ESTATE OF Cheryl MAKOS, by the Personal Representative, Calvin Makos and Calvin Makos Individually, Amanda Makos, Cody Makos and Ashley Makos, by their Guardian Ad Litem, Gary R. Weidner, Esq., Plaintiffs-Appellants, v. WISCONSIN MASONS HEALTH CARE FUND, Associates In Pathology, S.C., Dr. Steven E. Bodemer and Wisconsin Patients Compensation Fund, Defendants-Respondents, ABC INSURANCE COMPANY and DEF Insurance Company, Defendant.
No. 96-0174
Supreme Court of Wisconsin
June 20, 1997
Motion for reconsideration denied September 10, 1997.
564 N.W.2d 662
Oral argument March 6, 1997.
WILCOX, J., joins.
CROOKS, J., concurs.
BRADLEY, J., dissents.
ABRAHAMSON, C.J., joins.
GESKE, J., took no part.
For the plaintiffs-appellants there were briefs (in the Supreme Court) by Timothy J. Aiken, Kelly L. Centofanti and Aiken & Scoptur, S.C., Milwaukee and oral argument by Timothy J. Aiken.
For the defendants-respondents there was a brief (in the Supreme Court) by Samuel J. Leib, Christine A. Koehler and Leib and Associates, S.C., Milwaukee and oral argument by Samuel J. Leib.
Amicus curiae brief was filed by David M. Skoglind, Edward E. Robinson and Warshafsky, Rotter, Tarnoff, Reinhardt, & Bloch, S.C., Milwaukee for the Wisconsin Academy of Trial Lawyers.
¶ 2. The relevant facts in this case are undisputed. Cheryl Makos (“Makos” or “Cheryl Makos estate“) had a growth on her left leg biopsied on February 13, 1985. Dr. Steven E. Bodemer of Associates in Pathology examined the growth and diagnosed it as non-malignant. Cheryl Makos was later diagnosed with metastatic malignant melanoma on May 27, 1994. At this time, the growth that was biopsied in 1985 was re-examined and found to be malignant.
¶ 3. Cheryl Makos filed this medical malpractice action in the Circuit Court for Marinette County against Dr. Bodemer and others on May 3, 1995. The action was filed within the one-year discovery rule set forth in
¶ 4. The defendants filed a motion to dismiss the complaint on the grounds that the statute of limitations had expired. The Circuit Court for Marinette County, Judge Charles D. Heath, granted the motion to dismiss on November 6, 1995. A judgment for the defendants was entered on December 11, 1995. The plaintiffs filed their notice of appeal on January 12, 1996, and the court of appeals certified the appeal to this court on July 30, 1996. We accepted the certification, and we now reverse the order and judgment of the trial court and remand for a trial.
¶ 5. We address the single issue of whether
¶ 6. Makos asserts that
Whatever the precise status of the right of access to the courts, it is clear that due process is satisfied if the statutory procedures provide an opportunity to be heard in court at a meaningful time and in a meaningful manner. Due process is flexible and requires only such procedural protections as the particular situation demands.
Id. at 512, citing Matthews v. Eldridge, 424 U.S. 319, 333 (1976).4
¶ 7. As quoted above, this court has consistently held that procedural due process requires that an indi-
¶ 9. In Martin, this court found the one-day time limit in which the plaintiffs had to file their action so as not to lose their right to unlimited damages “inherently unfair.” Id. at 209. In this case, Cheryl Makos was allowed zero days to file her action. Consistent with the holding in Martin, we find this to be fundamentally unfair and in violation of principles of due process. Cheryl Makos’ estate is entitled to an opportunity to be heard.
¶ 10. On February 13, 1985, Cheryl Makos was told by Dr. Bodemer that the growth on her leg that had been biopsied was not malignant. Over nine years later, in May of 1994, she was diagnosed with metastatic malignant melanoma. It was not until this time when the growth from 1985 was rе-examined that Cheryl Makos learned of Dr. Bodemer‘s initial misdiagnosis of her growth. Under the medical malpractice statute at issue in this case,
¶ 11. We find that to preclude this action was in violation of Cheryl Makos’ procedural due process rights. There is no basic fairness to eliminate her claim for injury before she knew or could have known that she was injured. The operation of the statute of repose effectively denied Cheryl Makos her opportunity to be heard because the doors of the courtroom were closed before she was even injured. Because her procedural due process rights as guaranteed by the
¶ 12. The defendants cite to two court of appeals’ cases in which challenges to the constitutionality of
¶ 13. In Halverson, the court of appeals held that
¶ 14. In Miller, the plaintiff claimed that
¶ 15. Neither the reasoning of the court of appeals in Halverson nor that in Miller applies to the situation in the case of Cheryl Makos. We are not invalidating the statute on its face as suggested by the plaintiff in Miller. We do not speak to whether different classes of plaintiffs or defendants are treated differently as asserted in both Halverson and Miller.
