Wisconsin
Lawyer
Vol. 81, No. 11, November
2008
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
Attorneys
Liens – Breach of Contract – Fees
Lorge v. Rabl,
2008 WI App 141 (filed 14 Aug. 2008) (ordered
published 24 Sept. 2008)
Rabl retained attorney Lorge to represent her in a slip-and-fall
case. The contingent fee agreement set Lorge’s fee at one-third of
the amount recovered and also created a lien. When little occurred over
the next four years, Rabl terminated Lorge and hired attorney Riley, and
Lorge sent Rabl’s case file to Riley. Riley settled the case for
$100,000 and disbursed the settlement proceeds but paid Lorge nothing.
Lorge sued Rabl and Riley. The circuit court granted summary judgment
in favor of Rabl and Riley on Lorge’s claims for breach of trust
(which was based on SCR 20:1.15(d)), conversion, and treble damages. At
trial, the court found that Lorge had been discharged for cause but
nonetheless was entitled to $5,000 for the value of his services. Lorge
appealed.
The court of appeals affirmed in an opinion written by Judge
Dykman. Lorge was not entitled to summary judgment on his claims for
breach of trust and conversion. Key to Lorge’s claims was his
allegation that he had a lien on the settlement funds in Riley’s
trust account. Applying case law, the court held that “Lorge
breached his contingency fee agreement with Rabl, and therefore cannot
seek to enforce the contract. Because Lorge breached his contract with
Rabl, he did not have an enforceable lien at the time Riley collected
and disbursed the settlement proceeds for Rabl’s claim”
(¶ 15). From this it followed that Lorge’s claims for
conversion and breach of trust failed. “[A]n attorney who fails to
retain in trust money claimed by another will be subject to liability
only if an independent cause of action, such as conversion, arises from
the conduct. Because Lorge did not have a valid property
interest in the settlement amount giving rise to an independent cause of
action, any misconduct by Riley in failing to hold funds in trust for
Lorge is not a basis for a civil action” (¶ 18). Because
Lorge lacked any ownership interest in the trust funds, his claim for
treble damages under Wis. Stat. section 895.44 also failed (see
¶ 19). Finally, the circuit court properly exercised its discretion
in awarding Lorge $5,000 on a quantum meruit theory (see ¶
23).
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Contracts
Option to Purchase – Consideration
McLellan v.
Charly, 2008 WI App 126 (filed 17 July 2008)
(ordered published 27 Aug. 2008)
This case involved an option to purchase a certain parcel of real
estate. A crucial question of law before the court was whether the
consideration required to make an option to purchase binding and
irrevocable must be separate from the consideration for the sale of the
property. No reported Wisconsin cases expressly answer this question.
However, cases from other jurisdictions “show a consistent
adherence to the rule that there must be some consideration for the
option that is separate from the consideration for the sale of the
property, in order for the option to be a binding contract”
(¶ 24).
In a decision authored by Judge Vergeront, the court of appeals
said it was persuaded that “the rule applied in other
jurisdictions – requiring consideration for an option contract
that is separate from the consideration for the sale – is the
proper rule, and we adopt it” (¶ 26). “The reasoning
underlying the rule that there must be separate consideration for an
option contract is that an option contract and a contract of sale are
two separate contracts: the former is a contract that vests the optionee
with the unilateral right to accept the continuing offer during a stated
period of time, while the sale contract comes into being only if and
when the optionee exercises the option” (¶ 25).
The court concluded that in this case there was no consideration
for the option. It rejected the plaintiff’s argument that
leaseback and repurchase provisions in the option contract constituted
consideration separate from the consideration for the sale (see
¶ 2). It similarly rejected the plaintiff’s contentions that,
among other things, the seller’s intent to be bound by the option
and the efforts of a third party to obtain financing for the sale
constituted the requisite consideration for the option (see
¶ 60).
Accordingly, because there was no separate consideration for the
option contract, the option was not binding and the defendant seller was
free to revoke it.
