
Vol. 78, No. 4, April 
2005
Supreme Court Digest
This column summarizes all decisions of the Wisconsin Supreme Court 
(except those involving lawyer or judicial discipline, which are 
digested elsewhere in the magazine). Profs. Daniel D. Blinka and Thomas 
J. Hammer invite comments and questions about the digests. They can be 
reached at Marquette University Law School, 1103 W. Wisconsin Ave., 
Milwaukee, WI 53233, (414) 288-7090.
 
by Prof. Daniel D. Blinka &
Prof. Thomas J. Hammer
Administrative Law
Hearsay - Substantial Evidence
Gehin v. 
Wisconsin Group Ins. Bd., 2005 WI 16 (filed 23 Feb. 2005)
The Wisconsin Group Insurance Board terminated Gehin's income 
continuation insurance benefits. The circuit court reversed the board, 
but the court of appeals in turn reversed the trial court.
On certiorari review, the supreme court, in an opinion written by 
Chief Justice Abrahamson, reversed the court of appeals. The case 
presented a single, difficult issue: "Does uncorroborated written 
hearsay evidence alone (that is controverted by in-person testimony) 
constitute substantial evidence to support [the board's] factual 
findings, which in turn form the basis for its conclusion of law, 
... that the claimant's benefits should be terminated ...?" 
(¶ 3). At an evidentiary hearing, the claimant, Gehin, offered 
expert medical testimony to the effect that she was unable to engage in 
substantial gainful activity, yet the board rejected her claim based on 
three doctors' written medical reports that were not accompanied by 
testimony (see ¶ 29). The written medical reports 
constituted hearsay evidence (see ¶ 30), and the 
conclusions they contained about Gehin's ability to work full time were 
uncorroborated and contradicted by live testimony (see ¶ 
45).
The court first noted that "[t]he sufficiency of the evidence on 
certiorari review is identical to the substantial evidence test used for 
the review of administrative determinations under chapter 227 of the 
statutes" (¶ 6). The court said that although the three medical 
reports were admissible at the hearing (see ¶ 50), the 
substantial evidence requirement has long precluded findings based on 
"uncorroborated hearsay alone" (¶ 55). Although this "legal 
residuum rule" has been contested and criticized, the supreme court held 
that recent federal authority was "not applicable to the present 
case"(¶ 66), because "the reliability and probative force of the 
written medical reports in the present case are suspect" (¶ 70). 
(The majority opinion closely considered this authority and parsed the 
three medical reports in detail.)
The court saw "no reason to deviate in the instant case from the 
long-standing rule in Wisconsin and consistently followed for 65 years 
in subsequent cases that uncorroborated hearsay alone does not 
constitute substantial evidence in administrative hearings. The rule 
balances competing concerns about administrative expediency and 
fundamental fairness" (¶ 81) (citations omitted). The supreme court 
expressly considered and rejected three reasons offered by the court of 
appeals for departing from the legal residuum rule: 1) the opposing 
party's ability to subpoena the experts, which, the court said, was 
"more theoretical than real" (¶ 84); 2) the admissibility, which 
the court held was not clear-cut, of the reports under a hearsay 
exception (see ¶ 87); and 3) the internal consistency 
among the three reports, which the court called a "bootstrap" that would 
lead to the "evisceration of the requirement"(¶ 92).
Justice Butler concurred and wrote separately to address several 
points raised by the dissenters, especially the concern that parties may 
rely on hearsay evidence only at their peril. Justices Wilcox and 
Prosser filed separate dissents in which each joined the other. In his 
lengthy dissent, Justice Wilcox disagreed with the majority's 
application of the legal residuum rule to "uncorroborated" hearsay. In 
Justice Prosser's separate dissent, he wrote "Section I laments the 
majority's decision to take Wisconsin out of the mainstream of 
administrative law and predicts some of the consequences that will flow 
from the decision. Section II challenges the majority's interpretation 
of a key piece of evidence in the record. Section III outlines the 
majority's disturbing disregard of the waiver issue and the standard 
procedures of the Wisconsin Group Insurance Board"(¶ 156). Justice 
Roggensack, also dissenting (and joined by Justices Prosser and Wilcox), 
wrote separately because she "would not reach the question of whether 
uncorroborated hearsay constitutes substantial evidence as the hearsay 
evidence here was corroborated and consti tuted `substantial evidence' 
under § 227.57(6)" (¶ 210).