¶ 16. The defendants in this action further contend that in order for Makos to prevail, this court must overrule its own recent precedent from CLL Associates v. Arrowhead Pacific Corp., 174 Wis. 2d 604, 497 N.W.2d 115 (1993). We disagree. CLL involved the question of when a contract cause of action accrues under
¶ 17. In addition to violating the due process guarantees of the
¶ 18. In Kallas Millwork Corp. v. Square D Co., 66 Wis. 2d 382, 225 N.W.2d 454 (1975), this court found unconstitutional
¶ 19. The situation of Cheryl Makos is similar to that of the plaintiffs in Kallas. In the case at bar, the Wisconsin Statutes provide that anyone who is injured by an act or omission of a health care provider shall have a right to recover damages. See
¶ 21. For the foregoing reasons, we reverse the оrder of the trial court granting the defendants’ motion to dismiss and remand for a trial on the issue of the alleged medical malpractice committed by Dr. Bodemer.
By the Court.-Reversed and cause remanded.
¶ 23. WILLIAM A. BABLITCH, J. (concurring). I concur in the mandate reversing and remanding this case for a trial on the issue of the alleged medical malpractice committed by Dr. Bodemar. I cannot join its rationale.
¶ 24. I frame the issue as follows: whether a diagnosis is a “treatment,” “operation,” or “omission” within the meaning of the statute. It is fundamental that this court does not reach constitutional issues unnecessarily. Here, I conclude that the statute itself resolves the issue of whether a diagnosis comes within the terms of
¶ 25. The relevant facts are undisputed. Cheryl Makos had a growth on her left leg biopsied on February 13, 1985. Dr. Steven Bodemer examined the biopsied tissue. His diagnosis was that the growth was not malignant. That diagnosis was later found to be incorrect: it was malignant. Unfortunately for Cheryl Makos, the misdiagnosis was not discovered until the five year statute of repose had run. Even more tragically, it killed her. She died on May 19, 1995.
¶ 26. The statute, in relevant part, states: “[A]n action to recover damages for injury arising from any treatment or operation performed by, or from any omission by, a person who is a health care provider...shall be commenced within...(b)...five years from the date of the act or omission.”
¶ 27. A diagnosis is neither an operation nor an omission. Thus, the only issue is whether a diagnosis is a “treatment” within the meaning оf the statute.
¶ 29. Counsel for the plaintiff did not raise this statutory construction argument in its brief. When asked why at oral argument, plaintiff‘s counsel considered it and seemingly without benefit of research or reflection, opined that it might be inconsistent with Martin to hold that the term treatment in this statute of repose does not include diagnosis. Counsel‘s concerns are without merit.
¶ 30. In Martin v. Richards, 192 Wis. 2d 156, 531 N.W.2d 70 (1995), the statute under scrutiny was the informed consent statute,
¶ 31. We took care to point out that only with respect to the informed consent statute was there no difference: “The distinction between diagnostic and medical treatments is not in and of itself significant to an analysis of informed consent.” Martin, 192 Wis. 2d at 175 (emphasis added). Throughout the case, we went to great lengths to distinguish the two terms: “We are
¶ 32. Thus, in Martin, the history of the informed consent statute compelled the result. Here, in construing this statute of repose,
[T]his court, in accordance with generally accepted standards of jurisprudence, has interpreted statutes of limitation so that no person‘s cause of action will be barred unless clearly mandated by the legislature. .In accordance with that general philosophy of insuring that litigants shall have their day in court unless clearly barred, words of doubtful or ambivalent import have been construed by this court to bar only those actions the legislature intended to extinguish.
Saunders v. DEC International, Inc., 85 Wis. 2d 70, 74, 270 N.W.2d 176 (1978).
