UNITED STATES of America, Plaintiff-Appellee, v. Shawn Arnette BREEDEN, Defendant-Appellant. United States of America, Plaintiff-Appellee, v. Kevin Thomas Cassell, Defendant-Appellant. United States of America, Plaintiff-Appellee, v. Michael Anthony Carpenter, Defendant-Appellant.
Nos. 03-22, 03-23, 03-24
United States Court of Appeals, Fourth Circuit
April 30, 2004
366 F.3d 369
Thus, Hondo has not just offered evidence that the state court failed to record a determination of the knowingness or intelligence of his waiver. Cf. Gallop, 838 F.2d at 110. Rather, Hondo has also offеred evidence that the state trial judge never even “undertook to focus on whether [Hondo] understood his right to counsel and intelligently and knowingly relinquished it.” Edwards, 451 U.S. at 484,
The conflicts in Hondo‘s testimony before the district court, on which that court and the majority rely, undoubtedly cast doubt on the credibility of Hondo‘s claims of complete ignorance regarding the appointment of counsel to represent him and the date of his impending trial. However, they do not in any way undermine the undisputed facts in the record as to his youth, paltry educational background, and total inexperience with the criminal justice system at the time of his state arrest. These undisputed facts, paired with a record that contains no contrary evidence bearing on the intelligence or knowingness of Hondo‘s waiver, require the conclusion thаt Hondo did not choose to proceed without counsel “with eyes open.”
Because Hondo‘s waiver of his right to counsel was not knowing and intelligent, his uncounseled, in absentia conviction cannot withstand constitutional scrutiny. See, e.g., United States v. Tucker, 404 U.S. 443, 449,
For these reasons, I would vacate the sentence, and remand the case for resentencing with instructions not to assign criminal history points for the uncounseled conviction.
Decided April 30, 2004.
Before WILKINS, Chief Judge, and WIDENER and SHEDD, Circuit Judges.
WILLIAM W. WILKINS, Chief Judge:
The Federal Death Penalty Act of 1994 requires the Government to file a notice of intent to seek the death penalty “a reasonable time before the trial or before acceptance by the court of a plea of guilty.”
I.
Appellants are charged with six offenses in connection with the robbery and murder of Kevin Lee “Calvin” Hester, which occurred during a string of violеnt robberies allegedly committed by Appellants on August 8 and 9, 2002. The charges against Appellants include three offenses that are punishable by death.
Appellants were indicted in February 2003, and an initial trial date was set for March 18. Shortly thereafter, the trial was rescheduled for July 14, 2003. On June 3—41 days before the scheduled trial date—Breeden moved to prohibit the Government from seeking the death penalty (“motiоn to prohibit“), asserting that the Government had failed to provide notice of its intention to seek the death penalty a reasonable time before trial. Cassell and Carpenter subsequently joined this motion. The district court conducted a hearing on
On June 20, 2003, the Government moved for a continuance on the basis that it could not be prepared for a July 14 trial. In support of this motion, the Government nоted that numerous pieces of evidence were still being analyzed, that no witnesses had been subpoenaed, and that additional investigation was being conducted concerning two robberies that occurred before the murder. On June 24, the district court conducted a telephone conference regarding the motion for continuance and the recent decision of this court in United States v. Ferebe, 332 F.3d 722 (4th Cir. 2003).1 At that heаring the district court informed the Government that it had until July 8 to file a notice of intent to seek the death penalty. On July 3, the court held another telephonic hearing at which it considered the Government‘s request for an extra week to file its notice. The court granted this request. On July 7, the district court entered a written order granting the Government‘s motion to continue and scheduling the trial for February 9, 2004.2
The Government filed its nоtice of intent to seek the death penalty on July 15. On August 26, the district court entered an order denying the motion to prohibit.
II.
