UNITED STATES оf America, Appellee, v. Rochelle Ardall CROWDER, Appellant. UNITED STATES of America, Appellee, v. Horace Lee DAVIS, Appellant.
Nos. 92-3133, 94-3108 and 93-3059.
United States Court of Appeals, District of Columbia Circuit.
Argued En Banc Sept. 21, 1995. Decided July 9, 1996.
87 F.3d 1405
*
*
*
There remains the possibility that, if the above analysis is incorrect, LaShawn I‘s silent resolution of the Gibbs step two issue was subject to the exception in law of the case for “clearly erroneous” prior decisions. As author of the panel opinion, I never suggested that LaShawn I‘s resolution was clearly erroneous and would be most reluctant to impute any such error to my colleagues. Compare p. 1394 above (noting the unseemly character of overturning the opinion of a prior panel). Indeed, as my opinion for the panel made clear, there are strong values on both sides of the matter—among them two doctrines of judicial self-abnegation in favor of democratic political processes: deferring resolution of constitutional issues where possible, on the one hand, and keeping life-appointed federal judges from taking over the interpretation and application of democratically chosen local law, on the other. In any event, as LaShawn I never detectably addressed Gibbs‘s second step I have no idea what Gibbs step two analysis might be at issue, and thus am ill-positioned to find error, much less clear error, in that decision.
*
*
*
Because I believe that law of the case does not bar later panels of a court from considering jurisdictional issues that a prior panel has resolved implicitly but not expressly, and that the second step required for pendent jurisdiction under Gibbs is indeed jurisdictional for purposes of that principle, I dissent.
Robert E. Morin, Washington, DC, argued the cause for appellant Rochelle Ardall Crowder, with whom Mary M. Petras was on the brief. Gerald I. Fisher, appointed by the court, entered an appearance for appellant Rochelle Ardall Crowder.
Roy W. McLeese, III, Assistant United States Attorney, Washington, DC, argued the cause for appellee, with whom Eric H. Holder, Jr., United States Attorney, and John R. Fisher, Assistant United States Attorney, were on the briefs. Elizabeth Trosman, Mary D. Rodriguez, Karen E. Rhew, Geoffrey Bestor and Gregory A. Gruber (pro hac vice), Assistant United States Attorneys, entered appearances for appellee.
Before: EDWARDS, Chief Judge, WALD, SILBERMAN, BUCKLEY, WILLIAMS, GINSBURG, SENTELLE, HENDERSON, RANDOLPH, ROGERS and TATEL, Circuit Judges.
Opinion for the Court filed by Circuit Judge TATEL, in which Chief Judge EDWARDS and Circuit Judges WALD, SILBERMAN, BUCKLEY, WILLIAMS, and ROGERS concur.
Concurring opinion filed by Circuit Judge SILBERMAN, in which Circuit Judges BUCKLEY and WILLIAMS join.
Concurring opinion filed by Circuit Judge ROGERS.
Dissenting opinion filed by Circuit Judge RANDOLPH, in which Circuit Judges GINSBURG, SENTELLE, and HENDERSON join.
TATEL, Circuit Judge:
In these consolidated cases, we address the recurring question of what effect a defendant‘s unequivocal offer to concede elements of a crime has on the admissibility of prior bad acts evidence under
I.
The Government charged Horace Lee Davis with possession with intent to distribute and unlawful distribution of cocaine base (crack) in violation of
Davis‘s defense was mistaken identity. According to his theory of the case, he had been in a nearby liquor store at the time of the drug sale and had simply walked out of the store immediately before his arrest. At trial, the liquor store clerk confirmed that Davis had been in the store until just before the arrest. Further supporting the defense theory, one of the arresting officers testified that Davis had a beer in his hand when arrested. The defense attacked the undercover officer‘s identification of Davis, noting the officer‘s inexperience (he had been undercover only three weeks at the time of the incident); his inability to identify the intermediary; his broadcast of the look-out on an unrecorded police channel; and his failure to prepare the “buy report,” the only other evidence of his description of the seller, until after Davis‘s arrest.
