STATE OF CONNECTICUT v. DOMENIC CLEMENTE
Supreme Court of Connecticut
Argued December 11, 1973—decision released July 2, 1974
166 Conn. 501
HOUSE, C. J., COTTER, LOISELLE, MACDONALD and BOGDANSKI, JS.
Argued December 11, 1973—decision released July 2, 1974
Jerrold H. Barnett, assistant state‘s attorney, with whom were Ernest J. Diette, Jr., assistant state‘s attorney, and, on the brief, Arnold Markle, state‘s attorney, for the appellee (state).
LOISELLE, J. The defendant was charged with two counts of indecent assault and one count of conspiracy to commit rape, indecent assault, sodomy, robbery with violence and aggravated assault. The case was tried to the court with four companion cases which were tried to a jury. The court found the defendant guilty of the three charges and the defendant appealed.
The facts found by the court relevant to the assignments of error are as follows:1 The Slumlords, a motorcycle club with chapters in New Haven and Wallingford, held an outdoor party on the evening of April 12, 1969, near Tyler Mill Road in Wallingford. Forty to fifty-five members attended with their girlfriends or wives. Two generators
The party had been observed by the two female complaining witnesses early in the evening as they drove along Tyler Mill Road. Later in the evening, the two girls met the male complaining witness. Thinking it was a “hippy” party, the three of them drove to Tyler Mill Road in his station wagon. The young man parked his car on the side of Tyler Mill Road, about seventy-five feet or more, in a straight line, from the bonfire. Some of the floodlights in the trees were between the car and the bonfire. The lights and the fire provided sufficient illumination to allow a clear view from the location of the car of a person on the other side of the road. The young man left the two girls in the car and approached the bonfire. He realized that the group was a motorcycle club rather than a collection of “hippies.” After staying there about five minutes, he returned to the car accompanied by two men who insisted that the two girls attend the party. The two men persisted and upon assurance that nothing would happen, all of them walked to the bonfire.
The girls were frightened by the appearance, acts and speech of the persons present. After staying at the bonfire for about five minutes and refusing offers of drinks and drugs, they conferred with their companion and agreed that they should leave and that he should follow them to the car about five minutes later so that it would not appear as if they were afraid. The girls returned to the car and locked the doors. About ten minutes later when their young companion returned, accompanied by a group of men, fifteen or twenty people were standing around the car. The tailgate of the station wagon had not been locked and members of the group entered through it, unlocking the car doors. The dome light in the forward portion of the car was ripped out but a second light over the rear deck could not be removed.
No useful purpose would be served by describing what happened in the two or three hours of depravities that followed. Under the threat of knifings and other physical violence, the two girls were the victims of repeated rape, indecent assaults, indecent acts and attempted sodomy. Their male companion was forced to attempt to cover the rear dome light with his hand when he was not also forced to commit indecent assaults on members of this group. He had had a knife in his side at one time and was also struck in the face, resulting in a black eye, a bloody nose and chipped teeth.
The requests to the onlookers by the victims to be helped or to be left alone were ignored. When the group departed in a procession of unlighted vehicles, sometime after two o‘clock in the morning of April 13, 1969, someone in the last car dropped the keys to the station wagon on the ground. The three victims then returned to Meriden.
