Tibbetts v. Sight 'N Sound Appliance Centers, Inc.

OPALA, V.C.J.,

dissenting in part.

T1 The court reverses today the trial court's counsel-fee award to the plaintiffs and expressly overrules the statutory-law norm announced for this litigation in the earlier appeal of this cause (Tibbetts I).1 The overruled norm, which initially received a green light by this court's previous denial of cer-tiorari, upheld the unharmed plaintiff's right to press a private claim for the Oklahoma Consumer Protection Act's [Act] 2 violation and to receive a counsel-fee award as an additional element of their recovery. By today's opinion the counsel fee is now declared both contrary to this court's after-crafted jurisprudence3 in Walls v. American Tobacco Co.4 and Patterson v. Beall5 and unreasonable (in light of a zero-damage jury finding for the plaintiffs actual damages, which stands affirmed by Tibbetts I ). Upon substituting its after-promulgated statutory norm (of Walls and Patterson) for that which was earlier declared in Tibbetts I, the court opines that the plaintiffs did not have an actionable private claim and hence could not be regarded as successful litigants in the case. They had failed to show the now-required element of harm to their interests. It is the Walls and Patterson norm that the court applies to this claim today, even though the contrary holding announced in the earlier published, controlling and undisturbed COCA decision (a) bears unquestionable attributes of finality, (b) stands unrepudiated in the reports and (c) has never been directly challenged.6

12 My dissent addresses itself solely to the aftermath of today's departure from the course charted by Tibbelts I. It deals not with the new trail we blaze but rather with the havoc we wreak by abandoning the time-honored teachings of Anglo-American orthodoxy in appellate judicature.7 I would not apply to this case the court's repronouncement of its rule change 8 in Walls and Patterson. That application is patently offensive not only to the long-established teachings of the Anglo-American legal system discussed below, but also to the state constitution's expressed command (a) for continued and evenhanded application of the substantive norms of law in force when a "proceeding is begun" as well as (b) for the mandated fundamental-law protection of "accrued rights".

I

CRITICAL LITIGATION HISTORY

A.

COCA's Tibbetts I

T3 In a class action brought under the *1056Act,9 the jury returned a verdict for the plaintiffs, but awarded them no actual damages. At a postjudgment hearing, the trial court denied both parties' quest for an attorney's fee. Two separate appeals were then brought from counsel-fee denial, In a published opinion10 the Court of Civil Appeals [COCA] reversed the nisi prius ruling and directed the trial court to conduct a hearing for determination of a reasonable attorney's fee for the plaintiffs. This court denied the defendant's quest for certiorari review11 but chose not to withdraw from publication COCA's opinion in the case (Tib-betts I ).

COCA's Tibbetts II -

T4 Upon a postremand evidentiary hearing on the counsel-fee issue (that occurred after COCA's Tibbetts I promulgation and this court's issuance of its mandate following certiorari's denial), the trial court entered an award of $375,000 for the plaintiffs' legal fee. COCA affirmed (in Tibbeits II)12 and we granted certiorari for review of that opinion, which now stands here for decision.

B.

After-Crafted Statutory Jurisprudence

15 Walls13 and Patterson14 constitute after-promulgated changes in the controlling statutory-law norm pronounced by and for Tibbetts I.15 Both of these post-Tibbetts I cases declare harm to be an essential element of a consumer's private claim for the Act's violation. Tibbetts I explicitly and unequivocally pronounces the opposite view. Although Walls and Patterson departed from a substantive norm of statutory jurisprudence announced in Tibbetts I, they neither expressly overruled nor even gave mention to the persuasive authority of the then-extant Tibbetts I published opinion. The latter survives in fact and in the law books as an unrejected norm of judicially declared statutory law for this litigation at the time this cause returned to the trial court for the directed postremand proceedings. Today's pronouncement abolishes retroactively these unharmed plaintiffs' private claim under the Act together with their previously pronounced entitiement to an attorney's fee. By retroactively repudiating Tibbetts I, the court can escape neither the consequences of the settled-law-of-the-case doctrine (and of the issue-preclusion bar) nor of Oklahoma's constitutional restraints on after-crafted lawmaking, which restraints extend to substantive-law changes by jurisprudence no less than they do to those effected by legislative enactment.16 This assessment expresses the crux of my dissent.

II

FOR ITS REJECTION OF SETTLED LAW OF THE CASE THE COURT INVOKES TODAY A STANDARD-LESS TESTING FORMULA

A.

The Settled-Law-of-the-Case Doctrine

I 6 The court refuses to be bound here by the settled law of the case. It rejects the *1057doctrine as unjust for application to this litigation. "Justice" is interposed as the sine gua non of an adjudication's qualification for settled-law effect.

T7 The settled-law-of-the-case doctrine operates to bar relitigation in the same case of issues that were finally decided through an appellate process.17 The earlier decision on review becomes binding in all subsequent stages of the case. The doctrine not only ensures absolute consistency of later with former issue resolutions, it also guards against abuse of judicial process by preventing relitigation of issues settled in the course of an earlier appellate stage of the case.18

T8 I would not loosen one iota the firm grip of control the reviewing process of correction now wields over postremand proceedings whose course stands charted by an appellate disposition; I would firmly and loudly condemn every unauthorized departure from settled law, either in pos-tremand proceedings at nisi prius or in any other review stages that may follow. I would sanction departures from settled law solely for those issues which are determined not to have been fully and fairly" litigated.19

B.

"Injustice"-The Open-ended Judicial Escape Hatch From Settled Law

T9 Today's pronouncement offers an open-ended judicial escape hatch from the established restraints that the settled-law doctrine imposes. The formula by which the court justifies its departure from settled law-a manifest "injustice" from its application-is patently overbroad and amorphous.20 Justice is a vacuous and shapeless legal norm 21 that has been dubbed an antonym of due process.22 Its yardstick is much like that of *1058an empty vat into which one may pour contents at will. It has been defined as a stan-dardless product of the natural-law reasoning process.23 Subjecting settled law to repeated serutiny by afterthought based on a vacuous *&auge will most surely undermine, if not indeed destroy, interinstitutional deference within the judicial service and the internal discipline among the courts. In short, I join many generations of judges and scholars in rejecting "justice" as an acceptable standard for departure from settled law. As a legal gauge, justice is as deceiving as the shifting sands upon which it is founded.

C.

Justice is Gauged by One's Individual Predilection

1 10 Is injustice (as a pretense for rejecting settled law) to be measured by an enormity of the mistake in shaping a flawed norm or by the severity of philosophical differences between an earlier-adopted and the later-rejected norm? No matter what measuring tape one will use, justice is but an empty and shapeless legal yardstick whose contours are circumscribed by nothing more than one's individual predilection. I must hence condemn rather than embrace justice as a legal norm. It is not concrete enough. If invoked, it becomes putty in the hands of the shaping applicator. Any authorized departure from settled law should instead be rested on the U.S. Supreme Court's well-established gauge (for applying issue preclusion) by which we must first answer whether the issue whose resolution is to be accepted as binding was fully and fairly explored in advance of its settlement.24 If so, settled law must govern; if not, it may be rejected. To hold otherwise injects whim into the legal system. Moreover, I would be loath to invite this State's courthouse and statehouse judges to regard themselves freed from obedience to any settled rulings which they may be tempted to condemn as offensive to their sense of justice.

