Court Opinion

ID: 6104710
Source: CourtListenerOpinion
Date Created: 2022-01-19 21:03:36.205154+00
Date Added: 2024-06-11T08:53:45.561015
License: Public Domain

2022 IL App (3d) 170014

                                Opinion filed January 18, 2022
      ____________________________________________________________________________

                                                  IN THE

                                   APPELLATE COURT OF ILLINOIS

                                            THIRD DISTRICT

                                                    2022

      In re MARCUS S.,                       )     Appeal from the Circuit Court
      a Person Found Subject to Involuntary  )     of the 13th Judicial Circuit,
      Commitment and Involuntary Medication  )     La Salle County, Illinois.
                                             )
                                             )
                                             )     Appeal No. 3-17-0014
                                             )     Circuit No. 16-MH-11
      (The People of the State of Illinois,  )
                                             )
             Petitioner-Appellee,            )     The Honorable
                                             )     H. Chris Ryan, Jr.
             v.                              )     Judge, Presiding.
                                             )
      Marcus S.,                             )
                                             )
             Respondent-Appellant).          )
      ____________________________________________________________________________

            JUSTICE HOLDRIDGE delivered the judgment of the court, with opinion.
            Justice Lytton concurred in the judgment and opinion.
            Justice Schmidt dissented, with opinion.
      ____________________________________________________________________________

                                                OPINION

¶1          The trial court ordered the respondent-appellant, Marcus S., subject to involuntary

     commitment at an inpatient mental health treatment facility and to involuntary treatment through

     the administration of psychotropic medications. Marcus appeals those judgments, arguing that

     (1) the State’s petitions for involuntary commitment and involuntary treatment were untimely,
     (2) the State failed to present evidence as to certain essential elements of the involuntary

     commitment and involuntary medication statutes in the Mental Health and Developmental

     Disabilities Code (Code) (405 ILCS 5/1-100 et seq. (West 2016)) and otherwise failed to satisfy

     various mandatory requirements of those statutes, and (3) his trial counsel provided ineffective

     assistance of counsel.

¶2                                                 FACTS

¶3          Marcus is also the appellant in In re Marcus S., 2022 IL App (3d) 160710, which had

     initially been consolidated with this appeal. In that case, Marcus appeals involuntary

     commitment and treatment orders that were issued by the circuit court of Peoria County shortly

     before the orders of the circuit court of La Salle County at issue in this case. Pursuant to the

     Peoria circuit court’s orders, Marcus was committed to Unity Point Methodist Hospital (Unity

     Point) in Peoria for a period up to 90 days where he received mental health treatment, including

     the involuntary administration of psychotropic medications. We will repeat facts stated in the

     Peoria appeal only as necessary to explicate the issues presented in this appeal.

¶4          On December 3, 2016, 32 days after the involuntary commitment and medication orders

     were entered by the circuit court of Peoria County, Marcus S. was involuntarily admitted to OSF

     St. Elizabeth Medical Center in Ottawa (OSF) for psychiatric care. According to Dr. Joseph

     Chuprevich, Marcus’s treating psychiatrist at OSF, Unity Point “let [Marcus] go and a week

     later he ended up at St. Francis emergency room” in Peoria. Dr. Chuprevich stated that Unity

     Point did not want Marcus back, so OSF was contacted. Although Dr. Chuprevich acknowledged

     the possibility that Marcus was still under a court order for ongoing treatment, neither Marcus’s

     counsel, nor the State, nor the trial court investigated the issue further or sought to obtain

     Marcus’s prior court records.

                                                       2
¶5           OSF filed a petition for involuntary commitment under the Code on December 22, 2016,

     19 days after Marcus was involuntarily admitted to OSF. Accordingly, the petition was untimely.

     In addition, the petition did not name any of Marcus’s relatives, as mandated by the Code. No

     one testified that Marcus was ever given a copy of the petition, as required by the Code. 1

     Marcus’s counsel did not object to the State’s violations of the Code. He did not argue that the

     petition was untimely or deficient in any respect. Nor did he suggest that the State had failed to

     prove that the petition had been given to Marcus or that any other mandatory procedural and

     substantive requirements of the Act were not satisfied.

¶6           On the same day, Dr. Chuprevich filed a petition for involuntary medication under the

     Code. The petition consisted of a preprinted form that merely listed the allegations that must be

     included in a petition for involuntary treatment under the Code (i.e., it simply listed the statutory

     elements and the legal and factual conclusions that must be proven to obtain an order for

     involuntary treatment). Although the petition directed the preparer to “briefly explain reasons

     [why the] individual meets the criteria for each of the following [statutory elements],” Dr.

     Chuprevich included a reason for only one element, i.e., that other, less restrictive services were

     explored and found inappropriate “because of non-compliance.” The State provided no reasons

     in support of the other required elements. Nevertheless, Marcus’s counsel did not move to

     dismiss the petition for failing to state a cause of action.

¶7           The trial court appointed a La Salle County public defender to represent Marcus and

     ordered the State to provide a typed predisposition report as required by section 3-810 of the

     Code (405 ILCS 5/3-810 (West 2016)). In response, the State filed a one-page form preliminary

             1
                Although a mental health counselor testified that she read and provided Marcus with a copy of
     his rights on December 21, 2016, she did not testify that she provided Marcus a copy of the State’s
     petition on that date.
                                                         3
     treatment plan with handwritten information filled in. Marcus’s counsel did not object to the

     State’s failure to file a complete predisposition report that fully complied with section 3-810’s

     requirements.

