Wisconsin Lawyer
Vol. 79, No. 7, July
2006
Court of Appeals Digest
This column summarizes selected
published opinions of the Wisconsin Court of Appeals. Prof. Daniel D.
Blinka and Prof. Thomas J. Hammer invite comments and questions about
the digests. They can be reached at the Marquette University Law School,
1103 W. Wisconsin Ave., Milwaukee, WI 53233, (414) 288-7090.
by Prof. Daniel D. Blinka &
Prof. Thomas J. Hammer
Administrative Law
Judicial Review of Agency Decisions - Dismissal of Petitions for
Judicial Review
Jackson v. Labor &
Indus. Review Comm'n, 2006 WI App 97 (filed 27 April 2006)
(ordered published 31 May 2006)
The circuit court dismissed, sua sponte, Jackson's petition for
review of a decision of the Labor and Industry Review Commission. The
circuit court concluded that the petition did not state the nature of
Jackson's interest, facts showing that he was aggrieved, and the grounds
on which the agency decision should be reversed or modified. In a
decision authored by Judge Vergeront, the court of appeals reversed.
In reaching its decision to reverse, the appellate court concluded as
follows: "(1) Dismissal of a petition for failure to state facts showing
the petitioner is aggrieved is governed by Wis. Stat. § 227.56(3),
and that provision does not permit the circuit court to sua sponte
dismiss a petition without a motion from the respondent and without the
petitioner having at least one opportunity to amend the petition on the
terms described. (2) Dismissal for failure to state the nature of the
petitioner's interest and the grounds on which the agency decision
should be reversed or modified is not expressly addressed by statute but
the more reasonable construction of the relevant statutes is that the
circuit court does not have the authority to dismiss a petition on these
grounds in the absence of a motion from the respondent and without the
petitioner having a reasonable opportunity to request leave to amend the
petition. (3) [The petitioner's] petition, liberally construed,
adequately states the nature of his interest, facts showing he was
aggrieved, and the grounds on which the agency decision should be
reversed or modified, as required by § 227.53(1)(b). We therefore
reverse and remand for further proceedings consistent with this opinion"
(¶ 2). Top of page
Criminal Law
Causing Great Bodily Harm by Driving with a Detectable Amount of
Controlled Substances in the Blood - Constitutionality of Wis. Stat.
section 940.25(1)(am)
State v.
Gardner, 2006 WI App 92 (filed 11 April 2006) (ordered
published 31 May 2006)
The defendant was convicted of violating Wis. Stat. section
940.25(1)(am), which provides that a person commits a Class F felony if
he or she "causes great bodily harm to another human being by the
operation of a vehicle while the person has a detectable amount of a
restricted controlled substance in his or her blood." The statute also
provides that the defendant has an affirmative defense if he or she can
prove by a preponderance of the evidence that the injury would have
occurred even if the defendant had been exercising due care and did not
have a detectable amount of a restricted controlled substance in his or
her blood. The defendant raised several constitutional challenges to the
statute. In a decision authored by Judge Wedemeyer, the court of appeals
upheld the statute and affirmed the conviction.
The defendant's main contention was that the statutory scheme creates
"rebuttable and irrebuttable presumptions of guilt" and that the statute
thereby violates his constitutional right to due process. The state
responded that the statute does not create any presumptions; rather, the
statute simply defines a criminal offense and an affirmative defense to
that offense. The appellate court agreed with the state. In a
prosecution under section 940.25(1)(am), the state must prove beyond a
reasonable doubt that: 1) the defendant operated a vehicle with a
detectable amount of a restricted controlled substance in his or her
blood; and 2) the defendant's operation of the vehicle caused great
bodily harm to the victim. Said the court, "[t]he elements of the crime
do not provide the State with any presumptions so as to relieve the
State of its burden to establish the two elements beyond a reasonable
doubt. Likewise, the language of the statute does not direct the fact
finder to presume the existence of either of the two elements that Wis.
