UNITED STATES of America, Appellee, v. Learley Reed GOODWIN, Appellant.
No. 79-5351.
United States Court of Appeals, Fourth Circuit.
Argued Nov. 14, 1980. Decided Jan. 9, 1981.
250 F.2d 250
III. Conclusion
Based on the principles underlying the Pullman abstention doctrine, as adopted by this court in such decisions as Wilkins and Lynch, supra, we hold that the present factual circumstances require that the district court‘s injunctive orders of April 6, 1978, and January 9, 1980, be vacated. Hence, the state court is therefore free to review North‘s expulsion. The Board may challenge the validity of the award of the writ of certiorari and North‘s likely reinstatement under that statute by more properly resorting to the state tribunals rather than the federal court.
Accordingly, the district court is directed to immediately vacate the aforementioned orders, and the court is instructed to abstain from further proceedings in this matter pending resolution of the necessary state-law issues by the appropriate state court. The district court should also retain jurisdiction over any remaining federal causes of action.
REVERSED AND REMANDED WITH INSTRUCTIONS.
MURNAGHAN, Circuit Judge, concurring:
With all that Judge Hall has written, I am in agreement. My filing of a concurring opinion is simply to amplify the provision for retaining jurisdiction appearing at the end of the opinion. Among other authority not precluded by any provision of or implication deriving from our opinion, would be the power of the United States district court to enter an order requiring that North not seek to compel issuance by the University to him of a certificate of graduation, decree, diploma, or other similar document, unless and until the state court finally vacates and voids the second expulsion of June, 1977.
North had been granted admission as a student to the University, and so the automatic statutory stay entitled him to reinstatement to the student status. North, however, has never enjoyed the status of a graduate, and the expulsion disqualified him from achieving it. Maintenance of the status quo, pending resolution of the litigation in the state courts, calls for denial of a certificate, decree, diploma, or other similar document unless and until the disqualification of North is ended by the ultimate outcome of the law suit.
Edward M. Norton, Jr., Asst. U. S. Atty., Baltimore, Md. (Russell T. Baker, Jr., U. S. Atty., Baltimore, Md., on brief), for appellee.
Before WINTER, BUTZNER, and WIDENER, Circuit Judges.
WINTER, Circuit Judge:
Convicted of forcible assault of a federal officer in violation of
I.
Early in the evening of February 2, 1976, defendant was stopped for speeding on the Baltimore-Washington Parkway by a United States Park policeman. After defendant stopped, he emerged from his car to talk to the policeman. The policeman returned with him to the passenger side of defendant‘s car, and, after obtaining information from defendant‘s license and registration,
The next day the officer filed a complaint in the district court charging defendant with various petty offenses and misdemeanors, including assault. A United States Magistrate issued a warrant for defendant‘s arrest, and on March 11, 1976, defendant was arrested. On March 30, 1976, he was brought before a magistrate. At that hearing defendant sought to have the charges against him dismissed by testifying that he was in Atlanta, Georgia when the incident on the parkway occurred. The magistrate, however, found probable cause, released defendant on personal recognizance, and set a trial date of April 29, 1976.
Defendant did not appear for trial on that date. Later he was found in custody in another jurisdiction on other charges. He was returned to Maryland on May 24, 1979, for trial. At that time the government was represented by a trial attorney from the Department of Justice who was on special detail for two weeks to try petty offenses and misdemeanors before the magistrate. The attorney was familiar with the court papers as well as the officer‘s incident report, and she had conducted plea negotiations with defendant‘s lawyer. These negotiations had come to naught because defendant declined to plead and instead elected a jury trial. During the discussions, the prosecutor did not mention the possibility that the United States would seek to have defendant indicted for the felony of forcible assault on a federal officer (
As a result of defendant‘s election to be tried by a jury, his case was transferred to the district court for trial. The United States Attorney then sought and obtained the indictment charging defendant with a violation of
Defendant was convicted on the felony charge under
II.
