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  "id": 5735814,
  "name": "DEENA PERLSTEIN et al., Appellees, v. MAURICE WOLK et al., Appellants",
  "name_abbreviation": "Perlstein v. Wolk",
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      "DEENA PERLSTEIN et al., Appellees, v. MAURICE WOLK et al., Appellants."
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        "text": "JUSTICE FITZGERALD\ndelivered the judgment of the court, with opinion.\nJustices Freeman, McMorrow, Garman, and Karmeier concurred in the judgment and opinion.\nJustice Kilbride, joined by Chief Justice Thomas, dissenting.\nOPINION\nPlaintiffs Deena Perlstein and Scott Schneider filed a legal malpractice action against defendants Maurice Wolk and Ross & Hardies. Plaintiffs relied on the limitations period for malpractice actions set forth in section 13\u2014 214.3 of the Code of Civil Procedure, as amended by Public Act 89 \u2014 7 (commonly referred to as the Tort Reform Act). See Pub. Act 89 \u2014 7, eff. March 9, 1995 (amending, inter alia, 735 ILCS 5/13 \u2014 214.3 (West 1994)). Defendants moved to dismiss the complaint, arguing that this court\u2019s decision in Best v. Taylor Machine Works, 179 Ill. 2d 367 (1997), which held Public Act 89 \u2014 7 void in its entirety, rendered plaintiffs\u2019 complaint untimely. The trial court, relying on the void ab initio doctrine, agreed with defendants and dismissed the complaint with prejudice. The appellate court reversed. 349 Ill. App. 3d 161. We allowed defendants\u2019 petition for leave to appeal (177 Ill. 2d R. 315) and now affirm the judgment of the appellate court.\nBACKGROUND\nI. Limitations and Repose Periods for Attorney Malpractice\nPrior to the adoption of Public Act 89 \u2014 7, section 13 \u2014 214.3 of the Code of Civil Procedure established a two-year limitations period and a six-year repose period for attorney malpractice actions. 735 ILCS 5/13\u2014 214.3(b), (c) (West 1994). Subsection (d) of the statute contained an exception to the repose period:\n\u201cWhen the injury caused by the act or omission does not occur until the death of the person for whom the professional services were rendered, the action may be commenced within 2 years after the date of the person\u2019s death unless letters of office are issued or the person\u2019s will is admitted to probate within that 2 year period, in which case the action must be commenced within the time for filing claims against the estate or a petition contesting the validity of the will of the deceased person, whichever is later, as provided in the Probate Act of 1975.\u201d 735 ILCS 5/13 \u2014 214.3(d) (West 1994).\nPublic Act 89 \u2014 7, effective March 9, 1995, removed subsection (d), but otherwise left intact the balance of section 13 \u2014 214.3. With the removal of subsection (d), the statute then required \u2014 without exception \u2014 that all legal malpractice actions be brought within two years from the date the complaining party knew or reasonably should have known of the injury, but in any event, not more than six years after the act or omission occurred. 735 ILCS 5/13 \u2014 214.3(b), (c) (West 1996).\nOn December 18, 1997, this court entered its decision in Best v. Taylor Machine Works, 179 Ill. 2d 367 (1997). In Best, we held certain \u201ccore provisions\u201d of Public Act 89 \u2014 7 violated the separation of powers clause and the prohibition against special legislation. Best, 179 Ill. 2d at 416, 433, 449, 467. Because the core provisions were inseparable from the remainder of Public Act 89 \u2014 7, we concluded that the act must fail in toto. We thus declared Public Act 89 \u2014 7 \u201cvoid in its entirety.\u201d Best, 179 Ill. 2d at 467. That portion of Public Act 89 \u2014 7 which removed the exception to the statute of repose for attorney malpractice actions set forth in section 13 \u2014 214.3(d) was not one of the core provisions held substantively unconstitutional. Nonetheless, because we held Public Act 89 \u2014 7 void in its entirety, that portion of the act was also rendered invalid.\nAgainst this statutory backdrop, we consider the nature and timing of the malpractice action at issue here.\nII. The Malpractice Action\nPlaintiffs\u2019 cause of action for legal malpractice stems from defendants\u2019 preparation, on October 23, 1992, of the last will and testament of Lawrence A. Perlstein, Deena Perlstein\u2019s husband. Generally, plaintiffs alleged that defendants negligently prepared the will, thereby preventing the Lawrence A. Perlstein Trust from disbursing $300,000 to Scott Schneider, Deena Perlstein\u2019s son, and causing other damages.\nLawrence Perlstein died on September 23, 1995. On October 16, 1995, the circuit court of Lake County admitted the will to probate and issued letters of office to Deena Perlstein. On January 8, 1996, the attorneys for the trustees of the Lawrence A. Perlstein Trust rendered an opinion that the trustees should not fund the trust on the ground that Lawrence Perlstein had not properly exercised the power of appointment in his will. On January 26, 1996, the trustees notified Deena Perlstein that the trust would not be funded.\nAt the time Deena Perlstein learned that her late husband\u2019s trust would not be funded, the changes wrought by Public Act 89 \u2014 7 had been on the statute books for almost a year. As noted above, following the passage of Public Act 89 \u2014 7, a two-year limitations period and a six-year repose period applied \u2014 without exception \u2014 to all attorney malpractice actions. See 735 ILCS 5/13 \u2014 214.30b), (c) (West 1996). According to defendants, the two-year limitations period would have expired, at the latest, on January 26, 1998 (two years from the date Deena Perlstein purportedly had knowledge that the trust would not be funded), and the six-year repose period would have expired October 23, 1998 (six years after the date defendants prepared the will). Plaintiffs filed their legal malpractice action in the circuit court of Cook County on January 8, 1998, clearly within the limitations and repose periods.\nDefendants moved to dismiss the complaint with prejudice, arguing that it was time-barred. See 735 ILCS 5/2 \u2014 619(a)(5) (West 2002). According to defendants, because Best declared Public Act 89 \u2014 7 unconstitutional, the act was void ab initio. In effect, Public Act 89 \u2014 7 \u201cnever was.\u201d Thus, defendants argued that the exception to the statute of repose set forth in section 13\u2014 214.3(d), which Public Act 89 \u2014 7 sought to remove, \u201cnever ceased to have validity.\u201d Under subsection (d), plaintiffs\u2019 cause of action should have been commenced \u201cwithin the time for filing claims against the estate or a petition contesting the validity of the will of the deceased person, whichever is later.\u201d 735 ILCS 5/13 \u2014 214.3(d) (West 1994). In this case, the later date was the claims-filing date: April 26, 1996. See 755 ILCS 5/18 \u2014 3 (West 1996). In defendants\u2019 view, plaintiffs\u2019 complaint, filed January 8, 1998, was 20 months late.\nPlaintiffs countered that the void ah initio doctrine does not govern this case. Plaintiffs relied on Illinois case law holding that where a legislative change in a statute of repose would otherwise instantaneously bar a plaintiff\u2019s cause of action, the plaintiff will be allowed a reasonable period of time in which to file its cause of action. See, e.g., Moore v. Jackson Park Hospital, 95 Ill. 2d 223 (1983); Goodman v. Harbor Market, Ltd., 278 Ill. App. 3d 684 (1995). Plaintiffs posited that the result should be no different where the change in the statute of repose results from a judicial decision, rather than legislative action. Thus, plaintiffs argued that their complaint, filed just three weeks following this court\u2019s decision in Best, was filed within a reasonable period of time following the change in the law.