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State v. Michael Alger, 2013 WI App 148, petition for review granted, 5/23/14, affirmed, 2015 WI 3; case activity

In this important decision addressing an issue that’s been percolating in ch. 980 cases, the court of appeals holds that the Daubert standard for expert testimony does not apply to any proceedings in a ch. 980 case if the original petition for commitment was filed before February 1, 2011, the effective date of the adoption of the Daubert standard.

In early 2011, the legislature enacted 2011 Wisconsin Act 2, which amended Wisconsin’s expert witness statute to adopt the standard for the admissibility of expert testimony set forth in Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 579 (1993). Before Act 2, testimony of a witness “qualified as an expert by knowledge, skill, experience, training, or education” was admissible if “scientific, technical, or other specialized knowledge” would “assist the trier of fact to understand the evidence or to determine a fact in issue[.]” Wis. Stat. § 907.02 (2009-10). Under the statute as revised by Act 2, the circuit court must also conclude that the expert’s testimony “is based upon sufficient facts or data, the testimony is the product of reliable principles and methods, and the witness has applied the principles and methods reliably to the facts of the case.” Wis. Stat. § 907.02(1). Under the initial applicability provisions of Act 2, the new reliability standard first applies “to actions or special proceedings that are commenced on the effective date of this subsection”—that is, February 1, 2011.

Alger was committed after the state filed a ch. 980 petition against him in 2004. (¶2). Since his original commitment he has filed petitions for discharge, including one in April 2011 and another in November 2011, which the circuit court set for a merged trial. (¶¶2, 4, 6). Before trial he sought to exclude certain testimony from the state’s experts about his reoffense risk on the ground the testimony did not satisfy the newly-adopted Daubert standard for reliability. (¶¶4, 6). He argued the new standard applied because his 2011 discharge petitions “commenced” a new “action.” Alternatively, he argued, it violates equal protection to apply the new standard to ch. 980 cases filed after February 1, 2011, but not to his case. (¶¶5-6). The court of appeals agrees with the trial court that the Daubert standard doesn’t apply to Alger.

First, the court of appeals holds that Alger’s discharge petition does not “commence” a new “action”:

 ¶12       The dictionary definition of “action” applicable in this context is “a legal process; a lawsuit[.]” New Oxford American Dictionary 15 (2001); see also State v. Mattes, 175 Wis. 2d 572, 578, 499 N.W.2d 711 (Ct. App. 1993) (“A common and approved meaning for a word … may be ascertained by reference to a recognized dictionary.”). The applicable definition of “commence” is “begin; start[.]” New Oxford American Dictionary 343 (2001). Accordingly, Wis. Stat. § 907.02(1) first applies to legal processes or lawsuits begun or started on February 1, 2011. Alger’s discharge petitions do not meet this definition. The structure and language of Wis. Stat. ch. 980 demonstrate that discharge petitions are part of the committing court’s continuing administrative authority over the existing lawsuit that began when the original commitment petition was filed. Filing a discharge petition is merely another step in that existing lawsuit—it does not begin a new lawsuit or legal process.

To unpack the phrase “continuing administrative authority over [an] existing lawsuit” is to find it wanting. First, as to “continuing administrative authority,” the court cites accurately enough to the “multiple sections” of ch. 980 that provide for a potential role for the court in the regular review of a commitment order after it’s been entered (¶¶13-17); but it misses the most salient facts about those provisions. First, it is DHS, not the court, that executes the commitment order, § 980.06, so it is DHS that does the annual re-examination and progress treatment reports. Second, DHS prepares and files those reports not because the court, in the exercise of its “continuing authority,” directs it to, but because the statute requires it, § 980.07(1), (4), and (6). Third, to get actual review of the reports by the court, the committed person must take some affirmative step–e.g., make a request for appointment of counsel or an independent examiner or both, §§ 980.031(3), 980.07(1), 980.075(1) and (5), 980.08(2); or file a petition for discharge or supervised release, §§ 980.075(2)(a), 980.08(1), 980.09. (The committed person must even take affirmative steps under § 980.101, another statute cited by the court (¶18), which allows a person whose sexually violent conviction has been overturned to move to the court to vacate a commitment order based on the conviction.)