Prior to trial, the Government notified Davis that it would introduce evidence of three prior cocaine sales to prove knowledge and intent. In a written opposition and again orally at trial, Davis offered to stipulate to both knowledge and intent—in other words, he offered to concede that the person who possessed the drugs both knew that they were drugs and intended to sell thеm—arguing that in view of this concession, the Government wanted to use the prior incidents only to show his character in violation of
In the second case before us, the Government charged Rochelle Ardall Crowder with possession with intent to distribute both crack and heroin. According to the Government‘s witnesses, three police officers in a marked car observed Crowder exchange a small object for cash with another man. Seeing one of the officers motion to him, Crowder fled. According to the pursuing officer, Crowder removed a brown object from his pocket, dropping it as he scaled a fence. The officer testified that the object was a brown paper bag containing ninety-three “ziplock” bags of crack and thirty-eight glassine packets of heroin. After placing Crowder under arrest and searching him, the arresting officer recovered a pager and $988 in currency.
Acknowledging that the chase and arrest had occurred as described by the Government‘s witnesses, Crowder contended at trial that he had possessed neither the paper bag nor the drugs. According to his theory of the case, the police officers came to his neighborhood looking for information about an unrelated, unsolved murder. He claimed that when he refused to talk, the police beat him and falsely accused him of possessing drugs. Defense witnesses confirmed that a detective investigating a murder had previously questioned Crowder. They also testified that they saw the same detective at the scene of Crowder‘s arrest, that the police beat him during the arrest, and that the officer who first motioned to Crowder from the marked car called him by name. To refute the Government‘s claim that he was selling drugs at the time, Crowder‘s witnesses testified that the object he passed to the other man was a cigarette, that the large amount of cash was for home repair materials, and that, having no telephone, he had borrowed the beeper from the mother of his eight-year-old daughter to communicate when their daughter was with him.
Crowder‘s first trial ended in a mistrial. Prior to the second trial, the Government advised Crowder that it would introduce evidence that he sold drugs to an undercover officer five months after the first trial. Objecting in writing and orally, Crowder offered
Both defendants appealed. After separate panels heard oral argument, the court on its own initiative consolidated the cases, hearing them en banc to resolve the question of the admissibility of prior bad acts evidence when criminal defendants offer to concede the element of a crime for which the Government seeks to introduce the evidence.
II.
The first sentence of
These cases require that we determine the effect of a defendant‘s offer to stipulate to—to concede—one or more of the issues for which the Government seeks to introduce the bad acts evidence. In the Davis case, when the Government intrоduced the evidence to prove the knowledge and intent elements of the crime, Davis offered to concede both. Following
Appellants argue that a defense offer to concede an element of the offense when combined with a jury instruction that the Government need not prove that element renders bad acts evidence inadmissible because the evidence is irrelevant to a disputed issue and substantially more prejudicial than probative. According to the Government, an offer to concede is only one factor the district court should consider when balancing probative value against prejudicial effect.
Nine of our sister circuits have considered the admissibility of bad acts evidence following a defense offer to concede intent, reaching essentially three different positions. The Third and Fifth Circuits permit district courts to balance the evidence‘s prejudice against its probative value, although both circuits have held that an unequivocal offer to stipulate to intent generally renders extrinsic bad acts evidence inadmissible to show intent. See, e.g., United States v. Jemal, 26 F.3d 1267, 1274 (3d Cir. 1994); United States v. Yeagin, 927 F.2d 798, 801-02 (5th Cir. 1991). The Fourth, Sixth, Seventh, and Ninth Circuits similarly permit district courts to weigh probative value against prejudice, though they leave the district courts with broader discretion than the Third and Fifth Circuits. See, e.g., United States v. Hernandez, 975 F.2d 1035, 1039-41 (4th Cir. 1992); United States v. Johnson, 27 F.3d 1186, 1193-94 (6th Cir. 1994), cert. denied, --- U.S. ---, 115 S.Ct. 910, 130 L.Ed.2d 792 (1995); United States v. Brown, 34 F.3d 569, 572-74 (7th Cir. 1994); United States v. Hadley, 918 F.2d 848, 852 (9th Cir. 1990), cert. granted, 503 U.S. 905, 112 S.Ct. 1261, 117
In contrast, the Second Circuit has squarely held that under
