
Vol. 78, No. 3, March 
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
Civil Procedure
Service - Defendant's Agent - Actual, Explicit 
Authority
Mared Indus. Inc. v. 
Mansfield, 2005 WI 5 (filed 20 Jan. 2005)
The plaintiff sued the defendant individually and in his business 
capacity for breach of contract and related claims. An Illinois process 
server left the summons and complaint with a man at the defendant's 
business premises who identified himself as "director of operations" and 
insisted that he was authorized to accept service on the defendant's 
behalf. The defendant never responded to the complaint, and the 
plaintiff obtained a default judgment. The defendant moved to reopen the 
default judgment on the grounds that he had not been properly served and 
that the man who actually received the process was not authorized to do 
so.
The circuit court granted the motion and dismissed the action because 
the defendant had not been properly served; specifically, the process 
server neither served the defendant personally nor left the summons and 
complaint at the defendant's abode. The court of appeals reversed. It 
held that Wis. Stat. section 801.11(1)(d) permits substituted service on 
a natural person's authorized agent.
The supreme court, in a decision authored by Justice Butler, reversed 
the court of appeals and remanded the case. First, for "nearly half a 
century" the court has "recognized that service on a natural person's 
agent under Wis. Stat. § 801.11(1)(d) constitutes an altogether 
independent ground to effectuate service on a natural person" (¶ 
20). Put differently, section 801.11(1)(d) provides two grounds for 
effecting service: "(1) by serving the summons in a manner specified by 
any other statute upon the defendant; or (2) by serving the summons upon 
an agent authorized by appointment or by law to accept service of the 
summons for the defendant" (¶ 12).
Second, addressing the meaning of the term "an agent authorized by 
appointment," the court held that both case law and the statute's text 
require that the agent have actual, not apparent, authority. This 
reading also comports with federal procedural requirements (see 
¶ 30).
Finally, such authority must be explicitly granted. "[I]t is clear 
that Wis. Stat. § 801.11(1)(d) requires the principal to designate 
the agent to perform the function, job, or duty of accepting service. We 
conclude that `designating the agent to perform the function of 
accepting service' is simply another way of saying the principal must 
establish an explicit agency agreement. While such a designation need 
not be in writing, it must be set forth in clear and unambiguous terms. 
In other words, the agent must have actual express authority" (¶ 
33) (citation omitted).
The case was remanded for a factual determination of the agent's 
authority to accept service. The court closed by reminding counsel that 
service on an agent is "risky" and requires one to "proceed with extreme 
care, while being mindful that even the utmost care may not reveal the 
true scope of an agent's authority" (¶ 38).
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Criminal Procedure
Confrontation - Hearsay - Harmless Error
State v. Hale, 2005 
WI 7 (filed 25 Jan. 2005)
The supreme court, in an opinion written by Justice Bradley, affirmed 
the defendant's conviction for murder despite a violation of his right 
to confrontation. This case provided the court with its first 
opportunity to apply Crawford v. Washington, 124 S. Ct. 1354 
(2004).
Hale and another man were accused of committing a murder during a 
break-in and robbery. The judge severed their trials, and the accomplice 
was tried first. During the accomplice's trial, a witness named Sullivan 
testified about Hale's contact with a gun. The accomplice was convicted. 
Sullivan then fled the area and was not called as a witness at Hale's 
trial. Instead, the state introduced the transcript of Sullivan's 
earlier testimony. The jury convicted Hale, and the court of appeals 
affirmed the conviction.
The supreme court held that the use of Sullivan's testimony violated 
Hale's confrontation right. The court said that "a new day dawned" with 
the U.S. Supreme Court's decision in Crawford v. Washington 
(¶ 52). Crawford compels courts to first determine whether 
hearsay is testimonial or non-testimonial in nature. Testimonial hearsay 
may be used against the defendant only if 1) the declarant is 
unavailable despite the state's good faith attempt to produce him or 
her, and 2) the defendant had a prior opportunity to cross-examine the 
declarant. The Hale court easily concluded that the prior trial 
testimony was testimonial in nature, especially because, as 
Crawford explained, the term includes "`at a minimum . . . 
prior testimony at a preliminary hearing, before a grand jury, or at 
a former trial; and to police interrogations'" (¶ 53). 
