Lead Opinion
I. INTRODUCTION
We are presented with two separate appeals from involuntary commitment orders, brought by two appellants, one of whom also appeals a related involuntary medication order. The challenged orders expired while the respective appeals were pending; we consolidated the cases for briefing on whether to revisit our mootness jurisprudence in involuntary commitment and involuntary medication appeals. We now hold that all appeals of involuntary admissions for treatment and involuntary medication are categorically exempt from the mootness doctrine. After reviewing each case on its merits and finding no error in the orders appealed, we affirm.
II. FACTS AND PROCEEDINGS
A. Naomi B.
In January 2015 Adult Protective Services petitioned for an ex parte order committing Naomi B. to the Alaska Psychiatric Institute (API). She agreed to stay voluntarily and to take medication, attend groups and meetings, and plan for her discharge. But after her admission she refused to take medication or participate in treatment.
Naomi's state soon worsened. She reported being repeatedly raped, hit, and assaulted, but API found no evidence to support her allegations after conducting a physical exam and reviewing tapes from the facility's surveillance cameras. Her treating psychiatrist, Dr. David Mack, concluded that Naomi's reports were delusions caused by mental illness, and he diagnosed her with schizoaffective disorder, bipolar subtype.
Naomi never demanded to be discharged from API, and while she ate and maintained her personal hygiene, she could not or would not cooperate with API staff to plan for her discharge. Concerned that she could not manage her treatment or housing outside of API, hospital staff filed a petition later that month to involuntarily commit Naomi for 30 days. The petition alleged that Naomi was "gravely disabled and there [was] reason to believe that [her] mental condition could be improved by the course of treatment sought." API also petitioned the court to approve involuntary administration of psychotropic drugs.
That same day a magistrate judge held hearings on both petitions. Naomi was represented by an attorney at the hearings, but declined to participate in person. The court visitor
The court next addressed the involuntary commitment petition. Dr. Mack testified that *922outpatient treatment would not be adequate for Naomi because she was "at great risk for exposure to disorganized, aggressive behaviors if she's not surround[ed] by a professional staff." Dr. Mack also indicated that Naomi was "unable to engage with [API's] treatment team on basic needs due to her delusional construct" and that API had not been able to confirm that Naomi had a safe place to live. As a result he believed there was no less restrictive placement where Naomi could receive treatment. The court granted the petition, finding that Naomi was "mentally ill and, as a result, gravely disabled," and that there was no less restrictive treatment alternative.
The court then turned to the petition for court approval of administration of psychotropic medication. Dr. Mack testified that API sought to administer two medications to Naomi: olanzapine, an antipsychotic to address her delusions, and lorazepam to reduce anxiety and irritability and to treat some side effects of olanzapine. Dr. Mack acknowledged risks associated with both medications but concluded that the benefits outweighed the risks. He hoped that the medications could improve Naomi's condition within a week. He believed that Naomi had no ability to give or withhold informed consent to the administration of the medications, that the medications were in her best interests, and that there was no less intrusive means of treating Naomi's schizoaffective disorder. He also said that Naomi would be offered various forms of group treatment to help her manage her illness, but that the group therapies alone would not successfully treat Naomi's disorder. The court granted the petition for medication "with the amendment that the lorazepam [was to be administered] only as needed."
Naomi's lawyer did not question witnesses, raise objections, or make any arguments to the court.
The magistrate judge issued a written report detailing the factual and legal findings from the hearing; the superior court adopted the magistrate judge's recommended findings and signed the attached orders in February.
Naomi appeals, arguing that the superior court erred in finding that she was gravely disabled, that there was no less intrusive alternative to involuntary medication, and that forced medication was in her best interests. Naomi requests that we reverse or vacate the commitment and medication orders.