¶ 34. I wоuld prefer that we request further briefs from the parties on the issue as I have framed it. Failing that, I join the mandate of the lead opinion but not its rationale. I would hold that a misdiagnosis as occurred here does not come within the meaning of the statute. I concur.1
¶ 35. I am authorized to state that Justice Jon P. Wilcox joins this concurring opinion.
¶ 36. N. PATRICK CROOKS, J. (concurring). Due to the application of the statute of repose contained in
¶ 37.
Every person is entitled to a certain remedy in the laws for all injuries, or wrongs which he may receive in his person, property, or character; he ought to obtain justice freely, and without being obliged to purchase it, completely and without denial, promptly and without delay, conformably to the laws.
¶ 39. Consistent with this historical purpose, this court has determined that
¶ 40. In Wisconsin, an individual has a common-law right to bring a medical malpractice action. See, e.g., Skinner v. American Bible Soc‘y, 92 Wis. 209, 65 N.W. 1037 (1896); Nelson v. Harrington, 72 Wis. 591, 40 N.W. 228 (1888); Gates v. Fleischer, 67 Wis. 504, 30 N.W. 674 (1886); Quinn v. Higgins, 63 Wis. 664, 24 N.W. 482 (1885); Reynolds v. Graves, 3 Wis. 371 (1854). Moreover, the legislature modified this common-law right in 1975 when it enacted ch. 655, which established an exclusive procedure for bringing a medical malpractice action. See State ex rel. Strykowski v. Wilkie, 81 Wis. 2d 491, 499, 261 N.W.2d 434 (1978). Consequently, the right to bring a medical malpractice action, subject to the applicable conditions of ch. 655, is also a legislatively-recognized right. See Martin v. Richards, 192 Wis. 2d 156, 206-09, 531 N.W.2d 70 (1995).
¶ 41. However, my inquiry does not end here, because even where an independent common-law or legislatively-recognized right to bring a cause of action exists, the legislature may modify, reduce, or eliminate this right under certain circumstances without violating
[W]here a right of access to the courts for redress for a particular injury has been provided by statutory law predating the adoption of the Declaration of Rights of the Constitution of the State of Florida, or where such right has become part of the common law of the State pursuant to Fla. Stat. s. 2.01, F.S.A., the Legislature is without power to abolish such a right without providing a reasonable alternative to protеct the rights of the people of the State to redress for injuries, unless the Legislature can show an overpowering public necessity for the abolishment of such right, and no alternative method of meeting such public necessity can be shown.
Kluger v. White, 281 So. 2d 1, 4 (Fla. 1973). Professor Schuman has characterized the Kluger court‘s approach as involving the following “three-step combination of rules and balances“: (1) the legislature may freely modify, reduce or eliminate post-constitutional causes of action created by the legislature itself; (2) the legislature may modify, reduce, or eliminate common-law or pre-constitutional statutory causes of action if it provides a reasonable alternative; and (3) the legislature may modify, reduce, or eliminate common law or pre-constitutional statutory causes of action if it establishes that no reasonable alternatives exist and that “an overpowering public necessity for the abolishment of such right” exists. Schuman, supra, at 1216-17. I conclude that these principles should be adopted in Wisconsin.