Although the state contended that Hale confronted Sullivan "by proxy" 
during the accomplice's trial (i.e., Hale and the accomplice had similar 
motives to cross-examine Sullivan), the court disagreed. Indeed, 
Crawford had criticized a Wisconsin case that involved just 
such a scenario. In short, "prior testimony may be admitted against a 
criminal defendant only when that defendant has had a prior opportunity 
to cross-examine the witness giving that testimony. Because Hale did not 
have the prior opportunity to cross-examine Sullivan, the admission of 
Sullivan's testimony violated Hale's constitutional right to 
confrontation"
(¶ 58).
Despite the violation of Hale's confrontation right, the court found 
that the error was harmless. The evidence was not "crucial" to the 
state's case. Moreover, Sullivan's testimony was "corroborated and 
duplicated" by that of another witness (¶ 64). Most important, the 
defense elected not to even "dispute" Sullivan's version of events in 
light of Hale's alibi defense (see ¶¶ 65-66).
Concurring, Chief Justice Abrahamson wrote separately about the 
court's efforts to formulate the harmless error standard. Justice 
Wilcox, joined by Justices Crooks and Prosser, also concurred but wrote 
separately to address the various formulations of the harmless error 
standard. Justice Prosser joined the majority opinion but filed a 
separate concurrence that set forth the "principle of forfeiture by 
wrongdoing," whereby defendants are deemed to have waived confrontation 
by misconduct (¶ 97). Justice Butler also concurred; he agreed with 
the court's harmless error application but disagreed with "the 
majority's statement of the harmless error test" (¶ 100).
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Family Law
Maintenance - Modification of Maintenance - Dual Objectives 
of Maintenance
Kenyon v. Kenyon, 
2004 WI 147 (filed 15 Dec. 2004)
The parties were married in 1977 and divorced in 1993. The original 
divorce decree awarded maintenance to the wife. In 1995 the circuit 
court ordered that the maintenance award be reduced. In 2002 the ex-wife 
filed a motion to increase maintenance. The circuit court denied the 
motion, and the court of appeals affirmed. In a unanimous decision 
authored by Justice Wilcox, the supreme court reversed.
The ex-wife argued that the circuit court was required, as a matter 
of law, to reinstate the amount of maintenance established in the 
original divorce decree. She contended that when parties' financial 
circumstances at the time of the motion to modify maintenance are 
essentially the same as they were at the time of the original divorce 
decree, the original maintenance order controls by virtue of issue 
preclusion or claim preclusion. Thus, she asserted, the original divorce 
judgment is the baseline from which all changed circumstances must be 
evaluated. Because the parties' financial circumstances now were 
essentially the same as they were at the time of the divorce, the 
ex-wife argued, she was automatically entitled to the level of 
maintenance established by the divorce decree.
The supreme court disagreed. It concluded that "for purposes of 
evaluating a substantial change in the parties' financial circumstances 
during a maintenance modification proceeding, the appropriate comparison 
is to the set of facts that existed at the time of the most recent 
maintenance order, whether that is the original divorce judgment or a 
previous modification order. At the hearing, the circuit court should 
adhere to the findings of fact made in the previous proceeding and may 
not retry the issues decided in that proceeding. It should compare the 
facts regarding the parties' current financial status with those 
surrounding the previous order in determining whether the movant has 
established the requisite substantial change in circumstances, such that 
modification of the maintenance award is warranted. Further, once a 
party has demonstrated the requisite substantial change in financial 
circumstances, the circuit court is not bound by either issue preclusion 
or claim preclusion to reinstate the amount of maintenance established 
in the original judgment of divorce, especially when the judgment of 
divorce has been previously revised by an order modifying maintenance 
payments" (¶ 38).
The supreme court also held that in this case the circuit court 
applied the wrong legal standard when it denied the petitioner's motion, 
"because its decision focused chiefly on [the ex-wife's] need for 
maintenance at her present standard of living and whether it would be 
inequitable to force [the ex-husband] to pay additional maintenance for 
an indefinite period. In Rohde-Giovanni [v. Baumgart, 2004 WI 
27, ¶ 31, 269 Wis. 2d 598, 676 N.W.2d 452], we clarified that once 
a substantial change in the parties' financial circumstances is 
demonstrated, the circuit court must consider the dual maintenance 
objectives of support and fairness when modifying a maintenance award. 