\nThe circuit court acknowledged that the result might he harsh, hut nonetheless applied the void ab initio doctrine and dismissed plaintiffs\u2019 complaint with prejudice. The appellate court reversed, holding that such a result would be fundamentally unfair. The appellate court found that the filing of plaintiffs\u2019 complaint, just three weeks after the Best decision, was within a reasonable period of time after the change in the repose period for malpractice actions and that the complaint was not time-barred. 349 Ill. App. 3d at 169-70. The appellate court remanded the cause for additional proceedings. 349 Ill. App. 3d at 171. This appeal followed.\nANALYSIS\nThe classic formulation of the void ab initio doctrine, and the one followed in Illinois, is found in the early case of Norton v. Shelby County, 118 U.S. 425, 30 L. Ed. 178, 6 S. Ct. 1121 (1886). There, the Court considered whether an unconstitutional state statute that created a county board could give validity to the acts of the board. The Court answered in the negative, stating in relevant part:\n\u201cAn unconstitutional act is not a law; it confers no rights; it imposes no duties; it affords no protection; it creates no office; it is, in legal contemplation, as inoperative as though it had never been passed.\u201d Norton, 118 U.S. at 442, 30 L. Ed. at 186, 6 S. Ct. at 1125.\nSee People v. Gersch, 135 Ill. 2d 384, 399 (1990) (\u201cAn unconstitutional law \u2018confers no right, imposes no duty and affords no protection. It is *** as though no such law had ever been passed,\u2019 \u201d quoting People v. Schraeberg, 347 Ill. 392, 394 (1932), in turn citing Board of Highway Commissioners v. City of Bloomington, 253 Ill. 164, 176 (1911), in turn citing Norton, 118 U.S. 425, 30 L. Ed. 178, 6 S. Ct. 1121). Thus, under the Norton rule, an unconstitutional statute is void ab initio, i.e., void \u201cfrom the beginning.\u201d See Black\u2019s Law Dictionary 1604 (8th ed. 2004).\nDefendants argue that our case law mandates strict application of the void ab initio doctrine in both civil and criminal cases, irrespective of the consequences, and that the appellate court erred in failing to apply the doctrine in this civil case. Plaintiffs argue that the better approach takes into account the equities of a case, and that under the equities here, their complaint should be allowed to proceed. We consider these arguments in turn.\nI. Strict Application of the Void Ab Initio Doctrine\nIn support of their argument for strict application of the void ab initio doctrine, defendants rely principally on the Gersch opinion. In Gersch, we considered whether our earlier decision in People ex rel. Daley v. Joyce, 126 Ill. 2d 209 (1988), should apply retroactively to Gersch\u2019s case. In Joyce, we held that section 115 \u2014 1 of the Code of Criminal Procedure of 1963 (Ill. Rev. Stat. 1987, ch. 38, par. 115 \u2014 1), which granted the State a right to demand a jury in certain criminal trials, was unconstitutional. Gersch argued in his direct appeal that the State\u2019s jury demand in his case violated his constitutional right to a bench trial. In holding that Joyce would apply retroactively to Gersch\u2019s case, we stated:\n\u201cA constitutionally repugnant enactment suddenly cuts off rights that are guaranteed to every citizen (Ill. Const. 1970, art. I, \u00a7 1 (\u2018All men *** have certain inherent and inalienable rights\u2019)), and instantaneously perverts the duties owed to those citizens. To hold that a judicial decision that declares a statute unconstitutional is not retroactive would forever prevent those injured under the unconstitutional legislative act from receiving a remedy for the deprivation of a guaranteed right. This would clearly offend all sense of due process under both the Federal and State Constitutions. [Citations.] Along with these considerations, we note that this court has expressly held that a defendant cannot be prosecuted under an unconstitutional act.\u201d Gersch, 135 Ill. 2d at 397-98.\nWe concluded that \u201cwhere a statute is violative of constitutional guarantees, we have a duty not only to declare such a legislative act void, but also to correct the wrongs wrought through such an act by holding our decision retroactive.\u201d Gersch, 135 Ill. 2d at 399. To correct the wrong wrought in Gersch\u2019s case, we reversed his conviction and remanded the cause for a new trial. Gersch, 135 Ill. 2d at 401-02.\nUnlike the statute at issue in Gersch, the portion of Public Act 89 \u2014 7 that removed section 13 \u2014 214.3(d) from the attorney malpractice statute of limitations did not \u201csuddenly cut off rights guaranteed to every citizen\u201d or even to these particular defendants. Attorneys in this state possess no constitutional guarantee of a particular limitations or repose period for malpractice actions. Thus, the change made in the repose period by Public Act 89 \u2014 7 did not perpetrate a \u201cwrong\u201d against defendants requiring correction. Indeed, the amendment to the repose period was rendered invalid simply because it could not be severed from the balance of Public Act 89 \u2014 7, and not because it contravened any constitutional principle. In other words, the invalidity of the amendment to section 13 \u2014 214.3 was simply \u201ccollateral damage\u201d from the force of this court\u2019s declaration in Best that the core provisions of Public Act 89 \u2014 7 were substantively unconstitutional. Under these circumstances, and in contrast to the Gersch case, failing to adhere strictly to void ab initio principles would not deprive defendants of a remedy for the deprivation of a constitutional right because no such right is implicated.\nNotwithstanding these important factual distinctions between Gersch and the present case, defendants argue that the void ab initio doctrine must be strictly applied in this civil case just as it was in Gersch. Defendants note that Gersch, itself, contains citation to civil cases from this court applying the doctrine. E.g., Gersch, 135 Ill. 2d at 390, citing Van Driel Drug Store, Inc. v. Mahin, 47 Ill. 2d 378 (1970). The civil cases cited in the Gersch opinion establish, at most, that the void ab initio doctrine can be applied to a civil case; they do not establish that the doctrine should be applied to civil cases generally, or to this civil case in particular. Moreover, the Gersch opinion left open the issue of whether application of the void ab initio doctrine is always appropriate in cases outside the area of criminal prosecutions:\n\u201cWe must note, however, that courts have been struggling with the potentially harsh results of the ab initio doctrine, particularly where law enforcement officials have relied in good faith on the validity of a statute [citations], or where the invalidation of rules of criminal procedure would allow otherwise guilty criminals to win their freedom [citation]. Attempting to avoid these problems, courts have attempted to temper the ab initio doctrine\u2019s harsh results *** to minimize unfairness. [Citation.] However, scholars have noted that in the area of criminal prosecution, the ab initio principle is especially appropriate.\u201d (Emphasis added.) Gersch, 135 Ill. 2d at 399-400.\nWe are, therefore, reluctant to extend the reach of Gersch beyond cases involving criminal prosecutions.\nDefendants also cite our more recent decisions in Petersen v. Wallach, 198 Ill. 2d 439 (2002), and Jorgensen v. Blagojevich, 211 Ill. 2d 286 (2004). Defendants argue that Petersen and Jorgensen establish that the void ab initio doctrine must be applied in this case despite the possibility of harsh results. We disagree.\nAs defendants note, Petersen and the present case involve the same statute. At issue in Petersen, however, was the proper construction of section 13 \u2014 214.3(d). Petersen states: \u201cThe sole issue presented by this appeal is whether the exception to the six-year statute of repose for attorney malpractice actions *** applies only in cases where the assets of the deceased pass by way of the Probate Act ***.\u201d Petersen, 198 Ill. 2d at 441. In the course of deciding that issue, we quoted with favor the following passage from an earlier case:\n\u201c \u2018 \u201cWhere the words employed in a legislative enactment are free from ambiguity or doubt, they must he given effect by the courts even though the consequences may he harsh, unjust, absurd or unwise. [Citations.] Such consequences can he avoided only by a change of the law, not by judicial construction.