*1059{11 The outer reach of a private right of action that is invocable under any legislative enactment does not present a unique controversy.25 Whenever a disagreement arises between two appellate courts over the proper legislative intent that must guide the construction to be placed upon the statute's text, it does not follow as a matter of law that the ultimately rejected view may also be rejected out-of-hand as unjust. The focus of inquiry to be conducted in order to resolve the question we answer today is whether the law settled by the earlier disposition is vulnerable to departure because the issue now to be accepted as settled had not been fully and fairly litigated. The integrity of judicial process is gravely offended when a higher court deems itself free to relegate to the rubric of "injustice" an inferior court's final pronouncement for nothing more than a simple disagreement on a matter of statutory intent.

{12 Because, on the record before us, there is absolutely no showing that the actionable character of the plaintiffs' private claim under the Act had not been fully and fairly litigated, I must consider myself bound here by COCA's pronouncement in Tibbetts I.

D.

The "Injustice" Done Here Consists of This Court's Retroactive Departure From Settled Law

[13 The "injustice" done here lies not in COCA's now-rejected jurisprudence of T4b-betts I but in this court's shift of its judicature: in its voting pattern's change from yesterday's denial of certiorari-with a green signal given for the commanded pos-tremand proceedings-to today's attack upon the mandate of Tibbetts I left intact by this court's election not to grant certio-rari. The guilt from our own failure to act may not be shifted from ourselves to COCA. Nor may we, with a clear conscience, leave utterly helpless those litigants who were harmed by relying on that inaction. They too, like all others, deserve fairness. To them fairness lies in consistent adherence to the effective norms of yore.26 Because it is this court's own failure to stay the course (charted by Tibbetts I) which has produced today's dilemma, it behooves it to apply here a solution fully consistent with the orthodoxy of the Anglo-American judicature and with the State's constitutional restrictions on retrospective lawmaking.

E.

The Court's Pronouncement Impermissibly Recasts Oklahoma's Appellate Regime Into A Cassation-like Model of Post-Revolutionary France

{14 The court's endorsement of open-ended freedom to repudiate settled law at will is utterly incompatible with the basic teachings of appellate judicature in the Anglo-American legal tradition. Today's opinion introduces to the State a post-appeal decisionmaking regime long associated with Franco-Roman cassation 27-an institution *1060never followed in any jurisdiction within the Anglo-American legal heritage. By overturning the law settled in Tibbetts I, the court has refashioned the State's institutional design for appellate judicature into a veritable cassation process. Cassation absolutely confines the appellate court's authority to quashing the judgment. It does not authorize the judgment-quashing tribunal to direct either the course or the complexion of post-remand proceedings. The Oklahoma Court of Civil Appeals is mot established on a Franco-Roman model of cassation. It functions as an intermediate tribunal of review in the State's Anglo-American tradition.

115 Today's reshaping of Oklahoma's appellate judicature into a Franco-Roman cas-sation model will generate interminable post-appeal litigation. No courthouse judge will ever again feel bound by an undisturbed COCA pronouncement. The new design will leave valuable rights in limbo over a long stretch of post-appeal forensic battles at nisi prius and elsewhere.28 In sum, the court's retroactive change of an effective and settled statutory norm deals lasting and grave harm to the symmetry of Oklahoma's system of appellate judicature.

116 COCA's Tibbetts I settled for this case the legal principle that the unharmed plaintiffs had a private claim under the Act with an ancillary entitlement to an attorney's fee. The court renounces its obedience to this norm of settled law upon a purely vacuous and shapeless legal standard. I am compelled to stand bound by the settled law of this case.29

III

THE CLAIM ABOLISHED TODAY IS PROTECTED FROM BELATED JUDICIAL DESTRUCTION BY THE DOCTRINE OF ISSUE PRECLUSION30

{ 17 When certiorari was denied (and finality of COCA's decision came to be reached), the unharmed plaintiffs' entitlement to prosecute a private claim for a mere violation of the Act (to which counsel-fee recovery stood attached in favor of one declared to have emerged as prevailing party) became protected by the doctrine of issue preclusion.31

*106118 Issue preclusion prevents relitigation of facts and other issues actually litigated and necessarily determined in an earlier proceeding between the same parties or their privies.32 The preclusion doctrine (both with respect to its claim and issue applications) fosters the important goal of affording finality33 to all issues, of fact or law, which were fully and fairly litigated.34 The preclusion doctrine is applicable whether the contested issues in the case in which it is invoked were rightly or wrongly decided.35

{19 Actionability of the plaintiffs' private claim was finally resolved in their favor in Tibbetts I36 by this court's denial of certiorari and subsequent issuance of its mandate.37 *1062The latter judicial act put an end to all direct remedies available for correction of that pronouncement, even if it were flawed by ascribing the wrong meaning to the text of the Act. I would neither tamper with nor repudiate the command of issue-preclusion doctrine by retroactively applying after-crafted changes to a once finally shaped norm of controlling statutory law.38

20 Under the terms of today's opinion, no mandate of this court could ever again attain the status of unassailable finality for the pronounced rulings in a case.

IV

STATE CONSTITUTIONAL RESTRICTIONS UPON RETROSPECTIVE LEGISLATION APPLY WITH EQUAL FORCE TO AFTER-PROMULGATED SUBSTANTIVE-LAW JURISPRUDENCE THAT ADVERSELY AFFECTS (1) PROCEEDINGS BEGUN AND (2) ACCRUED RIGHTS

A.

Judicial Promulgation of Statutory Jurisprudence-i.e., Caselaw That Imparts Meaning to the Legislative Text According to the Found Intent of the Lawmaking Assembly-Is a Long-recognized Legitimate Form of "Interstitial Lawmaking" by Adjudication

121 Laowmaking is not the monopoly of the Legislature. A judge engages in lawmaking through adjudication when interstitially filling a gap in the law by formulating a common-law rule,39 construing a statute or agency rule, or by framing a constitutional norm.40 Both the process of developing the *1063common law and that of concretizing the textual meaning of statutory and constitutional law is known as interstitial lawmaking by adjudication.41 Today's change in the extant statutory jurisprudence constitutes the court's act of lawmaking through adjudication by refining (concre-tizing) the meaning to be placed on the substantive-law content of a legislative enactment.

B.

All Forms of Non-legislative Lawmaking must Conform to the Constitution's Restrictions on Retroactive Enactments

22 Legitimate judicial lawmaking by adjudication is not exempt from constitutional testing. Like legislation itself, it must pass the fundamental law's muster.42 Walls and Patterson43 are both acts of legitimate judicial lawmaking that fall under the constitutional restraints on the effect of after-enacted legislation. These pronouncements amend for this case, in a substantive manner, the earlier-declared meaning of, and consequences flowing from, the Act. They are contrary to the extant statutory law finally proclaimed by Tibbetts I. Although I do not recede from the court's current commitment to Walls and Patterson, I cannot accede to the view that these pronouncements may be applied to this cause.

123 Today's opinion sanctions a particularly reprehensible form of retroactive judicial lawmaking-one that wipes out adjudged rights by a mid-stream change in a legislative text's meaning. The court abolishes the unharmed plaintiffs' finally declared right of private action, which also entitles the prevailing party to a counsel-fee award as an additional element of its recovery. Both of the issues in contest here-the actionable character of the private action and the plaintiffs' entitlement to a counsel-fee award in post-remand proceedings-were finally settled by Tibbetts I in favor of the plaintiffs. Their actionable claim, abrogated today, arose before the court's statutory norm change. Tibbetts I remains the only effective law for this case. This is so because it stands undisturbed as well as final by certiorari's denial.

