Court of Appeals Digest
By Prof. Daniel D. Blinka & Prof. Thomas J.
Hammer
| Attorneys | Constitutional Law |
Criminal Procedure | Family Law | Juvenile Law | Torts | Worker's Compensation |
Attorneys
Conflicts of Interest - Disqualification of Counsel - Waiver
Batchelor v.
Batchelor, No. 96-3186 (filed 3 Sept. 1997) (ordered published
28 Oct. 1997)
This case concerns attorney conflicts of interest and whether a party
may waive a claim of attorney disqualification by failing to timely
raise the issue.
In a decision authored by Judge Snyder, the court of appeals began by
noting that waiver of an attorney disqualification claim has not
previously been addressed in Wisconsin case law. However, in other
jurisdictions it has been widely held that in attorney disqualification
matters the failure to raise a timely objection may result in waiver.
The rationale behind this rule is that a court will not allow a litigant
to delay filing a motion to disqualify in order to use the motion as a
later tool to deprive his or her opponent of counsel of choice after
substantial case preparation has been completed.
Further, the related but distinct equitable doctrine of laches has
been held to apply to an attorney disqualification claim because the
latter is an equitable, not a legal, matter. In applying the laches
doctrine, the Wisconsin Supreme Court has held that for laches to arise
there must be unreasonable delay, knowledge of the course of events and
acquiescence therein, and prejudice to the party asserting the
defense.
In this case the appellate court applied the foregoing legal
principles to conclude that a party to a divorce action had waived a
claim that her husband's lawyer was disqualified from representing the
husband by virtue of a conflict of interest because of her failure to
timely raise the issue.
Constitutional law
Flag Desecration Statute - Wis. Stat. section 946.05(1)
Held Unconstitutionally Overbroad
State v. Janssen,
No. 97-1316-CR (filed 30 Sept. 1997) (ordered published 28 Oct.
1997)
Section 946.05(1) of the Wisconsin Statutes provides that "whoever
intentionally and publicly mutilates, defiles, or casts contempt upon
the flag is guilty of a Class E felony." Among the challenges to this
statute brought by the defendant in this case was a claim that it is
facially vague and overbroad.
In a decision authored by Judge Myse, the court concluded with
respect to the vagueness challenge that the portions of the statute
prohibiting the flag defiling and mutilating are sufficiently precise to
overcome a vagueness challenge. The same, however, could not be said for
that part of the statute making it unlawful to cast contempt upon the
flag. The court concluded that the "casts contempt" language is so vague
as to set no standard by which an individual's conduct may be measured.
Accordingly, this portion of the statute was held to be
unconstitutionally vague.
The court next considered the defendant's overbreadth claim. The
court concluded that the statute not only is overbroad but also it
deters protected expression in a real and substantial way. The statute
is overbroad because the expansive language prohibiting any intentional
and public act of defiling, mutilating or contemptuous treatment of the
flag clearly encompasses acts that the U.S. Supreme Court has deemed to
be protected expression. The statute is overbroad in a real and
substantial way because the expression prohibited is of a type in which
people have engaged. This fact allowed the court to confidently predict
that the statute likely would have a chilling effect on protected
expression.
The court concluded that there is no construction of this statute
which it could provide that would save the statute from constitutional
infirmity. Said the court, the difficult task of writing a
constitutionally permissible flag desecration statute must be left to
that branch of government where such power properly lies - the
Legislature.
Criminal procedure
Terry Stops - Moving Suspect Temporarily Detained
State v.
Quartana, No. 97-0695 (filed 24 Sept. 1997) (ordered published
28 Oct. 1997)
The defendant lost control of his car and drove into a ditch.
Immediately afterwards, he left the accident scene and walked home to
his parents' house, approximately one mile away. A Wisconsin State
Patrol trooper arrived on the scene of the accident and took control as
the investigating officer. After determining that the defendant owned
the car and lived nearby, a local police officer was dispatched to his
residence.
The local officer found the defendant at home, asked to see his
driver's license and asked him about the accident. The defendant
admitted that he had been driving at the time of the accident. At this
point, the officer observed that the defendant's eyes were "sort of"
bloodshot and glassy and that his breath smelled of intoxicants. When
the officer informed the defendant that he would have to return to the
accident scene to talk with the trooper investigating the matter, the
defendant asked if he could ride with his parents. The officer testified
that he told the defendant "he would have to come with [him], because
[he] needed to keep an observation on him, and that he was temporarily
being detained in reference to the accident investigation." The officer
kept the defendant's license and drove him in the rear of the squad car
back to the accident scene.