\u201d \u2019 \u201d Petersen, 198 Ill. 2d at 447, quoting County of Knox ex rel. Masterson v. The Highlands, L.L.C., 188 Ill. 2d 546, 557 (1999), quoting People ex rel. Pauling v. Misevic, 32 Ill. 2d 11, 15 (1964).\nWhether, under our rules of statutory construction, an absurd or unjust result should impact our reading and application of a clearly worded statute is unrelated to the issue of whether the void ah initio doctrine should be applied in a given case.\nDefendants are correct that, in a footnote, the Petersen opinion implicitly applies the void ah initio doctrine. Petersen, 198 Ill. 2d at 443 n.l. We note, however, that neither the plaintiff nor the defendant attorney argued that the void ah initio doctrine should not apply in that case. Consequently, we were not asked to consider whether it is ever appropriate to temper the doctrine\u2019s harsh results. Any harsh results in Petersen resulted from our construction of the statute, not from application of the void ah initio doctrine. Defendants\u2019 reliance on Petersen is misplaced.\nThe Jorgensen case is also distinguishable from the present dispute. At issue in Jorgensen was \u201cwhether the General Assembly and the Governor violated the Illinois Constitution when they attempted to eliminate the cost-of-living adjustments [COLAs] to judicial salaries provided by law for the 2003 and 2004 fiscal years.\u201d Jorgensen, 211 Ill. 2d at 287. We answered that question in the affirmative and refused to \u201csuspend\u201d constitutional requirements for economic reasons, namely, the impact on the state\u2019s budget. Jorgensen, 211 Ill. 2d at 316. In the course of our decision, we held Public Act 92 \u2014 607, which suspended the 2003 COLA, constitutionally infirm and void ab initio. Jorgensen, 211 Ill. 2d at 309. Here, plaintiffs do not request that we \u201csuspend\u201d constitutional requirements by enforcing an unconstitutional statute. Rather, plaintiffs ask that we consider the equities of this case and allow their complaint to proceed. Jorgensen does not aid in our resolution of this issue.\nWe acknowledge that defendants\u2019 position \u2014 advocating strict application of the void ab initio doctrine \u2014 has a certain surface appeal, creating as it would a bright-line rule which could be applied with relative ease. Defendants\u2019 position, however, unduly discounts the real-life consequences flowing from a statutory enactment. When the General Assembly enacts legislation such as Public Act 89 \u2014 7, that legislation is presumptively valid. See, e.g., In re Marriage of Bates, 212 Ill. 2d 489, 509 (2004) (\u201cStatutes are presumed constitutional\u201d); Beaubien v. Ryan, 198 Ill. 2d 294, 298 (2001) (statutory enactments are \u201ccloaked with the presumption of validity\u201d). Individuals, including plaintiffs here, \u201care entitled to rely on State statutes when \u2018making decisions and in shaping their conduct.\u2019 \u201d Board of Commissioners of the Wood Dale Public Library District v. County of Du Page, 103 Ill. 2d 422, 429 (1984), quoting Lemon v. Kurtzman, 411 U.S. 192, 199, 36 L. Ed. 2d 151, 160, 93 S. Ct. 1463, 1468 (1973). See also Adukia v. Finney, 315 Ill. App. 3d 766, 770 (2000) (recognizing, in a post-Resi case, that \u201ca party should not be penalized for his good-faith reliance on existing law\u201d). Individuals are not required or empowered to determine whether the law is constitutional; that duty belongs to the judiciary. Gersch, 135 Ill. 2d at 398-99. Strict application of the void ab initio doctrine fails to take into account these realities, creating a \u201cCatch-22.\u201d Individuals are entitled to rely on a legislative enactment, presuming it is valid, but must suffer the consequences of doing so should this court later hold that law unconstitutional.\nAlthough defendants note that courts in other jurisdictions strictly apply the void ab initio doctrine (e.g., Spanish Cove Sanitation, Inc. v. Louisville-Jefferson County Metropolitan Sewer District, 72 S.W.3d 918, 921 (Ky. 2002); McGuire v. C&L Restaurant Inc., 346 N.W2d 605, 614 (Minn. 1984)), our research reveals that courts do not do so universally. As discussed below, courts in other jurisdictions frequently consider the equities of a case and will take steps to ameliorate the harsh results from the doctrine\u2019s strict application. Whether Illinois should adopt a similar approach is the issue we now consider.\nII. An Equitable Approach\nAs noted above, Illinois\u2019 void ab initio doctrine has its roots in the early case of Norton v. Shelby County, 118 U.S. 425, 30 L. Ed. 178, 6 S. Ct. 1121 (1886). Under the Norton rule, the invalid statute is \u201celiminated entirely from the consideration of a case.\u201d O. Field, The Effect of an Unconstitutional Statute 3 (1935). No weight is given to the fact that the statute was enacted by the legislature, approved by the Governor, and relied upon by the people prior to it being declared invalid by a court. O. Field, The Effect of an Unconstitutional Statute 3 (1935). Under this approach, some courts have gone so far as to rule that \u201can unconstitutional statute could not protect an officer who executed it or a person who acted in reliance upon it for personal liability for the consequences of their actions.\u201d 1 N. Singer, Sutherland on Statutory Construction \u00a7 2:7, at 47 (6th ed. 2002).\nThe failure of the Norton rule to consider the reliance interests of individuals was described early on by the New Jersey Supreme Court as follows:\n\u201cThe vice of the doctrine of Norton v. Shelby County *** is that it fails to recognize the right of the citizen, which is to accept the law as it is written, and not to be required to determine its validity. The latter is no more the function of the citizen than is the making of the law. *** To require the citizen to determine for himself, at his peril, to what extent, if at all, the legislature has overstepped the boundaries defined by the constitution *** would be to place upon him an intolerable burden.\u201d Lang v. Mayor & Chief of Police, 74 N.J.L. 455, 459 (1907).\nThe United States Supreme Court has also recognized that inequities can result from strict application of the Norton rule. See Chicot County Drainage District v. Baxter State Bank, 308 U.S. 371, 84 L. Ed. 329, 60 S. Ct. 317 (1940); Lemon v. Kurtzman, 411 U.S. 192, 36 L. Ed. 2d 151, 93 S. Ct. 1463 (1973). In Chicot County, Chief Justice Hughes, writing for a unanimous Court, noted that \u201cbroad statements,\u201d such as those in Norton, \u201cas to the effect of a determination of unconstitutionality must be taken with qualifications.\u201d Chicot County, 308 U.S. at 374, 84 L. Ed. at 332, 60 S. Ct. at 318. The Court explained that \u201c[t]he actual existence of a statute, prior to such a determination, is an operative fact and may have consequences which cannot justly be ignored. The past cannot always be erased by a new judicial declaration.\u201d Chicot County, 308 U.S. at 374, 84 L. Ed. at 333, 60 S. Ct. at 318.\nThe Court again took up the shortcomings of the Norton rule in the Lemon case. There, Chief Justice Burger (in a plurality opinion) acknowledged the difficulty in attempting to reconcile \u201cthe constitutional interests reflected in a new rule of law with reliance interests founded upon the old.\u201d Lemon, 411 U.S. at 198, 36 L. Ed. 2d at 160, 93 S. Ct. at 1468. Chief Justice Burger recognized that although the logic of Norton may have been appealing \u201cin the abstract,\u201d \u201cstatutory or even judge-made rules of law are hard facts on which people must rely in making decisions and in shaping their conduct.\u201d Lemon, 411 U.S. at 199, 36 L. Ed. 2d at 160, 93 S. Ct. at 1468.