Here, in conformity with the controlling precedent at the time, the 
circuit court did not consider the fairness objective in relation to 
both parties" (¶ 39).
Accordingly, the supreme court reversed the decision of the court of 
appeals and remanded for a new hearing under the appropriate legal 
standard. The supreme court said that on remand, the circuit court 
should consider the support of the recipient spouse "in accordance with 
the needs and earning capacities of both the recipient spouse and the 
payor spouse" and should consider "[f]airness ... with respect to the 
situations of both parties" in deciding whether the maintenance award 
should be modified (¶ 40, quoting Rohde-Giovanni, 2004 WI 
27, ¶¶ 29, 31).
Chief Justice Abrahamson did not participate in this decision.
Child Support Arrearages - Retroactive Application of Wis. 
Stat. Section 767.32(1m) and (1r) Not Due Process Violation
Barbara B. v. Dorian 
H., 2005 WI 6 (filed 20 Jan. 2005)
In 1982 the parents of a child born in 1979 entered into a 
stipulation that formed the basis of a paternity judgment and a 
$30-per-week child support order. The parties apparently agreed in 1983 
that the mother would not pursue child support in return for the father 
not having visitation with the child. This litigation arose out of an 
order to show cause filed by the mother in 2001 alleging that the father 
violated the 1982 support order. The county child support agency 
determined that the father owed more than $24,000 in child support 
arrearages and more than $42,000 in interest. The family court 
commissioner found that no child support payments had been made since 
1983.
The family court commissioner concluded that the mother was estopped 
from attempting to obtain past child support. However, the circuit court 
determined that the application of the doctrine of equitable estoppel 
was inappropriate under Wis. Stat. section 767.32(1r) and controlling 
case law. The court of appeals affirmed. In a unanimous decision 
authored by Justice Roggensack, the supreme court affirmed as well.
Wis. Stat. section 767.32(1r) was created in 1993 to read as follows: 
"In an action ... to revise a judgment or order with respect to child 
support or family support, the court may not grant credit to the 
payer againstsupport due prior to the date on which the action is 
commenced for payments made by the payer on behalf of the child 
other than payments made to the clerk of court under s. 767.265 or 
767.29 or as otherwise ordered by the court" (emphasis added).
The same legislative act that created section 767.32(1r) amended 
section 767.32(1m) to read: "In an action ... to revise a judgment or 
order with respect to child support ... the court may not revise 
the amount of child support ... due, or an amount of arrearages in 
child support ... that has accrued, prior to the date that notice 
of the action is given to the respondent, except to correct previous 
errors in calculations" (emphasis added).
In 1997 the legislature modified section 767.32(1r) to identify a 
limited number of circumstances under which the court may grant credit 
to the payer against support due regardless of when the underlying child 
support order was entered. In the present case the father did not 
contest the circuit court's findings that none of the statutory 
exceptions created in 1997 were met. Rather, he contended that his 
rights to due process under the state and federal constitutions were 
violated by retroactive application of Wis. Stat. section 767.32(1m) and 
(1r) instead of the law that was in place at the time that he and the 
mother allegedly entered into the extrajudicial agreement. (The court 
characterized this as a substantive due process claim.) He alleged that 
in 1983 the circuit court had the discretion to revise a child support 
arrearage on a showing of cause or justification.
In a decision authored by Justice Roggensack, the supreme court 
applied the balancing test from Martin v. Richards, 
192 Wis. 2d 156, 531 N.W.2d 70 (1995) to determine whether retroactive 
application of the statutes comports with due process. "The 
Martin balancing test examines whether the retroactive statute 
has a rational basis, requiring a reviewing court to `weigh the public 
interest served by the retroactive statute against the private interests 
that are overturned by it ... Implicit within this analysis is a 
consideration of the unfairness created by the retroactive legislation'" 
(¶ 19) (internal quotes and citations omitted).
