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      "RONALD NOWAK, Appellee, v. ST. RITA HIGH SCHOOL, Appellant."
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        "text": "CHIEF JUSTICE HARRISON\ndelivered the opinion of the court:\nPlaintiff, Ronald Nowak, filed this action against the defendant, St. Rita High School, seeking recovery on the bases of promissory estoppel and breach of contract for defendant\u2019s alleged violation of established salary policies and for improper termination of plaintiffs employment contract as a tenured teacher. Plaintiffs complaint, as amended, consisted of four counts. Counts I and IV alleged that defendant had breached the salary and tenure provisions of plaintiffs written employment contract. Counts II and III, sounding in contract and promissory estoppel, respectively, asserted claims for breach of an alleged policy whereby defendant paid a portion of the salary of a teacher on medical leave, i.e., the difference between the teacher\u2019s full salary arid that paid to a substitute. The circuit court of Cook County dismissed counts I and IV with prejudice and entered summary judgment for defendant on counts II and III. Plaintiff appealed.\nThe appellate court affirmed the entry of summary judgment on counts II and III, as well as the dismissal of count I with prejudice. However, the court reversed the dismissal of count FV and remanded the cause for further proceedings thereon. No. 1 \u2014 99\u20142591 (order under Supreme Court Rule 23). We allowed the defendant\u2019s petition for leave to appeal (177 Ill. 2d R. 315(a)), and we now affirm the judgment of the appellate court. We set forth hereafter the facts pertinent to our disposition.\nPlaintiff began teaching full time at St. Rita in 1965. Beginning in December 1990, plaintiff experienced severe health problems. Plaintiff was absent from St. Rita between December 29, 1990, and approximately April 1, 1991, because he was hospitalized for quadruple coronary bypass surgery and a subsequent infection. Plaintiff missed the final eight days of the academic year in May 1991 because of an infection in his right leg. As a result of these hospitalizations, plaintiff missed 65 \u00a12 regular school days and three examination days at the end of the school year.\nOn September 9, 1992, five days after the start of the 1992-93 academic year, plaintiff was taken to the hospital after he experienced back problems that prevented him from standing erect. He subsequently underwent surgery to stabilize his spine. On September 29, 1992, plaintiff was transferred to a rehabilitation center until his discharge on December 3, 1992.\nDuring plaintiffs absence, defendant hired a substitute teacher, maintained plaintiffs medical insurance, and continued to pay him a partial salary, representing the difference between plaintiffs salary and the salary paid to the substitute teacher.\nIn March of 1993, plaintiff attempted to return to work at St. Rita. Plaintiff and his therapists met with Joseph Bamberger, assistant principal at St. Rita, to discuss the accommodations necessary to facilitate plaintiffs return to the classroom. As a result of that meeting, defendant made the following accommodations: (1) plaintiff was assigned a classroom in close proximity to the faculty lounge and rest rooms; (2) plaintiff was assigned a room with elevated seating so he could observe and better control his class while he remained seated; (3) plaintiff was assigned a parking space in close proximity to his classroom; and (4) plaintiff was allowed to teach half days, and defendant agreed to provide a substitute teacher for the classes he did not teach. For four days, between March 15 and March 18, 1993, plaintiff was able to fulfill his responsibility of teaching half days. However, on March 24, 1993, plaintiff experienced severe swelling in his joints, including ankles, knees, elbows and hands. This swelling rendered plaintiff unable to stand, walk, or grasp.\nOn March 24, 1993, plaintiff was readmitted to the hospital, where he remained until June 21, 1993. During this hospital stay, plaintiff underwent operations on both of his hands and had an above-the-knee amputation of his left leg. While hospitalized, an application was submitted by or on behalf of plaintiff to the Social Security Administration (SSA) for social security disability benefits, and plaintiff thereafter spoke with an SSA representative to discuss the application for benefits. Subsequently, plaintiff was transferred to another treatment facility for additional physical therapy. On July 28, 1993, plaintiff was moved to a nursing home until his discharge to his home on October 1, 1993, where he received an additional five months of in-home therapy. In November of 1993, the SSA determined that plaintiff was disabled and he began receiving disability benefits retroactive to September 15, 1992, the date of his initial disability. Between March of 1993 and the late spring or early summer of 1994, Bamberger met with plaintiff on several occasions, attempting to ascertain when plaintiff would be able to resum\u00e9 his teaching duties. At the beginning of the 1993-94 academic year, defendant discontinued payment of plaintiffs salary differential. At that time, plaintiff did not advise defendant that he intended to return to the classroom, nor did he formally request a leave of absence.