\nNumerous courts are in agreement that Norton represents the old rule as to the effect of an unconstitutional statute. See, e.g., Ryan v. County of Du Page, 45 F.3d 1090, 1094 (7th Cir. 1995) (acknowledging that the \u201cold doctrine,\u201d under Norton, pursuant to which unconstitutional statutes are void ab initio \u201chas been abandoned\u201d); Trucke v. Erlemeier, 657 F. Supp. 1382, 1391 (N.D. Iowa 1987) (observing that the United States Supreme Court abandoned the Norton rationale and suggesting that \u201cif Norton and its progeny were decided today, the outcome would be different\u201d); United States v. DePoli, 628 F.2d 779, 782 (2d Cir. 1980) (recognizing that the Norton view, under which an unconstitutional law is treated as having had no effects whatsoever from the date of its enactment, has been replaced by a more \u201crealistic approach\u201d); W.R. Grace & Co. v. Department of Revenue, 137 Wash. 2d 580, 594 & n.10, 973 E2d 1011, 1017 & n.10 (1999) (rejecting parties\u2019 reliance on the now-abandoned void ab initio doctrine and referring to Norton as \u201cantiquated Supreme Court authority\u201d); American Manufacturers Mutual Insurance Co. v. Ingram, 301 N.C. 138, 147-50, 271 S.E.2d 46, 51-52 (1980) (stating that, \u201c[djepending on the circumstances, courts have employed other rules which avoid the hard and fast consequences of the rule enunciated in Norton,\u201d and that North Carolina has retreated from that rule); Wagshal v. Selig, 403 A.2d 338, 341-42 (D.C. App. 1979) (discussing the decline of the \u201conce-popular \u2018void ab initio\u2019 rule\u201d and following the \u201crecent trend in adopting a test of reasonableness and good faith in determining the effect which the judicial invalidation of a statute or regulation should have on the rights and obligations of the parties who have taken action pursuant to an invalid provision\u201d); Perkins v. Eskridge, 278 Md. 619, 627-37, 366 A.2d 21, 27-32 (1976) (discussing the development of the void ab initio rule and other approaches used when determining the status of a statute declared unconstitutional, and joining those jurisdictions which have refused to apply the void ab initio rule in all situations), overruled on other grounds by Parrott v. State, 301 Md. 411, 483 A.2d 68 (1984).\nFurther, at least one legal scholar has recognized that, in light of the injustice and inconvenience which may follow when the void ab initio doctrine is strictly applied, the \u201cmodern trend\u201d is away from void ab initio toward a more equitable and realistic approach that is tempered by considerations of reasonableness and good-faith reliance on the purportedly valid statute. 1 N. Singer, Sutherland on Statutory Construction \u00a7 2:7, at 47-49 (6th ed. 2002). See also E. Plave, Note, The Phenomenon of Antique Laws: Can a State Revive Old Abortion Laws in a New Era?, 58 Geo. Wash. L. Rev. 111 (1989) (discussing the development and decline of the void ab initio doctrine and alternative approaches); O. Field, The Effect of an Unconstitutional Statute 91 (1935) (suggesting that Norton\u2019s dogmatic statement is not true, i.e., \u201cCourts have held that unconstitutional statutes have imposed duties, have granted rights, have created offices, and have some operative effect\u201d).\nThe circumstances under which state courts have found it appropriate to reject the void ab initio doctrine, in favor of a more realistic and equitable approach, are varied. For example, in Downs v. Jacobs, 272 A.2d 706 (Del. 1970), the Delaware Supreme Court declined to apply the Norton rationale in a landlord and tenant dispute involving a distraint for unpaid rent:\n\u201cThe Delaware Landlord Distress Law has never been adjudged unconstitutional. Therefore, it is clothed by a presumption of constitutionality. [Citations.] The [defendants] in the instant case were entitled to rely upon that presumption of constitutionality and validity, and to act reasonably and in good faith under the provisions of the Law as it then existed. Citizens and public officials have a right to accept the law as it is written until it is repealed or judicially condemned. They are not required to speculate upon the validity of a statute or to act under it at their peril. Until legislatively or judicially excised, a statute is an operative fact. Courts presume every legislative act constitutional and indulge every intendment in favor of validity. No penalty may be visited upon citizens for doing likewise.\u201d Downs, 272 A.2d at 707.\nMore recently, in Dutch Point Credit Union, Inc. v. Caron Auto Works, Inc., 36 Conn. App. 123, 648 A.2d 882 (1994), a Connecticut appeals court declared a statute unconstitutional on due process grounds and then considered the effect of its ruling on the plaintiffs claim for damages. The plaintiff held a lien on a motor vehicle which the defendant repair facility had sold, pursuant to the invalid statute, without notifying the plaintiff. The Connecticut court declined to award damages. The court observed that, in response to the Supreme Court\u2019s statements in Chicot County and Lemon,\n\u201ca number of jurisdictions have adopted tests of reasonableness and good faith to determine the consequences of conduct undertaken pursuant to a statute subsequently deemed invalid. [Citations.] Those jurisdictions have concluded that, generally, it would be an injustice to penalize \u00e1 person for actions taken under a statute that was valid at the time of the conduct. We join those jurisdictions, and recognize that citizens have the right to accept statutory law as written until it is repealed or invalidated; citizens are not required to speculate on the constitutionality of a statute before acting under it. We, therefore, hold that citizens will not face personal liability for acting reasonably and in good faith reliance on the provisions of a statute that is later declared unconstitutional.\u201d Dutch Point, 36 Conn. App. at 134-35, 648 A.2d at 888.\nOf particular relevance here is a Missouri case, State ex rel. Cardinal Glennon Memorial Hospital for Children v. Gaertner, 583 S.W.2d 107, 118 (Mo. 1979). There, the Missouri Supreme Court held that medical malpractice claims, timely submitted under a statute later held unconstitutional, were not time-barred under the void ab initio doctrine. The statute at issue required that all medical malpractice claims be submitted first to a review board which would make a nonbinding recommendation on liability and damages. Submission of the claim to the board, with appropriate notice to the defendants, tolled the running of the limitations period for malpractice claims during the time required for the board to consider the matter. The Missouri Supreme Court held the statute invalid in that it imposed a procedure as a precondition to access to the courts, in violation of the Missouri constitution. Cardinal Glennon, 583 S.W.2d at 110.\nA month after Cardinal Glennon was decided, the Missouri Supreme Court, in a supplemental opinion, addressed the status of the numerous claims that were pending before the review board. Cardinal Glennon, 583 S.W.2d at 118. The court noted that the claimants \u201cundoubtedly relied on the protection afforded them by the tolling provision.\u201d Cardinal Glennon, 583 S.W.2d at 118. Citing Norton and other case law, the court acknowledged that, in the past, an unconstitutional statute conferred no rights from the date the statute was enacted, and not merely from the date of the decision holding it invalid. The court concluded, however, that the \u201cmodern view\u201d rejects this rule \u201cto the extent that it causes injustice to persons who have acted in good faith and reasonable reliance upon a statute later held unconstitutional.\u201d Cardinal Glennon, 583 S.W.2d at 118. The court observed that, if the tolling provisions are viewed as retroactively unconstitutional, those claimants who reasonably and in good faith relied upon the statute to protect their right to submit their claims to the courts would suffer a \u201cmanifest injustice.\u201d Cardinal Glennon, 583 S.W.2d at 118. Accordingly, the court ordered that the statute of limitations would be tolled for claims submitted to the review board between the effective date of the statute and the effective date of the court\u2019s declaration of invalidity \u2014 an approximately two-year period. Cardinal Glennon, 583 S.W.2d at 118.