Reviewing these opinions, we think the First, Second, Eighth, and Eleventh Circuits’ treatment of an offer to concede is most convincing. As we see it, a defendant‘s offer to concede knowledge and intent combined with an explicit jury instruction that the Government no longer needs to prove either element gives the Government everything the evidence could show with respect to those two elements, doing so without risk that the jury will use the evidence for impermissible propensity purposes. In the absence of any other non-propensity purpose for the bad acts evidence, the evidence is therefore inadmissible because its only purpose could be “to prove the character of a person in order to show action in conformity therewith,” precisely what
This approach is faithful to the plain language of
In order to protect defendants from the prejudicial effects of bad acts evidence without also weakening the Government‘s ability to prove its case, the conceded elements must be completely removed from the triаl. A defendant‘s offer to concede, therefore, must be unequivocal: the concession‘s language must be unambiguous and the defendant may not undermine the offer by later challenging the conceded element. See United States v. Manner, 887 F.2d 317, 322 (D.C.Cir.1989) (bad acts evidence may be admissible when concession equivocal). To ensure that the jury clearly understands that the concession releases the Government from its burden of proof on the conceded elements, the defendant must accept, as counsel for Davis acknowledged at oral argument, an instruction stating clearly that in order to convict, the jury need find only the contested element(s). In Davis‘s case, the instruction describing the elements of the crime, see, e.g., DEVITT at § 54.07, could be followed by something along the following lines: “By Davis‘s agreement, the Government need not prove either knowledge or intent. Your job is thus limited to the possession element of the crime. Therefore, in order to meet its burden of proof, the Government must prove beyond a reasonable doubt only one element of the crime, that Horace Davis was in possession of the cocaine base charged in the indictment.” By offering this suggestion, we do not mean to dictate the precise language district courts must use, merely to indicate one way to explain Davis‘s concession to the jury. Whatever language the district court chooses would, in order to avoid confusing the jury, replace the standard instruction regarding the Government‘s obligation to prove every element of the crime beyond a reasonable doubt. See, e.g., CRIMINAL JURY INSTRUCTIONS FOR THE DISTRICT OF COLUMBIA, Instruction 2.08. This will not, as our dissenting colleagues argue, see Dissent at 1427, create a problem in multi-defendant cases. Because trial judges may instruct the jury differently for different defendants, see, e.g., CRIMINAL JURY INSTRUCTIONS FOR THE DISTRICT OF COLUMBIA, Instruction 2.51-2.52 (in apparent recognition of the permissibility of different instructions for different defendants, recommending the following instruction: “Unless I have stated otherwise to you, you should consider each instruction that the Court has given to apply separately and individually to each defendant on trial” (emphasis added)), defendants who do not concede any elements of the crime would continue to be entitled to an instruction requiring the Government to prove every element beyond a reasonable doubt. And because an unequivocal concession of an element of a crime waives a defendant‘s constitutional right to have the Government prove that element beyond a reasonable doubt, the district court will have to ensure that the concession is knowing and voluntary. See Garcia, 983 F.2d at 1175-76; cf. Brady v. United States, 397 U.S. 742, 748, 90 S.Ct. 1463, 1468-69, 25 L.Ed.2d 747 (1970) (“Waivers of constitutional rights not only must be voluntary but must be knowing, intelligent acts done with sufficient awareness of the relevant circumstances and likely consequences.“).
Davis had no opportunity to consider such an instruction because the district court admitted the bad acts evidence under
That Davis conceded that the person with the drugs knew what they were and intended to distribute them, rather than conceding more particularly that he had such knowledge and intent, does not undermine the concession. See Dissent at 1424. Because Davis‘s position was that he did not possess the drugs at all, he could not have conceded that he knew what the substance was or that he intended to distribute the drugs. By conceding that the person with the drugs had knowledge of what they were and had the intent to distribute them and thus conceding that he had the knowledge and intent to distribute if the jury were to find that he possessed the drugs, Davis clearly conveyed that the only remaining element was whether he possessed the drugs. If, on remand, Davis reiterates his unequivocal concession and remains willing, as he was at oral argument, to accept an instruction limiting the jury‘s consideration to the possession element of the crime, Davis‘s concession would completely relieve the Government of having to prove knowledge and intent.