T 24 Every retrospective change in the law produces "injustice"-losers become winners and vice versa; nay, after-crafted statutory jurisprudence, when retrospectively applied, may be perceived by some as an instrument of injustice.44 -It violates the process that is everyone's due. I cannot join the court's *1064refusal to afford the plaintiffs the protections conferred upon them by the Oklahoma Constitution 45 against retroactive application of after-promulgated changes in statutory jurisprudence. Inasmuch as the retrospective ef-feet given today's pronouncement destroys rights protected by Art. 5 §§ 52 and 54, Ok Const.,46 I would hold that the after-promulgated jurisprudential change in substantive statutory norms cannot be applied to this claim which had "accrued" and in which "proceedings [stood] begun" before the rule change. It is fundamentally unfair 47 to deprive the plaintiffs of their constitutionally protected accrued rights,48 declared by COCA in Tibbetts I and left undisturbed to become final by this court's election not to disturb them on certiorari review.49 In short, I would make the application of today's change in the meaning of statutory text conform to the constitution's mandate against retroactive lawmaking.

y

THE COURT IGNORES AND VIOLATES THE PROVISIONS OF OKLA-HOMAS CONSTITUTION WHICH REQUIRE THAT THE SUBSTANTIVE LAW TO BE APPLIED IN LITIGATION PROCESS MUST BE THAT WHICH WAS IN FORCE WHEN THE PROCEEDINGS WERE BEGUN

1 25 Retrospective overruling of the settled law of the case by after-enacted legislative changes (or those effected through the process of judicature) offends the explicit constitutional barrier to changing the applicable norms of substantive law for a proceeding begun earlier than the effected change. Art. 5 § 54, Okl. Const.50

26 One cannot deny that for application to the Tibbetts claim the statutory law to *1065govern the case has been changed; whether the change was effected by an appellate pronouncement or by a legislative enactment is immaterial. It is the change-jurisprudential or legislative, by enactment or adjudication-that falls clearly under the axe of constitutional condemnation for after-the-fact lawmaking. Today's retroactive application of substantive-law changes in the controlling statutory norm that stood declared for this claim in Tibbetts I offends the constitution's expressed solicitude for continued and evenhanded application of the law in force when the proceeding was begun.

T27 This proceeding was begun when the unharmed plaintiffs still enjoyed a private right of action for the Act's violation and the fruits of their judicially declared status as prevailing parties in the case. Today's opinion destroys the rights declared in their behalf by COCA's Tibbetts 1.

VI

THE COURT IGNORES AND VIOLATES THE PROVISIONS OF THE OKLAHOMA CONSTITUTION WHICH REQUIRE THAT "ACCRUED RIGHTS" NOT BE DISTURBED BY AFTER-ENACTED LAW

128 When the Tibbetts I phase of this litigation came to an end by this court's denial of certiorari (and by the issuance of its mandate), the applicable and effective statutory norm of Oklahoma's substantive law unquestionably gave the unharmed plaintiffs a private cause of action for a mere (harmless) violation of the Act. Their status as prevailing party, which entitled them to a counsel-fee award, stands pronounced by COCA's Tibbetts I.51 That declaration, when final, became the plaintiffs' constitutionally protected accrued right.52 COCA's holding in Tibbetts I has retroactive effect by force of common law and this court chose not to disturb its terms on certiorari. After-passed legislative enactments (or after-promulgated caselaw) can neither destroy nor alter these rights.53 To hold otherwise would undermine the constitutionally shielded concept of an "accrued" right in an adjudicated claim.

€29 All these principles are rejected by today's pronouncement. The private claim is now abolished and gone with the winds is also the plaintiffs' declared entitiement to an attorney's fee. Responsible for the private claim's surprising and sudden demise is this court's after-promulgated pronouncement that construes the Act in two unrelated lawsuits,*106654 disposed of by opinions that do not even note the earlier-published authority of Tibbetts I as having been relegated to the status of ineffective caselaw. If the solution embraced by the court today is not a constitutionally impermissible death sentence for one's "accrued right," no vested interest will ever be safe from after-the-fact destruction by judicial fiat dealt through jurisprudence of pure afterthought.55

T30 When this action was brought the unharmed plaintiffs had a right to bring a private claim for a violation of the Act. That right, together with all of its declared ancillary incidents, is destroyed by today's opinion.

VII

SUBSTANTIVE CHANGES IN LAW CANNOT BE RETROACTIVE IN EFFECT

131 Substantive rights may not be changed mid-stream for application to a claim or defense in a pending judicial proceeding. Art. 5 § 52, OKI. Const.56 Plaintiffs' standing (loeus standi )57 to press their private claim for a harmless violation of the Act, accorded by Tibbetts I, is a substantive right. Their entitlement to a counsel fee as a prevailing party explicitly stands attached to that claim (by Tibbetts I declaration) as an additional element of recovery.58 Claims that have accrued before the law is changed are protected from both legislative and judicial extinguishment.59 The plaintiffs are clearly entitled in this case to an application of that pre-existing, con*1067trolling and undisturbed norm of substantive statutory law which was declared for their claim in Tibbetts 1.60

132 Today's pronouncement does more than destroy the plaintiffs' right to a counsel fee by force of an after-enacted law; it affects the plaintiffs' locus standi by entirely abolishing their claim. That includes not just one but all the elements of recovery. In short, a substantive norm of statutory law underwent a change by after-promulgated jurisprudence. It is that changed norm which the court applies to this claim today.

T33 The retrospective repudiation of Tibbetts I clearly violates the constitutionally anchored restrictions on the government's power retroactively to change substantive law either by judicature or by legislative enactment. I cannot accede to the court's act of attempting to right its self-perceived error by extra-legal means.61

34 When this action was brought the unharmed plaintiffs had standing to bring a private action for a violation of the Act and to receive a counsel-fee award as a declared prevailing party. Their claim is declared actionable by Tibbetts I. Their entitlement to a counsel-fee award is also pronounced by that final authority. It is a substantive right that is abolished by today's retroactive application of after-crafted jurisprudential change in the statutory text's meaning.

VHI

REPLY TO THE COURTS CRITIQUE OF THE DISSENT

1 35 The court chooses to ignore the undeniable fact that its post-Tibbetts I abolition of an unharmed plaintiff's private right of action makes today's pronouncement a retroactive destruction of an accrued right,. A substantive right conferred by a judicial act that is recognized as bearing the attributes of finality constitutes an acerued right. No amount of rhetoric can sidetrack this verity. It is the plaintiffs' private claim, not the attorney's fee, that is here at stake.62 Had the claim survived today's opinion, plaintiffs' entitlement to a fee award might have continued as an issue to be dealt with,. It is the demise of the private claim that extinguishes and removes from the case all other issues.

€36 The court's reference to the defendant's Hability-defeating defenses against the fee quest is equally inapposite.63 Because the plaintiffs' private claim is dead under the axe of Walls, Patterson and of this court's Tibbetts II, nothing can make the fee quest viable again. There can be no counsel-fee award in abstracto. It must be attached to an adjudicated claim that is still in existence. The fee question died with the demise of the plaintiffs' private cause of action.

137 There are two parallel rules that stand in contradiction of one another which have co-existed since early statehood: one that is absolutely obedient to the settled law of the case without any exceptions64 and *1068the other which allows an open-ended escape hatch.65 Obedience to these parallel rules is dictated solely by the court's unrestrained choice. That alone condemns the latter rule as a vehicle for the court's whimsical choosing rather than for its reasoned application of the law.

138 For support of its reliance on the open-ended escape hatch from settled law the court invokes the longevity of the authority for today's departure. Suffice it to say that " 'it is revolting to have no better reason for a rule of law than that so it was laid down in the time of Henry IV. It is still more revolting if the grounds upon which it was laid down have vanished long since, and the rule simply persists from blind imitation of the past."" 66 Sound legal reasoning will not sustain a rule whose time of usefulness has passed.

