State v. Navarro-Calzadillas , 2017 NMCA 34 ( 2017 )


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    integrity of this document
    New Mexico Compilation
    Commission, Santa Fe, NM
    '00'04- 15:32:46 2017.04.13
    Certiorari Granted, March 16, 2017, No. S-1-SC-36307
    IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO
    Opinion Number: 
    2017-NMCA-034
    Filing Date: January 24, 2017
    Docket No. 34,667
    STATE OF NEW MEXICO,
    Plaintiff-Appellant,
    v.
    ARMANDO NAVARRO-CALZADILLAS,
    Defendant-Appellee.
    APPEAL FROM THE DISTRICT COURT OF BERNALILLO COUNTY
    Jacqueline D. Flores, District Judge
    Hector H. Balderas, Attorney General
    Santa Fe, NM
    for Appellant
    Garcia Ives Nowara
    Zachary A. Ives
    Molly Schmidt-Nowara
    Albuquerque, NM
    for Appellee
    OPINION
    HANISEE, Judge.
    {1}  The State appeals from the district court’s April 2, 2015 order granting Defendant
    Armando Navarro-Calzadillas’s motion to exclude witnesses. Because this matter is
    1
    governed by the special calendar portion of LR2-400 NMRA (2014)1, the case management
    pilot rule in the Second Judicial District Court (the local rule), see LR2-400(L) (2014); LR2-
    400.1 NMRA, and given this Court’s concerns with reconciling the requirements of the local
    rule with Supreme Court precedent that places limitations on the district court’s discretion,
    we certified this matter to our Supreme Court. The Supreme Court quashed certification and
    directed our attention to specific language contained in LR2-400(A) (2014), adding that “the
    Court is confident that the Court of Appeals is fully capable of applying this Court’s textual
    direction in . . . that prior procedural precedents apply to cases governed by the [local] rule
    only ‘to the extent they do not conflict with’ [the local rule.]” Having now examined
    applicable provisions of the local rule alongside the clear directives of State v. Harper, 2011-
    NMSC-044, ¶ 16, 
    150 N.M. 745
    , 
    266 P.3d 25
     (requiring a trial court’s consideration of
    lesser sanctions in certain circumstances), we reverse.
    BACKGROUND
    {2}     Defendant was indicted on March 19, 2014, on charges of criminal sexual penetration
    in the first degree and criminal sexual contact of a minor in the third degree. On April 11,
    2014, Defendant was arraigned and released on his own recognizance. A status conference
    was held on December 8, 2014, and case-related deadlines were set. Although no formal
    scheduling order was issued, the parties agree that the pretrial witness interview deadline
    was February 13, 2015.
    {3}     On February 24, 2015, the State filed a motion to extend the pretrial witness
    interview deadline until March 13, 2015. The State asserted that it had good cause in seeking
    additional time, given the late disclosure of the name of the alleged victim’s therapist and
    difficulties scheduling witness interviews. The district court, however, denied the State’s
    motion, concluding that no good cause existed to extend the district court’s previously
    scheduled deadline.
    {4}    Following the district court’s ruling, Defendant filed a motion to exclude witnesses.
    According to the allegations contained in Defendant’s motion to exclude, defense counsel
    had asked the prosecutor about setting up witness interviews at a status conference on
    August 27, 2014, and via e-mail on October 28, 2014, November 6, 2014, and November 11,
    2014. On November 12, 2014, the prosecutor responded that he still needed to talk to the
    alleged victim and her parents about the case. The parties met on November 21, 2014, and
    defense counsel asserts that she then, again, requested interviews.
    {5}     Shortly thereafter, interviews were scheduled to take place on January 15, 2015.
    Interviews of the two investigating officers were planned for the morning, and the alleged
    victim’s family members were to be interviewed at 3:30 p.m. One of the officers was
    1
    Pursuant to Supreme Court Order No. 16-8300-015, former LR2-400 (2014) was
    recompiled and amended as LR2-308 NMRA, effective December 31, 2016.
    2
    interviewed that morning; the other officer did not appear for the interview due to illness.
    Because the alleged victim’s family members were running late and defense counsel
    indicated she could not wait long, the afternoon interviews were cancelled. The alleged
    victim was not scheduled to be interviewed on January 15, 2015.
