Gratton Earl MOORE, Appellant, v. UNITED STATES of America.
No. 17931.
United States Court of Appeals, Third Circuit.
Decided Sept. 24, 1970.
Argued Nov. 7, 1969. Reargued May 26, 1970.
432 F.2d 730
As stated, Mount Hope, by its appeal, attacks, too, the sufficiency of the District Court‘s instructions on the nature and extent of its lien, on the authority of which it purported to sell the goods. Since, as we have seen, any such lien, if it existed, could not divest Toyomenka of its right of ownership, any failure of the Court to instruct fully with reference to Mount Hope‘s rights under its alleged lien was harmless.
Finally, Mount Hope raises certain objections to admissions of evidence. The admissions fell within the range of the Trial Court‘s discretion and such discretion will not be disturbed.
Affirmed.
Joseph R. Ritchie, Jr., Asst. U. S. Atty., Philadelphia, Pa., for appellee.
John Hassett, Philadelphia, Pa., for amicus curiae, Defender Ass‘n. of Philadelphia.
Stanley Van Ness, Public Defender, Trenton, N. J., for amicus curiae, N. J. Defender Ass‘n.
Argued Nov. 7, 1969
Before MARIS, SEITZ and STAHL, Circuit Judges.
Reargued May 26, 1970
Before HASTIE, Chief Judge, and MARIS, FREEDMAN, SEITZ, VAN DUSEN, ALDISERT, ADAMS and GIBBONS, Circuit Judges.
OPINION OF THE COURT
FREEDMAN, Circuit Judge.
We ordered rehearing of this case before the Court en banc to review in the setting of representation by a defender agency the rule we adopted in United States ex rel. Mathis v. Rundle, 394 F.2d 748 (3 Cir. 1968), that an untimely appointment of counsel will create a presumption that the defendant was prejudiced and shift to the state the burden of showing the contrary.
On March 30, 1965, petitioner was found guilty by a jury and sentenced on four counts of federal bank robbery based on the holdup of a teller of the Abraham Lincoln Federal Savings and Loan Association in Philadelphia. He did not appeal from the judgment but three years later, while still imprisoned under an earlier conviction not here challenged, filed in the district court what he designated as a petition for a “writ of Error Coram Nobis,” which the court treated as an application for post-conviction relief under
The district court, without holding an evidentiary hearing, denied the application. Petitioner appealed and argued in person before a panel of this Court. We later appointed counsel for him on the rehearing en banc. Because the case requires us to consider the practice of defender organizations, we permitted briefs to be filed as amici curiae by the Defender Association of Philadelphia, the Public Defender of New Jersey and the District Attorney of Philadelphia, who prosecutes most of the cases in which the Defender Association of Philadelphia furnishes representation to defendants. The Court is grateful to them and to petitioner‘s counsel who has ably represented him before us.
I
Petitioner was arraigned and pleaded not guilty on February 12, 1965. Leonard Packel, Esquire, appeared on his behalf as a member of the staff of the “Voluntary Defender‘s Office.”3
Thereafter when the case was listed for trial on March 29, 1965,4 Austin Hogan, Esquire, another member of the Voluntary Defender‘s Office, appeared for petitioner and requested a short postponement of the trial so that he might confer personally with him.5 A
Petitioner claims that since he did not meet Mr. Hogan until the day before the trial, the district court erred in refusing to invoke the rule of Mathis and hold that a presumption arose that he was prejudiced. This contention assumes that Mr. Hogan‘s appearance was the result of a separate appointment, unrelated to Mr. Packel‘s appearance at the arraignment a month and a half earlier. It is clear, however, that in one form or another the legal staff of the Defender Association of Philadelphia, headed by the Voluntary Defender, supplied representation to the petitioner both at the arraignment and at the trial.6
There is no room for doubt today that a legal aid society or a defender organization may properly supply representation to indigent defendants in criminal cases. Such institutions came into existence as volunteer agencies to represent indigent defendants because no provision was made in either the federal or state systems for compensation of counsel appointed by the court. They have always been deemed to fall within the exception of charitable agencies from the traditional restrictions on corporate law practice or the supply of legal services by associations to their members,8 which, in any case, have largely been eroded by Supreme Court decisions based on the constitutional rights of freedom of association and to petition for the redress of grievances.9 The great social purposes involved in supplying services to indigents has always placed the activities of agencies like the Defender Association of Philadelphia on indubitably valid ground.10 In any event, after Gide-
The recognition of the right of a defender organization to supply legal services to indigents makes it at once apparent that in such institutional representation the timeliness of the appointment must be measured by the time of the court‘s appointment of the institution and not by when individual staff members are assigned to perform their specialized duties. In Mathis there was no recognition of this distinction because it was blurred by the circumstances of the case.13
Mathis adopted the presumption rule of Fields v. Peyton, 375 F.2d 624 (4 Cir. 1967), out of the belief that it was desirable as a prophylactic measure to ensure prompt court appointment of counsel in the state courts. In fact, the cases in the Fourth Circuit14 deal with court appointment of individual attorneys rather than defender organizations, and so there was no need to consider the problem of institutional representation in assessing the untimeliness of appointment. Moreover, the “presumption” recognized in Fields but rephrased the “inference” which had been recognized in Twiford v. Peyton, 372 F.2d 670 (4 Cir. 1967), and Fields acknowledged that the presumption or inference may be overcome not only by evidence offered by the state but also by the circumstances inherent in the case itself which may disclose that the representation was adequate despite the lateness of the appointment, as in Dawson v. Peyton, 359 F.2d 149 (4 Cir. 1966).