Stat. § 940.25(1)(am) creates from proof of any basic, or
evidentiary fact. Rather, the statute simply defines the elements of the
offense. Thus, if the State proves both elements beyond a reasonable
doubt, a defendant is not presumed guilty - he or she is guilty
of those elements" (¶ 12).
The defendant also argued that the statute under which he was
prosecuted is an impermissible "status offense" and thus violates the
Eighth Amendment protection against cruel and unusual punishment.
Rejecting this argument, the court concluded that "[t]he statutes
involved here penalize conduct, not status. The statutes prohibit
operation of a vehicle with a detectable amount of a restricted
controlled substance in one's blood and the causing of great bodily harm
as a result of that operation of a vehicle. Thus, a defendant is not
being penalized simply for being a drug addict. A defendant cannot be
prosecuted under Wis. Stat. § 940.25(1)(am) unless he or she
actually engages in conduct - operation of a vehicle such that great
bodily harm is caused to another human being" (¶ 14).
The court also rejected the argument that it was improper for the
legislature to enact the statute without requiring the state to prove a
causal connection between the controlled substance in the blood and the
injury. Said the court, "[w]e hold that the legislature's failure to
require the State to prove a direct causal link between the presence of
a restricted controlled substance and the resulting injury is not fatal
to the legality of the statute" (¶ 20). "[T]he people of this
state, through their legislature, have determined that the operation of
a vehicle by one who has a detectable amount of a restricted controlled
substance in his or her blood is a risk that will not be tolerated.
Section 940.25(1)(am) represents the legislature's decision to set a
zero tolerance level for driving after using illegal drugs and, as a
result, imposes a penalty when someone disregards the rules of the road
when his or her driving causes great bodily harm to another human being"
(¶ 19).
Lastly, the court rejected the claim that the affirmative defense
described above improperly shifts the burden of proof from the state to
the defendant. "[T]he affirmative defense here does not shift to [the
defendant] the burden to prove that he is innocent. Rather, it requires
him to prove that despite the fact that the State has satisfied the
elements of the offense, [he] cannot be held legally responsible under
the statute" (¶ 24).
Top of page
Criminal Procedure
Restitution - Government Agencies
State v.
Haase, 2006 WI App 86 (filed 27 April 2006) (ordered published
31 May 2006)
The defendant fled in his car from sheriff's deputies who were
attempting to arrest him on several outstanding warrants. During the
pursuit the defendant drove into a farm field. One of the deputies
followed him for approxi- mately one-half mile into the field until the
terrain became very rough. The deputy then abandoned his squad car and
continued his pursuit on foot. Moments later, the squad car burst into
flames. The defendant later was convicted of numerous offenses arising
out of this incident, and the court ordered him to pay restitution to
the county in the amount of $49,336 for the loss of the squad car. The
defendant appealed the restitution order. In a decision authored by
Judge Dykman, the court of appeals reversed.
Wis. Stat. section 973.20(1r) provides that "when imposing sentence
or ordering probation for any crime ... the court ... shall
order the defendant to make full or partial restitution ... to any
victim of a crime considered at sentencing ... unless the court
finds substantial reason not to do so ...." A government agency may be a
"victim" for purposes of this statute under certain circumstances.
State v. Howard-Hastings, 218 Wis. 2d 152, 153-54, 579 N.W.2d
290 (Ct. App. 1998).
The appellate court identified two principles articulated in prior
cases concerning the award of restitution to government agencies:
"First, a government agency is entitled to restitution when it is the
`direct' victim of criminal conduct. Second, a government agency is not
entitled to restitution for `collateral expenses incurred in the normal
course of law enforcement'" (¶ 10) (citations omitted). "Thus, an
agency must be a direct victim of the criminal conduct to be reimbursed
for a loss, but even when it is a direct victim, it may not recover
collateral losses of normal law enforcement activities" (¶ 13).
In this case the court of appeals concluded that the sheriff's
department was not a direct victim of the defendant's criminal conduct.
