played in contributing to the violation" (¶ 34, quoting
Goode, 219 Wis. 2d at 684). Ultimately, the Goode
court concluded that, "upon the determination of an ordinance violation,
the proper procedure for a circuit court is to grant the injunction,
except when it is presented with compelling equitable reasons to deny
it" (id.).
Justice Prosser filed a concurring opinion that was joined by
Justices Wilcox and Butler.
Zoning - Variances - Board of Zoning
Appeals Required to
Make Sufficient Record of Its Exercise of Discretion
Lamar Central Outdoor
Inc. v. Board of Zoning Appeals, 2005 WI 117 (filed 12 July
2005)
In 2001 the Board of Zoning Appeals of the City of Milwaukee denied
the plaintiff's application for a dimensional area variance so that it
could raise a billboard. In doing so it applied the "no reasonable use"
rule articulated in State v. Kenosha County Board of
Adjustment, 218 Wis. 2d 396, 577 N.W.2d 813 (1998). Since the time
of the board's consideration of the plaintiff's application, the supreme
court has issued three major decisions relating to the law of zoning
variances. See State v. Waushara County Board of Adjustment,
2004 WI 56, 271 Wis. 2d 547, 679 N.W.2d 514; State ex rel. Ziervogel
v. Washington County Board of Adjustment, 2004 WI 23, 269 Wis. 2d
549, 676 N.W.2d 401; State v. Outagamie County Board of
Adjustment, 2001 WI 78, 244 Wis. 2d 613, 628 N.W.2d 376. In a
majority opinion authored by Justice Prosser, the supreme court
concluded that in light of the revised standards articulated in these
cases, the board in the present case proceeded on an incorrect theory of
law in evaluating the plaintiff's application for a variance, and that
on remand, the board should reconsider the matter in conformance with
the new legal standards governing area variances.
The court also addressed the kind of record the board must make to
demonstrate its exercise of discretion. The court said that Wis. Stat.
section 62.23(7)(e)9. requires that "the grounds of [the board's zoning
determinations] shall be stated" (¶ 27). The court concluded that
the board may not, as it did here, simply grant or deny an application
with conclusory statements that the application does or does not satisfy
statutory criteria. "Rather, we expect a board to express, on the
record, its reasoning why an application does or does not meet
the statutory criteria. Without such statement of reasoning, it is
impossible for the circuit court to meaningfully review a board's
decision, and the value of certiorari review becomes worthless" (¶
32).
The court was sympathetic to the argument that most members of zoning
boards are not attorneys and that many boards in Wisconsin operate
without issuing written opinions. "We do not expect boards of zoning
appeal to produce judicial opinions. We agree, in fact, that a written
decision is not required as long as a board's reasoning is clear from
the transcript of its proceedings" (¶ 31).
Chief Justice Abrahamson filed a concurring opinion.
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Property
Evictions - Notice
Walters v. National
Props. LLC, 2005 WI 87 (filed 23 June 2005)
The terms of a commercial lease required a tenant to provide the
landlord with monthly sales receipts and to pay the rent according to a
formula. When the tenant failed to submit the rent payment that was due
on Sept. 1, 2002, the landlord sent a "notice" dated Sept. 13, which the
tenant received on Sept. 16. On Oct. 15 the tenant mailed a check that
covered only the variable portion of the rent, which the landlord
received on Oct. 17. The landlord began this eviction action because the
tenant failed to cure the default in a timely manner. Although the terms
of the notice and the lease differed (see below), the circuit court
ruled that the lease terms controlled and granted judgment for the
landlord. The court of appeals affirmed.
The supreme court, in an opinion written by Justice Prosser,
affirmed. "This case is unusual because the language in the default
notice is not precisely the same as the language in the lease. As a
result, we must resolve the threshold question of whether the 'date of
service' provision in the notice supersedes the 'date of mailing'
provision in the lease, in determining when the thirty-day cure period
begins, if we deem the two provisions inconsistent"
(¶ 8). The landlord's "choice of alternative wording rendered
the notice ambiguous" by creating at least four possible dates for cure
(¶ 12).
The supreme court applied the "deeply rooted doctrine of contra
proferentem," by which it resolves ambiguous language "most
strongly" against the drafter (the landlord) (¶¶ 13-14). It
found "sufficient ambiguity" in the lease and notice to have enabled the
tenant to rely "on the notice, interpreted to require receipt" (¶
19). The court had "no doubt that ordinarily, landlords will fully
exercise their rights under the lease - indeed, the wisest course would
be to copy the lease language in the notice, and we have been presented
with no explanation why the landlord did not do that here" (¶ 23).
Nonetheless, the tenant achieved a "hollow victory" because it had not
complied with the notice or the lease. (The tenant had cured only one of
the four parts of its default.)
