UNITED STATES of America, Plaintiff-Appellee, v. Joseph J. NEARY, Defendant-Appellant.
No. 75-1781.
United States Court of Appeals, Seventh Circuit.
March 31, 1977.
Rehearing and Rehearing En Banc Denied June 8, 1977.
552 F.2d 1184
Thus if the proffered evidence concerns misconduct other than that charged in the indictment, it is inadmissible when the resulting prejudice would be too great. United States v. Wiley, 534 F.2d 659, 663 (6th Cir. 1976), and would “not tend to establish the commission by the accused of the offense charged.” United States v. McCarthy, 470 F.2d 222, 224 (6th Cir. 1972). See also United States v. Blanton, 520 F.2d 907, 909-10 (6th Cir. 1975), and United States v. Gebhart, 441 F.2d 1261, 1264 (6th Cir.), cert. denied, 404 U.S. 855, 92 S.Ct. 97, 30 L.Ed.2d 96 (1971).
In the present case the evidence that Heather gave Landrum, Ladner and Smith bad checks was wholly unrelated to the charges of wire and mail fraud and false statements. Admittedly the evidence that Heather gave the Hamilton Bank and BOAC bad checks was admissible even though the checks were later paid by the $25,000 loan made to her by the bank, which also took care of the expenses of the trips to London.
Appellant Heather does not challenge this evidence. However, the contested evidence of bad checks to others tended to put the defendant on trial for her prior misconduct, for which she was not charged. This evidence did not merely imply that Heather was a party to other mischief, but rather it directly imputed to her other bad acts that were not necessary to prove the prosecution‘s case, and thus the evidence was prejudicial to her right to a fair trial.
Furthermore, the trial court‘s jury instruction did not cure the prejudice from the inadmissible evidence. The jury instruction was too limited because only the bad checks to Ladner were ever mentioned. The jury‘s exposure to this evidence during the trial was never limited by cautionary instructions that the evidence was received only as to the defendant‘s intent. See United States v. Ailstock, 546 F.2d 1285, 1291 (6th Cir. 1976).
IV
The testimony concerning Heather‘s prostitution, and the repeated introduction of evidence of Heather‘s writing of bad checks, independently are reversible errors. Although the evidence as to the bad checks is a closer question, this Court is of the opinion that these errors were not harmless beyond a reasonable doubt. Chapman v. California, 386 U.S. 18, 24, 87 S.Ct. 824, 17 L.Ed.2d 705 (1967).
Lastly, Heather claims that the trial judge‘s active participation in the trial and his questioning of witnesses during the trial gave the jury the impression that he did not believe the defendant‘s testimony, and that he was biased and partial to the prosecution. Because of our resolution of the question of admissibility of the testimony concerning Heather‘s prostitution activities and the bad checks we need not reach this issue, as it is unlikely that the District Judge would want to try this case again.
We therefore reverse the judgment of conviction of the defendant and accordingly remand this case to the District Court for a new trial.
Samuel K. Skinner, U. S. Atty., Chicago, Ill., William C. Brown, Atty., U. S. Dept. of Justice, Washington, D. C., for plaintiff-appellee.
Before FAIRCHILD, Chief Judge, PELL, Circuit Judge, and STECKLER, Chief District Judge.*
* Chief District Judge William E. Steckler of the Southern District of Indiana is sitting by designation.
On January 28, 1975 the defendant was indicted for concealing and disposing of securities moving in interstate commerce, valued at $5,000 or more, knowing them to have been stolen, in violation of
The defendant was tried by jury and convicted under
The defendant raises the following issues: whether the government properly proved the value of the securities to be in excess of $5,000; whether the trial court erred in denying defendant‘s motion for a new trial because of alleged incompetence of a juror revealed by events subsequent to verdict; and whether
I. THE VALUE OF THE SECURITIES
On July 23, 1974 the office of William R. Isaacs in Berea, Kentucky was burglarized. Stock certificates for 21,263 shares of Kentucky Family Security Group Insurance Company (hereafter referred to as Kentucky Shares) and 34,884 shares of American Family Security Group, Inc. (hereafter referred to as American Shares) were taken. On August 8, 1974 the defendant met with an undercover agent of the Federal Bureau of Investigation in Chicago and asked the agent if he had a connection for disposing of stolen securities. After the agent indicated that he might be able to arrange a sale of the securities, the defendant gave him envelopes containing the stock certificates stolen from Mr. Isaac‘s office in Kentucky. Prosecution under
The defendant challenges the validity of designating par value of securities as a criterion for the offense charged and raises other arguments with respect to the determination of the market value of the stocks involved.