\nAlthough this court is not bound by trends in the law occurring outside our jurisdiction, this court has considered whether Illinois law is consistent with our sister states and, where appropriate, has adopted the views of other jurisdictions. See, e.g., American Family Mutual Insurance Co. v. Savickas, 193 Ill. 2d 378, 385-86 (2000) (overruling, in part, a prior decision of this court because \u201cthe modern trend\u201d in favor of according estoppel effect to criminal convictions was correct); River Park, Inc. v. City of Highland Park, 184 Ill. 2d 290, 311 (1998) (noting that our adoption of the transactional test to determine whether identity of causes of action exists for purposes of res judicata is consistent with \u201cthe trend of decisions in other jurisdictions\u201d); Wilson v. Clark, 84 Ill. 2d 186, 195 (1981) (explaining that \u201c[tjhis court\u2019s following of Federal Rules 703 and 705 comports with the modern trend liberalizing certain trial procedures\u201d). Upon careful review, we are persuaded by the foregoing authorities that this court should adopt a more moderate approach when determining the effect of a declaration by this court that a statute is unconstitutional.\nWe do not, however, abandon the Norton rule. In cases such as Gersch, where a defendant\u2019s constitutionally guaranteed rights are in need of vindication, strict application of the void ab initio doctrine is appropriate. In other cases, however, where no such rights are at stake, other equitable and practical factors are appropriate for consideration by this court. The issue is not so much a matter of applying or not applying the void ab initio doctrine, as it is determining whether a particular set of circumstances justifies a court\u2019s exercise of its equitable powers to ameliorate the doctrine\u2019s sometimes harsh results. Consideration of the circumstances in this case leads us to conclude that plaintiffs\u2019 complaint should be allowed to proceed.\nIII. The Present Dispute\nAt the time Deena Perlstein learned that her husband\u2019s trust would not be funded, Public Act 89 \u2014 7 had been in effect for almost a year. Under section 13 \u2014 214.3, as amended by Public Act 89 \u2014 7, Deena Perlstein and her son were required to file their malpractice action within two years from the date they knew or reasonably should have known of the injury but, in any event, not more than six years after the act or omission occurred. 735 ILCS 5/13 \u2014 214.3(b), (c) (West 1996). Before either period expired, this court decided Best, holding Public Act 89 \u2014 7 void in its entirety. Best, 179 Ill. 2d at 467. Plaintiffs filed their complaint three weeks after Best was decided, but still within the limitations and repose periods.\nDefendants argue that these circumstances do not justify a departure from the void ab initio doctrine. In other words, the equities are not in plaintiffs\u2019 favor. Defendants note that nothing in Public Act 89 \u2014 7 \u201ccompelled\u201d plaintiffs to delay in filing their claim. Defendants also note that Public Act 89 \u2014 7 and the immediate constitutional challenges to the act received \u201cconsiderable public attention.\u201d Defendants thus question plaintiffs\u2019 reliance on a \u201cnew, controversial statute.\u201d\nWe agree with defendants that nothing in Public Act 89 \u2014 7 \u201ccompelled\u201d plaintiffs to wait almost two years before filing their complaint. Numerous legitimate reasons, however, may exist for not filing sooner. We will not assume that plaintiffs were less than diligent in pursuing their claim or otherwise acted unreasonably simply because they did not file their complaint within the first three months of what was then a two-year limitations period.\nFurthermore, plaintiffs were entitled to rely on the two-year limitations period and six-year repose period because Public Act 89 \u2014 7 was presumptively valid. See Wood Dale Public Library District, 103 Ill. 2d at 429. From the date of its inception, to the date of this court\u2019s decision invalidating it, Public Act 89 \u2014 7 was, for all intents and purposes, \u201cthe law.\u201d The changes wrought by Public Act 89 \u2014 7 were \u201chard facts\u201d on which individuals, including plaintiffs, necessarily relied \u201cin making decisions and in shaping their conduct.\u201d Lemon, 411 U.S. at 199, 36 L. Ed. 2d at 160, 93 S. Ct. at 1468.\nWhether Public Act 89 \u2014 7 was \u201ccontroversial,\u201d as defendants maintain, is inapposite. This court, when it considered the challenges to Public Act 89 \u2014 7 raised in Best, began its analysis with the presumption that the act was constitutional. Best, 179 Ill. 2d at 377. That presumption was not lessened or compromised simply because the legislation \u2014 or more correctly, certain key provisions of the legislation \u2014 might be described as \u201ccontroversial.\u201d Similarly, the fact that constitutional challenges to Public Act 89 \u2014 7 received \u201cconsiderable public attention\u201d did not require plaintiffs to anticipate with certainty that the change to the repose period for legal malpractice actions \u2014 which was not itself under review \u2014 would fall, along with the key provisions of the act, ultimately barring their complaint. Indeed, in light of the express severability provision contained in Public Act 89 \u2014 7 (Pub. Act 89 \u2014 7, \u00a7 990, eff. March 9, 1995), plaintiffs should not be faulted for relying on the continuing validity of section 13 \u2014 214.3(d), notwithstanding the fact that constitutional challenges had been made to other sections of the act.\nOur case law firmly establishes that a change in the law shortening a limitations period will not be applied retroactively so as to terminate a cause of action unless the claimant has had a reasonable period of time after the effective date of the change in which to file an action. Guzman v. C.R. Epperson Construction, Inc., 196 Ill. 2d 391, 402 (2001); Mega v. Holy Cross Hospital, 111 Ill. 2d 416, 420 (1986); Arnold Engineering, Inc. v. Industrial Comm\u2019n, 72 Ill. 2d 161, 166 (1978); Meegan v. Village of Tinley Park, 52 Ill. 2d 354, 359 (1972). The reasonable-time rule also applies to a change in the law affecting a period of repose. M.E.H. v. L.H., 177 Ill. 2d 207, 216-17 (1997); Mega, 111 Ill. 2d at 420-22. Underlying the reasonable-time rule are \u201cbasic concepts of justice, fairness and equity.\u201d Phillips v. Johnson, 231 Ill. App. 3d 890, 895 (1992).\nAlthough this judicial \u201csafety valve\u201d was created in response to changes in the law resulting from legislative action (People v. Bates, 124 Ill. 2d 81, 87 (1988)), no reasoned basis exists for distinguishing between that situation and the one present here where a change in the law results from a judicial decision. As our appellate court observed: \u201cA change in a statute of repose by either legislative enactment or judicial decision yields the same result.\u201d 349 Ill. App. 3d at 169. Moreover, this court has held that the reasonable-time rule will apply \u201ceven in those instances in which the legislature has expressed an intent that the limitations period be applied retroactively.\u201d Guzman, 196 Ill. 2d at 402; accord Bates, 124 Ill. 2d at 87. If the rule applies in those instances, then it should also apply where a change in a limitation or repose period results from one of this court\u2019s own decisions. See Adukia, 315 Ill. App. 3d at 770-71 (holding that defendant had a reasonable time after Best in which to file her contribution action).\nIn this case, by virtue of our decision in Best, no period of time remained in which plaintiffs could file their complaint. Their complaint was instantaneously barred when the prior version of section 13 \u2014 214.3 became operative again. Accordingly, plaintiffs should have been allowed a reasonable period of time in which to file their complaint. No fixed rule exists for determining what constitutes a reasonable time following a change in the law in which a plaintiff must initiate litigation. Rather, our court has adopted a case-by-case approach. M.E.H., 177 Ill. 2d at 218-19. Using the unexpired portion of the limitations or repose period on which a plaintiff relied to define what constitutes a reasonable time for bringing suit may be appropriate where the unexpired portion is relatively short. M.E.H., 177 Ill. 2d at 218. Here, by defendants\u2019 calculations, 5V2 weeks of the two-year limitations period and approximately 10 months of the repose period remained at the time Best was decided. Plaintiffs filed their complaint within three weeks of Best. Under these circumstances, we hold that plaintiffs filed their complaint within a reasonable period of time following the change in the law, and that their complaint is not time-barred.