In his appeal, the defendant has assigned as error the rulings of the trial court on his motions for discovery, the denial of the motion to suppress the
A
The two female complaining witnesses each gave a number of statements to the police. The defendant claims that the court erred in refusing to order production of these statements under
“[T]he General Assembly lacks any power to make rules of administration, practice or procedure which are binding on either the Supreme Court or the Superior Court.” State ex rel. Kelman v. Schaffer, 161 Conn. 522, 529, 290 A.2d 327; Adams v. Rubinow, supra, 156. The question of whether a statute is substantive or procedural has arisen in a variety of contexts. An analysis of
The substance-procedure test is merely one way of expressing what areas of the law fall within the sphere of legislative or judicial power under article second of the Connecticut constitution. Since it does not serve to furnish a satisfactory manner of reaching a decision in this case, a second approach must be taken. “While the necessity and right of each department [of the government] to use the means requisite to its unfettered operation, is clear, it is equally clear that when one department not only uses the means appropriate to another, but uses them for the purpose of executing the functions of that other department, it is not in the exercise of its granted power.” Norwalk Street Ry. Co.‘s
“The judicial power includes such power as the courts, under the English and American systems of jurisprudence, have always exercised in legal and equitable actions.” Bridgeport Public Library & Reading Room v. Burroughs Home, 85 Conn. 309, 320, 82 A. 582. The most basic component of this power is the function of rendering judgment in cases before the court. “An Act of the legislature which opens or vacates a judgment is . . . void . . . because it would invade the judicial prerogative. . . . The judgment is the final and supreme act of judicial power. The legislature cannot overturn judgments, any more than the judiciary can make laws.” State v. New York, N.H. & H.R. Co., 71 Conn. 43, 49, 40 A. 925. Thus, the broad division between the power of the courts and the power of the legislature can be drawn as follows: “It is the
As it is used in the separation of powers provision of the constitution, however, the “judicial power” cannot constitute an exclusive grant of every activity in which courts may engage. “‘The rule of separation of [governmental] powers cannot always be rigidly applied.’ [Citation omitted.]” Adams v. Rubinow, supra, 155. There are activities in which both the legislature and the judiciary may engage without violating the prohibitions of the constitution. “(The) great functions of government are not divided in any such way that all acts of the nature of the functions of one department can never be exercised by another department; such a division is impracticable, and if carried out would result in the paralysis of government. Executive, legislative, and judicial powers, of necessity overlap each other, and cover many acts which are in their nature common to more than one department. These great functions of government are committed to the different magistracies in all their fullness, and involve many incidental powers necessary to their execution, even though such incidental powers in their intrinsic character belong more naturally to a different department.” In re Application of Clark, 65 Conn. 17, 38, 31 A. 522; see also State v. Moynahan, 164 Conn. 560, 569, 325 A.2d 199, cert. denied, 414 U.S. 976, 94 S. Ct. 291, 38 L. Ed. 2d 219; Hopson‘s Appeal, 65 Conn. 140, 146, 31 A. 531. To be unconstitutional in this context, a statute must not only deal with subject-
The rulings and the controversy in this case center around part (a) of
Prior to the adoption of the constitution of this state in 1818, all governmental power, including the judicial power, was vested in the General Assembly. Support had already developed for a constitution which would make the legislative, executive and judicial powers independent of each other when, in
Shortly after the adoption of the separation of powers provision of the constitution of 1818, the case of Starr v. Pease, 8 Conn. 541, 548, committed our courts to the doctrine that the constitution was a limitation rather than a grant of powers and that the General Assembly had all powers not expressly allocated to another department. Following this ruling, it was only natural for the General Assembly to assume it had significant sections of judicial power. Its activities in judicial matters are extensively reviewed with approval in Wheeler‘s Appeal, 45 Conn. 306, 315-16. Despite some limiting language in Brown v. O‘Connell, 36 Conn. 432, 446, it was not until Norwalk Street Ry. Co.‘s Appeal, 69 Conn. 576, 37 A. 1080, that Wheeler‘s Appeal, supra, and the doctrine first adopted by Starr v. Pease, supra, were overruled. “[I]n the Norwalk case [69 Conn. 576, 37 A. 1080] it was finally clearly determined that (1) the constitution represented a grant of power from the people, in whom all power originally resided, and (2) the powers granted to the General Assembly are . . . complete except as restricted by the state or federal constitution, just as the judicial powers granted the judicial department are complete except as
This recognition of the judiciary‘s constitutional power and independence did not cease with the statement in Norwalk Street Ry. Co.‘s Appeal, supra, 594, that “[o]ne controlling consideration in deciding whether a particular act oversteps the limits of judicial power, is the necessary inconsistency of such acts with the independence of the judicial department, and the preservation of its sphere of action distinct from that of the legislative and executive departments.” In 1950 it was further delineated by In re Appeal of Dattilo, 136 Conn. 488, 492, 72 A.2d 50, which held that courts have an inherent power, independent of statutory authorization, to prescribe rules to regulate their proceedings and facilitate the administration of justice as they deem necessary. See annots., 158 A.L.R. 705, 110 A.L.R. 23. In more specific terms, this court has also held in reviewing acts of the legislature that the legislature has not the competency to impair the essential nature or jurisdiction of any of the constitutional courts; Walkinshaw v. O‘Brien, 130 Conn. 122, 142, 32 A.2d 547; and that the judiciary has exclusive powers over: (1) a charitable trust, its proper administration, the purposes of the donor and the interests of the beneficiaries; Hartford v.