Once there, the officer turned the defendant and his license over to
the trooper. The trooper immediately interviewed the defendant and had
him perform several field sobriety tests, which he failed. The trooper
then placed him under arrest for OWI and took him to the police station
for further testing. The defendant refused to submit to chemical testing
and was charged with an implied consent refusal.
At the refusal hearing the defendant challenged the prosecution by
arguing that he had been placed under arrest without probable cause when
the officer kept his driver's license and transported him against his
will from his residence to the accident scene. The trial court found
that, although the officer did not have probable cause to arrest the
defendant, he acted within the scope of a temporary investigative
detention when he transported the defendant to the accident scene.
The court of appeals, in a decision authored by Judge Brown,
affirmed. The court began its analysis by noting that, pursuant to
Terry v. Ohio, 392 U.S. 1 (1968), a police officer may, in
appropriate circumstances, detain a person for purposes of investigating
possible criminal behavior even though there is no probable cause to
make an arrest. The Wisconsin Legislature has codified the
constitutional standard established in Terry in Wis. Stat.
section 968.24.
During the course of a Terry stop, officers may try to
obtain information confirming or dispelling their suspicions. Further,
by virtue of the express language of section 968.24, the police may move
a suspect short distances during the course of a temporary
investigation. The statute states that the police may temporarily detain
and question an individual "in the vicinity where the person was
stopped." Therefore, the law permits the police, if they have reasonable
grounds for doing so, to move a suspect in the general vicinity of the
stop without converting what would otherwise be a temporary seizure into
an arrest.
Accordingly, when a person under investigation pursuant to a
Terry stop is moved from one location to another, there exists
a two-part inquiry. First, was the person moved within the "vicinity"?
Second, was the purpose in moving the person within the vicinity
reasonable?
The term "vicinity" is commonly understood to mean "a surrounding
area or district" or "locality." In this case the court was convinced
that the accident scene, only one mile from the defendant's house, was
in the "surrounding area" or "locality." Therefore, the defendant was
moved within the "vicinity" when the local police officer took him back
to the accident scene.
Thus, the remaining issue was whether the police had reasonable
grounds for moving the defendant within the vicinity. The court
concluded that it was reasonable for the police to detain and transport
the defendant to the scene of the accident to continue their
investigation. The defendant showed signs of being under the influence
of alcohol and the officer had reasonable grounds to further investigate
to determine if his intoxication contributed to the accident. It would
have been unreasonable to expect the State Patrol trooper to leave the
scene unattended or require the assistance of yet another trooper to
preserve the scene while the first trooper went to the defendant's home
to interview him. It was far more reasonable for the local police
officer to transport the defendant the short distance to the accident
scene in order to continue the investigative effort.
The defendant argued that the conditions of his transportation
amounted to an arrest. He argued that the restraint of his liberty
proved that he was under arrest. But, said the court, he is wrong. A
restraint of liberty does not ipso facto prove that an arrest has taken
place. Nor did the court believe that the fact that the officer kept the
defendant's license would lead to a conclusion that an arrest had taken
place. Instead, the court looked to the totality of the circumstances to
determine whether a reasonable person in the defendant's position would
have considered himself or herself to be in custody given the degree of
restraint under the circumstances. The court concluded that a reasonable
person in the defendant's position would not have believed he or she was
under arrest. The defendant was not transported to a more institutional
setting such as a police station or interrogation room. Instead, he was
taken back to the accident scene and his detention was brief in duration
and public in nature. Further, the police did not detain him for an
unusually long period of time. They diligently pursued their
investigation and the defendant's detention lasted no longer than
necessary to confirm the officer's suspicions.
Further, the officer told the defendant that he was being temporarily
detained for purposes of the investigation and at no time prior to
taking the field sobriety tests did any police officer communicate to
the defendant, either through words or actions, that he was under
arrest, or that the restraint of his liberty would be accompanied by
some future interference with his freedom of movement. The defendant had
to realize that if he passed the field sobriety tests, any restraint of
his liberty would be lifted and he would be free to go.