\nAllowing plaintiffs\u2019 complaint to proceed does not mean, as defendants suggest, that this court is enforcing an unconstitutional statute. Plaintiffs\u2019 complaint will proceed not because the amended version of section 13\u2014 214.3 governs this dispute, but because the circumstances here justify the exercise of our equitable powers to ameliorate the harsh results from this court\u2019s declaration that Public Act 89 \u2014 7 is void.\nAllowing plaintiffs\u2019 complaint to proceed also does not mean, as defendants argue, that courts in future cases may now effectively ignore the void ab initio doctrine and, with it, the Illinois Constitution. We reiterate that our decision in this case does not signal an abandonment of the void ab initio doctrine. Public Act 89 \u2014 7 remains void in its entirety. Our decision simply recognizes that although this court may declare a statute unconstitutional, it cannot erase the fact of the statute\u2019s existence. See Chicot County, 308 U.S. at 374, 84 L. Ed. at 333, 60 S. Ct. at 318 (\u201cThe past cannot always be erased by a new judicial declaration\u201d); L. Tribe, American Constitutional Law \u00a7 3 \u2014 3, at 28 (2d ed. 1988) (\u201c \u2018the courts have no real power to repeal or abolish a statute, and ... notwithstanding a decision holding it unconstitutional a statute continues to remain on the statute books\u2019 \u201d), quoting 39 Ill. Att\u2019y Gen. Op. 22 (1937). Finally, our decision in this case does not require courts in other cases involving different litigants, different statutes, and different circumstances, to rule in favor of the party claiming reliance on a statute later held unconstitutional. Each case must be judged on its own merits.\nCONCLUSION\nFor the reasons discussed above, we affirm the judgment of the appellate court reversing the judgment of the circuit court and remanding the cause to the circuit court for further proceedings.\nAffirmed.\nPlaintiffs voluntarily dismissed the Cook County suit on September 5, 2001, and refiled it in the circuit court of Lake County on April 10, 2002. Defendants admit that the refiled action relates back to the earlier filed action. Thus, for purposes of determining the timeliness of plaintiffs\u2019 complaint, the parties agree that the relevant filing date is January 8, 1998.\nThe Missouri Supreme Court later clarified the operation of its decision tolling the limitations period by considering three particular malpractice claims. State of Missouri ex rel. Knipschild v. Bellamy, 615 S.W.2d 38 (Mo. 1981).",
        "type": "majority",
        "author": "JUSTICE FITZGERALD"
      },
      {
        "text": "JUSTICE KILBRIDE,\ndissenting:\nThe majority has declined to follow the clear precedent of this court on the effect of the void ab initio doctrine, choosing rather to join what it perceives to be the \u201cmodern trend\u201d allowing equitable considerations to overcome the harsh result of its strict application. Although the majority declines to abandon the doctrine entirely, it has effectively limited its application to criminal cases involving fundamental rights. In my view, this is an unjustified substantial departure from precedent, not consonant with the principle of stare decisis. Finding the result of its application in this case inequitable, the majority allows the plaintiffs action, untimely filed, and then refiled after a voluntary dismissal, to proceed. I believe our precedent establishes the applicability of the doctrine in civil cases, and I do not believe equitable considerations mandate a departure from it. Accordingly, I respectfully dissent.\nUntil today, Illinois has consistently applied the ab initio doctrine, as enunciated in Norton, over a period of 92 years in both civil and criminal cases. In Board of Highway Commissioners v. City of Bloomington, 253 Ill. 164, 176 (1911) this court, citing Norton, upheld the right of the board of highway commissioners to recoup moneys received by the city. The roads and bridges statute entitled the city to the taxes. That statute was later declared unconstitutional by this court after the initial collection and payment of the taxes. See People ex rel. City of Danville v. Fox, 247 Ill. 402 (1910). This court held that Fox required the court not to consider the unconstitutional statute in determining whether the taxing body was entitled to recoup the payment.\nIn Mills v. Peoples Gas Light & Coke Co., 327 Ill. 508, 535 (1927), citing Norton and City of Bloomington, the court upheld the right of a litigant not initially asserting the unconstitutionality of a ratemaking statute to challenge it because it had been held void in a previous decision. The court amplified the holding in Norton, observing:\n\u201cWhen a statute is adjudged to be unconstitutional, rights cannot be built up under it; contracts which depend upon it for their consideration are void; it constitutes a protection to no one who has acted under it, and no one can be punished for having refused obedience to it before the decision was made.\u201d Mills, 327 Ill. at 535.\nIn People v. Schraeberg, 347 Ill. 392, 393-94 (1932), the court reversed the conviction of a criminal defendant who challenged the array of jurors chosen based on a statute later held unconstitutional in another case. The court, citing City of Bloomington, upheld defendant\u2019s challenge even though the jury commissioners presumed the statute to be valid.\nIn Keslick v. Williams Oil-O-Matic Heating Corp., 360 Ill. 552, 554 (1935), the court affirmed judgment for an employer on a widow\u2019s claim for damages under the Occupational Diseases Act where the statute was declared unconstitutional and void in a series of cases decided after the entry of judgment in Keslick. The court held that a reversal of the judgment would serve no useful purpose because plaintiffs right of action was predicated on a violation of the unconstitutional statute. Although the court did not cite to Norton or Illinois precedent, it is apparent that it applied the void ab initio doctrine when the statute had not been declared invalid until after entry of the trial court judgment. In Van Driel Drug Store, Inc. v. Mahin, 47 Ill. 2d 378 (1970), the court gave retroactive application to its opinion in Fiorito v. Jones, 39 Ill. 2d 531 (1968). Fiorito had declared the 1967 amendments to the Service Occupation and Service Use Tax Acts unconstitutional and void. Van Driel held that \u201c[w]hen House Bill 2482 was declared unconstitutional in Fiorito, it was void ab initio. [Citation.] It was at that point wholly inoperative as though it had never been passed ***.\u201d Van Driel, 47 Ill. 2d at 381-82. Accordingly, an earlier version of the tax statute purportedly repealed by House Bill 2482 remained in effect.\nIn People v. Gersch, 135 Ill. 2d 384 (1990), we again applied the ab initio doctrine, invalidating the conviction of a defendant in a jury trial pursuant to the State\u2019s assertion of a statutory right to a jury trial. We held that our judgment in a prior case declaring the statute unconstitutional rendered it void ab initio. Gersch, 135 Ill. 2d at 390, 399 (citing Schraeberg and Van Driel). We recognized that scholars had been critical of the doctrine, and noted that courts have struggled with the potentially harsh results of its application, particularly where there has been a good-faith reliance on the validity of a statute. Gersch, 135 Ill. 2d at 399. As noted by the majority, we also acknowledged the concerns expressed by the United States Supreme Court in Chicot County Drainage District v. Baxter State Bank, 308 U.S. 371, 84 L. Ed. 329, 60 S. Ct. 317 (1940). 