    {6}     Interviews were rescheduled for February 12, 2015, based on the alleged victim’s
    father’s availability, which was limited to Thursday afternoons. Defense counsel did not
    appear for the scheduled interview of the remaining officer and asserted that the interview
    had been improperly calendared at her office. While the interviews of the alleged victim’s
    family occurred that afternoon, an interview with the alleged victim had still not been
    scheduled. The deadline to complete witness interviews was the following day. The State
    filed its above-mentioned motion to extend the deadline for completing the witness
    interviews, which the district court denied. Acting pursuant to the special calendar rule, and
    given that witness interviews were not complete, the district court granted Defendant’s
    motion to exclude those witnesses that had yet to be interviewed. The State appeals.
    DISCUSSION
    {7}     The State raises three issues on appeal relating to the district court’s exclusion of its
    witnesses. To resolve this appeal, this Court must reconcile any conflicts between the
    provisions of the special calendar rule and pre-existing case law governing the district
    court’s discretion in excluding witnesses. For the purpose of this opinion, we assume without
    deciding that the textual directive contained in the special calendar rule can do what it
    purports to do and overcome existing and conflicting case law on criminal procedure.2 We
    therefore begin with a discussion of the requirements of the special calendar rule, and then
    turn to restrictions on the district court’s exercise of discretion established by case law,
    before determining whether a conflict exists.
    I.      Special Calendar Rule
    {8}     The local rule creates clear and limited time frames for the progression of criminal
    cases in the Second Judicial District Court. The provisions of the local rule, which was
    amended in 2016, see LR2-400 NMRA (2014) (recompiled and amended as LR2-308
    NMRA), require that cases filed in the Second Judicial District Court after June 30, 2014,
    are subject to the requirements of the local rule, while cases filed on or before June 30, 2014,
    2
    We note that the case management pilot rule that was promulgated by the Supreme
    Court contains an identical provision, stating that existing case law on criminal procedure
    continues to apply barring some conflict with the local rule. Here, the special calendar rule
    was promulgated by the Second Judicial District Court, and while our district courts would
    not generally possess such authority, the special calendar rule was promulgated at the
    direction of, and largely tracks, the case management pilot rule enacted by Supreme Court
    order.
    3
    are placed on a special calendar. See LR2-400(L) (2014). The time frames and requirements
    of the special calendar were established by an order of the Second Judicial District Court and
    are found in LR2-400.1. Given that Defendant was indicted on March 19, 2014, this case is
    subject to the requirements of the special calendar rule. See LR2 400(L) (2014). While the
    special calendar rule tracks, in large part, the provisions of the local rule, LR2-400.1 contains
    some notable distinctions for dealing with older, and perhaps more complex, cases.
    A.      Discovery Provisions
    {9}     Pursuant to the special calendar rule, the parties are required to make available all
    discovery required by Rule 5-501(A) NMRA within ten days of the February 2, 2015
    effective date for the rule, unless already disclosed. LR2-400.1(D). In addition to disclosures
    required by Rule 5-501(A), the parties are required to provide “phone numbers and e-mail
    addresses of witnesses if available, copies of documentary evidence, and audio, video, and
    audio-video recordings made by law enforcement officers or otherwise in possession of the
    state, and a ‘speed letter’ authorizing the defendant to examine physical evidence in the
    possession of the state.” LR2-400(D)(1) (2014). The special calendar rule defines evidence
    in possession of the state to include “[e]vidence in the possession of a law enforcement
    agency or other government agency[.]” LR2-400.1(D)(3). The special calendar rule allows
    a party to request to “withhold specific contact information if necessary to protect a victim
    or a witness.” LR2-400.1(D)(1). However, “the party seeking the order shall arrange for a
    witness interview or accept at its business offices a subpoena for purposes of deposition[.]”
    LR2-400.1(D)(1). Pursuant to the special calendar rule, the district court must impose
    sanctions for discovery violations. LR2-400.1(D)(4) (“If either party fails to comply with
    any of the provisions of this section, the court shall impose sanctions, which may include
    dismissal of the case with or without prejudice, prohibiting the party from calling a witness
    or introducing evidence, monetary sanctions against either the attorney or the attorney’s
    agency, or any other sanction deemed appropriate by the court.” (emphasis added)).