¶8          During the commitment hearing, Dr. Chuprevich testified that he began treating Marcus

     on December 4, 2016. Thereafter, Dr. Chuprevich and a nurse practitioner saw Marcus on an

     alternative basis. Dr. Chuprevich diagnosed Marcus as suffering from a schizoaffective disorder

     with delusional thinking. He defined a “delusion” as a “firm, fix[ed], false belief” that evidence

     to the contrary does not dissuade. Dr. Chuprevich opined that Marcus had “delusional-type

     thinking” because Marcus was “firmly convinced that his father cuts the vaginas out of deer” that

     he has killed and “puts them up on a board,” and Marcus could not be dissuaded from these false

     beliefs. However, Dr. Chuprevich acknowledged that he had not spoken with Marcus’s family.

     Dr, Chuprevich further believed that Marcus had “disorganized thinking” because he planned to

     live with the Amish and work as a mason.

¶9          Dr. Chuprevich testified that he had spoken with Marcus’s parole officer, who told Dr.

     Chuprevich that he went to Marcus’s house at some unidentified time and found cat feces and

     things that were not “taken care of.” He also told Dr. Chuprevich that Marcus had some prior

     trouble with the legal system. Dr. Chuprevich opined that Marcus might get into trouble again if

     he were not treated on an inpatient basis. He stated that he did not know whether Marcus had the

     “wherewithal” mentally or financially to provide for his needs. Although Dr. Chuprevich stated

     that an intermediate care facility for the mentally ill would be a “great stepping stone” to

     independent living,” Dr. Chuprevich believed it would be inadequate for Marcus because

     “outpatient has failed repeatedly.” He recommended that Marcus be committed for 90 days to

     “Environmental Health as part of the Department of Human Services.” The state’s attorney did

                                                      4
       not ask Dr. Chuprevich about the one-page treatment plan and did not seek to amend the plan to

       make it a complete written predisposition report.

¶ 10          Marcus testified on his own behalf. He gave the address of his home in Canton, the

       correct name of his parole officer, and the name of the master mason for whom he was hoping to

       work. He explained that he had been hospitalized at Unity Point pursuant to a court order after he

       was denied permission to sign into that facility as a voluntary patient. He stated that he had been

       begging his doctor not to force him into court because he did not want to have to deal with

       another “kangaroo court” like the one that had committed him to Unity Point.

¶ 11          The trial court found Marcus subject to involuntary commitment at “McFarland Mental

       Health-DHS” due to his inability to provide for his basic needs and his refusal of treatment.

¶ 12          The involuntary medication hearing commenced immediately thereafter. The State

       questioned Dr. Chuprevich about the risks and benefits of the three medications he was asking to

       prescribe (Haldol, Cogentin, and Depakote), whether the benefits of those drugs outweighed

       their risks, and what tests were necessary for the safe and effective administration of the

       medications. However, the State did not ask Dr. Chuprevich about Marcus’s capacity to make a

       reasoned decision to accept or refuse medication. Nor did it ask him any questions relating to the

       other required elements of the involuntary medication statute. For example, the State did not ask

       Dr. Chuprevich whether written medication information had been provided to Marcus. Marcus’s

       counsel did not object to the State’s lack of proof on these issues.

¶ 13          Dr. Chuprevich testified that he knew Marcus had been on Haldol before and he thought

       that Marcus might have been ordered by a court to take Haldol. However, Dr. Chuprevich stated

       that he had not investigated Marcus’s records. Neither Marcus’s counsel, nor the state’s attorney,

                                                         5
       nor the trial court paused the proceedings so that Marcus’s records could be obtained and

       examined.

¶ 14          Marcus testified he was concerned about the risks of impotence and death that are

       associated with Haldol. He stated that he had previously had a bad reaction to Haldol during

       which he “couldn’t breathe,” vomited copious amounts of phlegm, and thought he was “dying.”

       Marcus testified that he took Cogentin in an effort to alleviate these bad side effects but that

       Cogentin “doesn’t do a thing” and “just destroys you impotently [sic].” Marcus testified that his

       experience with Depakote was that “it made you act like a zombie.” Marcus characterized Dr.

       Chuprevich as a “bully” who had been “strong arming” Marcus the entire time he had been his

       patient. He stated that Dr. Chuprevich “has not discussed anything with me” and that he had been

       forcing Marcus to take long-acting Haldol shots and Cogentin even though Haldol was on

       Marcus’s allergies list. Neither the State nor Marcus’s counsel asked Dr. Chuprevich about his

       basis for administering involuntary medication to Marcus before obtaining a court order.

¶ 15          The trial court found Marcus subject to involuntary medication for a period up to 90 days.

       It found that the treatments proposed by Dr. Chuprevich were “not unreasonable” and were in

       Marcus’s best interest. It further found that the State had proven that Marcus lacked the capacity

       to make a reasoned decision about his treatment even though Dr. Chuprevich had presented no

       opinion to that effect. The trial court did not advise Marcus of his right to appeal its involuntary

       commitment and medication orders as required by section 3-816(b) of the Code, which requires

       the court to provide such notice both orally and in writing. Id. § 3-816(b). Nevertheless, Marcus

       filed this timely appeal.

¶ 16                                              ANALYSIS

¶ 17               1. The State’s Failure to Comply With the Involuntary Admission Statute

                                                         6
¶ 18          Marcus argues that the State failed to satisfy certain mandatory requirements of the

       involuntary admission statutes in the Code. We agree.

