United States v. Clark, Terry , 215 F.3d 776 ( 2000 )


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  • In the
    United States Court of Appeals
    For the Seventh Circuit
    Nos. 97-3132, 97-3159, 97-3163, 97-3480,
    97-3666, 97-3683, 97-3697, 98-1066,
    98-1265, 98-1310, 98-1981,
    98-1991, 98-2362, 98-3115 & 98-3625
    United States of America,
    Plaintiff-Appellee,
    v.
    Andrew ("Bay-Bay") Patterson, Robert Patterson,
    Henry Patterson, Andrew L. ("Maine") Patterson,
    Tyrone Williams, Andre Williams, Durwin Baker,
    Terry Clark, Willie Connor, Maurice Foster,
    Gregory Hubbard, Jerry Patterson, Lennell
    Patterson, Odell Sumrell, and Edgar Williams,
    Defendants-Appellants.
    Appeals from the United States District Court
    for the Northern District of Illinois, Eastern
    Division.
    No. 95 CR 242--Robert W. Gettleman, Judge.
    Argued February 15, 2000--Decided June 1, 2000
    Before Posner, Chief Judge, and Easterbrook
    and Diane P. Wood, Circuit Judges.
    Easterbrook, Circuit Judge. Fifteen
    defendants appeal their convictions for
    drug-related offenses. Four of their
    confederates pleaded guilty and testified
    for the prosecution at the 20-week trial.
    More evidence came from tape recordings
    of incriminating conversations. The jury
    was entitled to conclude that all 15
    appellants were affiliated with the
    Traveling Vice Lords street gang. Andrew
    "Bay-Bay" Patterson, one of the gang’s
    "five-star universal elites," was
    defendants’ leader. We use the street
    name "Bay-Bay" because eight Pattersons
    were among the defendants, and Bay-Bay’s
    nephew "Maine" Patterson shares the given
    name "Andrew." Bay-Bay supplied the
    drugs, while his brothers Robert and
    Henry supervised their distribution. The
    operation lasted at least a decade and
    during its best years grossed more than
    $40,000 a day in retail sales. Sentences
    are correspondingly high: the shortest
    term for any appellant is 210 months’
    imprisonment, and three of the
    appellants, including Bay-Bay and Robert,
    were sentenced to life imprisonment.
    Because the arguments presented on appeal
    are self-contained, we omit further
    details.
    I
    The district court used a struck-jury
    system to select the jurors. Members of
    the venire were screened, and some were
    excused for cause, until the court had a
    pool large enough to seat a jury and
    alternates, taking account of peremptory
    challenges. In a criminal case the
    defense is entitled to 10 challenges and
    the prosecution 6, Fed. R. Crim. P.
    24(b), plus up to 3 more to be exercised
    against alternates, Rule 24(c)(2), and in
    a multi-defendant case the district court
    may award extra challenges. It did so
    here, granting the defendants
    (collectively) 20 and the prosecutor 12,
    plus 2 apiece for alternates. Because the
    judge planned to seat 12 jurors and 8
    alternates, the pool had to contain 56
    persons, to ensure that if all peremptory
    challenges were exercised (and the
    prosecution and defense never challenged
    the same person) 20 persons would be
    left. After the initial screening for
    cause, 63 members of the venire remained,
    and the district judge put all 63 into
    the pool for the exercise of peremptory
    challenges (and any belated challenges
    for cause). The judge decided not to
    establish a priority within this pool.
    All 63 had an equal chance of serving.
    After peremptory challenges were
    exercised, some adjustments were made
    (the judge granted additional challenges
    because some strikes overlapped), and 31
    persons remained, the clerk shuffled the
    juror cards and drew 12 to be the jurors.
    Then each side exercised 2 challenges
    against the residual pool of 19, the
    clerk shuffled the remaining cards, and 8
    alternates were drawn.
    Defendants objected to this procedure
    (and to avoid parsing who objected to
    what, we treat everyone as objecting to
    everything). They wanted to know the
    sequence in which members of the pool
    would be called to sit on the jury, so
    that they could concentrate their
    challenges on those persons most likely
    to serve. As the district court organized
    matters, however, every member of the
    pool was equally likely to sit, so the
    defense could not target challenges
    strategically. Moreover, the extra
    members in the pool diluted the utility
    of each challenge by the ratio 56/63. The
    20 challenges that the defendants
    initially were allotted had the same
    practical effect with a 63-person pool as
    18 challenges would have had with a 56-
    person pool. The pool’s extra size
    effectively deducted 2 challenges.
    All members of the jury actually seated
    in the case were impartial. Still,
    defendants insist that the convictions
    must be reversed, because they were
    unable to make the best of their
    peremptory challenges. As defendants see
    it, the district judge committed at least
    four errors in the jury-selection
    process:
    The court created a pool of 63
    venire members, instead of the 56
    that would exactly equal the
    number of jurors needed plus the
    number of challenges. United
    States v. Ricks, 
    802 F.2d 731
    ,
    737 (4th Cir. 1986) (en banc),
    declared that excess membership
    in a struck-jury pool always is
    reversible error unless the judge
    unequivocally reveals the order
    of selection from the pool.
    The judge did not list the pool’s
    members in order, which defeated
    defendants’ efforts to target the
    persons who were most likely to
    serve. United States v.
    Underwood, 
    122 F.3d 389
    (7th Cir.
    1997), held that a related
    deficit of information about the
    order in which jurors would
    emerge from the pool always is
    reversible error.
    Although Fed. R. Crim. P.
    24(c)(1) provides that a "court
    may empanel no more than 6
    jurors, in addition to the
    regular jury, to sit as alternate
    jurors," the district judge
    decided to select 8 alternates.
    This diluted the effectiveness of
    the peremptory challenges
    available to remove potential
    alternate jurors.
    Although Fed. R. Crim. P.
    24(c)(2) provides that defendants
    receive 3 additional peremptory
    challenges when the district
    judge seats 5 or 6 alternates,
    the judge in this case allowed
    only 2 extra challenges for 8
    alternates--a 1-to-4 ratio,
    instead of Rule 24(c)’s 1-to-2
    ratio.
    None of these events calls into question
    the impartiality of the jury eventually
    selected, which makes it hard to see why
    there is any real problem. United States
    v. Martinez-Salazar, 
    120 S. Ct. 774
    (2000), decided after Ricks and Underwood
    (the cases on which defendants
    principally rely), stresses that
    peremptory challenges have served their
    purpose when the jury finally selected is
    impartial. Martinez-Salazar rejects any
    argument that a party is entitled to
    devote all peremptory challenges to
    strategic use such as eliminating
    unbiased jurors who a party believes may
    (perhaps because of their open minds)
    favor the other side. A peremptory
    challenge devoted to removing a juror who
    should have been disqualified for cause
    is not, the Court held, equivalent to
    depriving the party of a peremptory
    challenge; instead this is one common and
    proper use of a challenge. Here, as in
    Martinez-Salazar, the defendants had the
    prescribed 10 challenges; indeed they had
    twice that, and if the overflow of the
    pool meant that they had an equivalent of
    "only" 18 challenges, that was plenty.
    What led to reversal in Underwood was an
    ambiguity in the district judge’s jury-
    selection protocol that led the
    defendants to misunderstand the sequence
    in which members of the pool would be
    seated on the jury. That misunderstanding
    led the defendants not to challenge two
    persons who they thought were so far back
    in the order that they were unlikely to
    be seated, but who actually served. If an
    ambiguity that affected two challenges is
    reversible error, then failure to
    establish any sequence, a step that
    potentially affected all 20 challenges,
    must be error too. However logical that
    argument may be, Underwood is no longer
    authoritative after Martinez-Salazar. Our
    views in Underwood reflected the belief
    that defendants are entitled to make
    maximum strategic use of their peremptory
    challenges. That same conception of
    defendants’ entitlements led the ninth
    circuit to hold that "losing" a
    peremptory challenge in order to remove a
    juror who should have been excused for
    cause is reversible error. United States
    v. Martinez-Salazar, 
    146 F.3d 653
    (9th
    Cir. 1998). But the Supreme Court took a
    different tack, observing that Martinez-
    Salazar did not lose a peremptory
    challenge but instead used it "in line
    with a principal reason for peremptories:
    to help secure the constitutional
    guarantee of trial by an impartial 
    jury." 120 S. Ct. at 782
    . Just so here.
    Defendants received their allotment of
    10, and to spare. They had full use of
    all challenges for the purpose of
    securing an impartial jury. That
    defendants could not use them to maximum
    strategic advantage seems to us a benefit
    rather than a problem.
    Formally, at least, the district judge’s
    handling of alternates is more
    problematic. Rule 24(c)(2) grants 3 extra
    challenges for 6 alternates; the district
    judge allowed 2 extra challenges for 8
    alternates. This looks like a reduction
    in the number of challenges provided by
    the rule, something that did not happen
    in Martinez-Salazar. Appearances may
    deceive, because everyone in the pool of
    potential alternates had passed the first
    wave of peremptory challenges. Any extra
    challenges provided for the selection of
    alternates meant that the defendants (and
    the prosecutor) had a higher ratio of
    challenges to alternates than of
    challenges to principal jurors. Rule
    24(c)(2) assumes that jurors will be
    selected either by the jury-box system or
    by a struck-jury method in which
    defendants know the sequence in which
    members of the pool will be seated. When
    the sequence is known, defendants
    concentrate their challenges on venire
    members at the front of the queue; Rule
    24(c)(2) provides extra challenges for
    the selection of alternates because
    otherwise defendants might have no
    peremptories left when the time arrives
    to pick alternates. Because the
    peremptory challenges exercised against
    the pool of 63 were as likely to excuse
    would-be alternates as to excuse would-be
    regular jurors, there was no need for a
    second allotment of challenges. But the
    Rule provides for them anyway, and it was
    violated. Defendants argue for automatic
    reversal. Once again Martinez-Salazar
    leads to a different approach.
    Underwood drew its rule of automatic
    reversal from the statement in Swain v.
    Alabama, 
    380 U.S. 202
    , 219 (1965), that
    "[t]he denial or impairment of the right
    [to peremptory challenge] is reversible
    error without a showing of prejudice."
    
