STATE OF CONNECTICUT v. JOANNE A. SKOK
SC 19415
Supreme Court of Connecticut
September 15, 2015
Rogers, C. J., and Palmer, Zarella, McDonald, Espinosa and Robinson, Js.
Argued February 11—officially released September 15, 2015
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John L. Cordani, Jr., with whom was Damian K. Gunningsmith, for the appellant (defendant).
Lawrence J. Tytla, supervisory assistant state’s attorney, with whom, on the brief, was Michael L. Regan, state’s attorney, for the appellee (state).
Opinion
McDONALD, J. After a jury trial, the defendant, Joanne A. Skok, was convicted of larceny in the first degree in violation of
The jury reasonably could have found that the defendant defrauded Becker, an
The defendant and Becker developed a close friendship after they worked together to organize a town fair. They talked on the telephone daily, visited each other’s houses, and occasionally spent a holiday together. The two frequently discussed the happenings of their respective families, the town fair, financial and health problems, and other topics of common discussion among friends. As close friends are wont to do, Becker and the defendant shared confidences between themselves. When the defendant shared with Becker that she was unable to pay some of her medical bills related to various health problems she was suffering, Becker loaned her money to cover those expenses. Becker, too, at one point confided in the defendant and the defendant’s husband, John Skok, regarding a legal problem she was facing. It was that revelation by Becker that provided the catalyst for the defendant’s elaborate ruse aimed at defrauding Becker out of her retirement savings.
Becker’s legal issue first arose after she agreed to cosign a loan for her grandson to purchase a car. Becker submitted the application paperwork, but when she did not hear back from the automobile dealership and her grandson later came to her house with the car, Becker assumed that someone else had cosigned the loan because she never ‘‘sign[ed] the deed.’’ Becker’s grandson was later involved in a car accident and a legal action was brought against Becker after the car was repossessed. Though Becker claimed that the car was not hers, she later learned that the loan and the car’s registration were in her name alone, and that her signature had been forged.
When Becker relayed these problems to the defendant, the defendant offered to help. She told Becker that John Skok’s nephew, Stuart Skok, was employed by the Federal Bureau of Investigation (FBI) and could ‘‘quietly check’’ into what had happened with the car’s registration. The defendant told Becker not to discuss Stuart Skok’s involvement in the matter with anyone because he could get in trouble with the FBI if they knew he was working on a private case. The defendant later informed Becker that Stuart Skok’s investigation had uncovered that a mob boss owned the dealership where the car was purchased. The defendant advised Becker that she needed to hire a private investigator and an attorney, and later informed her that a legal action would be filed on Becker’s behalf against the mob boss. Becker never personally met or spoke with anyone named Stuart Skok, the purported private investigator, or the purported attorney. Rather, the defendant claimed that she would serve as the conduit for all of the necessary information between Becker and those individuals.
The defendant also claimed to serve as the conduit for the purported payments that Stuart Skok, the private investigator, and the attorney required for their services. The defendant periodically told Becker how much was supposedly owed and requested that a check for that amount be paid from Becker directly to the defendant and John Skok or that Becker deliver to the defendant or John Skok the requested amount in cash. Additionally, instead of repaying Becker for the loans she had made to the defendant to cover the defendant’s medical costs, the
In total, Becker gave the defendant more than $40,000. Although all of Becker’s payments were deposited into a joint bank account belonging to the defendant and John Skok, there were never any withdrawals from that account that corresponded with the amounts deposited, nor any checks made out to Stuart Skok, or to anyone who appeared to be an attorney or an investigator.
As time went on and Becker’s payments amassed, the defendant’s story spiraled into an even more implausible tale. The defendant explained that, in settlement of Becker’s claims against the supposed mob boss, Becker was to receive proceeds from the sale of the mob boss’ property in California to a South American diplomat. Unfortunately, according to the defendant, the settlement proceeds never arrived because the attorney to whom the diplomat’s check was given had been hit by a car, and his briefcase, with the check inside, was missing.
In an effort to conceal her scheme, the defendant insisted that Becker not allow her family to overhear their conversations and admonished Becker to not tell her family about the defendant’s involvement in the legal action against the mob boss. One of Becker’s granddaughters, who had been living with her at the time, nevertheless became suspicious of the defendant’s activities after she overheard Becker talking on the telephone with the defendant about an attorney in Brazil who had been struck by a car and lost a check that was supposed to be given to Becker. Becker’s family members then contacted the police, who were unable to find any FBI personnel records associated with anyone named Stuart Skok.
When police officers met with Becker at her home to discuss the defendant’s conduct, she agreed to allow them to set up recording equipment on her telephone. The officers instructed Becker on how to use the recording equipment and told her that, if the defendant called and began discussing Becker’s legal action, she should try to coax further conversation on that topic from the defendant. Becker then recorded multiple conversations with the defendant wherein the defendant insisted that Becker not allow her family members to overhear their conversations and then made references to ‘‘Stu’’—referring to Stuart Skok—‘‘lawyers,’’ and ‘‘the mob.’’ The defendant also expressed her concern that an attorney sent to South America to receive funds from the sale of a mob boss’ house had been intentionally hit by a car and demanded that Becker ask her financial advisor to disperse funds from her retirement account immediately so that Becker could pay the defendant for attorney’s fees.
