Dennis K. Chandler v. Andrew A. Pallito
No. 16-016
Supreme Court of Vermont
September 23, 2016
Motion for Reargument Denied October 26, 2016
2016 VT 104 | 158 A.3d 296
Dennis K. Chandler, Pro Se, Baldwin, Michigan, Plaintiff-Appellant.
William H. Sorrell, Attorney General, and David McLean, Assistant Attorney General, Montpelier, for Defendant-Appellee.
Matthew F. Valerio, Defender General, and Jill Paul Martin, Montpelier, for Amicus Curiae Defender General.
¶ 2. On February 6, 1997, plaintiff pled guilty to one count of aggravated sexual assault, one kidnapping count, and one count of burglary. He was sentenced in April 1997 to twenty-five to sixty years. At his sentencing hearing, an employee of the Department described the sex offender treatment programming available to plaintiff and indicated that programming would not be automatically available to plaintiff prior to his minimum release date, but that plaintiff would be eligible to have an assessment. The employee also testified that, based on plaintiff‘s participation in the programming and the Department‘s assessment of that participation, the goal of the sex offender treatment program was for plaintiff to be released at his minimum incarceration date in 2013.
¶ 3. At the time of plaintiff‘s incarceration, only the parole statute provided for release at an offender‘s minimum release date—the remainder of the offender‘s sentence would be served on parole. Under that statute—
The furlough statute in effect was also completely discretionary, but authorized the
¶ 4. Subsequently, in addition to the parole and basic furlough statutes, the Legislature added two new avenues for an offender to be released at his or her minimum release date: reintegration furlough was added in 2005 and conditional reentry was enacted in 2001.4
authority to place an offender on conditional reentry status at the end of his or her minimum sentence. Supervision while on conditional reentry status was governed by another subsection of the amended furlough statute,
¶ 5. In response to these legislative changes, the Department promulgated a
¶ 6. As of 2008, plaintiff‘s case plan listed his Level of Services Inventory (LSI) risk at twenty-four and his combined reoffense and violence risk score at sixty-three.8 Together, these validated assessments apparently placed plaintiff in custody Level B. Level B offenders are eligible for sex offender treatment programming only after the Department considers a number of discretionary factors, such as the risk evident in the instant offense and the appropriateness of the specific programming methods.9 10 Once a Level B offender is
participates in the required treatment programming, conditional reentry will be granted at the offender‘s minimum release date, subject to additional discretionary exceptions, such as “risk to public safety.”11 In the plaintiff‘s case, his case plan or Offender Responsibility Plan (ORP) scheduled him to begin the Vermont Treatment Program for Sexual Abusers (VTPSA) on September 1, 2009, well in advance of his minimum release date.12
¶ 7. On July 1, 2009, the Legislature enacted
¶ 8. On October 21, 2009, the Department reclassified plaintiff a Level C offender pursuant to Directive 371.10, the governing directive for some listed offenses. The brief case note accompanying the plaintiff‘s redesignation indicates that the Level C classification was based on the kidnapping of the victim, the sexual violence that occurred, the victim‘s vulnerability and emotional trauma, and the premeditated nature of the crime.14 Unlike Level
¶ 9. In February 12, 2010, the Department acknowledged in another case note that plaintiff‘s designation as a Level C offender was a mistake; instead of classifying plaintiff as a Level C offender, the Department had intended to merely evaluate plaintiff‘s appropriateness for Level C. The Department indicated that plaintiff‘s classification would be restored to Level B.
¶ 10. Five days later, on February 17, 2010, another Department case note described in a “Programming Determination Decision” that the Department would base plaintiff‘s case plan on his anticipated maximum release date. The case note cited supporting factors like the seventy percent of maximum release date requirement articulated in
¶ 11. Subsequently, in an April 21, 2010 letter, the Sex Offender Review Committee informed plaintiff that he would be designated a “high risk” sex offender under
¶ 12. After this holding, plaintiff attempted to gain admission to the treatment programming described in his ORP case plan, particularly VTPSA. The Department reviewed plaintiff‘s case and, in a letter to plaintiff on February 16, 2011, declined to initiate the sex offender treatment program necessary for plaintiff to be conditionally reentered into the community. Specifically, the Department concluded that the “egregious nature of the offenses indicates that the potential risk of harm and risk to public safety would not be sufficiently mitigated by program participation” and explained that, rather than enrolling plaintiff in the rehabilitative program, the Department would review his case every two years.
¶ 13. In April 2013, plaintiff filed this action against the Department‘s Commissioner in the superior court. After extensive discovery and pretrial motions, plaintiff filed a motion for summary judgment. Broadly stated, plaintiff argued that the
¶ 14. The Commissioner filed a cross-motion for summary judgment claiming that the statutory changes did not increase the measure of punishment associated with plaintiff‘s crimes and that the Ex Post Facto Clause did not apply to the Department‘s programming decisions because they were rehabilitative and administrative in nature, not punitive.