His criminal conduct in this case - eluding an officer - did not
directly cause the loss of the department's squad car. "[T]he officers,
not the department and its budget, were the direct victims of his
conduct" (¶ 14). Because the court concluded that the department
was not a direct victim of the defendant's criminal conduct, it did not
need to decide whether the loss of the squad car was a collateral
expense incurred in the normal course of law enforcement.
Deferred Prosecution Agreements - Plea Withdrawal
State v.
Daley, 2006 WI App 81 (filed 11 April 2006) (ordered published
31 May 2006)
The defendant was charged with recklessly endangering safety and
disorderly conduct. Negotiations with the state led to a deferred
prosecution agreement, according to which the defendant would plead no
contest to the two charges, the case would be suspended, and entry of
the judgment of conviction would be stayed. If the defendant complied
with the agreement, the state would move to dismiss the charges. The
circuit court approved the agreement, the defendant entered a plea, and
the circuit court suspended proceedings without entering a judgment of
conviction.
The state petitioned for termination of the deferred prosecution
agreement after the defendant allegedly engaged in further criminal
activity contrary to the agreement's terms. The court held a hearing and
determined that the defendant violated the agreement. The court revoked
the agreement and then found the defendant guilty of the two original
charges. Sentencing was scheduled for a later date.
Before sentencing the defendant moved to withdraw his no contest
plea. The circuit court denied the motion and proceeded to sentencing.
It withheld sentence and imposed a three-year term of probation for each
count, with the probation terms running concurrently. The defendant
appealed, and the court of appeals affirmed. See 2005 WI App
260. The supreme court granted the defendant's petition for review,
vacated the court of appeals' decision, and remanded the matter to the
court of appeals for further proceedings in light of State v.
Barney, 213 Wis. 2d 344, 570 N.W.2d 731 (Ct. App. 1997).
See 2006 WI 25. The court of appeals, in a decision authored by
Judge Hoover, once again affirmed the circuit court.
The court first considered the defendant's challenge to the deferred
prosecution agreement. The defendant implied that requiring a guilty or
no contest plea as part of the agreement is not permitted by the
deferred prosecution statute, Wis. Stat. section 971.37. However, said
the court, "the legislature plainly contemplated that parties would
negotiate appropriate conditions in a deferred prosecution agreement
commensurate with the individual facts of each case. While §
971.37(1m)(b) specifies certain components that shall be in a
deferred prosecution agreement, there is no indication these are to be
the sole components" (¶ 9). "Contrary to [the defendant's] argument
that it is bad policy to allow the State to require a plea as part of a
deferred prosecution agreement, such policy is actually quite efficient.
Requiring a plea allows the State to avoid trial but still allows the
defendant to avoid the conviction if he or she complies with the
agreement. In that sense, it provides an even greater benefit to a
defendant than a traditional plea agreement, provided the defendant
fulfills the agreement's terms" (¶ 13).
The court also addressed the standard to be used to evaluate a plea
withdrawal motion in a case involving a deferred prosecution agreement.
The standard for evaluating a plea withdrawal motion depends on whether
the motion comes before or after the defendant has been sentenced. A
motion made before sentencing should be freely allowed if the defendant
presents a "fair and just reason" to justify the withdrawal. If the
motion is made after sentencing, the defendant "carries the heavy burden
of establishing, by clear and convincing evidence, that withdrawal of
the plea is necessary to correct a manifest injustice" (see
¶ 14).
Applying the rationale of Barney, the court in this case
concluded that the manifest injustice standard should be used to review
the defendant's motion for plea withdrawal. Although the motion
technically was made before the circuit court held the sentencing
hearing and placed the defendant on probation, "prior case law compels
the conclusion that `sentencing,' when a deferred prosecution agreement
is involved, encompasses the initial disposition of the case after the
parties enter the agreement and the agreement is ratified by the trial
court" (¶ 16). (The appellate court went on to conclude that, under
the facts of this case, the defendant's reasons for plea withdrawal did
not meet the manifest injustice standard.)
