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The Effect of Jandrt on Satellite Litigation
While it would be "good practice" to consult an
expert before trial, the majority concluded that Previant did
not have an obligation to retain an expert before commencing
suit because of the pending change in the law of joint and several
liability.31 Characterizing it a
"close case," the majority finally did conclude that
Previant had not frivolously commenced the lawsuit.32
Was the action frivolously continued under section 814.025?
When the supreme court concluded that the lawsuit was not frivolously
commenced, its analysis under section
802.05 was at an end,33 and
thus one might conclude that any further comparisons to Rule
11 of the FRCP were similarly at an end. However, while the court
stated that section 802.05 was patterned after Federal Rule 11,34 it nevertheless also observed that "in
many respects, these are the same guidelines [under section
802.05] a circuit court uses in its determination of frivolousness
under Wis. Stat. §
814.025."35
In
the discussion of the court's analysis of whether the action
was frivolously continued, one ought to bear in mind several
important considerations. First, this action was pending only
for a total of nine months.36 The
court concluded that the action became frivolous just 43 days
after its commencement, without explaining the significance of
that period.37 The majority concluded,
for several reasons, that the action was frivolously maintained.
A review of those reasons seems to show a reliance on the trial
court's findings on the issue of a frivolously commenced law
suit. Although the court concluded that the action was not
frivolously commenced, it concluded that Previant should have
completed a series of tasks within the following 43 days. According
to the majority, Previant did not:
- Obtain an expert witness who supported the causation theory
upon which rested the claims in the complaint.38
- Consult with an identified scientific or medical professional
with expertise in the areas of teratology, toxicology, epidemiology,
genetics, pediatrics, or the causes of birth defects.39
- Interview any treating physician of any of the mothers or
the children in question.40
- Pursue the purported "cover up" identified as one
of the bases for the filing of the complaint.41
- Conduct a comprehensive review of the medical records of
the mothers and children in question.42
- Attempt to identify the risk factors present in the mothers
of the three children with birth defects.43
- Conduct an evaluation through consultation with appropriate
medical and scientific authorities of the multiple pregnancy
problems among JFI employees.44
The majority concluded that the Previant firm "unreasonably
followed" the toxic tort consultant's recommendation to
commence a lawsuit in order to take discovery, since the Previant
firm could have obtained all the information it required regarding
chemical usage at JFI from OSHA records.45
Despite Kelly v. Clark,46
the majority found that Previant was not entitled to a "safe
harbor" whereby Previant could safely file a pleading and
make reasonable inquiry through formal discovery as to uncertain
or unclear facts within a reasonable time after the pleading
was filed.47 In the words of the
majority, a "'safe harbor' is not a loophole through which
attorneys may escape the requirement of Wis. Stat. §
814.025 that an action have a reasonable basis in law or
equity."48 It is unclear why
the majority found that the action was not frivolously commenced,
since the OSHA records presumably would have been available both
before and after the commencement of the action.
According to the majority, while a plaintiff need not "exhaust"
outside sources of information before embarking on discovery,
the Previant firm failed to avail itself of information that
was available without discovery, such as the OSHA reports.49 The majority said, "[t]he Previant
firm may have believed that JFI had more detailed information
on the levels of exposure than that which is required by OSHA.
However, that belief does not excuse the Previant firm for failing
to avail itself of information that was available without discovery."
And yet, again, all of these conclusions are in sharp contrast
with the majority's conclusion that Previant did not frivolously
commence the lawsuit.
Stating that a party is not relieved of its responsibility
to ensure that an action is well-grounded in fact and law once
an action is commenced, the majority states "it is the facts
the Previant firm knew and what it should have done in light
of its recognition that the causal element was essential to its
claim that lies at the heart of this appeal."50
However, Previant did commence discovery immediately after the
action was filed and was met by stiff resistance from JFI when
it insisted on a protective order before it would turn over any
documents for Previant's review.51
Despite the request for production of documents in June of 1995,
and the consequent failure of JFI to produce same, the majority
concluded that "for nine months the Previant firm did nothing
to try to establish ... causation."52
This begs the question of just what should Previant have done.
Given the stringency of the majority's decision, it no longer
will suffice to commence an action, counterclaim, or cross-claim
and then focus on one form of discovery until that avenue is
exhausted. If there are any doubts concerning the merits of a
claim, immediate, aggressive, and comprehensive discovery will
be the only prudent course of action. Further, if relevant information
can be acquired, either before or after suit, by any means other
than through formal discovery, one would be very well advised
to aggressively pursue it.
Another disturbing aspect of the majority's decision is its
conclusion that the purpose of sanctions under section
814.025 is not just punitive. "[W]e are less convinced
that compensation is not an appropriate consideration [under
814.025]...
[I]n a proper case, [814.025 may] provide full compensation for
reasonable attorney fees necessary to defend against a frivolous
action... We embrace this view today."53
The emphasis on sanctions as a form of compensation may lead
to a proliferation of claims under sections 802.05
and 814.025.