    B.      Deadlines and Extensions
    {10} Pursuant to the special calendar rule, the deadlines for cases are established by a
    scheduling order that takes into consideration the following: “the complexity of the case”;
    “whether the defendant is in custody, provided custody weighs in favor of shorter deadlines,
    regardless of the complexity of the case”; “length of time the case has been pending”;
    “whether the case is presently ready for trial”; and “the availability of trial dates on the
    [c]ourt’s docket.” LR2-400.1(I)(3). A scheduling conference is required to be held within
    120 days of the special calendar rule’s February 2, 2015 effective date, LR2-400.1(I), and
    a scheduling order is required to be entered within ten days of the scheduling conference. See
    LR2-400.1(J). Because the special calendar governs cases that were pending for over seven
    months prior to enactment of the rule, the special calendar rule contains a provision that
    allows the parties to stipulate to a previously entered scheduling order or to submit a
    stipulated scheduling order for approval by the district court. See LR2-400.1(J)(1). The
    deadlines contained in the scheduling order can be extended “[f]or good cause shown . . . for
    4
    a period of twenty . . . days, so long as the extension does not result in an extension of the
    trial date.” LR2-400.1(J)(3). “If a party fails to comply with any provision of the scheduling
    order, the court shall impose sanctions as the court determines is appropriate in the
    circumstances, such as suppression, exclusion, dismissal, monetary sanctions against either
    the attorney or the attorney’s government agency, or any other sanction deemed appropriate
    by the [c]ourt.” LR2-400.1(J)(4) (emphasis added). An extension of the trial date of no more
    than forty-five days is only permitted upon a “showing of good cause which is beyond the
    control of the parties or the court.” LR2-400.1(P). Any further extensions must be supported
    by exceptional circumstances and approved by the chief judge of the Second Judicial District
    Court; otherwise, if the trial cannot be held on the date scheduled, dismissal with prejudice
    is required. See LR2-400.1(P).
    II.    Limitations on the District Court’s Exercise of Discretion
    {11} As noted above, the special calendar rule requires sanctions for violations of
    discovery obligations, see LR2-400.1(D)(4), and violations of deadlines established in the
    scheduling order, see LR2-400.1(J)(4). While sanctions are mandatory under the special
    calendar rule, the type of sanction is left to the discretion of the district court judge to
    determine what is appropriate in the given circumstance. Although the special calendar rule
    provides examples of the type of sanctions available, including the exclusion of witnesses,
    our New Mexico Supreme Court has placed limitations on the district court’s ability to
    exclude witnesses absent clear criteria.
    {12} In Harper, our Supreme Court held that “the exclusion of a witness is improper
    absent an intentional refusal to comply with a court order, prejudice to the opposing party,
    and consideration of less severe sanctions[.]” 
    2011-NMSC-044
    , ¶ 15. In reaching this
    determination, our Supreme Court noted that “[a] court has the discretion to impose
    sanctions for the violation of a discovery order that results in prejudice to the opposing
    party” but that “[e]xtreme sanctions such as dismissal are to be used only in exceptional
    cases.” Id. ¶ 16 (internal quotation marks and citation omitted). Our Supreme Court pointed
    out that “[t]he trial court should seek to apply sanctions that affect the evidence at trial and
    the merits of the case as little as possible.” Id. (alteration, internal quotation marks, and
    citation omitted). Moreover, our Supreme Court stated that “the refusal to comply with a
    district court’s discovery order only rises to the level of exclusion or dismissal where the
    [s]tate’s conduct is especially culpable, such as where evidence is unilaterally withheld by
    the [s]tate in bad faith, or all access to the evidence is precluded by [s]tate intransigence.”
