James Edward Mercer v. Commonwealth of Virginia ( 2016 )


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  •                                            COURT OF APPEALS OF VIRGINIA
    PUBLISHED
    Present: Judges Humphreys, Beales and AtLee
    Argued at Richmond, Virginia
    JAMES EDWARD MERCER
    OPINION BY
    v.         Record No. 1897-14-2                              JUDGE ROBERT J. HUMPHREYS
    MARCH 22, 2016
    COMMONWEALTH OF VIRGINIA
    FROM THE CIRCUIT COURT OF CAROLINE COUNTY
    Jonathan C. Thacher, Judge Designate
    J. Todd Duval (McDonald, Sutton & Duval, PLC, on brief), for
    appellant.
    Craig W. Stallard, Assistant Attorney General (Mark R. Herring,
    Attorney General, on brief), for appellee.
    James Edward Mercer (“Mercer”) appeals the October 7, 2014 decision of the Circuit
    Court of Caroline County (the “circuit court”) finding that no Brady violation occurred in his
    case and its decision denying Mercer’s motion to set aside the verdict and for a new trial.
    Mercer’s single assignment of error is that the circuit court’s ruling constitutes a violation of his
    Fourteenth Amendment rights under Brady v. Maryland, 
    373 U.S. 83
     (1963), because of “the
    Commonwealth’s failure to disclose evidence about the quality and reliability of the work by the
    lab technician who performed the certificates of analysis upon which the Commonwealth’s case
    relied.”
    I. BACKGROUND
    In March 2014, a Caroline County grand jury issued three indictments against Mercer for
    distribution of a Schedule I or II drug in violation of Code § 18.2-248. On April 10, 2014,
    pursuant to Brady, Mercer filed a motion for disclosure of favorable evidence and statements. At
    Mercer’s bench trial, on June 18, 2014, he entered a plea of not guilty. Additionally, Mercer
    answered in the affirmative that it was his intent to be tried without a jury.
    At trial, Deputy Justin Cecil (“Deputy Cecil”) and Investigator Christopher Wright
    (“Investigator Wright”) of the Caroline County Sheriff’s Department (“the Department”)
    testified for the Commonwealth. Deputy Cecil testified that controlled purchases were
    conducted by the Department on September 27, 2013, October 8, 2013, and October 16, 2013.
    Investigator Wright testified that Mercer was the target of a controlled purchase operation and
    that the Department employed Charity O’Connell as its confidential informant (“C.I.”).
    Prior to each controlled purchase, Investigator Wright searched the person of the C.I. and Deputy
    Cecil searched the C.I.’s vehicle for any contraband. No contraband was ever found in these
    pre-purchase searches. Also, for each controlled purchase, Investigator Wright equipped the C.I.
    with an audio wire and gave her $100 in order to purchase narcotics.
    The September 27, 2013 and October 16, 2013 controlled purchases were conducted at
    23076 Telegraph Road. The October 8, 2013 controlled purchase occurred in a black Ford F-150
    at the C.I.’s home. Every controlled purchase was audibly recorded by the Department. For
    controlled purchases on September 27, 2013 and October 16, 2013, Investigator Wright testified
    that he was unable to see the actual residence from his surveillance point. He also testified that
    he could not see who was inside the black Ford F-150 during the second controlled purchase on
    October 8, 2013. However, he testified that he had become familiar with Mercer’s voice from
    listening to known tapes of Mercer’s conversations at the Pamunkey Regional Jail and that he
    recognized the voice of the person in the black Ford F-150 during the controlled purchase on
    October 8, 2013 to be Mercer’s voice. Additionally, the C.I. testified on behalf of the
    Commonwealth that on all three occasions she purchased cocaine from Mercer, and, after each
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    controlled purchase, the C.I. provided Investigator Wright with the purchased narcotics. Mercer
    elected not to present any evidence during his trial.
    Each of the three narcotics purchases was submitted to the Department of Forensic
    Science (“DFS”) for analysis. Nancy M. Peace (“Peace”), a forensic scientist employed by DFS,
    was the only forensic scientist to sign each certificate of analysis associated with Mercer’s case.
    All three certificates specified that the narcotics recovered in the controlled purchases were
    cocaine.
