UNITED STATES of America, Plaintiff,
v.
Eugene SLAY, et al., Defendants.
United States District Court, E.D. Missouri, E.D.
*337 *338 David Rosen, Asst. U.S. Atty., St. Louis, for plaintiff.
Edward R. Joyce, St. Louis, Mo., and Bobby Lee Cook, L. Branch S. Connelly, Summerville, Ga., for defendant Slay.
Jim J. Shoemake, Kurt Odenwald, St. Louis, Mo., and Thomas M. Utterback, Washington, Mo., for defendant Tyus.
Barry Short, St. Louis, Mo., for defendant Cullen.
Burton Shostak, St. Louis, Mo., for defendant Zych.
MEMORANDUM
NANGLE, Chief Judge.
By way of indictment (the "Archway" indictment), the Grand Jury charged defendants Eugene Slay, Leroy Tyus, and James Cullen, together with Tom Zych, with violation of the mail and wire fraud statutes, 18 U.S.C. §§ 1341 & 1343.[1] The indictment charged that, "by means of false and fraudulent pretenses, representations and the deceitful concealment of material facts," defendants Slay, Tyus, and Cullen, together with Zych, Paul Skulsky, and Sorkis Webbe, Sr.,
intended to devise a scheme and artifice to defraud:
The City of St. Louis and its citizens of their right to the conscientious, loyal, faithful, disinterested and unbiased services and actions in the performance of official duties of certain members of the Board of Aldermen of the City of St. Louis and their right to have those duties performed free from corruption, extortion, bribery, partiality, willful omission, *339 dishonesty, official misconduct, conflict of interest and fraud; and
The City of St. Louis, its officials and employees, including the Mayor, the City Counselor, the Board of Aldermen and the Comptroller, of their right to be aware of all material and relevant facts when analyzing and entering into contracts with entities seeking the award of a cable television franchise for the City of St. Louis, in particular Archway Cablevision; * * *
(Archway Indictment, No. 86-67CR(1), ¶ 11). The indictment further charged that, "by means of false and fraudulent pretenses, representations and the deceitful concealment of material facts," defendants "intended to devise a scheme and artifice to defraud * * * and to obtain money and property, specifically a cable television franchise from the City of St. Louis; ..." (Archway Indictment, ¶ 11). Thus, the indictment charged in the "conjunctive" that defendants intended to devise both an intangible rights scheme and a tangible property scheme.
After an eight-week jury trial, the Court instructed the jury that both mail and wire fraud consisted of two elements and that the first element of each could be established if the government proved either that "defendants wilfully, knowingly and intentionally intended to devise a scheme or artifice to defraud the City of St. Louis, its citizens, its officials and its employees, ..." or that "defendants wilfully and knowingly intended to devise a scheme to obtain property from the City of St. Louis by means of false or fraudulent pretenses, representations or promises or the deceitful concealment of material facts, ..." (Instructions Nos. 37 and 39). Thus, the instructions were in the "disjunctive." The instructions permitted the jury to find the first element of mail and wire fraud if it found either an intangible rights scheme or a tangible property scheme.
By Instructions Nos. 40 and 40-A, the Court instructed the jury of the circumstances in which it could find that defendants intended to devise a scheme to defraud St. Louis, its citizens, its officials and its employees. By Instruction No. 40-B, the Court instructed the jury of the circumstances in which it could find that defendants intended to devise a scheme to obtain money or other property by means of false representations and deceitful concealment.
By Instructions Nos. 37, 39, 40, and 40-A, the Court submitted the so-called "intangible rights"/"good government" theory to the jury. On June 2, 1987, the jury returned a verdict finding defendants Slay, Tyus, and Cullen guilty of mail and wire fraud in violation of 18 U.S.C. §§ 1341 & 1343, as charged in the Archway indictment. The jury acquitted defendants Slay, Tyus, and Cullen on all charges in the related TCI/Melhar indictment. The jury acquitted Tom Zych on all charges in both the Archway indictment and the TCI/Melhar indictment.