¶ 19          Section 3-601(b)(2) of the Code (id. § 3-601(b)(2)) requires the State either to include the

       names and contact information of Marcus’s family members in the involuntary admission

       petition or, if no such names are provided in the petition, to identify the steps taken to make a

       diligent inquiry to identify and locate any such family members. The State did neither. Failure to

       provide this information rendered the State’s petition fatally defective and the trial court’s

       commitment order reversible. In re Lance H., 402 Ill. App. 3d 382, 387-89 (2010).

¶ 20          Further, the State failed to file a predisposition report as required by section 3-810 of the

       Code (405 ILCS 5/3-810 (West 2016)). The predisposition report must include (1) information

       on the appropriateness and availability of alternative treatment settings; (2) a social investigation

       of the respondent; and (3) a detailed preliminary treatment plan that addresses the respondent’s

       problems and needs, treatment goals, proposed treatment methods, and a projected timetable for

       the attainment of the treatment goals. Id. The State filed no written predisposition report.

       Moreover, although there was testimony supplying some of the information required by a

       predisposition report, such testimony did not provide all of the information required by section 3-

       810 of the Code. For example, Dr. Chuprevich was asked whether he believed that Marcus could

       be released into any less restrictive facility than Unity Point, and he answered “no.” Such

       conclusory, cursory testimony is insufficient. In re Daryll C., 401 Ill. App. 3d 748 (2010).

¶ 21          This procedural and evidentiary failure requires reversal of the State’s petition for

       involuntary commitment. Because we reverse the trial court’s involuntary commitment order, we

       must also reverse the involuntary medication order, which was contingent upon the Marcus

                                                         7
       receiving inpatient care pursuant to the commitment order. In re John N., 364 Ill. App. 3d 996,

       998-99 (2006). The State concedes this point.

¶ 22          Accordingly, we could resolve the appeal on this ground alone. However, the State’s

       involuntary medication petition was also patently inadequate and riddled with reversible errors,

       and Marcus’s trial counsel did little or nothing to address many of them. Because these types of

       flagrant mistakes, utter disregard of the Code’s requirements, and dereliction of duty by trial

       courts and counsel for both parties recur with disturbing regularity, we choose to address the

       involuntary medication order as well.

¶ 23               2. The State’s Failure to Comply With the Involuntary Treatment Statute

¶ 24          The trial court erred in ordering the involuntary administration of three drugs because the

       State failed to comply with several mandatory requirements of the Code’s involuntary treatment

       statute (405 ILCS 5/2-107 (West 2016)). Specifically, the State failed to establish that (1) Marcus

       lacked the capacity to make a reasoned decision about the proposed treatment and (2) the

       benefits of each requested medication outweighed its potential harm.

¶ 25          The administration of involuntary mental health services entails a “ ‘massive curtailment

       of liberty.’ ” In re Barbara H., 183 Ill. 2d 482, 496 (1998) (quoting Vitek v. Jones, 445 U.S. 480,

       491 (1980)); see also In re Torry G., 2014 IL App (1st) 130709, ¶ 31 (“Autonomous

       decisionmaking in matters affecting the body and mind is one of the most valued liberties in a

       civilized society.” (Internal quotation marks omitted.)). When the State seeks to forcibly

       administer psychotropic medication to an individual, the interference with the individual’s liberty

       is “ ‘particularly severe.’ ” In re Robert S., 213 Ill. 2d 30, 46 (2004) (quoting Riggins v. Nevada,

       504 U.S. 127, 134 (1992)). Under the due process clause of the fourteenth amendment to the

       United States Constitution (U.S. Const., amend. XIV), a mentally ill person has a liberty interest

                                                        8
       to refuse medical treatment, including the administration of psychotropic medications. In re C.E.,

       161 Ill. 2d 200, 213 (1994). However, this liberty interest is balanced against the State’s

       legitimate parens patriae interest in furthering the treatment of a mentally ill person who lacks

       the capacity to make a reasoned decision concerning his or her need for such medication.

¶ 26          In 1991, the legislature enacted the involuntary-treatment statute of the Code (Ill. Rev.

       Stat. 1991, ch. 91½, ¶ 2-701.1 (now codified at 405 ILCS 5/2-107.1)) as a mechanism for

       determining when psychotropic medication may be administered over an individual’s objections.

       Section 2-107.1(a-5)(4) provides that psychotropic medication shall not be involuntarily

       administered to a patient unless all of the following factors are present:

                      “(A) That the recipient has a serious mental illness or developmental

              disability.

                      (B) That because of said mental illness or developmental disability, the

              recipient currently exhibits any one of the following: (i) deterioration of his or her

              ability to function, as compared to the recipient’s ability to function prior to the

              current onset of symptoms of the mental illness or disability for which treatment

              is presently sought, (ii) suffering, or (iii) threatening behavior.

                      (C) That the illness or disability has existed for a period marked by the

              continuing presence of the symptoms set forth in item (B) of this subdivision

              (4) or the repeated episodic occurrence of these symptoms.

                      (D) That the benefits of the treatment outweigh the harm.

                      (E) That the recipient lacks the capacity to make a reasoned decision about

              the treatment.

                                                         9
                       (F) That other less restrictive services have been explored and found

               inappropriate.

                       (G) If the petition seeks authorization for testing and other procedures, that

               such testing and procedures are essential for the safe and effective administration

               of the treatment.” 405 ILCS 5/2-107.1(a-5)(4) (West 2016).

       Section 2-107.1 serves as the legal standard for balancing an individual’s liberty interests and the

       State’s interest in treating persons with mental illnesses. The Illinois Supreme Court upheld the

       constitutionality of section 2-107.1, in part, because the statute is “narrowly-tailored” to balance

       individual liberty against the State’s interest and because the statute’s “strict standards” “must be

       satisfied by clear and convincing evidence before medication can be ordered” on an involuntary

       basis. C.E., 161 Ill. 2d at 218.