    On March 24, 2014, prior to trial and in accordance with Code §§ 19.2-187, 19.2-187.1,
    the Commonwealth provided Mercer with notice that it intended to offer each of the certificates
    of analysis into evidence. Mercer did not exercise his right to object to the admission of the
    certificates of analysis pursuant to Code § 19.2-187.1(B) and instead require the presence and
    testimony of Peace to establish the facts and scientific opinions contained in the certificates. At
    the bench trial, on June 18, 2014, each certificate was offered and admitted into evidence without
    objection. At the conclusion of the Commonwealth’s evidence, Mercer made a motion to strike
    the evidence against him. The circuit court overruled Mercer’s motion to strike. Mercer
    renewed his motion to strike the evidence, and the circuit court denied that motion as well. On
    June 26, 2014, the circuit court found Mercer guilty on three counts of distribution of a Schedule
    I or II drug, in violation of Code § 18.2-248.
    On September 17, 2014, the circuit court sentenced Mercer to five years on each count
    with three years suspended for each. Thus, he must serve a total of 15 years’ incarceration, with
    nine years suspended. Two days after his sentencing hearing, on September 19, 2014, the King
    William County Commonwealth’s Attorney, Matthew R. Kite, sent a letter notifying Mercer that
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    Peace had been terminated for cause from DFS. Peace had been terminated by letter on August
    11, 2014.1
    On October 1, 2014, Mercer filed a motion to set aside the verdict and for a new trial
    arguing that his constitutional rights under Brady were violated because the Commonwealth had
    not made him aware of Peace’s termination for cause from DFS. Thus, Mercer argued, doubt
    had been cast “upon the credibility of the analyst having signed the certificates of analysis
    [creating] a material issue, in that the nature and character of the drug being distributed is the
    corpus delicti of the crime.” The Commonwealth submitted its response, on October 6, 2014,
    noting that Mercer’s trial occurred nearly two months before it became aware of Peace’s
    termination; therefore, it could not have provided Mercer the information regarding Peace’s
    termination prior to or during trial.
    After learning of Peace’s termination, the Commonwealth promptly requested that any
    substances tested by Peace in cases then pending trial be resubmitted for testing by another
    analyst.2 Additionally, the Commonwealth reviewed Peace’s personnel records and spoke with
    the supervisor of DFS’s controlled substances section. According to the Commonwealth, it
    determined that 1) DFS utilizes a quality control program which mandates a full technical peer
    review of the data in every case before a certificate of analysis is released in order to determine
    whether the original analyst’s finding is supported by the data; 2) in May 2014, a technical
    review of Peace’s casework revealed that she had failed to recognize and identify Salvinorin A, a
    1
    We note that Peace’s termination letter was not included in the record. The only
    reference to it is in the September 19, 2014 letter written by King William County
    Commonwealth’s Attorney Matthew R. Kite to counsel for Mercer in a different case pending in
    that jurisdiction.
    2
    Because Mercer’s trial had already taken place, the evidence in this case was not
    retested.
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    Schedule I controlled substance—the failure was caught by technical peer review and corrected
    before a certificate of analysis was released; 3) Peace, on two previous occasions, had also failed
    to identify the presence of a controlled substance—each of those two failures was also caught by
    technical peer review and corrected before a certificate of analysis was released; 4) Peace never
    misidentified anything benign as a controlled substance, rather, her errors were in failing to
    identify the presence of a controlled substance; 5) due to the peer review system, even when
    Peace initially failed to identify the presence of a controlled substance, DFS never released a
    certificate of analysis that was incorrect; and 6) since Peace’s termination, thirty-five substances
    previously tested by Peace were resubmitted for testing by another analyst and in all thirty-five
    instances the new analyst confirmed Peace’s original findings. On October 7, 2014, the circuit
    court found no Brady violation in this case and denied Mercer’s motion to set aside the verdict
    and for a new trial.3
    II. ANALYSIS
    A. Standard of Review
    On appeal, this Court “will state the evidence in the light most favorable to the
    Commonwealth, the prevailing party at trial.” Bly v. Commonwealth, 
    280 Va. 656
    , 658, 
    702 S.E.2d 120
    , 121 (2010). Under Brady, “the suppression by the prosecution of evidence favorable
    to an accused upon request violates due process where the evidence is material either to guilt or
    to punishment, irrespective of the good faith or bad faith of the prosecution.” 
    373 U.S. at 87
    .