\nOn October 7, 1994, defendant informed plaintiff that his employment was terminated due to his extended illness and ongoing inability to fulfill his teaching responsibilities. Defendant continued to provide plaintiff with medical benefits until March 1995.\nFollowing his termination, plaintiff filed a timely charge of employment discrimination with the Equal Employment Opportunity Commission (EEOC). The EEOC issued a right-to-sue letter on June 26, 1995. Plaintiff filed a federal action on August 9, 1995. In that action, plaintiff sought recovery for violation of the Americans with Disabilities Act of 1990 (ADA) (42 U.S.C. \u00a7 12101 et seq. (1994 & Supp. 1997)) and also asserted a supplemental, or pendent, state claim for breach of his employment contract. As the district court determined, in order for plaintiff to prevail on his ADA claim, he was required to prove that he was a \u201cqualified individual with a disability,\u201d i.e., at the time of St. Rita\u2019s decision to discharge him, he possessed the necessary skills to perform his job and he was willing and able to demonstrate those skills by coming to work on a regular basis. The district court found plaintiffs \u201cfailure to appear at work for nearly eighteen months before his discharge and his receipt of Social Security disability payments *** indicate conclusively *** that he is not a \u2018qualified individual\u2019 under the ADA.\u201d Consequently, the district court granted summary judgment in favor of defendant as to the ADA claim and, exercising its statutory discretion (see 28 U.S.C. \u00a7 1367(c)(3) (1994)), \u201cdecline[d] to assert jurisdiction\u201d over the pendent state claim, dismissing it \u201cfor lack of jurisdiction.\u201d Plaintiff appealed.\nThe Seventh Circuit Court of Appeals affirmed the district court\u2019s grant of summary judgment on the ADA claim, the \u201csole issue\u201d before the court. Nowak v. St. Rita High School, 142 F.3d 999, 1002 (7th Cir. 1998). Noting the district court\u2019s ruling that plaintiff had \u201cfailed to provide any evidence, medical or otherwise, that on October 7, 1994, he was able to perform the essential functions of his position as a teacher at St. Rita\u201d (Nowak, 142 F.3d at 1003), the court of appeals reviewed the facts and reached the same conclusion:\n\u201cThe undisputed facts show that Nowak was unable to perform an essential function \u2014 regular attendance\u2014 required of a teacher at St. Rita. Prior to his termination, \u2022 Nowak was absent from his teaching position for more than eighteen months. During his absence from St. Rita, Nowak received SSI Benefits for more than sixteen months and apparently still receives them today. In order to receive this benefit, Nowak certified to the SSA that he was unable to perform the duties of his job. Nowak continues to receive SSI Benefits and has not notified the SSA that he is able to return to work. At no time, during the more than eighteen months Nowak was absent from his teaching position, did he contact St. Rita administrators to inform them that it was his intention to return to his teaching duties.\u201d Nowak, 142 F.3d at 1003-04.\nAnswering plaintiffs averment that he told Bamberger on the day of his termination he was ready to return to work, and that his medical records substantiated his assertion that he could function as a teacher, the court responded that plaintiff \u201cmust prove that at the time of St. Rita\u2019s decision to discharge him, he possessed the necessary skills to perform his job and that he was willing and able to demonstrate these skills by coming to work on a regular basis. *** He fails *** to point to anything in [the] medical records indicating he was capable or willing to come to work on a regular basis prior to the termination decision.\u201d (Emphases added.) Nowak, 142 F.3d at 1003. The court of appeals concluded its analysis by citing cases in support of its disposition, holding, respectively, that the ADA does not protect an employee from being fired because of illness (Christian v. St. Anthony Medical Center, Inc., 117 F.3d 1051, 1053 (7th Cir. 1997)) and that an employee who cannot attend work is not a \u201cqualified individual with a disability\u201d under the ADA (Rogers v. International Marine Terminals, Inc., 87 F.3d 755, 759 (5th Cir. 1996). Nowak, 142 F.3d at 1004.\nAs stated hereinabove, after his state claim was dismissed in the federal district court for \u201clack of jurisdiction,\u201d plaintiff filed the instant action in the circuit court of Cook County. The circuit court ultimately dismissed counts I and IV of plaintiff\u2019s amended complaint with prejudice pursuant to defendant\u2019s section 2 \u2014 619 motion (735 ILCS 5/2 \u2014 619 (West 1998)) and entered summary judgment for defendant on counts II and III.