Value is defined in
Defendant concedes that par value greater than $5,000 was established, but asserts that par value is an unreasonable standard of valuation, having no substantial relation to the purpose of the statute. The thrust of defendant‘s challenge is that par value
In essence defendant claims that Congress had made an invalid classification among persons concealing and otherwise dealing with stolen securities in commerce, with knowledge of their being stolen. He seems to concede the validity of making the existence of a federal offense depend on market value, but challenges making it depend alternatively on par value.
Congress has great latitude, however, in making statutory classifications. A statutory discrimination will not be set aside as violative of equal protection or due process if any state of facts reasonably may be conceived to justify it. United States v. Weatherford, 471 F.2d 47, 51 (7th Cir. 1972), cert. den., 411 U.S. 972, 93 S.Ct. 2144, 36 L.Ed.2d 695.
In defining the federal offense of concealing and disposing of stolen securities moving as interstate commerce, Congress need not have specified any minimum value, or could have chosen any amount other than $5,000. The purpose of its choice was not really to absolve those who deal culpably with such securities of lesser value, but to impose a limit which would avoid overtaxing the federal justice system. United States v. Gardner, 516 F.2d 334, 349 (7th Cir. 1975).
Of course, it could be true in particular instances that securities with a par value of $5,000 or more in fact would be worthless, and dealing with the certificates would be a federal offense under this and related sections. Stock with no par value could have a market value of $4,999 and one dealing with it with knowledge would not be subject to federal prosecution.
Perfect logical consistency is not essential. It is only necessary that the standard have some rational relationship to the purpose of protecting interstate commerce, yet limiting the exercise of federal jurisdiction in terms of the significance of the offense.
Use of par value has a rational relationship to the purpose to be served. At the time of original issue of stock, most jurisdictions require that the consideration paid into the corporation for shares having par value shall be at least equal to that par value. W. Cary, Corporations, p. 1111 (4th ed. 1969). At that point, par value has some relationship to intrinsic value. As time goes by, it becomes less valid an indication. Even though this is true, we think that in seeking to eliminate from federal prosecution the least substantial interference with interstate commerce, a limitation in terms of par value is not so meaningless as to violate standards of due process, including equal protection.
Because par value of the Kentucky Shares exceeded $5,000, and the law making par value a criterion is valid, it is not really necessary to deal with defendant‘s arguments concerning the proof of market value. United States v. Weinberg, 478 F.2d 1351, 1354 (3rd Cir. 1973), cert. den., 414 U.S. 1005, 94 S.Ct. 363, 38 L.Ed.2d 242.
In any event, adequate market value was clearly proved. Defendant argues that although the government proved sales of Kentucky Shares at $2.75 per share, it failed to prove that a block of 21,263 shares could have been sold, or that there were any sales aggregating as much as $5,000. We think proof of the price per share was sufficient to make a prima facie case, and there were no facts tending to show that this price could not have been obtained for the shares involved.
Defendant also argues that the certificates were not marketable because they were registered and because the owner had placed a stop transfer order on them. We think that in the light of the purpose of this statute, market value is the value of the shares evidenced by the certificates stolen, and is not affected by the fact that forgery would be necessary to transfer them, or that a stop transfer order had been placed by reason of the theft. See United States v. McMahon, 548 F.2d 712 (7th Cir., 1977).
II. COMPETENCE OF THE JUROR
During the week following the de-
In any event, a juror will not be heard to impeach the verdict by testimony concerning his misconception of the court‘s instructions. United States v. Stacey, 475 F.2d 1119, 1121 (9th Cir. 1973). Defendant‘s position that this juror‘s statement was the kind of clear and incontrovertible evidence of incompetence permitting further inquiry is untenable. See United States v. Dioguardi, 492 F.2d 70 (2d Cir. 1974), cert. den., 419 U.S. 829, 95 S.Ct. 49, 42 L.Ed.2d 53.
III. APPLICATION OF THE DANGEROUS SPECIAL OFFENDER STATUTE
After the defendant was indicted and before the defendant was tried, the government filed a petition against the defendant under
Defendant challenges his increased sentence under the dangerous special offender statute as unconstitutional.5
The district court conducted hearings and granted defendant partial relief. The court eliminated portions of the government‘s petition which stated indictable offenses, on the theory that consideration of such evidence by the court would violate the Fifth Amendment guarantee that no person shall be tried for infamous crimes except upon presentment of indictment by grand jury. Thus the finding of dangerous was based on the information set out in the body of this opinion. We intimate no opinion that the elimination of indictable offenses is necessary for legitimate application of the statute.