It has been the policy of our courts more often than not to defer to the legislature, especially in that indefinable area of power that exists between these two departments of government. In those instances, however, where there was a clear invasion of judicial power by the legislature, these cases illustrate that the courts have not hesitated to step in. This was not done as a manifestation of the court‘s own power but as a duty imposed by the constitution to keep the three great departments of the government separate. Otherwise, acquiescence to a gradual invasion of the judiciary by the legislature would eventually render the former little more than a judicial staff of the legislature. All pretense of independence would disappear and the judicial power would come to rest again in the hands of the General Assembly as it did prior to the year 1818.
In enacting
Upon a first reading of the many pages of the record which do not pertain directly to the case before us, it would appear that the defendant was correct in his assignment of error that much of it was irrelevant and should be stricken. Careful analysis reveals that the extensive testimony, colloquy and rulings not directly involved in the defendant‘s appeal were included in the record to make it absolutely clear that when rulings were made by the court on motions by the defendant‘s counsel for production of statements by witnesses under
The next claim of error is that the out-of-court photographic identification was impermissibly suggestive and constitutionally unfair. During the trial, the court denied a motion to suppress the in-court identifications of the defendant by the complaining witnesses. In its finding, the court concluded that each of the complaining witnesses who identified the defendant did so on the basis of her observation of him on the night of April 12 or the morning of April 13. The court also concluded that the procedure used by the police in the display of photographs to each of the victims was not one which was so impermissibly suggestive as to give rise to a substantial likelihood of irreparable misidentification so as to violate Simmons v. United States, 390 U.S. 377, 384, 88 S. Ct. 967, 19 L. Ed. 2d 1247. In his brief, counsel for the defendant states that the array “touched the edge” of unfairness and even crossed the line, but that he concludes the brief without further arguing this point to avoid a substantial addition to its length. Ordinarily, on this note, no consideration would be given to this claim.
The trial court‘s conclusions are tested by the finding and are allowed to stand unless they are legally or logically inconsistent with the facts found or unless they involve the application of some erroneous rule of law material to the case. Brauer v. Freccia, 159 Conn. 289, 293, 268 A.2d 645; Johnston Jewels, Ltd. v. Leonard, 156 Conn. 75, 79, 239 A.2d 500. The court made an extensive finding regarding the procedure followed by the police. With minor differences, the Wallingford police followed the same sequence and the same procedure in obtaining pretrial identification of the defendant from each of the female complaining witnesses. At no time were the two girls together while they made their identification. They were not told the names of any suspects nor were any suggestions made by the police. The procedure in each instance was to lay out the photographs at random and ask the victim if she recognized any of the individuals depicted. Photographs for the display were selected by the police on the general description received and also on the basis of membership in the Slumlords of New Haven and Wallingford. No statements were taken from complaining witnesses as to any photograph selected until that selection was made.
Groups of photographs were shown separately to each girl on April 13, 17, 18 or 23, 1969. On April 13, fifteen pictures and a group photograph of the
The recited facts are sufficient to demonstrate that the photographic identification procedure was not so impermissibly suggestive as to give rise to a very substantial likelihood of irreparable misidentification. Simmons v. United States, supra; State v. Watson, 165 Conn. 577, 589, 345 A.2d 532; State v. Oliver, 160 Conn. 85, 93, 273 A.2d 867, cert. denied, 402 U.S. 946, 91 S. Ct. 1637, 29 L. Ed. 2d 115.