B. Linda M.
Linda M. has a history of mental health issues spanning most of her adult life. By 2016 she had exhibited paranoia and aggressive behavior, such as spitting at people, and kicking and throwing things. The Anchorage Police Department's crisis intervention team responded several times to calls from Linda's mother reporting that Linda was threatening her. The police described Linda as "agitated" and "very volatile," and they eventually arrested Linda for threatening her mother with a shovel and spitting on her. At the time Linda was already facing a criminal charge for reckless driving in connection with a car accident.
While in custody for the two criminal cases, Linda was sent to API for an evaluation and restoration of her competency to stand trial. In July 2016 API filed a petition to commit Linda for 30 days. During the commitment hearing, Linda's testimony seemed paranoid and delusional, including statements that members of a drug cartel had attempted to poison her; a psychiatric nurse practitioner testified that Linda had schizophrenia. The court found that Linda had a mental illness and as a result posed a "substantial risk of harm to others." It granted API's petition to commit Linda for up to 30 days. During her commitment, Linda voluntarily participated in therapy, but she also swore, lunged, and swung at various API staff members, raising concerns about her unpredictability and aggressive behavior. The therapy did not lead to improvement, and the efficacy of the drugs administered by API remained unclear.
In August 2016 API filed a petition to commit Linda for another 90 days and Linda requested a jury trial. During the trial Linda offered further testimony reflecting paranoid delusions. The jury unanimously found by clear and convincing evidence that Linda was *923mentally ill and that as a result she was "likely to cause harm to others."
Approximately one week after the jury verdict, the superior court held an evidentiary hearing on whether there was any less restrictive alternative to hospitalization at API. Various experts testified and several alternatives were explored. An API mental health clinician who was certified as an expert in API discharge planning testified that, because Linda was not taking medication as prescribed, she would not be accepted into a publicly funded assisted living home. The clinician also testified that a halfway house for formerly incarcerated individuals would not be appropriate for Linda, even in conjunction with a community support program, and that privately operated assisted living facilities would likely reject Linda because of her unpredictability and aggressiveness. An API psychiatric nurse practitioner similarly testified that Linda needed to be stabilized using medication at API before her release, that she still needed "24/7 ... supervision," and that releasing Linda into the community at that time would set her up for failure.
Finally, a clinical psychiatrist testified that Linda could be discharged to an outpatient community support program if safe housing could also be arranged for her, such as an assisted living facility or other location with professional staff that could "retain her" if she became agitated. He also discussed a closed facility, Soteria-Alaska, as a less restrictive alternative to API. He testified that Soteria-Alaska had operated for seven years in Anchorage and had offered an alternative to the psychiatric inpatient hospitalization offered at API, but one that still provided "24/7" supervision. But he testified that Soteria-Alaska was shut down due to funding issues. He opined Soteria-Alaska would have been a good option for Linda if it were still in operation.
Linda's counsel asserted during closing argument that the evidence had not established a high probability that a less restrictive alternative would be unsuccessful. Counsel also argued that Linda "ha[d] the constitutional right to a Soteria-like setting." More specifically, counsel argued that "the state cannot de-fund Soteria-Alaska and then say that because we haven't funded it, there is no less-restrictive alternative."
The superior court determined that, given the jury finding that Linda was likely to cause harm to others, "a less restrictive alternative would have to ... protect others from physical injury." The court reasoned that "none of the less restrictive alternatives that have been proposed by [Linda] or would otherwise be available will protect ... the public from the danger to others that [Linda] currently [poses]." The court explained that when Linda becomes agitated, it happens quickly, and that no less restrictive alternative was sufficient to protect the public "other than a facility like API that is locked and [that] provides 24/7 care." Finally, with regard to Soteria-Alaska as a proposed alternative, the court stated, "I reject the idea that there's a constitutional right that would require the state to fund particular kinds of programs. There would be separation of powers issues, I believe."
The superior court found that there was no less restrictive alternative to commitment at API. Linda appeals, arguing that the court erred by rejecting Soteria-Alaska as a feasible less restrictive alternative, and that her commitment order therefore violated her constitutional right not to be hospitalized where a feasible less restrictive alternative exists. She requests that we reverse and vacate the 90-day commitment order.