Our dissenting сolleagues suggest that a defendant‘s intent to distribute drugs could also be his “motive” to possess the drugs, another permissible purpose under
In Crowder‘s case, he too offered a defense based solely on the theory that he did not possess the drugs. Like Davis, he contested neither intent nor knowledge, offering instead to concede both that the “substances seized were cocaine base and heroin,” and that “anybody who possessed those drugs possessed them with the intent to distribute.” His attorney stated that “[t]he issue in this case is: Did he or did he not possess those drugs? That‘s the threshold thing that the Government has to be able to prove in this case. The rest of it in terms of what the facts—what the evidence will show, we concede.” Read together, these statements amount to an unequivocal offer to concede both the knowledge and intent to distribute elements of the crime.
The district court apparently believed that Crowder undermined his concession of intent by presenting evidence that he had legitimate reasons for the beeper and $988, and a benign explanation—selling a cigarette—for the observed transaction. See J.A. 243. We disagree. The beeper, the money, and the transaction were each relevant to show not only Crowder‘s intent, but also his possession. That Crowder contested the significance the Government attributed to its evidence is therefore completely consistent with his defense that he did not possess the drugs at all. Although Crowder‘s evidence might also counter the probative value of the Government‘s evidence to show intent, this does
Unlike the Davis case, the Government also sought to introduce the evidence for another reason: to show Crowder‘s modus operandi. Although not listed in
In addition to admitting the evidence to show intent, the district court accepted it to show “knowledge of drug dealing.” In this respect, Crowder‘s case is fundamentally different from Davis‘s. Knowledge of drug dealing, of course, is not the same as the knowledge element of the crime. The former shows a general understanding about the drug trade; the latter is a defendant‘s awareness that the particular substance he possessed was cocaine base. The question, then, is this: What relevance does Crowder‘s knowledge of drug dealing have for proving the only unconceded element of the crime, whether Crowder possessed drugs during the alleged crime? Although using bad acts evidence to show a defendant‘s “knowledge of drug dealing” could be a proxy for showing his character, a jury could infer possession from knowledge of drug dealing without relying on an impermissible propensity inference: A familiarity with the drug trade may make it more likely that a defendant knew where or how to acquire drugs, thus making it more likely that he possessed them at the time of arrest. Knowledge of drug dealing can therefore be a permissible purpose for the evidencе under the second sentence of
III.
Contending that our holding will interfere with the Government‘s ability to prove its case, our dissenting colleagues would permit the Government to introduce bad acts evidence even in the face of an unequivocal concession. Underlying the dissent‘s concerns is its failure to distinguish between bad acts evidence, with its own specialized rule of admissibility, аnd other evidence susceptible only to the general provisions of
[a]n enormous number of [relevancy questions] fall in no set pattern, and [
Rule 401 ] is designed as a guide for handling them. On the other hand, some situations recur with sufficient frequency to create patterns susceptible of treatment by specific rules.Rule 404 [is] of that variety; [it] also serve[s] as [an] illustration[ ] of the application of [Rule 401 ] as limited by the exclusionary principles ofRule 403 .
The plain language of
The dissent accuses us of relying on a “psychological insight” that prosecutors seek to use bad acts evidence in lieu of a concession in order to convince juries to rely on the evidence for impermissible purposes. Dissent at 1422. Our concern under
Along the same lines, the dissent argues that our holding will undermine prosecutors’ “legitimate trial strategy” of presenting “live testimony and documentary evidence” rather than accepting a concession and a “cold” jury instruction. Dissent at 1418. The dissent does not articulate exactly how the Government‘s inability to introduce extrinsic bad acts evidence to prove knowledge or intent could affect its case, and with good reason—it will not. If the jury fails to find possession beyond a reasonable doubt, then the Government‘s inability to introduce bad acts evidence for the other two elements will not affect its case at all unless the jury uses the evidence to show possession through propensity, a purpose explicitly prohibited by the first sentence of
Although juries sometimes do ignore instructions, we think the risk of their doing so is significantly greater under the dissent‘s approach, which would admit the bad acts evidence and instruct the jury to consider it only for the uncontested elements of intent and knowledge, not for the purpose prohibited by
If you determine that the government has proven beyond a reasonable doubt that on February 27, 1991, it was Mr. Davis who sold drugs to Officer Farmer and possessed the drugs found in the blue Jetta with the intent to distribute them, and if you also determine that he committed the similar acts as well, then you may, but you do not have to, draw an inference that in doing the acts charged in the indictment Mr. Davis knew about the drugs in the Jetta and had the intent to distribute them.
