IN RE ROBERT A. CALDARONE. IN RE JOHN R. LOMBARDI.
Supreme Court of Rhode Island
OCTOBER 8, 1975.
345 A.2d 871
PRESENT: Roberts, C. J., Paolino, Joslin, Kelleher and Doris, JJ.
In October 1973 each defendant filed a document in this court entitled “Petition for Writ of Habeas Corpus.”4 Each petition alleges that on June 27, 1973, each defendant made a claim that he was indigent and that each case was referred to the office of the public defender for the purpose of determining his indigency and prosecuting the appeal; that each defendant‘s counsel was notified on June 27, 1973 that the notice of appeal would be filed forthwith; that the public defender‘s office then determined that each defendant was ineligible for its services; and that the notice of appeal was not timely filed and each defendant wished to pursue his appeal.
On October 30, 1973, we entered an order directing the state to file an answer in each case in accordance with Sup. Ct. R. 14 and to show cause why the writ should not issue as prayed.
In its answer the state alleges that a petition for habeas corpus is not the proper vehicle to petition this court to allow appellate proceedings out of time; that there is no way in which a defendant can petition this court for such relief since
The state further alleges in its answer that the Attorney General‘s department was informed by the public defender‘s office that it sent a letter to each petitioner informing him that the public defender‘s office would not represent him because he was not indigent; that each petitioner therefore was aware on or about July 11, 1973 that the public defender would not represent him; and that in the circumstances each petitioner would have had an opportunity to file his notice of appeal if he had acted with dispatch before the expiration date of July 17, 1973.
On January 9, 1974, we entered an order consolidating the two petitions. In re Caldarone, In re Lombardi, 112 R. I. 937, 313 A.2d 666 (1974). After noting that it appeared petitioners’ rights to appeal had “been lost because of some incident for which they were not responsible,” we treated the petitions as petitions for certiorari and granted the same without prejudice to the state‘s right6
I
Initially we address ourselves to the procedural question raised by the state‘s contention that there is no way in which a defendant can petition this court for permission to file appellate proceedings out of time since the repeal of
This court has granted certiorari to review a case where it appeared that the right of appeal has been lost because of illness or some accident for which the petitioning party was not responsible. Hester v. Timothy, 108 R. I. 376, 275 A.2d 637 (1971); MacKenzie & Shea v. Rhode Island Hospital Trust Co., 45 R. I. 407, 122 A. 774 (1923). As we said in Hester v. Timothy, supra, while the Legislature may limit, restrict, or deny a party access to this court, it cannot divest this court of power to review decisions of subordinate tribunals by way of the discretionary common-law writ of certiorari. See also Smith v. Estate of Catterall, 107 R. I. 729, 271 A.2d 300 (1970); In re Little, 103 R. I. 301, 237 A.2d 325 (1968); Nocera Bros. Liquor Mart, Inc. v. Liquor Control Hearing Board, 100 R. I. 644, 218 A.2d 659 (1966). Further, this court has issued the writ in the exercise of its revisory and appellate jurisdiction to correct alleged errors of law where it appeared that serious hardship was likely to result to the aggrieved party if his only recourse were the normal remedy of appeal. Dyer v. Keefe, 97 R. I. 418, 198 A.2d 159 (1964); McCoy v. Nolan ex rel. Providence Journal Co., 74 R. I. 464, 62 A.2d 330 (1948); White v. White, 70 R. I. 48, 36 A.2d 661 (1944). While Dyer involved a constitutional question, McCoy and White did not. The
“* * * more information concerning accident, mistake, unforeseen cause or excusable neglect in order to decide whether or not to grant the petitioner permission to file an appeal out of time.”
We do not agree with the state‘s argument on this issue. We are satisfied that the record supports our original conclusion that petitioners’ rights to appeal were lost because of some incident for which they were not responsible. Accordingly, we shall exercise our appellate function by way of certiorari to review the action below and determine whether any of the alleged errors constitute reversible error.
II
We now address ourselves to the merit of the substantive issues raised by petitioners. The pertinent facts are as follows. On August 25, 1971, at approximately 2:40 p.m. Warwick police officers entered a densely wooded lot behind a “7-11” store on Warwick Neck Avenue. In the center of that wooded area is a clearing estimated at 10 to 15 feet in diameter. When the police first arrived a group of men (some seven in number), including petitioners, were in the clearing behind the “7-11” store. Some of the men were standing; others were sitting or crouching. As the police approached, one of the men shouted, “Screw, it‘s the cops!” whereupon they all ran. All men were apprehended and arrested.
Following their arrest the officers seized certain articles which they found around the rocks in the center of the clearing. The articles seized included the following: a
The petitioners have briefed and argued eight main issues. However, under the view we take of the case it is necessary to consider only the issue of the trial justice‘s denial of defendants’ motion for judgment of acquittal. For the reasons that follow we hold that the trial justice erred in denying petitioners’ motion of acquittal at the close of all the evidence.