III. STANDARD OF REVIEW
"We apply our independent judgment to issues of mootness because as a matter of judicial policy, mootness is a question of law."
IV. DISCUSSION
A. We Will Consider The Merits Of Naomi's And Linda's Appeals Because We Hold That The Public Interest Exception Applies To All Appeals From Involuntary Admission For Treatment.
As typically happens in involuntary admission for treatment appeals, Naomi's and Linda's commitment orders and Naomi's medication order expired while their appeals were pending. Under our prior ruling in Wetherhorn v. Alaska Psychiatric Institute , this would render their appeals moot.
In Linda's case the State suggested that we could consider the merits of Linda's case under the public interest exception. Linda agreed that we should do so, or, alternatively, that we should revisit our mootness jurisprudence in the involuntary commitment context and hear all appeals of psychiatric confinement orders on the merits. We consolidated the two cases on appeal and asked all parties for supplemental briefing on whether-and if so, how-we should revisit our case law on moot involuntary commitment and medication appeals.
We do not lightly overturn our previous decisions. After reexamining our decisions regarding the mootness doctrine as applied to cases involving involuntary admission for treatment and medication, and in light of the broad agreement in the supplemental briefing regarding the practical consequences that have followed from those decisions-discussed in more detail below-we are persuaded that our previous rulings with regard to mootness in these contexts were mistaken and that more good than harm will come from overturning them.
1. Mootness in commitment appeals-Wetherhorn and its progeny
A history of our mootness jurisprudence is useful for context. Although the legislature *925amended Alaska's mental health statutes in 1981 in response to a nationwide shift in mental health treatment,
Our 2012 opinion in In re Joan K. departed from the strict holding of Wetherhorn and adopted a "collateral consequences exception" to the mootness doctrine in involuntary commitment appeals.
Joan K. also cursorily presented the question whether AS 47.30.765, which provides that the respondent to an involuntary commitment petition "has the right to an appeal from an order of involuntary commitment," supersedes the mootness doctrine in this context.
Our opinion in In re Dakota K. addressed the question-left unresolved by Joan K. -of which party bears the burden to show the existence or non-existence of collateral consequences.
That same year we addressed a procedural issue concerning mootness in In re Reid K.
2. Our mootness jurisprudence has proved unworkable in practice.
In their supplemental briefing the parties agree that over the past decade, our mootness jurisprudence as applied to involuntary commitment and medication appeals has resulted in significant time and effort spent addressing mootness issues. Counsel for both the State and Naomi indicate that in commitment appeals, briefing and litigating mootness is often more time- and resource-consuming than addressing the actual merits of any particular case. The State argues that "[t]he collateral consequences exception can be particularly difficult to litigate because its applicability can hinge on facts that may not be in the appellate record."
The procedure we laid out in Reid K . for a pre-briefing motion to dismiss on mootness grounds was not used in either of these cases. Naomi's attorney, a public defender, indicates that "in appeals involving the Public Defender Agency, it does not appear that the Reid K. [procedure] has been utilized at all." The State concedes that it has not effectively implemented the Reid K. procedure, noting that it can be difficult to determine if the issues raised on appeal would fall within a mootness exception before the appellant's arguments are articulated in the opening brief. Naomi further argues that even if the Reid K. procedure had been used, addressing the potential applicability of a mootness exception *927"entails reviewing the record, researching the relevant issues, and filing a detailed response to the dismissal motion that is not unlike a merits-based brief." Thus, she argues, if a mootness exception even arguably applies, using the Reid K. procedure merely "shifts resources to an earlier stage in the case but does not meaningfully save them."
A review of our past and pending cases also indicates that mootness has dominated appeals in the involuntary commitment context: as of February 2018-when we heard oral arguments on this issue-all but three of our prior decisions in post- Wetherhorn commitment appeals directly addressed, to some extent, whether the commitment appeal was moot.