¶ 42. Applying these principles to the case at hand, I conclude that the legislature cannot eliminate Makos’ right to bring a medical malpractice action under any of these three principles. First, the right to bring a medical malpractice action existed at common law; therefore, the legislature cannot freely eliminate Makos’ right to bring such a claim. Second, the legisla-
¶ 43. This conclusion is consistent with the historical purpose of
¶ 44. Furthermore, this conclusion does not conflict with CLL Associates, Ltd. v. Arrowhead Pacific Corp., 174 Wis. 2d 604, 497 N.W.2d 115 (1993).3 See dissenting op. at 80-83, 86-87. As the CLL court explained, tort actions are significantly distinct from contract actions. Id. at 609-13. Therefore, although a tort statute of limitation begins to run when an injured party discovers or reasonably should have discovered the injury, the same is not true in a contract cause of action. Id. 609-17. Accordingly, the court has recognized that different principles of law apply when considering a contract statute of limitations as opposed to a tort statute of limitations. See id. Thus, although it may not violate
¶ 45. Moreover, this court has recognized that “[m]edical malpractice actions are substantially distinct from other tort actions.” Strykowski, 81 Wis. 2d at 509. Consequently, the same principles of law regard-
¶ 46. In short, I conclude that courts should consider the following threе principles, along with the nature of the cause of action, in determining whether an individual has been denied the right to a remedy in violation of
¶ 47. ANN WALSH BRADLEY, J. (dissenting). I dissent. The certified issue in this case is the constitutionality of
I. Due Process
¶ 48. I begin by addressing due process because the lead opinion relies primarily on a procedural due process analysis in reaching its conclusion that
¶ 49. The lead opinion errs at the very outset of its due process analysis by assuming that the plaintiffs have a constitutionally recognized and protected property interest. In this case, Cheryl Makos and her family did not discоver that they were injured by the 1985 misdiagnosis until after the original biopsy was re-examined in 1994 and found to be malignant. As such, the discovery rule delayed the accrual of the plaintiffs’ cause of action until after they discovered, or in the exercise of reasonable diligence should have discovered, the existence of their injury and that the defendant, Dr. Bodemer, probably caused their injury. See, e.g., Clark v. Erdmann, 161 Wis. 2d 428, 445-46, 468 N.W.2d 18 (1991). There is no dispute that
¶ 50. Neither the United States Supreme Court nor this court has ever held that an unaccrued cause of action is a constitutionally protected property interest. In fact, case law demonstrates that the Due Process Clause takes no notice when a legislature alters or extinguishes an unaccrued cause of action. Where a cause of action has yet to accrue, the Supreme Court has held that due process principles do not prevent the creation of new causes of action or the abolition of old ones to attain proper legislative objectives. Silver v. Silver, 280 U.S. 117, 122 (1929).
¶ 51. In Martin v. Richards, 192 Wis. 2d 156, 531 N.W.2d 70 (1995), this court used a substantive due
¶ 52. In this case,
¶ 53. Even if I were to assume that the plaintiffs’ unaccrued cause of action was a property right warranting constitutional protection, which I do not, the United States Supreme Court has already held that procedural due process considerations generally will not invalidate State-created substantive defenses:
Of course, the State remains free to create substantive defenses or immunities for use in adjudication. . . . The Court held as much [when]. . .it upheld a California statute granting officials immunity from certain types of state tort claims. We acknowledged that the grant of immunity arguably did deprive the plaintiffs of a protected property interest. But they were not thereby deprived of property without due process, just as a welfare recipient is not deprived of due process when the legislature adjusts benefit levels. In each case, the legislative determination provides all the process that is due[, for] it remain[s] true that the State‘s interest in fashioning its own rules of tort law is paramount to any discernible federal interest, except perhaps an interest in protecting the individual citizen from state action that is wholly arbitrary or irrational. . . . [I]t may well be that a substantive immunity defense, like an element of the tort claim itself, is merely one aspect of the State‘s definition of that property interest.
Logan v. Zimmerman Brush Co., 455 U.S. 422, 432-33 (1982) (citations and internal quotation marks omitted). The due process guarantees under the Wisconsin Constitution track those under the Federal Constitution. Reginald D. v. State, 193 Wis. 2d 299, 307, 533 N.W.2d 181 (1995). The procedural component of the
¶ 54. In truth, this case has little to do with procedural due process. As I read the lead opinion, no number of hearings or other additional procedural safeguards would save the statute at issue in this case. Rather, the lead opinion‘s quarrel with the statute is ultimately rooted in a disagreement with the legislature over the propriety of immunizing health care providers from the “long tail” liability associated with certain types of medical malpractice. Essentially, the lead opinion objects on “fundamental fairness” grounds to any time period limitation on the discovery rule. However, “fundamental fairness” is a hollow invocation when it is unaccompanied by an analysis of the substantive due process considerations underpinning the phrase.
¶ 55. This court is generally ill-equipped as an institution to second guess a legislative grant of immunity which attempts to address economic threats to services important to the public. As a rule, such a legislative enactment “does not violate substantive due process if it bears a rational relationship to the underlying legislative purpose.” Szarzynski, 184 Wis. 2d at 889; see also Duke Power Co. v. Carolina Envtl. Study Group, Inc., 438 U.S. 59, 83-4 (1978) (holding that “legislative effort[s] to structure and accommodate the burdens and benefits of economic life” do not violate due process unless “the legislature has acted in an arbitrary or irrational manner“) (citation and internal quotation marks omitted).