    Underwood, 122 F.3d at 392
    . Relying on
    Ross v. Oklahoma, 
    487 U.S. 81
    (1988), the
    prosecutor argued that harmless-error
    analysis applies to problems concerning
    peremptory challenges. We 
    replied, 122 F.3d at 392
    : "Ross does not authorize us
    to abandon the automatic reversal rule
    that the Supreme Court announced in Swain
    where, as here, a denial or impairment of
    a defendant’s statutory right to the
    intelligent exercise of peremptory
    challenges is found." Underwood thus
    relies entirely on Swain for the rule of
    automatic reversal. Martinez-Salazar,
    however, had this to say on the subject:
    Relying on language in Swain v.
    Alabama, 
    380 U.S. 202
    (1965), as did
    the Court of Appeals in the decision
    below, Martinez-Salazar urges the
    Court to adopt a remedy of automatic
    reversal whenever a defendant’s
    right to a certain number of
    peremptory challenges is
    substantially impaired. Brief
    for Respondent 29 (quoting 
    Swain, 380 U.S., at 219
    (a "’denial or
    impairment of the right [to exercise
    peremptory challenges] is reversible
    error without a showing of
    prejudice’")). Because we find no
    impairment, we do not decide in this
    case what the appropriate remedy for
    a substantial impairment would be.
    We note, however, that the oft-
    quoted language in Swain was not
    only unnecessary to the decision in
    that case--because Swain did
    notaddress any claim that a
    defendant had been denied a
    peremptory challenge--but was
    founded on a series of our early
    cases decided long before the
    adoption of harmless-error 
    review. 120 S. Ct. at 782
    n.4. Martinez-Salazar
    did not decide the harmless-error
    question, but this language pulls the
    plug on the Swain dictum and requires us
    to address the harmless-error question as
    an original matter.
    Peremptory challenges come from Rule 24,
    and Rule 52(a) adds: "Any error, defect,
    irregularity or variance which does not
    affect substantial rights shall be
    disregarded." See also 28 U.S.C.
    sec.2111. Martinez-Salazar makes it clear
    that peremptory challenges do not have an
    independent constitutional source; their
    provenance is statutes and rules. 120 S.
    Ct. at 779. See also 
    Ross, 487 U.S. at 88
    . Rule 52(a) says that deviation from
    the rights established by Rule 24 and
    other provisions of the Rules of Criminal
    Procedure leads to reversal only if the
    error affects "substantial rights".
    Errors much more serious than the loss of
    a peremptory challenge or two are
    analyzed under this standard. E.g., Neder
    v. United States, 
    527 U.S. 1
    (1999)
    (omission from jury instructions of an
    element of the offense); Jones v. United
    States, 
    527 U.S. 373
    (1999) (inclusion of
    improper aggravating factor in a capital
    case); United States v. Lane, 
    474 U.S. 438
    (1986) (misjoinder). See also, e.g.,
    Peguero v. United States, 
    526 U.S. 23
    (1999); Bank of Nova Scotia v. United
    States, 
    487 U.S. 250
    (1988); United
    States v. Hasting, 
    461 U.S. 499
    (1983).
    Rule 52(a) requires us to undertake harm
    less-error analysis.
    Defendants respond that an error
    concerning a peremptory challenge always
    affects a "substantial" right. A right is
    "substantial" when it is one of the
    pillars of a fair trial. Trial before an
    orangutan, or the grant of summary
    judgment against the accused in a
    criminal case, would deprive the
    defendant of a "substantial" right even
    if it were certain that a jury would
    convict. Sullivan v. Louisiana, 
    508 U.S. 275
    , 279 (1993). For the same reason, a
    biased tribunal always deprives the
    accused of a substantial right. Bracy v.
    Gramley, 
    520 U.S. 899
    (1997). See also
    Gomez v. United States, 
    490 U.S. 858
    , 876
    (1989) (decision by an unauthorized
    tribunal deprives the defendant of a
    substantial right). Deprivation of
    counsel likewise so undermines the
    ability to distinguish the guilty from
    the innocent that it always leads to
    reversal. See United States v. Cronic,
    
    466 U.S. 648
    , 658-59 (1984); Castellanos
    v. United States, 
    26 F.3d 717
    (7th Cir.
    1994). But "if the defendant had counsel
    and was tried by an impartial
    adjudicator, there is a strong
    presumption that any other errors that
    may have occurred are subject to
    harmless-error analysis." Rose v. Clark,
    