In footnote the court observed that the statute requires the stop of
the person to be in a public place. It noted that an argument could be
made that the defendant in this case was first confronted and detained
at his private residence and not in a public place. This issue, however,
was neither raised nor briefed in this case and the court was unable to
find any Wisconsin case discussing the applicability of section 968.24
when the detainee is in a private residence. Said the court, this issue
is reserved for some future case.
Out-of-state Witnesses - Assessing Witness Travel
Expenses Against Defendant
State v. Bender,
No. 97-1095-CR (filed 16 Sept. 1997) (ordered published 28 Oct.
1997)
The defendant was sentenced to prison after having been found guilty
of two felonies. At sentencing the trial court ordered him to pay for
half the cost of bringing his crime victim back to Wisconsin from
Florida to testify at his trial. The victim was in custody in Florida at
the time of trial. As ordered by the court, the amount of the victim's
travel expenses allocated to the defendant was approximately $800.
On appeal the defendant asserted that the circuit court lacked
authority under Wisconsin law to order him to pay the $800 for the
victim's travel expenses. He argued that the amount the trial court
could order him to pay was limited by the provisions of Wis. Stat.
section 814.67(1)(c), which provides that out-of-state witnesses should
be paid a fee for traveling at the rate of 20 cents per mile from the
point where they cross the state boundary to the place of trial and back
by the usually traveled route between such points. The state responded
that the trial court properly ordered the defendant to pay half the
victim's travel expenses as restitution to the sheriff's department
under section 973.20 or, in the alternative, as a cost taxable against
the defendant under section 973.06(1)(a).
In a decision authored by Judge Cane, the court of appeals concluded
that the trial court had authority to order the payment under section
973.06(1), which provides that costs taxable against the defendant
include "the necessary disbursements and fees of officers allowed by law
and incurred in connection with the arrest, preliminary examination and
trial of the defendant, including, in the discretion of the court, the
fees and disbursements of the agent appointed to return a defendant from
another state or country." In this case, the court found that the
expenses incurred by the sheriff's department to have the victim
transported from Florida to Wisconsin to testify at the defendant's
trial were the type of disbursements and fees contemplated by the
statute quoted above. The victim was incarcerated in a Florida
corrections facility and the sheriff had to make special arrangements to
have her transported from Florida to Wisconsin to testify at the
defendant's trial. The costs involved for doing this were taxable
against the defendant under section 973.06(1)(a) as a necessary
disbursement of officers allowed by law and incurred in connection with
the defendant's trial.
Post-conviction Relief - Newly Discovered Evidence
- Burden of Proof
State v. Avery,
No. 96-3027 (filed 3 Sept. 1997) (ordered published 28 Oct. 1997)
The defendant was convicted of sexual assault, attempted murder and
false imprisonment. The trial court denied his postconviction motion for
a new trial on grounds of newly discovered evidence.
The court of appeals, in a decision written by Judge Nettesheim,
affirmed. The defendant raised a series of arguments, only some of which
will be highlighted. First, the court rejected the argument that the
criteria for granting relief based on newly discovered evidence is
whether the fresh evidence raises a "probability sufficient to undermine
confidence in the outcome" of the trial. This "less stringent" test
governs relief from due process violations (that is, the withholding of
exculpatory evidence), as was recognized most recently in Kyles v.
Whitely, 514 U.S. 419 (1995). The test for newly discovered
evidence is more stringent: Did the defendant demonstrate, by clear and
convincing evidence, that the newly discovered evidence created a
reasonable probability that the outcome would be different on retrial?
The court of appeals also concluded that this standard is consistent
with State v. McCallum, 208 Wis. 2d 463 (1997). On the facts of
this case, the defendant failed to show that his newly discovered DNA
evidence would create a reasonable probability of a different
outcome.
Finally, based upon the record, the trial court did not err in
denying a supplemental motion for postconviction relief based on the
withholding of exculpatory evidence. Although the judge denied the
motion without an evidentiary hearing, the motion failed to allege facts
which, if true, entitled him to relief.
Guilty Plea - Inadvertent Misstatements - Right to Counsel
State v. Knox,
No. 97-0682-CR (filed 16 Sept. 1997) (ordered published 28 Oct.