We begin with the question of our jurisdiction, as we must, see Steel Co. v. Citizens for a Better Env‘t, 523 U.S. 83, 94,
The Supreme Court has long given the “finality” requirement of
The collateral order doctrine provides that to be subject to immediate appeal, a ruling of the district court “must conclusively determine the disputed question, resolve an important issuе completely
In Ferebe, this court held that an order denying a motion to strike a deаth notice for failure to file a reasonable time before trial is immediately appealable under Cohen. See Ferebe, 332 F.3d at 726. This holding was based largely on the conclusion that
Here, unlike in Ferebe, Appellants moved not to strike a death notice that had been filed, but rather to preclude the Government from filing a death notice at all. Had the district court denied this motion at any time prior to the filing of the death notice, we would have lacked jurisdiction over an interlocutory appeal of that decision. An order denying a motion to prohibit is necessarily speculative, because it leaves open the question of whether a death notice will be filed a reasonable time before trial. In other words, after the denial of a motion to prohibit the possibility remains that the district court will de-2 termine that a subsequently filed death notice was untimely. Such an order “leave[s] the matter open, unfinished or inconclusive” and therefore fails the first prong of the collateral order doctrine. Abney v. United States, 431 U.S. 651, 658,
However, the district court waited to rule on the motion to prohibit until after the death notice had been filed, and at that point treated the mоtion to prohibit as though it were actually a motion to strike. The district court acted properly in doing so. Waiting to rule until the death notice had been filed avoided the possibility, described above, of additional litigation being engendered by a denial of the motion to prohibit followed by the filing of a death notice and a motion to strike. Additionally, delaying a ruling allowed for the possibility that the Government would elect not to seek the death penalty.
The consequence of the delay by the district court was that the motion to prohibit was effectively transmuted into a motion to strike. The denial of this motion by the district court is appealable under Ferebe. Accordingly, we possess jurisdiction.
III.
Analysis of whether the right to reasonable notice has been violated requires an inquiry into the objective reasonableness of the timing of the notice. See Ferebe, 332 F.3d at 731. Objective reasonableness is a question of law, and as such is subject to de novo review. See, e.g., United States v. Carpenter, 341 F.3d 666,
In Ferebe, the court set forth a non-exhaustive list of factors to consider in determining whether a death notice is filed an objectively reasonable time before trial:
To judge an accused‘s challenge to the reasonable timeliness of a Death Notice requires evaluation of, among other factors that may appear relevant, (1) the nature of the charges presented in the indictment; (2) the nature of the aggravating factors provided in the Deаth Notice; (3) the period of time remaining before trial, measured at the instant the Death Notice was filed and irrespective of the filing‘s effects; and (4) the status of discovery in the proceedings.
Id. at 737 (footnote omitted). The district court premised its application of these factors on its determination that the relevant dates for the analysis were July 15, 2003 (the date the death notice was filed) and February 9, 2004 (the then-scheduled trial date). With respect to the nature of the charges, the court concluded that the factual and legal issues surrounding the prosecution were not so complex as to render seven months notice objectively unreasonable. The court reached the same conclusion regarding the aggravating factors, concluding that they were “typical.” J.A. 206. Regarding the third factor—the time between the filing of the death notice and the trial—the court ruled that seven months was an adequate amount of time to prepare for a capital trial. Similarly, regarding the status of discovery, the court determined that seven months was an adequate amount of time to complete analysis of the evidence.
Appellants’ challenge to the ruling of the district court сoncerns only the third prong of the analysis. Appellants contend that the district court erred in basing its analysis on the July 15 filing of the death notice and the February 9 trial date, maintaining that the district court should have looked at the 41-day period between their filing of the motion to prohibit—June 3—and the trial date as of the filing of that motion—July 14. We conclude that the district court based its analysis on the correct dates.
A.
As we have already noted, the district court correctly delayed ruling on the motion to prohibit until after the death notice had been filed; at this point, as earlier stated, the motion to prohibit was effectively transmuted into a motion to strike. Ferebe is quite explicit that the time frame for determining the objective reasonableness of a death notice begins on the date the death notice is filed. Sеe Ferebe, 332 F.3d at 737 & n. 6. Therefore, the starting date employed by the district court was correct.