In short, the committing court is not required to read the required annual reports, much less take any action on them, and they will sit moldering in the court file till Kingdom come unless and until the committed person triggers the court to act. Indeed, § 980.075(2)(b) says that if the person does not file a timely petition for discharge or supervised release after the filing of the annual reports, the commitment “remains in effect without review by the court.” The single exception to the need for action by the committed person is a provision allowing a court to order reexamination of the person at any time, § 980.07(3) and (6m). If a court has ever ordered such reexamination sua sponte it would be news to On Point, so that single provision pales in comparison to the overarching structure of all the other post-commitment review provisions, which establishes that if the committed person takes no action there is no review at all by the court, much less any “continuing administrative authority.”

As for the discharge proceeding being “a continuation of the existing lawsuit” (¶19), that conclusion cannot be reconciled with the fact that the original commitment order is a final, appealable order, § 980.038(4). To be a final, appealable order, the original commitment must dispose of all matters in litigation, § 808.03(1). That in turn means the “lawsuit” is over and doesn’t “continue to exist.” (Indeed, Alger had a direct appeal from his 2005 commitment order, which was summarily affirmed. If his discharge petitions are “a continuation of an existing lawsuit,” one must wonder whether the court of appeals had  jurisdiction to hear the appeal of what must have been a non-final commitment order.) The court’s decision doesn’t acknowledge or address this inconsistency. Nor does it address the case law holding that because of the dynamic nature of both a person’s mental health and his or her need for commitment, the focus of a ch. 980 proceeding is always the current mental condition of the person. State v. Parrish, 2002 WI App 263, ¶¶20-21, 258 Wis. 2d 521, 654 N.W.2d 273. That is why a committed person seeking discharge must point to new facts or research not previously considered in order to get an evidentiary hearing. State v. Combs, 2006 WI App 137, ¶32 295 Wis. 2d 457, 720 N.W.2d 684; State v. Kruse, 2006 WI App 179, ¶35, 296 Wis. 2d 130, 722 N.W.2d 742. The “singular significance of the present-time focus” (as Parrish puts it) of any particular ch. 980 commitment proceeding contradicts the notion that post-commitment proceedings are “a continuation of an existing lawsuit.”

Second, the court concludes the application of one standard for expert testimony in older cases and a more stringent standard in newer cases doesn’t violate equal protection:

 ¶27       The legislature’s decision to make Wis. Stat. § 902.07(1) applicable only to actions commenced on or after February 1, 2011, survives rational basis review. As Alger acknowledges, short of making § 902.07(1) fully retroactive, the legislature “had to choose some date for the enactment to take effect.” Alger further concedes:

It was arguably rational for the legislature to have chosen not to make the revision applicable to actions that were pending on the legislation’s effective date. The legislature could well have concluded that “midstream” changes to the procedures and standards for admitting expert testimony could wreak havoc on pending litigation. Cases which were on appeal, or in which trials were already underway, could have already had testimony admitted under the more lenient version of the statute. Litigants in cases that had not yet gone to trial might have nonetheless retained and prepared experts and developed their trial strategies based on the pre-Daubert standard. Thus, the state arguably had a legitimate interest in preventing the revised statute from applying to pending cases.

This concession is fatal to Alger’s equal protection argument because we have already determined that Alger’s case was pending on the new statute’s effective date. We therefore reject Alger’s claim that the statute violates his right to equal protection.

This is an unfair statement of Alger’s argument, which–in passages the court leaves out–clearly states that the concerns that justify distinguishing between new cases and pending cases “are not present here” and that no legitimate state interest is served by the disparate treatment of someone subject to original ch. 980 proceedings initiated by the state on a date after adoption of the Daubert standard and discharge proceedings initiated on the very same date by a previously committed person who files a petition under § 980.09. After all, as set out at length above, until Alger (or someone like him) files a discharge petition, there’s nothing pending in the case, so there’s no need to worry about how a change in the standard affects the litigants’ preparation; as Alger’s brief-in-chief (at 19) puts it, “[t]he experts and litigants would already be employing that standard in cases where the petition for commitment was filed after the statute’s effective date.” But as we’ve already seen, the court of appeals treats ch. 980 proceedings as “pending” in perpetuity, so this argument can gain no traction. Perhaps a higher court will have a different view.