\nIn the ensuing appeal, the appellate court affirmed the judgment of the circuit court, except with respect to count IV of plaintiffs complaint. As to that count, the appellate court reversed the circuit court\u2019s dismissal and remanded for further proceedings. Count IV alleged that defendant had breached the tenure provisions of the parties\u2019 written employment contract by failing to comply with the procedures mandated for removal of a teacher from tenure.\nThe tenure provisions of the contract provide that a teacher cannot be removed from tenure until he has received written notice and has been afforded three formal conferences. Conferences must be at least one month apart, and the teacher is to be given written notice for each conference. If an initial conference fails to result in \u201csufficient improvement,\u201d or \u201cif matters need further clarification,\u201d second and third conferences are required before the matter can be submitted to a tenure board for final disposition. At the final hearing before the board, the teacher must be afforded certain procedural safeguards, such as the right \u201cto present his case, to bring an advisor with him, and to present witnesses on his behalf.\u201d The teacher also has the right to cross-examine witnesses against him. At the conclusion of the hearing, the board may consider removal of a teacher \u201cif he does not significantly aid the school in furthering its goals.\u201d A decision must be rendered within one month, and a teacher cannot be removed from tenure unless seven of the nine board members agree that removal is the appropriate disposition.\nThe appellate court determined the language of the tenure provisions in the parties\u2019 contract was \u201ca clear and unambiguous expression of the parties\u2019 intent\u201d and \u201cobligated defendant to comply with the notice and hearing provisions contained therein.\u201d The court held plaintiff had \u201caffirmatively alleged that defendant had failed to give [him] the written notices and hearings which are mandated by the tenure policy\u201d and, for purposes of the defendant\u2019s motion to dismiss, those allegations must be accepted as true. While the appellate court acknowledged informal contacts between the parties during plaintiff\u2019s prolonged illness, the court found those contacts \u201cmanifestly insufficient to constitute compliance\u201d with the contract\u2019s tenure provisions. Thus, the pleadings before the trial court established a genuine issue of material fact which precluded dismissal of count IV The appellate court rejected defendant\u2019s contention that the doctrine of res judicata barred plaintiff from raising his tenure claim in state court, finding that plaintiff had asserted his state claim in the federal action, unlike the plaintiff in River Park, Inc. v. City of Highland Park, 184 Ill. 2d 290 (1998), upon which defendant relied, and that the dismissal of plaintiffs breach of contract claim in federal court \u201csolely upon a decision not to exercise supplemental jurisdiction\u201d was not \u201ca determination on the merits\u201d for purposes of res judicata.\nWe review de novo the granting of a section 2 \u2014 619 motion to dismiss. Parks v. Kownacki, 193 Ill. 2d 164, 175 (2000). Where, as here, a cause of action is dismissed pursuant to a section 2 \u2014 619 motion, the questions on appeal are whether a genuine issue of material fact exists and whether the defendant is entitled to a judgment as a matter of law. Wright v. City of Danville, 174 Ill. 2d 391, 398-99 (1996).\nDefendant now argues that the doctrines of res judicata and collateral estoppel bar assertion of plaintiffs contract tenure claim. Defendant also contends that plaintiffs conduct amounted to abandonment of his tenure rights under the contract. We find no merit in these contentions.\nA prior judgment may have preclusive effects in a subsequent action under both res judicata and collateral estoppel. The doctrine of res judicata provides that a final judgment rendered by a court of competent jurisdiction on the merits is conclusive as to the rights of the parties and their privies, and, as to them, constitutes an absolute bar to a subsequent action involving the same claim, demand or cause of action. When res judicata is established as a bar against the prosecution of a second action between the same parties upon the same claim or demand it is conclusive not only as to every matter which was offered to sustain or defeat the claim or demand, but as to any other matter which might have been offered for that purpose. Housing Authority v. Young Men\u2019s Christian Ass\u2019n, 101 Ill. 2d 246, 251-52 (1984).\nThe doctrine of collateral estoppel applies when a party, or someone in privity with a party, participates in two separate and consecutive cases arising on different causes of action and some controlling fact or question material to the determination of both causes has been adjudicated against that party in the former suit by a court of competent jurisdiction. The adjudication of the fact or question in the first cause will, if properly presented, be conclusive of the same question in the later suit, but the judgment in the first suit operates as an estoppel only as to the point or question actually litigated and determined and not as to other matters which might have been litigated and determined. Young Men\u2019s Christian Ass\u2019n, 101 Ill. 2d at 252.