1997)
The defendant, Knox, agreed to plead guilty to battery and bail
jumping. In return the state promised to dismiss and read in two other
misdemeanors and recommend a six-year prison sentence, concurrent to one
Knox was presently serving. Several weeks later at the sentencing, a
different prosecutor recommended what in effect amounted to a five-year
term consecutive to the present sentence. Defense counsel requested a
recess and conferred with the prosecutor. Back on the record, the
prosecutor recommended the six-year concurrent term as originally agreed
upon. The judge, however, sentenced Knox to four years in prison,
consecutive to the other sentence.
On appeal Knox contended that the second prosecutor's misstatement
constituted a breach of the plea agreement and hence his right to due
process. The court of appeals, in a decision written by Judge Hoover,
affirmed. The misstatement was not substantial. It was not an attempt to
send a "veiled message" to the judge asking that Knox be treated more
harshly than the plea bargain called for. The prosecutor simply erred in
making her recommendation. The trial judge also commented upon the
prosecutor's "earnest manner in advocating the corrected proposed
disposition." Finally, the court found that Knox was not deprived of
effective assistance o f counsel because trial counsel did not apprise
him of his "right" to seek sentencing in front of a different judge:
"Because the breach was not material, there was nothing to remedy."
Search and Seizure - No-knock Entries - Exclusionary Rule
State v. Stevens,
No. 97-0758-CR (filed 16 Sept. 1997) (ordered published 28 Oct.
1997)
Police recovered drug-related evidence during a search of the
defendant's home. In a case that has percolated through the appellate
system since 1992, the defendant raised a series of challenges to the
legality of the search. In this decision written by Judge Myse, the
court of appeals held that the trial court erred in denying the
defendant's motion to suppress. The court of appeals agreed with Stevens
that police lacked reasonable suspicion to conduct a "no-knock"
entry.
The court of appeals applied the U.S. Supreme Court's recent decision
in Richards v. Wisconsin, 117 S. Ct. 1416 (1997). The state
"conceded" that it had no specific information that Stevens was armed,
likely to resist, or poised to destroy evidence. The court of appeals
rejected the state's reliance upon "generalized information" about drug
dealers because it would vitiate the Richardson reasonable suspicion
test, permitting unannounced entries into homes whenever drugs were
suspected.
Next, the court concluded that suppression was the appropriate
remedy. The discovery of the evidence came as a result of the
unannounced entry. Civil remedies for no-knock violations are
inadequate. Only suppression will serve as an adequate deterrent in
these cases.
Family law
Child Support - High-income Case - Disparate Incomes
Raz v. Brown, No.
96-1997 (filed 16 Sept. 1997) (ordered published 28 Oct. 1997)
Jan Raz and Mary Brown were married in 1979 and divorced in 1991. At
the time of the divorce they entered into a marital settlement agreement
that gave them joint custody of their two children with Mary having
their primary placement. The stipulation required Jan to pay $2100 per
month in child support. At the time of the divorce, Jan's monthly income
was $9,600 and Mary's was $2,600.
In 1995 Jan brought motions seeking, among other things, to modify
his child support obligation due to a claimed substantial change of
circumstances. After a contested hearing, the circuit court found Mary's
yearly income to be $114,000 and Jan's $108,000. Using the child support
standards of Wis. Admin. Code HSS 80 and the shared time payer formula,
the court ordered Jan to pay child support of $l,800 per month. Jan
appealed from that order, claiming that the trial court erroneously
exercised its discretion in calculating his child support obligation by
applying the child support percentage standards.
In a decision authored by Judge Curley, the court of appeals
affirmed. Under current statutory and case law, the trial court was
obligated to determine child support by applying the child support
percentage standards unless Jan could demonstrate that their use was
unfair to the children or himself. The trial court was held to have
appropriately exercised its discretion in determining that Jan had not
met his burden of proof.
When the matter was before the circuit court, the judge found that,
after paying child support Jan had $4,200 of disposable income per
month, while Mary had $8,200. The court realized that this was a
significant discrepancy but noted that there was no evidence to show the
children were harmed because Mary had more disposable income than Jan.
It also found that Jan failed to show that he would be unable to live at
the same standard of living he was used to.
To prevail in this case Jan needed to do more than point out the
disparity in disposable incomes which the child support percentage
standards produced. Income disparity is only relevant if payers can show
they are unable to pay the court-ordered child support or that the
income disparity will adversely affect the children or themselves. In
this case Jan attempted to make this showing by arguing that income
disparity contributed to strife between himself and Mary, thereby
harming the children and himself. He also urged that, because he has
less discretionary income than Mary to spend on the children, the
children are harmed by living at a lower standard of living when in his
care.