218 Ill. 2d at 461. Nevertheless, we found no persuasive reason to depart from our established precedent. Gersch, 135 Ill. 2d at 401.\nHere, the majority attempts to distinguish Gersch on the basis that its holding was mandated because it was necessary to correct the \u201cwrongs wrought\u201d by the unconstitutional statute. Conversely, the limitations provision at issue here did not perpetrate a wrong against defendants requiring correction. 218 Ill. 2d at 456. The majority dismisses the declaration of the limitations provision\u2019s invalidity as simply \u201ccollateral damage\u201d from the force of the determination in Best v. Taylor Machine Works, 179 Ill. 2d 367 (1997), that the core provisions of Public Act 89 \u2014 7 were unconstitutional. 218 Ill. 2d at 456. This statement ignores the analysis in Best supporting the holding that the entire Act was unconstitutional.\nBest held that the core provisions declared unconstitutional were inseparable from the remainder of Public Act 89 \u2014 7 and, therefore, the legislation must fail in toto. Best, 179 Ill. 2d at 467. The residual provisions, including the limitations period at issue here, were unenforceable because to hold otherwise would amount to judicial legislation in violation of the separation of powers provisions of our constitution (see Ill. Const. 1970, art. II, \u00a7 1). Best, 179 Ill. 2d at 467. We thus were compelled to invalidate the entire Act because of a constitutional requirement sharing importance, in my view, with the determination of special legislation and privacy rights violations supporting our rejection of the Act\u2019s core provisions. Thus, the rationale for holding the limitations provision invalid rests on the same firm constitutional foundation as our analysis on the core provisions. Accordingly, the void ab initio doctrine\u2019s applicability should not be determined by the reason a statute is declared unconstitutional, and the distinction drawn by the majority does not support a departure from our holding in Gersch.\nThe majority also fears a \u201cCatch-22\u201d if individuals must suffer the consequences of relying on the presumptive validity of a legislative enactment later held unconstitutional. 218 Ill. 2d at 459-60. This fear is unwarranted. Presumptive statutory validity is overcome every time we declare a statute unconstitutional. Further, individuals know that legislative powers are limited and that laws enacted outside the range of those powers are void. Thus, prospective litigants must always be aware of the potential for judicial determinations affecting the validity of legislation.\nAs the majority correctly observes, we implicitly applied the void ab initio doctrine in Petersen v. Wallach, 198 Ill. 2d 439 (2002), a case involving the same limitations statute at issue here. 218 Ill. 2d at 458. The complaint in Petersen was filed on November 9, 1998, alleging attorney malpractice in estate planning services rendered in 1989 and 1991 for plaintiff\u2019s mother, who died on November 10, 1996. Best was decided on December 18, 1997. We observed in a footnote:\n\u201cPublic Act 89 \u2014 7 [citation] partially amended section 13 \u2014 214.3 by repealing subsection (d). The public act was held unconstitutional in its entirety by this court in Best v. Taylor Machine Works [citation]. As of this writing, however, the General Assembly has not addressed our holding in Best with regard to section 13 \u2014 214.3 and the text of that section remains in its form prior to our decision in Best.\u201d Petersen, 198 Ill. 2d at 443 n.l.\nWe then construed section 13 \u2014 214.3(d) and determined the plain language of that section required application of its provisions to all cases of attorney malpractice when the injury did not occur until the death of the client, not just those involving probate distributions. Hence, we determined paragraph (d) of the section created an exception to the six-year repose period established in paragraph (c) of the same section (735 ILCS 5/13 \u2014 214.3(c) (West 1994)). We therefore concluded plaintiffs claim was not time-barred, even though it was not asserted within the six-year repose period. Petersen, 198 Ill. 2d at 448. We made this determination despite defendant\u2019s argument that our disposition could lead to an absurd or unjust result, noting \u201c[t]he possibility of an unjust or absurd result is generally not enough to avoid the application of a clearly worded statute.\u201d Petersen, 198 Ill. 2d at 447.\nThe majority dismisses the significance of our holding in Petersen, arguing that we were not asked to consider whether it is appropriate to temper the doctrine\u2019s harsh results. 218 Ill. 2d at 458. Yet the version of the limitations period held unconstitutional in Best did not contain the probate exception to the statute of repose, and would thus have extinguished plaintiff\u2019s action a year before filing it. Presumably, defendant\u2019s attorneys were aware of the application of the void ab initio doctrine, and thus asserted the earlier version of the statute as a defense, rather than attempting to rely on an unconstitutional statute.\nMost recently, we applied the doctrine in Jorgensen v. Blagojevich, 211 Ill. 2d 286, 309 (2004), holding that a statute purportedly eliminating cost-of-living adjustments (COLA) to judicial salaries in 2003 was unconstitutional and void ab initio. The majority distinguishes Jorgensen because it involved the enforcement of an unconstitutional statute rather than a determination of the equities. 218 Ill. 2d at 458-59. Nonetheless, the legislature and the Governor relied on the COLA curtailments in budget planning, and our decision undoubtedly impacted those budgetary presumptions. Our opinion rested, however, purely on constitutional grounds and we did not find the budgetary impact dispositive.\nOur appellate court has also recently applied the void ab initio doctrine in two persuasive opinions. In Hurst v. Capital Cities Media, Inc., 323 Ill. App. 3d 812 (2001), the court applied the void ab initio doctrine to another statute amended by Public Act 89 \u2014 7, section 13 \u2014 217 of the Code of Civil Procedure (735 ILCS 5/13 \u2014 217 (West 2002)). Before the amendment, section 13 \u2014 217 allowed refiling after voluntary dismissal within the later of one year or the expiration of the statute of limitations. Prior to the passage of Public Act 89 \u2014 7, this court held that only one refiling was permitted, despite expiration of the statute of limitations. Flesner v. Youngs Development Co., 145 Ill. 2d 252 (1991). Upon enactment of Public Act 89 \u2014 7, the statute allowed refiling after voluntary dismissal only if the limitations period had not expired.\nThe plaintiff, having twice voluntarily dismissed his case, argued the amendments to section 13 \u2014 217 permitted multiple refilings and were intended to overcome the Flesner holding. The defendant asserted the void ab initio doctrine revived the earlier version of the statute and Flesner was still applicable. The Hurst court rejected plaintiff\u2019s argument that Best should not be applied because he relied in good faith on the new statute, and retroactive application would result in an injustice.\nThe appellate court noted Gersch recognized courts have struggled with the potentially harsh results of the void ab initio doctrine, but nevertheless found no persuasive policy argument for departing from the doctrine and gave no indication that the application of the long-established principle is inapplicable in civil cases. Hurst, 323 Ill. App. 3d at 821. Despite the potential for harsh results, the court held: \u201c[t]he effect of enacting an unconstitutional act is to leave the law in force as it was before the enactment of the unconstitutional act.\u201d Hurst 323 Ill. App. 3d at 822. Consequently, the court held the provisions of section 13 \u2014 217 in effect prior to the enactment of Public Act 89 \u2014 7 were applicable. Hurst, 323 Ill. App. 3d at 822.