    Id. ¶ 17. And, that “even when a party has acted with a high degree of culpability, the severe
    sanctions of dismissal or the exclusion of key witnesses are only proper where the opposing
    party suffered tangible prejudice.” Id. ¶ 19; see id. ¶ 16 (stating that “[p]rejudice must be
    more than speculative; the party claiming prejudice must prove prejudice—it is not enough
    to simply assert prejudice”). Finally, our Supreme Court stated that “prejudice does not
    accrue unless the evidence is material and the disclosure is so late that it undermines the
    defendant’s preparation for trial.” Id. ¶ 20. Therefore, to reiterate, Harper requires that in
    order for the district court to exclude material witnesses there must be: (1) “an intentional
    5
    refusal to comply with a court order,” (2) “prejudice to the opposing party,” and (3)
    “consideration of less severe sanctions[.]” Id. ¶ 15. It is the latter requirement on which we
    focus our attention herein.
    III.    No Conflict Exists Under Specific Facts of This Case
    {13} Having considered the provisions of the special calendar rule and the requirements
    of Harper, we conclude that under the facts of the present case no conflict is presented and,
    therefore, Harper still limits the district court’s ability to exclude witnesses. In reaching this
    determination, we do not disregard the special calendar rule’s requirement that sanctions be
    imposed for failure to comply with the time requirements of the special calendar rule. See
    LR2-400.1(J)(4). However, we note that a lesser sanction was still available to the district
    court—namely, dismissal without prejudice. Thus, we conclude that when the district court
    has a course of action before it that allows it to choose a sanction other than exclusion of
    witnesses that will still remedy the violation and, therefore, comply with the special calendar
    rule, under those circumstances a conflict between the special calendar rule and Harper does
    not exist.
    {14} Defendant contends that the conflict between Harper and the new case management
    provisions runs much deeper, as the two represent fundamentally different approaches.
    Defendant argues that “[b]y requiring sanctions for every discovery violation . . . the special
    calendar rule conflicts with all statewide rules of criminal procedure and existing case law.”
    (Emphasis added.) Defendant points out that prior to the implementation of these new case
    management rules in the Second Judicial District Court, the imposition of sanctions was
    discretionary, and the exercise of that discretion was curtailed by “rigid” case law.
    Defendant contends that the special calendar rule is intended to be much more flexible and
    provide the district court with broader discretion in imposing sanctions.
    {15} While Defendant offers one interpretation of the breadth of the case management
    provisions found in the local rule and special calendar rule, we decline to take such an
    approach in reconciling the new requirements in the Second Judicial District with prior case
    law. In applying the textual directive contained in the local rule and LR2-400.1(A), we
    remain acutely aware of our role as an intermediate appellate court. When we must choose
    between an approach that would upend Supreme Court case law, such as Harper, and
    possibly, as Defendant argues, “all statewide rules of criminal procedure and existing case
    law,” and an approach that allows us to continue to apply both Supreme Court precedent and
    the new case management provisions, in an abundance of caution we will choose the latter.
    (Emphasis added.) Thus, we interpret the special calendar rule’s use of broad strokes in
    discussing sanctions to allow for the continued application of Harper where a lesser sanction
    can still remedy the prejudice caused by the failure to comply, rather than declare Harper
    inapplicable in only the Second Judicial District Court.
    {16} Because we conclude that Harper still applies under the circumstances of this case,
    we also hold that the district court abused its discretion in excluding witnesses without first
    6
    ensuring that the Harper criteria were met. Defendant reminds us that our review of the
    district court’s imposition of sanctions is for an abuse of discretion, and that, in order to
    reverse, we must conclude that the district court’s sanction order was “clearly against the
    logic and effect of the facts and circumstances of the case” and “clearly untenable or not
    justified by reason.” See Wilde v. Westland Dev. Co., 
    2010-NMCA-085
    , ¶ 30, 
    148 N.M. 627
    ,
    
    241 P.3d 628
     (internal quotation marks and citation omitted). Defendant reminds us also that
    this is a highly deferential standard and that we presume correctness in the district court’s
    rulings. While Defendant is correct in his recitation of our standard of review, Harper makes
    clear what constitutes an abuse of discretion in this context. 
    2011-NMSC-044
    , ¶ 27 (“Under
    the circumstances of this case, failure to impose a less severe sanction, together with the lack
    of any proof of prejudice to [the defendant] or an intentional refusal to obey the district
    court’s discovery directive, constituted an abuse of discretion.”). According to Harper,
    “exclusion of witnesses requires an intentional violation of a court order, prejudice to the
    opposing party, and consideration of less severe sanctions[.]” Id. ¶ 2 (emphasis added).