You may not consider the evidence of the other arrests for any other purpose.
Specifically, you may not use the evidence to conclude that, based upon his other arrest, Mr. Davis is guilty of the offenses with which he is charged in this case.
The ability of such a limiting instruction to overcome the prejudicial effects of bad acts evidence can be, we have sаid, an “unmitigated fiction.” Daniels, 770 F.2d at 1118 (quoting Krulewitch v. United States, 336 U.S. 440, 453, 69 S.Ct. 716, 723, 93 L.Ed. 790 (1949) (Jackson, J., concurring)). As we have observed, the “mental gymnastic” such an instruction requires of the jury may be “well beyond mortal capacities.” Daniels, 770 F.2d at 1118 (quoting Nash v. United States, 54 F.2d 1006, 1007 (2d Cir. 1932), cert. denied, 285 U.S. 556, 52 S.Ct. 457, 76 L.Ed. 945 (1932)). Our approach does not require juries to perform any “mental gymnastic[s].” The court excludes the bad acts evidence, instructing the jury that to convict it need find only possession beyond a reasonable doubt. Hardly confusing to juries, this approach protects defendants from the prejudicial effects of bad acts evidence without weakening the Government‘s ability to prove its case.
The dissent argues that removing knowledge and intent from the jury‘s consideration conflicts with
Finally, the dissent raises a host of practical concerns about our disposition of these two cases. Its “long list of difficult ques-
IV.
We reverse Davis‘s conviction and remand for a new trial. We remand Crowder‘s case for the district court to determine, in accordance with this opinion, whether the bad acts evidence‘s probative value is substantially outweighed by the danger of unfair prejudice. Because we remand both cases, we do not reach the other issues that defendants raise.
So ordered.
SILBERMAN, Circuit Judge, concurring, with whom BUCKLEY and WILLIAMS, Circuit Judges, join:
I join Judge Tatel‘s opinion because I think the majority‘s construction of
To be sure, evidence of prior bad acts that are unrelated to the crime charged should normally be excluded. It simply would not do to allow the prosecution to show that the defendant is of general bad character. Not only is that approach unfairly prejudicial to the defendant while providing little probative value, but it also would turn our criminal trials into even more of a circus than they have become. On the other hand, evidence that a defendant charged with a drug distribution crime has previously committed drug distribution crimes should be admissible to show likelihood (propensity, if you will) that the defendant did it again. Probably no segment of American society, other than many of its lawyers (and judges), would think that such reasoning is somehow unreliable. And the vast majority of other countries readily admit such evidence. England, our common law ancestor, is one of the very few countries that in the past has excluded such evidence, but even it has shifted the focus of its admissibility inquiry to the probative value of the evidence rather than the purpose for which it is offered. See Office of Legal Policy, Report to the Attorney General on the Admission of Criminal Histories at Trial, 22 J. LAW REFORM 714, 750-52 (1989); Edward J. Imwinkelried, Undertaking the Task of Reforming the American Character Evidence Prohibition: The Importance of Getting the Experiment Off on the Right Foot, 22 FORDHAM URB. L.J. 285, 285-86 (1995). As I understand Judge Randolph‘s position, it would essentially accomplish this result, but I feel obliged to await the intervention of one of the policymaking organs east of us.