¶ 15. In its analysis of the competing cross-motions, the superior court focused on the Department‘s historically broad discretion over programming decisions, concluding that any change in the way the Department exercised its discretion did not amount to a legislative act subject to the Ex Post Facto Clause. Moreover, according to the court, the plaintiff provided no evidence that the Department applied some unwritten rule or policy to him that subjected his sentence to the same effect as the seventy-percent rule. Reasoning that because there was no evidence that a change in the law caused plaintiff to lose the opportunity for parole, the superior court granted the Commissioner‘s motion for summary judgment and denied plaintiff‘s cross-motion. This appeal followed.
¶ 16. This Court reviews decisions denying or granting summary judgment by applying the same standard as the superior court. In re Carter, 2004 VT 21, ¶ 6, 176 Vt. 322, 848 A.2d 281. Under this standard, we view the evidence in the light most favorable to the nonmoving party; the superior court‘s decision will be affirmed if there are no genuine issues of material fact and the moving party is entitled to judgment as a matter of law. Id.; see also
¶ 17. On appeal, plaintiff repeats his broad argument that the Department‘s decision to deny him the opportunity to participate in programming amounted to an ex post facto violation, but his claim now has a slightly different emphasis. Specifically, the plaintiff argues that the Department‘s decision to deny his programming improperly relied on the same criteria it used to designate him “high risk” under
¶ 18. Although we do not agree that the Department‘s classification and programming system is immune from ex post facto analysis, we affirm the superior court‘s decision granting the Commissioner‘s summary judgment motion and denying plaintiff‘s. After reviewing the evidence
¶ 19. Under the Ex Post Facto Clause, states may not retrospectively apply laws to a criminal defendant‘s prior actions, if that retroactive application disadvantages the affected offender. Lynce v. Mathis, 519 U.S. 433, 441 (1997); see
¶ 20. In this case, plaintiff‘s contention falls within Calder‘s third category, which prohibits the retroactive application of “[e]very law that changes the punishment, and inflicts a greater punishment, than the law annexed to the crime, when committed.” Calder, 3 U.S. at 390. A law retroactively increases punishment if, objectively analyzed, the legislative change “created a sufficient risk of increasing the measure of punishment attached to the covered crimes.” Garner v. Jones, 529 U.S. 244, 250 (2000) (quotation omitted); see also Girouard v. Hofmann, 2009 VT 66, ¶ 18, 186 Vt. 153, 981 A.2d 419. No exact formula exists for determining whether a change in the law affects punishment sufficiently enough to violate the Ex Post Facto Clause; however, a “speculative and attenuated possibility” of increasing the punishment does not trigger an ex post facto violation. Morales, 514 U.S. at 509.
¶ 21. In the context of an offender‘s release date, the U.S. Supreme Court has noted that whether a change in a law creates a sufficient risk of increasing a plaintiff‘s punishment “is often a question of particular difficulty when the discretion vested in a parole board is taken into account.” Garner, 529 U.S. at 250. In Morales, for example, the Supreme Court held that a statute that changed the frequency of parole reconsideration hearings for certain violent offenders from every year to every three years did not violate the Ex Post Facto Clause. 514 U.S. at 508. In support of this holding, the
¶ 22. Subsequently, the U.S. Supreme Court directly addressed a state statutory scheme providing a parole board with great discretion to determine whether an offender should receive early release. Garner, 529 U.S. 244. In Garner, a new Georgia law required the Georgia parole board to reconsider parole for all inmates serving life sentences every eight years, instead of every three years, as the previous law required. Id. at 247. As with the Vermont statute in effect when plaintiff was sentenced, the Georgia parole scheme as a whole invested great discretion in the parole board to determine whether an offender could be released on parole.16
¶ 23. In its analysis, the Supreme Court first reiterated that the relevant question was whether the new statute created a significant risk of prolonging the prisoner‘s incarceration, emphasizing “that not every retroactive procedural change creating a risk of affecting an inmate‘s terms or conditions of confinement is prohibited.” Id. at 250. In determining whether that sufficient risk exists, the Supreme Court noted that “[t]he presence of discretion does not displace the protections of the Ex Post Facto Clause.” Id. at 253. But the Supreme Court also acknowledged that, in the context of parole, discretion allows a parole board to adapt to “[n]ew insights into the accuracy of predictions about the offense and the risk of recidivism consequent upon the offender‘s release, along with a complex of other factors.” Id. According to the Supreme Court, that is exactly what Georgia‘s parole scheme accomplished. Id. In fact, in conjunction with two other statutes that qualified the law at issue, the amendment
¶ 24. Plaintiff fails to meet this burden here.