Real Estate – Liquidated Damages
Osborn v.
Dennison, 2008 WI App 139 (filed 6 Aug. 2008)
(ordered published 24 Sept. 2008)
The Osborns entered into a WB-11 residential offer-to-purchase
contract to sell their house to Dennison, who deposited $2,000 in
earnest money. Dennison decided not to close on the property, and the
Osborns sued him for damages. When they filed suit, the Osborns still
retained the earnest money despite Dennison’s demand for its
return. Dennison filed a motion to dismiss the suit on the ground of the
Osborns’ failure to return the earnest money before suing him.
Three weeks later the Osborns indicated they would return the earnest
money, but the circuit court ruled this was too late: The Osborns had
elected to take liquidated damages by keeping the earnest money.
The court of appeals affirmed in an opinion authored by Judge
Anderson. “The plain language of the buyer-default provision
forecloses the Osborns’ interpretation, i.e., that directing the
return of the earnest money is a condition precedent to recovering on a
claim for breach of contract and not a condition precedent to sue for
actual damages. The language of the buyer-default provision provides the
seller options: the seller may elect one option ‘or’ may
elect another. Under this provision, the seller needs to first direct
the broker to return the earnest money to the buyer in order to have the
option to sue for actual damages. Contrary to the Osborns’
interpretation, the buyer-default provision of the contract does not
have any bearing on whether the seller may recover on a claim; rather,
the purpose of the provision is to set forth the separate and distinct
remedies that are available to a seller in the event of a buyer
default” (¶ 11). “We therefore agree with the trial
court that when
the Osborns brought the suit for actual damages, without first directing
a return of the earnest money, they not only elected the remedy of
liquidated damages, they limited themselves to it” (¶
18).
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Criminal Procedure
Search and Seizure – Standing to Challenge Search – Commercial
Guest at Mobile Home
State v. Fox,
2008 WI App 136 (filed 7 Aug. 2008) (ordered
published 24 Sept. 2008)
On Aug. 24, 2004, McCoy, Underwood, and Fox arrived at a mobile
home that was located in Juneau County and owned by McCoy’s
mother. Later that day, all three men returned to Illinois and spent the
night at the home of McCoy’s mother. The next morning, Fox and
Underwood returned to the trailer without McCoy. McCoy’s mother
was unaware that Fox and Underwood had returned to the trailer.
The following day, the Juneau County Sheriff’s Department
received a report that a person traveling in a vehicle owned by Fox had
purchased ammonia nitrate fertilizer from a local fertilizer plant. A
detective learned that Fox and Underwood were using the McCoy trailer
and went there to investigate. The officer observed that the rear door
of the trailer was tied to the door frame but left ajar about six
inches, and the windows were open but darkened with linens. He smelled a
strong odor of gas or chemicals coming from the trailer. The officer
then contacted McCoy’s mother, who informed him that Fox and
Underwood had her consent to be at the trailer (though she was unaware
that the pair had returned to the trailer after driving her son home to
Illinois). The officer obtained her consent to enter the trailer by
offering to check on the place and lock it for her.
Upon returning to the trailer, the officer entered, observed a
cooler sitting on the floor, and heard water bubbling in it. He opened
the cooler and identified it as a working methamphetamine lab. He left
the premises but later returned with other officers to conduct
additional warrantless searches to collect, secure, and photograph
evidence.
Fox (the defendant) was subsequently charged with multiple drug
offenses. He moved to suppress the evidence seized from the trailer on
the ground that it was the fruit of an illegal search. Following an
initial hearing on the motion, the circuit court determined that the
defendant had permission to be at the trailer and had a legitimate
expectation of privacy in the trailer and that he therefore had standing
to challenge the search. At a follow-up hearing, the court granted the
motion to suppress, ruling that the officers’ warrantless search
exceeded the consent they had obtained from the owner and was not
permissible under either the exigent circumstances exception or the
plain view exception to the Fourth Amendment. The state appealed. In a
decision authored by Judge Higginbotham, the court of appeals reversed,
concluding that the defendant lacked standing to challenge the search of
the trailer.