¶ 57. I cannot conclude that the legislature has acted “arbitrarily” or “irrationally” in placing a five-year limit on the accrual of a medical malpractice cause of action. The legislature created
¶ 58. The staff report suggests that the five-year limit on commencement of a suit would negatively affect only a small percentage of malpractice claims. The legislature had to balance the interests of that small percentage of claimants against the interests served by the enactment of the five-year statute of repose. In balancing the interests, the legislature apparently concluded that public policy was best served by cutting off medical malpractice claims not
¶ 59. In summary, because the plaintiffs’ unaccrued cause of action is not a vested property right, there is no due process basis for challenging
II. Equal Protection2
¶ 60. I also reject the plaintiffs’ assertion that
¶ 61. Substantive due process and equal protection analysis have much in common. I have already determined under a substantive due process analysis that
¶ 62. Under the rational basis test, the classifications achieved by a statute are scrutinized under “a relatively relaxed standard reflecting the Court‘s awareness that the drawing of lines that create distinctions is peculiarly a legislative task and an unavoidable one. Perfection in making the necessary classification is neither possible nor necessary.” Massachusetts Bd. of Retirement v. Murgia, 427 U.S. 307, 314 (1976). A statute does not violate equal protection merely because its classifications are “imperfect,” lack “mathematical nicety,” or “result[] in some inequity.” Schweiker v. Wilson, 450 U.S. 221, 234 (1981). As long as the classification scheme chosen by our legislature rationally advances a proper objective, “we must disregard the existence of other methods of allocation that we, as individuals, perhaps would have preferred.” Id.
¶ 63. The “health care provider” classification is a reasonable one. This court has already determined
¶ 64. Unlike the plaintiffs, I do not find it constitutionally significant that the term “health care provider” omits blood banks and pharmaceutical and medical device companies. See Doe v. American Nat‘l Red Cross, 176 Wis. 2d 610, 616-17, 500 N.W.2d 264 (1993). Section
¶ 65. Section
Much of our decision herein is a matter of stare decisis based on Kallas. We invalidated the predecessor of this statute because no reasonable distinction could be found between the builders in the protected class and others like materialmen and owners who were not protected by the statute. As pointed out above, furnishers of materials and land surveyors have now been included in the protected class. No doubt, this reduces the under-inclusiveness of the statute, but owners or occupants who may be liable to suit by third parties as the result of design defects or construction errors or omission are not in the protected class.
148 Wis. 2d at 73. Thus, the statutes at issue in Kallas and Funk violated equal protection by granting, without a rational basis, the benefit of a limitation period to one group while denying the same benefit to a similarly situated group.
¶ 66. The under-inclusiveness problems present in Kallas and Funk are absent in the instant case. No such defect exists in this case, because, with one notable exception,
¶ 67. The plaintiffs next argue that the classification of medical malpractice claimants is not rational. For example, they note that two victims of identical negligent acts are treated differently under the statute, since the one who commences a suit within five years of the negligent act will be allowed to proceed, while the other will be barred if he or she commences a suit after the five-year period. I cannot conclude that such a time-based classification is irrational, since by their nature, every statute of limitations and statute of repose must make such a distinction. I conclude that the statute at issue makes a rational distinction between claimants commencing an action within five years and those filing after five years.
¶ 68. I also reject the plaintiffs’ assertion that treating medical malpractice claimants differently from other tort claimants violates equal protection. This court has previously considered and rejected such an argument, Strykowski, 81 Wis. 2d at 507-9, and I see no reason to depart from precedent.
¶ 69. In sum, the distinctions created by
III. Article I, § 9 of the Wisconsin Constitution
The Lead Opinion
¶ 70. The plaintiffs assert, and the lead opinion concludes, that
Remedy for wrongs. Section 9. Every person is entitled to a certain remedy in the laws for all injuries, or wrongs which he may receive in his person, property, or character; he ought to obtain justice freely, and without being obliged to purchase it, completely and without denial, promptly and without delay, conformably to the laws.
I conclude that precedent establishes that
¶ 71. This court has previously elucidated the meaning of the “remedy for wrongs” clause:
That section, though of great importance in our jurisprudence, is primarily addressed to the right of persons to have access to the courts and to obtain justice on the basis of the law as it in fact exists. No legal rights are conferrеd by this portion of the Constitution.