The appellate court responded by noting that the stated intent of the
child support percentage standard provisions is to ensure that children
are not adversely affected by divorce. Equalizing lifestyles between
divorced parents is not one of the objectives. The amount of
discretionary income which either parent may have available to spend on
their children is also a secondary consideration. What is paramount is
that both parents pay a fair amount for their children's essential
care.
The court noted that following divorce, many children find themselves
living in homes where their parents have different standards of living.
Reducing a child support payment to equalize standards of living between
parents is no guarantee that strife will subside, nor is a reduction
often in the children's best interest. The trial court in this case was
held to have properly exercised its discretion when it found that there
was no evidence in the record that indicated any harm to the children
because Mary had more disposable income.
Divorce - Personal Jurisdiction - One Party a Resident of
Mexico
Mendez v.
Hernandez-Mendez, No. 96-1731 (filed 27 Aug. 1997) (ordered
published 28 Oct. 1997)
Jose and Irma were married in Mexico. Two children were born to the
marriage. Jose and Irma subsequently separated and Jose took up
residence in Waukesha County, Wis.
Jose commenced this action, seeking a divorce, joint legal custody of
the children, periods of physical placement of the children, property
division and other relief. After protracted efforts, he succeeded in
personally serving Irma in Mexico. She responded with a letter to the
court in which she objected both to the court's jurisdiction and to the
divorce. Other than this letter, she did not otherwise appear or
participate in the circuit court proceedings.
The matter came on for a default hearing and, in light of the
objections stated in Irma's letter, Jose orally amended his petition to
request only a divorce. The circuit court ruled that it did not have
personal jurisdiction over Irma and dismissed the petition.
In a decision authored by Judge Nettesheim, the court of appeals
affirmed. The court began its analysis by noting that the circuit court
had subject matter jurisdiction in this case and, further, that the
residency requirements of section 767.05(1m) were not at issue. Turning
to the matter of personal jurisdiction, the court first addressed the
personal foreign service of Irma in Mexico. The court was unable to
locate any Wisconsin case that has addressed the validity of foreign
service upon a foreign citizen in a divorce action commenced in a
Wisconsin court. There is authority in an earlier court of appeals
decision in which the court observed that the Hague Convention, which
generally covers foreign service of process, is not the exclusive
vehicle for the service of process and that other notice can be
sufficient to satisfy Wisconsin Statutes. See In re Marriage of
Vause v. Vause, 140 Wis. 2d 157 (Ct. App. 1987).
In this case the personal foreign service on Irma appears to comply
with the Hague Convention. However, although the United States is a
signatory to the Hague Convention, the court of appeals took judicial
notice that Mexico is not. Therefore, the court could not rely upon the
Convention for the validity of the service on Irma. Nevertheless, if the
manner of service otherwise provided her notice in a fair fashion, it
would suffice. Since personal service actually was accomplished in this
case and it is the preferred form of service under Wisconsin Statutes,
the court concluded that it was valid.
Having properly served Irma, Jose contended that the circuit court
was empowered to litigate his petition for divorce. He based this
argument upon the fact that his action was amended to one of quasi
in rem when he narrowed his claim for relief to only a divorce. The
appellate court disagreed. Jose was required to show one of the grounds
for the exercise of personal jurisdiction set out in Wis. Stat. section
801.05. This statute articulates 13 possible grounds for the exercise of
personal jurisdiction and, as related to this case, the only relevant
ground was the "local presence or status" provisions of section
801.05(1). The statute provides that a court of this state having
jurisdiction of the subject matter has jurisdiction in any action
whether arising within or without this state, against a defendant who
when the action is commenced is:
- a natural person present within this state when served;
- a natural person domiciled within this state;
- a domestic corporation or a limited liability company; or
- engaged in substantial and not isolated activities within this
state, whether such activities are wholly interstate, intrastate or
otherwise.
It is clear that the first three grounds for the exercise of personal
jurisdiction listed above did not exist in this case. Irma was not
present or domiciled in Wisconsin when served, and she obviously is not
a corporation or company. Thus, the fourth ground, which is the
"long-arm" provision of the statute, must be examined to determine
whether Irma had sufficient minimum contacts with Wisconsin. This
analysis is necessary even though Jose's action was an in rem
proceeding.