On June 10, 1987, defendant Tyus obtained an extension of time in which to file, and on June 16, 1987, pursuant to Fed.R. Crim.P. 29(c) and 33, defendant Tyus filed a motion for judgment of acquittal after discharge of jury or in the alternative a motion for new trial. Subsequently, on June 24, 1987, the United States Supreme Court decided McNally v. United States, ___ U.S. ___,
I. Jurisdiction.
The United States contends that, notwithstanding the conceded relevance of McNally to the jury's guilty verdicts and to the Archway indictment, this Court lacks jurisdiction to consider defendants' challenge to the jury's guilty verdicts and to the indictment on the basis of McNally at this time. The United States contends that defendants must use the appellate process to challenge the jury's guilty verdicts. Specifically, the United States contends that defendant Tyus' motion pursuant to Rules 29(c) and 33 was not timely filed, that defendants Slay and Cullen did not file any motions pursuant to Rules 29(c) and 33, that a motion pursuant to 28 U.S.C. § 2255 does not lie because defendants are not in custody, and that a motion in the nature of a writ of error coram nobis does not lie because defendants can proceed by way of appeal. The United States does not specifically contend that motions pursuant to Fed.R.Crim.P. 12(b) are unavailable.
a. Defendant Tyus' motion pursuant to Rules 29(c) and 33 was timely filed. Rules 29(c) and 33 both provide that motions pursuant to these rules must be made within seven days after the jury verdict or within such further time as the court may fix during the seven-day period. Fed.R.Crim. P. 29(c) and 33. As Rules 29(c) and 33 allow less than 11 days to file motions, intermediate Saturdays, Sundays, and holidays are excluded from the computation of time. Fed.R.Crim.P. 45(a). As June 6 and 7, 1987, were a Saturday and a Sunday, the last day to file a Rule 29(c) or 33 motion, or to obtain further time to so file, was June 11, 1987. As defendant Tyus timely obtained further time to file a Rules 29(c) and 33 motion on June 10, 1987, and as his Rules 29(c) and 33 motion was filed within the further time so obtained, defendant Tyus' Rules 29(c) and 33 motion was timely filed. Therefore, the Court has jurisdiction to consider defendant Tyus' Rules 29(c) and 33 motion.
b. Defendants Slay and Cullen contend that they should obtain the benefit of defendant Tyus' timely filed motion pursuant to Rules 29(c) and 33. The Court agrees. During the pre-trial proceedings, the in-chambers conferences, the side-bar conferences, and the trial of this case, often as many as ten attorneys for the parties were present.[2] Therefore, throughout the proceedings in this case, the Court repeatedly advised the attorneys for the defendants that an objection or motion made on behalf of one defendant would be deemed to be made on behalf of the other defendants, unless the other defendants specifically declined to join in the objection or motion. Defendant Tyus timely filed a motion pursuant to Fed.R.Crim.P. 29(c) and 33. Defendants Slay and Cullen did not specifically decline to join in the motion. Accordingly, pursuant to the Court's repeated indication to the attorneys that the objection or motion made on behalf of one defendant would be deemed to be made on behalf of the other defendants, the Court deems defendant Tyus' timely filed motion pursuant to Rules 29(c) and 33 to have been timely made on behalf of defendants Tyus, Slay, and Cullen. Therefore, the Court has jurisdiction to consider defendants Slay and Cullen's Rules 29(c) and 33 motions.
c. The United States contends that defendants are not "in custody" and therefore cannot proceed pursuant to 28 U.S.C. § 2255. Defendants counter that they can proceed pursuant to 28 U.S.C. § 2255 because they are "in custody" for the purposes of that section in that they are free on bonds, have an obligation to appear in court when haled, have restrictions on their freedom of movement and travel, and could be confined if the Court revokes their bonds. Defendants cite Justices of Boston Municipal Court v. Lydon,
In Hensley v. Municipal Court,
Upon review of these cases, the Court concludes that they do not support defendants' position that defendants can proceed pursuant to 28 U.S.C. § 2255. In Hensley and McCray, the petitioners were free pending the execution of their sentences. If habeas relief were denied, the petitioners would be imprisoned in possible violation of their constitutional rights. Similarly, in Lydon, the petitioner was free pending retrial and resentencing if reconvicted. If habeas relief were denied, the petitioner would be retried and resentenced in possible violation of double jeopardy. In these circumstances, the courts found that the petitioners were "in custody" for purposes of 28 U.S.C. § 2254. In contrast, defendants Slay, Tyus, and Cullen have not been sentenced. They are not presently free pending execution of sentences. In fact, defendants have not even appealed their convictions yet. If the Court denies § 2255 relief, defendants may still appeal their convictions. The Court notes that defendants are in the same position as all federal defendants who are free on bond awaiting sentencing on their convictions. Lydon, Hensley, and McCray do not stand for the proposition that all such federal defendants may utilize § 2255 to prevent their sentencing.