\nFor the doctrine of res judicata to apply, the following three requirements must be satisfied: (1) there was a final judgment on the merits rendered by a court of competent jurisdiction, (2) there is an identity of cause of action, and (3) there is an identity of parties or their privies. River Park, Inc. v. City of Highland Park, 184 Ill. 2d 290, 302 (1998). Under Illinois law, the dismissal of a complaint for failure to state a claim is an adjudication on the merits, while the dismissal of a complaint for lack of subject matter jurisdiction is not considered a decision on the merits of the complaint. River Park, 184 Ill. 2d at 303. Res judicata will not be applied where it would be fundamentally unfair to do so. Altair Corp. v. Grand Premier Trust & Investment, Inc., 318 Ill. App. 3d 57, 62-63 (2000); Weisman v. Schiller, Ducanto & Fleck, 314 Ill. App. 3d 577, 581 (2000).\nThe minimum threshold requirements for the application of collateral estoppel are: (1) the issue decided in the prior adjudication is identical with the one presented in the suit in question, (2) there was a final judgment on the merits in the prior adjudication, and (3) the party against whom estoppel is asserted was a party or in privity with a party to the prior adjudication. Du Page Forklift Service, Inc. v. Material Handling Services, Inc., 195 Ill. 2d 71, 77 (2001); American Family Mutual Insurance Co. v. Savickas, 193 Ill. 2d 378, 387 (2000); Talarico v. Dunlap, 177 Ill. 2d 185, 191 (1997). Application of the doctrine of collateral estoppel must be narrowly tailored to fit the precise facts and issues that were clearly determined in the prior judgment. Kessinger v. Grefco, Inc., 173 Ill. 2d 447, 467 (1996).\nCollateral estoppel is an equitable doctrine. Du Page Forklift Service, 195 Ill. 2d at 77. Even where the threshold elements of the doctrine are satisfied, collateral estoppel must not be applied to preclude parties from presenting their claims or defenses unless it is clear that no unfairness results to the party being estopped. Savickas, 193 Ill. 2d at 388; Talarico, 177 Ill. 2d at 191-92. In deciding whether the doctrine of collateral estoppel is applicable in a particular situation, a court must balance the need to limit litigation against the right of a fair adversary proceeding in which a party may fully present his case. In determining whether a party has had a full and fair opportunity to litigate an issue in a prior action, those elements which comprise the practical realities of litigation must be examined. Talarico, 177 Ill. 2d at 192.\nWe address first defendant\u2019s contention that res judicata bars count IV of plaintiffs amended complaint and defendant\u2019s reliance upon our decision in River Park in support of that argument.\nIn River Park, plaintiff initially filed a federal civil rights action pursuant to section 1983 (42 U.S.C. \u00a7 1983 (1994)) and failed to assert therein claims for abuse of governmental power and breach of contract, claims which plaintiff thereafter sought to raise in state court. We held that the circuit court had properly dismissed the subsequently asserted state claims under the doctrine of res judicata. Employing the \u201ctransactional\u201d test, we found identity of cause of action and thus determined that the state claims were barred because plaintiff had not asserted them in the federal action. River Park, 184 Ill. 2d at 313-14. The transactional test provides that the assertion of different kinds or theories of relief still constitutes a single cause of action for purposes of res judicata if a single group of operative facts gives rise to the assertion of relief. River Park, 184 Ill. 2d at 307. Because plaintiff was required to assert all of its related claims in the federal action, and failed to do so, and because the dismissal of the federal action constituted an adjudication on the merits for purposes of Supreme Court Rule 273 (134 Ill. 2d R. 273), we found that the doctrine of res judicata had been properly applied by the circuit court to bar the subsequent assertion of claims that should have been raised in the federal action.\nIn this case, plaintiff asserted his contract tenure claim in the federal action, as required by the transactional test, only to have his claim dismissed by the district court \u201cfor lack of jurisdiction\u201d after an adverse decision on his ADA claim. Whether that dismissal was discretionary or otherwise is beside the point; it was a dismissal for lack of jurisdiction. There was no adjudication of the merits on that claim despite plaintiffs proper and timely assertion of the claim. With respect to that timely asserted claim, plaintiff did not get his day in court and, therefore, res judicata does not apply.\nDefendant argues that the claim nonetheless arose from a single transaction and thus an adjudication on plaintiffs ADA claim constitutes an adjudication of both as far as application of the doctrine of res judicata is concerned. Such a contention is neither consistent with notions of fairness nor supported by controlling authority.