State of Maine v. Clarence Cote , 2015 Me. LEXIS 87 ( 2015 )


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  • MAINE SUPREME JUDICIAL COURT                                                       Reporter of Decisions
    Decision: 
    2015 ME 78
    Docket:   Pen-14-112
    Argued:   April 7, 2015
    Decided:  June 23, 2015
    Panel:        SAUFLEY, C.J., and ALEXANDER, MEAD, GORMAN, JABAR, and HJELM, JJ.
    STATE OF MAINE
    v.
    CLARENCE COTE
    HJELM, J.
    [¶1] Clarence Cote appeals from a judgment of conviction entered by the
    trial court (Anderson, J.) after a jury found him guilty of two counts of gross sexual
    assault (Class A), 17-A M.R.S.A. § 253(1)(B), (4) (1983).1 Cote contends that his
    constitutional right to a fair trial was violated by the State’s failure to preserve a
    recording of a police interview of the victim and by the State’s delay in seeking an
    indictment. We affirm the judgment.
    I. BACKGROUND
    [¶2] The record, viewed in the light most favorable to the State, establishes
    the following facts.           See State v. Marroquin-Aldana, 
    2014 ME 47
    , ¶ 2,
    
    89 A.3d 519
    .
    1
    Title 17-A M.R.S.A. § 253(1)(B) has since been amended, though not in any way that affects this
    case. See P.L. 2001, c. 383, § 14 (effective Jan. 31, 2003); P.L. 2003, c. 711, § B-2 (effective July 30,
    2004).
    2
    [¶3] In August 2012, Cote was indicted by a grand jury for two counts of
    gross sexual assault based on allegations that he sexually abused his niece in July
    and August 1990. Shortly after the abuse occurred, the victim moved from Lincoln
    to Millinocket and no longer saw Cote. In 1992, Cote moved out of Maine. The
    victim reported the assaults sometime after that, and her allegations were
    eventually referred to the Millinocket Police Department. In December 1994, a
    Millinocket detective conducted a recorded interview of the victim at her middle
    school. Based on her statements about where the incidents occurred, the case was
    transferred to the Lincoln Police Department in early 1995.
    [¶4] In January 1996, the Maine State Police took over the investigation,
    and a State Police detective interviewed the victim. The State filed a complaint
    against Cote, and a warrant was issued for his arrest, but because he was not in
    Maine, he was not arrested until April 2012. Following Cote’s arrest, a State
    Police detective attempted to find the recording of the 1994 interview, but although
    it had been turned over to the Lincoln Police Department, there was no record of
    what happened to it after that, and it was never found.          The case was then
    presented to a grand jury, which returned the indictment against Cote.
    [¶5]    In April 2013, Cote filed a motion to dismiss the indictment,
    contending that he was prejudiced by the pre-indictment delay and that the State’s
    failure to preserve the recording violated his right to a fair trial. After a hearing,
    3
    the court (R. Murray, J.) denied the motion, finding that the State did not act in bad
    faith in failing to preserve the recording and that Cote was not prejudiced by the
    pre-indictment delay.
    [¶6] A two-day trial was held in January 2014. The victim testified that in
    1990, the summer before she entered second grade, she sometimes stayed with
    Cote and her aunt in Lincoln, and that, on several occasions, Cote subjected her to
    sexual assaults including anal intercourse and oral-genital contact.             The
    now-retired Millinocket detective who interviewed the victim testified, based on a
    report that he wrote at the time of the interview, that the victim told him that the
    assaults had occurred approximately two years before the interview, which would
    have been in either 1991 or 1992. He also testified that the victim stated in the
    interview that on several occasions Cote touched her vagina and forced her to
    touch his penis. The victim could not remember at trial, however, whether she had
    stated in the interview that Cote forced her to have anal intercourse or to have oral
    contact with his penis.
    [¶7] During the trial, Cote moved for a judgment of acquittal, arguing that
    the State’s evidence was inconsistent regarding the year in which the assaults
    occurred. He also renewed his motion to dismiss based on pre-indictment delay
    and destruction of evidence. The court denied both motions, and the jury found
    Cote guilty of both counts of gross sexual assault. He was sentenced on the first
    4
    count to a ten-year prison term with all but five years suspended and six years of
    probation, and on the second count to a concurrent five-year prison term. He
    timely appealed.
    II. DISCUSSION
    [¶8] Cote contends that his due process rights were violated by the State’s
    failure to preserve the recording of the December 1994 interview with the victim
    and the twenty-two-year delay between the alleged assaults and the indictment.
    A.       Disappearance of Evidence
    [¶9] Cote first argues that the trial court erred by denying his motion to
    dismiss the indictment based on the missing interview recording. Because the
    court correctly treated Cote’s motion as a motion to suppress,2 we review the
    factual findings underlying the trial court’s ruling for clear error and the court’s
    legal conclusions de novo. See State v. Drewry, 
    2008 ME 76
    , ¶ 19, 
    946 A.2d 981
    .
    [¶10] The court denied Cote’s motion solely because he did not prove that
    the State acted in bad faith in failing to preserve the recording. A showing of bad
    faith, however, is not always required for a defendant to prove that his right to a
    2