¶ 25. First, insofar as plaintiff‘s claims rest on the application of
¶ 26. As a result, instead of relying on the plain terms of
that the Department‘s decision to deny his sexual offender treatment programming improperly employed the same criteria as the determinations under
¶ 27. But plaintiff‘s claim of improper reliance on “findings” is too attenuated and speculative to establish an ex post facto violation. See Morales, 514 U.S. at 508-09 (“These and countless other changes might create some speculative, attenuated risk of affecting a prisoner‘s actual term of confinement by making it more difficult for him to make a persuasive case for early release, but that fact alone cannot end the matter for ex post facto purposes.“). Collectively, the current statutes governing reentry provide the Department with the discretion to make programming decisions for offenders and to determine their eligibility for early release, as long as that discretion is tempered by the potential risk to the public and risk of reoffense. See, e.g.,
¶ 28. The mere fact that
¶ 29. Moreover, even if we accepted as true plaintiff‘s argument that the Department‘s reliance on the improper “findings” led the Department to categorize him as a Level C offender—consequently denying plaintiff‘s treatment programming and preventing his early release—plaintiff fails to demonstrate how the retroactively applied statutes and administrative directives altered or eliminated the Department‘s fundamental discretion over plaintiff‘s treatment programming and led to an increase in his sentence.
¶ 30. At the time of his incarceration, plaintiff could be released only for a maximum fifteen-day furlough for certain reasons, none of which included reintegration furlough or conditional reentry. 1971, No. 199 (Adj. Sess.), § 20. Further, he was not eligible for parole until the expiration of his minimum sentence, less any reductions for good behavior.
¶ 31. The subsequent enactment of the conditional reentry and reintegration furlough statutes did not alter this fact, because the Department‘s fundamental discretion over plaintiff‘s treatment programming did not change. Instead, as in Garner, the enactment of the conditional reentry and reintegration furlough statutes allowed the Department to incorporate “[n]ew insights into the accuracy of predictions about the offense and the risk of recidivism consequent upon the offender‘s release, along with a complex of other factors.” Garner, 529 U.S. at 253. This is evident from the text of the new statutes, which still provided the Department with discretion over release. See, e.g.,
¶ 32. We are not persuaded by plaintiff‘s reliance on In re Shaimas, 2008 VT 82, 184 Vt. 580, 958 A.2d 646 (mem.). In Shaimas we upheld the trial court‘s conclusion that the petitioner‘s misunderstanding of the availability of treatment programming and early release did not invalidate his plea deal. Id. ¶ 9. To the limited extent a case involving a plea bargain applies to an ex post facto claim, we note that this Court acknowledged in Shaimas that “information concerning parole eligibility is inherently imprecise owing to any number of variables such as the petitioner‘s conduct while in prison, changes in the makeup or philosophy of parole boards, and changes in the law.” Id. (quotation omitted). Thus, although it is true that the new statutes and directives attempt to make this information more accurate, they do not alter the Department‘s fundamental discretion in a manner that could retroactively increase plaintiff‘s quantum of punishment.
¶ 33. Similarly, this is not a case where plaintiff‘s previous eligibility for early release was eliminated by the new statutes and directives. See generally Girouard, 2009 VT 66. In Girouard the plaintiff‘s sentence contained no minimum term; then, after his incarceration, a 2001 amendment conditioned all inmates’ reintegration furlough on completion of a minimum prison term. The plaintiff argued that his lack of a minimum sentence made him ineligible for furlough and, as a result, his likelihood of parole was also significantly decreased because the Department‘s policy was to grant parole only if an offender had participated in furlough. We agreed with the plaintiff, concluding that the passage of the reintegration furlough statute could have eliminated an opportunity for parole that previously existed for the plaintiff. Id. ¶¶ 10, 12. As a result, we reversed the trial court‘s decision to grant the Department‘s motion to dismiss and remanded for the trial court to determine if, in fact, the Department‘s policy was to deny parole if an offender had not participated in furlough. Id. ¶ 12. Here, we examine the facts at a later stage in the proceedings, after the cross-motions for summary judgment. From the more developed factual record, it is clear that the Department has long had the discretion to
¶ 34. To be clear, the mere fact that the Department has the discretion to determine whether plaintiff may participate in programming does not preclude plaintiff‘s ex post facto claim. “The presence of discretion does not displace the protections of the Ex Post Facto Clause,” Garner, 529 U.S. at 253; rather, nothing suggests that the Department‘s fundamental discretion over the timing of plaintiff‘s programming has been changed by a statute or directive since the date of plaintiff‘s incarceration. Likewise, we reject the Department‘s arguments that the directives and policies of the Department may not be examined for ex post facto violations because they are not legislative acts. “At a minimum, policy statements, along with the [Department‘s] actual practices, provide important instruction as to how the [Department] interprets its enabling statute and regulations, and therefore whether, as a matter of fact, the [legislative acts] created a significant risk of increased punishment.” Id. at 256; Girouard, 2009 VT 66, ¶ 12 (remanding for trial court to determine if, in fact, Department‘s policy was to deny parole if offender had not participated in furlough). In this case, plaintiff‘s claim fails because he can point to no statute or directive that retroactively removed or limited the Department‘s discretion over his treatment programming and that consequently resulted in a longer period of incarceration. Garner, 529 U.S. at 255.