At the trial it was brought out that during police identification procedures each of the three complaining witnesses had selected a photograph of a man who was in fact in jail at the time of the assaults. This fact went to the issue of the degree of certainty of the identifications made by the witnesses but not to the procedure of photographic
During the cross-examination of one of the complaining witnesses regarding what she told the police captain, counsel for the defendant attempted to question her concerning the affidavit of the police captain which was attached to the bench warrant. After the state‘s objection, the court asked whether the questioning was based upon what the police captain had set forth in his affidavit, and counsel replied that it was. The court sustained the state‘s objection and an exception was noted. The affidavit in question was not an exhibit. “[C]ross-examination as to the contents of a document and questions at least relating to, if not actually involving, the contents of the document should not be permitted unless the writing is in evidence.” Robinson v. Faulkner, 163 Conn. 365, 373, 306 A.2d 857; Shulman v. Shulman, 150 Conn. 651, 662, 193 A.2d 525; 58 Am. Jur., Witnesses, § 643. Excluding the defendant‘s questions was not error.
The same rule applies to the defendant‘s next contention. The defendant claims that the court erred in excluding certain questions asked of the police captain who took statements from the complaining witnesses and who prepared the affidavit attached to the bench warrant. The defendant‘s counsel attempted to examine the officer on the contents of the affidavit. Since the affidavit was not in evidence, the court was not in error in its ruling.
The defendant has also briefed a second assignment of error regarding the examination of the police captain. In a series of questions, the defendant‘s counsel attempted to elicit information about
The defendant next claims that the court erred in limiting the questioning of the two female complaining witnesses on two additional occasions. The validity of this claim is tested by the finding. Practice Book §§ 630, 635, 648; Katz v. Brandon, 156 Conn. 521, 538, 245 A.2d 579. The defendant‘s brief refers to an assignment of error that attacks ten rulings on evidence but the brief addresses itself to only three of these, one of which has already been discussed. The assignment as error of each of the remaining seven rulings is considered abandoned. State v. Bitting, 162 Conn. 1, 3, 291 A.2d 240.
During a hearing out of the presence of the jury on a motion to suppress in-court identifications, the defendant‘s counsel examined one of the complaining witnesses. After she was questioned by two of the
The remaining ruling assigned as error sustained another objection to a question addressed to one of the complaining witnesses. Counsel for the defendant had asked whether the witness recalled if the light in the rear of the vehicle was on during a particular period of time. After several further questions concerning the rear light, counsel recited what he claimed to be some of her previous testi
A trial court has wide discretion as to the scope of cross-examination. State v. Palozie, 165 Conn. 288, 297, 334 A.2d 468; State v. Keating, 151 Conn. 592, 597, 200 A.2d 724, cert. denied, sub nom. Joseph v. Connecticut, 379 U.S. 963, 85 S. Ct. 654, 13 L. Ed. 2d 557. There is no showing in the record that the court was incorrect in its statement. While leading questions may be allowed on cross-examination, “a question may become improper because it may by implication put into the mouth of an unwilling witness, a statement which he never intended to make, and thus incorrectly attribute to him testimony which is not his.” 3 Wigmore, Evidence (Chadbourn Rev. 1970) § 780. No error was shown in this ruling.
The remaining assignments of error were not briefed and are considered abandoned. State v. Brown, 163 Conn. 52, 55, 301 A.2d 547; Holt-Lock, Inc. v. Zoning & Planning Commission, 161 Conn. 182, 184, 286 A.2d 299.
There is no error.
In this opinion HOUSE, C. J., and MACDONALD, J., concurred.