¶ 27           Whether there was compliance with a statutory provision presents a question of law,

       which we review de novo. In re Nicholas L., 407 Ill. App. 3d 1061, 1072 (2011). However, a

       reviewing court will not reverse a trial court’s determination as to the sufficiency of the evidence

       unless it is against the manifest weight of the evidence. In re Laura H., 404 Ill. App. 3d 286, 290

       (2010). A judgment is against the manifest weight of the evidence only where the opposite

       conclusion is apparent or where the findings appear to be unreasonable, arbitrary, or not based on

       the evidence. Id.

¶ 28           Here, the State did not satisfy several of section 2-107.1’s mandatory requirements for

       the involuntary administration of psychotropic medication. As the State concedes, it failed to

       demonstrate that Marcus lacked the capacity to make a reasoned decision about his treatment.

       The State never asked Dr. Chuprevich about Marcus’s incapacity to make a reasoned decision

       regarding the administration of psychotropic medications, and Dr. Chuprevich did not offer an

                                                        10
       opinion on that issue. The State could not demonstrate that Marcus lacked such capacity without

       showing, inter alia, that Marcus had received written notice of the risks and benefits of, and

       alternatives to, the proposed medications, as required by section 2-102(a-5) of the Code (405

       ILCS 5/2-102(a-5) (West 2016)). “ ‘If such [written] notice is not given, then the State cannot

       establish that a respondent lacks the capacity to make a “reasoned decision” about treatment,

       because the written notice forms the basis upon which such a decision can be made.’ ” In re

       Wilma T., 2018 IL App (3d) 170155, ¶ 23 (quoting In re Katarzyna G., 2013 IL App (2d)

       120807, ¶¶ 16-17); see also Tiffany W., 2012 IL App (1st) 102492-B, ¶ 22; In re Linda K., 407

       Ill. App. 3d 1146, 1153 (2011), overruled on other grounds, In re Rita P., 2014 IL 115798,

       ¶¶ 33-34. No one testified that Marcus received such mandatory written notice, and the State

       concedes that no such notice was provided. Accordingly, as a matter of law, the State failed to

       demonstrate that Marcus lacked the capacity to make a reasoned decision about his own medical

       treatment. For this reason alone, the trial court committed reversible error by approving the

       State’s involuntary medication petition. Wilma T., 2018 IL App (3d) 170155, ¶ 23; Tiffany W.,

       2012 IL App (1st) 102492-B, ¶ 22. 2 The Code’s written notice requirement demands strict

       compliance. It may not be waived (Tiffany W., 2012 IL App (1st) 102492-B, ¶ 14) or satisfied by

       anything less than complete written notice of all the information listed in the statute, including

       alternatives to medication (Wilma T., 2018 IL App (3d) 170155, ¶ 23; Linda K., 407 Ill. App. 3d

       at 1153-34).

¶ 29           Further, there was evidence that Marcus had the capacity to make a reasoned decision

       about his treatment. During the trial, Marcus testified cogently and showed an awareness of the

               2
                 When asked at trial whether he believed that Marcus had the capacity to make a reasoned
       decision whether to take the proposed psychotropic medications, Dr. Chuprevich answered, “No.” This
       unsupported, conclusory opinion is insufficient as a matter of law to establish a lack of capacity. In re
       Larry B., 394 Ill. App. 3d 470, 477 (2009).
                                                           11
       side effects of Cogentin and Depakote, and he testified about the prior bad experiences he had

       had on those drugs. A person does not lack the capacity to make treatment decisions merely

       because he has a mental illness (In re Alaka W., 379 Ill. App. 3d 251, 265 (2008); In re Phyllis

       P., 182 Ill. 2d 400, 401 (1998)) or because he disagrees with his doctor’s proposed treatment

       (In re Nicholas L., 407 Ill. App. 3d at 1076). Marcus’s testimony and the other evidence

       presented at trial suggested that Marcus had the capacity to make a reasoned decision about his

       treatment. See In re Israel, 278 Ill. App. 3d 24, 37 (1996); In re Hatsuye T., 293 Ill. App. 3d at

       1052.

¶ 30           In addition, the State failed to prove by clear and convincing evidence that the benefits of

       Dr. Chuprevich’s proposed medication treatments outweighed the harm of those treatments, as

       required by section 2-107.1(a-5)(4)(D) of the Code (405 ILCS 5/2-107.1(a-5)(4)(D) (West

       2016)). Dr. Chuprevich testified that he was only sure that one of the medications he proposed

       (Depakote) would help Marcus. Although he testified that the benefits of the proposed

       medications outweighed their harmful side effects, his testimony on this matter was wholly

       conclusory and therefore inadequate. Accordingly, the State failed to prove that the benefits of

       two of the proposed drugs, Haldol and Cogentin, outweighed the serious harms that they could

       cause Marcus, especially given his history of suffering severe side effects of those drugs. To

       comply with section 2-107.1’s requirements, the State had to provide evidence of the benefits

       and harms of each of the proposed drugs (Alaka W., 379 Ill. App. 3d at 263) and had to show that

       the benefits of each drug outweighed its harms (In re C.S., 383 Ill. App. 3d 449, 452-53 (2008)).