At the close of the state‘s case petitioners moved for a judgment of acquittal which was denied by the trial justice. No objection lies to its denial. State v. Franklin, 103 R. I. 715, 729, 241 A.2d 219, 228 (1968). We are concerned here only with the denial of the motion of acquittal which petitioners made at the close of their own case pursuant to Super. R. Crim. P. 29. Although Rule 29 abolished motions for directed verdicts, the standard to be applied to motions for judgment of acquittal is the same as that previously used in passing on a motion for a directed verdict. The trial justice must view the evidence in the light most favorable to the state, give full credibility to the state‘s witnesses, and draw from the evidence every reasonable inference consistent with guilt. State v. Moretti, 113 R. I. 213, 215, 319 A.2d 342, 343 (1974).
It may be helpful to point out at this time that although the charged violations involve different statutes, they all involve the question of possession, actual or con-
The petitioners argue now, as they did before the trial justice, that there is not sufficient evidence in this record, direct or inferential, which, if believed, would support the charges of possession, even if viewed in the light most favorable to the state. They contend that the evidence does not meet the standards set forth by this court in State v. Motyka, 111 R. I. 38, 40-41, 298 A.2d 793 (1973); State v. Fortes, 110 R. I. 406, 408-10, 293 A.2d 506 (1973); and State v. Gilman, 110 R. I. 207, 215, 291 A.2d 425 (1972).
The state, on the contrary, argues that the evidence satisfies the standards set forth in State v. Gilman, supra, and that the evidence, when viewed under the standards set forth in State v. Moretti, supra, was sufficient to warrant a reasonable inference of conscious constructive possession by petitioners of the articles in question. The state further argues that Motyka and Fortes, both supra, are factually and materially distinguishable from the case at bar and, therefore, are of no help to petitioners.
A reading of the trial justice‘s ruling denying petitioners’ motions shows that she was cognizant of her duties in passing on such motions. She carefully reviewed the
“I think that the capsules, the needles and the syringe and the cookers which were in plain sight take this case right out of the strictures set down by Fortes and Gilman, and I think especially in view of the cry by one of these men that the police were there and their flight, the fact that it was daylight, and the fact that they were all within a circle of what appeared to be a circle surrounding this rock where these things were found or the general area in which they were found convinces me that if believed there is sufficient evidence to go to the jury. As I say, I don‘t rule on credibility.”
As we have previously indicated, the narrow issue here is whether there is sufficient evidence in this record to meet the tests laid down in Gilman. Therein we held that the word “possess” when used in a criminal statute means an intentional control of a designated object with knowledge of its nature and that proof of the knowledge which is essential to conviction may be shown by
“*** evidence of acts, declarations or conduct of the accused from which an inference may be fairly drawn that he knew of the existence of narcotics at the place where they were found.” Id. at 216, 291 A.2d at 431.
We applied the Gilman standards in State v. Fortes, supra. Fortes was tried before a Superior Court justice sitting without a jury on an indictment charging him with unlawful possession and control of a barbiturate. The contraband was found in an automobile which was neither owned nor operated by Fortes, who was a passenger therein. The car was being operated by a woman companion
On the basis of the foregoing evidence, the trial justice found him guilty of possession of barbiturates. We reversed because in our judgment the evidence was insufficient to support a finding of guilt. After noting that the record contained no direct evidence which satisfied the Gilman standards, we said:
“While there is ample testimony from which a fact finder could rationally conclude that defendant consciously possessed or intentionally controlled the pills there is no evidence whatsoever in that record which reasonably yields to the inference that defendant knew that the pills were barbiturates. Thus, an inference to that effect would, on this record, be conjectural and speculative, rather than reasonable and rational, and proof based solely on conjecture and speculation will not support a conviction.” Id. at 408-09, 293 A.2d at 508.
The rationale of this court in Fortes is, by analogy, applicable to the case at bar. Here too, a search of the record fails to disclose any direct evidence which satisfies the Gilman standards. The possession here, if any, is con-
“Constructive possession arises where an individual has dominion or control over an object although it may not be within his immediate physical possession.”
While there is ample evidence in the record from which a factfinder, viewing the evidence in the light most favorable to the state, could rationally conclude that one or more of the persons present when the police arrived consciously possessed or intentionally controlled the articles found at the scene, there is no evidence whatsoever in that record which reasonably yields to the inference that either of these petitioners consciously possessed or intentionally controlled the articles in question, whether in plain view or not, by their mere presence there. Thus, as was the situation in Fortes, an inference to that effect would, on this record, be merely conjectural and speculative, rather than reasonable and rational, and proof based on conjecture and speculation will not support a conviction.