139 The court attempts to justify its abandonment of settled law by invoking the "palpably erroneous" test. The latter is as vacuous and standardless as "manifest injustice." 67 It says nothing about the degree of error that must be exceeded before it can be invoked. In applying this test the court is utterly free to find any error palpably erroneous. The test-a mere verbal camouflage-serves as a carte blanche for total judicial freedom from the norms of precedent.

1 40 If a decision is indeed palpably erroneous, the time to correct it is not after relitigation is barred by the command of issue preclusion, but rather when a petition for certiorari is still under timely review.68 The plaintiffs should not be punished for this court's earlier inaction.

{41 The court has impermissibly overextended its power to grant corrective relief upon timely-brought certiorari quest. The second bite it gives the loser today lies clearly on a collision course with constitutional restraints on retroactive lawmaking either by legislation or adjudication. It brazenly contravenes the standards of issue preclusion which stand incorporated into the body of Oklahoma law from the norms of Restatement of Judgments (Second) § 27 and from the Restatement's recent exposition in the U.S. Supreme Court jurisprudence.

IX

SUMMARY

{42 Any departure from settled law or from the doctrine of issue preclusion may be authorized solely upon a court's determination that, before its settlement, the issue was not fully and fairly litigated. When one invokes the empty and shapeless yardstick of "justice," one measures legal rights by personal predilection rather than by a fixed gauge of the law.

{43 The "injustice" from which the court saves the defendant was occasioned by this court's (a) failure to provide relief to the defendant when certiorari was sought in T4ib-betts I and (b) retroactive destruction of the settled law of the case through applying to *1069this claim after-crafted norms of substantive-law change in the meaning of a controlling statutory text.

« 44 Because this case deals with an issue of substantive law, the court's changed course for the intended meaning of the statute in question must conform to the constitution's expressed command that calls for continued and evenhanded application of the law in force when a proceeding was begun and for the protection of accrued rights. The efficacy of the substantive norm of statutory law pronounced for this case in Tibbetts I cannot be altered or impaired by after-promulgated jurisprudence that infuses a contrary or different meaning.

T45 Today's rejection of a jurisprudential norm declared for the statute's meaning at the time the claim accrued and the retrospective application of the changed norm to this case destroy rights protected by Art. 5 §§ 52 and 54, Ok. Const. I would not apply to this claim the court's changed meaning of the Act.

] 46 In today's pronouncement I would go no further than reiterate, as the court does, our continued commitment to the reconere-tized norm of the Act's meaning that was crafted in Walls and Patterson, but, contrary to the court's holding, I would leave undisturbed the law finally settled for this case by COCA's Tibbetts I and now shielded from retroactive rule change by both legislative and judicial after-the-fact tinkering. The defendant's proposal for a justice-invoking resolution of this certiorari proceeding, which so plainly violates the state constitution's protection against applying after-crafted substantive-law changes, cannot escape judicial condemnation. It is positively destructive and illegal. I hence recede from that part of today's opinion which retroactively thrusts into this case norms re-engineered after COCA's Tibbetts I settlement of the law that was to govern on remand.

. Tibbetts v. Sight 'n Sound Appliance Centers, Inc., 2000 OK CIV APP 47, 6 P.3d 1064 (promulgated 30 November 1999, certiorari denied 30 March 2000, mandate issued 15 May 2000) [Tib-betts I].

. 15 § 751 et seq.

. As a term of art "jurisprudence" has two different core meanings-caselaw and legal philosophy. Buack's Law Dictionary 858-59 (7th ed.1999). When this dissent is referring to after-crafted jurisprudence, it uses the legal term in its former sense.

. 2000 OK 66, 11 P.3d 626 (a federal certified question)(promuilgated 19 September 2000).

. 2000 OK 92, 19 P.3d 839 (promulgated 14 November 2000, mandate issued 2 February 2001).

. Defendant's challenge here is collateral and based solely on the standard of manifest injustice.

. The term "judicature" means judicial decision-making. Brack's Law Dictionary 850 (7th ed.1999).

. By "rule change" I mean the change in the statutory text's construction for application to this case by today's pronouncement. The change is effected by the court's after-crafted ascription of a different meaning to the critical text of the Act and by retroactively amending the substantive law finally declared in Tibbetts I.

. Oklahoma Consumer Protection Act, supra note 2.

. Tibbetts I, supra note 1.

. The 30 March 2000 order denying certiorari bears the following vote: Concur: Hargrave, v.C.J., Hodges, Opala, Kauger, Watt, Boudreau, JJ. Dissent: Summers, C.J., Lavender, Winchester, JJ. Mandate issued 15 May 2000.

. COCA'S Tibbetts II pronouncement was by an unpublished opinion of 26 April 2002, which stands vacated by today's disposition. ,

According to COCA's Tibbetts II opinion (1) settled law of the case bars relitigation of plaintiffs' entitlement to an attorney's fee, (2) the record does not support defendant's argument that the quantum of awarded counsel fee demonstrates an abuse of discretion, and (3) the reviewing COCA panel was powerless to depart from the earlier settled-law command by another COCA panel's opinion.

. Supra note 4.

. Supra note 5.

. Walls and Patterson clearly came to be promulgated after certiorari was denied and mandate issued in Tibbetts I, supra note 1.

. For constitutional restraints upon legislative enactments with retroactive effect see Parts IV-VII infra.

. Nichols v. Mid-Continent Pipe Line Co., 1996 OK 118, ¶ 24, 933 P.2d 272, 281; Morrow Development Corp. v. American Bank and Trust Co., 1994 OK 26, ¶ 2, 875 P.2d 411, 413; Panama Processes, S.A. v. Cities Service Co., 1990 OK. 66, ¶ 11 n. 27, 796 P.2d 276, 283 n. 27; Mobbs v. City of Lehigh, 1982 OK 149, ¶ 6 n. 5, 655 P.2d 547, 549 n. 5.

. The settled-law-of-the-case doctrine operates to bar relitigation of issues that are finally settled by an appellate opinion and of those that the aggrieved party has failed timely to raise in the course of appellate contest. Nealis v. Baird, 1999 OK 98, ¶ 61, 996 P.2d 438, 462; Barnett v. Barnett, 1996 OK 60, ¶ 13, 917 P.2d 473, 477; Jackson v. Jones, 1995 OK 131, ¶ 12 n. 37, 907 P.2d 1067, 1074 n. 37; Morrow Dev. Corp., supra note 17, at ¶ 2 n. 2, at 413 n. 2; Handy v. City of Lawton, 1992 OK 111, ¶ 13, 835 P.2d 870, 873.

. See Parts NI(C) and III, infra.

. State ex rel. Oklahoma Bar Ass'n v. Minter, 2001 OK 69, ¶ 24 n. 55, 37 P.3d 763, 774 n. 55.

. Many commentators have recognized our inability to agree upon a single concept of justice. In Waar Is Justice»: Justice, Law, anp Pourrics in tHE Mirzor or Science 1, 1, 4 (1957), Hans Kelsen, the twentieth-century legal philosopher, writes: "No other question has been discussed so passionately; no other question has caused so much precious blood and so many bitter tears to be shed; no other question has been the object of so much intensive thinking by the most illustrious thinkers from Plato to Kant; and yet, this question is today as unanswered as it ever was. .... [It relates to] which human interests are worthy of being satisfied and, especially, what is their proper order of rank? _... The problem of values is in the first place the problem of conflicts of values, and this problem cannot be solved by means of rational cognition. The answer to these questions is a judgment of value, determined by emotional factors, and, therefore, subjective in character-valid only for the judging subject, and therefore relative only." See also Alasdair Macintyre, Weose Justice» Ration-Autry? 1 (1988) ("... underlying this wide diversity of judgments upon particular types of issue are a set of conflicting conceptions of justice, conceptions which are strikingly at odds with one another in a number of ways"). A similar point is made by Knut Wicksell, A New Prinorete or Just Taxation, in Crassics in tee Tarory or Pusiic Finance 72, 74 (Richard A. Musgrave & Alan T. Peacock eds., 1958) ("Each attempted solution of our problem will necessarily be coloured more or less by the general social and political philosophy of the writer, by his station in life, and by his personal sympathies and antipathies.... Justice from above to below always smacks of condescension or contempt. Justice from below to above has only too often been synonymous with revenge.").