       If only one medication on a proposed medication package does not satisfy this requirement, then

       the entire medication package must fail. C.S., 383 Ill. App. 3d at 452-53; In re Mary Ann P., 202

       Ill. 2d 393, 405-06 (2002). The legislature did not intend the courts to authorize less than what

                                                        12
       the treating doctor prescribed or to otherwise engage in selective authorization of psychotropic

       medication. Mary Ann P., 202 Ill. 2d at 405-06. 3

¶ 31          Because these errors and omissions require reversal of the State’s involuntary treatment

       petition, we need not address the State’s alleged failure to satisfy other required elements of the

       involuntary medication statutes. However, we note, once again, that we find it alarming that

       these types of fundamental and obvious errors occur. The Code provides that the state’s attorney

       “shall ensure that petitions, reports and orders [filed pursuant to the Code] are properly

       prepared.” 405 ILCS 5/3-101 (West 2016). The state’s attorney utterly failed to fulfill this

       obligation in this case. For that reason, the involuntary commitment and medication orders must

       be reversed.

¶ 32                                  3. Ineffective Assistance of Counsel

¶ 33          Marcus also argues that his trial counsel provided ineffective assistance during the

       involuntary admission and involuntary medication proceedings. We agree. Respondents facing

       involuntary commitment or involuntary admission of psychotropic medication have a statutory

       right to counsel under the Code. Id. § 3-805; In re Barbara H., 183 Ill. 2d at 493-94. This right to

       counsel includes the right to effective assistance of counsel; anything less would render the

       statutory guarantee of counsel a mere “hollow gesture serving only superficially to satisfy due

       process requirements.” (Internal quotation marks omitted.) In re Tara S., 2017 IL App (3d)

       160357, ¶ 17. In determining whether counsel has effectively tested the State’s case in

       proceedings under the Code, our appellate court applies the Strickland standard. See Strickland v.

       Washington, 466 U.S. 668 (1984). To establish ineffective assistance under this standard, a

              3
               Dr. Chuprevich did not review Marcus’s past medical records, which would have shown
       Marcus’s prior reactions to Haldol and Cogentin.
                                                        13
       respondent must show that his counsel’s performance was deficient (i.e., that he committed

       errors so serious that he was not functioning as counsel as contemplated by the Code) and

       (2) counsel’s errors were so prejudicial as to deprive the respondent of a fair hearing. In re Tara

       S., 2017 IL App (3d) 160357, ¶ 19. Of “paramount importance” in involuntary health

       proceedings is whether respondent’s counsel held the State to its burden of proof and to its

       procedural requirements. In re Sharon H., 2016 IL App (3d) 140980, ¶ 42.

¶ 34          Marcus contends that his counsel provided ineffective assistance in this case by:

       (1) failing to object to the lack of factual basis for Dr. Chuprevich’s testimony that Marcus met

       the statutory criteria for involuntary commitment, (2) failing to object to the State’s failure to

       present evidence as to each required element of the involuntary treatment statute, and (3) failing

       to hold the state to various other procedural and substantive requirements of the Code. We agree

       that Marcus’s counsel was ineffective.

¶ 35          The State failed to comply with several mandatory requirements of the Code without

       meeting any challenge or objection from Marcus’s counsel. As noted above, section 3-601(b)(2)

       of the Code (405 ILCS 5/3-601(b)(2) (West 2016)) requires the State either to include the names

       and contact information of Marcus’s family members in the involuntary admission petition or, if

       no such names are provided in the petition, to identify the steps taken to make a diligent inquiry

       to identify and locate any such family members. The State did neither. Failure to provide this

       information rendered the State’s petition fatally defective. In re Lance H., 402 Ill. App. 3d at

       387-89. Nevertheless, Marcus neither objected to the deficiencies in the State’s petition nor

       moved to dismiss the petition. Marcus’s counsel’s failure to notify the trial court that the State’s

       petition was defective amounted to ineffective assistance. See In re Jessica H., 2014 IL App

       (4th) 130399, ¶¶ 26, 35.

                                                         14
¶ 36          Further, as noted, the State failed to file a predisposition report as required by section 3-

       810 of the Code (405 ILCS 5/3-810 (West 2016)). Nor did the State present testimony that could

       have sufficed in lieu of a predisposition report. The conclusory, cursory testimony presented by

       the State does not satisfy section 3-810’s mandatory requirements. See, e.g., In re Daryll C., 401

       Ill. App. 3d 748 (2010). When a respondent’s counsel fails to object to the State’s failure to file a

       proper predisposition report, he can be found ineffective (id.; see also Alaka W., 379 Ill. App. 3d

       at 270-71), particularly where, as here, the State did not present testimony as to each of the

       required elements of a predisposition report.

¶ 37          In addition, as the State concedes, the State failed to prove that Marcus was provided

       with all of the statutorily required written information on the side effects, risks, benefits, and

       alternatives to each of the proposed medications. Marcus’s counsel’s failure to object to the

       State’s lack of evidence on this dispositive issue was also ineffective assistance. Marcus had a

       due process right not to be medicated on an involuntary basis unless the State proved that he

       lacked the capacity to make a reasoned decision about his own medical treatment. In re Richard

       C., 329 Ill. App. 3d 1090, 1094-95 (2002); Larry B., 394 Ill. App. 3d at 476-77. The State could

       not prove that Marcus lacked that capacity without first demonstrating that he had received all of

       the information required by the Code as to each proposed medication. Wilma T., 2018 IL App

       (3d) 170155, ¶ 23 (citing Katarzyna G., 2013 IL App (2d) 120807, ¶¶ 16-17); see also Tiffany

       W., 2012 IL App (1st) 102492-B, ¶ 22. By failing to object to the State’s failure of proof on this

       issue, Marcus’s counsel failed to protect Marcus’s fundamental due process right.

¶ 38          Because these blatant errors were so prejudicial as to render Marcus’s counsel

       ineffective, we need not address the several other serious errors allegedly committed by

       Marcus’s counsel.