We have consistently held that we will not reconsider prior rulings without compelling reasons for doing so: "We will overrule a prior decision only when clearly convinced that the rule was originally erroneous or is no longer sound because of changed conditions, and that more good than harm would result from a departure from precedent."
As we explained in Dakota K. , "[m]ootness is a judicially created doctrine meant to promote expediency and judicial economy."
In light of these factors it is clear to us that our current mootness jurisprudence, as it applies to the involuntary commitment context, has indeed proved to be unworkable in practice. But that does not answer the question of what a more appropriate rule would be. To answer that, we need to reconsider our mootness jurisprudence in more detail.
3. The public interest exception is categorically applicable to involuntary commitment appeals.
As explained above, we will hear an otherwise moot case where it falls under the public interest exception to mootness. The State suggests that the public interest exception may always be applicable to justify appellate review of involuntary commitment orders. As we have applied it, the public interest exception depends on three factors: "(1) whether the disputed issues are capable of repetition, (2) whether the mootness doctrine, if applied, may cause review of the issues to be repeatedly circumvented, and (3) whether the issues presented are so important to the public interest as to justify overriding the mootness doctrine."
*928The second factor will always favor applying the exception in involuntary commitment appeals: as we explained in E.P. v. Alaska Psychiatric Institute , "[i]t is quite unlikely that an appeal from a 30-day or 90-day commitment, or even a 180-day commitment, could be completed before the commitment has expired."
Where we have considered the public interest exception in the past, we have generally held that disputed questions are not "capable of repetition" when they "turn on unique facts unlikely to be repeated."
However, in other cases we have applied the "capable of repetition" element more flexibly. For example, in E.P. the appellant raised both legal and factual challenges to his commitment order.
On re-examination, we are persuaded that the "capable of repetition" element should be applied broadly in the context of involuntary commitment appeals, and that a case need not be capable of being repeated identically in order for the public interest exception to apply. Although every involuntary commitment proceeding is based on a particular set of facts, such proceedings occur frequently, and it is not uncommon for similar fact patterns to reoccur, either in a subsequent proceeding involving the same respondent,
We conclude that appeals from involuntary commitment orders are categorically subject to the public interest exception, whether the appeal is premised on a question of statutory or constitutional interpretation or on an evidence-based challenge. While we reaffirm that the trial court is indeed the correct forum for evaluating and weighing the reliability and credibility of evidence
4. The public interest exception is also categorically applicable to involuntary medication appeals.
Just like involuntary commitment proceedings, involuntary medication proceedings implicate "fundamental constitutional guarantees of liberty and privacy."
We have previously held that the public interest exception applies "in order to clarify the requirements for protecting constitutional rights in [involuntary medication] proceedings."
5. Overturning our mootness jurisprudence would result in more good than harm.
Now that we have identified a new and better approach to mootness in the involuntary commitment and medication contexts, we must turn to the second requirement to depart from stare decisis, which dictates we "balance the benefits of adopting a new rule against the benefits of stare decisis."
Of first importance, the citizen's liberty has been alleged to have been wrongfully taken by court process; the court should *930afford the citizen the opportunity to prove the error and, if proven, obtain judicial acknowledgment that the order was erroneously issued. Giving the citizen this opportunity will assure the citizen that she will be heard, and that if a lower court has erred, that error will not go unnoticed or unremedied, at least to the extent that the erroneous order will be reversed and vacated. Public confidence in the judicial branch demands that we hold ourselves accountable.
Second, in this age of prevalent information mining, collection, and storage into increasingly large, interconnected, and searchable data banks, the fact that a citizen has been involuntarily committed to a mental institution will follow that individual for all of her life. She should be given the means to effectively challenge that order through appeal regardless of the fact that by the time her appeal is ripe for decision, the 30 days will have long since expired and she will have been released from State custody. The injury inflicted by an erroneously issued order of involuntary commitment "lives" until the wrong is righted.[58 ]
The same reasoning applies to involuntary medication appeals.