Courts apply a two-part test when determining whether an
individual has a reasonable expectation of privacy in an area and thus
standing to challenge a search thereof. The first part of this test asks
whether the individual has demonstrated an actual, subjective
expectation of privacy in the area searched and in the item seized. The
second part addresses whether society is willing to recognize such an
expectation of privacy as reasonable (see
¶ 16).
With regard to the first part of the test, the court of appeals
concluded that there was sufficient evidence to support the circuit
court’s conclusion that the defendant had a subjective expectation
of privacy in the trailer. The record showed that the windows to the
trailer were darkened with linens to prevent the public from looking
inside, and the door, while ajar, was tied loosely to the door frame by
a rope (see ¶ 17).
Turning to the second
(objective) part of the test, the court used an analysis appropriate for
cases in which the person challenging the search claims status as a
guest on the property. This analysis “examines the evidence in
light of the following considerations: (1) whether the
guest’s use of the premises was for a purely commercial purpose;
(2) the duration of the guest’s stay; and, perhaps most
significantly, (3) the nature of the guest’s relationship to
the host” (¶ 19).
Applying these factors the court concluded that the
defendant’s privacy expectation was not reasonable. The
defendant’s use of the premises on his return was for a largely
commercial purpose. His stay was only episodic over the course of three
to four days. His relationship to his host was modest; he was merely a
friend of the trailer owner’s son. Finally, the defendant lacked
the more-firmly rooted relationship to the premises that is
characteristic of an overnight guest or a frequent visitor (see
¶¶ 21-22).
Accordingly, the appellate court concluded that the defendant did
not have an expectation of privacy in the trailer that society would
recognize as reasonable and thus lacked standing to challenge the
warrantless search of the trailer.
Search and Seizure – Terry Frisk for Weapons – “Plain
Touch” Doctrine
State v.
Applewhite, 2008 WI App 138 (filed 20 Aug. 2008)
(ordered published 24 Sept. 2008)
Police officers were dispatched to a residence to investigate a
possible burglary in progress. Applewhite (the defendant) was observed
getting into a taxicab at the scene and was detained. An officer
observed that the defendant “kept putting his hands in his
pants” (¶ 2), and the officer repeatedly asked him whether he
had any weapons. The defendant eventually responded that he did in fact
have weapons on his person and voluntarily produced from his pocket two
knives: a retractable box-cutter and a switchblade knife.
The officer then performed a pat-down frisk because he thought
the defendant might have another weapon. During the pat-down, the
officer (who had worked as a narcotics officer) felt in the
defendant’s pants pockets something that he thought was a package
of narcotics. He then seized 13 individually wrapped baggies of
marijuana from the defendant’s pockets and placed him under
arrest.
In the subsequent prosecution the circuit court granted the
defendant’s motion to suppress all evidence obtained during the
pat-down search, holding that the state did not meet its burden of
establishing a proper search and seizure. The state appealed. In a
decision authored by Judge Snyder, the court of appeals reversed the
circuit court.
The appellate court first examined the lawfulness of the
officer’s decision to conduct a frisk of the defendant. A frisk
for weapons must be based on reasonable suspicion that the suspect is
armed. “Wisconsin case law has consistently emphasized that the
totality of all circumstances present and known to the officer must be
taken into account to assess the legality of the procedure. Of course,
some factors will be of greater import than others in the reasonable
suspicion calculus in a particular case. We begin by identifying each
primary factor present and then conclude by viewing these primary
factors in the totality of circumstances. Here, we ascertain three
primary factors demonstrating reasonable suspicion for the pat-down
search: the type of crime under investigation, [the defendant’s]
possession of and initial reluctance to produce the two knives, and [the
defendant’s] repeatedly reaching into his pants pockets”
(¶ 7) (citations omitted).