    478 U.S. 570
    , 579 (1986). It is
    impossible to group an error concerning
    peremptory challenges with the denial of
    counsel or trial before a bribed judge.
    When the jury that actually sits is
    impartial, as this one was, the defendant
    has enjoyed the substantial right.
    Peremptory challenges enable defendants
    to feel more comfortable with the jury
    that is to determine their fate, but
    increasing litigants’ comfort level is
    only one goal among many, and reduced
    peace of mind is a bad reason to retry
    complex cases decided by impartial
    juries.
    McDonough Power Equipment, Inc. v.
    Greenwood, 
    464 U.S. 548
    (1984), makes the
    point. A juror’s failure to respond to a
    question on voir dire deprived a party of
    information that would have been useful
    in exercising a peremptory challenge.
    Relying on 28 U.S.C. sec.2111 and Fed. R.
    Civ. P. 61, a civil analogue to Rule
    52(a), the Court concluded that reversal
    would not be justified unless a correct
    response by the juror "would have
    provided a valid basis for a challenge
    for 
    cause." 464 U.S. at 556
    . The Court
    recognized the importance of information
    to the intelligent exercise of peremptory
    challenges but concluded that "[t]he
    harmless-error rules adopted by this
    Court and Congress embody the principle
    that courts should exercise judgment in
    preference to the automatic reversal for
    ’error’ and ignore errors that do not
    affect the essential fairness of the
    trial." 
    Id. at 553.
    Although McDonough is
    a civil case, its essential principle is
    applicable to criminal cases as well.
    In any given situation there remains the
    possibility that a blunder affects a
    right that is substantial in the sense of
    Kotteakos v. United States, 
    328 U.S. 750
    (1946): that it "had substantial and
    injurious effect or influence in
    determining the jury’s 
    verdict". 328 U.S. at 776
    . See also United States v. Olano,
    
    507 U.S. 725
    , 734-35 (1993). An
    exceptionally confused jury-selection
    process may have such an effect. (Thus we
    do not say that the result in Underwood
    was necessarily wrong, only that its
    resort to a rule of automatic reversal is
    incompatible with Rule 52.) In a trial
    like this, however, the possibility that
    an error altered the outcome is too
    remote to be worth investigating. One or
    two extra peremptory challenges to remove
    additional members of a panel that
    already had been subject to 22 peremptory
    challenges by the defense could not have
    affected the outcome of the case. This
    was a well-screened panel, and the jury
    that sat was impartial. Doubtless it will
    often be impossible to show that a change
    in the number of peremptory challenges
    affected the outcome of a trial--but
    inability to trace adverse effects to a
    mistake does not justify reversing a
    conviction; it shows instead that there
    is no warrant for disturbing the
    judgment. United States v. Morrison, 
    449 U.S. 361
    (1981).
    II
    Customers were reluctant to approach
    defendants’ distribution outlets while
    police were visible. Officer Robert
    Drozd, in particular, gave the operation
    trouble. One day in 1991 Drozd, seeing
    more than 30 cars queued up for service
    at the gang’s "spot," began waving the
    drivers to get under way. Henry Patterson
    complained: "Bob, you’re killing us."
    When Drozd feigned ignorance about the
    meaning of this comment and the purpose
    of the cars in the street, Henry offered:
    "Can we do something?" Again Drozd played
    dumb, and Henry continued: "Well, can I
    give you a gun?" Drozd agreed to this
    bribe, and 20 minutes later he was
    directed to an alley from which he
    retrieved a sawed-off shotgun. Thus began
    a course of dealing in which Drozd caused
    trouble, one or more of the defendants
    offered a gun, and after picking up his
    reward Drozd left. Usually the Pattersons
    told Drozd where to find a weapon, but
    sometimes a hand-to-hand exchange was
    made. Drozd reported these bribes to
    federal officials. Nine of the 15
    appellants were involved in the guns-for-
    protection deals and were convicted of
    violating 18 U.S.C. sec.924(c)(1), which
    makes it a crime to use or carry a
    firearm during and in relation to a drug
    trafficking offense.
    Bailey v. United States, 
    516 U.S. 137
    (1995), holds that a gun is "used" within
    the meaning of sec.924(c)(1) only when it
    is employed actively, as by shooting it
    or waiving it about to intimidate people.
    Simple possession differs from "use,"
    Bailey concludes. (Section 924(c) has
    since been amended; we refer to the
    version in force when these events
    occurred.) Defendants insist that leaving
    guns for Drozd to "find" is not
    sufficiently active to qualify as "use"
    under sec.924(c)(1). But they don’t
    reckon with Smith v. United States, 
    508 U.S. 223
    (1993), which holds that the
    exchange of a gun for drugs is a "use" of
    the gun within the meaning of
    sec.924(c)(1). Bailey gave the
    transaction in Smith as an example of a
    sufficiently active employment of a
    