State v.
McGowan, 2006 WI App 80 (filed 7 March 2006) (ordered published
31 May 2006)
The defendant was convicted of multiple counts of first-degree sexual
assault of a child. The charged offense involved multiple sex acts with
S., his cousin, which began when S. was about age 8. The prosecution
offered evidence of another act, a single incident with another cousin,
J., when she was about age 5 and the defendant was about age 10. J. was
age 24 when she testified at the trial. The court of appeals, in an
opinion written by Judge Kessler, reversed.
The court of appeals held that the trial court erroneously admitted
the other-act evidence because the evidence failed to meet the
three-part Sullivan standard. See State v. Sullivan,
216 Wis. 2d 768, 576 N.W.2d 30 (1998). The court of appeals held that
although the evidence was proffered for a proper purpose, namely, intent
or "background" (Sullivan's step one), the acts were so
dissimilar to the charged offenses that they failed the test of
relevancy (step two) and were not sufficiently probative to outweigh the
substantial risk of unfair prejudice (step three). "We cannot conclude
that the allegations are sufficiently factually similar to justify
admission of [J.'s] testimony as other acts evidence. Assuming the
truthfulness of both [S.] and [J.] for purposes of this analysis, we
conclude that a single assault, by one young child [the defendant] on
another young child [J.], eight years before repeated assaults by an
adult on a different child [S.] who was three years older than the first
victim, together with significant differences in the nature and quality
of the assaults, does not tend to make the latter frequent and more
complex assaults of [S.] more probable. Nor does such testimony make
[S.'s] testimony about the later events more credible because of the
significant differences in the details involving the earlier event and
the later events. Nor does the conduct of a ten-year-old child give
`context' to, or provide evidence of the motive or intent of, an adult
some eight or more years later" (¶ 20).
Top of page
Elder Law
Estate of Hagenstein v.
Wisconsin Dep't of Health & Family Servs., 2006 WI App 90
(filed 12 April 2006) (ordered published 31 May 2006)
The circuit court upheld a decision by the Wisconsin Department of
Health and Family Services (DHFS), which terminated Elisabeth
Hagenstein's Medicaid benefits. The DHFS found "that Elisabeth's
purchase of a life estate in part of her son's residence using the
proceeds of an annuity was a sham divestment of her assets" (¶ 1).
Elisabeth, then age 90, entered a nursing home in 1998. Her son Rudy,
who held her power of attorney, used proceeds from the sale of her home
to set up a "private balloon payment annuity." The balloon payment was
due on June 1, 2003. When Elisabeth received the $40,000 payment on that
date, "she purchased a life estate in 66% interest of Rudy's residence"
(¶ 5). The county later terminated Elisabeth's Medicaid benefits.
An administrative law judge (ALJ) agreed that the divestment was
"improper" and upheld the county's decision. The circuit court
affirmed.
The court of appeals, in an opinion written by Judge Nettesheim,
affirmed. First, the court rejected the estate's claim that Elisabeth
was denied procedural due process when a notice dated May 21 advised
that her benefits would be terminated but a later notice in June
asserted that she was still eligible. The linchpin was that Elisabeth
never challenged the May 21 notice. "Elisabeth did not request a fair
hearing or otherwise appeal the May 21 notice of the benefit
termination. Accordingly, her benefits terminated effective June 1 as
the notice had advised her they would. The June 16 notice may have
caused confusion but was irrelevant to Elisabeth's due process claim of
lack of notice, since the May 21 notice of benefit termination was
timely given and apprised her of her opportunity to be heard.
Furthermore, once Elisabeth did request a hearing, she was afforded a
full hearing on the substantive issue of her eligibility. We see no due
process violation" (¶ 18).