Chief Justice Abrahamson dissented on the ground that the majority
should have provided more guidance to circuit courts in eviction cases;
she "would have had this court state that in an eviction action in which
both the lease and the default notice were drafted by the landlord and
are ambiguous, the tenant is entitled to rely on the interpretation of
the document most favorable to the tenant" (¶ 37).
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Sexually Violent
Persons
Due Process - Dangerousness
State v. Bush,
2005 WI 103 (filed 6 July 2005)
Bush was committed as a sexually violent person under Wis. Stat.
chapter 980. His primary argument was that chapter 980 is facially
unconstitutional because it does not require evidence of a recent overt
act to be offered when the court determines the dangerousness of an
offender who has been released from incarceration but is later
reincarcerated for nonsexual behavior. Bush was convicted of a sexual
assault in 1988, was released on parole in 1992, and violated parole
less than a month later. His parole was revoked, and he was
reincarcerated. Five years later the state filed this chapter 980
commitment action. Bush argued, in effect, that only his behavior while
on parole in 1992 should have been considered in assessing his
dangerousness in 1997. The court of appeals affirmed his commitment.
In an opinion authored by Justice Butler, the supreme court affirmed
the court of appeals and, in so doing, refused to follow case law from
Washington (see ¶ 23). "Predicting an offender's
dangerousness under chapter 980 is a complex evaluation. At trial, the
factfinder is obligated to examine the totality of the offender's past
actions and make a determination based on the offender's 'relevant
character traits and patterns of behavior,' as to whether the offender's
mental condition currently predisposes him or her to commit another
sexually violent act. Ultimately, the question 'is simply whether it is
substantially probable that the person will engage in acts of sexual
violence without regard to any specific restrictions, supervision or
time frame.' Thus, we agree with the State that due process does not
require that an evaluation of dangerousness be limited based on Bush's
proposed bright-line rule" (¶ 33).
The court found that Bush advocated an illogical application of a
"recent overt acts" requirement to prove current dangerousness (¶
34). First, Bush's parole was not close in time to his chapter 980
trial; the two events were five years apart (see ¶ 36).
Second, "under Bush's approach, an offender's behavior while
incarcerated would be irrelevant to support a determination of current
dangerousness. However, the factfinder's analysis of an offender's
current dangerousness is not limited to the offender's actions prior to
his or her most recent incarceration and can include an offender's
actions while incarcerated. Here, Bush has engaged in the following
behavior while incarcerated: he was reprimanded for corresponding with a
person who was 'grooming a boy for sexual purposes,' and he attempted to
obtain pornographic materials. This behavior may bear on Bush's
dangerousness, but the weight to be given to this behavior is for the
factfinder" (¶ 37). Third, "the sexually violent offense for which
Bush is incarcerated may be relevant evidence of current dangerousness"
(¶ 38).
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Torts
Jury Fee - Medical Malpractice Standard
of Care - Peer
Review Privilege - Damage Cap
Phelps v. Physicians
Ins. Co. of Wis., 2005 WI 85 (filed 22 June 2005)
This medical malpractice action arose out of the death of an infant
during childbirth. While the mother was in labor, she was under the care
of an unlicensed first-year medical resident, Dr. Lindemann. In a trial
to the court, the judge found the doctor 80 percent causally negligent
and the hospital 20 percent causally negligent. The court of appeals
reversed.
The supreme court, in an opinion written by Justice Bradley, reversed
the court of appeals in a decision that addressed a variety of issues.
The first issue was whether one of the defendants, Physicians Insurance
Co. (PIC), waived its right to a jury trial by failing to pay the jury
fee on time. The statutes provide that a party's failure to pay a jury
fee may constitute a waiver (see
¶ 30). Under local rules, PIC's payment was late. The next
relevant question was whether the circuit court properly exercised its
discretion in denying PIC's motion to enlarge the time based on
excusable neglect. "[W]e are satisfied that the record supports [the
circuit court's] decision to deny PIC's request for a motion to enlarge
time. The reason for this largely stems from PIC's actions, or lack
thereof, after mailing in its late payment. At that time, PIC had the
option to be forthright, notify the circuit court and opposing counsel
about the problem, and move for an enlargement of time to pay the jury
fee. It chose none of these options. Indeed, 15 months passed by before
the issue was raised. Even then, it was not raised by PIC but rather by
opposing counsel. We view these facts as fatal to PIC's claim" (¶
35).
Second, the supreme court addressed "the unique status of an
unlicensed first-year resident" in a medical negligence action
(see ¶ 41). "Answering this question now, we determine
that physicians like Dr. Lindemann should be held to the standard of
care applicable to an unlicensed first-year resident based on the unique
restrictions described above. Although we anticipate this new standard
of care to be lower than that of an average licensed physician in some
cases, we do not expect that it will become a grant of immunity. After
all, unlicensed first-year residents are graduates of a medical school
who provide sophisticated health care services appropriate to their 'in
training' status. Therefore, unlicensed residents could still be found
negligent if, for example, they undertook to treat outside the scope of
their authority and expertise, or they failed to consult with someone
more skilled and experienced when the standard of care required it"
(¶ 43). On the facts of this case, the trial judge properly found
that Lindemann was negligent under the standard of care applicable to
first-year residents as well as under that applicable to an average
physician treating an obstetrical patient (see ¶ 44).