The record in this case was barren with regard to any contacts
linking Irma to Wisconsin, much less sufficient minimum contacts. All
the record reveals is that the parties were married in Mexico, that Irma
was served there and that she has remained there. Thus, the only
contacts established are Mexican, not Wisconsin. In light of this
record, the court of appeals held that the circuit court correctly held
that Jose had not established that Irma had sufficient minimum contacts
with Wisconsin and it properly dismissed his petition.
Juvenile law
CHIPS Proceedings - Interrogation of Juvenile
- Applicability of Miranda v. Arizona
State v. Thomas
J.W., No. 97-0506 (filed 9 Sept. 1997) (ordered published 28
Oct. 1997)
A petition was filed alleging that Thomas J.W. was a child in need of
protection or services in that he was a child under the age of 12 who
had committed a delinquent act, namely, setting a fire in his elementary
school. Thomas moved to suppress his oral and written statements made to
a police liaison officer on the ground that the statements were obtained
in violation of his constitutional right not to incriminate himself. At
an evidentiary hearing on the matter, the officer who questioned Thomas
admitted that the interrogation was not preceded with Miranda
warnings.
The circuit court found that Thomas was in custody, was interrogated
and was not advised of his Miranda rights. However, it went on
to conclude that, as a matter of law, Miranda did not apply in
Thomas's case. It pointed out that Miranda applied in criminal
cases and that Thomas was the subject of a CHIPS petition, which is
distinct from a criminal case in that its purpose is to provide services
and protection to the child as opposed to punishment. Based upon these
findings, the circuit court admitted Thomas's statements in the CHIPS
proceeding.
In a decision authored by Judge Cane, the court of appeals affirmed.
It began its analysis by noting that Wisconsin has followed the
principle that, while the Fifth Amendment privilege against
self-incrimination is a constant in civil and criminal proceedings, the
procedural safeguards of Miranda warnings are not necessary in
certain civil proceedings. The applicability of Miranda does
not turn solely upon whether a proceeding is labeled "civil" or
"criminal." Rather, the substance of the proceeding determines its
applicability.
Wisconsin has extended the Miranda protections to minors in
juvenile delinquency proceedings and waiver proceedings. This extension
was based upon the premise that procedural safeguards were necessary
because the juveniles were facing exposure to significant imprisonment
or confinement in detention facilities. Thomas urged the court to follow
this line of cases in his case reasoning that there should be no
distinction among the procedural safeguards of children's rights ,
whether they are the subject of a CHIPS petition or a juvenile
delinquency or waiver proceeding.
The court of appeals was not persuaded. It found that Thomas offered
no compelling reason for extending the procedural safeguards set forth
in Miranda to a CHIPS situation. It agreed with the state that
a CHIPS proceeding significantly differs from a criminal proceeding. The
focus of CHIPS proceedings is on providing treatment and services to the
child. Because this is significantly different from a criminal
proceeding, the court concluded that statements made by Thomas were
admissible in his CHIPS case even though no Miranda warnings
had been given to him before he was questioned. The focus on providing
protection and services, and the absence of punitive measures available
to the judge at disposition, make a CHIPS proceeding substantially
different from the type of criminal proceeding contemplated by the Fifth
Amendment. Therefore, Miranda warnings are not required even
though an individual is in custody and is the subject of interrogation,
and suppression of the statements for failure to provide a warning is
not warranted.
SJOP - Predicate Offenses - Minnesota Adjudication
State v. David
L.W., No. 97-0606 (filed 9 Sept. 1997) (ordered published 28
Oct. 1997)
The court of appeals, in a decision written by Judge Hoover, reversed
a dispositional order that placed David in the Serious Juvenile Offender
Program (SJOP) under section 938.34(4h) of the Wisconsin Statutes.
Minnesota and Wisconsin charged David with various offenses. David
admitted to an amended charge of battery in a Wisconsin case and also
admitted to a first-degree aggravated robbery charge in Minnesota. In
the Wisconsin proceeding, David objected to the admission or use of the
Minnesota adjudication under Wisconsin's SJOP. The trial judge overruled
the objection.
The court of appeals agreed with David's argument. Penal statutes,
including the SJOP, must be strictly construed in favor of the
defendant. Section 938.34(4h) clearly and unambiguously enumerates a
list of predicate offenses that justify SJOP status, but offenses from
other jurisdictions (that is, Minnesota) are not included. The court
declined to adopt a construction that embraces a "substantially similar
foreign offense." Moreover, the court was troubled by the apparent
dissimilarities between Wisconsin's and Minnesota's robbery
statutes.