\nIn Poullette v. Silverstein, 328 Ill. App. 3d 791 (2002), the court applied the earlier version of the limitations statute at issue here to a claim against an attorney who had rendered estate planning services to a client who died in 1997, the same year as Best. The court noted in a footnote that Best had repealed Public Act 89 \u2014 7 in its entirety and, therefore, the prior version of section 13\u2014 214.3 remained in effect. Poullette, 328 Ill. App. 3d at 795 n.l. The court then construed paragraph (d) of the statute to require plaintiff to file suit within six months after admission of the testator\u2019s will to probate, even though it shortened the time to file her claim. Poullette, 328 Ill. App. 3d at 796.\nIt is apparent from this review of Illinois precedent that this court and our appellate court have consistently applied the void ab initio doctrine in both civil and criminal cases from 1912 until 2004, when the appellate court in this case departed from the doctrine on equitable grounds. Despite our Illinois precedent, the majority reviews cases from federal and foreign jurisdictions, finding equitable considerations mandate abandonment of the void ab initio doctrine. 218 Ill. 2d at 461-66. As the majority concedes, other jurisdictions have, however, strictly applied it. 218 Ill. 2d at 460. My research discloses no clear majority rule. I sympathize with the concern for equitable considerations expressed in several opinions critical of the doctrine. Nevertheless, I discern no compelling reason to depart from the void ab initio doctrine.\nThe majority places particular emphasis on the United States Supreme Court\u2019s Chicot County discussion of the potential inequities of a strict application of the doctrine. 218 Ill. 2d at 461. In Chicot County, the Supreme Court was considering whether to apply the doctrine in a collateral challenge to a bankruptcy decree when the bankruptcy court\u2019s determination depended on a statute later held unconstitutional. The Supreme Court noted that lower courts had proceeded on the theory that the unconstitutional statute was inoperative, conferring no rights and imposing no duties. The Court observed:\n\u201cIt is quite clear, however, that such broad statements as to the effect of a determination of unconstitutionality must be taken with qualifications. The actual existence of a statute, prior to such a determination, is an operative fact and may have consequences which cannot justly he ignored. The past cannot always be erased by a new judicial declaration. The effect of the subsequent ruling as to invalidity may have to be considered in various aspects \u2014 with respect to particular relations, individual and corporate, and particular conduct, private and official. Questions of rights claimed to have become vested, of status, of prior determinations deemed to have finality and acted upon accordingly, of public policy in the light of the nature both of the statute and of its previous application, demand examination.\u201d Chicot County, 308 U.S. at 374, 84 L. Ed. at 332-33, 60 S. Ct. at 318-19.\nThe Court then determined that a decision invalidating a statute relied on by the district bankruptcy court did not subject the court\u2019s decree to a collateral attack and that res judicata applied to bar the asserted claim. The Court noted the issue of the validity of the statute was not raised in the bankruptcy proceeding and there was no attempt to review the decree. Chicot County, 308 U.S. at 375-76, 84 L. Ed. at 333, 60 S. Ct. at 319.\nThis case, however, does not involve a collateral attack on a judgment. This is a direct review of the dismissal of a complaint where the application of section 13 \u2014 214.3(d) was raised and fully argued by the parties. Thus, despite the recognition in Chicot County of potential problems caused by the automatic application of the void ab initio doctrine, the holding in that case is not applicable. Issues regarding the finality of judgments are not implicated under the circumstances of this case.\nThe majority also cites a plurality opinion from Chief Justice Burger in Lemon v. Kurtzman, acknowledging the difficulty in attempting to reconcile \u201c \u2018the constitutional interests reflected in a new rule of law with reliance interests founded upon the old.\u2019 \u201d 218 Ill. 2d at 461, quoting Lemon v. Kurtzman, 411 U.S. 192, 198, 36 L. Ed. 2d 151, 160, 93 S. Ct. 1463, 1468 (1973). This difficulty, however, does not compel abandoning the void ab initio doctrine in favor of a case by case ad hoc determination of the importance of equitable concerns. Departure from the doctrine in this case, where the balance of the equities is not as clear-cut as the majority suggests, would create uncertainty in gauging the continued vitality of statutes declared unconstitutional. Inevitably, the majority\u2019s approach will result in holding statutes void in some circumstances, but not in others. Thus, stability in statutory construction will be adversely impacted.\nIn my view, departure from the doctrine is unwarranted because even if it were conceded that it should not be applied in cases where the litigants reasonably relied on statutes later held unconstitutional, the plaintiffs in this case have not demonstrated that their reliance was reasonable. The facts simply do not establish plaintiffs\u2019 reasonable reliance on the limitations provision in Public Act 89 \u2014 7. Plaintiffs could have filed their action after learning of the alleged malpractice anytime prior to the estate claim date, April 26, 1996. They chose not to file, even though constitutional challenges to Public Act 89 \u2014 7 were filed immediately after its passage and were widely reported in legal publications. See, e.g., C. Rodin, With \u201cTort Reform\u201d Rush Over, Judicial Review Can Proceed, Chi. Daily L. Bull., April 22, 1995, at 22; J. Zimmerman, A Review of the Illinois Civil Justice Reform Act of 1995, 83 Ill. B.J. 282 (1995). Further, the circuit court of Madison County, in two cases consolidated for review by this court in Best, held the entire Act unconstitutional, noting that the Act constituted a \u201cwholesale reconstruction of the judiciary.\u201d See Best, 179 Ill. 2d at 380. Thus, long before a definitive pronouncement by this court, a prudent attorney could have taken notice that reliance on any provisions of the Act could be problematic.\nAdditionally, plaintiffs\u2019 action remained pending in the circuit court of Cook County from its filing on January 8, 1998, until they voluntarily dismissed it on September 5, 2001, nearly three years later and four years after publication of Best. The case was refiled in Lake County on April 10, 2002. Our decision in Petersen, applying the void ab initio doctrine, was filed January 25, 2002. Thus, it is not surprising that defendants pleaded the earlier statute of limitations as a defense in response to the refiled complaint. It cannot be reasonably suggested that defendants\u2019 assertion of the limitations defense was unwarranted when this court had again applied the void ab initio doctrine and validated the earlier version of the statute just three months before plaintiffs\u2019 refiling. Indeed, it would seem that plaintiffs might have avoided the entire problem presented by this case had they not dismissed the Cook County action. Under these circumstances, I do not believe the equities weigh so heavily in favor of plaintiffs that departure from the long established void ab initio doctrine is merited. Accordingly, I respectfully dissent.\nCHIEF JUSTICE THOMAS joins in this dissent.",
        "type": "dissent",
        "author": "JUSTICE KILBRIDE,"
      }
    ],
    "attorneys": [
      "Gino L. DiVito and Daniel I. Konieczny, of Tabet, Di-Vito & Rothstein, L.L.C., of Chicago, for appellants.",
      "Thomas W Gooch III and Melissa G. Massey, of Wauconda, for appellees."
    ],
    "corrections": "",
    "head_matter": "(No. 98909.\nDEENA PERLSTEIN et al., Appellees, v. MAURICE WOLK et al., Appellants.\nOpinion filed February 17, 2006.\nGino L. DiVito and Daniel I. Konieczny, of Tabet, Di-Vito & Rothstein, L.L.C., of Chicago, for appellants.\nThomas W Gooch III and Melissa G. Massey, of Wauconda, for appellees."
  },
  "file_name": "0448-01",
  "first_page_order": 458,
  "last_page_order": 491
}