On this record we readily conclude that the prosecutor did not act with actual vindictiveness in seeking a felony indictment. We must nevertheless decide if the felony prosecution was improper where, as is obvious here, it was not instituted until after defendant elected to be tried by a jury on lesser charges arising from the same conduct, even though the facts which motivated the prosecutor to seek the indictment were available to the government before plea bargaining was conducted and before defendant elected to exercise his right to a jury trial.
Applied to this case, this well-established principle manifestly requires that defendant‘s felony conviction be set aside. Defendant had a constitutional right to a jury trial on the misdemeanor and petty offense charges. The due process clause would not permit retaliation for the exercise of that right. Under Blackledge, we need not determine whether retaliation actually occurred in this case. It is enough that the circumstances surrounding the felony indictment give rise to a genuine risk of retaliation. Lest exercise of the right to a jury trial be chilled, the due process clause requires that defendant be freed of the apprehension of retaliation by prohibiting the bringing of more serious charges, once the right was exercised, at least where there is no showing that the charges could not have been brought before defendant made his election for a jury trial.
We turn to the government‘s arguments as to why we should reach a different conclusion. First, the government contends that the more recent Supreme Court decision in Bordenkircher v. Hayes, 434 U.S. 357 (1978), undercuts defendant‘s reliance on the apprehension of vindictiveness as a basis for finding a due process violation. In Bordenkircher, the Court held that a prosecutor does not violate due process by threatening to increase charges in the course of plea bargaining and then following up on that threat after plea negotiations break down. Bordenkircher is easily distinguishable from Blackledge and from the present case. In Bordenkircher the prosecutor‘s intent to press for more serious charges was made known at the outset of negotiations, and the Court explicitly limited its holding to that factual situation:
This is not a situation, therefore, where the prosecutor without notice brought an additional and more serious charge after plea negotiations relating only to the
original indictment had ended with the defendant‘s insistence on pleading not guilty. As a practical matter, in short, this case would be no different if the grand jury had indicted Hayes [on the more serious charge] from the outset, and the prosecutor had offered to drop that charge as part of the plea bargain.
434 U.S. at 360-61. Specifically distinguishing Blackledge, the Court noted:
In [Blackledge] the Court was dealing with the State‘s unilateral imposition of a penalty upon a defendant who had chosen to exercise a legal right to attack his original conviction—a situation ‘very different from the give-and-take negotiation common in plea bargaining. . . .’
The government relies on one passage from Bordenkircher which purportedly limits the rationale of Blackledge:
The Court has emphasized that the due process violation in cases such as [Blackledge] lay not in the possibility that a defendant might be deterred from the exercise of a legal right, see Colten v. Kentucky, 407 U.S. 104 (1972); Chaffin v. Stynchcombe, 412 U.S. 17 (1973), but rather in the danger that the State might be retaliating against the accused for lawfully attacking his conviction. See Blackledge v. Perry, supra at 26-28.
434 U.S. at 363. From this, the government argues in its brief that the Court shows “its fundamental concern was actual, rather than the defendant‘s perceived, prosecutorial retaliation.” We think, however, that the government has missed the point. Colten and Chaffin, cited by the Supreme Court in the quoted passage, found the rationale of Blackledge inapplicable where, upon retrial, a defendant was subjected to more than his initial punishment by a jury wholly unaware of the punishment following the initial conviction or by a judge different than the one who imposed the original sentence. In those cases, even though the possibility of increased punishment might have deterred a defendant in exercising his right to appeal, the deterrent did not rest on the possibility of retaliation since the judge or jury in the second trial had no reason to be vindictive. In citing Colten and Chaffin, therefore, the Supreme Court suggests only that a deterrent arising solely from the risk of higher punishment may be permissible while a deterrent arising from the risk of vindictiveness is not.