    weapon. 516 U.S. at 143
    . We can’t see any
    difference between gun-for-drugs (held
    sufficient in Smith) and gun-for-
    protection (the situation here). In each
    case the gun’s owner has bartered the
    weapon for a drug-related benefit--either
    drugs (in Smith) or a continued ability
    to sell drugs (our case). Bribing an
    officer with a gun in order to go on
    selling drugs is a use of the gun "during
    and in relation to" the drugs’
    distribution. Defendants rely on United
    States v. Westmoreland, 
    122 F.3d 431
    ,
    435-36 (7th Cir. 1997), which held that
    accepting a gun in exchange for drugs
    does not violate sec.924(c)(1), even
    though per Smith accepting drugs in
    exchange for a gun does. Perhaps the
    transaction in Westmoreland was best
    understood as using drugs during and in
    relation to a firearms offense. Using
    drugs as currency to buy guns does not
    "use" the guns. But by bribing Drozd with
    guns, the defendants actively used
    firearms during and in relation to their
    drug business.
    III
    Timothy S. Hearst, who represented
    Robert Patterson at trial, was not
    reliable. Many days he was late; others
    he did not appear at all. He missed seven
    days of Drozd’s testimony, four of five
    sessions of the jury instruction
    conference, most of the other defendants’
    closing arguments, and proceedings to
    address notes from the jury during
    deliberations. He had a short legal
    career; admitted to practice in 1992,
    Hearst was disbarred in March 1999 for
    neglecting cases and converting clients’
    funds. But in post-trial proceedings, the
    district court concluded that Hearst
    furnished Robert with effective
    assistance of counsel--first because
    Hearst vigorously cross-examined the
    prosecution’s witnesses and mounted a
    plausible defense (that there were
    multiple conspiracies and that Robert did
    not join the single conspiracy charged in
    the indictment), and second because it
    was impossible to show prejudice given
    the strength of the prosecution’s
    evidence. The hearing on Hearst’s conduct
    spanned three days. Rare is the claim of
    ineffective assistance that can be
    evaluated intelligently on direct appeal,
    but, because Robert’s contentions have
    received the district judge’s full
    consideration on a record the parties
    agree is complete, they are properly
    before us now. Guinan v. United States, 
    6 F.3d 468
    (7th Cir. 1993). Moreover, the
    parties have agreed, in memoranda filed
    after the oral argument, that a remand
    for further hearings is not necessary or
    appropriate. We must evaluate Robert’s
    contentions on the record as it stands.
    Abandoning any argument that he suffered
    prejudice from Hearst’s performance,
    Robert advances the more promising
    contention that for extended portions of
    the trial he just did not have any
    lawyer--and that deficiency violates the
    sixth amendment even if the defendant
    cannot establish a likely effect on the
    outcome. Satterwhite v. Texas, 
    486 U.S. 249
    , 256 (1988); United States v. Cronic,
    