\nAlthough the claims in question may be initially regarded as a single cause of action for application of res judicata, subsequent events may alter their status. For example, res judicata does not apply to bar an independent claim of part of the same cause of action if the court in the first action expressly reserves the plaintiffs right to maintain the second action or the plaintiff is unable to obtain relief on his claim because of a restriction of the subject-matter jurisdiction of the court in the first action. Airtite v. DPR Ltd. Partnership, 265 Ill. App. 3d 214, 219 (1994); Restatement (Second) of Judgments \u00a7 26(1) (1982).\nIn River Park, we found it significant that plaintiff did not raise claims that \u201ccould have been\u201d asserted in federal court and that the federal court might have exercised supplemental jurisdiction over those claims. River Park, 184 Ill. 2d at 317-18. Had plaintiff in that case asserted all of its claims in the federal action, the worst case scenario for plaintiff would have entailed a dismissal of certain claims by the federal court for lack of federal jurisdiction. Plaintiff could then have properly pursued its claims in state court. Because plaintiff in River Park \u201ccould have raised\u201d its various claims in the federal court in the first instance, but did not, an adjudication of the claim that was raised acted as a bar to the subsequent assertion of claims not raised in the federal proceeding. The result in River Park is consistent with the purpose of res judicata, i.e., to promote judicial economy by requiring parties to litigate, in one case, all rights arising out of the same set of operative facts. River Park, 184 Ill. 2d at 319. Moreover, there is no unfairness to plaintiff: the federal court either addresses the merits of plaintiffs claims or it exercises its discretion and declines jurisdiction over pendent claims, in which case they can be pursued in state court.\nThe facts of the instant case place it squarely within the exceptions to the application of res judicata as set forth in the Restatement (Second) of Judgments \u00a7 26(1) (1982), and in Airtite, both of which were cited by this court in River Park. By declining jurisdiction over the plaintiffs pendent state claim, dismissing it for lack of jurisdiction, the district court in effect reserved plaintiffs right to pursue the matter in state court. The doctrine of res judicata need not be applied in a manner inconsistent with fundamental fairness. People v. Somerville, 42 Ill. 2d 1, 4 (1969); Airtite, 269 Ill. App. 3d at 219. The doctrine does not apply in this case.\nDefendant\u2019s argument for the application of collateral estoppel is no more persuasive. Defendant\u2019s collateral estoppel argument must fail because the issues are not identical, as required for application of that doctrine. See Talarico, 177 Ill. 2d at 191 (the issue decided in the prior adjudication must be identical to the one presented in the suit in question). We cannot agree with defendant\u2019s suggestion that the issues decided by the federal court in its resolution of the ADA matter are the same as those pertinent to plaintiffs contract tenure claim.\nAgain and again, the court of appeals referred to the relevant time for ADA analysis as \u201cprior to\u201d and \u201cthe time of [plaintiffs] termination.\u201d Nowak, 142 F.3d at 1003-04. The framework and focus of ADA analysis is essentially retrospective. As the court of appeals noted, in order for plaintiff to succeed on his ADA claim, he was required to prove, inter alia, \u201cthat on October 7, 1994 [the date of his termination], he possessed the necessary skills to perform his job, and that he was willing and able to demonstrate these skills by coming to work on a regular basis.\u201d (Emphases added.) Nowak, 142 F.3d at 1003. The critical date for purposes of the ADA inquiry was the date of termination. In view of his extended illness and prolonged absence, plaintiff\u2019s inability to perform his job on the date of termination meant that the ADA afforded him no protection.\nThat determination has nothing to do with the independent protection to which plaintiff was entitled by reason of tenure provisions in the parties\u2019 contract. The focus of the tenure resolution procedure, to which plaintiff would seem to be entitled by contract, is at the outset prospective and remedial. The clear objectives of that procedure are, initially, to impress upon an errant teacher the gravity of his situation and to attempt to rectify unacceptable conditions or behavior. The three required conferences serve both as a series of formal warnings and a practical means to resolve problems between parties of long-standing association. Only after the initial remedial efforts prove unsuccessful is a hearing held to determine the teacher\u2019s fate. Even then, removal from tenure requires the consensus of seven members of the tenure board, rather than the edict of one. If we were to accept the defendant\u2019s argument, we would in effect be condoning the defendant\u2019s disregard of the very tenure apparatus which the parties