                                                         15
¶ 39                                              4. Forfeiture

¶ 40          The State argues that each of the errors alleged by Marcus was forfeited because

       Marcus’s counsel did not object to any of the errors before the trial court and Marcus does not

       argue that these errors are reviewable under the plain error doctrine. This argument fails.

       Forfeiture is a limitation on the parties, not the reviewing court. In re Amanda H., 2017 IL App

       (3d) 150164, ¶ 43. Finding forfeiture would be inappropriate in this case given the State’s

       complete failure to observe the Code’s mandatory provisions that safeguard the respondent’s

       liberty and due process rights. If a respondent fails to object to violations of the Code committed

       by the State, he may not appeal the State’s lack of “strict compliance” with the Code; however,

       he retains the right to appeal the State’s total noncompliance with those requirements. Id. Cases

       finding forfeiture of procedural errors in involuntary commitment or medication proceedings

       under the Code usually involve errors that were harmless under the circumstances presented.

       See, e.g., In re Nau, 153 Ill. 2d 406 (1992) (counsel’s failure to object to allegedly improper

       notice of involuntary commitment hearing forfeited the issue where the respondent actually

       appeared at the hearing with his counsel, thereby negating any claim of prejudice). However, the

       errors committed in this case cannot be said to be harmless, and our appellate court has held that

       some of the errors alleged in this case cannot be forfeited. See, e.g., In re Robin C., 395 Ill. App.

       3d 958, 965 (2009) (holding that the State’s total failure to meet section 3-810 requirements

       regarding a predisposition report is an error that is “neither harmless nor forfeited”); Tiffany W.,

       2012 IL App (1st) 102492-B, ¶ 14 (holding that the State’s failure to prove that the respondent

       received complete written information as to all the risks and benefits of each requested

       medication and alternatives thereto could not be forfeited).

                                                        16
¶ 41                                               5. Mootness

¶ 42          The State further argues that we should dismiss this appeal as moot. The 90-day

       commitment order that is the subject of this appeal has already expired, and Marcus has been

       discharged from treatment. Accordingly, this appeal is moot. Robert S., 213 Ill. 2d at 45; see also

       In re J.T., 221 Ill. 2d 338, 349-50 (2006) (an appeal is moot where it presents no actual

       controversy or where the issues raised in the trial court no longer exist, rendering it “impossible

       for the reviewing court to grant effectual relief to the complaining party”).

¶ 43          Generally, courts of review do not decide moot questions, render advisory opinions, or

       consider issues where the result will not be affected by the court’s decision. In re Alfred H.H.,

       233 Ill. 2d 345, 351 (2009). However, there are three established exceptions to the mootness

       doctrine: (1) the “public interest” exception, applicable where the case presents a question of

       public importance that will likely recur and whose answer will guide public officers in the

       performance of their duties; (2) the “capable of repetition” exception, applicable to cases

       involving events of short duration that are capable of repetition, yet evading review; and (3) the

       “collateral consequences exception,” applicable where the involuntary treatment order could

       return to plague the respondent in some future proceedings or affect other aspects of the

       respondent’s life. Id. at 355-62. Whether a particular appeal falls within one of these exceptions

       to the mootness doctrine must be determined on a case-by-case basis, considering each exception

       in light of the relevant facts and legal claims raised in the appeal. Id. at 364; see also Daryll C.,

       401 Ill. App. 3d at 752.

¶ 44          We find that the “capable of repetition” exception applies in this case. That exception has

       two elements. First, the challenged action “must be of a duration too short to be fully litigated

       prior to its cessation.” Alfred H.H., 233 Ill. 2d at 358. Second, “there must be a reasonable

                                                         17
       expectation that ‘the same complaining party would be subjected to the same action again.’ ” Id.

       (quoting Barbara H., 183 Ill. 2d at 491). In the present case, there is no question that the first

       element has been met. As noted, the challenged orders were limited to 90 days, and the parties

       agree that the orders could not have been fully litigated prior to their cessation.

¶ 45          Thus, the only question is whether there is a reasonable expectation that the respondent

       will be subject to the same action again. That occurs when the resolution of the issue raised in

       the present case, and any resolution thereof, would be likely to “affect a future case involving

       [the] respondent” or to “have some bearing on a similar issue presented in a subsequent case”

       involving the respondent. Id. at 359, 360; see also Wilma T., 2018 IL App (3d) 170155. For

       example, if the respondent’s appeal raises a constitutional issue or challenges the trial court’s

       interpretation of a statute, the exception applies because the court’s resolution of these issues

       could affect the respondent in subsequent commitment proceedings. Id.; see also In re E.F., 2014

       IL App (3d) 130814, ¶¶ 36-41; In re Jonathan P., 399 Ill. App. 3d 396, 400-01 (2010). However,

       an appeal that merely challenges the sufficiency of the evidence presented in a particular case

       will not suffice because any subsequent case involving the respondent will involve different

       evidence and will require an independent determination of the sufficiency of that evidence.

       Alfred H.H., 233 Ill. 2d at 360.