A state police officer was later present for and recorded a conversation between Becker and the defendant, after he coached Becker on the types of questions to ask during the call. During that call, in response to Becker’s allegations that the defendant had stolen her money, the defendant asserted that she was only trying to help Becker and claimed that the money went ‘‘where it was supposed to go.’’ The defendant again made references to an attorney, the mob, and Stuart Skok, and insisted that ‘‘Stu’’ was a real person. The recordings were admitted as full exhibits at trial and were played for the jury without objection by the defendant.
Following trial, the jury returned a verdict of guilty on both counts alleging larceny in the first degree and conspiracy to commit larceny in the first degree. The trial court thereafter rendered judgment
I
We begin with the defendant’s claim that the recorded telephone conversations between Becker and herself were obtained in violation of
This court has not yet considered whether, under
At the outset, we recognize that two Geisler factors—the first and the fifth—do not support the defendant’s claim that the conduct at issue in the present case violated her rights under
Furthermore, because Connecticut courts have not yet considered whether
Our resolution of this claim, then, is guided by our analysis of the third, fourth and sixth prongs of Geisler. Consequently, we next consider whether federal precedent supports the defendant’s argument that recording her telephone conversations with Becker’s consent violated her constitutional rights. Through a series of cases, the United States Supreme Court has made it apparent that the
Although Lee, Hoffa, and Lopez all preceded the adoption of the reasonable expectation of privacy test in Katz, in United States v. White, 401 U.S. 745, 749–50, 91 S. Ct. 1122, 28 L. Ed. 2d 453 (1971), a plurality of the court concluded that the principles announced in those cases were ‘‘left undisturbed by Katz.’’6 In White, the court concluded that, although the defendant
defendant and an informant, the reasoning in White has been uniformly applied in subsequent federal cases to conclude that recording telephone conversations with only one party’s consent, without a warrant, is also permissible under the
Notwithstanding White, the defendant contends that federal precedent supports her argument that recording telephone conversations with the consent of only one party violates her constitutional rights. She argues that White should have little persuasive value in our analysis because it was a plurality opinion which has been the subject of academic criticism.8 We disagree. We first note that the fact that academics have criticized the rule in White does not mean that its precedential value was altered. Moreover, the defendant’s argument ignores that the plurality’s decision was the logical extension of the court’s prior precedent, and that, although the rule in White only garnered the support of four justices at the time it was decided, the so-called third-party consent rule in White
With respect to the fourth Geisler factor, namely, persuasive sister state precedents, an overwhelming majority of states have concluded, in varying contexts, that it is permissible under their state constitutions for law enforcement officials to overhear or record conversations without a warrant, if they have one party’s consent to do so.10 See, e.g., Commonwealth v. Rekasie, 566 Pa. 85, 96, 778 A.2d 624 (2001) (‘‘A telephone call received by or placed to another is readily subject to numerous means of intrusion at the other end of the call, all without the knowledge of the individual on the call. Extension telephones and speakerphones render it impossible for one to objectively and reasonably expect that [a call] will be free from intrusion.’’). Indeed, our research has revealed only one state—Montana—that has found it unconstitutional to record telephone conversations with only one party’s consent.11 State v. Allen, 357 Mont. 495, 516, 241 P.3d 1045 (2010). That decision, however, was based in large part on the court’s recognition that the Montana constitution contains a provision that protects the ‘‘right of individual privacy’’; id., 511; and that during the debates of the 1972 state constitutional convention adopting that provision, delegates specifically ‘‘decried electronic monitoring and eavesdropping in general’’ when considering the adoption of that provision. Id., 514.
