2. A record obtained by the authority through a subpoena or search warrant.
 
  3. A record prepared by an employer other than an authority, if that record contains information relating to an employee of that employer, unless the employee authorizes the authority to provide access to that information.
  Section 19.32(2g) defines “[r]ecord subject as “an individual about whom personally identifiable information is contained in a record.” Section 19.32(1bg) defines “[e]mployee” as “any individual who is employed by an authority, other than an individual holding local public office or a state public office, or any individual who is employed by an employer other than an authority.” It is not necessary to consider the definitions of local public office and state public office in this opinion. Sec. 19.32(1dm) and (4), Wis. Stats.
  The Wisconsin Supreme Court has summarized the general framework for statutory interpretation:
We assume that the legislature’s intent is expressed in the statutory language. . . . Thus . . . statutory interpretation begins with the language of the statute. If the meaning of the statute is plain, we ordinarily stop the inquiry. Statutory language is given its common, ordinary, and accepted meaning, except that technical or specially-defined words or phrases are given their technical or special definitional meaning. Context is important to meaning. So, too, is the structure of the statute in which the operative language appears. Therefore, statutory language is interpreted in the context in which it is used; not in isolation but as part of a whole; in relation to the language of surrounding or closely-related statutes; and reasonably, to avoid absurd or unreasonable results. Statutory language is read where possible to give reasonable effect to every word, in order to avoid surplusage. If this process of analysis yields a plain, clear statutory meaning, then there is no ambiguity, and the statute is applied according to this ascertainment of its meaning.
State ex rel. Kalal v. Circuit Court, 2004 WI 58, ¶¶ 44-46, 271 Wis. 2d 633, 681 N.W.2d 110 (citations, quotations marks and paragraph breaks omitted).
  Applying these directions, it is clear that section 19.356(1) states the general rule: no record subject is entitled to notice or judicial review prior to release of a record pertaining to that record subject except as specifically provided. Subsections (2)(a)1., 2. and 3. require notification, but only when an authority proposes to release certain records.
  Subsection (2)(a)2. is unambiguous. If DCI has obtained a record through a subpoena or a search warrant, DCI must provide the requisite notice before releasing the records. The duty to notify, however, does not require notice to every record subject who happens to be named in the subpoena or search warrant records. Under subsection (2)(a), DCI must serve written notice of the decision to release the record to “any record subject to whom the record pertains.” Similarly, subsection (1) limits the duty to notify a record subject to situations when an authority is “providing to a requestor access to a record containing information pertaining to that record subject.” The limiting phrases “pertaining to that record subject” and “to whom the record pertains” evidence a clear legislative intent to limit the universe of individuals who must be notified, because the general definition of record subject in section 19.32(2g), without the limiting phrases, would clearly require notification to any “individual about whom personally identifiable information is contained in a record.” If the Legislature had intended that notice be given to any individual about whom the record contained personally identifiable information, it would not have limited the general definition of record subject by requiring that the record “pertain” to a record subject.
  Making the notice provisions apply to any individual mentioned in records obtained by subpoena or search warrant would make the limiting language of section 19.356(1) and (2)(a) surplusage, a result to be avoided. The duty to notify requires notice only to the record subject to whom the record proposed to be released pertains, for example, the person named in a subpoena or the person whose residence is the object of a search warrant. A record may “pertain” to more than one individual, but the mere fact that the record contains personally identifiable information about an individual, for example, the individual’s name, does not mean that individual is entitled to be notified that the record is proposed to be released.
  Subsection (2)(a)3. requires that DCI provide notice if it is going to release a record prepared by an employer other than an authority, that is a private sector employer, if the record contains information relating to an employee of that employer, unless the employee authorizes access to the information. At first, subsection (2)(a)3. appears to be unambiguous; an authority may not release a record prepared by a private sector employer if the record contains information relating to an employee of that employer, unless the employee authorizes the release. The subsection on its face allows the private sector employee to veto the release of the information. But subsection (2)(a)1. appears to authorize an authority to release information relating to employment related matters of both public and private sector employees after providing the requisite notice. Ambiguity can be created by the interaction of two statutes. Marquardt v. Milwaukee County, 2000 WI App 77, ¶ 12, 234 Wis. 2d 294, 610 N.W.2d 496. Subsections 19.356(2)(a)3., and (2)(a)1. are rendered ambiguous because of their interaction. Because the two subsections are ambiguous, the statute’s legislative history, as well as its scope, context and purpose, may be consulted when attempting to properly interpret the statute. Kalal, 271 Wis. 2d 633, ¶¶ 47-48.
