UNITED STATES of America v. Daniel M. EICHBERG, Appellant.
Nos. 22829, 22830.
United States Court of Appeals, District of Columbia Circuit.
Decided Jan. 21, 1971.
439 F.2d 620
Argued Feb. 27, 1970.
In our view of the matter, however, the District Court sitting in probate was without jurisdiction to decide the merits of the question of whether title to the horses resided in the decedent or in appellant. Price v. Williams, supra, which the probate court pointed to as its authority for reaching the merits, dealt only with the question, arising in somewhat unusual circumstances, of whether conservators were entitled to the physical possession of a will allegedly executed by their ward. It cannot, without more, be taken as an authoritative abandonment of the long-established doctrine in this jurisdiction that the modes of proceeding of the probate court make it an inappropriate forum for the resolution of conflicts over title to property, and one which is, in any event, not statutorily endowed with such authority. See Jones v. Dunlap, 73 App.D.C. 59, 115 F.2d 689 (1940). The court being without jurisdiction to deal with the merits in the earlier proceeding, its decision on that occasion can hardly bar appellant from bringing the present suit.
The judgment appealed from is reversed and the case remanded for further proceedings not inconsistent herewith.
It is so ordered.
Bazelon, Chief Judge, concurred and filed opinion.
Mr. Lawrence E. Freedman, Alexandria, Va. (appointed by this Court) for appellant.
Mr. Edwin K. Hall, Asst. U. S. Atty., with whom Messrs. Thomas A. Flannery, U. S. Atty., and John A. Terry, Asst. U. S. Atty., were on the brief, for appellee. Messrs. David G. Bress, U. S. Atty. at the time the record was filed, and Roger E. Zuckerman, Asst. U. S. Atty., also entered appearances for appellee.
Before BAZELON, Chief Judge, and WRIGHT and McGOWAN, Circuit Judges.
PER CURIAM:
This is an appeal from a criminal conviction, in which the principal defense was insanity. Appellant contends that the trial judge should have granted his motion of acquittal, because the government failed to prove responsibility beyond a reasonable doubt.1
There may be a defendant so clearly and so seriously disabled that a jury would be compelled to doubt his responsibility, and this court would reverse a conviction on that ground.2 But ordinarily, “in view of the complicated nature of the decision to be made—intertwining moral, legal, and medical judgments” 3 the jury‘s verdict must stand. The expert evidence in this case presented a classic question for the jury on the issue of responsibility. Accordingly, the conviction must be Affirmed.
BAZELON, Chief Judge (concurring):
I agree that under any test of insanity the evidence presented a jury question on that issue and not a case for a directed verdict of acquittal. I am troubled, however, by the weakness of the government‘s evidence, in view of the fact that the government has the burden of proving criminal responsibility be
I
In 1961 appellant, a registered pharmacist, was convicted for the first time of forging checks. After serving his sentence, he entered a course of psychiatric treatment with one Dr. Milton Layden.1 While he was in treatment he committed the acts involved in this case.2 Thus this is an unusual insanity case: expert testimony is available from a psychiatrist who examined the defendant at the time of the acts charged.
Dr. Layden testified that in 1965 appellant suffered greatly from inferiority feelings, for which he compensated by lying, bragging, and otherwise assuming a pose of superiority. According to Dr. Layden, appellant felt especially threatened by the fact that his wife had a steady income as a registered nurse,
After some preliminary skirmishing, appellant was committed to St. Elizabeths Hospital for examination in March of 1968.3 The psychiatrists in that hospital are regularly asked to assess the past mental condition of a patient, and ordinarily they show no reluctance to do so.4 In this case, however, the official report to the court stated that there was no indication of present illness, and refused to comment on appellant‘s condition in 1965. The only Hospital psychiatrist to testify stated that in 1968 he found no indication of illness, but that the best source of information about appellant‘s condition in 1965 was the doctor who was treating him at that time. The government also presented the testimony of a clinical psychologist who had tested appellant in 1967.5 The psychologist stated that appellant had over-
whelming needs for status and financial gain, and that he would be likely to act impulsively in a financial crisis, but that he was not suffering from a mental illness.
The record thus establishes that some sort of disturbance existed in 1965, although its gravity and nature are uncertain. In these circumstances, it might well seem that the government‘s evidence was too flimsy to sustain the burden of proving beyond a reasonable doubt that appellant was free of exculpatory mental illness. We have held, however, that almost any conflict in the expert testimony raises a question for the jury;6 and that in some cases the government can carry its burden merely by relying on the patent weakness of the evidence presented by the defendant.7 In recent years we have been increasingly reluctant to disturb the jury‘s resolution of the question of responsibility.8 These developments compel me to consider whether our practice is consistent with the rule that the government must prove criminal responsibility beyond a reasonable doubt.9 For if the govern-
ment need produce no evidence, and if appellate courts are powerless to check the jury, then what does it mean to say that the government is held to a high standard of proof?