With regard to the public interest inquiry, the court concluded that 
retroactive application of section 767.32(1m), which generally forbids 
modification of past due child support, serves "(1) the general public 
purpose of financially providing for children; (2) the more particular 
and corollary purpose of requiring parents, rather than the State, to 
provide financial support for their children; and (3) the pragmatic goal 
of securing federal funds for the State via compliance with federal law" 
(¶ 26). Regarding section 767.32(1r), which allows a child support 
payer to be granted credit only under specifically enumerated 
circumstances, the court concluded that retroactive application was 
enacted "to maintain the State's eligibility for certain federal funds, 
but further recognizes the public's interest in having changes to child 
support arrangements be supervised by a court, so that children's needs 
are met as fully as possible by their parents" (¶ 27).
Turning to the private interests affected by retroactive application 
of these statutes, the court concluded that the father's private 
interest in property (specifically, his economic viability and his 
ability to contract freely) was weak. Any expectations he may have had 
regarding his child support obligation were not well-founded in the law, 
and moreover, throughout these proceedings, he never asserted that he 
was unable to pay $30 weekly in support or that his son had no need for 
his financial support (see ¶ 32).
Accordingly, the court concluded that the retroactive application of 
the statutes is rational and that the father failed to establish beyond 
a reasonable doubt that such application violates his due process rights 
under either the state or federal constitution.
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Torts
Nuisance - Elements of Nuisance - Municipal 
Immunity
Milwaukee Metro. Sewerage 
Dist. v. City of Milwaukee, 2005 WI 8 (filed 27 Jan. 2005)
The Milwaukee Metropolitan Sewerage District (MMSD) filed suit 
against the city of Milwaukee to recover sums related to the repair and 
replacement of one of its interceptor sewers, which allegedly collapsed 
due to the rupture and collapse of the city's nearby water main. Among 
other things, the MMSD alleged both negligence and nuisance.
The circuit court granted summary judgment to the city. It concluded 
that: 1) the city did not have notice regarding the alleged defective 
condition, and such lack of notice was a viable defense to both the 
negligence and nuisance claims; 2) the city was entitled to immunity 
from the negligence and nuisance claims based on Wis. Stat. section 
893.80(4) and related case law; and 3) the MMSD's theory of res ipsa 
loquitur was not supported by the undisputed facts. In a published 
decision, the court of appeals reversed the circuit court. 
SeeMilwaukee Metro. Sewerage Dist. v. City of Milwaukee, 2003 
WI App 209, 267 Wis. 2d 688, 671 N.W.2d 346. In a majority decision 
authored by Justice Wilcox, the supreme court affirmed the court of 
appeals, though it employed an entirely different rationale.
The supreme court began its analysis with a helpful survey of the law 
of nuisance. Nuisance generally refers to the invasion of 
either an interest in the use and enjoyment of land (private nuisance) 
or a condition or activity that substantially or unduly interferes with 
the use of a public place or with the activities of an entire community 
(public nuisance). In this case the alleged nuisance was the city's 
interference with the MMSD's property interest in its sewer.
The court cautioned that "it is imperative to distinguish between a 
nuisance and liability for a nuisance, as it is possible to have a 
nuisance and yet no liability. A nuisance is nothing more than a 
particular type of harm suffered; liability depends upon the existence 
of underlying tortious acts that cause the harm" (¶ 25). The court 
held that "in order to establish a prima facie case for liability for a 
nuisance, there must be proof of the nuisance, proof of the underlying 
tortious conduct giving rise to the nuisance, and proof that the 
tortious conduct was the legal cause of the nuisance" (¶ 6).
Liability for a nuisance may be based on either intentional or 
negligent conduct. An interference is intentional if the actor "(a) acts 
for the purpose of causing it, or (b) knows that it is resulting or is 
substantially certain to result from his conduct. Thus, a nuisance is 
based on intentional conduct when the defendant, through ill will or 
malice, intends to cause the interference or if the defendant, without 
any desire to cause harm, nonetheless has knowledge that his otherwise 
legal enterprise is causing harm or is substantially certain to cause 
the invasion at issue. It is important to clarify that when a nuisance 
is alleged to fall under the second category of intentional conduct, the 
`knowledge' requirement refers to knowledge that the condition or 
activity is causing harm to another's interest in the use and enjoyment 
of land" (¶¶ 37-38) (citations omitted). In this case the 
pleadings and record did not support any claim that the city 
intentionally created a nuisance.