Moreover, the Court does not believe that 28 U.S.C. § 2255, by its own terms, even applies to defendants who have not yet been sentenced. Section 2255 provides in pertinent part:
A prisoner in custody under sentence of a court established by Act of Congress claiming the right to be released upon the ground that the sentence was imposed in violation of the Constitution or laws of the United States, or that the court was without jurisdiction to impose *342 such sentence, or that the sentence was in excess of the maximum authorized by law, or is otherwise subject to collateral attack, may move the court which imposed the sentence to vacate, set aside or correct the sentence.
28 U.S.C. § 2255 (emphasis added). By its terms, § 2255 permits persons under sentence of a federal court to move to vacate, set aside or correct the sentence. As defendants Slay, Tyus, and Cullen have not been sentenced, they are not within the group of persons authorized to file § 2255 motions. Further, they have no sentences to vacate, set aside or correct.
For the foregoing reasons, the Court concludes that defendants cannot proceed pursuant to 28 U.S.C. § 2255.
d. Defendants Slay, Tyus, and Cullen have also filed their challenge to their convictions and to the indictment pursuant to Fed.R.Crim.P. 12(b). Rule 12(b)(2) provides:
(b) Pretrial Motions. Any defense, objection, or request which is capable of determination without the trial of the general issue may be raised before trial by motion. Motions may be written or oral at the discretion of the judge. The following must be raised prior to trial:
* * * * * *
(2) Defenses and objections based on defects in the indictment or information (other than that it fails to show jurisdiction in the court or to charge an offense which objections shall be noticed by the court at any time during the pendency of the proceedings); * * *
Fed.R.Crim.P. 12(b)(2).
Professor Wright describes the effect of Rule 12(b)(2) as follows:
Any defense, objection, or request that is capable of determination without the trial of the general issue may be raised before trial by motion. * * *
[With respect to the defenses of] lack of jurisdiction in the court or the failure of the indictment or information to charge an offense, ... [t]hese defects "shall be noticed by the court at any time during the pendency of the proceedings." Though there is an occasional statement that these defects must be asserted within the time allowed by the court for motions or before jeopardy attaches, the plain language of the rule and the overwhelming weight of authority is to the contrary. Although lack of jurisdiction or failure of the indictment or information to state an offense are defenses that may be raised by an ordinary pretrial motion to dismiss, the motion need not be made within a reasonable time after arraignment and it need not be combined with other earlier pretrial motions. The objection is timely though first raised in a motion for new trial, a motion for arrest of judgment, on appeal, or by collateral attack.
There is an inconsistency in this respect between Rule 34, on arrest of judgment, and Rule 12(b)(2). The same objections here discussed, lack of jurisdiction and failure of the indictment or information to charge an offense, are the stated grounds on which Rule 34 permits a motion for arrest of judgment. Yet that rule permits such a motion to be made only within seven days after verdict, or such extended time as the court may fix within the seven day period, while Rule 12(b)(2) makes it mandatory that the court notice precisely the same defect at any time during the pendency of the proceeding. The Supreme Court has observed this inconsistency but did not have to resolve it. The lower courts have considered that Rule 12, rather than the restricted time limit of Rule 34, is controlling.
1 C. Wright, Federal Practice and Procedure § 193 at 692-695 (1982) (footnotes omitted) (emphasis added).[3]See United *343 States v. Clark,
Rule 12(b)(2) provides that the defense that the indictment fails to charge an offense may be raised at any time during the pendency of the proceedings. Therefore, the Court concludes that it has jurisdiction to consider defendants Slay, Tyus, and Cullen's motions pursuant to Fed.R.Crim.P. 12(b)(2) to the extent the motions contend that the jury's guilty verdicts must be set aside and that the indictment must be dismissed because the indictment fails to charge an offense. United States v. Clark,
With respect to Rule 12(b)(2) defenses and objections based on defects in the indictment other than that the indictment fails to show jurisdiction in the Court or fails to charge an offense, these defenses and objections must be raised prior to trial. Fed.R.Crim.P. 12(b)(2). The failure to raise such defenses or objections constitutes waiver thereof. Fed.R.Crim.P. 12(f). However, the Court for cause shown may grant relief from the waiver. Id. See United States v. Goodwin,
In the instant case, defendants timely filed pretrial motions to dismiss the indictment. At that time, the United States' "intangible rights"/"good government" theory was well-established in this circuit, as well as in other circuits. See cases cited at McNally v. United States, ___ U.S. ___, ___ n. 1,
The McNally decision was a total surprise because it overruled well-established precedent in this circuit and other circuits which recognized the United States' "intangible rights"/"good government" theory. Because the United States' theory was so well-recognized, defendants, prior to the McNally decision, had no reason to challenge the theory. Under these circumstances, the Court concludes that defendants have shown good cause for their failure to challenge the United States' "intangible rights"/"good government" theory prior to trial. Accordingly, the Court grants defendants relief from any waiver of defenses and objections based on defects in the Archway indictment which may have occurred by operation of Rules 12(b)(2) and 12(f). See Fed.R.Crim.P. 12(f). Therefore, the Court concludes that it has jurisdiction to consider defendants Slay, Tyus, and Cullen's renewed motions to dismiss pursuant to Fed.R.Crim.P. 12(b) to the extent the motions contend that the jury's guilty verdicts must be set aside and that the indictment *344 must be dismissed because the indictment contains a defect. See Fed.R.Crim.P. 12(b)(2).