COTTER, J. (dissenting). It is difficult to perceive how the analysis of the separation of powers issue and the authorities relied upon in the majority opinion support the conclusion that
The relevant applicable principles in determining the constitutionality of
Discovery was regulated by statute until 1931 when the legislature, inter alia, granted authority to the judges of the Superior Court to effectuate the provisions of the disclosure statute. Public Acts 1931, c. 252, Cum. Sup. 1935, § 1659c.1 Until now that power of the General Assembly to enact such legislation has never been challenged as either be-
Many statutes in Connecticut, other than discovery enactments, affect the inherent discretion of the Superior Court in its control of matters arising during the course of trial. The General Assembly originally changed the prior common-law rule by removing the disability of interested parties to testify and by permitting parties to compel their adversaries to testify. Public Acts 1848, c. 44, 45; Banks v. Connecticut Ry. & Lighting Co., supra; Bissell v. Beckwith, 32 Conn. 509, 516; Buckingham v. Barnum, 30 Conn. 358, 359; Eld v. Gorham, 20 Conn. 8, 13. One hundred years later this court continued to recognize the legislature‘s original
This court was confronted with the classic separation of powers problem under article second, the possible imposition of nonjudicial duties upon a Superior Court judge in Adams v. Rubinow, 157 Conn. 150, 251 A.2d 49. Norwalk Street Ry. Co.‘s Appeal, 69 Conn. 576, 582, 593-96, 37 A. 1080. In this context we upheld the statute which prescribed certain administrative and regulatory duties for a superior court judge as probate court administrator. We construed the duties imposed as judicial and stated that “if the Superior Court finds itself significantly interfered with in the orderly conduct of its judicial functions, it has the inherent power to refuse to acquiesce in this imposition on a judge of its court, and in that event, of course, the attempted delegation would fall as an unconstitutional interference with the proper performance, by the Superior Court, of its judicial functions.” Adams v. Rubinow, supra, 160-61. We cited cases therein which have followed Norwalk Street Ry. Co.‘s Appeal, and which concluded that the separation of powers issue under article second was the preservation of the judiciary‘s independence by disallowing legislative interference in areas long understood to be peculiarly judicial.6 While the language in Adams v. Rubinow is broad, the holding of that case and its supporting precedent do not
It is significant that in many instances this court has acknowledged the validity of procedural legislation. “The legislature unquestionably has the power to enact laws relating to procedure and affecting pending cases.” Lew v. Bray, 81 Conn. 213, 217, 70 A. 628. Against the challenge that a statute which changed the burden of proof in a particular instance amounted to an invasion by the legislature into the field of judicial power and was, therefore, unconstitutional, we noted that “its enactment was fully within the power of the legislative department, notwithstanding its application may, as in this case, vary the ordinary rule of procedure.” Johnson County Savings Bank v. Walker, 79 Conn. 348, 351-52, 65 A. 132; Norwalk Street Ry. Co.‘s Appeal, supra, 602; Dawson v. Orange, 78 Conn. 96, 100, 61 A. 101; Atwood v. Buckingham, 78 Conn. 423, 427-28, 62 A. 616; State v. Torello, 103 Conn. 511, 519-20, 131 A. 429; LeBlanc v. Grillo, 129 Conn. 378, 384-85, 28 A.2d 127; Kelsall v. Kelsall, 139 Conn. 163, 168, 90 A.2d 878; and see cases in preceding paragraphs relating to discovery, admission of evidence and cross-examination. The history of legislative authorization for judicial rule-making, the legislature‘s authority to make procedural rules and its relation to the court‘s inherent rule-making ability were discussed in In re Appeal of Dattilo, 136 Conn. 488, 492, 494, 72 A.2d 50, in which it was indicated that the statute in question was within both the legislative power and the court‘s inherent rule-making ability. The court stated (p. 494): “The statute makes admissible in evidence on the hearing of an appeal by the Superior Court the reports of
The Connecticut Supreme Court has recognized that “[t]he line between the legislative and judicial function is often hard to definitely ascertain“; Preveslin v. Derby & Ansonia Developing Co., 112 Conn. 129, 145, 151 A. 518; and has reviewed the practice which our court has pursued in this area, succinctly describing its “long crystalized views of the proper limits of the judicial field in its relation to the other co-ordinate branches of government,” as follows: “Our courts have carefully avoided encroachments upon the functions of the legislature, and the rules of practice and procedure under the Practice Act and its amendments have been strictly limited to carrying this legislation into effect, and giving full practical operative force to its provisions. Neither new remedies, nor the extension or curtailment of existing ones have been attempted or suggested by the rules, and this is in manifest harmony with the restrictions which furnish the working method of our practice. . . . If the courts are to exercise broader powers in this respect, the enlargement of their authority should come from legislative sanction rather than from judicial initiative.” Ackerman v. Union & New Haven Trust Co., 91 Conn. 500, 505, 100 A. 22.