We are aware of no continuing practice of belatedly appointing counsel in the state courts in this Circuit, and in the large urban centers indigent defendants are largely represented by defender agencies.15 There may often have been late appointments in times past, before the duty of the state to furnish counsel in criminal cases to indigent defendants became widely recognized. But at least since Gideon v. Wainwright, judges no longer designate counsel for a defendant from among the lawyers who happen to be present in the courtroom when the case is called for trial. In our Circuit as well as elsewhere state courts are mindful of the obligation to provide adequate representation to indigent defend-
What is a late appointment of counsel may in extreme circumstances seem evident, but the question necessarily involves a comparison of the time of the appointment with all the attendant circumstances, such as the gravity of the charge, the experience of appointed counsel, the extent of his knowledge and participation in similar cases, his opportunity for preparation and even what he may have been told by the defendant which may reduce the area of necessary preparation.17 We believe it is preferable that the factual question whether the defendant received adequate assistance of counsel should not be enwrapped in the label of a presumption which itself floats adrift and first requires a preliminary decision on the uncertain question of what is a belated appointment without eliminating a full inquiry thereafter into the facts to determine whether the presumption has been overcome or rebutted.18 If it be said that this will cast the burden of proof on the defendant, the answer is that it applies to the lawyer the presumption of the regularity of his conduct and that it is but just that one who claims his counsel had inadequately represented him should have the burden of proving the charge. A belated appointment of counsel would be strong evidence in a defendant‘s behalf, but a decision on the claim would still require an inquiry into the ability, experience and zeal with which counsel acted, both at the trial and in preparation, to determine whether the charge was made out.
We therefore overrule Mathis to the extent it adopted the presumption doctrine. In doing so we do not intend to minimize the strong inference of prejudice from the failure to appoint counsel until the day of trial or very shortly prior thereto. Adequate preparation for trial often may be a more important element in the effective assistance of counsel to which a defendant is entitled than the forensic skill exhibited in the courtroom. The careful investigation of a case and the thoughtful analysis of the information it yields may disclose evidence of which even the defendant is unaware and may suggest issues and tactics at trial which would otherwise not emerge. Our abandonment of the Mathis presumption therefore does not alter our recognition of the objective it was meant to achieve, nor does it reflect any lessening of our concern that counsel be appointed far enough in advance of trial to permit adequate investigation and preparation.