After all, if one believes that there is a colorable basis for
seeking sanctions, the failure to assert such a claim may be
malpractice.
The Wisdom of Federal Rule 11, as Amended in 1993
The majority analyzes the decision of the Previant firm to
commence litigation by reference to federal decisions interpreting
Rule 11 of the Federal Rules of Civil Procedure. However, almost
all of the decisions relied upon by the majority pre-date 1993.
According to one commentator:
"Because many of the elements of Rule 11 were changed
in 1993, be careful about relying on earlier cases. Such rulings
were made when sanctions were mandatory and when fee-shifting
was the most commonly imposed sanction. Neither is true under
the amended Rule."54
When analyzing the majority's decision, it is important to
contrast sections 802.05 and 814.025 and the majority's decision
with the language of FRCP 11 and the Advisory Committee Notes
that appertain to its 1993 amendment. First, current FRCP 11
is not mandatory. Moreover, arguably, the wording of FRCP 11
would today reach conduct covered by both section 802.05
and 814.025.
FRCP 11 (b) now provides in pertinent part:
"By presenting to the court (whether by signing, filing,
submitting, or later advocating) a pleading, written motion,
or other paper, an attorney or unrepresented party is certifying
that to the best of the person's knowledge, information, and
belief, formed after an inquiry reasonable under the circumstances,
- "(1) it is not being presented for any improper purpose,
such as to harass or to cause unnecessary delay or needless increase
in the cost of litigation;
- "(2) the claims, defenses, and other legal contentions
therein are warranted by existing law or by a nonfrivolous argument
for the extension, modification, or reversal of existing law
or the establishment of new law;
- "(3) the allegations and other factual contentions
have evidentiary support or, if specifically so identified, are
likely to have evidentiary support after a reasonable opportunity
for further investigation or discovery; and
- "(4) the denials of factual contentions are warranted
on the evidence or, if specifically so identified, are reasonably
based on a lack of information or belief." [Emphasis supplied.]
FRCP 11 further provides that a motion under same "shall
be served as provided in Rule 5, but shall not be filed with
or presented to the court unless, within 21 days after service
of the motion (or such other period as the court may prescribe),
the challenged paper, claim, defense, contention, allegation,
or denial is not withdrawn or appropriately corrected."
According to the Advisory Committee Notes following FRCP 11,
the 1993 Amendments were intended to:
- Equalize the burden of the rule on plaintiffs and defendants.
- Establish uniform standards for the imposition of sanctions,
which could be monetary or nonmonetary. These standards: "[E]numerate
the factors a court should consider in deciding whether to impose
a sanction or what sanctions would be appropriate in the circumstances.
... [that is] Whether the improper conduct was willful, or
negligent; whether it was part of a pattern of activity, or an
isolated event; whether it infected the entire pleading, or only
one particular count or defense; whether the person has engaged
in similar conduct in other litigation; whether it was intended
to injure; what effect it had on the litigation process in time
or expense; ... what amount, given the financial resources
of the responsible person, is needed to deter that person from
repetition in the same case; what amount is needed to deter similar
activity by other litigants."
- The court has significant discretion in determining what
sanctions, if any, should be imposed for a violation, subject
to the principle that the sanctions should not be more severe
than reasonably necessary to deter repetition of the conduct
by the offending person or comparable conduct by similarly situated
persons.
- Since the purpose of Rule 11 sanctions is to deter rather
than to compensate, the rule provides that if a monetary sanction
is imposed, it ordinarily should be paid into court as a penalty.
- Any award of fees to another party under FRCP 11 should not
exceed the expenses and attorney fees for the services directly
and unavoidably caused by the violation of Rule 11.
- If a wholly unsupportable count were included in a multi-count
complaint or counterclaim any award of expenses should be limited
to those directly caused by inclusion of the improper count,
and not those resulting from the filing of the complaint or answer
itself. The award should not provide compensation for services
that could have been avoided by an earlier disclosure of evidence
or an earlier challenge to the groundless claims or defenses.
It's Time to Conform Wisconsin's Sanction Rules to Federal
Rule 11
Jandrt is not just a problem for the plaintiffs' bar.
In fact, the Civil Trial Counsel sought to intervene in Jandrt
when Previant's Motion to Reconsider was pending before the supreme
court. Serious consideration should be given to reforming our
frivolous sanctions law to better conform to the landscape of
FRCP 11 practice in the following respects.55
Levy sanctions on those who bring groundless motions for
sanctions. As Justice Bradley put it in her dissent, a party
cannot spend unlimited resources to defend a frivolous action
without those expenditures becoming frivolous as well.
Adopt the FRCP 11 provision that permits courts to sua
sponte impose sanctions on offending parties. Why should
sanctions be the exclusive province of a satellite adversarial
proceeding? Perhaps it is clear that one party is frivolous,
but the other party in seeking redress may cross into frivolous
conduct as well. Why shouldn't the court have the power to step
in and sanction both offenders?
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Janine P. Geske, Marquette 1975, a former
justice of the Wisconsin Supreme Court, is a distinguished professor
of law at the Marquette University Law School.