e. Defendants Slay, Tyus, and Cullen also challenge the jury's guilty verdicts by motions in the nature of a writ of error coram nobis. The United States concedes that, in certain circumstances, a defendant may proceed in federal district court by a motion in the nature of the extraordinary common law writ of error coram nobis, see United States v. Morgan,
In United States v. Morgan,
"The writ of error coram nobis is an extraordinary remedy designed to correct errors of a fundamental nature." Willis v. United States,
In the instant case, the Court has concluded that defendants have available to them their adequate remedies of their timely filed Rules 29(c) and 33 motions and their post-trial trial Rule 12(b)(2) motions. Thus, the Court concludes that error coram nobis relief does not lie. However, to the extent Rules 12(b)(2), 29(c), and 33 are unavailable to these defendants, the Court concludes that error coram nobis relief does lie. If the Court does not grant defendants relief under the Federal Rules of Criminal Procedure, then the Court would be forced to sentence defendants, and possibly incarcerate them, even though the Court believes that the jury's guilty verdicts are infirm. In this circumstance, the Court believes that the availability of appeal is not an adequate remedy and that error coram nobis relief would lie. Therefore, to the extent the Court does not have jurisdiction under the Federal Rules of Criminal Procedure to set aside the jury's guilty verdicts and to dismiss the indictment, the Court proceeds by way of error coram nobis.
2. McNally.
In McNally v. United States, ___ U.S. ___,
Upon review, the United States Supreme Court concluded that the McNally instructions permitted the jury to convict Gray and McNally without finding that they had obtained money by means of false pretenses and the concealment of material facts. Id. at ___ _ ___,
In a surprising decision, the Supreme Court rejected the "line of decisions from the Courts of Appeals holding that the mail fraud statute proscribes schemes to defraud citizens of their intangible rights to honest and impartial government," id. at ___,
As the McNally "jury was not required to find that the Commonwealth itself was defrauded of any money or property" and was not required "to find that the Commonwealth was deprived of control of how its money was spent," the Supreme Court concluded "that the jury instruction on the substantive mail fraud count permitted a conviction for" a scheme to defraud citizens of their intangible rights, "conduct not within the reach of § 1341." Id. at ___ _ ___,
The import of McNally as it relates to the instant case is that the Supreme Court invalidated the "intangible rights"/"good government" theory of mail fraud prosecutions under 18 U.S.C. § 1341. Further, as the substantive portion of the wire fraud statute, 18 U.S.C. § 1343, is identical to the substantive portion of the mail fraud statute, 18 U.S.C. § 1341, construed in McNally, McNally also invalidates the "intangible rights"/"good government" theory of wire fraud prosecutions under 18 U.S.C. § 1343. See United States v. Gimbel,
3. The Jury Verdict.
By Instructions Nos. 37, 39, 40, and 40-A, the Court submitted the "intangible rights"/"good government" theory to the jury. These instructions permitted the jury to convict defendants of violating the mail and wire fraud statutes, 18 U.S.C. §§ 1341 & 1343, without requiring that the jury find that defendants obtained or intended to obtain money or other property by means of false pretenses and the concealment of material facts. Therefore, although perfectly correct under the law at the time given, these instructions "permitted a conviction for conduct not within the reach of § 1341" and § 1343, McNally, ___ U.S. at ___,
The United States argues that Instruction No. 40-B did require that the jury find that defendants' "`false pretenses' scheme was designed to defraud the city of [money or property] in order to convict," and thus that defendants' convictions can be upheld. (United States' Response to Defendants' Post-Trial Motions at 4). Instruction No. 40-B set forth the circumstances in which the jury could find a scheme to obtain money or other property by means of false and fraudulent pretenses. However, Instructions Nos. 37 and 39 set forth the two elements of mail and wire fraud violations. In these instructions the first of the two elements was in the disjunctive and permitted the jury to convict defendants of mail and wire fraud violations if the jury found either that defendants intended to devise a scheme to defraud St. Louis of its intangible right to good government or that defendants intended to devise a scheme to obtain property from St. Louis by means of false and fraudulent pretenses. Thus, the *347 instructions when read as a whole did not require that the jury find a scheme to obtain property, and Instruction No. 40-B did not operate to require the jury to find such a scheme, in order to convict defendants. Instruction No. 40-B did not cure the flaw in Instructions Nos. 37 and 39.