    Cote originally raised the issue of the missing recording in a motion to dismiss, but the trial court
    correctly recognized that the proper way to challenge the failure to preserve evidence is through a motion
    to suppress, see State v. Bilynsky, 
    2007 ME 107
    , ¶ 40, 
    932 A.2d 1169
    , and stated that its order should
    therefore be construed as a denial of a motion to suppress. See 
    id.
     (treating the trial court’s denial of a
    motion to dismiss for destruction of evidence as a ruling on a motion to suppress). At trial, the court
    similarly indicated that a motion to dismiss was not a proper vehicle for relief based on the destruction of
    evidence and suggested that discovery sanctions might be more appropriate. When Cote did not suggest
    any sanction, the court denied both the motion to dismiss and any motion for sanctions.
    5
    fair trial was violated by the State’s destruction or loss of evidence. Rather, the
    United States Supreme Court has held that the question of whether a defendant is
    required to prove that the State acted in bad faith is a function of the nature of the
    lost or destroyed evidence. See California v. Trombetta, 
    467 U.S. 479
    , 488-89
    (1984); Arizona v. Youngblood, 
    488 U.S. 51
    , 58 (1988).
    [¶11] In Trombetta, the Court held that, in order to protect a criminal
    defendant’s right to a fair trial, prosecutors have a constitutional duty to preserve
    material evidence. 
    467 U.S. at 488
    . For evidence to be material, it “must both
    possess an exculpatory value that was apparent before the evidence was destroyed,
    and be of such a nature that the defendant would be unable to obtain comparable
    evidence by other reasonably available means.”          
    Id. at 489
    .     That holding,
    however, left open an important question: whether a defendant’s rights can be
    violated when the State fails to preserve evidence that was not apparently
    exculpatory at the time it was lost or destroyed.
    [¶12] The Court answered that question affirmatively in Youngblood, but it
    also held that “unless a criminal defendant can show bad faith on the part of the
    police, failure to preserve potentially useful evidence does not constitute a denial of
    due process of law.” 488 U.S. at 58 (emphasis added). The Court emphasized that
    “[t]he Due Process Clause of the Fourteenth Amendment, as interpreted in Brady
    [v. Maryland, 
    373 U.S. 83
     (1963)], makes the good or bad faith of the State
    6
    irrelevant when the State fails to disclose to the defendant material exculpatory
    evidence.” Youngblood, 488 U.S. at 57. The Court declined, however, to read the
    Due Process Clause “as imposing on the police an undifferentiated and absolute
    duty to retain and to preserve all material that might be of conceivable evidentiary
    significance in a particular prosecution.” Id. at 58. Particularly, the Court held
    that absent a showing of bad faith, the state’s failure to “preserve evidentiary
    material of which no more can be said than that it could have been subjected to
    tests, the results of which might have exonerated the defendant” was not a
    violation of the defendant’s due process rights. Id. at 57.
    [¶13]    The Supreme Court therefore has drawn a distinction between
    apparently exculpatory evidence and potentially useful evidence, and that
    distinction determines whether a defendant must prove that the loss of evidence
    was the result of bad faith on the part of the state. Youngblood makes clear that a
    defendant is required to prove that the state acted in bad faith only if the evidence
    does not “possess an exculpatory value that was apparent before the evidence was
    destroyed.” Trombetta, 
    467 U.S. at 489
    ; see Youngblood, 488 U.S. at 57-58; see
    also United States v. Garza, 
    435 F.3d 73
    , 75 (1st Cir. 2006).
    [¶14]   We have not always drawn that distinction with precision.          For
    example, in State v. Cyr, 
    588 A.2d 753
    , 755 n.4 (Me. 1991), although we ruled for
    the defendant on other grounds, we suggested that the trial court was correct in
    7
    requiring the defendant to prove that the destroyed evidence was apparently
    exculpatory and that the State acted in bad faith. Some of our other cases may
    similarly be seen as blending the separate standards developed in Trombetta and
    Youngblood into a single three-part test without clearly stating that, if the evidence
    was apparently exculpatory when it was lost, the defendant is not required to make
    a showing of bad faith.3              See Trombetta, 
    467 U.S. at 489
    ; see, e.g., State v.
    Cruthirds, 
    2014 ME 86
    , ¶ 29, 
    96 A.3d 80
     (stating that there are three elements the
    defendant must prove); State v. Kremen, 
    2000 ME 117
    , ¶ 15, 
    754 A.2d 964
     (stating
    that even when the lost evidence is apparently exculpatory, bad faith “must be
    present”); State v. Lewis, 
    584 A.2d 622
    , 625 (Me. 1990) (stating that the defendant
    must prove that the lost evidence was apparently exculpatory and that the State
    acted in bad faith).4
    3
    For example, we stated in State v. Kremen:
    The State’s failure to preserve evidence does not violate a criminal defendant’s right to a
    fair trial unless (1) the evidence possesses an exculpatory value that was apparent before
    the evidence was destroyed, (2) the defendant would be unable to obtain evidence of
    comparable value by other reasonably available means, and (3) the State acted in bad
    faith in failing to preserve potentially useful evidence. All three elements must be
    present in order for [the defendant’s] right to a fair trial to be found to have been violated.
    