On the other side of the scales are the benefits of stare decisis: "providing guidance for the conduct of individuals, creating efficiency in litigation by avoiding the relitigation of decided issues, and maintaining public faith in the judiciary."
Second, as discussed above, although our intent was to promote efficiency in litigation, experience has shown that this has not happened. Because the mootness doctrine as we have applied it depends on the specific circumstances and arguments raised on appeal, it has instead caused repeated extended litigation over mootness rather than over the actual merits of a case.
Finally, we conclude that to the extent public faith in the judiciary may be harmed by our change of direction in this case, the risk is vastly outweighed by holding the judiciary as a whole accountable through merit-based review of involuntary commitment and medication orders.
6. We will hear all involuntary admission for treatment and involuntary medication appeals on the merits.
For these reasons, we conclude that the public interest exception applies categorically to appeals from orders for involuntary admission for treatment and involuntary medication.
Because we conclude that all involuntary admission for treatment and medication appeals *931are subject to the public interest exception, it is not necessary for us to reconsider whether AS 47.30.765 mandates judicial review of otherwise-moot cases, and we decline to do so; we similarly do not address Naomi's argument that judicial review on the merits of commitment appeals is mandated by federal due process concerns. But to the extent that our prior decisions on mootness in the involuntary admission for treatment and medication contexts are inconsistent with this opinion, they are overruled. We emphasize that because our decision here is based on circumstances unique to appeals from involuntary admission and medication proceedings, our ruling here is limited to such cases and should not be construed as altering in any way our approach to mootness in other contexts.
B. The Superior Courts Did Not Err In Granting API's Commitment Petitions For Naomi And Linda.
Like the United States Supreme Court, we have characterized involuntary commitment for a mental illness as a "massive curtailment of liberty" that demands due process of law.
1. The superior court's finding that Naomi was gravely disabled is not clearly erroneous.
A court may issue an order committing an individual to a treatment facility for a 30-day period only if it "finds, by clear and convincing evidence, that the [individual] is mentally ill and as a result is likely to cause harm to [herself] or others or is gravely disabled."
(A) is in danger of physical harm arising from such complete neglect of basic needs for food, clothing, shelter, or personal safety as to render serious accident, illness, or death highly probable if care by another is not taken; or *932(B) will, if not treated, suffer or continue to suffer severe and abnormal mental, emotional, or physical distress, and this distress is associated with significant impairment of judgment, reason, or behavior causing a substantial deterioration of the person's previous ability to function independently.
We have noted that "[i]t is not enough to show that care and treatment of an individual's mental illness would be preferred or beneficial or even in [that person's] best interests."
Naomi argues that the evidence presented to the superior court was insufficient to support a finding that she was gravely disabled. She asserts that the court's reliance on Dr. Mack's testimony was misplaced because his testimony about her housing situation was "speculative," and that other evidence of her risk of harm if released from API was "weak." She further argues that her willingness to remain in the hospital suggested a level of amenability to treatment that brought her outside the statutory definition of "gravely disabled." Naomi's arguments lack merit.
Dr. Mack's uncontroverted testimony was that Naomi did not have housing, that Naomi's disorder was severe enough that she could not be expected to find housing on her own, and that she may not have been able to eat and shower regularly unless API provided her those amenities. Naomi acknowledged that she was unable to engage in discharge planning because "[s]he talked over the doctors or others trying to communicate with her" and "sometimes continued shouting even after returning to her own room." The superior court found that Naomi's delusions of rape and bodily harm and that her psychiatric status had become "more acute" during the time that she refused to take medication or to participate in planning her treatment.
Naomi points to nothing in the record contradicting Dr. Mack's testimony. Naomi's attorney asked no questions of Dr. Mack and presented no countervailing evidence to the court. Dr. Mack's testimony supports the court's finding that clear and convincing evidence showed Naomi to be gravely disabled. The court did not specify whether it found Naomi gravely disabled under subsection (A) or (B) of AS 47.30.915(9) ; we conclude that the court did not err in issuing the commitment order because uncontroverted evidence supports either or both findings. We affirm the court's finding as not clearly erroneous in this case but take this opportunity to remind the superior court of the importance-both for ensuring judicial transparency and for aiding appellate review-of specifying the precise statutory grounds on which it makes findings of grave disability.