Defendants' convictions present the situation where the jury was presented with two independent grounds upon which it could convict defendants, with one of the two grounds being a sufficient ground (Instruction No. 40-B), but with the other ground being an insufficient ground (Instructions Nos. 40 and 40-A). The jury rendered a general verdict, not specifying upon which of the two possible grounds it rested. In this circumstance, the jury's verdict may have rested exclusively on the insufficient ground and therefore must be set aside unless the Court is certain "as to the actual ground on which the jury's decision rested." Zant v. Stephens,
In Tanner v. United States, ___ U.S. ___,
In Rose v. Clark, ___ U.S. ___,
The error in the instructions in this case in permitting the jury to convict defendants for conduct not criminalized by and not within the reach of the mail and wire fraud statutes, see McNally v. United States, ___ U.S. ___,
The United States argues that the acquittal of Tom Zych, the President of the Board of Aldermen, on all charges in both the TCI/Melhar indictment and the Archway indictment demonstrates that the jury rejected the "good government"/"intangible rights" theory and convicted defendants for intending to devise a scheme to obtain money or other property from St. Louis by means of false representations as set forth in Instruction No. 40-Bconduct criminalized by and within the reach of the mail and wire fraud statutes.
Upon review of the evidence presented in this case, the Court concludes that the acquittal of Tom Zych does not establish beyond a reasonable doubt that the jury convicted defendants for conduct within the reach of the mail and wire fraud statutes, 18 U.S.C. §§ 1341 and 1343. The Court is far from certain that the jury rested its actual decision on a finding that defendants intended to devise a scheme to obtain money or other property from St. Louis by means of false representations. First, the jury could have rationally concluded that the evidence was sufficient to find Slay, Tyus, and Cullen guilty beyond a reasonable doubt of intending to devise a scheme to defraud St. Louis of its intangible right to good government, but that the same evidence was insufficient to find Zych guilty thereof beyond a reasonable doubt. Second, in the trial of this case the United States argued and presented evidence that other Aldermen, including Robert Ruggeri and Lerel Stewart, were also involved in the alleged scheme to defraud St. Louis of its intangible right to good government. The jury could have rationally concluded that other Aldermen, but not Zych, were involved in defendants' scheme. Third, the jury could have rationally concluded that defendants Slay, Tyus, and Cullen entered into such a scheme, but that they did not succeed in getting any Aldermen to join their scheme. Thus, the jury could have rationally convicted defendants Slay, Tyus, and Cullen on the "good government"/"intangible rights" theory, notwithstanding their belief that Zych was not involved in defendants' scheme to defraud St. Louis of its intangible right to good government.
A rational juror could come to any of the above conclusions because a rational juror could have chosen to accept the tape recorded co-conspirator hearsay statements of Webbe, Sr., and Webbe, Jr., (evidencing a scheme to defraud St. Louis of its intangible right to good government) as probative evidence against defendants Slay, Tyus, and Cullen, while simultaneously finding that this evidence was not probative against Zych. Such a distinction would have been rational due to Zych's absence from many of the meetings at which the more incriminating tape recorded statements were made. Likewise, a rational juror could have concluded that Zych's tape recorded statements did not show Zych's knowing and intentional involvement in the alleged scheme to defraud St. Louis of its intangible right to good government, but that Slay, Tyus, and Cullen's tape recorded statements did show their knowing and intentional involvement in the alleged scheme.