Unlike the defendants in Colten and Chaffin, but like the defendant in Blackledge, Goodwin faced increased charges brought by a prosecutor who had an incentive to deter misdemeanor defendants from exercising a right that would “require increased expenditures of” his own time. Blackledge, supra, 417 U.S. at 27. Thus, for defendant and those similarly situated, “the danger that the [government] might be retaliating” is real. Bordenkircher, supra, 434 U.S. at 363.
Next the government argues that we should reconsider Johnson. It stresses that the Fifth and Sixth Circuits have adopted a balancing test in cases which involve prosecution on increased charges after a defendant‘s exercise of procedural rights, weighing the extent to which the allowance of increased charges will chill a defendant‘s exercise of his rights against the extent to which disallowance will limit the exercise of the prosecutor‘s discretion. See United States v. Andrews, 633 F.2d 449 (6th Cir. 1980); Jackson v. Walker, 585 F.2d 139, 145 (5th Cir. 1978); Hardwick v. Doolittle, 558 F.2d 292 (5th Cir. 1977), cert. denied, 434 U.S. 1049 (1978).1
In short, the government takes strong exception to our holding in Johnson that circumstances giving rise to a genuine risk of vindictiveness create a per se violation of the due process clause, absent proof by objective evidence that the increased charges could not have been brought in the first instance.
To this argument, there are several answers. First, it is inappropriate for us to overrule the decision of another panel of this court. Such a step is reserved for the court sitting in banc. More importantly, we are persuaded that our initial reading of Blackledge was correct and should not be altered. Blackledge suggests no balancing test. It adopts a prophylactic rule designed to spare courts the unseemly task of probing the actual motives of the prosecutor in cases where objective circumstances suggest a realistic possibility of vindictiveness.
If the government wishes to avoid the limitation on prosecutorial discretion dictated by Blackledge, it must come forward with objective evidence to show that the increased charges could not have been brought before the defendant exercised his rights. This it has not done in the instant case. Although the information which led the United States Attorney to seek a felony indictment may not have been in his possession until defendant exercised his right to a jury trial and the case was transferred from the magistrate to the district court, the information was available to the government, if not from the outset, at least prior to Goodwin‘s election of a jury trial.2 Nevertheless, the conclusion is inescapable that, “but for” his election of a jury trial, defendant would have been tried before the magistrate solely on the lesser charges.
Thus we hold that the due process clause prohibits defendant‘s conviction on the felony charge and that conviction must be reversed. Because of this conclusion, we have no occasion to consider defendant‘s contention that the evidence was legally insufficient to convict him of the felony charge.
III.
Defendant argues for reversal of his conviction under the Maryland fleeing and eluding statute on two grounds. First he contends that Count III of the indictment failed to allege all the elements of an offense under Maryland law because it did not state that the police officer was in uniform, prominently displaying his badge or other insignia of office. Next he contends that, even if he was properly charged under the terms of the statute, the Maryland statute has been preempted by federal law. Neither contention persuades us.
A. The Requirements of the Maryland Statute.
The Maryland statute which defendant was convicted of violating prohibits the driver of a vehicle from attempting to elude a police officer by failing to stop, by fleeing on foot or by any other means. The statute applies:
[W]hen a police officer gives a signal to stop, whether by hand, voice, emergency light, or siren, if:
(1) The police officer is in uniform, prominently displaying his badge or other insignia of office; and
(2) The police officer, when in a vehicle, is in a vehicle appropriately marked as an official police vehicle. (emphasis added)
There can be no doubt that the conditions of the statute are phrased in the conjunctive, but they can be read in the disjunctive if that is the evident legislative intent. Reiter v. Sonotone Corp., 442 U.S. 330, 339 (1979); George Hyman Construction Co. v. OSHA, 582 F.2d 834, 840 n.10 (4th Cir. 1978). We think that the common-sense meaning of the statute is that it applies if the officer is in uniform and is prominently displaying his badge, but that the statute applies also if the police officer, however garbed, is in an officially marked car. The purpose of the statute is to effect compliance with an officer‘s signal to stop. Not unreasonably, notice of the authority of the officer to give the signal is an essential element of the crime of failing to obey. That notice is given when the officer is on foot and is wearing his uniform and insignia of office, or, if the officer is in a vehicle, when the vehicle is marked as an official police vehicle. In the latter instance, additional notice from the wearing of a uniform and displaying an insignia of office is unnecessary, especially when it is remembered that the garb of the policeman within the official police vehicle may not even be visible.