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State v. Sidney H. Sawicky, 2013AP1335, District 3, 11/19/13; court of appeals decision (1-judge; ineligible for publication); case activity

Village of Elm Grove v. Brefka, 2013 WI 54, 348 Wis. 2d 282, 832 N.W.2d 121, held that the 10-day limit for requesting a refusal hearing set out in § 343.305(9)(a)4. and (10)(a) is mandatory and cannot be extended, even due to excusable neglect. In this case the defendant unsuccessfully argues Brefka shouldn’t apply to his case because of the defects in the notice about the right to request a refusal hearing.

On June 5 Sawicky was cited for OWI 1st. Because he refused to submit to a chemical test he was given a notice of intent to revoke his license, which told him he had 10 days from the date of the notice to file a request for a refusal hearing. Because he was charged with a first offense, the notice directed him to file the request in the same municipal court where he was to appear on that charge. (¶¶2-3).  But a few days later, the officer discovered Sawicky had two priors, so he voided the citation for OWI 1st and, on June 7, issued a new citation for OWI 3rd that directed Sawicky to appear in circuit court instead of municipal court. On June 14 the officer filed a revised notice of intent to revoke in circuit court; that notice still referred to the June 5 refusal date, but it directed Sawicky to file a request for a refusal hearing in circuit court instead of municipal court. (¶¶3-4). Sawicky didn’t get this notice. (¶18).

Because he failed to file a request for a refusal hearing in either municipal or circuit court, his license was revoked on June 20. (¶5). He finally filed a request in circuit court on July 5, and argued the court had competency to hold a refusal hearing because: 1) the June 5 notice violated due process, as it was defective for telling him to file his request in the wrong court; and 2) voiding the OWI 1st citation also voided the original notice of intent to revoke, requiring a new notice to be issued to him. (¶¶6, 12). The court of appeals rejects these claims:

¶13      The fundamental requirements of procedural due process are notice and an opportunity to be heard. City of S. Milwaukee v. Kester, 2013 WI App 50, ¶13, 347 Wis. 2d 334, 830 N.W.2d 710. Here, the notice Sawicky received on June 5 informed him that his driver’s license was subject to revocation, that he had ten days to request a hearing on the revocation, and that, if he failed to request a hearing within ten days, his license would be revoked. Although the notice of intent to revoke directed Sawicky to make his hearing request to the municipal court instead of the circuit court, this error does not amount to a violation of Sawicky’s right to due process because, as the circuit court found, Sawicky never requested a hearing from any court within the statutory time limit. Because Sawicky was given notice and an opportunity to be heard, his due process rights were not violated.

….

¶17      The fact the officer did not issue a separate citation for Sawicky’s violation of the implied consent law does not mean the notice of intent to revoke his driver’s license became linked to, or dependent on, the continued validity of the first-offense OWI citation. An implied consent law violation is different from an OWI violation—the offenses fall under two different statutory schemes and the State’s ability to pursue one is not dependent on the continued validity of the other. See Wis. Stat. §§ 343.305, 346.63see also State v. Brooks, 113 Wis. 2d 347, 356, 359-60, 335 N.W.2d 354 (1983) (“Those who refuse may still be convicted of OWI after a trial, but even if they are not, they face revocation … for the refusal.”). The officer’s act of voiding and reissuing the OWI citation did not automatically void the notice of intent to revoke Sawicky’s driver’s license. The June 5 notice of intent to revoke remained valid and a new notice did not need to be created and served on Sawicky.