Mulder v. Acme-Cleveland Corp., 95 Wis. 2d 173, 189, 290 N.W.2d 276 (1980) (footnote omitted). The Mulder court emphasized that its prior
¶ 72. In the present case, the lead opinion presumably acknowledges that the legislature does not recognize a right to commence a medical malpractice action more than five years after a health care provider‘s allegedly negligent act or omission. Undaunted,
¶ 73. The lead opinion attempts, but fails, to distinguish this court‘s decision in CLL Assocs. v. Arrowhead Pacific Corp., 174 Wis. 2d 604, 497 N.W.2d 115 (1993). In CLL, we held that
¶ 74. In the lead opinion‘s view, CLL is distinguishable on the following basis:
CLL involved a statute of limitations while this case involves a statute of repose. These are distinct legal concepts that deserve to be treated as such. Because we recognize the legal distinction between a statute of limitations and a statute of repose, we find CLL inapplicable to the case at bar.
Lead op. at 51-52 (footnote omitted). However, CLL itself demonstrates that the lead opinion‘s distinction between statutes of limitations and repose for purposes of
¶ 75. The CLL court concluded that
¶ 76. Under the CLL analysis, this court considers statutes of limitations and repose to be interchangeable for purposes of
¶ 77. As I understand the lead opinion, a statute of repose is unconstitutional if it places any time period limitation on the accrual of a cause of action, because it is unfair to “close the doors of the courtroom” before a claimant could reasonably discover his or her injury. Since all statutes of repose create such a time limitation on accrual, it appears that the lead opinion would invalidate all statutes of repose. Furthermore, because the lead opinion‘s distinction between statutes of limitations and repose is hollow, today‘s decision carries grave implications for any statute which places any time limit on the discovery rule.
¶ 79. I do not believe that constitutional guarantees rise or fall on empty legal distinctions. Whether it is labeled a statute of limitations or repose, the result is the same in both cases—the ability to commence an action is extinguished before the claimant could reasonably discover his or her injury. For that reason, consistent with CLL and Halverson, I conclude that
¶ 80. It is crucial to note that the lead opinion‘s repeated statement that
Justice Crooks’ Concurrence
¶ 81. Justice Crooks’ concurrence, which is premised solely on
¶ 82. I do not believe that
The historical origins of the open courts clause do not support the proposition that it was intended to be a “remedies” clause, as that term is used today. Courts which seek to prohibit legislatures from limiting existing remedies through duly enacted legislation must find the sourсe of their authority somewhere other than the open courts clause of their state constitutions.
An open courts clause analysis consistent with the origins of the provision should focus not on whether the legislature has abolished a “remedy” but on whether the challenged action compromises the judiciary as an independent branch of government. . . . [W]hen the legislature clearly expresses its desire to limit the remedies available, the court should be especially cautious before striking down such a law, lest the open courts clause be used to undermine the very separation of powers which the provision was intended to foster. . . . The common law has always evolved to meet changing circumstances and should continue to do so. It is quite another thing to suggest that the open courts clause requires a remedy for every right or, put another way, that it forbids the legislature from altering or even abolishing remedies through duly enacted legislation.
Jonathan M. Hoffman, By the Course of the Law: The Origins of the Open Courts Clause of State Constitutions, 74 Or. L. Rev. 1279, 1316-17 (1995) (emphasis in original) (hereinafter Origins of the Open Courts Clause).
¶ 83. The concurrence apparently believes that the statute of repose was not aimed at the medical malpractice crisis of the 1970s because it was created four years after the enactment of Chapter 655. Justice Crooks’ concurrence at 65. I am not sure what rele
¶ 84. The medical malpractice crisis was not created in a day, and the legislature was not required to solve it all at once in Chapter 655. Indeed, the medical malpractice crisis did not vanish overnight with the enactment of Chapter 655. I therefore conclude that the concurrence lacks a basis for implying that
¶ 85. I also do not find illuminative the concurrence‘s citation to foreign jurisdictions which have struck down medical malpractice statutes of repose under state constitutional provisions analogous to
¶ 86. In his concurrence, Justice Crooks repeats the lead opinion‘s error by attempting to distinguish CLL. The concurrence states that “although it may not violate art. I, § 9 to bar a contract claim before the injured party knew or should have known of the injury . . . the same reasoning does not necessarily apply to a tort cause of action.” Justice Crooks’ concurrence at 66 (citation omitted). This contrived distinction between contraсt and tort actions, which was flatly rejected by CLL, destroys any merit that the concur
¶ 87. The common law recognized a breach of contract cause of action; the statute at issue in CLL,
¶ 88. The CLL court did not recognize a contract/tort distinction for purposes of its
¶ 89. The concurrence makes a further baseless distinction. Citing Strykowski, 81 Wis. 2d at 509, the concurrence determines that
¶ 90. For the foregoing reasons, I conclude that the concurrence, like the lead opinion, has erroneously determined that
IV. Negligent Diagnosis Claims Under § 893.55
¶ 91. In his concurrence, Justice Bablitch concludes that a negligent diagnosis is not treatment for purposes of
¶ 92. First, recent decisions of this court have rejected the distinction relied upon by Justice Bablitch. For example, in Doe, 176 Wis. 2d at 616-17, this court determined that blood banks are not “health care providers” for purposes of invoking
The Red Cross is not involved in the diagnosis, treatment or care of patients as are podiatrists. The Red Cross is not licensed to practice medicine by the state of Wisconsin or any medical examining board. . . . [W]e reject the Red Cross’ argument that this case is similar to claims against radiologists or pathologists who have no direct patient contact but fall within the scope of sec. 893.55. The Red Cross is
not involved in diagnosing and recommending treatment for patients as are radiologists and pathologists.