II
When this court first formulated its present test of criminal responsibility, an effort was made to treat responsibility like any other element of crime requiring proof by means of expert testimony. In Durham v. United States we held that a defendant was responsible if his act was not the “product of mental disease or mental defect.”10 The role of the psychiatric expert was to testify about mental illness, and the role of the factfinder was to resolve conflicts in the testimony. If several psychiatrists stated without contradiction that the defendant was mentally ill and that his act was the product of his illness, a conviction was vulnerable to attack on the ground that the evidence was insufficient to establish responsibility beyond a reasonable doubt.
A number of convictions were reversed on that ground,11 but the court was reluctant to overturn a jury‘s finding of responsibility in reliance on the weight of expert psychiatric testimony. At the root of this reluctance was the realization that there is more to a determination of responsibility than psychiatric conclusions, unanimous or not. The gravity of an impairment and its rele-
vance to the acts charged are both questions of degree, which can only be resolved with reference to the community‘s sense of when it is just to hold a man responsible for his act.
Neither expert witnesses nor appellate courts reflect community values in the way that a jury does. Therefore, the court attempted to limit the interference by both experts and courts with the jury‘s determination of responsibility. “Mental disease” became a judicial term of art, whose presence or absence cannot be conclusively established by expert testimony alone.12 Expert witnesses had long been urged to avoid testifying in conclusory terms;13 they were eventually prohibited from testifying in terms of “productivity,” because that kind of testimony seemed particularly likely to involve matters properly left for the jury.14 And this court began regularly to defer to the jury‘s unique capacity for dealing with the question of responsibility. As we all agree:
There may be a defendant so clearly and so seriously disabled that a jury would be compelled to doubt his responsibility, and this court would reverse a conviction on that ground. But ordinarily, ‘in view of the complicated nature of the decision to be made—intertwining moral, legal, and medical judgments’ the jury‘s verdict must stand.15
One way to explain this approach would be to say frankly that it repre-
This court has never admitted, however, that it was relaxing the standard of proof on the issue of responsibility.17 Furthermore, it is no longer clear that a lesser standard of proof would be constitutionally permissible. For the continuing vitality of Leland is open to serious question in light of In re Winship, 397 U.S. 358, 90 S.Ct. 1068, 25 L.Ed.2d 368 (1970). In Winship, the Court made it clear that the Constitution is the source of the rule that the government must prove every element of a crime beyond a reasonable doubt. 397 U.S. at 364, 90 S.Ct. at 1073. And when the defendant‘s criminal responsibility is at issue, it would seem to be an element of the offense, subject to the Winship rule.
An alternative explanation for our unusual deference to the jury on the issue of responsibility is to say that, for that issue alone, we have adopted the Second Circuit‘s approach to the rule of reasonable doubt. In the Second Circuit, a jury in a criminal case is instructed that the government must prove every element of the crime beyond a reasonable doubt. But the reviewing court tests the sufficiency of the evidence without regard to that requirement, holding only that the verdict must be supported by substantial evidence, as in a civil case.18 In light of Winship, the constitutionality of the Second Circuit approach is doubtful, since it leaves the reviewing court powerless to enforce the rule embodied in the jury instruction.19 To recite the rule of reasonable doubt without enforcing it “reduces the criminal standard to little more than a verbal ritual, a ceremonial set of words included in the judge‘s charge.”20
The only acceptable explanation of our deference to the jury on the issue of responsibility lies in the special nature of the jury‘s role in resolving that issue. With respect to responsibility the jury has two functions. In the first place it measures the extent to which the defendant‘s mental and emotional processes and behavior controls were impaired at the time of the unlawful act. The answer to that question is elusive, but no more so than many other facts that a jury must find beyond a reasonable doubt in a criminal trial.21 The determination must be based on the evidence presented, and any doubts must be resolved in favor of finding greater
III
I am troubled, however, by the fact that we regularly defer to the jury‘s unique capacity to resolve the “moral, legal, and medical” questions intertwined in the issue of responsibility, and yet we do not make the special function of the jury explicit in the instructions.
We have long recognized that the jury must not only find the objective facts of the defendant‘s condition, but also determine the point on the scale of human infirmities at which impaired capacity amounts to exculpatory illness. In this context, the concept of “illness” is an artificial one, similar to the concepts of “duty” and “proximate cause” in the law of torts. In deciding whether a defendant in a negligence case owed a duty of care to the plaintiff, the real question to be answered is whether by prevailing community standards the defendant was at fault, and whether the law should hold him responsible for the consequences of his conduct.24 Similarly, in deciding whether a criminal defendant was suffering from a “mental illness” at the time of his act, the real question is whether the law should hold him responsible for the consequences of his conduct.