Sawicky makes other arguments (also rejected): That the officer didn’t serve the entire notice (the trial court found the notice was complete) (¶¶14-15); that the revised notice filed in the circuit court was invalid because it wasn’t served on him and was “backdated” to June 5 (the argument was not made below, and in any event the revised notice didn’t prevent Sawicky from filing a timely request in municipal court) (¶¶18-19); that his emails to the municipal prosecutor and police constituted a request for a refusal hearing (they make no mention of the refusal, do not ask for a hearing, and weren’t filed with the court) (¶20); and that the confusion about when and where to file the request should excuse his late filing (Brefka put paid to excusable neglect) (¶¶21-22).

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State v. Cindy Lou Hilsgen, 2013AP659-CR & 2013AP660-CR, District 3, 11/19/13; court of appeals decision (1-judge; ineligible for publication); case activity

When Hilsgen moved here from Minnesota her driver’s license was revoked, and she never got a Wisconsin license. She was charged in two separate cases with operating without a valid license. Relying on § 343.05(6), she claimed in postconviction motions that she should have been charged instead with operating while revoked based on the status of her Minnesota license. (¶¶2-3). The circuit court held she forfeited this claim by not raising it before trial, so on appeal she argues the improper charge deprived the circuit court of subject-matter jurisdiction, which may be challenged at any time. (¶¶4-5).

A circuit court lacks criminal subject-matter jurisdiction only where the complaint does not charge an offense known to law. State v. Aniton, 183 Wis. 2d 125, 129-30, 515 N.W.2d 302 (Ct. App. 1994). Here the state charged an offense known to law—operating without a valid license contrary to § 343.05(3)(a)–so the circuit court had subject matter jurisdiction. (¶7). Further, Hilsgen failed to address the circuit court’s conclusion that she forfeited her challenge to the charge; that failure operates as a concession that the circuit court was correct. Schlieper v. DNR, 188 Wis. 2d 318, 322, 525 N.W.2d 99 (Ct. App. 1994) (ignoring grounds upon which circuit court ruled constitutes a concession of the validity of the court’s ruling). (¶10).

Note that § 343.05(6) says that for persons whose license is revoked or suspended,  § 343.44 “and the penalties thereunder shall apply in lieu of” § 343.05. So maybe Hilsgen should have claimed that the criminal sentences for the offenses are illegal. An illegal sentence claim can arguably be brought at any time under § 973.13, see State v. Hanson, 2001 WI 70, 244 Wis. 2d 405, 628 N.W.2d 759 (defendant’s plea to habitual traffic offender charge did not waive later challenge to HTO status because § 973.13 requires a court to declare a sentence void “in any case” where the court imposes a maximum penalty that exceeds that authorized by law), and § 974.06, see State v. Flowers, 221 Wis. 2d 20, 22-23, 28-29, 586 N.W.2d 175 (Ct. App. 1998) (defendant could raise state’s failure to prove repeater status for the first time in a successive § 974.06 motion).

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State v. Ericka S. Thomas, Appeal No. 2013AP341-CR; District 1; 11/13/13 (not recommended for publication); case activity

This is a split decision over the proper application of § 973.20, the restitution statute.  The circuit court convicted Thomas of Medicaid fraud, sentenced her to imprisonment, and ordered her to pay $356, 366.33 (the total amount she and accomplices stole) in restitution.  At sentencing, her lawyer described her “extremely limited earning ability,” a statement bolstered by her PSI.  The circuit court acknowledged that she couldn’t pay this amount during her imprisonment, but noted that she still had the ability “to win the lottery or something like that.”  It thus ordered her to pay the full amount during her sentence; failure to do so would result in a judgment against her.  Continuing with the “potential windfall” theme, the postconviction court denied relief because:

She might get an inheritance.  She might get in a car accident and get a settlement.  There are lots of things that people might come into in the future and they should pay for their acts of the past.  Slip op. ¶ 5.