¶ 46          Because of Marcus’s history of mental illness and involuntary hospitalizations and

       treatments, it reasonably likely that he will face additional involuntary admission and medication

       orders in the future. See, e.g., In re Joseph M., 405 Ill. App. 3d 1167, 1175 (2010) (finding

       likelihood of recurrence and applying capable of repetition exception to mootness where

       respondent had a history of mental illness and had been subject to

       prior involuntary admissions); In re Julie M., 2019 IL App (4th) 180753, ¶ 25. Marcus was

                                                         18
       subject to involuntary commitment and involuntary medication orders in Peoria County only 32

       days before the orders at issue in this case were entered. The Peoria County circuit court orders

       are the subject of In re Marcus S., 2022 IL App (3d) 160710. In the Peoria County case, the trial

       court, state’s attorney, and Marcus’s counsel many of the same errors at issue in the instant

       case. 4 That makes the argument for review under the “capable of repetition” exception

       particularly strong in this case. In re Wilma T., 2018 IL App (3d) 170155, ¶ 14 (taking judicial

       notice of prior involuntary commitment case wherein the same error was committed and ruling

       that “[t]he fact that the same problem has affected respondent twice shows that this issue could

       affect her again in future proceedings”); see generally In re Eric H., 399 Ill. App. 3d 831, 833

       (2010) (applying “public interest” mootness exception in consolidated mental health appeals and

       finding that the fact that the trial court repeated the same course in successive petitions suggested

       “the likelihood of a recurrence”).

¶ 47           As Marcus correctly notes, the State and the trial court failed to comply with certain

       procedural and substantive requirements of the Code. Specifically, the trial court erred by

       granting the involuntary medication petition even though (1) the State failed to present evidence

       that Marcus had received written notice of the risks and benefits of, and alternatives to, the

               4
                 The State argues that we may not consider the Peoria County circuit court case because the
       record of that case was not included in the record on appeal in the instant case. This argument is
       unavailing. We may take judicial notice of the record in another case involving the same party or of
       public documents contained in the record of any other judicial proceeding if doing so would aid us in
       deciding the instant appeal. In re Wilma T., 2018 IL App (3d) 170155, ¶ 14 (taking judicial notice of prior
       involuntary commitment case involving the same respondent and the same error); Goran v. Glieberman,
       276 Ill. App. 3d 590, 596 (1995) (taking judicial notice of records in consolidated cases); see also
       Metropolitan Life Insurance Co. v. American National Bank & Trust Co., 288 Ill. App. 3d 760, 764
       (1997); People v. Davis, 65 Ill. 2d 157, 161 (1976). We may do so sua sponte, i.e., even if the parties did
       not seek judicial notice in the trial court. In re N.G., 2018 IL 121939, ¶ 32; State Farm Fire & Casualty
       Co. v. Watts Regulator Co., 2016 IL App (2d) 160275, ¶ 40.

                                                           19
       proposed medications, as required by section 2-102(a-5) of the Code (405 ILCS 5/2-102(a-5)

       (West 2016)); (2) the State failed to demonstrate by clear and convincing evidence that Marcus

       lacked the capacity to make a reasoned decision about his medical treatment, as required by

       section 2-107.1(a-5)(4)(E) of the Code (id. § 2-107.1(a-5)(4)(E)); and (3) the State failed to

       demonstrate that the benefits of each of the proposed medications outweighed the risks of each

       drug, as required by section 2-107.1(D)(a-5)(4) of the Code (id. § 2-107.1(D)(a-5)(4)). The trial

       court also erred by granting the involuntary commitment petition even though (1) the State failed

       to file a predisposition report as required by section 3-801 of the Code (id. § 3-810) or to present

       oral testimony containing the information required by that section (see Daryll C., 401 Ill. App.

       3d at 755-57) and (2) the State failed to comply with several other mandatory provisions of the

       Code. The trial court also erred by granting the petitions even though Marcus’s counsel provided

       ineffective assistance and by failing to advise Marcus of his appeal rights. It is reasonably likely

       that the resolution of these issues will affect future cases involving Marcus, because he will

       likely again be subject to involuntary commitment and medication and the court will likely again

       commit the same alleged errors. See In re Val Q., 396 Ill. App. 3d 155, 161 (2009), overruled on

       other grounds by In re Rita P., 2014 IL 115798, ¶¶ 33-34. As noted above, the Peoria County

       case against Marcus involved many of the same statutory compliance issues and the same errors

       by counsel. Accordingly, the “capable of repetition” exception to the mootness doctrine applies

       here.

¶ 48           The State argues that the “capable of repetition” exception does not apply here because

       Marcus is arguing only that the evidence was insufficient to support the involuntary admission

       and medication orders in this case. The State and the dissent are correct that fact-specific

       arguments (such as an argument addressing the sufficiency of the evidence in a given case) are

                                                        20
       not subject to the “capable of repetition” exception because such issues are unlikely to recur in

       future cases and the resolution of such issues will not impact future cases. Alfred H.H., 233 Ill.

       2d at 359-61. Contrary to the State’s and the dissent’s assertions, however, the instant appeal

       does not merely involve challenges to the sufficiency of the evidence or any other fact-specific

       issue. Rather, it involves the State’s complete failure to observe several mandatory procedural

       and substantive requirements of the Code, the trial court’s entry of involuntary commitment and

       medication orders despite these statutory violations, and Marcus’s counsel’s ineffectiveness for

       failing to object to the State’s errors and omissions. Our appellate court had repeatedly

       recognized that the “capable of repetition” exception applies under these circumstances. See,

       e.g., Val Q., 396 Ill. App. 3d at 161 (applying the “capable of repetition” exception where

       respondent contended that the trial court erred by delegating to physicians its duty of assessing

       the risks of the treatment and it was reasonably likely that the resolution of that issue “would

       affect future cases involving respondent, because respondent will likely again be subject to

       involuntary treatment and the court will likely again commit the same alleged error”); Tara S.,

       2017 IL App (3d) 160357, ¶ 17 (applying the “capable of repetition” exception to claim of

       ineffective assistance of counsel in proceedings under the Code).