Analyzing the primary factors, the court concluded that the crime
under investigation (burglary) is a type of crime that commonly involves
a weapon (see ¶ 8), that it was reasonable for the officer
to suspect that the defendant may have had additional weapons (given
that two had already been revealed and that the defendant surrendered
them only after he was repeatedly questioned about the presence of
weapons) (see ¶ 9), and that the defendant’s
repeatedly putting his hands in his pockets was an important factor in
the overall assessment of dangerousness (see ¶ 10). The
court held that the totality of the circumstances, including the three
primary factors and all other circumstances known to the officer at the
time of the pat-down search, indicated that the officer had reasonable
suspicion that the defendant remained armed even after he voluntarily
produced two knives (see
¶ 11).
The next question before the court was whether the
officer’s discovery of contraband in the defendant’s pockets
was lawful under the “plain touch” doctrine. When the
pat-down itself is based on reasonable suspicion, the “plain
feel” or plain touch exception to the warrant requirement may
apply, and “when an officer touches or feels an object during a
pat-down which his or her training and experience lead the officer to
believe may be contraband, the officer is justified in retrieving the
item” (¶ 12). The plain touch exception does not demand that
the officer be absolutely certain of what specific contraband is
present, only that the object is incriminating in nature (see
¶ 16).
In this case the officer testified that he had been with the
police department for two years, had previously worked as a police
officer in Atlanta, where he was a street level narcotics and beat
officer, and had been trained in the handling of controlled substances
and their packaging at the City of Atlanta Police Academy. Said the
court, “We are satisfied that [the officer] had the knowledge and
experience to immediately recognize that the objects in [the
defendant’s] pocket were likely packaged narcotics” (¶
19).
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Insurance
Owner – Drive-other-car Exclusion
Young v. West Bend Mut.
Ins. Co., 2008 WI
App 147 (filed 21
Aug. 2008) (ordered published 24 Sept. 2008)
Young was injured while riding as a passenger on a motorcycle
driven by her boyfriend, Ramczyk. Young admitted that she bought the
motorcycle for Ramczyk but retained title (for reasons that were
disputed). The circuit court dismissed Young’s claim against her
insurer, West Bend, for underinsured motorist (UIM) coverage under her
own policy because she was an “owner” and thus fell within
the drive-other-car exclusion. The case was decided on motions for
summary judgment.
The court of appeals reversed in a decision written by Judge
Higginbotham. The term owner was undefined in the policy. Case
law offers several different approaches to ownership. The court elected
to consider the parties’ “intent and conduct” in
determining ownership in this context (¶ 16). The record presented
a disputed issue of fact as to whether Young or Ramczyk owned the
motorcycle. Under one view, Ramczyk was the owner. “Young avers
that she purchased the motorcycle for Ramczyk, and was holding title to
it only until his divorce was finalized. Ramczyk testified that the
reason for this arrangement was to prevent the cycle from becoming
marital property. Young also avers that she never drove the motorcycle,
and does not have a motorcycle operator’s license.... Young
testified in deposition that Ramczyk paid for all gas and had total
control of the motorcycle.... Ramczyk kept the motorcycle in his own
garage. Cumulatively, we conclude that this conduct is sufficient to
support a reasonable inference that Ramczyk was the owner of the
motorcycle for purposes of the ‘drive other car’
exclusion” (¶ 17).
Other evidence, however, supported the conclusion that Young
owned the cycle. “It is undisputed that Young held title to the
motorcycle – a relevant, though not determinative, factor in
ascertaining ownership in this context. She purchased the motorcycle and
secured financing for it. Significantly, Young once threatened to report
Ramczyk for theft if he drove it, suggesting that she may have believed
herself to be the owner of the motorcycle” (¶ 18).
Accordingly, the court of appeals concluded that a disputed issue
of material fact exists concerning whether Young was the motorcycle
owner for purposes of determining whether her policy’s
drive-other-car exclusion applies. Therefore, it reversed the circuit
court’s order dismissing West Bend from the action, and it
remanded the matter to the circuit court for further proceedings
(see ¶ 20).