. At least one justice of the U.S. Supreme Court counseled more than once that the term "justice" is incompatible with the standard of due process. Sniadach v. Family Finance Corp. of Bay View, 395 U.S. 337, 350-351, 89 S.Ct. 1820, 1827, 23 L.Ed.2d 349 (1969) (Black, J., dissenting). Justice Black opines in Sniadach that the "notions of justice of English-speaking peoples" or "the *1058shock-of-the-conscience test" "represent nothing more or less than an implicit adoption of a Natural Law concept which under our system leaves to judges alone the power to decide what the Natural Law means. These so-called standards do not bind judges within any boundaries that can be precisely marked or defined by words for holding laws unconstitutional. On the contrary, these tests leave them [judges] wholly free to decide what they are convinced is right and fair." Id. In Matter of Winship, 397 U.S. 358, 377-18, 90 S.Ct. 1068, 1079-80, 25 L.Ed.2d 368 (1970), referring to the "shock the conscience" test, Justice Black states that he would "prefer to put [his] faith in the words of the written Constitution itself, rather than to rely on the shifting, day-to-day fairness standards of individual judges." (Black, J., dissenting).

Like the term "justice" itself, conduct prejudicial to the "administration of justice," when used as a basis of prosecution for the commission of a disciplinary offense, has also met with wide criticism by scholars and judges alike for its sheer overbreadth. Oklahoma caselaw wisely requires that each act or omission charged under the rubric of "conduct prejudicial to the administration of justice" be sufficient to stand alone as a breach of professional responsibility. Minter, supra note 20, at 124 at 774; State ex rel. Oklahoma Bar Association v. Bourne, 1994 OK 78, ¶ 6, 880 P.2d 360, 361; Martha E. Johnson, Comment, ABA Code of Professional Responsibility: Void for Vagueness?, 57 N.C.L.Rev. 671, 684-85 (1979); Donald T. Weckstein, Maintaining The Integrity And Competence Of The Legal Profession, 48 Tex.L.Rev. 267, 275-76 (1970).

. In his treatise, Generar Terory or Law anp State (Harvard University Press, 1945), Hans Kelsen posits that justice-the ideal of a just social order-is a subjective, socially constructed judgment of value, which varies from place to place and time to time. It is not determined by means of rational cognition. "Since humanity is divided into many nations, classes, religions, professions and so on, often at variance with one another, there are a great many very different ideas of justice; too many for one to be able to speak simply of 'justice.'" Id. at 8. The doctrine of natural law claims to establish the content of justice on a rational basis, but Kelsen argues that its notion is illusory. "[Nlone of the numerous natural law theories has so far succeeded in defining the content of this just order in a way even approaching the exactness and objectivity with which natural science can determine the content of the laws of nature, or legal science the content of a positive legal order." Id. at 9. See also Sniadach, supra note 22, at 395 U.S. at 350-51, 89 S.Ct. 1820; (Black, J., dissenting); Calder v. Bull, 3 U.S. (3 Dall.) 386, 398-399, 1 L.Ed. 648 (1798) (Iradell, J., concurring) ("The ideas of natural justice are regulated by no fixed standard: the ablest and the purest men have differed upon the subject"). Rather than seeking "justice," Kelsen maintains that the best a society can do is establish a positive legal order that minimizes the frictions among different interests and, in doing so, establishes a framework for social peace.

. For the U.S. Supreme Court's "fully-and-fairly-litigated" standard, see infra note 34.

. The outer reach of a private right of action under a regulatory statute is not an infrequent subject of controversy. The U.S. Supreme Court has recently granted certiorari in a case from the Fourth Circuit which concludes that a plaintiff, if unharmed, has no private right of action. The Fifth, Ninth, Tenth, Eleventh and D.C. Circuits all held that an unharmed plaintiff may, under the Privacy Act, recover $1,000 without any proof of actual damages. Doe v. Chao, - U.S. -, 123 S.Ct. 2640, 156 L.Ed.2d 654 (Mem) (2003). No matter what the Court will ultimately hold, can it be said that the circuits which espoused a contrary view reached an "unjust" conclusion ?

. As Kenneth Culp Davis notes in his AbmtnistRa-tive Law Textr at 135 (3d ed. 1972), "retroactive clarification of uncertain law ordinarily involves no unfairness. It is retroactive change of settled law, not retroactive settling of unsettled law, which may produce unjust results." Id. (emphasis added).

. The Franco-Roman cassation model is vastly different from the Anglo-American regime. in its original post-revolutionary form, the highest French court (Cour de Cassation) lacked the power to render binding decisions. Its authority was narrowly limited to quashing the judgment and remanding the case to a lower court for reconsideration de novo. The latter court was not bound by the cassation decision's view of the law. Rudolf B. Schlesinger, Comparative Law 332-333 (1970). The original cassation model has been somewhat relaxed. Rupert Cross and *1060JW. Harris, PrzcepoENt In Encusa Law 10-14. Brack's Law Dictronary (7th ed.1999) tersely defines "cassation" as "a quashing" (invalidation of judgment). Id. at 209.

. The Franco-Roman cassation model is antithetical to the common-law maxim interesse rei publicae ut sit finis litium. The maxim means that "it is in the interest of the state that there be a limit to litigation." Brack's Law Dictronary 1647 (7th ed.1999). It is the paramount concern of the state that there be an end to litigation. Today's opinion offends this nearly 900-year-old policy of the common law. Instead of assisting in bringing about an end to litigation, the court extends the life of a forensic battle by sanctioning a retroactive change in an effective statutory norm that attained finality by the court's own failure to act in due time and course of this case's progress.

. As a basis for departure from settled law "justice" was introduced to Oklahoma reports by early post-statehood jurisprudence. Oklahoma City Elec., Gas & Power Co. v. Baumhoff, 1908 OK 134, 19, 96 P. 758, 760-61, 21 Okl. 503; Metropolitan Ry. Co. v. Fonville, 1912 OK 389, ¶ 1, 125 P. 1125, 1126, 36 Okl. 76; Wade v. Hope & Killingsworth, 1923 OK 108, ¶ 14, 213 P. 549, 551, 89 Okl. 64. Because of its detrimental and distortive impact on appellate judicature as well as on the state constitutional constraints upon retrospective lawmaking, it should now be relegated to antiquarian lore.

. The term "issue preclusion," formerly known as collateral estoppel, has been adopted by the Restatement or JupemEnts (SEconp) § 27, Comment b (1982). The use of the more descriptive teerm-issue preclusion-was originally advanced in the works of Professor Allan D. Vestal, Res Jupica-TafPrectuston, Personar Inrury Annuar (1969); Res Judicata/Preclusion: Expansion, 47 S. Cal. L.Rev. 357 (1974); State Court Judgment as Preclusive in Section 1983 Litigation in a Federal Court, 27 Okla. L.Rev. 185 (1974). See Underside v. Lathrop, 1982 OK 57, 6 n. 8, 645 P.2d 514, 517 n. 8; Veiser v. Armstrong, 1984 OK 61, ¶ 8 n. 7, 688 P.2d 796, 799 n. 7.