    466 U.S. 648
    , 658-59 (1984); United
    States v. Russell, 
    205 F.3d 768
    (5th Cir.
    2000). Cf. Roe v. Flores-Ortega, 120 S.
    Ct. 1029, 1038 (2000). To this the
    prosecutor responds that Robert always
    had counsel--though not always Hearst.
    Lawyers representing the other defendants
    stood in for Hearst while he was awol. If
    Robert consented to this switch in
    representation, then he had a lawyer
    throughout the proceedings and cannot
    invoke the abandonment principle.
    But did he consent? Here is an exchange
    that the parties agree is typical:
    THE COURT: Good morning, everyone.
    Please be seated. Everybody here,
    ready to go?
    MR. PILOLLA:   Mr. Hearst is not
    here. I am standing in for him.
    THE COURT:   Who is it?
    MR. PILOLLA:   Mr. Hearst.
    THE COURT: Mr. Hearst. You are
    standing in for him, Mr. Pilolla?
    MR. PILOLLA:   I am.
    MS. MURDOCK: Does his client waive
    his presence?
    THE COURT: Does Mr. Hearst’s client
    waive his presence? Mr. Patterson?
    DEFENDANT R. PATTERSON:   Yes.
    THE COURT:   Thank you, sir.
    The district judge did not ask Robert
    what he understood by "waiv[ing Hearst’s]
    presence"--in particular, the judge did
    not inquire whether Robert understood the
    other options, and understanding one’s
    options is an essential ingredient of
    waiver when the right at stake is
    counsel. See Johnson v. Zerbst, 
    304 U.S. 458
    (1938). On another occasion the judge
    asked Robert whether he had "any
    objection" to "being represented by Mr.
    Aron" when Hearst was not present; Robert
    replied "Yeah, it’s okay." The judge’s
    abbreviated inquiries would have been
    adequate if Hearst’s absences had been
    few or brief; virtual representation is
    common and proper in extended, multi-
    defendant trials. See United States v.
    Jackson, 
    207 F.3d 910
    , 918-19 (7th Cir.
    2000). But Hearst’s absences were too
    common and too lengthy for the normal
    stand-in approach. What happened looks
    more like a partial substitution of
    counsel, or the appointment of co-counsel
    to assist Hearst, and such steps require
    additional care. Did Robert know that he
    had other options? If Robert believed
    that the only alternative to proceeding
    with Pilolla, Aron, or other defendants’
    lawyers was proceeding with no lawyer at
    all for extended portions of the trial,
    then the waiver is ineffectual. See
    United States v. Morrison, 
    946 F.2d 484
    ,
    502 n.4 (7th Cir. 1991). If, however,
    Robert knew that he had a right to his
    own lawyer--that is, to delay the trial
    until Hearst arrived or another lawyer
    was appointed in his stead and prepared
    to proceed as his advocate--then the
    waiver was informed, and Robert cannot
    complain that he was unrepresented even
    momentarily.
    Unfortunately the district court did not
    make the essential inquiry at trial, and
    in the post-verdict proceedings the
    prosecutor chose to let the issue slide.
    Counsel asked Robert: "Do you have an
    understanding as to what would happen if
    you didn’t agree to these other lawyers
    standing in for your case?" Robert
    answered "No, sir." and the prosecutor
    did not follow up by cross-examination.
    Resources were at the prosecutor’s
    disposal. The district judge remarked
    when denying Robert’s motion for a new
    trial that although Robert often had to
    make do with a stand-in, on "other
    occasions when Mr. Hearst believed that
    he wasn’t feeling well enough to carry
    on, we recessed the trial. It was late in
    the trial. At that point I was not going
    to declare a mistrial with respect to Mr.
    Patterson. I would rather have waited
    until Mr. Hearst felt better, which is
    exactly what we did." This implies that
    Robert had actual knowledge of his option
    to delay the trial until Hearst returned-
    -though perhaps the fact that the judge
    did not take this step until "late in the
    trial" means that Robert was uninformed
    when he consented earlier. But we need
    not pursue this subject, because the
    prosecutor did not pursue it. The United
    States allowed Robert’s answer to stand
    unchallenged; we must assume that he did
    not know his options.
    To say that Robert had the right to
    counsel does not necessarily mean that an
    irresponsible lawyer (or the defendant’s
    ignorance of his entitlements) may bring
    a complex trial to a halt or force a
    severance. Hearst had been appointed, and
    the district judge could have elected to
    appoint a co-counsel or relieve him
    altogether. Perhaps that is the best way
    to understand what happened: the district
    court appointed some of the other defense
    lawyers as co-counsel for Robert. A
    defendant could not block that step just
    by saying that he preferred Hearst; when
    a court appoints counsel, it need not
    choose the lawyer the defendant prefers.
    Morris v. Slappy, 
    461 U.S. 1
    (1983). Once
    again, however, the record does not
    reveal information that is essential to
    evaluating the propriety of appointing
    co-counsel (if that is the best way to
    understand matters). Other defendants’
    lawyers could not represent Robert if
    that would have created a conflict of
    interest with their own clients. See
    Wheat v. United States, 
    486 U.S. 153
    ,
    159-62 (1988). The district court did not
    explore the question whether conflicts
    existed or invite waivers (from Robert
    and other defendants; all clients would
    have to consent under the circumstances).
    See United States v. Roth, 
    860 F.2d 1382
    (7th Cir. 1988) (holding that defendants
    may waive the entitlement to conflict-
    free counsel, provided the waiver is
    intelligent). Nor did the judge ask
    whether the other lawyers were pursuing a
    sensible defense strategy for Robert. If
    to other defense lawyers "standing in"
    for Hearst meant only defending their own
    clients’ interests and reporting to
    Hearst at day’s end what had transpired,