It seems to me that we need to find some way to explain to the jury this aspect of their task in resolving the question of responsibility. The jury is presently told that an exculpatory mental illness is a condition that impairs the defendant‘s mental or emotional processes and behavior controls in a manner that can be characterized as “substantial.”25 I would add to that instruction the comment that impairment is a question of degree, and that an impairment is “substantial” for the purpose of the insanity defense if the jury finds that the defendant‘s processes and controls were impaired to such an extent that he cannot justly be held responsible for his act.
That approach to the problem of degree was favored by a substantial majority of the British Royal Commission on Capital Punishment in 1953 26 and by a minority of the Council of the American Law Institute in 1955.27 The ALI ultimately rejected it, because “[s]ome members of the Council deemed it unwise to present questions of justice to the jury, preferring a submission that in form, at least, confines the inquiry to fact.”28 It seems to me, however, that if our whole approach to judicial review of the jury‘s determination depends on the theory that the jurors are measuring mental disability in terms of community concepts of blameworthiness, then we have an obligation to tell them that is what they are expected to do.
IV
If the jury is to perform its function in accordance with the scheme outlined above, then we must be sure that the witnesses present information about the defendant‘s mental and emotional processes and behavior controls, and not conclusory testimony in the form of psychiatric labels. The court en banc will shortly be reconsidering our test of criminal responsibility, and the associated jury instruction.29 Accordingly, I merely raise, without attempting to resolve, two particularly troublesome issues in this regard.
A. Too often a defendant‘s responsibility seems to turn on whether or not the experts have given his condition a name and the status of an “illness.”30 It seems to me that the label “mental illness” impedes understanding rather than advancing it. There is no reason to tie the legal concept of responsibility to the medical model of mental illness, especially when the validity of that medical model is seriously questioned by some eminent psychiatrists.31
Under McDonald v. United States, any abnormal condition that impairs mental or emotional processes and behavior controls may deprive an individual of the freedom of choice that we regard as a prerequisite to imposing criminal responsibility.32 The source of that impairment may be physiological, emotional, social, or cultural. In order to be sure that the jury does not defer to the expert‘s decision on the matter of men-
B. Like the term “mental illness“, the term “product” seems to invite experts to invade the province of the jury, and evaluate the defendant‘s blameworthiness. In Washington v. United States we attempted to deal with that problem by prohibiting psychiatric testimony on the issue of productivity.34 The Washington rule, however, has been difficult to enforce.35 Furthermore, it fails to reach another, related problem inherent in the product requirement. That problem arises from the definition of “productivity” as causation of the “but-for” variety: an act is the product of mental disease when “the accused would not have committed the act he did commit if he had not been diseased as he was.”36 Accordingly, a witness or a juror might well conclude that the act in question is common in the defendant‘s neighborhood, and consequently the defendant probably would have committed it even if he had not been disabled in any way.37 Jurors cannot be permitted to speculate about the defendant‘s character and convict him on the ground that he would have been “bad” if he had not been “sick.” At best, that sort of speculation is unreliable; at worst, it has the pernicious effect of establishing a double standard of morality, treating unlawful behavior as blameworthy in slum neighborhoods where it is prevalent, and excusing it elsewhere as the product of mental illness.38
One solution would be simply to eliminate the question of productivity from our test of criminal responsibility. The Ninth Circuit, in a thoughtful opinion, recently examined our test and observed “the product portion of the test seems superfluous.”39 The court reasoned that once a disability has been established, it will ordinarily be impossible to prove that it had no relationship to the unlawful act.
The Ninth Circuit may well be right in characterizing our product require-
We assume that it is usually possible to establish some sort of causal relationship between most mental illness and most unlawful conduct. The requirement of productivity is chiefly a device that permits the jury to decide that the illness was too slight or the causal connection too remote to have legal significance. That function is also served, however, by the requirement of McDonald that any impairment must be “substantial” in order to serve as a basis for acquittal. Especially if the McDonald requirement is interpreted as I have suggested above, to incorporate a jury decision on the question whether the defendant can justly be held responsible, then it would seem that the product requirement is superfluous.
V
This is not the case in which to resolve these questions. But it is important at least to raise them, in every case involving the insanity defense. For they go to the heart of the issue of criminal responsibility, and force us to confront the difficult task of distinguishing between the uniquely psychiatric elements of criminal responsibility and its legal and moral elements.
UNITED STATES of America v. Lynwood LONG, Appellant.
No. 24097.
United States Court of Appeals, District of Columbia Circuit.
Decided Jan. 25, 1971.
Argued Dec. 7, 1970.