. The purpose of issue preclusion is to 'relieve the parties of the cost and vexation of multiple lawsuits, conserve judicial resources, and by preventing inconsistent decisions, encourage reliance on adjudication.'" Miller v. Miller, 1998 OK 24, 125, 956 P.2d 887, 897 (quoting Allen v. McCurry, 449 U.S. 90, 94, 101 S.Ct. 411, 418, 66 L.Ed.2d 308 (1980)); Feightner v. Bank of Oklahoma, N.A., 2003 OK 20, ¶ 15, 65 P.3d 624, 629-30; State ex rel. Tal v. City of Oklahoma City, 2002 OK 97, 120, 61 P.3d 234, 244; Veiser supra note 30, at 18 n. 9, at 800. The issue (collateral estoppel) and claim (res judicata) preclusion doc*1061trines are often used interchangeably because they are closely related and both promote the same general public policy concerns. Miller, supra, at I 22, at 896.

. "Collateral estoppel, like the related doctrine of res judicata, has the dual purpose of protecting litigants from the burden of relitigating an identical issue with the same party or his privy and of promoting judicial economy by preventing needless litigation." Parklane Hosiery Co., Inc. v. Shore, 439 U.S. 322, 326, 99 S.Ct. 645, 649, 58 L.Ed.2d 552 (1979). In furtherance of those policies, the U.S. Supreme Court has, in recent years, broadened the scope of the doctrine of collateral estoppel beyond its common-law limits. It has done so by abandoning the requirement of mutuality of parties (Blonder-Tongue Laboratories, Inc. v. University of Illinois Foundation, 402 U.S. 313, 91 S.Ct. 1434, 28 L.Ed.2d 788 (1971)) and by conditionally approving the "offensive" use of collateral estoppel by a nonparty to a prior lawsuit. Parklane Hosiery, supra.

. Finality of adjudication process is a core concept in the Anglo-American legal system. "A fundamental precept of common-law adjudication, embodied in the related doctrines of collateral estoppel and res judicata, is that a 'right, question or fact distinctly put in issue and directly determined by a court of competent jurisdiction ... cannot be disputed in a subsequent suit between the same parties or their privies....'" Montana v. United States, 440 U.S. 147, 153, 99 S.Ct. 970, 973, 59 L.Ed.2d 210 (1979)(quoting Southern Pacific R.R. v. United States, 168 U.S. 1, 48-49, 18 S.Ct. 18, 27, 42 L.Ed. 355 (1897)); Feightner, supra note 31, at ¶ 15, at 630; Daniel v. Daniel, 2001 OK 117 ¶ 14, 42 P.3d 863, 869; Fent v. ONG, 1994 OK 108, ¶ 11, 898 P.2d 126, 132. Issue preclusion is invocable to bar relit-igation of both issues of law and issues of fact. United States v. Stauffer Chemical Company, 464 U.S. 165, 170-71, 104 S.Ct. 575, 578, 78 L.Ed.2d 388 (1984).

. Parklane, supra note 32, 439 U.S. at 332, 99 S.Ct. at 652; Miller, supra note 31, at 128, at 898; Fent, supra note 33, at 115, at 133; Veiser, supra note 30, at T 16 n. 21, at 802. In Standefer v. United States, 447 U.S. 10, 24, 100 S.Ct. 1999, 2008, 64 L.Ed.2d 689 (1980), the Court noted that in cases like Blonder-Tongue, supra note 32, and Parklane, supra, which dealt with disputes over private rights between private litigants, "no significant harm flows from enforcing a rule that affords a litigant only one full and fair opportunity to litigate an issue, and [that] there is no sound reason for burdening the courts with repetitive litigation." (emphasis added).

. National Diversified Business Services, Inc. v. Corporate Financial Opportunities, Inc., 1997 OK 36, 111, 946 P.2d 662, 666-67 (issue preclusion operates to bar from relitigation both correct and erroneous resolutions of jurisdictional and nonjurisdictional challenges); Fent, supra note 33, at 115, at 133; Veiser, supra, note 30, at ¶ 18, at 802; 18 Wright, Miller & Cooper, Feperar Practice anp Proceoure § 4403 at 17 (2d ed.2002).

. See supra note 1.

. The terms of Rule 1.16 (Mandate), Oklahoma Supreme Court Rules, as amended 16 June 2003 (2003 OK 62), 12 0.8. Supp.2003, Ch. 15, App. 1, provide in pertinent part:

In every appeal or petition to review any order of a district court or other tribunal, a mandate will be issued to the lower court or tribunal on order of the Chief Justice upon conclusion of the matter on appeal. The mandate may be issued seven (7) days after the filing of an order denying certiorari or rehearing in the Supreme Court, or immediately upon expiration of time to file a petition for writ of certio-rari or petition for rehearing, and disposition of any timely filed post-decisional motion. No mandate is issued upon conclusion of original actions, questions certified by federal courts, bar disciplinary matters, or original proceedings on initiative or referendum petitions.

The terms of Rule 1.181 (Denial of Petition for Writ), Oklahoma Supreme Court Rules, 12 O.S. Supp.1997, Ch. 15, App. 1, provide:

When a petition for writ of certiorari is denied an order shall be entered to that effect and the mandate shall issue. If writ of certiorari is denied, no petition for rehearing may be filed in the Supreme Court. See Rule 1.13..

{emphasis added).

Fent, supra note 33, at ¶ 11, at 132; Cox v. Kansas City Life Ins. Co., 1997 OK 122, ¶ 4, 957 P.2d 1181, 1184 (the trial court's judgment, as modified by COCA, became final when mandate issued); Special Indemnity Fund v. Cole, 1992 OK 104, ¶ 11, 834 P.2d 959, 962. When a mandate is issued, the trial court has the duty to comply with its terms. Hurst v. Brown, 1954 OK 25, ¶ 7, 266 P.2d 438, 440; Grayson v. Stith, 1943 OK 150, ¶ 20, 138 P.2d 530, 533, 192 Okl. 340.

. While issue preclusion is an affirmative defense that must be pleaded and proved, an appellate court may raise it sua sponte. Nealis, supra note 18, at 151 n. 88, at 458. See also Jackson v. N. Bank Towing Corp., 213 F.3d 885, 889 (5th Cir.2000) (the court is permitted to raise the issue of res judicata sua sponte to affirm the district court); Doe v. Pfrommer, 148 F.3d 73, 80 (2d Cir.1998); Indep. Sch. Dist. No. 283 v. S.D., 88 F.3d 556, 562 n. 5 (8th Cir.1996) ("Preclusion may be raised by the court because 'benefits of precluding relitigation of issues finally decided run not only to the litigants, but also to the judicial system.' ""); Studio Art Theatre of Evansville, Inc. v. City of Evansville, 76 F.3d 128, 130 (7th €Cir.1996); 18 Wright, Miller & Cooper, Fep-ERAL Practice anp Procepure § 4405 (2d ed. 2002) ("It has become increasingly common to raise the question of preclusion on the court's own motion."). "Allowing an appellate court to raise res judicata [sua sponte] is consistent with policies of avoiding unnecessary judicial waste ... and fostering reliance on judicial decisions by precluding relitigation." Merrilees v. Treasurer, 618 A.2d 1314, 1315, 159 Vt. 623 (1992).

. Judges have a legislative license to continue crafting the norms of Oklahoma's common law. It stands conferred upon the judicial service by the provisions of 12 0.$.2001 § 2. The terms of § 2 are:

The common law, as modified by constitutional and statutory law, judicial decisions and the condition and wants of the people, shall remain in force in aid of the general statutes of Oklahoma....