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Real Property
Lakes – Public Access – Dedications
Vande Zande v. Town of
Marquette, 2008 WI App 144 (filed 13
Aug. 2008) (ordered published 24 Sept. 2008)
This case involves a dispute over public access to a lake. At
issue was a parcel of land that was designated as “public
access” in the original plat, which was approved and filed in
1974. The same developer, though, conveyed various parcels of
surrounding land and included in those deeds a purported interest in the
public access parcel as well. The plaintiff landowners were the holders
of the purported interests; they claimed that the public access was
never properly created or, alternatively, that the town, by inaction,
had abandoned it or is estopped from asserting the public’s right
to access (see ¶ 1). The circuit court rejected the
landowners’ claims.
The court of appeals affirmed in an opinion authored by Chief
Judge Brown. The court held that the developer’s filing and the
town’s approval of the plat “constituted a statutory
dedication of the disputed parcel as public access to the lake in accord
with Wis. Stat. §§ 236.16(3) and 236.29(2)” (¶
20). The court discussed the sufficiency of the language used in the
plat in creating the public access.
Next the court rejected the argument that the town had
“discontinued” or abandoned the public access. It held that
Wis. Stat. section 80.32, which governs the discontinuance of highways,
was inapplicable “to discontinue a public lake or stream access,
regardless of when that access was created” (¶ 26). Finally,
the court rejected the contention that the town was equitably estopped
from claiming public access. Although the plaintiff landowners
“may have suffered as a result” of the developer selling
them an interest in land that was not his to sell, the court refused to
“remedy this harm by taking away what rightfully belongs to the
public” (¶ 30).
Riparian Rights – Reservation of Rights by Easement on Transfer of
Title to Riparian Land
Berkos v. Shipwreck Bay
Condominium Ass’n, 2008 WI App
122 (filed 17 July 2008) (ordered published 27 Aug. 2008)
This riparian rights case involved the application of Wis. Stat.
section 30.133(1) (2005-06), which provided in pertinent part that
“[beginning] on April 9, 1994, no owner of riparian land that
abuts a navigable water may convey, by easement or by a similar
conveyance, any riparian right in the land to another person, except for
the right to cross the land in order to have access to the navigable
water. This right to cross the land may not include the right to place
any structure or material in the navigable water.” (The relevant
portion of this statute was modified slightly by 2007 Wis. Act 20,
§ 717g; the word “convey” was replaced by the word
“grant.” The court of appeals noted, however that these
terms have similar meanings, and “this change sheds little light
on the issues presented in this case” (¶ 1 n.1).)
The question on appeal was whether section 30.133 prohibits the
reservation of riparian rights by easement or similar conveyance upon
the transfer of title to riparian land. In a decision authored by Judge
Higginbotham, the court concluded that it does. Said the court,
“We read Wis. Stat. § 30.133 to prohibit the severing by
easement or by a similar conveyance of riparian rights from the riparian
lands to which they are attached. Section 30.133 represents a policy
decision by the legislature to reject the ‘majority rule’
expressed in Stoesser [v. Shore Drive
Partnership, 172 Wis. 2d 660, 665, 494 N.W.2d 204
(1993)] that riparian rights may be granted or reserved to a
non-riparian owner by an easement. By enacting § 30.133, the
legislature decided instead that riparian rights would not be severable
from riparian lands. To permit the reservation by easement of riparian
rights upon transfer of title to riparian lands would be contrary to the
legislature’s policy choice indicated by its rejection of
Stoesser” (¶ 15).
The appellate court acknowledged that the statute does not
explicitly refer to the reservation of riparian rights by
easement. “Regardless, ABKA [Limited Partnership
v. Department of Natural
Resources, 2002 WI 106, 255 Wis. 2d 486, 648 N.W.2d
854] and Stoesser
make clear that the legislature enacted § 30.133 to
prohibit the reservation of riparian rights by easement upon the
transfer of title of riparian land. Thus, we read language providing
that ‘no owner of riparian land that abuts a navigable water may
convey, by easement or by a similar conveyance, any riparian right in
the land to another person’ to preclude the reservation of
riparian rights apart from riparian land by an easement, as well as the
granting of riparian rights to a non-riparian”
(¶ 16).