Id. I submit that Justice Bablitch‘s view that diagnosing physicians fall outside of
¶ 93. Furthermore, this court concluded only two terms ago that misdiagnosis and treatment are indistinguishable for purposes of the informed consent statute:
Certainly, procedures which are purely diagnostic in nature are not excluded from sec. 448.30‘s reach. . . . The distinction between diagnostic and medical treatments is not in and of itself significant to an analysis of informed consent.
See Martin, 192 Wis. 2d at 175. Indeed, both parties agreed at oral argument that it would be inconsistent with Martin to hold in this case that
¶ 94. Second, the court of appeals squarely addressed this issue just last year:
The standard medical malpractice jury instruction, WIS JI-CIVIL 1023, does not specifically instruct as to negligent diagnosis. However, diagnosis is considered “care and treatment.”
Finley v. Culligan, 201 Wis. 2d 611, 622, 548 N.W.2d 854 (Ct. App. 1996) (citing Miller v. Kim, 191 Wis. 2d 187, 198, 528 N.W.2d 72 (Ct. App. 1995)).
¶ 95. Third, by removing diagnosing physicians from the protection of
¶ 96. Finally, while the concurrence finds the legislative history of the informed consent statute significant, it takes no notice of the Judicial Council Committee note accompanying
This section has been created to precisely set out the time periods within which an action to recover damages for medical malpractice must be commenced. The time provisions apply to any health care provider in Wisconsin.
Sub. (1) contains the general time limitations for commencing a malpractice action. The subsection requires that such an action be commenced not later than 3 years from the event constituting the malpractice or not more than one year from the time the malpractice is discovered by the patient or should have been discovered by the patient. The patient has either the 3-year general time period or the one-year time period from the date of discovery, whichever is later. Subsection (1) further provides that in no event may a malpractice action be commenced later than 6 [5] years from the date of the alleged act or omission.
¶ 97. As is apparent from the committee note, the legislative history supports the proposition that the legislature intended that
¶ 98. For all of these reasons, I conclude that negligent diagnosis is treatment for purposes of
Conclusion
¶ 99. I conclude that the plaintiffs have failed to demonstrate beyond a reasonable doubt that
¶ 100. The institutional legitimacy of the judiciary is at a low ebb when a court errs by substituting its “better” public policy vision for the one enacted by the legislature. The lead opinion has committed such an error by mistaking its conception of sound public policy for a constitutional mandate.
¶ 101. In addition, the lead opinion and the concurrence by Justice Crooks have erred in determining that
¶ 102. Finally, I conclude that Justice Bablitch‘s concurrence is premised on a legal theory not raised in either the circuit court, the court of appeals, the petition for review, or the briefs to this court. The theory was rejected by both parties at oral argument before this court, and is contrary to precedent, the language of the statute, and the statute‘s legislative history. I therefore also reject it.
¶ 103. For the foregoing reasons, I respectfully dissent.
¶ 104. I am authorized to state that Chief Justice Shirley S. Abrahamson joins this opinion.
Notes
Every person is entitled to a certain remedy in the laws for all injuries, or wrongs which he may receive in his person, property, or character; he ought to obtain justice freely, and without being obliged to purchase it, completely and without denial, promptly and without delay, conformably to the laws.