In sum, the "good government"/"intangible rights" theory was supportable with or without Zych's participation. Thus, the acquittal of Zych provides no indication that the jury chose the defrauding of property theory and rejected the "good government"/"intangible rights" theory. The United States has not otherwise convinced the Court that the jury chose the permissible theory or that defendants Slay, Tyus, and Cullen are guilty beyond a reasonable doubt of intending to devise a scheme to obtain money or property from St. Louis by false representations. Therefore, the jury's "verdict is supportable on one ground, but not on another, and it is impossible to tell which ground the jury selected." *349 Yates v. United States,
4. Dismissal of the Archway Indictment.
Defendants, citing Ex parte Bain,
The United States, citing United States v. Miller,
In Ex parte Bain,
In United States v. Miller,
The Supreme Court reversed. United States v. Miller,
Bain can support the proposition that the striking out of parts of an indictment invalidates the whole of the indictment, for a court cannot speculate as to whether the grand jury had meant for any remaining offense to stand independently, even if that remaining offense clearly was included in the original text. Under this ... proposition, the narrowing of an indictment is no different from the adding of a new allegation that had never been considered by the grand jury; both are treated as "amendments" that alter the nature of the offense charged.
when defendants have sought to rely on Bain for this point, this Court has limited or distinguished the case, sustaining convictions where courts had withdrawn or ignored independent and unnecessary allegations in the indictments.... To the extent Bain stands for the proposition that it constitutes an unconstitutional amendment to drop from an indictment those allegations that are unnecessary to an offense that is clearly contained within it, that case has simply not survived. To avoid further confusion, we now explicitly reject that proposition.
In United States v. Miller, the government's failure to prove that Miller had defrauded his insurer by consenting to the burglary in advance "was in no way essential to the offense on which the jury convicted,"
In United States v. Miller,
Therefore, "[w]hile the Grand Jury Clause does guarantee that a criminal defendant is not convicted for an offense not charged in the indictment, it is not an unconstitutional amendment `to drop from an indictment those allegations that are unnecessary to an offense that is clearly contained within it'." United States v. Nabors,
In evaluating the indictment to determine if it still charges an offense, the Court will strike paragraphs 6, 7, 8, 9, 10, the first two-thirds of the introductory portion of paragraph 11, and subparagraphs 11(f), 11(g), and 11(o). See supra footnote 6. Further, the Court will read all references to Tom Zych in the indictment in light of the fact that the jury acquitted Tom Zych on all chargesthus rejecting both the tangible property theory and the "intangible rights"/"good government" theory as they related to Zych. This affects paragraphs 6, the introduction to paragraph 11, and subparagraphs 11(f), 11(h), 11(i), 11(j), 11(l), 11(m), 11(n), and 11(o).
Upon evaluating the indictment as set forth above, the Court concludes that the indictment still charges an offense and therefore need not be dismissed. The indictment still charges that defendants Slay, Tyus, and Cullen intended to devise a scheme to obtain tangible property (the St. Louis Cable Television Franchise) from the City of St. Louis by means of false and fraudulent pretenses, representations and the deceitful concealment of material facts directed to the City of St. Louis. The indictment, after striking surplusage and reading the references to Tom Zych in light of the jury's verdict, still contains numerous specific factual allegations concerning defendants Slay, Tyus, and Cullen which indicate fraudulent representations and deceitful concealments by these defendants to the City of St. Louis intended to obtain tangible property from the City of St. Louis. Therefore, the indictment still charges a violation of the mail and wire fraud statutes, 18 U.S.C. §§ 1341 and 1343, as interpreted by McNally. Accordingly, defendants' motions to dismiss the indictment for failure to charge an offense are denied.
5. New Trial.
The jury verdicts of guilty must be set aside due to the fundamental instructional error in this case. However, the indictment still charges an offense after evaluation in light of McNally and need not be dismissed. Therefore, defendants are entitled to a new trial on the charges in the Archway indictment. Accordingly, pursuant to Federal Rule of Criminal Procedure 33 and pursuant to proceedings in the nature of motions for a writ of error coram nobis, defendants Slay, Tyus, and Cullen are hereby granted a new trial.
6. 18 U.S.C. § 3731.