    then again Robert was effectively
    unrepresented.
    According to the memorandum the United
    States filed after oral argument, Robert
    forfeited any entitlement to protest the
    absence of an inquiry into conflicts (or
    the way other lawyers understood their
    obligation to protect Robert’s interests)
    by not presenting evidence on these
    points at the hearing. That puts the
    burden in the wrong place. A judge who
    effectively appoints one lawyer to serve
    two clients must initiate inquiry on his
    own, see Russell, as the judge in this
    trial did not. Belated inquiry could have
    shown that the omission at trial was
    harmless, because there was no conflict,
    but the prosecutor did not raise the
    subject at the hearing. Nor do we think
    it possible to say that Robert forfeited
    the entire subject--not only because
    Hearst’s absences were a major component
    of Robert’s motion for a new trial (which
    should have alerted the prosecution to
    the need to develop evidence about
    possible conflicts) but also because the
    United States did not argue forfeiture in
    its appellate brief. It raised forfeiture
    for the first time in the memorandum
    submitted after argument, and by that
    delay it forfeited any right to assert
    Robert’s potential forfeitures at an
    earlier stage.
    One final possibility requires brief
    consideration. A defendant is entitled to
    counsel only at critical stages in the
    prosecution against him. If nothing that
    occurred during Hearst’s absences was
    relevant to the charges against Robert,
    then perhaps he has not suffered a loss
    of counsel during a critical stage. Once
    again, however, this possibility has been
    forfeited by the United States--perhaps
    because it is so obvious that all of the
    evidence presented in a conspiracy
    prosecution counts against every
    defendant. We agree with the fifth
    circuit’s conclusion in Russell that when
    the defendant’s lawyer skips multiple
    days of a trial at which his client is
    accused of conspiring with other
    defendants, the accused does not
    effectively waive his right to counsel
    (or consent to vicarious representation
    by other defendants’ lawyers), and the
    judge does not take the steps necessary
    to appoint replacement counsel or add co-
    counsel, the judgment must be set aside
    without any inquiry into prejudice.
    IV
    Tyrone Williams was acquitted of the
    only firearms charge brought against him,
    and he contends that this acquittal
    perversely increased his sentence.
    Calculated without regard to any firearms
    adjustments, Williams’ sentence would
    have been in the range for offense level
    41 and criminal history category VI. That
    range is 360 months to life. Had he been
    convicted of the weapons charge, a
    minimum of 60 months (which must run
    consecutively) would have been added, for
    a final sentencing range of 420 months to
    life. Because he was acquitted of "using
    or carrying" a gun, however, the district
    judge had to ask whether Williams or one
    of his partners in crime possessed a gun,
    a lower standard under U.S.S.G.
    sec.2D1.1(b)(1) than Bailey sets for
    conviction under sec.924. See United
    States v. Carmack, 
    100 F.3d 1271
    , 1279-80
    (7th Cir. 1996). Possession of a
    dangerous weapon during the offense leads
    to two extra levels, "unless it is
    clearly improbable that the weapon was
    connected with the offense." U.S.S.G.
    sec.2D1.1 Application Note 3. The
    district judge found by a preponderance
    of the evidence that Williams and many
    co-conspirators possessed firearms, and
    Williams did not establish to the judge’s
    satisfaction that the guns were
    unconnected to the offense. That finding
    put Williams at offense level 43, and the
    guideline "range" for that level has only
    one entry: "life." Yet under U.S.S.G.
    sec.2K2.4 Application Note 2, a
    conviction on the sec.924(c) charge would
    have precluded a two-level enhancement
    under sec.2D1.1(b)(1), in order to avoid
    double counting. This sets up Williams’
    protest. What sense can it make to have a
    sentencing range of 420 months to life
    for a person convicted of using or
    carrying a gun during and in relation to
    a drug offense, and a mandatory sentence
    of life if the person is acquitted of
    that charge?
    Perhaps this is an appearance without
    substance. For many people, a sentence of
    420 months (35 years) and a sentence of
    life imprisonment come to the same thing,
    given the defendant’s age at the time of
    conviction. For young defendants,
    however, there may be a practical
    difference when the criminal behavior
    leads to a high offense level. Section
    2K2.4 Application Note 2 establishes a
    sensible rule for the vast majority of
    defendants, because the mandatory five-
    year-minimum for a violation of
    sec.924(c) exceeds the effect of two
    offense levels. But when the offense
    level reaches 32 (at criminal history
    level VI) a two-level increase can lead
    to a more severe punishment than the
    minimum possible sentence under
    sec.924(c)(1).
    The Constitution does not guarantee a
    completely rational system of sentencing.
    See, e.g., Chapman v. United States, 
    500 U.S. 453
    , 466-68 (1991); Neal v. United
    States, 
    516 U.S. 284
    (1996). Unlike the
    situation in Chapman and Neal, however,
    Williams has not been caught by a
    statutory minimum sentence that causes a
    less culpable person to be punished more
    severely. His punishment depends wholly
    on the Sentencing Guidelines, and
    Congress has provided an escape hatch for
    unusual situations: departure under 18
    U.S.C. sec.3553(b). See Koon v. United
    States, 
    518 U.S. 81
    (1996). The
    Sentencing Commission recognized that the
    anti-double-counting norm could lead to
    sentencing inversions--that is, to more
    culpable persons receiving lower
    sentences, see United States v. Brigham,
    