  Section 19.356 was created by 2003 Wisconsin Act 47. That Act was recommended by the Joint Legislative Council’s Special Committee on Review of the Open Records Law (“Committee”). A search of the Committee’s materials on file at the Legislative Reference Bureau reveals that the exact language of subsection 19.356(2)(a)3. was inserted in the legislation at the request of the Wisconsin Manufacturers and Commerce Association (“Association”) representative. (James Buchen letter of December 9, 2002.) In that letter, the Association expressed its concern that without the amendment, the legislation would treat private and public employees identically, despite the fact that public employees expect to be subject to greater public scrutiny. The letter also notes that the private employee’s employment relationship is with a private employer, not the government. Furthermore, a company or contractor, not the individual private employee, enters into an employment relationship with the governmental entity. The letter also expressed concern that without the amendment, private employers were being asked to surrender the privacy rights of their employees whenever the employer chose to contract with a governmental entity.
  The letter from the Association was presented to the Committee at the Committee’s last meeting. The Committee subsequently voted to propose the legislation by mail ballot. The Staff Memorandum sent to the Committee with the mail ballot describes the legislation as providing that a private sector employee would be entitled to “notice and appeal rights regarding a record naming that employee, except that the name and other personally identifiable information relating to an employee of a prevailing wage employer will be closed to public access.” Wisconsin Legislative Council Staff Memo No. 2 (Jan. 15, 2003), at 2 (emphasis supplied).
  There is no doubt that the Staff Memorandum does not accurately describe the effect of section 19.356(2)(a)3.; it also does not discuss the interaction between that subsection and subsection (2)(a)1. Because the language of subsection (2)(a)3. is on its face unambiguous, and because it was added for the specific and stated purpose of providing greater rights to private sector employees, I must conclude that to the extent there is any conflict between subsection (2)(a)3. and subsection (2)(a)1., subsection (2)(a)3. trumps subsection (2)(a)1. I realize this conclusion makes part of the private sector employee notification provisions of subsection (2)(a)1. surplusage, but the conclusion seems inescapable.
  To the extent any of the requested records you propose to release are records prepared by a private employer and those records contain information pertaining to one of that employer’s employees, you should not release the information without obtaining authorization from the individual employee.
  Subsection 19.356(2)(a)1. requires an authority to provide notice if it proposes to release a record containing information relating to an employee that is created or kept by the authority and that is the result of an investigation into a disciplinary matter involving the employee or a possible employment-related violation by the employee of a statute, ordinance, rule, regulation or policy of the employee’s employer. Because the subsection refers to records that are “created or kept” by the authority, the statute includes within its ambit not only an authority’s records of its employees, but also the covered records of someone who is not an employee of the authority. Because section 19.32(1)(bg) includes within the definition of “employee” “any individual who is employed by an authority . . . or any individual who is employed by an employer other than an authority,” an authority must provide whatever notice is required whenever it proposes to release records covered under this subsection of employees, public or private. As noted above, to the extent the records involve records prepared by a private sector employer and contain information relating to an employee of that private employer, the private employee may veto release of the records.
  Subsection (2)(a)1. refers to records that are the result of an investigation into either a disciplinary matter involving the employee or possible employment-related violation by the employee of a statute, ordinance, rule, regulation or policy of the employee’s employer. Although records of a disciplinary matter involving an employee would ordinarily be understood as records created by the employee’s employer, the statute can be read as requiring the notice when there has been an investigation of possible employment-related violation by the employee and the investigation is conducted by some entity other than the employee’s employer. To the extent subsection (2)(a)1. can be read as including records relating to an employee that are the result of an investigation by someone other than the employee’s employer, the statute is ambiguous. See Kalal, 271 Wis. 2d 633, ¶ 47 (a statute is ambiguous if its language reasonably gives rise to different meanings).