ROGERS, Circuit Judge, concurring:
The court concludes that
As the case has progressed in this court—from briefing and oral argument presented to a three-judge panel to new briefing and oral arguments before the in banc court—the question of how the jury should be instructed regarding a defendant‘s concession has assumed greater importance. At least three types of instructions have been discussed. First, there is the standard type of instruction given when there is an actual stipulation, as opposed to a unilateral concession. In this instruction, the jury is told that it “may consider” the stipulated fact “proven.”4 Second, there is the type of instruction that was discussed in questioning by the court during the in banc argument and to which the defense agreed during the argument. This instruction, also raised by the court during the
Appellants’ acceptance of a “must convict” instruction eliminates any need for the court to reach several thorny questions that would otherwise have arisen. First, we need not determine whether a “need not prove” instruction or a “must convict” instruction could be forced on an unwilling defendant as the price of excluding prejudicial other bad acts evidence under
Nonetheless, the fortuitous circumstances arising from the eleventh-hour concession to a “must convict” instruction should not mislead the district court and the Bar. Without such an instruction, the parties agree that the conceded elements remain in the case. Consequently, with the standard “may consider” instruction, the conceded elements would not, as the court requires, be “completely removed from the trial,” Op. at 1411, and evidence of the prior bad acts could not be excluded on the basis of
This is the position taken by all parties in the briefs to the in banc court. Notwithstanding defense concessions to intent and knowledge, the bad acts evidence may yet be relevant under
The point is simply that appellants’ eleventh-hour acceptance of a “must convict” instruction should not confuse an understanding of the court‘s analysis. Without such an instruction, supra n. 2, intent and knowledge would remain in the case for the jury to decide, as the parties recognize in their briefs. If the standard “may consider” instruction on stipulations were given instead, the other bad acts evidence in these appeals would be addressed with reference to
RANDOLPH, Circuit Judge, with whom Circuit Judges GINSBURG, SENTELLE, and HENDERSON join, dissenting:
Three decades ago, a unanimous Supreme Court said that although a defendant can waive his right to be confronted by the witnesses against him, “it has never been seriously suggested that he can thereby compel the Government to try the case by stipulation.” Singer v. United States, 380 U.S. 24, 35, 85 S.Ct. 783, 790, 13 L.Ed.2d 630 (1965). Today our court does more than just suggest the idea; the court imposes it as the law of this circuit.
The rationale sounds straightforward. Under
The simplicity of this logic is an illusion, for having stated the rationale the majority quickly realizes the need to qualify it. And so the opinion announces more than a few conditions and exceptions and provisos. In the process, the
I foresee the majority‘s newly coined code, with all its many embellishments, creating such a mess in criminal trials that ultimately we will come to our senses and abandon it, unless higher authority or fresh legislation intervenes and does the job for us.1 I will get to the practical problems with the majority‘s ruling, but I want to deal first with the theory underpinning it, a theory I consider quite flawed.
I
Let us begin by getting rid of any idea that we are dealing with stipulations. We most certainly are not. A stipulation is an agreement. No agreements were reached in the two cases before us. All we have here are defense offers to stipulate, offers the prosecution rejected in both cases. The initial question thus cannot be what consequences flow from a stipulation. It must be what effect a defense concession has on the presentаtion of the government‘s case. The majority gives this answer—whenever a defendant offers to concede an element of the offense, that element is “completely removed from the trial” and the government therefore cannot introduce other-offense evidence to prove it. Maj. op. at 1410-1411.
There are two things worth noticing about the majority‘s proposition. The first is that it makes everything turn on what the defendant is conceding; nothing depends on the type of evidence the government has waiting in the wings. The government‘s proof might be in the form of eyewitness testimony, or it might be a written confession, or it might be descriptions of the defendant‘s other crimes. No matter. If the defendant concedes the element of intent, the government is barred from introducing evidence to prove it. Intent, then, becomes a non-issue, “completely removed from the trial,” a matter of no consequence in the case.
This is a revolutionary idea, and one that will have enormous repercussions in criminal trials. The logical consequence of the majority‘s theory is breathtaking. The theory will bar not just
In Crowder‘s case, for instance, the government showed that he possessed a beeper when he was arrested. The рresence of the beeper made it more likely that Crowder was
The second thing to notice about the majority‘s proposition is that it thoroughly misstates the law. The Supreme Court could not be clearer on the subject: a defendant‘s plea of “not guilty” puts the government to its proof on every element of the crime charged. Mathews v. United States, 485 U.S. 58, 65, 108 S.Ct. 883, 887-88, 99 L.Ed.2d 54 (1988). The defendant may choose to challenge each of those elements, to concede some and challenge others, or to sit back and do nothing. Whatever choice he makes, the government still bears the burden of proof. That is the very point of Estelle v. McGuire, 502 U.S. 62, 69, 112 S.Ct. 475, 480-81, 116 L.Ed.2d 385 (1991): the “prosecution‘s burden to prove every element of the crime is not relieved by a defendant‘s tactical decision not to contest an essential element of the offense.”