The court of appeals affirmed due to the lack evidence to prove her inability to pay.  Neither the PSI nor her lawyer’s “mere say so” satisfy her burden of proof under § 973.20(14(b).  See State v. Boffer, 158 Wis. 2d 655, 462 N.W.2d 906 (Ct. App.1990).  Plus, said the majority, the sentencing court “may take into account what may happen in the defendant’s life after he or she completes the sentence.”  See State v. Fernandez , 2009 WI 29, 316 Wis. 2d 598, 764 N.W.2d 509.  Slip op. ¶ 8.

Judge Kessler’s dissent objected to the lower court’s reliance on pure speculation:  “Both courts applied a rationale that could render virtually any criminal defendant capable of paying virtually any restitution amount because any defendant might win the lottery, inherit a large sum of money, or recover a settlement following an automobile accident.  Such an outcome would eviscerate sec. 973.20(13)(a).  Dissent, ¶ 10 [sic].

Um.  Query whether those involved in this case realize that the lottery is commonly known as “the tax on people who don’t understand math.’  See this NYT article.  The odds of winning the power ball are 1 in 175 million.  And the last thing we should want is for indigent folks to spend their scarce resources purchasing lottery tickets–for any reason. See Id.  

Other thoughts: Sec. 973.20(13)(a)3 requires consideration of the “present and future earning ability of the defendant.”  That’s the issue in this case.  Does winning the lottery or receiving an inheritance or a personal injury settlement even qualify as an “earning”?  Or are the circuit courts going to start considering these possibilities under sub. 5 (any other factor the court deems appropriate).  Also, query whether Thomas was informed that by pleading guilty she would risked being ordered to pay a restitution award of this magnitude.  See On Point’s prior post re same here.

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City of West Allis v. Brandon J. Michaels, Appeal No. 2013AP710, District 1, 11/13/13; (one-judge decision, ineligible for publication); case activity

Michaels tried to appeal a municipal court conviction for disorderly conduct to the circuit court, per Wis. Stat. § 800.14.  He consulted the clerk of court and followed all of the instructions he was given.  That is, he filed a notice of appeal with the circuit court and served another one upon the City of West Allis Police Department.  “Busted!” said the City Attorney’s motion to dismiss, “you should have served us not the police.”  [Okay, that’s paraphrasing.]  The point is the circuit court dismissed Michaels’ attempted appeal and the court of appeals affirmed on the grounds that Michaels’ failure to serve the City Attorney deprived the circuit court of jurisdiction.  Slip op. ¶13.

“Ho hum,” you say?  Maybe.  Maybe not.  A little digging revealed that this decision literally cuts and pastes  a couple of pages of legal analysis from prior court of appeals’ decisions dismissing pro se appeals involving the same procedural misstep.  See e.g., City of Milwaukee v. Hall, Appeal No. 2012AP875-876§ (12/4/12),   They all rely on § 800.14 which says the appellant shall appeal by giving the municipal judge and other party written notice of appeal within 20 days after the judgment or decision” and, with great emphasis, Walford v. Bartsch, 65 Wis. 2d 254, 222 N.W.2d 633 (1974). Walford doesn’t involve § 800.14 or a pro se litigant.  In fact it appears to pre-date the restructuring of Wisconsin’s court system.  Sure it makes sense that failing to file a notice of appeal in the right court is jurisdictional, but when a pro se litigant serves the wrong unit of the “other party” does that really go to jurisdiction?  Federal courts seem more sensitive to the plight of pro se litigants.  See e.g. Friction v. Oconto County, ASCA, USDA, 723 F. Supp. 1312, (E.D. Wis. 1989) (pro se litigant’s claim not dismissed for improper service; justice required instructing him on how to do it properly).