2. The superior court did not err in determining there was no feasible less restrictive alternative to hospitalizing Linda at API.
After a court has found that a person is gravely disabled or poses a danger to herself or others, the court must consider whether that person should be involuntarily committed for treatment, or whether there is a less restrictive alternative available. Alaska Statutes 47.30.735(d) and AS 47.30.755(b) authorize commitment only if no feasible less restrictive alternative treatment is available.
*933"We determine the boundaries of individual rights guaranteed under the Alaska Constitution by balancing the importance of the right at issue against the state's interests in imposing the disputed limitation."
a. A less restrictive alternative to involuntary commitment is not "feasible" or legally relevant if it does not exist.
Linda argues on appeal that the superior court erred by rejecting Soteria-Alaska as a less restrictive alternative, and that it was therefore a violation of Linda's constitutional right to liberty to order her committed to API. The State posits that there was no error, citing our statement in Bigley v. Alaska Psychiatric Institute that for a program to be considered a less restrictive alternative, "the alternative must actually be available, meaning that it is feasible and would actually satisfy the compelling state interests that justify the proposed state action."
Linda's argument is not persuasive, as it fails to consider for whom an alternative is feasible. In essence, Linda's argument is that because it would be possible for the State to establish and operate a mental health facility and program similar to Soteria-Alaska, which was a private facility, the superior court was required to consider Soteria-Alaska a "feasible" less restrictive alternative to hospitalization. But whether or not it might be feasible, possible, or even advisable for the State to establish a facility and operate such a program,
*934and sending Linda there was not feasible. The State had no duty to re-open the private facility or to establish and operate a similar facility to meet its burden in this case.
b. The superior court did not clearly err in finding that no less restrictive alternative existed.
Whether or not Linda's proposed alternative-Soteria-Alaska-was feasible, the State had the burden to show by clear and convincing evidence that no less restrictive alternative to commitment existed.
In short, we find no clear error in the superior court's finding that no feasible less restrictive alternative to involuntarily committing Linda to API existed. We therefore affirm the superior court's commitment order in her case.
C. The Superior Court Did Not Err In Granting API's Involuntary Medication Petition For Naomi.
After a court has ordered an individual involuntarily committed, the State may forcibly administer psychotropic medication in a non-crisis situation only if the individual "is determined by a court to lack the capacity to give [or withhold] informed consent" to the medication, and the State demonstrates "by clear and convincing evidence that the involuntary administration of psychotropic medication is in the best interests of the patient and that no less intrusive alternative treatment is available."
1. The superior court did not err in its consideration of the best interests factors.
In Myers v. Alaska Psychiatric Institute we drew upon the statutory framework for informed consent to the administration of psychotropic medication to articulate factors that a court must consider in making a best interests determination for the involuntary administration of psychotropic drugs:
(A) an explanation of the patient's diagnosis and prognosis, or their predominant symptoms, with and without the medication;
(B) information about the proposed medication, its purpose, the method of its administration, the recommended ranges of dosages, possible side effects and benefits, ways to treat side effects, and risks of other conditions, such as tardive dyskinesia ;
*935(C) a review of the patient's history, including medication history and previous side effects from medication;
(D) an explanation of interactions with other drugs, including over-the-counter drugs, street drugs, and alcohol; and
(E) information about alternative treatments and their risks, side effects, and benefits, including the risks of nontreatment.[84 ]
We stated that these factors are "crucial in establishing the patient's best interests,"
But Myers also discussed a second set of best interests principles derived from a Minnesota Supreme Court decision:
(1) the extent and duration of changes in behavior patterns and mental activity effected by the treatment;
(2) the risks of adverse side effects;
(3) the experimental nature of the treatment;
(4) its acceptance by the medical community of the state; and
(5) the extent of intrusion into the patient's body and the pain connected with the treatment.[88 ]
We refer to them as the "Minnesota factors"
Naomi concedes that the superior court assessed the petition for involuntary administration of medication according to the mandatory Myers factors. She argues that the court nonetheless erred because In re Gabriel C. requires the court to apply the Minnesota factors to its analysis.