    Given that the district court did not ensure that these criteria were met, we conclude that the
    district court abused its discretion. See N.M. Right to Choose/NARAL v. Johnson, 1999-
    NMSC-028, ¶ 7, 
    127 N.M. 654
    , 
    986 P.2d 450
     (“[W]e may characterize as an abuse of
    discretion a discretionary decision that is premised on a misapprehension of the law.”
    (alteration, internal quotation marks, and citation omitted).
    {17} Finally, while we rely on the availability of dismissal without prejudice as a means
    by which the district court may remedy the harm caused by the state’s failure to comply with
    the requirements of the special calendar rule, and adhere to Harper, we have not concluded
    that this is the only course of action available to the district court. We therefore reverse the
    district court’s order excluding witnesses because the district court does not appear to have
    considered the Harper criteria in rendering its decision, but leave open the possibility under
    Harper that the district court may—under the facts of this case—fashion an appropriate
    lesser sanction that remedies the harm caused by the state’s action and acts to deter future
    violations by the state—which may include, among other possibilities, dismissal without
    prejudice.
    {18} Defendant asserts that dismissing the case without prejudice as a sanction results in
    additional prejudice to Defendant because it “start[s] the entire process over from the
    beginning with yet another grand jury proceeding, likely followed by pretrial discovery and
    motion practice.” Defendant also asserts that utilizing dismissals without prejudice as a
    sanction, rather than exclusion, will provide an incentive for prosecutors to miss deadlines
    in an attempt to get a new judge or in an attempt to get more time. We note, however, that
    upon refiling the district court may issue a scheduling order that provides for even less time
    than that allotted under LR2-400 to complete discovery and pretrial motions. See LR2-
    308(G)(5) (“Additional requirements may be included in the scheduling order at the
    discretion of the assigned judge and the judge may alter any of the deadlines described in
    Subparagraph (G)(4) of this rule to allow for the case to come to trial sooner.”). Thus, given
    the short time constraints of the local rule and the ability of the district court to make those
    time constraints even shorter, it is possible for cases to be dismissed without prejudice,
    7
    reindicted, and tried in less time than cases that were prosecuted prior to the enactment of
    the local rule— satisfying both the purpose of the local rule and allowing defendants to still
    avoid oppressive delay. To the extent Defendant contends that prosecutors will use
    dismissals without prejudice to their advantage—to procure more time or a different
    judge—prosecutors would be well-advised to avoid such behavior. Not only would this
    establish intentional bad faith conduct on the part of the prosecutor and satisfy at least one
    of the Harper criteria, but “[i]f the case has been re-filed following an earlier dismissal,
    dismissal with prejudice is the presumptive outcome for a repeated failure to comply with
    th[e] rule[.]” LR2-308(I)(2). Thus, given the extreme restrictions on continuances contained
    in the local rule, a dismissal without prejudice would permit new deadlines to be established,
    allowing Defendant the opportunity to still have meaningful process by interviewing the
    witnesses against him, while still serving as a warning to the State that further failures to
    adhere to the requirements of the local rule may result in the State being barred from
    prosecuting Defendant.3
    {19} Based on the foregoing, we reverse the district court’s order excluding witnesses and
    remand for consideration of the Harper criteria and imposition of an appropriate sanction.
    {20}   IT IS SO ORDERED.
    ____________________________________
    J. MILES HANISEE, Judge
    WE CONCUR:
    ____________________________________
    LINDA M. VANZI, Chief Judge
    ____________________________________
    JULIE J. VARGAS, Judge
    3
    We note that this avenue is curtailed to some degree by the revisions to the local
    rule. See LR2-308(I)(4) (prohibiting the sanction of dismissal, with or without prejudice,
    where “the state proves by clear and convincing evidence that the defendant is a danger to
    the community” and “the failure to comply with th[e] rule is caused by extraordinary
    circumstances beyond the control of the parties”).
    8
    

Document Info

Docket Number: 34,667

Citation Numbers: 2017 NMCA 34

Filed Date: 1/24/2017

Precedential Status: Precedential

Modified Date: 4/18/2017