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Civil Procedure
Amended Pleadings - Costs and Attorney Fees - Patients' Rights
Hess v. 
Fernandez, 2005 WI 19 (filed 25 Feb. 2005)
A jury awarded the plaintiffs approximately $870,000 in damages in a 
medical malpractice case. After the verdict, the plaintiffs moved to 
amend the pleadings to recover costs and reasonable attorney fees under 
Wis. Stat. section 51.61(7)(a). The circuit court granted the motion, 
even though the complaint had not stated a section 51.61 claim, and 
awarded the plaintiffs more than $900,000 in reasonable actual attorney 
fees plus costs of nearly $300,000. The court of appeals certified the 
appeal to the supreme court.
In a decision authored by Justice Crooks, the supreme court reversed. 
The supreme court held that the circuit court abused its discretion when 
it permitted the amendment of the pleadings to state a section 51.61 
claim. The court analyzed Wis. Stat. section 802.09 and held that the 
defense did not expressly consent to try the unpleaded issues. It also 
held, as a matter of law, that the defense had not impliedly consented 
to try the issues. "[I]mplied consent exists where there is no objection 
to the introduction of evidence on the unpleaded issue and where the 
party not objecting is aware that the evidence goes to the unpleaded 
issue"(¶ 21). "The circuit court erred when it failed to analyze 
the implied consent issue in terms of actual notice. It found that the 
issue was `fully aired,' at least as to the violation of the standard of 
care, simply because it concluded a commonality of proof between the 
pleaded and unpleaded claims. The circuit court, despite finding implied 
consent without considering actual notice, pointed out matters that 
clearly lead to a determination of no actual notice: `[T]here was no 
specific prayer for relief under sec. 51.61(7), no discussion of which 
the court was aware of an award under that section until the filing of 
plaintiff's motion Number 1, and no request for instruction or inclusion 
of a specific verdict question as to sec. 51.61(7)'" (¶ 22).
The court held that the circuit court also failed to balance properly 
such factors as undue delay, the moving party's motives, and any 
resulting prejudice (see ¶ 28). Specifically, the supreme 
court looked to federal courts, which have "expanded the interpretation 
of `interests of justice' beyond prejudice ... and held that among 
the adequate reasons for denying leave to amend under such circumstances 
are `undue delay, bad faith or dilatory motive on the part of the 
movant....'" (¶ 29). On the record before it, the court considered 
the "significant" delay and the movant's "dilatory motive" (see 
¶¶ 29, 30). The court said that it was obvious that the 
defendants had "relied on the fact that there was a contingent fee 
agreement involved here" (¶ 33).
Finally, the supreme court held that the Wisconsin Patients 
Compensation Fund (now called the Injured Patients and Families 
Compensation Fund) is not a "person `who violates the right in 
question'" and thus cannot be held responsible under Wis. Stat. section 
51.61. In reaching this holding, the supreme court clarified a 1996 
court of appeals decision.
Chief Justice Abrahamson dissented on the grounds that the circuit 
court properly exercised its discretion and that the plaintiffs' 
position was supported "on all fours" by case law (¶ 52).
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Commercial Law
Warranty - Damages
Mayberry 
v. Volkswagen of Am. Inc., 2005 WI 13 
(filed 16 Feb. 2005)
The plaintiff brought this breach of warranty action against 
Volkswagen (VW) for a defective car. The circuit court granted summary 
judgment in favor of the defendant on the ground that the plaintiff had 
suffered no damages because she traded in the car for more than its fair 
market value. The court of appeals reversed.
The supreme court, in an opinion written by Justice Wilcox, affirmed 
the court of appeals. The appeal raised an issue of "first impression," 
namely, "whether the `special circumstances' clause in Wis. Stat. § 
402.714(2) (2001-02) requires damages in a breach of warranty action to 
be calculated based on the difference between the fair market value of 
the defective product at resale and the price the consumer actually 
obtained, such that a consumer's claim may be barred if she receives 
more than the fair market value for the defective product upon resale" 
(¶ 2).
The core of VW's argument was that special circumstances are present 
when an automobile purchaser uses the vehicle for an extended period of 
time, the manufacturer makes numerous repairs free of charge under its 
warranty, and the consumer later resells the vehicle for more than its 
fair market value. Under these circumstances, argued VW, "damages should 
be calculated based on the actual value and fair market value of the 
vehicle at the time of resale" (¶ 24). The court rejected this 
argument as well as the assertion that the plaintiff stood to gain a 
"windfall." The plaintiff's claim, in essence, was that "she paid too 
much for the vehicle given its defective condition," not that it was 
valueless (¶ 35). The supreme court therefore held that pursuant to 
Wis. Stat. section 402.714(2), the appropriate method for measuring 
damages in this case is the difference between the warranted value of 
the vehicle and its actual value at the time and place of 
acceptance.