The adequacy of the representation which petitioner received, which is the real issue in this case, can only be decided on an evaluation of the services rendered on his behalf. The record shows what is already a matter of common knowledge, that under the pressure of the vast numbers of cases which flow into defender offices in great urban centers their operations have become institutionalized, just as the same forces have generated similar results in the offices of prosecutors and even more
We do not consider these details, even if they might be judicially noticed,21 for a judgment of their effect is a factual determination which must be made by a trial court and not first reached on appeal. It may well be that the specialization in the various stages of a criminal proceeding which is made possible by the vast volume of cases which comes to the Voluntary Defender‘s office promotes efficiency and provides expert service in every stage of a proceeding. These twin qualities of division of labor and specialization are the pillars of the large modern private law firm. On the other hand, in such an institutionalized system there are inherent the risks of a loss of the close confidential relationship between litigant and counsel and the subordination of an individual client‘s interest to the larger interest of the organization. These risks of course are greater in the case of indigents for whose clientele there is no compensating pressure of competition.22
Whether an indigent is represented by an individual or by an institution, he is entitled to legal services of the same level of competency as that generally afforded at the bar to fee-paying clients.23 In both cases, therefore, the standard of adequacy of legal services as in other professions is the exercise of the customary skill and knowledge which normally prevails at the time and place.24
A retrospective examination of a lawyer‘s representation to determine whether it was free from any error would exact a higher measure of competency than the prevailing standard.25 Perfection is hardly attainable and certainly is not the general rule, especially in professional work where intuitive judgments and spontaneous decisions are often required in varying circumstances. The artistry of the advocate is difficult to judge retrospectively because the elements influencing judgment usually can-
Although these underlying principles have been expressed in our decisions, a distinction has at times been made between a claim of denial of due process of law because of the inadequacy of counsel and the general requirement of normal competency. It has been said that a claim that the defendant was denied due process of law requires a showing that counsel‘s representation was “so lacking in competency or good faith that it would become the duty of the trial judge or the prosecutor as officers of the state to observe and correct it. For in such a trial the defendant would be practically without representation and it would therefore be a farce and a mockery of justice.” United States ex rel. Darcy v. Handy, 203 F.2d 407, 427 (3 Cir. 1953).26 While a distinction might be attempted between attacks on state convictions under the Fourteenth Amendment and those on federal convictions under the Sixth Amendment, we believe the increased recognition of the constitutional right to the assistance of counsel requires that the standard which prevails in federal cases under the Sixth Amendment should be applied equally to state convictions, to which the same guarantee is made applicable by the Fourteenth Amendment under Gideon v. Wainwright. The standard of normal competency27 applies equally in each case. This standard also makes it clear that the ultimate issue is not whether a defendant was prejudiced by his counsel‘s act or omission, but whether counsel‘s performance was at the level of normal competency. That the client was prejudiced by a failure in performance is of course evidentiary on the issue.
The question of identification was the fundamental issue in the case. It is one which is open to the most careful scrutiny.28 Petitioner himself did not testify and called no witnesses, and the only evidence in the case was that presented by the government. The government‘s case on the issue of identification consisted of the positive in-court identification of petitioner by three eye-witnesses, Willis F. Treganowan, Sr., Edward J. O‘Hanlon and William S. R. Ludlow. A fourth witness, William A. Koenig, testified that he was unable to identify the robber, and the fifth witness, Willis F. Treganowan, Jr., testified that petitioner resembled the robber but was unable to identify petitioner with certainty. Under these circumstances only a serious impeachment could be expected to neutralize petitioner‘s identification by the three witnesses.
O‘Hanlon and Ludlow had testified that they had not seen petitioner in the interval between the robbery and the trial, and Treganowan, Sr., had given a similar impression. The prosecutor later stressed this in his summation. Petitioner, however, claims that he told his counsel that both O‘Hanlon and Treganowan, Sr., had viewed him at a line-up in April 1964, prior to the trial and were unable to identify him as the robber, and that in July 1964, still prior to the trial, when he was arraigned on other robbery charges, Ludlow was brought to the courtroom by an F.B.I. agent who knew petitioner and who pointed him out to Ludlow. The latter claim is supported by the record fact that when Ludlow denied having seen petitioner at any time between the robbery and the trial, the prosecutor made a statement at side bar that the F.B.I. previously had brought Ludlow to the courtroom to identify petitioner.29 But counsel‘s cross-examination of Ludlow on this significant admission was cursory and made no use of the impeachment element afforded by the prosecutor‘s statement at side bar. Treganowan, Sr., had already testified when the prosecutor made his side-bar statement, and when counsel sought to recall him for cross-examination regarding his prior opportunity for identification of petitioner it was discovered that the witness had left the courtroom. No further attempt was made to have him recalled for cross-examination.