    977 F.2d 317
    (7th Cir. 1992)--and invited
    departures by sec.2K2.4 Application Note
    2, which we now set out in full:
    Where a sentence under this section
    is imposed in conjunction with a
    sentence for an underlying offense,
    any specific offense characteristic
    for the possession, use, or
    discharge of an explosive or firearm
    (e.g., sec.2B3.1(b)(2)(A)-(F)
    (Robbery)) is not to be applied in
    respect to the guideline for the
    underlying offense.
    In a few cases, the offense level
    for the underlying offense
    determined under the preceding
    paragraph may result in a guideline
    range that, when combined with the
    mandatory consecutive sentence under
    18 U.S.C. sec.844(h), sec.924(c), or
    sec.929(a), produces a total maximum
    penalty that is less than the
    maximum of the guideline range that
    would have resulted had there not
    been a count of conviction under 18
    U.S.C. sec.844(h), sec.924(c), or
    sec.929(a) (i.e., the guideline
    range that would have resulted if
    the enhancements for possession,
    use, or discharge of a firearm had
    been applied). In such a case, an
    upward departure may be warranted so
    that the conviction under 18 U.S.C.
    sec.844(h), sec.924(c), or
    sec.929(a) does not result in a
    decrease in the total punishment. An
    upward departure under this
    paragraph shall not exceed the
    maximum of the guideline range that
    would have resulted had there not
    been a count of conviction under 18
    U.S.C. sec.844(h), sec.924(c), or
    sec.929(a).
    If the district judge would have given
    Williams a life sentence (one within the
    level 41 range without need for
    departure) had he been convicted of the
    firearms count, then the acquittal has
    not affected his sentence and he has no
    complaint. Similarly, the judge had
    discretion to avoid a sentencing
    inversion by departing downward. If, say,
    a conviction under sec.924(c) would have
    led the judge to select a sentence of 420
    months for Williams (the bottom of the
    level 41 range, plus the consecutive 60
    months), then perhaps the district court
    could have justified a downward departure
    to 400 months for simple possession (or
    being accountable for confederates’
    possession).
    After reviewing the sentencing
    proceedings, we are unsure whether the
    district judge understood the extent of
    his discretion under sec.3553(b). We
    therefore remand Williams’ sentence so
    that the district judge may consider his
    options. If the judge believes that life
    imprisonment is the best punishment, one
    he would have meted out without regard to
    conviction under sec.924(c), then the
    sentence stands. If the judge would have
    given a lesser sentence for the
    combination of a level 41 offense and a
    sec.924(c) conviction, however, then the
    judge should consider whether it is
    appropriate to depart downward, so that
    Williams’ term falls in the range between
    360 months’ imprisonment and the sentence
    the judge would have meted out had the
    jury convicted Williams of the
    sec.924(c)(1) charge. Because this is an
    unusual case, the district judge has
    discretion either way; but the record
    must reveal that he understands and
    exercises that discretion. When taking up
    the issue a second time, the district
    judge should think it through afresh,
    rather than adopting a presumption in
    favor of the existing sentence.
    Other issues have been considered but do
    not require discussion. The principal
    omitted contention--that the kind and
    quantity of drugs must be treated as
    elements of the offense under 21 U.S.C.
    sec.841 in light of Jones v. United
    States, 
    526 U.S. 227
    (1999)--has been
    resolved by an opinion issued after the
    oral argument of this case. See 
    Jackson, 207 F.3d at 920-21
    . See also United
    States v. Edwards, 
    105 F.3d 1179
    (7th
    Cir. 1997), affirmed, 
    523 U.S. 511
    (1998). We cannot close, however, without
    expressing our appreciation to
    appellants’ counsel for the care with
    which they unraveled the threads of this
    complex case and presented common issues
    in a joint brief.
    The conviction of Robert Patterson is
    reversed, and his case is remanded for a
    second trial if the United States chooses
    to pursue that option. The conviction of
    Tyrone Williams is affirmed, but we
    vacate his sentence and remand for
    resentencing. All other judgments are
    affirmed.
    