The supreme court also held that the plaintiff established a prima 
facie case that survived the summary judgment motion. "The standard 
measure of damages under § 402.714(2) requires evidence of two 
values: (1) the value of the product as warranted at the time and place 
of acceptance and (2) the actual value of the vehicle with defects at 
the time and place of acceptance. As to the first value, courts 
generally hold that the contract price is relevant but not conclusive 
evidence of the value of the goods as warranted at the time and place of 
acceptance" (¶ 39). As to the second value, the plaintiff could 
herself testify to the car's value because she was its owner 
(see ¶ 42), although the price she received on the 
trade-in could be used to impeach her opinion.
Justice Wilcox, joined by Justices Prosser and Roggensack, concurred. 
They "wholeheartedly agree[d]" that the "special circumstances" clause 
of section 402.714(2) did not completely bar the plaintiff's claim but 
argued that the provision could be used "to adjust" damages "to reflect 
any damages mitigated by the plaintiff. ... [W]hile the difference 
between the warranted value and actual value at the time and place of 
acceptance is the `starting point' for calculating damages, this figure 
may be adjusted upwards or downwards in appropriate circumstances to 
reflect the actual amount of plaintiff's damages under the `special 
circumstances' clause of § 402.714(2)" (¶ 49).
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Criminal Procedure
Parole - Revocation of Parole While Still in Physical Custody
State ex 
rel. Riesch v. Schwarz, 2005 WI 11 (filed 15 Feb. 2005)
The petitioner was sentenced to prison under Wisconsin's old 
indeterminate sentencing system. He was held in prison until his 
mandatory release date, when he was transferred to a county jail because 
of his refusal to cooperate with his social worker in arranging a 
suitable residence plan for his release on parole. His refusal to 
cooperate was the first of the petitioner's alleged parole violations. 
The petitioner's parole agent immediately lodged a parole hold against 
him, and the petitioner's parole later was revoked by an administrative 
law judge (ALJ). The Division of Hearings and Appeals (DHA) affirmed the 
ALJ, and the circuit court denied the petitioner's certiorari challenge 
to the decision. The court of appeals affirmed the circuit court.
In a unanimous decision authored by Justice Bradley, the supreme 
court affirmed the court of appeals. The issue before the court was 
whether a person can have the status of a parolee and be subject to 
parole revocation proceedings even though the person has not been 
released from physical custody. The court concluded that the petitioner 
had attained the status of a parolee after reaching his mandatory 
release date, despite the fact that he was not released from physical 
custody. Said the court, "where inmates violate [the rules and 
conditions of release] immediately and simultaneously with their 
scheduled mandatory release, the [Department of Corrections] should be 
able to maintain continuous custody, even though the person's status 
changes from a prisoner serving a sentence to a parolee detained on a 
parole hold" (¶ 30). Accordingly, the court held that the DHA did 
not act outside its jurisdiction or contrary to law by revoking the 
petitioner's parole.
Victims' Rights - Interpretation of Victims' Rights Amendment to 
Wisconsin Constitution
Schilling v. 
Wisconsin Crime Victims Rights Bd., 2005 WI 17 (filed 23 Feb. 
2005)
Daniel Marinko was convicted of the 1999 murder of Jennifer Marinko. 
At the sentencing hearing the prosecutor, Patrick Schilling, played part 
of the tape of the 911 telephone call that the victim's son had made to 
the police after discovering his mother's body. While Schilling made 
sure that the victim's children would not be present at the sentencing 
hearing, he did not inform other family members that he was going to 
play the tape or otherwise give them an opportunity to leave the 
courtroom before he played it. Schilling turned off the tape before it 
had finished playing, because he recognized that it was having a 
dramatic effect on the family members.
Five of the victim's survivors filed a complaint against Schilling 
with the Crime Victims Rights Board. After an evidentiary hearing, the 
board found that the tape of the 911 call was "`highly upsetting'" and 
that "`Schilling knew of the tape's powerful emotional content ... 