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State v. Matthew Allen Lilek, Appeal No. 2012AP1855, District 1; 11/13/13, (not recommended for publication), case activity

The dispositive issue in this appeal was whether the defendant, who is legally blind and has suffered cognitive disabilities his entire life, knowingly, intelligently, and voluntarily entered a no-contest plea to second degree sexual assault, with use of force, and to aggravated battery.  During the plea colloquy, defense counsel assured the court that experts had examined his client and, at a basic level, found him competent.  The trial judge then proceeded to ask a long series of “yes” or “no” questions, to which the defendant sometimes gave non-responsive answers.  This, said the court of appeals, violated State v. Bangert, 131 Wis. 2d 246, 389 N.W.2d 12 (1986) and State v. Howell, 2007 WI 75,¶¶52-53 301 Wis. 2d 350, 734 N.W.2d 48 (“As we explained in Bangert, ‘[a] defendant’s mere affirmative response that he understands the nature of the charge, without establishing his knowledge of the nature of the charge, submits more to a perfunctory procedure rather than to the constitutional standard that a plea be affirmatively shown to be voluntarily and intelligently made.”) (citation omitted, brackets in Howell).

The Record here shows that the circuit court did exactly what Howell warned against: it engaged in a “perfunctory exchange” and did not take the required “great care” to ensure this cognitively disabled, legally blind, child-like man understood what was going on and what he was doing. Further, Bangert, warns that the “[d]efense counsel may not speak for the defendant; the defendant must affirmatively state his own knowledge and understanding when he is capable of doing so.” Bangert, 131 Wis. 2d at 270, 389 N.W.2d at 24. Accordingly, the circuit court erroneously relied on Kohn’s statement that Lilek understood what he was doing instead of getting that information directly from Lilek, as Bangert requires.  Slip op. ¶15.

This decision is a change of pace in more ways than one.  First, a defense victory–especially one so sensitive to the needs of the vulnerable–is rare but always welcome.  Second, District 1 takes the extra step of admonishing the circuit court, rather than its preferred whipping post (defense counsel).  (“We admonish the circuit court for [referring to defense counsel’s intern as the defendant’s lawyer].)” On Point doesn’t rejoice in the admonishment of anyone.  We simply noticed the traditional sauce for the defense goose being ladled over the judicial gander.

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State v. Steven L. Udelhofen, 2013AP1244-CR, District 4, 11/14/13; court of appeals decision (1-judge; ineligible for publication); case activity

The circuit court’s findings of fact regarding the circumstances of the stop of Udelhofen are not clearly erroneous despite the fact that he squad car video didn’t corroborate all the details of the officer’s testimony regarding his observations, applying State v. Walli, 2011 WI App 86, ¶¶16–18, 334 Wis. 2d 402, 799 N.W.2d 898 (when evidence in the record includes disputed testimony together with a video recording that may be viewed by the appellate court, the circuit court’s findings of fact based on that recording are reviewed under the clearly erroneous standard).

¶15      …. Udelhofen argues that reasonable suspicion did not exist because the squad car video does not corroborate the officer’s testimony by clearly showing Udelhofen’s vehicle taking the turn onto Lueders Road too fast, “fishtailing,” weaving, or otherwise driving erratically. Udelhofen contends that, because the video does not affirmatively corroborate the officer’s testimony, the circuit court erred in relying on the officer’s testimony in determining that the officer had reasonable suspicion of impairment to justify the stop.

¶16      My review of the squad car video in the record confirms the view of the circuit court. As I view it, the video is too dark and shows the vehicle too far in the distance (that is, shows the vehicle as too small on the screen) to reveal relevant details of Udelhofen’s driving. This is consistent with the circuit court’s finding that the video neither substantiates all of the officer’s testimony regarding Udelhofen’s driving nor undermines any particular aspect of the testimony. Applying our standard of review from Walli, this defeats Udelhofen’s apparent argument that the circuit court’s findings are clearly erroneous because they are undermined by or not supported by the video images.

And the facts found by the circuit court support its holding there was reasonable suspicion. The facts established the following events occurring within a short time frame on a Friday evening: the sliding or fishtailing during one right-hand turn, followed by the weaving within the lane, followed by the two more wide turns, followed by the failure to promptly pull over in response to the emergency lights. (¶¶3-6, 12, 17). “This combination of events in quick succession, and particularly beginning with a visible slide that the court found resulted from turning the corner too fast, easily amounts to reasonable suspicion under [State v.Post[, 2007 WI 60, ¶13, 301 Wis. 2d 1, 733 N.W.2d 634].” (¶17).