. Ascribing lawmaking consequences to some judicial work is not a new or revolutionary analysis. Judges make law by common-law development; administrative tribunals make law by judicial rulemaking. The common-law development is a law-generating process that creates new legal norms. 2 Kenneth Culp Davis and Richard J. Pierce, Jr., Abmmustrative Law Treatise § 10.6, at 154 (3d ed.1994); Kenneth Culp Davis, Judicial Notice, 55 Colum. L.Rev. 945, 952 (1955) ("When a court or agency develops law or policy, it is acting legislatively; the courts have created the common law through judicial legislation....").

Judicial actions may fall under three rubrics-adjudicative, legislative and executive. The U.S. Supreme Court applies a functional test to immunity questions. When judges adjudicate they have absolute immunity; when they legislate they have legislative immunity and when they act as executives, they have only executive immunity. In Supreme Court of Virginia v. Consumers Union of the United States, 446 U.S. 719, 731, 100 S.Ct. 1967, 1974, 64 L.Ed.2d 641, 653 (1980), the Court pointed out that protection from liability under the Civil Rights Act is extended to one whose performed function under attack is found to be immunized rather than on the basis of one's official place as a functionary in an assigned category of government service. The Court observed that "[i]t is evident that, in enacting disciplinary rules, the Supreme Court of Virginia is constituted a legislature." Id. (emphasis supplied). Cf. Forrester v. White, 484 U.S. 219, 108 S.Ct. 538, 98 L.Ed.2d 555 (1988).

. The U.S. Supreme Court recognizes some facets of fudicature as consequential lawmaking. Linkletter v. Walker, 381 U.S. 618, 623-24, 85 S.Ct. 1731, 1734, 14 L.Ed.2d 601 (1965), presented the question whether the exclusionary rule of Mapp v. Ohio, 367 U.S. 643, 81 S.Ci. 1684, 6 L.Ed.2d 1081 (1961), should be held to operate retrospectively by including within its sweep final convictions before the Mapp decision. In declining to apply Mapp retroactively, the Court explicitly repudiated the universal applicability of the Blackstonian view that courts declare only preexisting law and, instead, adopted the positivist approach counseled by John Austin "that judges do in fact do something more than discover law; they make it interstifially by filling in with judicial interpretation the vague, indefinite, or generic statutory or common-law terms that alone are but the empty crevices of the law." Id., 381 U.S. at 623-24, 85 S.Ct. at 1734 (emphasis added). "I recognize without hesitation," wrote Justice Holmes in 1917, "that judges do and must legislate, but they can do so only interstitially." S. Pac. Co. v. Jensen, 244 U.S. 205, 221, 37 S.Ct. 524, 531, 61 L.Ed. 1086 (1917)(Holmes, J., dissenting)(emphasis added). Sir Rupert Cross observes that [tlhe modern English judge is at a disadvantage as a lawmaker when contrasted with the legislature because he cannot unmake law which has been effectively declared by statute, or, in spheres in which there is no statute, by decisions which are binding upon him. He is subject to the even greater restriction that he can only make law on such specific issues as happen to be litigated before him." Rupert Cross, supra note 27 at 34. "[IJt is only necessary to observe that the fact that our judges can and do make law is now universally recognized by writers on the British Constitution." Id., at 30 (emphasis supplied).

. For the constitutional restraints against retroactive lawmaking see Parts IV through VII, infra.

. Supra notes 4 and 5.

. According to the legal philosophy of Professor Lon Fuller, who strove to isolate and catalogue the law's universally accepted sine qua non values, the function of law is to provide a mechanism for eliminating " 'the blind play of chance' by clear and understandable rules previously declared and consistently applied." Lon L. Fuller, THs Morarity Or Law 9 (2d ed.1969). He maintains that "a retroactive law is truly a monstrosi*1064ty. Law has to do with the governance of haman conduct by rules. To speak of governing or directing conduct by rules that will be enacted tomorrow is to talk in blank prose." Id. at 53. Fuller equates retroactive legislation with the brutal absurdity of commanding a man today to do something yesterday." Id. at 59. He argues that laws must have an "internal morality" which is reflected in eight constitutive elements of legality. Prospectivity (i.e. nonretroactivity) of legal rules is one of the eight elements. He urges that no system that applies after-enacted law retrospectively can aspire to be just under the standards he proposes for natural law.

. See the pertinent terms of Art. 5 §§ 52 and 54, Ok. Const., infra notes 56 and 50.

. For the pertinent terms of Art. 5 §§ 52 and 54, Okl. Const., see infra notes 56 and 50.

. "Retroactive legislation presents problems of unfairness that are more serious than those posed by prospective legislation, because it can deprive citizens of legitimate expectations and upset settled transactions. For this reason, '[tlhe retroactive aspects of [economic] legislation, as well as the prospective aspects, must meet the test of due process': a legitimate legislative purpose furthered by rational means." General Motors Corp. v. Romein, 503 U.S. 181, 191, 112 S.Ct. 1105, 1112, 117 L.Ed.2d 328 (1992).

. The U.S. Supreme Court acknowledges the existence of some federal constitutional protection for a vested interest,. In Stogner v. California, -- U.S. , --, 123 S.Ct. 2446, 2460, 156 L.Ed.2d 544 (2003), the Court opines "that an extension of even an expired civil limitations period can unconstitutionally infringe upon a 'vested right.'" Id., citing Chase Securities Corp. v. Donaldson, 325 U.S. 304, 312, n. 8, and 315-316, 65 S.Ct. 1137, 89 L.Ed. 1628 (1945).

. In English law, a per incuriam decision is one given in ignorance or forgetfulness of a statute or of a rule having the force of law. The English Court of Appeal is not bound by its decisions given per incuriam. Rupert Cross, supra note 27 at 121, 148-51, 163; Huddersfield Police Authority v. Watson, 2 All E.R. 193, 196 (1947); Young v. Bristol Aeroplane Co. Ltd., K.B. 718, 729 (Eng.C.A.1944). Assuming this English doctrine is a part of Oklahoma law, Tibbetts I is not vulnerable to a declaration that it is a per incu-riam pronouncement. No one asked on remand that Tibbetts I be declared per incuriam; but even if the doctrine had been invoked, the fact that this court has later chosen to pursue a different course of construction is not a ground for pronouncing an opinion per incuriam. Moreover, since Tibbetts I is a COCA pronouncement that has not been approved as precedential by the Supreme Court, it is not subject to a per incuriam condemnation.

. The terms of Art. 5 § 54, OKI. Const., are:

The repeal of a statute shall not revive a statute previously repealed by such statute, nor shall such repeal affect any accrued right, or penalty incurred, or proceedings begun by virtue of such repealed statute.

{(emphasis added).

A proceeding begun under applicable norms of substantive statutory law (or common law) then in force remains unaffected by after-enacted leg*1065islative changes (or those effected through the process of judicature). In First Nat. Bank of Pauls Valley v. Crudup, 1982 OK 132, 656 P.2d 914, the court dealt with an enactment that operated to abridge a limitation period governing foreclosure of certain mechanic's or material-men's liens. A lien statement timely filed (pursuant to a then-existing statute) was held to constitute a "proceeding begun" whose limitation could not be shortened by an after-enacted statute without offending the provisions of Art. 5 § 54, Ok. Const.

. One's entitlement to a counsel-fee award as prevailing party brings to a litigant an added element of postjudgment recovery, which, on its attachment, becomes "an accrued right" that stands protected by Art. 5 § 54, OK1. Const.