  As noted earlier, section 19.356 was created by 2003 Wisconsin Act 47. According to the Committee’s prefatory note, the Committee was directed to review the Wisconsin Supreme Court decisions in Woznicki v. Erickson, 202 Wis. 2d 178, 549 N.W.2d 699 (1996) and Teachers’ Ed. Ass’n v. Bd. of Sch. Directors, 227 Wis. 2d 779, 596 N.W.2d 403 (1999). In Woznicki, the Wisconsin Supreme Court held that a school district employee had the right to judicial review of a district attorney’s decision to release records concerning that employee and, consequently, the employee was entitled to notice of the district attorney’s decision to release the records. In Klein v. Wisconsin Resource Center, 218 Wis. 2d 487, 582 N.W.2d 44 (Ct. App. 1998), the court of appeals expanded the holding in Woznicki, holding that when access is sought under the public records law to any records which pertain to an individual, the individual has the right to notification if the record custodian agrees to release the information and the right to seek a circuit court review of that decision. Klein, 218 Wis. 2d at 494. In the Milwaukee Teachers case, the Supreme Court formally extended to any public employee the right to notice about, and judicial review of, a custodian’s decision to release personnel information implicating the privacy or reputational interest of the individual public employee.
  The Committee’s prefatory note comments:
Further, the logical extension of these opinions is that the right to notice and the right to judicial review may extend to any record subject, regardless of whether the record subject is a public employee.
  This bill partially codifies Woznicki and Milwaukee Teachers’. In general, the bill applies the rights afforded by Woznicki and Milwaukee Teachers’ only to a defined set of records pertaining to employees residing in Wisconsin. As an overall construct, records relating to employees under the bill can be placed in the following three categories:
  . . . .
  2. Employee-related records that may be released under the balancing test only after a notice of impending release and the right of judicial review have been provided to the employee record subject.
2003 Wisconsin Act 47, Joint Legislative Council Prefatory Note (underlining added).
  The Committee’s Report to the Legislature on the bill drafts is even more specific: it describes the bills as requiring notice when an authority decides to release a record containing information about:
    A public sector or private sector employee disciplinary matter, following an   investigation.
    A private sector employee, unless the private sector employee authorizes the   public body to provide access to that information.
  Any person, when the information is obtained through a subpoena or search.
Wisconsin Legislative Council Report to the Legislature, Special Committee on Review of the Open Records Law, RL 2003-01 (Mar. 25, 2003), at 3.
  In its first substantive meeting, the Committee discussed an initial “draft” bill that was really a compilation of three different bills that had been considered but not passed during the previous Legislature. At that meeting, the Committee selected a version of subsection (2) that contained an exception to the notice provision of subsection (2)(a) that provided:
  (d) Paragraph (a) does not apply to an investigation by an authority who or which is charged with the responsibility to enforce a law, ordinance, rule, or regulation that is applicable to individuals other than officers or employees of the authority or persons under contract with the authority unless the investigation involves an officer or employee of the authority or a person under contract with the authority.
WLC: 0276/1, sec. 3, at 6; Committee Minutes (Sept. 23, 2002), at 2.
  At the following Committee meeting, November 18, 2002, the Committee deleted the exception. One could conclude, therefore, that it was the Committee’s intention that records of that kind of investigation, investigations by entities other than the employee’s employer, be subject to the notice requirement. But the Committee minutes never explain or comment upon the deletion. If the Committee made a public policy choice, it did not explain that choice. Similarly, if the Committee thought the provision was unnecessary, it did not explain that reasoning. What was not included in the final legislation is of little assistance in interpreting the final legislation when the deletions are made without explanation or comment.
  Interpreting subsection (2)(a)1. as requiring notification not only when an authority proposes to release employment-related records prepared by an employee’s employer, but also records prepared by other entities, would be contrary to the Committee’s stated goal of limiting the scope of required notification under Woznicki and its progeny. That interpretation would also lead to anomalous results: for example, if a law enforcement agency conducted an investigation into whether a private sector employee stole from his employer, the employee would be entitled to notice before the law enforcement agency released the records, but the law enforcement agency could release records of an investigation into whether the same individual committed a sexual assault without providing notice if the sexual assault was not employment related. Furthermore, that interpretation of the statute would mean that the law enforcement agency could not release records of an investigation for any job-related infraction alleged to have been committed by any public employee without first providing notice to the employee and allowing the employee to challenge the release of the records. Interpreting this subsection as requiring notification before releasing records of law enforcement investigation of employment-related violations would also mean that a municipal employee who stole from his employer would be entitled to notification and could challenge the release of the police records of that investigation but, if the same individual stole from an organization in which he was a volunteer, the police investigative records could be released without notification. An arrest record of a private sector employee arrested for an offense involving his or her employment could not be released without notifying the individual. That result is directly contrary to the holding of Newspapers, Inc. v. Breier, 89 Wis. 2d 417, 279 N.W.2d 179 (1979), in which the Wisconsin Supreme Court held that arrest records are available to the press and public “at any time when the custodian’s office is open for business and the ‘arrest list’ or the police ‘blotter’ is not actually being used for the making of entries therein.” Breier, 89 Wis. 2d at 440.