The court of appeals notes what it characterizes as two “troubling inaccuracies” in Udelhofen’s briefs; though the court says it is “not in a position to suggest that these inaccuracies arise from an intent to mislead the court” it reminds counsel that “zealous advocacy is still accurate advocacy.” (¶18 n.7).

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State v. Bradley M. Jones, 2013 WI App 151; case activity

¶1        …. Wisconsin Stat. § 980.07 (2011-12) mandates annual reexamination of persons committed to secure treatment facilities as sexually violent persons. Following the Department of Health Services’ annual reexamination, Bradley M. Jones requested and was denied appointment of an independent examiner and counsel prior to review of his petition for discharge. Under the applicable statutes, committed individuals are entitled to retain, or have the court appoint, an independent examiner at the time of the annual reexamination and counsel when the reexamination and treatment progress reports are filed with the circuit court—before the circuit court proceeds to review the petition for discharge. Because the circuit court did not address Jones’s request for appointment of an independent examiner and counsel before reviewing and denying his petition for discharge, we reverse and remand for further proceedings.

Jones filed a discharge petition using a standard form, checking the box that said “I am no longer ‘more likely than not’ to commit an act of sexual violence because…” and then stating additional facts would be provided by appointed counsel and an independent examiner. (¶3). Four days later, before it had even considered whether to appoint counsel or an independent examiner, the circuit court denied the petition for failing to state sufficient facts. (¶4). The court of appeals holds the applicable statutes clearly required the court to appoint counsel and an independent examiner before reviewing Jones’s petition.

Under Wis. Stat. § 980.07 DHS must conduct an annual reexamination of a person committed under ch. 980 and submit reports of the reexamination to the circuit court. Under § 980.075, DHS’s annual report triggers the committed person’s right to counsel. The statute explicitly mandates referral of indigent persons to the SPD for appointment of counsel before proceeding under the statute governing review of the person’s discharge petition. As the court of appeals succinctly (and aptly) notes, in defending the circuit court’s decision in this case “[t]he State ignores Wis. Stat. § 980.075.” (¶7).

The court of appeals also roundly rejects the state’s argument that § 980.03(2) only provides for the right to counsel “at any hearing” and the “paper review” of a discharge petition, State v. Arends, 2010 WI 46, 325 Wis. 2d 1, 784 N.W.2d 513, is not a “hearing”:

¶10      …. § 980.075(5)[] prohibits the circuit court from proceeding on a reexamination discharge petition under § 980.09 before referring the matter for an indigency determination and appointment of counsel. Notably, the § 980.075(5) prohibition refers to § 980.09 in its entirety and emphasizes that the referral is to happen as soon as circumstances permit; it does not authorize the circuit court to wait until after the paper review has taken place. There is no indication that the general provision of the right to counsel “at any hearing” serves as a limitation on the unequivocal requirement that counsel be provided before the circuit court proceeds to review a petition for discharge submitted in conjunction with an annual reexamination. Thus, when the legislature took away the obligatory hearing on every discharge petition, it extended the right to counsel from the onset for discharge petitions filed in conjunction with the annual reexamination.

 Likewise, the person’s right to an independent examiner does not depend on the outcome of the paper review:

¶13      …. Wisconsin Stat. § 980.07(1) states that the committed person may retain or have the court appoint an independent examiner “[a]t the time of a reexamination,” and Wis. Stat. § 980.031(3) requires the circuit court to appoint, upon request, an independent examiner to perform an examination of the individual’s mental condition. That the independent examiner is also to participate at trial or a hearing involving testimony does not limit his or her initial role in examining the committed person “at the time of a reexamination.” The committed person does not have to wait until his or her petition has passed the paper review; indeed, the independent examiner is meant to help assess the petitioner’s readiness for discharge and gather facts to support the petition, if appropriate. See Wis. Stat. § 980.075(4)(a) (“The petitioner may use experts or professional persons to support his or her petition.”); Arends, 325 Wis. 2d 1, ¶25 & n.17 (paper review is of the petition and its attachments).

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