    2000 ME 117
    , ¶ 15, 
    754 A.2d 964
     (citation omitted) (quotation marks omitted).
    4
    Although the principles derived from Trombetta and Youngblood were not always precisely
    articulated in these cases, their outcomes were unaffected because in Cruthirds, Kremen, and Lewis, we
    determined that the evidence at issue was not apparently exculpatory before concluding that the defendant
    had not proved bad faith, and in Cyr we affirmed the trial court’s dismissal of the charges on other
    grounds. See State v. Cruthirds, 
    2014 ME 86
    , ¶ 32, 96 A.3D 80; Kremen, 
    2000 ME 117
    , ¶ 16, 
    754 A.2d 964
    ; State v. Cyr, 
    588 A.2d at 756-57
    ; State v. Lewis, 
    584 A.2d at 625
    .
    8
    [¶15] We therefore clarify that, to determine whether the State’s failure to
    preserve evidence violated a defendant’s right to a fair trial, the trial court is
    required to conduct a bifurcated analysis. First, the court must determine whether
    the evidence possessed “an exculpatory value that was apparent before the
    evidence was destroyed.” Trombetta, 
    467 U.S. at 489
    . If so, then the defendant
    must show only that the evidence was “of such a nature that the defendant would
    be unable to obtain comparable evidence by other reasonably available means.”
    