If mere presence at the place where the contraband was found is not sufficient to meet the Gilman standard, does the fact that all those present began to run when the police arrived supply the missing link? We do not believe that it does. Evidence of flight may be introduced as a circumstance bearing on the question of guilt which may be presented for the consideration of the jury. State v. Ouimette, 110 R. I. 747, 774, 298 A.2d 124, 139-40 (1972); State v. Falcone, 41 R. I. 399, 401, 103 A. 961 (1918).
But, evidence of flight is only one circumstance. The question here is whether, when combined with the petitioners’ presence at the place where the contraband was found, an inference could be fairly drawn that either petitioner had possession of the articles found, that is, intentional control of those articles. We do not believe that such an inference could be reasonably or rationally drawn. In our judgment, such an inference would, on this record,
For the reasons stated, we hold that there is no evidence in this record, direct or reasonably inferable, which, if believed and viewed in the light most favorable to the state, would support the trial justice‘s conclusion that there was sufficient evidence to go to the jury on the question of possession.
In each case the petition for certiorari is granted, the judgment of conviction is quashed, and the case is remanded to the Superior Court for entry of judgment of acquittal.
Mr. Justice Joslin, concurring. My brothers and I agree that the record in this case contains no direct evidence of petitioners’ or anybody else‘s guilt. We disagree, however, on that record‘s inferential potential for determining who among those present at the scene when the police arrived can reasonably be said to have consciously possessed or intentionally controlled the contraband.
The majority say that it is conjectural or speculative, rather than reasonable or rational, to ascribe that possession or control to petitioners.1 My brother Kelleher rejects that view. In his opinion the evidence reasonably yields to the inference that all those present at the scene were joint constructive possessors. I agree with his conclusion, but go further. In my judgment it is equally as reasonable to infer that less than all those present were pos-
If I am correct in my view that the evidence is susceptible of inconsistent, but equally reasonable, inferences, application of the rule requiring direct and inferential evidence to be viewed most favorably to the state on a motion for judgment of acquittal would perforce dictate denial of that motion. But to adhere to that rule in this scenario would result in an anomaly. This is so because on the same record application of the so-called circumstantial evidence rule2 would require a conviction to be set aside on the ground that the facts and circumstances of the case, though consistent with guilt, fail to preclude a reasonable hypothesis of innocence.3 This anomaly and the consequent needless protraction of litigation can be avoided by following the rule of State v. Rose, 112 R. I. 402, 407-08, 311 A.2d 281, 284 (1973).4 In that case the
Mr. Justice Kelleher, dissenting. It is fundamental law that the possession sufficient to sustain a conviction for the possession of narcotics, or narcotic paraphernalia may be constructive rather than actual, joint rather than exclusive, and the proscribed possession may be established by circumstantial rather than direct evidence. D. Bernheim, Defense of Narcotic Cases, §1.11[3] (1975); Annot., 91 A.L.R.2d 810, §§3 and 4 (1963), and Annot., 56 A.L.R. 3d 948 (1974).
For purposes of the motion for a judgment of acquittal, the evidence and the reasonable inferences to be drawn therefrom must be viewed in the light most favorable to the prosecution. Two elements essential to proof of a joint constructive possession are the power of control and intent to exercise that control. Commonwealth v. Townsend, 428 Pa. 281, 237 A.2d 192 (1968). While presence in the vicinity of contraband does not by itself prove the crime of possession, knowledge of its presence and intent to exercise control can be inferred from the totality of the circumstances of which presence is a factor. With these principles in mind, let us review the evidentiary chain of circumstances forged by the prosecution.
The gist of one witness’ testimony bears repeating. He is Detective Victor E. Thatcher, a 7-year veteran of the Warwick Police Department‘s Narcotic Unit. He has participated in around 70 narcotic raids. He spoke in the jargon of a narcotic user. The bottle caps he called
With Detective Thatcher’s narrative providing the background, picture the petitioners and five others gathered together in a secluded area which cannot be seen from the adjoining streets. In the area where the septet are assembled can be seen a glassine packet of heroin, 53 capsules of Tuinal, hypodermic needles and syringes, the cookers, a jug of spring water, and a blood-stained piece of tissue paper. When the police arrive, the seven try to escape.
Looking at all the evidence, one can reasonably infer that the hideaway selected by petitioners and their companions was a “shooting gallery,” i.e., a place where heroin users gather to take drugs by the needle.1 The blood stained tissue paper indicates that the “shooting” was
When a realistic appraisal is made of all these factors, with consideration of Detective Thatcher‘s testimony, there arises a reasonable inference that the petitioners and their companions were in the joint constructive possession of the contraband spelled out in each of the three indictments for which they were tried.
Since the weight to be given such an inference is not before the trial justice on a motion for acquittal, there was sufficient evidence to take the case to the jury.2
Julius C. Michaelson, Attorney General, William G. Brody, Special Asst. Attorney Geenral, for State of Rhode Island.
Bevilacqua & Cicilline, John F. Cicilline, for defendants.