In support of her argument, the defendant also relies on the decisions of six states that have held unconstitutional the warrantless audio recording of face-to-face conversations between the defendant and a police informant. See State v. Glass, 583 P.2d 872, 879 (Alaska 1978); Commonwealth v. Blood, 400 Mass. 61, 70, 507 N.E.2d 1029 (1987); State v. Goetz, 345 Mont. 421, 439, 191 P.3d 489 (2008); Commonwealth v. Brion, 539 Pa. 256, 257, 652 A.2d 287 (1994); State v. Blow, 157 Vt. 513, 519, 602 A.2d 552 (1991); State v. Mullens, 221 W. Va. 70, 91, 650 S.E.2d 169 (2007). She contends that these cases support her position that it is unconstitutional to record, without a warrant, a private telephone conversation with only one party’s consent because these cases stand for the proposition that ‘‘it is perfectly reasonable for individuals to expect that their private conversations are not being electronically monitored . . . .’’ In all but one of these cases, however, the court reached its conclusion in large part because the conversations that were recorded took place entirely within the confines of the defendant’s home, and the court recognized that activities occurring within the home have been given the utmost constitutional protection. See, e.g., Commonwealth v. Brion, supra, 260 (‘‘[i]f nowhere else, an individual must feel secure in his ability to hold a private conversation within the four
create an environment in which he or she can reasonably be assured that the conversation is not being intruded upon by another party. On the telephone, one is blind as to who is on the other end of the line.’’); State v. Wetter, 190 Vt. 476, 483, 35 A.3d 962 (2011) (‘‘[w]hile a person may have a reasonable expectation that face-to-face conversations with another person in his or her own home are not being broadcast outside the home,’’ no reasonable expectation of privacy in telephone conversation because individual has no ‘‘knowledge of the circumstances at the other end of the conversation’’).13 Even assuming, without deciding, that we agree with those courts that have found a reasonable expectation of privacy in face-to-face conversations occurring within the home, we believe that there is a logical distinction between those situations and the one at issue in the present case. Thus, the fourth Geisler factor also weighs strongly against expanding the reach of
As for the final Geisler factor—public policy—the defendant argues that our legislature has evinced a policy of intolerance
requests or demands, records such telephonic communication . . . .’’14
II
We next consider the defendant’s claim that she was denied due process because the trial court failed to conduct an inquiry, pursuant to Pate v. Robinson, supra, 383 U.S. 385, regarding her competence to stand trial. The defendant contends that, even though defense counsel repeatedly disavowed the need for a competency hearing and only requested a continuance of the trial to allow the defendant to obtain medical treatment for a chronic medical condition,16 there was sufficient evidence before the court to require that it, sua sponte, conduct an independent inquiry regarding the defendant’s ability to understand the proceedings against her or to assist in her defense. In support of this claim, the defendant relies on various statements made by defense counsel to the court before the trial began regarding the defendant’s health. Those statements, broadly characterized, indicated that the defendant suffered from a chronic heart condition, that she experienced drowsiness during jury selection, and that she is prescribed a long list of medications to control her health problems.17 We find this claim wholly lacking merit.
It is well settled that ‘‘the due process clause of the
We begin by noting that it is only in rare cases that a defendant’s physical disability would render her incompetent to withstand trial. See, e.g., United States v. Doran, 328 F. Supp. 1261, 1263–64 (S.D.N.Y. 1971) (defendant unfit to stand trial when he appeared gravely ill, there was substantial chance that trial may kill him, and court noted that it was more than ten years since alleged wrongs occurred); cf. United States v. Schaffer, 433 F.2d 928, 930 (5th Cir. 1970) (where fall left defendant with some continuing back pain, trial judge properly permitted trial to proceed on basis that defendant was competent to assist in his own defense). In the present case, there is no evidence indicating how the defendant’s physical ailments, such as her heart condition or the fact that she takes multiple prescription medications for that condition or other undisclosed conditions, would have rendered her incapable of understanding the proceedings against her or assisting in her defense. The defendant contends, however, that a note from her primary care physician, which she provided to the court before trial in support of her unsuccessful request for a continuance, indicated that, because her heart condition was recently complicated by an ‘‘acute illness,’’ she was unable to withstand a trial for the following three to four weeks. That note, however, was never made part of the record by the defendant. Thus, to the extent the defendant relies on it as evidence of her incompetency, the record is inadequate for our review. See, e.g., Finan v. Finan, 287 Conn. 491, 495, 949 A.2d 468 (2008) (‘‘[t]he purpose of marking an exhibit for identification
With respect to the defendant’s alleged drowsiness during jury selection, our research leads us to conclude that such a condition does not render a defendant incompetent to withstand trial. See Woods v. McBride, 430 F.3d 813, 819 (7th Cir. 2005) (‘‘there is a big difference between the sort of temporary incompetence stemming from [the defendant’s medically] induced drowsiness during voir dire and the sort that would render [the defendant] incapable of standing trial altogether’’), cert. denied, 549 U.S. 958, 127 S. Ct. 391, 166 L. Ed. 2d 279 (2006); Watts v. Singletary, 87 F.3d 1282, 1287 (11th Cir. 1996) (‘‘there is no constitutional prohibition against the trial and conviction of a defendant who fails to pay attention in court—whether out of indifference, fear, confusion, boredom, or sleepiness—unless that defendant also cannot understand the nature of the proceedings against him or adequately assist counsel in conducting a defense’’). The defendant points to no authority to the contrary. Moreover, although the trial court denied defense counsel’s requests for a continuance, it did agree to provide her with accommodations throughout the trial should a health issue arise. Indeed, the record reflects that such accommodations were provided when, for example, defense counsel requested that the court end jury selection early because the defendant felt faint.
Thus, because there was no evidence before the trial court indicating that the defendant could not understand the proceedings against her or assist in her defense, the court did not violate the defendant’s right to due process by failing to conduct, sua sponte, an independent inquiry regarding her competence.
The judgment is affirmed.
In this opinion ROGERS, C. J., and PALMER, ESPINOSA and ROBINSON, Js., concurred.