2. The superior court did not err in determining that there was no less intrusive alternative to medication.
In order to administer psychotropic medication without a patient's consent, the State must also show by clear and convincing evidence "that no less intrusive alternative treatment is available."
Naomi argues that our opinion in Bigley obligates the superior court to "weigh the liberty interests of the patient and the feasibility of alternative treatments expressly in its findings" and that it was error not to do so. She cites Bigley 's direction that courts "must balance the fundamental liberty and privacy interests of the patient against the compelling state interest."
Naomi also argues that the evidence considered by the superior court was insufficient to establish that there was no less intrusive alternative to medication. In determining that there existed no less intrusive alternative to forced medication, the court found that "[w]ithout the administration of the medication at issue there would be no improvement but only further decompensation as to [Naomi's] mental functioning." The court heard testimony that Naomi's mental health had worsened during the period in which she refused to take medication. And it credited Dr. Mack's testimony that the medication was needed because Naomi could not benefit from less intrusive alternatives without it: "[A]ll present paradigm psychiatric literature," Dr. Mack testified, "reflects [that medications] are the absolute cornerstone and foundation to success." Naomi correctly observes that "[w]hile the doctor's perspective [on this issue] is relevant, it is not dispositive," but Naomi neither challenged Dr. Mack's perspective at the evidentiary hearing nor proposed any alternatives to medication-feasible or otherwise. The superior court was entitled to rely on Dr. Mack's analysis in reaching its conclusion, and it was not clearly erroneous to find that there was no less intrusive alternative to medication.
V. CONCLUSION
We hold that all appeals from orders for involuntary admission for treatment and involuntary medication categorically fall under the public interest exception to the mootness doctrine. We therefore consider the merits of Linda's and Naomi's appeals. We AFFIRM the superior court's commitment order in Linda's case because the superior court did not clearly err in finding that no feasible less restrictive alternatives to commitment existed. We also AFFIRM the commitment order in Naomi's case because the superior court did not clearly err in finding that Naomi was gravely disabled. And because we discern no error in the superior court's issuance of the medication order in Naomi's case, we AFFIRM the involuntary medication order.
STOWERS, Chief Justice, and CARNEY, Justice. BOLGER, Justice, concurring.
Pseudonyms have been used throughout this opinion to protect the privacy of the parties.
When an involuntary medication petition is filed, the superior court is required to appoint an independent court visitor to assist in investigating whether a patient has capacity to give or withhold informed consent to the administration of psychotropic medication. AS 47.30.839(d).
An advance health care directive could have indicated Naomi's position regarding psychotropic medication. See AS 47.30.839(d)(2).
In re Tracy C. ,
In re Jacob S. ,
156 P.3d at 380-81 (holding appeal of commitment order moot as 30-day commitment period had ended).
See In re Heather R. ,
See In re Joan K. ,
AS 47.30.765 provides: "The respondent has the right to an appeal from an order of involuntary commitment. The court shall inform the respondent of this right."
Ch. 84, § 1, SLA 1981.
156 P.3d at 375-80.
Id. at 380-81.
Id. at 381.
Id. at 598.
Id. at 598-602.
Id. at 598.
Id. at 597.
Id. ("Although Joan's interpretation of the statute as overriding the judicial policy of not deciding moot cases appears overbroad, we do not need to address this argument....").