The Court directs the United States' attention to a 1984 amendment to 18 U.S.C. § 3731 which permits the United States to appeal this Court's order granting a new trial. See 18 U.S.C. § 3731, as amended by P.L. 98-473, § 1206; United States v. Shaffer,
In this connection, a brief review of the history of this case will be helpful. In fact, at the beginning, there were two cases: United States v. Sorkis Webbe, Sr., Sorkis Webbe, Jr., Leroy Tyus, Tom Zych, Eugene Slay, and Tom Cullen, No. S1-84-207CR(1) (E.D.Mo.), and United States v. Tom Zych, Eugene Slay, Leroy Tyus, and James Cullen, No. 86-67CR(1) (E.D.Mo.). The circumstances leading up to the two cases are, in brief, as follows: Between July 1982 and January 1984, certain St. Louis business persons, City officials, and cable television franchisors had numerous conversations and negotiations regarding the granting by the City of St. Louis of a cable television franchise for the City of St. Louis. On October 15, 1982, the Federal Bureau of Investigation obtained a court order authorizing the installation of electronic listening devices in the Mayfair Hotel offices of businessman and political powerbroker Sorkis Webbe, Sr. By these listening devices, the FBI recorded conversations wherein Webbe, Sr., Webbe, Jr., Slay, Tyus, Cullen, and others discussed strategies for obtaining the potentially lucrative St. Louis cable television franchise for corporations in which they would have varying ownership interests. St. Louis Board of Aldermen President Tom Zych's name was mentioned at many meetings in Webbe, Sr.'s office. According to the evidence, Zych (who was the only public official deeply involved in these cable negotiations) met with Webbe, Sr., and other principals during this time.
On November 8, 1984, the grand jury indicted Webbe, Sr., Webbe, Jr., Tyus, Zych, Slay, and Cullen in No. S1-84-207CR(1), the TCI/Melhar indictment, for numerous federal crimes arising out of their attempt to obtain the St. Louis cable television franchise. Clearly, the major defendant was Webbe, Sr., and his ties with Zych (and, of course, other defendants) formed the cornerstone of the case.
On May 29, 1985, Sorkis Webbe, Sr., died. Thereafter, on December 18, 1985, his son Sorkis Webbe, Jr., pled guilty to all the charges against him in the TCI/Melhar indictment. Shortly thereafter, on March 7, 1986, a new grand jury indicted Zych, Slay, Tyus, and Cullen in No. 86-67CR(1), the Archway indictment, for mail and wire fraud violations. Foremost among the theories in the Archway indictment was the grand jury's charge that Zych, Slay, Tyus, and Cullen together with Webbe, Sr., and Paul Skulsky, devised a scheme to defraud St. Louis of its intangible right to good government. As with the TCI/Melhar indictment, Zych as President of the Board of Aldermen was a key factor in the case.
On April 14, 1987, the two cases proceeded to trial together against Zych, Slay, Tyus, and Cullen. On June 2, 1987, the jury rendered its verdict acquitting all defendants on all charges in the TCI/Melhar indictment, No. S1-84-207CR(1), acquitting Zych on all charges in the Archway indictment, No. 86-67CR(1), but finding Slay, Tyus, and Cullen guilty of mail and wire fraud violations as charged in the Archway indictment, No. 86-67CR(1).
After the trial but before the sentencing of Slay, Tyus, and Cullen could occur, the McNally decision came down and significantly limited the scope of this case.[8] The caseonce a scheme charging extortion and corrupting St. Louis City government and involving a link between Webbe, Sr., and Zychis now narrowed to a case *353 charging Slay, Tyus, and Cullen with attempting to obtain a cable television franchise from the City of St. Louis by means of false representations directed to the City of St. Louis. The case no longer contains its main target Webbe, Sr., or its allegedly dishonest public official Zych. The Court believes that, without the prior TCI/Melhar indictment, without the "intangible rights"/"good government" theory, without the presence of Webbe, Sr., Webbe, Jr., and Zych, the case is a mere shadow of what it once was.
It is in this much limited posture that the case would proceed on retrial. It requires no legal brilliance to anticipate unique evidentiary questions:
1. certain evidence offered with respect to Zych will have to be viewed in light of his acquittal herein;
2. the transactions and events underlying the TCI/Melhar indictment may or may not be admissible at the new trial, even as other crimes or similar acts evidence, because the jury herein determined that those transactions and events did not amount to crimes;
3. evidence relating to the alleged scheme to defraud St. Louis of its intangible right to good government will likely be irrelevant and inadmissible.
Although this Court cannot dismiss the indictment, it will concede that the new trial against these three defendants will be very different from the original trial. The jury verdict herein and the totally surprising McNally decision require this. Perhaps the Eighth Circuit Court of Appeals will interpret McNally and Miller differently under the unique circumstances of this case. At least, this Court urges the parties to seek that direction through appeal and cross-appeal before we proceed to a re-trial.
ORDER
Pursuant to the memorandum filed herein this day,
IT IS HEREBY ORDERED that defendants Slay, Tyus, and Cullen's motions pursuant to Fed.R.Crim.P. 12(b), 29(c), and 33, pursuant to 28 U.S.C. § 2255, and pursuant to a proceeding in the nature of a motion for a writ of error coram nobis be and are granted in part and denied in part.