. Accrued right, as used in Art. 5 § 54, OK. Const., may be defined as a matured cause of action that arose before there was a change in law. -In re Bomgardner, 1985 OK 59, 111 n. 22, 711 P.2d 92, 96 n. 22; Mid-Continent Casualty Co. v. P & H Supply, Inc., 1971 OK 135, ¶ 16, 490 P.2d 1358, 1361; Barry v. Board of County Commissioners, 1935 OK 701, 49 P.2d 548, 549, 173 Okl. 645. Bmack's Law Dictionary 1323 (7th ed.1999) defines an "accrued right" as a "matured right; a right that is ripe for enforcement." "A 'vested right is the power to do certain actions or possess certain things lawfully, and is substantially a property right. It may be created either by common law, statute or contract. Once created, it becomes absolute, and is protected from legislative invasion by Art. 5, Secs. 52 and 54 of our Constitution." Oklahoma Water Resources Board v. Central Oklahoma Master Conservancy District, 1968 OK 73, 123, 464 P.2d 748, 755 (emphasis added).

. Lee v. Volkswagen of America, Inc., 1987 OK 80, ¶ 3, 743 P.2d 1067 (one's entitlement to an award of costs is a vested right in an adjudicated obligation and cannot be altered by legislation enacted after the judgment); Timmons v. Royal Globe Insurance Co., 1985 OK 76, § 13, 713 P.2d 589, 594.

. See Walls and Patterson, supra notes 4 and 5.

. The court's pronouncement in Qualls v. Farmers Ins. Co., Inc., 1981 OK 61, 629 P.2d 1258 is not inconsistent with the dissent's analysis that in this case we deal with substantive law. Qualls dealt only with an after-enacted statute that added a counsel-fee award to a pending claim. Here, we are dealing not with just one's entitlement to a counsel-fee award by an after-enacted statute, but with the survival of a claim that confers upon the prevailing party a declared right to a counsel-fee recovery. In short, Qualls was pronounced on the basis of the statute's purely procedural impact. In this case we deal with the pronounced actionability of a claim (declared viable in Tibbetts I ), which presents an issue of substantive law.

. The terms of Art. 5 § 52, Okl. Const., are:

The Legislature shall have no power to revive any right or remedy which may have become barred by lapse of time, or by any statute of this State. After suit has been commenced on any cause of action, the Legislature shall have no power to take away such cause of action, or destroy any existing defense to such suit.

{emphasis added).

Neither the legislature nor the courts can impair a substantive right by retrospective legislation or by after-promulgated judicature. Hedges v. Hedges, 2002 OK 92, 126, 66 P.3d 364, 374 (the validity, meaning, and effect of a judgment must always be assayed by the law in force at the time it was entered; judicial testing of these elements in an adjudged obligation must be kept free from impairment by after-enacted legislation and by after-promulgated caselaw); Nantz v. Nantz, 1988 OK 9, 16, 749 P.2d 1137, 1143 (Opala, J., dissenting); Harry R. Carlile Trust v. Cotton Petroleum Corp., 1986 OK 16, ¶ 24, 732 P.2d 438, 449; Timmons v. Royal Globe Ins. Co., 1985 OK 76, ¶ 13 n. 18, 713 P.2d 589, 594 n. 18; Mayhue v. Mayhue, 1985 OK 68, ¶ 6, 706 P.2d 890, 894; American-First Title & Trust Company v. Ewing, 1965 OK 98, ¶ 40, 403 P.2d 488, 496.

. The term "locus standi" means "the right to bring an action or to be heard in a given forum." Brack's Law Dictronary at 952 (7th ed.1999).

. When the measure of damages changes, the substantive law of the claim is changed. The right to recover an attorney's fee as prevailing party is no less a matter of substantive law than recovery of damages for the harm occasioned by another. An award of counsel fee to the victor, as an additional element of recovery, when statutorily authorized, "creates and enlarges substantive rights" in an action. Today's change in plaintiffs' right to recover counsel fee violates this constitutional mandate. Thomas v. Cumberland Operating Co., 1977 OK 164, ¶ 10, 569 P.2d 974, 976.

. The provisions of Art. 5 § 54, Okl. Const., supra note 50. Rights are established in the states by their constitution, statutes or the common law. Oklahoma Water Res. Bd., supra note 52 at 755; Smith v. Smith, 1982 OK 115, ¶ 1 n. 1, 652 P.2d 297, 299 n. 1 (Opala, J., concurring). "A vested cause of action, whether emanating from contract or common-law principles, may constitute property beyond the power of the legislature to take away ...." de Rodulfa v. United States, 461 F.2d 1240, 1257 n. 96 (D.C.Cir.1972), cert. denied, 409 U.S. 949, 93 S.Ct. 270, 34 L.Ed.2d 220 (1972).

. Thomas, supra note 58, teaches that a statutory increase in the quantum of damages recoverable in a contract action fashions "a new element of damages as distinguished from {creating] a new remedy. ..." Id. at 1 6, at 976. The issue in Thomas was whether the statutory increase in wrongful death benefits may be applied retroactively. This court held that "[s]tatutory increases in damage limitations are changes in substantive rights and not mere remedial changes." Id. For Thomas' progeny see Roach v. Jimmy D. Enterprises, Ltd., 1996 OK 26, 912 P.2d 852; Majors v. Good, 1992 OK 76, 832 P.2d 420 (statutory increases or restrictions on the quantum of recoverable damages are changes in substantive rights that must be applied prospectively only).

. Extra-legal means are those which are not prescribed by law for the relief sought.

. By its reference to the right of counsel-fee award the court is building a railroad siding to escape from the main track. See 124, note 16 of the court's opinion. What is destroyed by today's retroactive jurisprudence is the private right of action by an unharmed plaintiff.

. The court's critique focuses on a contingency-fee defense. That theory could have been raised in Tibbetts I. It is now barred by the settled law of the case. Nealis, supra note 18, at 161, at 462; Handy, supra note 18, at 113, at 873 (the settled-law-of-the-case doctrine operates to bar relitigation of issues that are finally settled by an appellate opinion as well as of those that the aggrieved party has failed timely to raise in the course of appellate contest ).

. See, e.g., Dixon v. State Mut. Ins. Co., 1916 OK 738, 110, 8, 159 P. 922, 60 Ok. 237 ("It is the *1068general rule that a decision upon a general demurrer to a petition, when the party elects to stand upon the petition, is a ruling upon the merits and is res adjudicata as between the parties upon the same state of facts, but in a case where the Supreme Court sustains the trial court solely upon the ground that the petition was prematurely filed, such holding is binding upon the trial court, and it is immaterial that the Supreme Court has since held that the same state of facts constitutes a good cause of action."). Id., T0 (emphasis added). The command of Dixon's unqualified obedience to settled law has been consistently and often followed. It remains unrepudiated.

. See, eg., Oklahoma City Elec., Gas & Power Co., supra note 29, at ¶ 9, at 760-61.

. Bivens v. Six Unknown Named Agents of Federal Bureau of Narcotics, 403 U.S. 388, 420, 91 S.Ct. 1999, 2016, 29 L.Ed.2d 619 (1971) (Burger, C.J., dissenting) (quoting Oliver Wendell Holmes, The Path of the Law, 10 Harv.L.Rev. 457, 469 (1897)).

. Employment of vacuous legal standards is counterproductive to developing a body of reasoned decisions with concretized and consistent norms of precedential value which are so necessary for a judicature that assures everyone of even-handed fairness.

. The court fails to address itself to the dissent's view that Tibbetts I raises an issue preclusive bar to the open-ended judicial escape hatch by which retroactive application of after-crafted changes in a once finally shaped norm of controlling statutory law is sought to be justified.