Under
Special offender status may be determined under any one of the following three categories of
“(1) the defendant has previously been convicted in courts of the United States, a State, the District of Columbia, the Commonwealth of Puerto Rico, a territory or possession of the United States, any political subdivision, or any department, agency, or instrumentality thereof for two or more offenses committed on occasions different from one another and from such felony and punishable in such courts by death or imprisonment in excess of one year, for one or more of such
convictions the defendant has been imprisoned prior to the commission of such felony, and less than five years have elapsed between the commission of such felony and either the defendant‘s release, on parole or otherwise, from imprisonment for one such conviction or his commission of the last such previous offense or another offense punishable by death or imprisonment in excess of one year under applicable laws of the United States, a State, the District of Columbia, the Commonwealth of Puerto Rico, a territory or possession of the United States, any political subdivision, or any department, agency or instrumentality thereof; or “(2) the defendant committed such felony as part of a pattern of conduct which was criminal under applicable laws of any jurisdiction, which constituted a substantial source of his income, and in which he manifested special skill or expertise; or
“(3) such felony was, or the defendant committed such felony in furtherance of, a conspiracy with three or more other persons to engage in a pattern of conduct criminal under applicable laws of any jurisdiction, and the defendant did, or agreed that he would, initiate, organize, plan, finance, direct, manage, or supervise all or part of such conspiracy or conduct, or give or receive a bribe or use force as all or part of such conduct.”
In addition to finding that the defendant is a special offender, the court determines whether the defendant is also a dangerous offender.
A defendant is dangerous for purposes of this section if a period of confinement longer than that provided for such felony is required for the protection of the public from further criminal conduct by the defendant.
The constitutionality of this statute has been upheld as an enhanced sentencing procedure, analogous to recidivist statutes. United States v. Stewart, 531 F.2d 326 (6th Cir. 1976), cert. den., 426 U.S. 922, 96 S.Ct. 2629, 49 L.Ed.2d 376; United States v. Holt, 397 F.Supp. 1397 (N.D.Tex.1975), modified on ground not relevant here, United States v. Bailey, 537 F.2d 845 (5th Cir. 1976). This view was rejected in United States v. Duardi, 384 F.Supp. 874 (W.D.Mo.1974), aff‘d on other grounds, 529 F.2d 123 (8th Cir. 1975), in which the court held that application of the statute extends beyond ordinary sentencing procedure and is violative of due process.
Under the usual sentencing procedure, the court may consider many factors in determining the type and length of sentence. A sentencing judge is not limited to information presented in open court by witnesses under oath, but may exercise wide discretion in receiving information on which to base a sentencing decision. Williams v. New York, 337 U.S. 241, 246, 69 S.Ct. 1079, 1082, 93 L.Ed. 1337 (1949).
If we were to regard Title X as a revision of the Criminal Code whereby, as to any violation of Title 18 for which the formerly prescribed maximum was less than 25 years, the maximum had been increased to 25 years, consideration of the matters enumerated in
Under the present language, it seems clear that the maximum specified in the statute defining the offense is still the maximum for all cases unless separate and
Defendant argues, in part, that subsection (b) of the statute denies due process because the findings (of special offender status and of dangerousness) on which an increased sentence must be predicated may be based on a preponderance of the information considered and need not be established beyond a reasonable doubt. He contends that since these findings expose a defendant to substantially increased confinement, such findings must be supported by proof beyond a reasonable doubt, and he cites In re Winship, 397 U.S. 358, 364, 90 S.Ct. 1068, 25 L.Ed.2d 368 (1970); United States ex rel. Stachulak v. Coughlin, 520 F.2d 931, 935 (7th Cir. 1975); note, Recidivist Procedures, 40 N.Y.U.L.Rev. 332, 341-43 (1965). He also argues that the Sixth Amendment requires a trial by jury.
Section 3575(b) prescribes the procedure to be followed, requires only that a finding be based on a preponderance of the information considered, and provides for determination by the court without a jury. Subsection (b) applies both to the finding that a defendant is a special offender under (e), and that he is dangerous under (f). Thus at first glance, defendant‘s challenge to the procedure as a denial of due process would seem to go to both findings. Defendant has, however, conceded on appeal the adequacy of the finding, in his case, that he is a special offender.6
Based on that concession, we find that defendant is not in a position to challenge the validity of the procedure on which the finding that he is a special offender is predicated, and we need only consider his challenges insofar as they relate to the procedure and standards for, and the finding of, dangerousness.