A contrary reading would lead to some bizarre results. If both conditions must be alleged and proved in order to render
B. Preemption of the Maryland Statute.
The principles of preemption to preclude the bringing of charges under the Assimilative Crimes Act,
All traffic regulations applicable in areas covered by this part shall be observed by the operators of vehicles, equestrians, and by pedestrians who shall also comply with official traffic signs and signals, and traffic direction by voice, hand or whistle, from any member of the United States Park Police, Metropolitan Police, Park Rangers or special policemen, properly equipped with police badge on duty in an area covered by this part. These directions may include signals for slowing down, stopping, backing, approaching or departing from any place, the manner of taking up or setting down passengers, and the loading and unloading of any material.
Although defendant concedes that the regulation does not track the language of
We are not persuaded. As its text demonstrates, the thrust of the statute is to render criminal eluding a police officer under the circumstances therein defined. The thrust of the regulation is traffic and pedestrian control by an officer on foot. The objectives of the statute and of the regulation are quite different. Indeed we do not think that defendant could have been found guilty of violating the regulation. It makes
AFFIRMED IN PART; REVERSED IN PART.
WIDENER, Circuit Judge, concurring and dissenting:
While I concur in the result obtained by the majority in affirming the conviction of the misdemeanor of fleeing and eluding a police officer, I respectfully dissent to overturning the conviction of the felony of assaulting an officer in violation of
As the majority correctly notes, Bordenkircher “held that a prosecutor does not violate due process by threatening to increase charges in the course of plea bargaining and then following up on that threat after plea negotiations break down.” P. 253. Applying Bordenkircher to our case, if the government had threatened to prosecute Goodwin for assaulting the officer during the plea negotiations which did take place, and then had indicted Goodwin for that crime when the plea negotiations broke down, such conduct would have been approved under Bordenkircher. But because of the lack of a threat by the prosecutor to indict, the majority sets aside the conviction because “the circumstances surrounding the felony indictment [the assault on the officer] give rise to a general risk of retaliation.” P. 253. The court now holds that while an expressed threat of retaliation will not suffice to set aside a conviction because of Bordenkircher, merely a general risk of retaliation without the expressed threat will suffice. If we analyze what the prosecutor did in Bordenkircher, we see that in that case he deliberately threatened the defendant with indictment for an additional offense in order to discourage trial, and to encourage a guilty plea, and the prosecutor expressly so advised the defendant before trial. Bordenkircher at 358, n.1. In our case, there is no intimation that the prosecutor was acting with vindictiveness in seeking the indictment for assaulting the officer, and the majority so finds. P. 252. Neither did he make any attempt to discourage any exercise of Goodwin‘s right to trial by jury. Thus, what the majority now adopts is a per se rule, the effect of which is that a prosecuting attorney must see to it that formal charges are initially filed for the most serious offense of which a defendant may be guilty or else forever forfeit the right to so prosecute him if the defendant contests the prosecution in any way.
I doubt that we should follow our Johnson case so far and that it is any authority for the proposition relied upon following the decision in Bordenkircher. An en banc court is not needed, of course, to accept a superseding opinion of the Supreme Court, and, as we had to, we have so held in Marzullo v. Maryland, 561 F.2d 540 (4th Cir. 1977).
HARRISON L. WINTER
UNITED STATES CIRCUIT JUDGE