¶ 35. Finally, we briefly address the argument advanced by amicus curiae, the Office of the Defender General. The Defender General claims that, since plaintiff‘s conviction, Vermont has adopted a “hard line” towards sentencing and treating sex offenders because of negative publicity stemming from the kidnapping, rape, and murder of Brooke Bennett.19 According to the Defender General, this negative publicity not only spurred the Legislature to impose stricter sentencing guidelines, but also prompted the Department to pursue an unwritten policy of using any means necessary to increase sex offenders’ quanta of punishment. The Defender General claims that this pressure, coupled with the series of statutory amendments described above, increased plaintiff‘s punishment and constituted an ex post facto violation. In an attempt to support this claim, the Defender General alleges that two material facts remain in dispute: whether any written or unwritten rule exists regarding offender suitability for programming and whether the sentencing court considered the impact of the Department‘s treatment plan when imposing plaintiff‘s sentence.
¶ 36. We fail to see how either alleged material fact remains in dispute, much less how either impacts our decision. As indicated above, there are many written directives that govern how offenders are categorized for treatment programming; nevertheless, all of these directives plainly preserve the discretion the Department has always had over plaintiff‘s treatment programming and early release. Garner, 529 U.S. at 254. Moreover, to the extent the Defender General relies on an “unwritten policy” adopted in response to public pressure, we find the claim that public pressure increased plaintiff‘s
irrelevant to the ex post facto inquiry if the sentencing court considered the impact of the treatment plan when imposing plaintiff‘s sentence. The question is whether a subsequent law, retroactively implemented by the Department, “increas[ed] the measure of punishment attached to the covered crimes.” Garner, 529 U.S. at 250 (quotation omitted). The factors the sentencing court used to arrive at the original measure of punishment attached to the crime do not bear on this comparative analysis. Rather, a plaintiff must demonstrate the practical implementation of the new statutes and rules resulted “in a longer period of incarceration than under the earlier rule.” Id. at 255. In this case, plaintiff fails to make this demonstration.
Affirmed.
Notes
1997, No. 148 (Adj. Sess.), § 61. The current version ofAn inmate shall be released on parole by the written order of the parole board if the board determines:
(1) the inmate is eligible for parole;
(2) there is a reasonable probability that the inmate can be released without detriment to the community or to the inmate; and
(3) the inmate is willing and capable of fulfilling the obligations of a law-abiding citizen.
The [Department] shall weigh several considerations in determining the appropriateness of a program for a specific offender, including (but not limited to) the criminogenic risk and need factors evident in the instant offenses, assessment data collected in various reports and the LSI, the appropriateness of specific methods, responsivity factors for the offender, overall risk of recidivism, special needs and accommodations, and other factors highlighted in the assessment.Dep‘t of Corr., Agency of Human Servs., Participation Requirements for Offenders Convicted of Listed Offenses, Directive 371.12, § 4.3 (2002) [hereinafter Program Participation Requirements, Directive 371.12], http://www.doc.state.vt.us/about/policies/rpd/correctional-services-301-550/371-375-programs-classification-and-case-planning/371.12-%20Directive-%20Program%20Participation%20Requirements%20for%20Listed%20Offenders.pdf [https://perma.cc/5F6V-P3LR].
I will state what laws I consider ex post facto laws, within the words and the intent of the prohibition. 1st. Every law that makes an action, done before the passing of the law, and which was innocent when done, criminal; and punishes such action. 2nd. Every law that aggravates a crime, or makes it greater than it was, when committed. 3rd. Every law that changes the punishment, and inflicts a greater punishment, than the law annexed to the crime, when committed. 4th. Every law that alters the legal rules of evidence, and receives less, or different, testimony, than the law required at the time of the commission of the offence, in order to convict the offender.3 U.S. at 390.
No inmate shall be placed on parole until and unless the board shall find that there is a reasonable probability that, if he is so released, he will live and conduct himself as a respectable and law-abiding person and that his release will be compatible with his own welfare and the welfare of society. Furthermore, no person shall be released on pardon or placed on parole unless and until the board is satisfied that he will be suitably employed in self-sustaining employment or that he will not become a public charge.See also Ga. Code Ann. § 42-9-43 (1997) (listing information parole board should consider, including wardens’ reports, results of physical and mental examinations, and reports regarding prisoners’ performance in educational programs); cf.