[which] was the reason for its presentation at the sentencing hearing'" 
(¶ 5). The board further found that "`Schilling intended to create 
an emotional event at the sentencing hearing for the purpose of 
influencing the sentencing decision, which, unfortunately, was at the 
expense of [the victim's] family'"(Id.). Relying on article I, 
section 9m of the Wisconsin Constitution and Wis. Stat. section 950.01, 
the board found that the complainants had met their burden of proving by 
clear and convincing evidence that Schilling failed to treat them with 
fairness, dignity, respect, courtesy, and sensitivity when he played the 
911 tape at the sentencing hearing. Citing its authority under Wis. 
Stat. section 950.09(2)(a), the board ordered a private reprimand of 
Schilling.
Schilling sought judicial review of the board's decision. The circuit 
court reversed the board, which then appealed to the court of appeals. 
The supreme court granted the court of appeals' certification. In a 
unanimous decision authored by Justice Roggensack, the supreme court 
affirmed the circuit court.
The issue before the supreme court was whether the first sentence of 
article I, section 9m of the Wisconsin Constitution, which reads, "This 
state shall treat crime victims, as defined by law, with fairness, 
dignity and respect for their privacy," creates a "right" that the board 
may enforce under section 950.09(2)(a) or whether it is only descriptive 
of policies to be furthered by the state. [Editors' Note: In article I, 
section 9m the introductory sentence quoted above is followed by a list 
of enumerated rights of crime victims.]
The supreme court held that the first sentence of article I, section 
9m is a statement of purpose that describes the policies to be promoted 
by the state and that it does not create an enforceable, self-executing 
right. "In sum, based on our examination of the plain meaning of Article 
I, Section 9m of the Wisconsin Constitution, which is affirmed by the 
history of and the legislature's earliest interpretation of that 
amendment, we conclude that the first sentence of Article I, Section 9m 
of the Wisconsin Constitution does not provide a self-executing right 
that the Board is empowered to enforce via private reprimand pursuant to 
Wis. Stat. § 950.09(2)(a)" (¶ 26).
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Insurance
Damages - "Made-whole" Doctrine - Wrongful Death
Petta v. 
ABC Ins. Co., 2005 WI 18 
(filed 24 Feb. 2005)
The surviving adult children of a woman killed in a car accident 
brought a wrongful death action against the person who allegedly caused 
the accident and other defendants. The mother was single at the time of 
her death. Her insurer, Travco, paid about $14,000 for funeral costs, 
medical expenses, and vehicle damages. Travco notified all parties of 
its subrogation claim. The children eventually settled with all 
defendants other than Travco for $280,000 and moved for a Rimes 
hearing and an order extinguishing Travco's subrogation claim on the 
ground that they had not been "made whole" by the settlement (as 
stipulated by Travco). The circuit court granted the order because the 
children had not been made whole and had further agreed to indemnify the 
tortfeasors. The court of appeals reversed, holding, in part, that 
Rimes applied only to situations in which there is an 
insurer-insured relationship (see ¶ 10).
The supreme court, in an opinion authored by Justice Butler, reversed 
the court of appeals. The supreme court held that equity requires that 
Rimes be extended to wrongful death claims (see ¶ 
15). The accident that caused the mother's death "clearly created a 
cause of action for property damage in favor of her estate," and her 
adult children "were allowed to `waive and satisfy' that cause of action 
`in connection with or as part of' their wrongful death settlement" 
(¶ 21). Specifically, the children were entitled to recover funeral 
and medical expenses under Wis. Stat. section 895.04(5) even though they 
had not paid them (see ¶ 24). However, regardless of their 
right to sue and recover, the children had no "ownership" interest in 
such expenses unless they paid them (see ¶ 26). "But 
concluding that [the children] have no ownership interest in any 
recovery for these claims does not answer whether Travco can invade 
[their] lump-sum settlement to recoup the payments it made. Travco has a 
subrogated interest in those claims. As such, if Travco is entitled to 
recovery from the settlement, that recovery must stem from subrogation" 
(¶ 26).
The Rimes "made-whole doctrine established a rule of 
priority, such that `only where an injured party has received an award 
by judgment or otherwise which pays all of his elements of damages, 
including those for which he has already been indemnified by an insurer, 
is there any occasion for subrogation'" (¶ 28). Compelling reasons 
supported the extension of Rimes to wrongful death claims. 