    Id.
     If, however, the exculpatory value of the evidence was not apparent at the time
    of its loss or disappearance, the defendant cannot establish a constitutional
    deprivation without proof that the State also acted in bad faith in failing to preserve
    the evidence. Youngblood, 488 U.S. at 57-58.
    [¶16] Here, the court did not reach the question of whether the evidence was
    apparently exculpatory when it was lost, instead finding only that Cote had not
    proved bad faith on the part of the State and denying his motion on that basis.
    Pursuant to federal constitutional jurisprudence, the court’s analysis was erroneous
    because it required Cote to prove bad faith without first considering whether the
    lost recording was the type of evidence that, pursuant to Youngblood, would have
    required Cote to prove bad faith in the first place.
    [¶17] The court did not err, however, in its ultimate determination that the
    loss of the recording did not violate Cote’s due process rights, because even though
    9
    the court did not address the issue, the only conclusion allowed by the evidence is
    that the missing recording was not apparently exculpatory at the time of its
    disappearance. Cote contends that the exculpatory value in the recorded interview
    arises from two discrepancies between the victim’s statements in the interview and
    statements she made later, after Cote was arrested. First, the victim stated in the
    1994 interview that the assaults occurred in approximately 1991 or 1992, while the
    indictment alleges, and the victim testified at trial, that the assaults occurred in
    1990. Second, the detective’s report of the interview suggests that the victim may
    not have stated then that the defendant forced her to have anal intercourse or to
    engage in oral-genital contact, which was the conduct that she described at trial.
    [¶18] Any exculpatory value of the 1994 recording is therefore based on its
    inconsistency with the victim’s statements that were not made earlier than 2012,
    when the recording was confirmed to be missing. There is no evidence that at the
    time the recording disappeared the victim had made any statements that conflicted
    with what she said during the interview. To the contrary, the recorded statement of
    the victim, accusing Cote of sexual assault, appeared to be entirely inculpatory.
    See Cruthirds, 
    2014 ME 86
    , ¶ 31, 
    96 A.3d 80
     (affirming the trial court’s finding
    that the victim’s clothing did not have apparent exculpatory value where “there
    was no thought of an alternative suspect” at the time the evidence was destroyed).
    10
    We therefore must conclude that when it went missing, the recording did not have
    any apparent exculpatory value.
    [¶19] Because the missing recording was, at most, only potentially useful,
    Cote must prove that the State acted in bad faith in failing to preserve it. The trial
    court found that “no evidence was presented regarding the reasons for lack of
    availability of the tape-recorded interview, or what led to the loss or destruction of
    the tape . . . ,” and it concluded that Cote had not proved that the State acted in bad
    faith. That finding was not clearly erroneous.5
    [¶20] Because the evidence establishes that the missing recording was not
    apparently exculpatory at the time it was lost and because the court did not err in
    concluding that the State did not act in bad faith in causing its disappearance, Cote
    did not prove the elements necessary to establish a violation of his constitutional
    rights due to the State’s loss of evidence. Accordingly, the trial court did not err in
    denying his motion.
    B.       Pre-indictment Delay
    [¶21] Cote also contends that the case should have been dismissed because
    of the delay between his alleged criminal conduct in 1990 and his indictment in
    5
    Even if losing the tape suggests that the State was negligent, bad faith requires more than
    negligence. See Arizona v. Youngblood, 
    488 U.S. 51
    , 58 (1988) (holding that the negligent failure by the
    police to refrigerate evidence did not amount to bad faith); State v. St. Louis, 
    2008 ME 101
    , ¶ 7,
    