Sexually violent persons
Probable Cause Hearing - Annual Reviews
State v. Paulick,
No. 96-3410 (filed 24 Sept. 1997) (ordered published 28 Oct. 1997)
Paulick was convicted in 1989 for sexually assaulting children and
had his parole revoked in 1992 for having contact with minors. Prior to
his release, the state alleged that he was a sexually violent person
under chapter 980 of the Wisconsin Statutes, a jury agreed, and Paulick
was committed to a secure facility. A doctor filed a six-month
examination report and the court held a "probable cause hearing" because
Paulick did not sign the waiver of rights. Although Paulick was not
allowed to attend the proceeding, his lawyer appeared. Based upon the
doctor's report, the judge found that there were no facts warranting a
hearing on whether Paulick was still a sexually violent person.
The court of appeals, in a decision written by Judge Anderson,
affirmed. In a careful statutory analysis of chapter 980, the court held
"that sec. 980.09(2)(a), Stats., does not contemplate an evidentiary
probable cause hearing like that provided in sec. 980.09(2)(b). Rather,
the probable cause hearing is a paper review of the reexamination
report(s) with argument that provides an opportunity for the committing
court to weed out frivolous petitions by committed persons alleging that
they are no longer dangerous and are fit for release. This gatekeeping
function promotes the effective management of limited judicial resources
while simultaneously protecting the rights of the committed person."
Torts
Contributory Negligence - Spectators - Hockey Game Injury
Moulas v. PBC Productions
Inc., No. 96-1784 (filed 23 Sept. 1997) (ordered published 28
Oct. 1997)
The adult plaintiff was struck in the face with a hockey puck while
watching an Admirals hockey game at Milwaukee's Bradley Center. The rink
was enclosed by a clear plastic shield that was eight feet high in the
area where the plaintiff sat. The plaintiff alleged negligence and a
violation of the Safe Place Statute. The trial judge granted summary
judgment to the defendants and dismissed the claim.
The court of appeals, in a decision written by Judge Wedemeyer,
affirmed. The program booklet warned fans to keep their eye on the puck
at all times. Disclaimer language on the back of each ticket warned
ticketholders that they assumed the risk of injury. Examining the
summary judgment record, the court found no material issue of fact on
the issue of whether the defendants breached the standard of care.
Moreover, the "baseball rule" established as a matter of law that the
plaintiff's contributory negligence exceeded that of the defendants (if
any). Knowing the risks, plaintiff voluntarily attended the game. The
program and the ticket's disclaimer underscored the risks and warned her
that she, like all spectators, assumed them.
Judge Fine dissented on the ground that defendants had not met the
burden of demonstrating that the baseball rule applied to them.
Worker's Compensation
Traveling Employees - Recreational Activity - Coverage
CBS Inc. v. LIRC,
No. 96-3707 (filed 10 Sept. 1997) (ordered published 28 Oct. 1997)
CBS Inc. hired Kamps to be "runner" during the 1994 Winter Olympics
in Norway. The employment required that he work and travel in Norway for
about three weeks. Kamps injured himself while skiing with fellow
employees of CBS, which had supplied the group with free passes,
transportation and required that the employees remain "on call" during
this time. CBS argued that it was not responsible for Kamps' injury
because it occurred on his off day and while he was engaged in personal
recreation. An administrative law judge agreed with CBS, ruling that
Kamps was not entitled to worker's compensation because he deviated from
his employment. See Wis. Stat. 102.03(1)(f). Kamps appealed and LIRC
reversed, reasoning that "Kamps was working in a location where skiing
was a reasonable form of recreation incidental to living." The circuit
court affirmed.
The court of appeals, in a decision written by Judge Brown, also
affirmed and underscored that "traveling employees may participate in
reasonable recreational activities without deviating from their
employment" under the Worker's Compensation Act. The court rejected the
contention that traveling employees are restricted to "eating, sleeping,
and sightseeing." Recreation is a "usual and proper" activity. The "key"
to determining what constitutes "reasonable recreation" is the "nature
of the trip," including location. Downhill skiing in Norway during the
Winter Olympics was a reasonable form of recreation.
This column summarizes all decisions
of the 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.
Wisconsin
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