The court also affirmed the finding that the life estate constituted
an improper divestment. The "essential inquiry" came down to whether
"Elisabeth disposed of her annuity proceeds in exchange for fair market
value" (¶ 25). "The informal findings in the text of the ALJ's
decision and the record support the ALJ's conclusion that the life
estate transaction was a sham transaction by which Elisabeth divested
herself of her annuity balloon payment. Elisabeth had entered the
nursing home facility as `permanent to the nursing home.' At the time of
the life estate transaction Elisabeth had been in a nursing home for
five years with no realistic expectation of release. As such, Elisabeth
could not use the life estate at the time of her purchase, and she had
no reasonable future expectation of being able to do so. If Rudy should
sell the property, Elisabeth's life estate would be extinguished. Thus,
the ALJ reasonably concluded that the life estate represented nothing of
significant monetary value to Elisabeth. The ALJ also noted the oddity
of a 66% interest in a life estate, questioning `how in practice it
works to obtain an interest in just 66% of a property.' The ALJ also
noted that the balloon annuity payment and the 66% life estate were
virtually identical. These findings are supported by substantial
evidence, and we share the concerns they raise. A tenant for life is
entitled to the full use and enjoyment of the property in which he or
she has a life estate. Yet Elisabeth purchased the life estate years
after being institutionalized and without any realistic hope of ever
exercising any use or enjoyment of it. As a practical matter, she could
not sell her 66% interest in the home Rudy and his wife occupied, and
her interest in it would cease upon their sale of it. Thus, the
characterization of the conveyance as an arm's-length transaction is
dubious" (¶¶ 29-30).
Top of page
Family Law
Termination of Parental Rights Proceedings - Self-representation -
Competency
Dane County Dep't of
Human Servs. v. Susan P.S., 2006 WI App 100 (filed 26 April
2006) (ordered published 31 May 2006)
A circuit court terminated the parental rights of a mother to her
four children. In an opinion authored by Judge Lundsten, the court of
appeals affirmed.
Susan contended that the court violated her right to
self-representation when, on the second day of the termination of
parental rights (TPR) jury trial, the judge "rescinded" Susan's
self-representation and ordered standby counsel to represent her. The
court of appeals held "that the applicable self-representation
competency standards are those developed in a line of criminal cases
beginning with Pickens v. State, 96 Wis. 2d 549, 568-70, 292
N.W.2d 601 (1980), overruled in part, but affirmed as to the
standard of competency, State v. Klessig, 211 Wis. 2d 194,
206, 564 N.W.2d 716 (1997)" (¶ 2). The interests at stake for the
"affected parties are strikingly similar in both criminal and TPR
actions" (¶ 14). Moreover, the Wisconsin Supreme Court "has already
extended the Pickens standard for waiver of counsel and
self-representation competency to at least one non-criminal action"
(namely, a chapter 51 involuntary commitment proceeding) (¶
15).
In assessing whether a person can provide himself or herself with
"meaningful" representation a court should consider a range of
nonexclusive factors, including "education, ... fluency in English,
the ability to communicate effectively, the complexity of the case, the
ability to put the other side to its burden of proof, ... physical
disabilities, psychological disabilities, ... and the opinion of
medical and psychological experts regarding self-representation
competency if the opinions identify relevant and specific problems"
(¶ 19).
In a detailed review of the record, the court of appeals found no
abuse of discretion in the trial court's decision to rescind Susan's
self-representation. The court also rejected Susan's arguments that the
trial judge had abused her discretion in certain specific respects (for
example, by considering Susan's demeanor and tone of voice and her lack
of legal skills).
Susan also unsuccessfully contended that her right to
self-representation, while still in effect, was denied at a motion
hearing, which was commenced before she arrived. The court of appeals
closely considered the record of the hearing, noting that Susan arrived
late and alleged no harm or prejudice. Nor did the trial judge make any
decision in her absence (see ¶¶ 55-62). Finally, the
court of appeals held that the record demonstrated no loss of the
court's "competency" when the trial judge granted a continuance past the
statutory time limit, as provided by Wis. Stat. section 48.315(2)
(see ¶¶ 63-75).