It necessarily follows that despite a defendant‘s concession, whether in the form of an offer to stipulate or otherwise, the government‘s proof of intent—including its
The majority‘s analysis of the
Today‘s ruling will mark the beginning of a sweeping change in the conduct of criminal trials, a change the
Underlying nearly all of the majority‘s theory is the assumption that placing
I do not mean to minimize the danger of undue prejudice from other-offense evidence. See
That is not the only way in which the majority has departed from the
In addition to
II
Legal theory aside, the majority‘s revisions of the
A
Consider first the problems the majority creates and then at least tries to solve. My colleagues recognize that their holding might sweep much too broadly. Evidence of intent often goes to something more than just the element of intent. Maj. op. at 1412. The charge in these cases—possession with intent to distribute crack cocaine—illustrates the point. In proving that the defendant intended to distribute the crack, the govеrnment might simultaneously be showing the defendant‘s motive to possess the crack, which
Next, to avoid impermissibly “weakening the government‘s ability to prove its case,” the majority says that its rule will apply only when the defendant‘s “offer to concede” is “unequivocal.” Maj. op. at 1411. What qualifies as “unequivocal“? The majority
Even if one subscribed to the majority‘s view that the proposed stipulations to intent were “unequivocal,” I cannot see how this could possibly lead to the banning of the
The majority addresses a small part of this problem with yet another qualified exception, and yet another complication for our circuit‘s district judges. Here is the qualification: the majority‘s so-called per se exclusionary
B
Let us now move on to the majority‘s model jury instruction, designed to offset barring the government‘s evidence. First the reality—neither Crowder nor Davis proposed an instruction. If their counsel had one in mind, it naturally would have been the standard, universally accepted, charge on a
Although defense counsel would gleefully accept such standard instructions on stipulations, the majority has to come up with something else. Under its theory, the jury instruction is to be the quid pro quo for barring the government‘s evidence. It must give the government all it legitimately could have gained from introducing the other-offense evidence. A trial court‘s telling the jurors they may consider the conceded elements as proven will not do the trick. For the government to get its due, the instruction must somehow guarantee that the jury will consider the conceded elements proved beyond a reasonable doubt.
Here, according to my colleagues, is what the district court may charge the jury on remand in Davis‘s case:
In order to sustain its burden of proof for the crime of possession of a controlled substance with the intent to distribute the substance ... the government must prove the following three (3) essential elements beyond a reasonable doubt:
One: The defendant Horace Davis possessed ... the controlled substance described in the indictment; and
Two: The defendant knew that this substance was crack cocaine; and
Three: The defendant intended to distribute the controlled substance.
By Davis‘s agreement, the Government need not prove either knowledge or intent. Your job is thus limited to the possession element of the crime. Therefore, in order to meet its burden of proof, the Government must prove beyond a reasonable
doubt only one element of the crime, that Horace Davis was in possession of the cocaine base charged in the indictment.
2 EDWARD J. DEVITT ET AL., FEDERAL JURY PRACTICE AND INSTRUCTIONS § 54.07 (4th ed.1990); maj. op. at 1411.
This instruction—like the rule underlying it—flies in the face of Mathews v. United States, 485 U.S. at 65, 108 S.Ct. at 887-88, and Estelle v. McGuire, 502 U.S. at 69, 112 S.Ct. at 480-81: the government has the burden to prove every element of the offense charged, and the defendant‘s tactical decision to “agree” that the “government need not prove” an element does not relieve the government of its burden.