Document Info

Docket Number: 97-3132, 97-3159, 97-3163, 97-3480, 97-3666, 97-3683, 97-3697, 98-1066, 98-1265, 98-1310, 98-1981, 98-1991, 98-2362, 98-3115, 98-3625

Citation Numbers: 215 F.3d 776

Judges: Posner, Easterbrook, Wood

Filed Date: 6/1/2000

Precedential Status: Precedential

Modified Date: 10/19/2024

Authorities (35)

United States v. Morrison , 101 S. Ct. 665 ( 1981 )

Chapman v. United States , 111 S. Ct. 1919 ( 1991 )

Peguero v. United States , 119 S. Ct. 961 ( 1999 )

United States v. Anthony Brigham , 977 F.2d 317 ( 1992 )

united-states-of-america-plaintiff-appellee-cross-appellant-v-harold , 207 F.3d 910 ( 2000 )

Bailey v. United States , 116 S. Ct. 501 ( 1995 )

united-states-v-thomas-calvin-ricks-aka-joe-dancer-united-states-of , 802 F.2d 731 ( 1986 )

United States v. Bruce Roth , 860 F.2d 1382 ( 1988 )

Wheat v. United States , 108 S. Ct. 1692 ( 1988 )

Kotteakos v. United States , 66 S. Ct. 1239 ( 1946 )

John Castellanos v. United States of America, Kevin B. ... , 26 F.3d 717 ( 1994 )

Satterwhite v. Texas , 108 S. Ct. 1792 ( 1988 )

Bank of Nova Scotia v. United States , 108 S. Ct. 2369 ( 1988 )

United States v. William Underwood, Paul Messino, ... , 122 F.3d 389 ( 1997 )

Sullivan v. Louisiana , 113 S. Ct. 2078 ( 1993 )

United States v. Robert M. Morrison, Michael Anderson, ... , 946 F.2d 484 ( 1991 )

Neder v. United States , 119 S. Ct. 1827 ( 1999 )

United States v. Vincent Edwards, Reynolds A. Wintersmith, ... , 105 F.3d 1179 ( 1997 )

United States v. Joseph Westmoreland, Also Known as Smoke , 122 F.3d 431 ( 1997 )

United States v. Michael L. Carmack, Sr., and Patricia A. ... , 100 F.3d 1271 ( 1996 )

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