B.
On the date the Government filed the death notice, the trial was scheduled for February 9, 2004, and this was the ending date used by the district court in determining whether the death notice was filed a reasonable time before trial. Appellants contend that the district court erred in using this date because the granting of the Government‘s motion for continuance was an abuse of discretion. See United States v. Stewart, 256 F.3d 231, 245 (4th Cir.2001) (stating standard for reviewing ruling on motion for continuance). The Government argues, however, that because we do not have an independent basis for jurisdiction over the order granting the
We agree with the Government that an order granting or denying a continuanсe is not a “final order” for purposes of the collateral order doctrine because it can be effectively reviewed post-judgment. Compare Coopers & Lybrand, 437 U.S. at 468,
Under the circumstances existing at the time the death notice was filed—namely, a scheduled trial date of February 9, 2004—the district court did not err in denying the motion to strike. Indeed, Appellants concede as much.
IV.
For the reasons set forth above, we affirm the order of the district court.
AFFIRMED
WIDENER, Circuit Judge, concurring and dissenting:
I concur in the result and in all of the majority opinion except Part III. B.
Part III. B decides that the grant of a continuance should be considered separately, is not a final order, and so is not subject to review in this appeal.
I agree that the grant or denial of a continuance is ordinarily not an order subject to interlocutory review, but in U.S. v. Ferebe, 332 F.3d 722 (4th Cir.2003), we decided that the government‘s giving of notice in a federal death penalty case is subject to interlocutory review to ascertain whether the death penalty notice under
In the case at hand, the contention оf the defendants is that the death penalty notice given 31 days before trial is objectively unreasonable. Br. p.i. To reach that conclusion, the defendants argue that the continuance granted by the court from July until February, a period of some seven months, enabled the government to give the death notice an objectively reasonable time before trial when the government had forfeitеd any right to give the death notice by not so doing in order that the trial could proceed on July 14, 2003 as previously scheduled. Because the granting of the continuance is necessarily relevant to the time the death notice was given, I think that question is reviewable under Ferebe. And, in my opinion, the contention of the defendants is without merit.
As noted, the case was first set for trial on March 18, 2003. Then, on the March 6, 2003 motion of Cassеll, a new trial date was set, on March 12, 2003, for July 14, 2003, some four months later. All of the defendants joined in this request, and the government did not object to the continuance from March 18, 2003 until July 14, 2003.
On June 4, 2003, Breeden, and on June 6, Cassell, moved to bar the government from seeking the death penalty, which motion was joined by Carpenter on June 13,
The defendants and the government then informed the court that they could not be prepared for a death penalty case before February 9, 2004. A.141.
The district court based its decision on stated facts that there were a numbеr of items of evidence still being analyzed at the forensic laboratory in Richmond; that a bullet taken from the body of the victim was being analyzed at the same laboratory to ascertain if the gun had been used in other crimes; that the government was in the process of gathering evidence of two robberies that had occurred immediately before the murder; and that the government expected to complete its investigation and turn over relevant discovery to the defendants in the next few weeks. The district court then concluded that a failure to grant such a continuance would deny counsel for the defendants and the attorney for the government the reasonable time necessary to effectively prepare for trial, taking into account the exercise of due diligence.
The findings of the district court are contested by way of argument, but the record does not show factual inaccuracies of any consequence in the evidence considered by the district court when it made its decision to continue the trial until February. For example, the statement by the defendants’ attorneys to the district court, noted in that court‘s order of July 7th, that they could not be prepared for а death penalty trial before February 9th, would alone support the conclusion of the district court that a failure to grant the continuance until February would deny the defendants’ attorneys the reasonable time to effectively prepare for trial.*
I am thus of opinion that the defendants have not shown that the district court abused its discretion in granting the continuance and would so hold.
UNITED STATES of Americа, Plaintiff-Appellee, v. Corey MITCHELL, Also Known as Cory Mitchell, Defendant-Appellant.
No. 03-10644
United States Court of Appeals, Fifth Circuit
April 9, 2004