In an article entitled “The Rule-making Powers of the Judges,” which served as an introduction to the 1951 Practice Book and is cited in Adams v. Rubinow, supra, 157, and Kelsall v. Kelsall, supra, 166, the late Chief Justice Maltbie attempted to reconcile this court‘s statement in Ackerman v. Union & New Haven Trust Co. with the court‘s
It is the position of the majority that the fact that the federal Jencks Act, 71 Stat. 595,
While much less detailed than its federal counterpart and thereby arguably allowing the trial court greater discretion in its application,
Although
In view of the foregoing, there is a reasonable basis upon which the authority of the General Assembly to enact
BOGDANSKI, J. (dissenting). I concur in the scholarly dissent of my colleague. I would, however, add other compelling reasons for dissenting.
Article second of the Connecticut constitution distributes the judicial, legislative and executive
So numerous are the opinions of this court expressly recognizing the authority of the General Assembly over practice and procedure, including discovery, that they must be relegated to a footnote.7 The very case which revitalized the doctrine
Historically, the real controversy has centered on the existence of judicial power to adopt rules of practice and procedure without an enabling statute.8 The inherent power of courts to promulgate such rules without an enabling statute was eventually recognized, for sound practical reasons and because it was necessary if the courts were to function at
Since 1945 a number of states have adopted new constitutions which specifically allocated procedural rule-making power.11 Despite that trend, when this state adopted its new constitution in 1965, no such allocation was made. Instead, the drafters kept article second and article fifth, § 1, substantially as they were in the constitution of 1818. It is a fair presumption that by their nonaction the drafters of our present constitution approved the enduring practice of legislative control over procedure. Cf. Hurlbutt v. Hatheway, 139 Conn. 258, 262-63, 93 A.2d 161.
The right of the General Assembly to regulate practice and procedure in the courts, including discovery, is confirmed by analysis of the doctrine of separation of powers and the extent of legislative power. For separation of powers purposes, the distinction between “substance” and “procedure” is illusory. The problem is not that the line between the two is imprecise. Rather, questions of “procedure” may and often do present basic issues of public policy above and beyond the subject of efficient judicial administration. “Procedure conditions and determines legal relations. The substantive importance of judicial procedure to society lies in the fact that it conditions and determines the way in which judicial power is made operational. This is a matter of great popular concern.” 1 Sutherland, Statutory Construction (4th Ed.) § 3.27. As Mr. Justice Frankfurter succinctly put it, “[t]he history of American freedom is, in no small measure, the history of procedure.” Malinski v. New York, 324 U.S. 401, 414, 65 S. Ct. 781, 89 L. Ed. 1029.
“Under our constitution the General Assembly is vested with full authority to order the affairs of the state except as it is limited by provisions in the constitution of the United States or those of our constitution.” Walkinshaw v. O‘Brien, 130 Conn. 122, 133, 32 A.2d 547. “It is the province of the legislative department to define rights and prescribe remedies: of the judicial to construe legislative enactments, determine the rights secured thereby,
It is true that in the area of practice and procedure in the courts, an inherent rule-making power in the judiciary must be acknowledged as a practical necessity. But as the branch of government charged with the determination of public policy, the legislature must have the power to enact binding rules of practice and procedure which do not jeopardize the judicial administration of justice. “A main purpose of the division of powers between legislature and judicature, is to prevent the same magistracy from exercising in respect to the same subject the functions of judge and legislator. This union of functions is a menace to civil liberty, and is forbidden by the Constitution.” Norwalk Street Ry. Co.‘s Appeal, 69 Conn. 576, 594, 37 A. 1080. If the power to make and the power to apply rules of procedure and practice are united in the judicial branch, without any check in the form of legislative control, then the safeguard of separation of powers is lost.14
Formerly, the rule in this state was that it was “within the discretion of the court to grant or deny a defendant the right to inspect statements of the state‘s witnesses in the possession of the state‘s attorney.” State v. Pikul, 150 Conn. 195, 202, 187 A.2d 442. That rule was based on a view of public policy first expressed in 1787 in State v. Phelps, Kirby 282, and subsequently reaffirmed in State v. Zimnaruk, 128 Conn. 124, 127, 20 A.2d 613: “Disclosures, under such circum-
The constitutional provision for separation of powers does indeed impose a limitation on the power
The defendants in these cases were convicted of serious crimes. But their convictions are tainted by the denial of rights which the General Assembly granted defendants to ensure fairness in criminal prosecutions. In my view, the majority upholds their convictions by misinterpreting a fundamental constitutional principle. I must respectfully dissent.