  I am unwilling to conclude that the Committee and the Legislature would so radically change not only Wisconsin’s public records statutes, but also Wisconsin’s common law involving police records, without any report of the discussion or reasons for the change. Subsection (2)(a)1. therefore must be interpreted as requiring notification when an authority proposes to release records in its possession that are the result of an investigation by an employer into a disciplinary or other employment matter involving an employee. This interpretation of subsection (2)(a)1. is consistent with section 19.36(10)(b) which prohibits an authority from releasing “[i]nformation relating to the current investigation of a possible criminal offense or possible misconduct connected with employment by an employee prior to disposition of the investigation.” That statute clearly focuses on records connected with employment. Both sections 19.356(2)(a)1. and 19.36(10) were created by 2003 Wisconsin Act 47. Reading the statutes together leads to the conclusion that the required notice to a record subject under section 19.356(2)(a)1. is restricted to an authority proposing to release records that are the result of an investigation into disciplinary matters or possible misconduct connected with employment created by the employer. As noted earlier, the notification need only be provided to the record subject to whom the record pertains. That an individual merely is named in the record is not sufficient to trigger the notification requirement.
  Section 19.356(9)(a) requires an authority to provide notice “to a record subject who is an officer or employee of the authority holding a local public office or a state public office[.]” Under subsection (9)(a), an authority need provide the requisite notice only to public officers who are employed by the authority releasing the records. Subsection (9)(a), however, does not restrict the duty to notify to the class of records listed in subsection (2)(a); it requires notice when any records are going to be released.[2]
  To summarize, if you propose to release a record that contains information pertaining to a private sector employee and the record was prepared by the employee’s employer, you must provide the employee notice of your intent to release the record and may not release the record unless the employee authorizes the release. If any of the records you propose to release are records obtained by DCI through a subpoena or search warrant, you must provide the requisite notice to the person to whom the record pertains. Finally, if any of the records you propose to release contain information relating to an investigation by an employer into a disciplinary matter or possible employment-related violation by an employee of that employer, you must provide the requisite notice to the record subject to whom the record pertains.
  This analysis applies only to notice provisions of the public records law, as amended, and does not alleviate any obligation to conduct a balancing test or otherwise comply with additional provisions of the public records law.
            Very truly yours,
            Peggy A. Lautenschlager
            Attorney General
PAL:AL:lkw
CAPTION: Section 19.356(1) and (2) of the Wisconsin Statutes discussed.
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060417005
1
  Section 19.32(1) provides:
 
  “Authority” means any of the following having custody of a record: a state or local office, elected official, agency, board, commission, committee, council, department or public body corporate and politic created by constitution, law, ordinance, rule or order; a governmental or quasi-governmental corporation except for the Bradley center sports and entertainment corporation; a local exposition district under subch. II of ch. 229; a family care district under s. 46.2895; any court of law; the assembly or senate; a nonprofit corporation which receives more than 50% of its funds from a county or a municipality, as defined in s. 59.001(3), and which provides services related to public health or safety to the county or municipality; a nonprofit corporation operating the Olympic ice training center under s. 42.11(3); or a formally constituted subunit of any of the foregoing.
2
  I note that 2003 Wisconsin Act 47 also amended section 19.34(1), the statute which requires an authority to post its public record information. The legislation added the sentence “The notice shall also separately identify each position of the authority that constitutes a local public office or a state public office.” That language seems to be more restrictive than the language in section 19.356(9)(a) which on its face requires notification concerning the records of anyone who is an officer or employee of the authority holding a local public office or a state public office, without any limitation on whether the public or state office is a “position of the authority.” Read together, these two statutes would seem to indicate that the duty to notify under subsection (9)(a) refers to officers who are officers of the authority itself, not also officers who happen to hold a public or state office unrelated to the authority. Resolution of that issue, however, is not necessary in this opinion.
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