Top of page
Insurance
Illusory Coverage - "Do Your Best"
Continental W. Ins. Co.
v. Paul Reid LLP, 2006 WI App 89 (filed 11 April 2006) (ordered
published 31 May 2006)
A home owned by Paul Reid LLP (Reid) was damaged when a propane fuel
tank ran empty, the pipes froze, and water damaged the structure. The
insurance policy stated that unless "you do your best" to maintain heat
in the structure or drain the pipes, coverage for water damage would be
excluded. The insurer began this declaratory judgment action, and a jury
found that Reid had not done its best under the circumstances to
maintain heat.
The court of appeals, in an opinion written by Judge Peterson,
affirmed. First, the "do your best" language did not render the coverage
illusory. "Paul Reid's argument does not demonstrate the language can be
reasonably interpreted to mean different things; its argument merely
demonstrates that the language will lead to different conclusions when
applied to different factual scenarios. The do-your-best language
contained in the Continental policy is no more ambiguous than other
terms used in insurance policies, such as `negligence' or `diligent.'
Actions taken by an insured may constitute negligence in one instance,
but the same actions may not be negligent when made under different
circumstances. Such differing applications do not render the term
`negligence' ambiguous, nor does a range of possible results render the
do-your-best standard ambiguous" (¶ 12). That the insurer could
have used different wording did not render the language fatally
ambiguous (see ¶13).
Top of page
Torts
Medical Malpractice - Contributory Negligence - Caps - Future Medical
Expenses
Zak v.
Zifferblatt, 2006 WI App 79 (filed 11 April 2006) (ordered
published 31 May 2006)
Zak burned his arm and sought medical attention at a hospital.
Doctors examined Zak and later discharged him. At about 9:30 p.m., the
hospital called Zak and told him that his blood test results were
abnormal and he should return to the hospital. Zak was admitted about
midnight. He was treated for a life-threatening infection that destroyed
his bladder and necessitated surgery. Zak sued, alleging that he had
been negligently discharged. A jury found in his favor.
The court of appeals, in a decision authored by Chief Judge Cane,
affirmed in part and reversed in part. First, the court of appeals held
that the trial judge properly refused to give a contributory negligence
instruction predicated on Zak's alleged failure to return sooner to the
hospital. "We reject the healthcare providers' argument because no
expert evidence was presented that any delay in Zak's return to the
hospital contributed to his injury. The healthcare providers note that
there was expert testimony that `hours are very crucial' when treating
severe sepsis. However, the healthcare providers fail to acknowledge
that this statement was in the context of the initial discharge. No
expert evidence was presented that, had medical treatment been
administered after his initial discharge, Zak's injuries would have been
affected. Contributory negligence requires that Zak's conduct must be a
`legally contributing cause' of his harm. Here, the healthcare providers
failed to present expert evidence that there was a causal nexus between
Zak's actions and his injuries" (¶ 11). Second, the model jury
instruction on causation, Wis. J.I. - Civil 1023 (2004), was a correct
statement of law (see ¶ 15).
Turning to the cross-appeal, the court agreed with the plaintiff that
under Ferdon ex rel. Petrucelli v. Wisconsin Patients Compensation
Fund, 2005 WI 125, 284 Wis. 2d 573, 701 N.W.2d 440, the damage cap
was unlawful and that he was entitled to reinstatement of the full
damage award (see ¶ 17). Zak also attacked the legality of
provisions in Wis. Stat. section 655.015 that require that payment for
future medical expenses be deposited in a fund-controlled account.
Relying again on Ferdon, in which the plaintiff had failed to
follow proper procedures for raising such claims, the court remanded
"the question to the circuit court for the parties to comply with §
227.40 and to address the validity of the administrative rule and the
constitutionality of the statute and the rule" (¶ 21).
Top of page
Wisconsin Lawyer