William C. Gleisner, Marquette 1974, an attorney
practicing in Milwaukee, coauthored an amicus curiae brief in
Jandrt, which was submitted to the Wisconsin Supreme Court
on behalf of the Wisconsin Academy of Trial Lawyers. |
A party who believes that a claim is frivolous should not
be able to withhold that information from the court and opposing
counsel until after the expenditure of considerable sums of money
and judicial resources. Shouldn't a party with such knowledge
at the minimum be required to plead affirmatively the existence
of a frivolous claim (which wasn't done in Jandrt) or
at least not be permitted to benefit from a considerable delay
in asserting same?
More carefully calibrate sections 802.05 and 814.025 so
as to take account of the factors mandated under FRCP 11, especially
those factors that focus more precisely on the equity of a sanctions
inquiry. That is: whether the improper conduct was willful,
or negligent; whether it was part of a pattern of activity, or
an isolated event; whether it infected the entire pleading, or
only one particular count or defense; whether the person has
engaged in similar conduct in other litigation; whether it was
intended to injure; what effect it had on the litigation process
in time or expense; what amount, given the responsible person's
financial resources, is needed to deter that person from repetition
in the same case; and what amount is needed to deter similar
activity by other litigants.
Conclusion
To litigate is to sail in troubled waters. All members of
the trial bar, however, have an interest in ensuring that reasonable
safe harbors exist both for their own protection and to secure
equal justice for all members of our society. It is time to at
least reexamine our frivolous sanction rules in light of the
1993 amendments to FRCP 11.
Endnotes
1 Jandrt
v. Jerome Foods Inc., 227 Wis. 2d 531, 597 N.W.2d 744
(July 7, 1999). [Authors' Note: All references in this article
are to the opinion's page and, for pinpoint citations, to the
paragraph number.]
2 Jandrt
v. Jerome Foods: Reconsideration Dissent, __ Wis. 2d
__, 601 N.W.2d 650 (Oct. 28, 1999), 6.
3 "Although Rule 11 must be
read in light of concerns that it will spawn satellite litigation
and chill vigorous advocacy, any interpretation of [the] rule
must give effect to the rule's central goal of deterrence."
Cooter & Gell v. Hartmarx Corp., 496 U.S. 384, 393
(1990).
4 Jandrt,
597 N.W.2d 744, 559-60, 55. Although it found this to be a "close
case." Id.
5 Id.
at 749, 6.
6 Id.
at 7.
7 Id.
at 749-50, 8-9.
8 Id.
at 751, 18.
9 Id.
at 749-50, 8-10.
10 Id.
at 750, 12.
11 Id.
at 13-14.
12 Id.
at 751, 16.
13 Id.
14 Id.
at 17.
15 Id.
16 Id.
at 20.
17 Id.
at 752, 23.
18 Id.
at 751-52, 21.
19 Id.
at 769, 94.
20 Id.
at 752, 24.
21 Id.
22 Id.
at 25.
23 Id. at 26.
24 Id.
at 754, 31.
25 Id.
at 32; National Wrecking Co. v. International Bhd. of Teamsters
Local 731, 990 F.2d 957, 963 (7th Cir. 1993).
26 Jandrt
at 754-55, 33.
27 Id.
at 755, 34.
28 Id.
at 35 (Previant cited Frederick v. Hotel Inv. Inc., 48
Wis. 2d 429, 434, 180 N.W.2d 562 (1970) for the proposition that
no proof of causation is needed in a safe place action).
29 Id.
at 36.
30 Id.
at 757, 40-41.
31 Id.
at 758, 48.
32 Id.
at 559-60, 55.
33 Id.
at 753, 28.
34 Id.
at 754, 31.
35 Id.
36 Id.
at 768, 88.
37 Id.
at 769, 97.
38 Id.
at 760-61, 60.
39 Id.
40 Id.
41 Id.
42 Id.
at 761, 61.
43 Id.
44 Id.
45 Id.
at 761, 62, Id. at 762, 68.
46 Kelly v. Clark, 192
Wis. 2d 633, 651, 531 N.W.2d 455 (Ct. App. 1995).
47 Jandrt
at 762, 64, Id. at 763, 65.
48 Id.
at 762, 64.
49 Id.
at 763, 67, Id. at
762, 68.
50 Id.
at 760, 57-59.
51 Id.
at 751, 20.
52 Id.
at 765, 75.
53 Id.
at 79-80.
54 Hittner, Schwarzer, et al.,
Practice Guide: Federal Civil Procedure Before Trial - 5th
Circuit Edition (Rutter Group 1993-98).
55 Chief Justice Abrahamson quotes
the Civil Trial Counsel in her dissent from the denial of Previant's
Motion to Reconsider. According to her dissent, the Civil Trial
Counsel asked to be heard by the supreme court for the following
reason:
"We believe that this is a case of significant importance
to all attorneys practicing in the state, regardless of their
affiliation with either the plaintiff's or defense bar. It is
our position that this is a matter that needs to be addressed
in an evenhanded way since it affects both sides dramatically."
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