Third, a letter written by one physician to another that criticized
Lindemann's actions in the situation that underlay this case was not
cloaked by the health care services review privilege under Wis. Stat.
section 146.38. Putting aside whether Lindemann was a "health care
provider" under Wis. Stat. chapter 655, "the peer review privilege here
does not apply because the letter was not part of the peer review
evaluation process" (¶ 52). Rather, the letter alerted the
supervisor of the residency program in which Lindemann was enrolled -
its purpose was "not to improve the quality of health care at the
hospital" (¶ 54).
Fourth, the court held that the cap on noneconomic damages imposed by
Wis. Stat. section 893.55(4) does not apply to unlicensed first-year
medical residents. The court said that following PIC's arguments that
were to the contrary would lead to absurd outcomes or outcomes best left
to the legislature (see ¶ 63). "In the end, we view the
provisions in Wis. Stat. § 893.55 regulating the award of
noneconomic damages and Wis. Stat. ch. 655 as inextricably intertwined.
Recognizing this interplay, the court of appeals observed: '[t]he
legislature has unambiguously declared that the cap on noneconomic
damages in Wis. Stat. § 893.55(4)(b) applies only to those who are
health-care providers under Wis. Stat. ch. 655, and to "employees of
health care providers" as the phrase is further limited by §
893.55(4)(b).' We agree with this conclusion. Thus, because Dr.
Lindemann was not a 'health care provider' as the term is defined by
Wis. Stat. ch. 655, we determine that the cap on noneconomic damages
imposed by Wis. Stat. § 893.55(4)(b) does not apply" (¶
64).
Finally, the court remanded the matter to the circuit court to
determine whether Lindemann was a "borrowed employee" of the hospital
and therefore entitled to the cap protection as an "employee" of a
health care provider within the meaning of Wis. Stat. section
893.55(4)(b) (see ¶ 65).
Justice Wilcox did not participate. Justice Prosser, joined by
Justice Roggensack, concurred in part and dissented in part. Although
they agreed with "some parts of the majority opinion" that related to
the standard of care and the peer review privilege, their lengthy
dissent centered on the jury waiver and damage cap issues.
Informed Consent -
Chiropractors
Hannemann v.
Boyson, 2005 WI 94 (filed 29 June 2005)
A jury returned a verdict in favor of the plaintiff in a malpractice
action. The court of appeals reversed in part, because the special
verdict inquired into only the defendant's negligent treatment and did
not separately ask whether he had failed to obtain the plaintiff's
informed consent for the procedure that injured the plaintiff.
The supreme court, in an opinion written by Justice Wilcox, affirmed
the court of appeals. "The precise issue on appeal is whether the
circuit court erred in failing to submit a special verdict on informed
consent" (¶ 30). The court found "[n]o reason" that would explain
why the principles of informed consent, "while initially developed and
applied in the context of medical malpractice, are not equally
applicable to chiropractors" (¶ 41). "While the two disciplines are
distinct forms of health care, there is no logical reason why a patient
of chiropractic should not have the same right as a patient of medical
practice to be informed of the risks material to proposed treatments or
procedures so as to be able to make an informed decision and consent to
the proposed treatments or procedures. In other words, while the
specific treatments and procedures utilized in the practice of
chiropractic and the practice of medicine may differ, there is no reason
why the practitioners of these disciplines should not have the same
obligation to disclose the material risks of the procedures and
treatments they utilize" (¶ 45). "Although the specifics of the
disclosures will undoubtedly vary between the practice of medicine and
the practice of chiropractic, the rules governing the scope and limits
of the duty to disclose and obtain informed consent should be the same.
The scope and limits of the duty to disclose material risks and obtain
informed consent are aptly set forth in Wis JI - Civil 1023.1. While
this instruction may need to be modified when applied to chiropractors,
this can easily be accomplished" (¶ 47).
In this case, the special verdict was defective because it failed to
inquire separately into whether the plaintiff gave informed consent. In
particular, "the jury was never asked whether the risk of stroke was
information that a reasonable patient would want to know in deciding
whether to submit to chiropractic treatment. The jury was never asked
whether a reasonable patient in Hannemann's position would have
submitted to chiropractic treatment if presented with such information.
Finally, the jury was never asked whether the failure to inform
Hannemann of the risk of a stroke was the cause of his injuries" (¶
55). In short, the circuit court erroneously concluded that the failure
to provide informed consent constituted negligence in chiropractic
treatment (see ¶ 56). Finally, the error was not
harmless.
Justice Prosser did not participate. Justice Butler dissented on the
issue of whether the error was harmless.
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