We make plain, however, that the question of the constitutional validity of the procedure prescribed in
We note a marked difference between the type of issue to be decided by a finding of special offender status under
Particularly with respect to (e)(1), we note that its implementation is analogous to a recidivist statute: determination of prior convictions and imprisonment subjects the defendant to liability of increased punishment for the instant crime. Under a recidivist statute, the finding whether a defendant is a habitual criminal is a determination independent of conviction on the present charge. Graham v. West Virginia, 224 U.S. 616, 625, 32 S.Ct. 583, 586, 56 L.Ed. 917 (1912); see Chandler v. Fretag, 348 U.S. 3, 8, 75 S.Ct. 1, 4, 99 L.Ed. 4 (1954); Oyler v. Boles, 368 U.S. 448, 82 S.Ct. 501, 7 L.Ed.2d 446 (1962).
Based on the foregoing analysis of the relationship between (e) and (f) of
Once again, comparing
Nor do we find that the term dangerous is overly broad or vague for purposes of sentencing. United States v. Stewart, 531 F.2d 326, 336 (6th Cir. 1976), cert. den., 426 U.S. 922, 96 S.Ct. 2629, 49 L.Ed.2d 376; United States v. Holt, 397 F.Supp. 1397, 1399 (N.D.Tex.1975), modified on ground not relevant here, United States v. Bailey, 537 F.2d 845 (5th Cir. 1976), contra United States v. Duardi, 384 F.Supp. 874, 886 (W.D.Mo.1974), aff‘d on other grounds, 529 F.2d 123 (8th Cir. 1975). Factors routinely considered by a sentencing judge are the defendant‘s past record, the probation officer‘s report, the nature of the present offense and the defendant‘s attitude. United States v. Holt, supra, at 1399. Likelihood of future criminality and the potential danger to society are determinations implicit in sentencing decisions. The concept of dangerousness as defined in
The defendant‘s contentions that the findings of dangerousness were based on insufficient evidence and were tainted by prejudicial information related by the prosecution are without merit. As set out previously in the margin, the trial judge struck certain allegations from the dangerous special offender petition on the basis that they were indictable offenses and consideration of them in increasing sentence would have denied defendant‘s right to indictment by grand jury. Even as excised, the record supports the court‘s conclusion that the defendant would pose a future threat to society and was deserving of an increased period of incarceration. The record discloses that the trial court refused repeated offers of proof made by the prosecutors because of the prejudicial nature of the information.
A further contention of the de-
To summarize, we treat, in substance, the determination that a defendant is a special offender, under (e), as a factual determination which exposes him to an increased sentence, up to 25 years, and the determination that he is dangerous, under (f), and therefore should be confined for more than the maximum provided for the offense charged as the exercise of discretion traditional in sentencing. Although noting the existence of serious due process questions as to the determination under (e) by the procedure described in (b), we do not reach these questions because of defendant‘s concession as to the adequacy of the finding that he is a special offender. We find no lack of due process in the procedure for the finding that he is dangerous under (f), and in fixing his sentence in excess of the maximum prescribed for the offense charged.
Defendant‘s contention that the sentence imposed is so disproportionate as to be cruel and unusual punishment is insubstantial: the sentence is but a day greater than the maximum sentence authorized for the underlying felony. Cf. Hart v. Coiner, 483 F.2d 136 (4th Cir. 1973).
The judgment is AFFIRMED.
PELL, Circuit Judge, concurring.
I concur in the result reached in the opinion authored by Chief Judge Fairchild. Insofar, however, as that opinion is subject to being read as containing an inference that this court is expressing an opinion on the question of constitutional due process in the determination of special offender status under
My lack of concurrence is not intended to express either agreement or disagreement with the scholarly analysis of the question of due process applicable to the determination of special offender status. It simply is that the precise issue, not briefed or argued in this court, is a complex one, intertwined as it is with the entire matter of sentencing, and from my point of view should not have been addressed at all in the present case.
THOMAS E. FAIRCHILD
CHIEF JUDGE
Notes
The defendant moved to strike the petition on the grounds that the provisions of the dangerous special offender statute were unconstitutional. The defendant claimed that the statute violated his right to indictment by a grand jury and requirement of proof beyond a reasonable doubt, and that the statute lacked any standards to guide the discretion of the prosecutor in seeking the application of the statute or to guide the court in deciding when to apply the statute. The defendant further alleged that the language of the statute relating to dangerousness was vague and indefinite and inadequate as a standard for increased punishment, and that any sentence imposed without a meaningful standard is cruel and unusual punishment.