See In re Mark V. (Mark V. II ),
The outliers are Wetherhorn v. Alaska Psychiatric Institute ,
Thomas v. Anchorage Equal Rights Comm'n ,
Khan v. State ,
Wetherhorn , 156 P.3d at 380-81 (quoting Akpik v. State, Office of Mgmt. & Budget ,
Wetherhorn , 156 P.3d at 375 (quoting Humphrey v. Cady ,
E.P. ,
156 P.3d at 381.
See
Compare Mark V. II ,
See Reid K. ,
Bigley ,
Myers ,
Bigley ,
We agree with the concurrence's disavowal of Mark V. 's limitation of the collateral consequences exception to appeals of a first commitment order; however, we are unpersuaded by its criticism of the public interest exception's categorical application to involuntary admission for treatment appeals. The magnitude of the interest at stake in these cases-the deprivation of liberty-removes them from the concurrence's concern that this exception will be applied to "routine cases."
State v. Carlin ,
Carlin , 249 P.3d at 761-62.
We note that this holding is not limited to the kinds of involuntary commitment and involuntary medication appeals that Naomi and Linda bring here; rather, it covers appeals of any order for involuntary hospitalization or treatment in the mental health context. We have previously applied the public interest exception to at least one other type of involuntary hospitalization appeal: a due process challenge to an order authorizing up to 72 hours' confinement for psychiatric evaluation pursuant to AS 47.30.715. See In re Heather R. ,
The parties in future commitment and medication appeals need not brief the application of the mootness doctrine or its exceptions, and there is no need for parties in superior court proceedings to address collateral consequences for purposes of making a record for appellate review.
Wetherhorn v. Alaska Psychiatric Inst. ,
See Myers v. Alaska Psychiatric Inst. ,
U.S. Const. amend. XIV, § 1 ; Alaska Const. art. I, § 7.
Myers ,
E.P. v. Alaska Psychiatric Inst. ,
See Wetherhorn , 156 P.3d at 376 n.13 ("A person who presents a danger to others is committed under the state's police power. A person who requires care and treatment is committed through exercise of the state's parens patriae power. One who poses a danger to himself is committed under a combination of both powers." (quoting Rust v. State ,
AS 47.30.735(c).
Wetherhorn v. Alaska Psychiatric Inst. ,
In re Stephen O. ,
Wetherhorn , 156 P.3d at 378.
In re Jacob S. ,
Myers v. Alaska Psychiatric Inst. ,
Mark V. II ,
We draw no conclusions and express no opinion on whether this is the case.
Bigley ,
MarkV. II ,
Linda has not challenged the court's finding that the State's interest in protecting the public required placing her in a locked facility with 24/7 care.
Bigley ,
Bigley ,
Bigley ,
Bigley ,
Myers ,
Bigley ,
Cf. Kiva O. v. State, Dep't of Health & Soc. Servs., Office of Children's Servs. ,
Concurrence Opinion
*937I agree with the court's ultimate conclusion that the mootness doctrine does not apply to these cases. But I would reach this conclusion on different grounds. The court's reliance on the public interest exception to the mootness doctrine is misplaced. The court concludes that every commitment case involves important issues that are capable of repetition because "an opinion considering whether a commitment order in one case was supported by sufficient evidence will likely be useful as guidance by analogy to future commitment proceedings."
We decline to address moot controversies because "the very nature of our judicial system renders it incapable of resolving abstract questions or of issuing advisory opinions which can be of any genuine value."
The collateral consequences doctrine, in contrast, "allows courts to decide otherwise-moot cases when a judgment may carry indirect consequences in addition to its direct force."
I disagree with the latter proposition. There is no evidence that a previous commitment order inoculates the respondent from the general consequences of a subsequent commitment; I would not require any additional showing to allow review. We do not require such a showing in the criminal law; instead we decide criminal cases even after defendants complete their sentences because we assume that a criminal judgment always carries collateral consequences.
Supra page 928-29.
In re Gabriel C .,
Moore v. State ,
State v. Keep ,
In re Joan K .,
Id. at 598.
In re Mark V .,
See State v. Carlin ,
See In re Walter R .,