The court found that the only actionable tortious act giving rise to 
nuisance in this case was the city's alleged negligence in failing to 
repair its leaky water main before it burst. "We reaffirm our existing 
case law that when a nuisance is predicated on negligence, all the usual 
rules and defenses applicable to negligence claims apply. Thus, when a 
nuisance is predicated on a negligent failure to act, there must be 
proof that the defendant's conduct constituted actionable negligence, 
including proof of notice, regardless of whether the alleged nuisance is 
public or private" (¶ 7).
The court also discussed municipal immunity under section 893.80(4) 
and Wisconsin's immunity jurisprudence since Holytz v. City of 
Milwaukee, 17 Wis. 2d 26, 115 N.W.2d 618 (1962). The court held 
that "a municipality may be immune from nuisance suits depending on the 
nature of the tortious acts giving rise to the nuisance. A municipality 
is immune from suit for nuisance if the nuisance is predicated on 
negligent acts that are discretionary in nature. A municipality does not 
enjoy immunity from suit for nuisance when the underlying tortious 
conduct is negligence and the negligence is comprised of acts performed 
pursuant to a ministerial duty. Decisions concerning the adoption, 
design, and implementation of a public works system are discretionary, 
legislative decisions for which a municipality enjoys immunity. Thus, 
the City is immune from suit relating to its decisions regarding the 
adoption of a waterworks system, the selection of the specific type of 
pipe, the placement of the pipe in the ground, and the continued 
existence of such pipe. In contrast, the City may be liable for its 
negligence in failing to repair the leaky water main. However, since 
there exists a material issue of fact as to whether the City had notice 
of the leaking water main, we cannot determine whether the City was 
under a ministerial duty to repair its water main prior to the break. 
Thus, we cannot determine whether the City is immune under § 
893.80(4) from liability predicated upon a negligent failure to repair 
the water main before it burst" (¶¶ 90-91). (Because the 
record in this case did not support a claim of nuisance based on 
intentional conduct, the court did not consider whether immunity would 
apply to a claim of nuisance premised on conduct that would constitute 
an intentional tort (see ¶ 50 n.11).)
Lastly, with regard to the grant of summary judgment, the supreme 
court concluded that there are at least two disputed issues of material 
fact in this case: 1) whether the city had notice of the leaking water 
main before the break occurred, and 2) what caused the MMSD sewer to 
collapse. Accordingly, the supreme court affirmed the decision of the 
court of appeals, reversing the circuit court's grant of summary 
judgment to the city.
Justice Prosser filed a concurring opinion.
Exculpatory Contracts - Public Policy
Atkins v. Swimwest Family 
Fitness Ctr., 2005 WI 4 (filed 19 Jan. 2005)
Charis Wilson drowned in a four-foot-deep lap pool at an 
instructional swimming facility (Swimwest). Her minor son brought this 
wrongful death action against Swimwest and its operators. The circuit 
court granted summary judgment in the defendant's favor because Wilson 
had signed a guest registration form that contained an exculpatory 
paragraph. The court of appeals certified the issue to the supreme 
court.
The supreme court, in an opinion written by Justice Crooks, reversed. 
"This case turns on the interpretation of Swimwest's guest registration 
and waiver form, and whether it relieves Swimwest of liability for harm 
caused by its negligence" (¶ 12). Swimwest's exculpatory clause 
violated public policy for at least three reasons. "First, this 
exculpatory waiver, which uses the word `fault,' is overly broad and 
all-inclusive. Second, the form, serving two functions and not requiring 
a separate signature for the exculpatory clause, thus not sufficiently 
highlighting that clause, does not provide the signer adequate 
notification of the waiver's nature and significance. Third, there was 
little or no opportunity to bargain or negotiate in regard to the 
exculpatory language in question" (¶ 18). (The guest 
registration/waiver is reproduced in the opinion.) The court also held 
that Wilson's son was a proper claimant for a wrongful death claim 
brought under Wis. Stat. section 895.04.
Concurring, Justice Roggensack wrote separately to stress that 1) 
Wilson's opportunity to bargain was not "dispositive of a waiver's 
validity," and 2) Wilson's contemplation of her own death when she 
signed the waiver presented an issue of fact (see ¶ 
31).
Justice Wilcox dissented based on the majority's public policy 
analysis and its failure to "articulate a clear test as to what types of 
exculpatory agreements are enforceable in this state" (¶ 44).
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