    951 A.2d 80
     (affirming trial court’s finding of no bad faith despite “the State’s serious oversight” in
    allowing a vehicle involved in an accident to be destroyed).
    11
    2012. To succeed in challenging the State’s delay in seeking the indictment, Cote
    must make an initial showing that he suffered “actual and unjustifiable prejudice”
    as a result of the delay. See Cyr, 
    588 A.2d at 756
    ; see also United States v.
    Lovasco, 
    431 U.S. 783
    , 790 (1977). “Only then does the court inquire as to the
    reasons for the delay that may be offered by the State and determine, on balance,
    whether the prejudice caused by the delay remains unjustified.” Cyr, 
    588 A.2d at 756
    . Here, the court found that Cote did not make a showing of “actual and
    unjustifiable prejudice.” We review for clear error the court’s findings underlying
    a motion to dismiss due to pre-indictment delay. See 
    id.
    [¶22] Cote’s sole argument in support of his claim that he was prejudiced by
    the pre-indictment delay is that, because the recording went missing during the
    delay, he was unable to present the recording at trial to emphasize the victim’s two
    inconsistent statements. Cote was not prejudiced by the loss of the recording,
    however, because even without it, he could—and did—present evidence of
    inconsistencies in the victim’s statements. Cf. State v. Bilynsky, 
    2007 ME 107
    ,
    ¶ 42, 
    932 A.2d 1169
     (upholding the denial of a motion to suppress for destruction
    of evidence where the defendant could make the same arguments using
    photographs of physical evidence even though the evidence itself had been
    destroyed). Both the victim and the detective who conducted the interview were
    available for cross-examination at trial, and Cote had a copy of the detective’s
    12
    report that was written contemporaneously with the interview. Cote used the
    report to refresh the detective’s memory and elicit testimony that the victim told
    him that the assaults happened in 1991 or 1992 and that her 1994 description of the
    nature of the assaults may have differed from her account at trial. Presenting the
    recording itself as evidence therefore would have had limited additional probative
    value.
    [¶23] There are two other factors that support the conclusion that the delay
    has not prejudiced Cote. First, there is the real prospect that the recording would
    have worked to Cote’s disadvantage by allowing the jury to hear an account of the
    assaults in a child victim’s voice.      Second, because the disappearance of the
    recording while in the State’s custody was disclosed to the jury, its absence was
    actually beneficial to Cote because it allowed him to argue to the jury that the
    State’s evidence was uncertain and unreliable due to the passage of time.
    Moreover, even if Cote could have shown prejudice, he has not established a
    causal connection between the delay and the lost tape because he has not shown
    that the recording would have been available had he been indicted before 2012.
    See State v. Hutchins, 
    433 A.2d 419
    , 423 (Me. 1981).
    [¶24] Proving prejudice from pre-indictment delay is a “heavy burden.”
    U.S. v. McCoy, 
    977 F.2d 706
    , 711 (1st Cir. 1992). Because Cote was able to
    present evidence about the victim’s inconsistent statements without using the
    13
    recording, and because he has not shown that the recording would have been
    available had he been indicted earlier, the court did not err in finding that Cote
    failed to meet that burden.
    The entry is:
    Judgment affirmed.
    On the briefs:
    Stephen C. Smith, Esq., Bangor, for appellant Clarence Cote
    R. Christopher Almy, District Attorney, and Susan J. Pope,
    Asst. Dist. Atty., Prosecutorial District V, Bangor, for appellee
    State of Maine
    At oral argument:
    Stephen C. Smith, Esq., for appellant Clarence Cote
    Susan J. Pope, Asst. Dist. Atty., for appellee State of Maine
    Penobscot Unified Criminal Docket docket number CR-2012-3407
    FOR CLERK REFERENCE ONLY
    

Document Info

Docket Number: Docket Pen-14-112

Citation Numbers: 2015 ME 78, 118 A.3d 805, 2015 Me. LEXIS 87

Judges: Saufley, Alexander, Mead, Gorman, Jabar, Hjelm

Filed Date: 6/23/2015

Precedential Status: Precedential

Modified Date: 10/26/2024

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