¶ 49          Because we hold that the “capable of repetition” exception applies, we do not need to

       address the Marcus’s argument that the “public interest exception” also applies.

¶ 50          We close by admonishing the state’s attorney and all counsel serving in the state’s

       attorney’s office, the trial courts, and all attorneys who represent respondents in involuntary

       admission and treatment proceedings to follow the law and discharge their responsibilities in

       civil commitment cases. Involuntary admission and involuntary medication proceedings pose a

       grave threat to an individual’s liberty interests. In re George O., 314 Ill. App. 3d 1044, 1046

                                                        21
       (2000). Accordingly, the Code’s procedural safeguards are not mere technicalities. Id. Rather,

       they are essential tools to safeguard the liberty interests of respondents. Id. They must be

       scrupulously observed and strictly construed in favor of the respondent. In re Karen E., 407 Ill.

       App. 3d 800 (2011); In re Linda W., 349 Ill. App. 3d 437, 443 (2004); In re Nancy A., 344 Ill.

       App. 3d 540, 549-50 (2003)). They exist to ensure that the respondent receives due process

       before his or her liberty is profoundly curtailed. In re Phillip E., 385 Ill. App. 3d 278 (2008).

¶ 51          The State, Marcus’s counsel, and the trial court casually ignored these vital and

       mandatory procedural safeguards. The multiple violations of the Code’s requirements in this case

       were patent and flagrant. Counsel for both parties acted as if several of the Code’s requirements

       did not exist. As a result, despite the gravity of the proceedings, Marcus received no meaningful

       representation and no meaningful hearing.

¶ 52          This is far from the first time we have encountered such a brazen disregard for the law in

       civil commitment cases. Our appellate court has repeatedly stressed the need for strict

       compliance with the legislatively established procedural safeguards for involuntary commitment

       proceedings. See, e.g., Alaka W., 379 Ill. App. 3d at 271-72; In re Daniel M., 387 Ill. App. 3d

       418, 422-23 (2008); Amanda H., 2017 IL App (3d) 15016, ¶ 46. Nevertheless, our admonitions

       continue to go unheeded. We hope that our supreme court will act to stop to the continuing,

       egregious violations of respondents’ constitutional and statutory rights in these cases. Our

       supreme court could, for example, require that all trial courts presiding over these cases,

       attorneys in the state’s attorney’s office, attorneys in the legal advocacy service, and any other

       counsel representing respondents in these cases receive adequate training as to the Code’s

       requirements in order to ensure that such requirements are fully observed and strictly enforced.

¶ 53                                             CONCLUSION

                                                        22
¶ 54           For the foregoing reasons, we reverse the judgment of the circuit court of La Salle

       County.

¶ 55           Reversed.

¶ 56           JUSTICE SCHMIDT, dissenting:

¶ 57           While the majority’s concerns are well founded, we are bound by our supreme court’s

       admonishment not to decide moot questions. Alfred H.H., 233 Ill. 2d at 351. The majority finds

       that this case falls within the “capable of repetition, yet evading review” exception to the

       mootness doctrine. Supra ¶ 44. This exception has two elements: (1) the challenged action is in

       its duration too short to be fully litigated prior to its cessation and (2) there is a reasonable

       expectation that the same complaining party would be subjected to the same action again. In re A

       Minor, 127 Ill. 2d 247, 258 (1989).

¶ 58           The first element is satisfied. However, the second element is not. The fact that

       respondent may face involuntary admission and involuntary medication in the future is not a

       sufficient basis to satisfy the second element of this exception to the mootness doctrine. Alfred

       H.H., 233 Ill. 2d at 358-61. Respondent is not arguing that any statute is unconstitutional, and he

       may be subjected to the same unconstitutional statute in the future. Nor does he challenge the

       trial court’s interpretation of a statute. He argues only that the trial court and the State failed to

       follow certain statutory procedures, and his counsel was ineffective for failing to object to the

       failure to follow the procedures. His argument is fact-specific. There is no clear indication of

       how a resolution of the issues raised in this case could be of use to respondent in a future

       litigation as any future litigation would be based upon new petitions, new hearings, new

       evidence, and an assessment of whether the State met its burden of proof in those cases. See id.

       at 360 (making a similar statement about the argument raised in that case). Nothing in the

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       majority’s opinion constitutes anything other than a recitation of existing case law. In other

       words, the majority opinion does not offer any new guidance to be used in the future by litigants.

       While it is troubling that the court and parties below appear to repeatedly disregard procedural

       requirements in involuntary commitment proceedings, there is no justification for issuing a new

       opinion, which applies already existing law to the facts of this case.

¶ 59          The majority finds the above exception to the mootness doctrine is satisfied and does not

       address the alternative mootness exception raised by respondent on appeal. Specifically,

       respondent argues that the public interest exception to the mootness doctrine is also satisfied.

       This argument should be rejected as well.

¶ 60          The public interest exception is applicable only if there is a clear showing that (1) the

       question is of a substantial public nature, (2) an authoritative determination is needed for future

       guidance, and (3) the circumstances are likely to recur. In re J.B., 204 Ill. 2d 382, 387 (2003).

       The exception is narrowly construed and requires a clear showing of each criterion. In re India

       B., 202 Ill. 2d 522, 543 (2002). The second element is not satisfied in this case. This exception

       does not apply when there are no conflicting precedents requiring an authoritative resolution.

       The majority does not resolve any conflicting issues in the law. Rather, it applies existing case

       law to the specific facts of this case. Therefore, an authoritative determination is not necessary as

       required by this exception.

¶ 61          This appeal should be dismissed as moot.

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