That is only the first of several problems with this instruction. Here is another. In “agreeing” that he must be convicted if the government proves possession beyond a reasonable doubt, a defendant enters a partial plea of guilty, see United States v. Reedy, 990 F.2d 167, 169 n. 7 (4th Cir. 1993), cert. denied, --- U.S. ---, 114 S.Ct. 210, 126 L.Ed.2d 166 (1993), and effectively waives his right to a jury trial on the stipulated issue, cf. Dockery, 955 F.2d at 55. It is not at all clear that a defendant can enter a partial plea of guilty. Compare United States v. Breitkreutz, 8 F.3d 688, 692 (9th Cir. 1993), with United States v. Espinoza, 641 F.2d 153, 161 (4th Cir. 1981). But it is clear that a defendant cannot waive his right to a jury trial unless the government agrees, which it did not in these cases. See Singer v. United States, 380 U.S. at 36, 85 S.Ct. at 790-91. To dispense with a jury trial, the defendant must obtain “the consent of the government,”
Consider how this “tribunal“—the jury—will understand the majority‘s instruction. Any rational juror hearing this instruction would think: “Well, Davis ‘agrees’ that he knew that he possessed crack and that he
Perhaps in a single defendant case, the judge could straighten things out a bit with some further instructions, although it is hard to imagine what these might be.9 But what if there are other defendants, as is common particularly in drug cases? In the typical multi-defendant drug case in which only some of the defendants seek to avoid
To round things off, the majority‘s instruction happens to be in direct conflict with a charge district judges have given juries for decades. The majority would have district judges tell jurors that while the offense of possession with intent to distribute has three elements, the government “need not prove” two of them. (This “need not” language, by the way, sounds like the government had a choice and decided to pass, which conveys a misleading, confusing and potentially prejudicial impression of the government‘s case.)
My colleagues have painted themselves into a corner. Despite their best efforts, they cannot come up with a jury instruction for Davis‘s case—let alone one that can be used in other cases—that gives the government its due without either ignoring the nature of the stipulation offers, disregarding the Constitution and the
Suppose in possession-with-intent-to-distribute cases district courts told jurors that “the defendant has conceded the elements of knowledge and intent.” As I have already suggested, this could not work because it would never be true. The elements of intent and knowledge require proof that “the defen-
Nor will it do for district judges to tell jurors that because the defendant does not “challenge” or “contest” the elements of intent and knowledge, they must convict if the government proves possession beyond a reasonable doubt. This version is closer to being right on the facts of these cases, but it does not avoid the problems just discussed, and it is in any event wrong on the law. As I have said several times now, a criminal defendant enjoys a presumption of innocence, e.g., Estelle v. Williams, 425 U.S. 501, 503, 96 S.Ct. 1691, 1692-93, 48 L.Ed.2d 126 (1976), and therefore need not “challenge” anything to win an acquittal. The government bears the burden of proving every element of an offense. In re Winship, 397 U.S. 358, 365, 90 S.Ct. 1068, 1073, 25 L.Ed.2d 368 (1970). If the jury finds the government‘s proof inadequate, it must reach a verdict of not guilty—even if the defendant has put on no defense.
III
As application of the majority‘s rule to these two cases illustrates, today‘s decision raises a long list of difficult questions that will plague courts and counsel for years to come. My colleagues disavow any responsibility for answering most of them, but they cannot be ignored. Maj. op. at 1415-1416. The true test of any new rule is in its application.
And so one must ask what, exactly, is an “unequivocal” offer to stipulate? At what point—before trial, see
*
*
*
These are just a few of the obvious questions raised by today‘s ruling. Many others will continue to bubble up the deeper we sink into this Serbonian Bog. Opportunities for gamesmanship will abound, as prosecutors invent additional reasons for introducing other-offense evidence and defense attorneys formulate the most innocuous-sounding, conditional stipulations they can dream up. Trial judges will be confounded and juries will be confused. Nothing in the
Carolyn WEAVER, Appellant, v. UNITED STATES INFORMATION AGENCY, Joseph Duffey, Director, USIA, The Voice of America, Richard Carlson, Director, VOA, United States Department of State, Warren Christopher, Secretary of State, Appellees.
No. 94-5406.
United States Court of Appeals, District of Columbia Circuit.
Argued Oct. 31, 1995. Decided July 9, 1996.