The government urges that the failure of counsel to go more deeply into the question of the April 1964 line-up and the July 1964 identification was a tactical decision made out of fear of exposing the other bank robbery charges against petitioner. This claim, however, is undermined or at least shaken by the record indication that counsel was prepared to risk the disclosure that petitioner had been accused of another crime.30 He sought to recall Treganowan, Sr., for cross-examination regarding prior opportunities for identification and he inquired of Ludlow whether he had seen petitioner or spoken to the police about him at any time between the robbery and the trial.
In addition, there is no explanation for counsel‘s failure to call or to comment on the government‘s failure to call the two other mentioned eye-witnesses, Betty Wycowski, a clerk at the savings and loan association, and an unidentified customer eye-witness. Petitioner claims that he informed his counsel that a female employee of the savings and loan association had refused to identify him at the April 1964 line-up as the robber. No explanation has been given for the failure to call Miss Wycowski as a witness beyond the statement that she had “entered the religious life.” In a matter of such importance to petitioner‘s rights we know of no reason why his counsel should not have called her or at least have commented on the government‘s failure to call her. Surely her religious commitment would not have forbidden her to give testimony to shield a man from a serious criminal charge if it had been mistakenly made against him.
The district judge dismissed without an evidentiary hearing petitioner‘s claim of inadequacy of counsel. From his personal recollection of the trial he was of the opinion that Mr. Hogan had performed his services very well in what he described as a “short, conceptually simple trial.”31
We have no doubt that counsel acted in an effective manner as far as the trial judge was able to observe his conduct. But representation involves more than the courtroom conduct of the advocate. The exercise of the utmost skill during the trial is not enough if counsel has neglected the necessary investigation32 and preparation of the case or failed to interview essential witnesses or to arrange for their attendance. Such omissions, of course, will rarely be visible on the surface of the trial, and to that extent the impression of a trial judge regarding the skill and ability of counsel will be incomplete.
In the light of petitioner‘s claim of inadequacy of the preparation for trial as well as of counsel‘s performance at the trial itself and the seeming confirmation of some of these claims which the record presents, we believe it is not possible to say, as
The order of the district court dismissing the petition, therefore, must be reversed and the case remanded for an
II
Since an evidentiary hearing must be held the district court will have the opportunity to obtain at that time a fuller record on petitioner‘s claim that his counsel refused to aid him in taking an appeal from his conviction.
III
Petitioner also charges that his counsel failed to make a claim of bias in the exclusion of Negroes from the jury which tried him. His counsel‘s response is that he refused to present the claim because there was no basis for it. The district court held the claim, so far as it constituted a claim independent of a claim of inadequacy of counsel, was foreclosed because it was not raised when the jury was empanelled.
We see no reason why a challenge to the composition of a petit jury panel should not be raised before the jury is sworn. It is a claim which should be made before the trial begins on the merits. It is all the more untimely when, as here, it is first raised long after the trial has been concluded, the verdict of guilty rendered and the jury discharged.
We hold, therefore, that in the present circumstances the objection was raised too late and is foreclosed.34
IV
A final point remains. Petitioner was sentenced on four counts for violation of various paragraphs of
The order of the district court will be reversed and the case remanded with direction to vacate the sentences on all counts other than count 1 and to hold an evidentiary hearing on petitioner‘s claims, in accordance with the views expressed in this Opinion.
VAN DUSEN, Circuit Judge (concurring):
I concur in the court‘s opinion except to the extent that the language used on page 15 purports to hold, by way of obiter dictum, that the standard required of the states by the Fourteenth Amendment
“No controlling authority, either statute or decision, yet directly requires that the advocates must possess any particular standard of skill, but it is implicit that representation should be adequate to the need. No one can guarantee that the particular lawyer representing one side will be professionally the equal of the other; what is important is that the system for providing counsel and facilities for the defense be as good as the system which society provides for the prosecution.”
judicial restraint indicates that we should not articulate a standard in this area of the Fourteenth Amendment inasmuch as it is not involved in this federal criminal appeal and the Bar is taking vigorous steps to comply with the Fourteenth Amendment‘s commands in this area. In carrying out the principles of the ABA Standards Relating to Defense Services, developments may occur which will enable a more effective standard to be formulated than that provided by the state decisions relied on in footnote 27.
MARIS, Circuit Judge, joins in this opinion.
AUSTIN VILLAGE, INC., Plaintiff-Appellee, v. UNITED STATES of America, Defendant-Appellant.
No. 19538.
United States Court of Appeals, Sixth Circuit.
Sept. 29, 1970.