"First, the Rimes doctrine is essentially one of priority, as 
it determines who gets paid first among competing claims. In this case, 
wrongful death plaintiffs' claims must take priority. If the made-whole 
doctrine was inapplicable to wrongful death plaintiffs, the wrongful 
death statute's purpose of compensating wrongful death beneficiaries for 
the loss of relational interest between the beneficiaries and the 
deceased would be impinged" (¶ 31). Here Travco stipulated that the 
lump sum settlement was inadequate; "it would be contrary to the 
wrongful death statute's purpose to subject [the children] to further 
loss by forcing them to pay out funds to another from a settlement that 
by itself is inadequate" (¶ 33).
Second, the court held that there was "no conceptual difference 
between a personal injury case involving a subrogated insurer, as in 
Rimes, and a wrongful death case involving a subrogated 
insurer" (¶ 33). Third, equity depends on a "particular set of 
facts" and "does not lend itself to the application of black letter 
rules" (¶ 34). Here "the equitable balance still tips in the 
injured person's favor" and against the insurer who accepted the risk, 
even though the injured party did not pay the premium (¶ 34). 
Finally, "this state's policy of encouraging settlements would suffer in 
wrongful death actions" if Rimes were inapplicable (¶ 
36).
The court also addressed the "concern" that its holding would "harm" 
multiple plaintiff litigation. "Our conclusion today addresses only the 
extension of Rimes to wrongful death actions that involve a 
subrogated insurer. To whatever extent that our reasoning can be 
construed as applying to multiple plaintiff litigation, we come full 
circle from where this part of the discussion began: subrogation and its 
antisubrogation counterpart are fundamentally equitable concepts. Thus, 
equity is the bulwark against the horribles that Travco and the court of 
appeals fear. Outside of situations where a person has a competing claim 
with a subrogated insurer, the equities will vary dramatically" (¶ 
38).
Justice Wilcox filed a concurring opinion, joined by Justice 
Roggensack, that "restate[d] some basic rules of subrogation ... to 
address the court of appeals' concern over the application of the 
made-whole doctrine" to multiple plaintiff cases (¶ 40).
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Torts
Medical Malpractice - Damages
Pierce 
v. Physicians Ins. Co., 2005 WI 14 
(filed 17 Feb. 2005)
This case addressed a "narrow issue": "whether a mother who suffers 
the stillbirth of her infant as a result of medical malpractice has a 
personal injury claim involving negligent infliction of emotional 
distress, which includes the distress arising from the injuries and 
stillbirth of her daughter, in addition to her derivative claim for 
wrongful death of the infant" (¶ 1). The supreme court held that in 
these unusual circumstances, "the mother may recover as a parent, for 
the wrongful death of the stillborn infant; and as a patient, for her 
personal injuries including negligent infliction of emotional distress" 
(Id.).
In a decision authored by Justice Crooks, the supreme court stressed 
that this case presented the "unique situation where the patient [the 
mother] was also the parent of the patient [the stillborn infant]" 
(¶ 12). The issue was the mother's direct claim for emotional 
distress. In reversing the court of appeals, the supreme court 
distinguished "bystander" cases involving parents who alleged emotional 
distress as a result of witnessing the death of a child or the incident 
that caused a child's death (see ¶ 13). "It is difficult 
to imagine that [the mother] was anything other than a participant, 
directly involved in the tortious activity that resulted in the 
stillbirth of Brianna. Accordingly, she can maintain a direct claim for 
injuries that resulted from that activity. Wisconsin Stat. § 
655.007 contemplates such a result, namely, that a patient who has 
suffered medical malpractice can bring a direct claim. The fact that the 
same patient may also have a derivative claim for wrongful death is 
unusual, and likely to arise only in the unique circumstances presented 
in cases like this where the patient is also a victim/participant in the 
events at issue" (¶ 15). It would have been "incongruous" to "deny 
recovery to the injured mother because of a stillbirth merely because 
there is recovery via a wrongful death claim. The wrongful death claim 
does not and cannot compensate the mother for the pain and anguish that 
she suffered associated with the stillbirth of her child, resulting from 
conceded medical negligence" (¶ 23).
The supreme court then briefly addressed two other issues. First, it 
held that the circuit court erred by "segregating" the mother's "own 
injuries" from those "arising from the injuries and stillbirth of her 
daughter" (¶ 25). Simply put, such a distinction could not be 
rationally made (see ¶ 27). Second, the parties' 
stipulation concerning the dismissal of various claims did not waive the 
mother's claim for negligent infliction of emotional distress.
Justice Prosser, joined by Justice Wilcox, concurred and 
distinguished this case from Maurin v. Hall, 2004 WI 100.
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