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Torts
Punitive Damages – Intentional Disregard
Henrickson v.
Strapon, 2008 WI App 145 (filed 21 Aug. 2008)
(ordered published 24 Sept. 2008)
After consuming alcohol, Strapon struck and injured a pedestrian,
Henrickson, with his car and then fled the scene of the accident.
Strapon later pleaded guilty to reckless driving after the prosecution
conceded it could not prove his blood alcohol content at the time of the
collision. Henrickson sued Strapon for negligence and punitive damages.
The circuit court granted summary judgment dismissing the punitive
damages claim. Henrickson appealed.
The court of appeals affirmed in a decision authored by Judge
Vergeront. Punitive damages require a showing that a defendant acted
with malicious intent or intentionally disregarded the plaintiff’s
rights. Here it was alleged that Strapon’s alleged intoxicated
driving and his fleeing intentionally disregarded Henrickson’s
rights. The court of appeals held that Kehl v. Economy Fire &
Casualty Co., 147 Wis. 2d 531, 433 N.W.2d 279 (Ct. App. 1988)
remains good law (see ¶ 24). The Kehl court held
that the conduct in question must “cause or contribute” to
the plaintiff’s loss. Thus, the act of fleeing (hit-and-run), if a
“separate volitional act,” must be shown to have damaged the
plaintiff.
Applying these legal standards, the court held that neither
Strapon’s act of striking Henrickson nor Strapon’s fleeing
the scene warranted punitive damages. As to the former, the court
carefully examined the scant evidence of Strapon’s level of
intoxication, his violation of traffic laws, his conviction for reckless
driving, which involved a different legal standard, and his alleged
failure to “brake or slow down” after striking Henrickson.
As for the fleeing after the collision, the Kehl court held that
fleeing is not a basis for punitive damages unless it caused some
further injury. The same was true for Strapon’s conviction for the
“hit-and-run” (see ¶ 34).
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Trials
Jurors – Bias
State v.
Gonzalez, 2008 WI App 142 (filed 12 Aug. 2008)
(ordered published 24 Sept. 2008)
On the third day of a murder trial, a prosecution witness said
that she knew one of the jurors. (The witness’s name had not
appeared on the state’s original witness list.) The witness
further asserted that the defendant, the witness, and the juror had
attended the same elementary, middle, and high schools. When questioned
separately, the juror denied any recollection of the witness or the
defendant. The trial judge designated the juror as an alternate, and she
was excused before deliberation. The defendant objected to the
juror’s designation as an alternate and later removal.
The court of appeals affirmed in an opinion authored by Judge
Curley. The juror’s designation as an alternate and ultimate
removal rested in the discretion of the trial judge. The procedures used
were approved in prior cases. The juror was not removed because of
“nonverbal expressions” but because of her answers to the
judge’s questions. The judge was correctly concerned that the
juror’s memory might later be “jogged” regarding both
the witness and the defendant. “Finally, Gonzalez claims he is
entitled to a new trial because Wis. Stat. § 805.08(2), which
states, in part, that when there are excess jurors who are unnecessary
for deliberations, ‘the court shall determine by lot which jurors
shall not initially participate in deliberations,’ was not
followed. While true that the trial court in this case did not determine
by lot which jurors would not participate in deliberations, this was
appropriate because notwithstanding § 805.08(2), as previously
stated, the trial court has the discretion to remove a juror for cause
during a trial proceeding.... The trial court properly exercised its
discretion when it designated Juror Molenda as an alternate based on its
concern regarding her potential impartiality. The trial court has a duty
to ensure that the impaneled jury is an impartial one; one that is free
of bias or prejudice” (¶¶ 20-21).
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