IT IS FURTHER ORDERED that the jury's verdicts of guilty rendered against defendants Slay, Tyus, and Cullen be and hereby are set aside.
IT IS FURTHER ORDERED that defendants Slay, Tyus, and Cullen's motions to dismiss the indictment be and hereby are denied.
IT IS FURTHER ORDERED that defendants Slay, Tyus, and Cullen be and hereby are granted a new trial.
NOTES
Notes
[1] By way of a related indictment (the "TCI/Melhar" indictment, No. S1-84-207CR(1)), the grand jury charged defendants, along with others, with various federal crimes.
[2] Defendant Slay was represented by two attorneys, defendant Cullen was represented by one attorney, defendant Tyus was represented by one and sometimes two attorneys, defendant Zych was represented by two attorneys, and the United States was represented by three attorneys.
[3] Professor Wright also notes that courts "have allowed untimely [Rule 34] motions by virtue of the provision of Rule 12(b)(2) that `lack of jurisdiction or the failure of the indictment or information to charge an offense shall be noticed by the court at any time during the pendency of the proceeding'." 3 C. Wright, Federal Practice and Procedure § 573 at 376 (1982). Cf. Lott v. United States,
[4] "After informing the jury of the charges in the indictment, the District Court instructed that [Gray and McNally's] scheme to defraud the citizens of Kentucky and to obtain money by false pretenses and concealment could be made out by either of two sets of findings:" first, that one Hunt was a defacto state officer with the ability to award an insurance contract to Wombwell Insurance Company, that he had an ownership interest in Seton Investments, Inc., that he directed Wombwell to pay to Seton a portion of the insurance commissions earned by Wombwell on insurance contracts awarded by Kentucky to Wombwell, that he did so without disclosing his ownership interest in Seton "to persons in state government whose actions or deliberations could have been affected by the disclosure," and that Gray and/or McNally aided and abetted Hunt; or second, that Gray had some defacto control over Kentucky's insurance contracts at the time Seton received insurance commissions from the Wombwell contracts, "that Gray had an ownership interest in Seton and did not disclose that interest to persons in state government whose actions or deliberations could have been affected by that disclosure," and that McNally aided and abetted Gray. ___ U.S. at ___,
[5] In the Supreme Court, the United States argued that Gray and McNally's convictions should be affirmed even if the Court were to reject the "intangible rights"/"good government" theory. (Brief of the United States at 16-22). The United States so argued because the United States construed the relevant jury instructions (as set forth in the United States' Brief at footnote 8) as requiring that the jury "find a scheme for obtaining money by false or fraudulent pretenses in order to convict and [because] the evidence of a scheme for that purposequite apart from the fraudulent denial of intangible rightsis overwhelming." (Brief of the United States at 18-19). The United States argued that Gray received money and property by false or fraudulent pretenses because Seton received insurance commissions and Gray (and Hunt) controlled and owned Seton. The United States argued that McNally received money channeled to him through another insurance agency. (Brief of the United States at 19).
The Supreme Court accepted that Gray and Hunt were defacto state officers involved in the awarding of insurance contracts by Kentucky and that Gray and Hunt could direct Wombwell to share its insurance commissions with Seton. The court further accepted that Gray and Hunt profited through their ownership interests in Seton when Seton received insurance commissions from Wombwell. ___ U.S. at ___,
The Court expressly rejected the United States' further argument that Gray and McNally's convictions could be upheld because Gray and McNally "obtained property by means of false representations to Wombwell." Id. at ___ _ ___,
Thus, the Supreme Court concluded that the instructions permitted the jury to convict Gray and McNally without finding that they had obtained money from Kentucky by means of false pretenses directed to or the concealment of material facts from Kentucky.
[6] As the Court reads the indictment, paragraphs 6, 7, 8, 9, 10, the first two-thirds of the introductory portion of paragraph 11, and subparagraphs 11(f), 11(g), and 11(o) of Count I, all relate to the "good government"/"intangible rights" scheme. Therefore, these portions of the indictment would have to be stricken as surplusage.
[7] Ex parte Bain,
[8] The viewpoint of this Court (which, of course, is of no consequence in view of McNally) is expressed by Justice Stevens in his dissent:
Perhaps the most distressing aspect of the Court's action today is its casualalmost summary rejection of the accumulated wisdom of the many distinguished federal judges who have thoughtfully considered and correctly answered the question this case presents.
McNally v. United States, ___ U.S. ___, ___,