had established to protect their respective rights and interests. The fact that plaintiff had not proven himself able to come to work on a regular basis is not identical to the questions of whether defendant had accorded plaintiff his rights under the parties\u2019 contract and whether he could, in the months coinciding with the remedial tenure conferences, rectify his attendance problems. A finding that plaintiff was unable to perform on October 7, 1994, does not necessarily mean that he could not, after he was afforded his rights under the remedial provisions of the tenure resolution procedure, \u201csignificantly aid the school in furthering its goals\u201d in the future. Because the issues are not identical, collateral estoppel does not bar assertion of the claim set forth in count IV of plaintiffs amended complaint.\nThe language of the parties\u2019 tenure policy was clear and unambiguous. It obligated defendant to comply with the formal tenure provisions of the parties\u2019 contract regarding notice, remediation, hearing and removal. As the appellate court concluded, the \u201cinformal\u201d contacts between the parties were \u201cmanifestly insufficient\u201d to constitute compliance with those provisions. Obviously, the formality of the procedure serves a purpose: to impress upon the teacher the seriousness of his or her situation and thus further the remedial objectives of the procedure\u2019s initial stages. Like the appellate court, we conclude that plaintiff properly asserted a claim for breach of the tenure provisions of his employment contract.\nFinally, we reject the contention that defendant was justified in ignoring the tenure provisions of the parties\u2019 contract because plaintiffs conduct constituted abandonment of his contract rights. In fairly rapid succession, this plaintiff experienced quadruple coronary bypass surgery, a serious infection of his right leg, back surgery, operations on both of his hands, and an above-the-knee amputation of his left leg. His prolonged absence from St. Rita\u2019s was clearly related to his medical condition. Defendant knew that from regular contacts with plaintiff. Defendant acknowledged in a letter that plaintiff was on sick leave. We attach little significance to the fact that plaintiff could not provide defendant with a date certain upon which he could return. He did try, albeit unsuccessfully, to return to teaching on more than one occasion. At the time of his termination, he indicated to defendant that he wished to return and he hoped he could do so with more therapy and time. The fact that plaintiff had been unable to do so by the date of his termination is no more conclusive as to his intentions and the issue of abandonment than it was in our discussion of collateral estoppel. We find meritless defendant\u2019s suggestion that plaintiffs circumstances are somehow comparable to those of the teachers in cases defendant has cited. If we were to accept defendant\u2019s argument, that a teacher \u201cabandons\u201d his contract rights when he experiences an extended illness and can neither project the date of his return nor perform his duties on the date of the school\u2019s unilateral decision to terminate him, then tenure rights could be rendered virtually worthless. We find no dispositive evidence or findings in the record to date that would indicate that plaintiff abandoned, i.e., voluntarily-relinquished, his tenure rights under the parties\u2019 contract.\nIn conclusion, we find that count IV of plaintiffs amended complaint was improperly dismissed by the circuit court. Genuine issues of material fact exist as to count IV and the claim asserted therein is not precluded as a matter of law. Under the judgment of the appellate court, the cause will be remanded to the circuit court for further proceedings thereon. Since neither plaintiff nor defendant questions the propriety of the appellate court\u2019s rulings as to other counts of plaintiffs amended complaint, we need not address the appellate court\u2019s disposition thereof. The appellate court\u2019s judgment is therefore affirmed.\nAppellate court judgment affirmed.\nThis court allowed a motion to substitute Tony Nowak as special administrator of the estate of Ronald Nowak upon notice of his death after the cause was taken under advisement.",
        "type": "majority",
        "author": "CHIEF JUSTICE HARRISON"
      }
    ],
    "attorneys": [
      "Riordan, Fulkerson, Smith & Coleman, of Chicago (Alan L. Fulkerson and Michael J. Coleman, of counsel), for appellant.",
      "Kelley, Kelley & Kelley, of Schaumburg (Mark L. LeFevour, William F. Kelley and Martin C. Kelley, of counsel), for appellee."
    ],
    "corrections": "",
    "head_matter": "(No. 90418.\nRONALD NOWAK, Appellee, v. ST. RITA HIGH SCHOOL, Appellant.\nOpinion filed September 20, 2001.\nRiordan, Fulkerson, Smith & Coleman, of Chicago (Alan L. Fulkerson and Michael J. Coleman, of counsel), for appellant.\nKelley, Kelley & Kelley, of Schaumburg (Mark L. LeFevour, William F. Kelley and Martin C. Kelley, of counsel), for appellee."
  },
  "file_name": "0381-01",
  "first_page_order": 393,
  "last_page_order": 409
}