    The Commonwealth’s disclosure duty encompasses impeachment evidence as well as
    exculpatory evidence. See United States v. Bagley, 
    473 U.S. 667
    , 676 (1985). It is now a settled
    principle that there are three components of a true Brady violation: (1) the evidence at issue
    3
    The record does not contain a transcript from the hearing on the motion to set aside the
    verdict and for a new trial.
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    must be favorable to the accused, either because it is exculpatory, or because it impeaches a
    witness regarding a material fact; (2) that evidence must have been suppressed by the State,
    either willfully or inadvertently, thereby denying a defendant its use at trial; and (3) prejudice
    must have ensued. Strickler v. Greene, 
    527 U.S. 263
    , 281-82 (1999). “The accused has the
    burden of establishing each of these three components to prevail on a Brady claim.”
    Commonwealth v. Tuma, 
    285 Va. 629
    , 635, 
    740 S.E.2d 14
    , 17 (2013).
    The first two Brady components require the evidence to be favorable to the defendant and
    to have been suppressed by the prosecution. The third Brady component is that the defendant
    must prove prejudice. “Favorable evidence is material, and constitutional error results from its
    suppression by the government, ‘if there is a reasonable probability that, had the evidence been
    disclosed to the defense, the result of the proceeding would have been different.’” Bagley, 
    473 U.S. at 682
     (quoting Strickland v. Washington, 
    466 U.S. 668
    , 694 (1984)). Prejudice, like
    materiality, is “defined as a ‘reasonable probability that the outcome would have been different
    had the evidence been disclosed to the defense.’” Deville v. Commonwealth, 
    47 Va. App. 754
    ,
    756-57, 
    627 S.E.2d 530
    , 532 (2006) (quoting Muhammad v. Commonwealth, 
    269 Va. 451
    , 510,
    
    611 S.E.2d 537
    , 571 (2005)). A “reasonable probability” is a probability sufficient to undermine
    confidence in the outcome. Kyles v. Whitley, 
    514 U.S. 419
    , 433 (1995).
    B. Brady Material
    Mercer argues that the circuit court’s ruling constitutes a violation of his Fourteenth
    Amendment rights under Brady v. Maryland because of the Commonwealth’s failure to disclose
    evidence about the quality and reliability of the work by the lab technician who performed the
    certificates of analysis upon which the Commonwealth’s case relied—even though the
    Commonwealth was not aware of the lab technician’s employment status until two months after
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    the trial, but one month prior to sentencing. Before continuing with a Brady analysis, we first
    consider if the evidence in question falls within the ambit of Brady. It does not for two reasons.
    First, the point of the holding in Brady is to require disclosure of favorable evidence for
    possible use by the defense to avoid “an unfair trial to the accused.” 
    373 U.S. at 87
    . In Kyles,
    the Supreme Court of the United States made it clear that a prosecutor must “make timely
    disclosure to the defense of all evidence or information known to the prosecutor that tends to
    negate the guilt of the accused or mitigates the offense.” 
    514 U.S. at 437
     (citations omitted).
    Specifically, “the individual prosecutor has a duty to learn of any favorable evidence known to
    the others acting on the government’s behalf in the case, including the police.” 
    Id.
     For the
    purposes of this analysis, this Court assumes that DFS is included in the category of “acting on
    the government’s behalf” and that the Commonwealth is charged with knowledge of DFS’s
    actions. However, the earliest date for which the Commonwealth can be attributed the
    knowledge of Peace’s termination for cause was August 11, 2014—the date of her termination
    letter. Since this date is two months post trial, the Commonwealth, could not have provided
    Mercer the information prior to or during trial because such information did not exist at that
    time. Simply put, the information was not available to the Commonwealth prior to trial;
    therefore, the Commonwealth could not make it available to the defendant. 4
    4
    Although styled here as a Brady violation, to the extent that evidence of an exculpatory
    nature is discovered post trial where Brady is inapplicable, appropriate relief to be sought would
    seem to be a new trial based upon after-discovered evidence. In such a case and similar to the
    procedures under Brady, the moving party
    bears the burden to establish that the evidence (1) appears to have
    been discovered subsequent to the trial; (2) could not have been
    secured for use at the trial in the exercise of reasonable diligence
    by the movant; (3) is not merely cumulative, corroborative or
    collateral; and (4) is material, and such as should produce opposite
    results on the merits at another trial.
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    Second, the prong of Brady that would otherwise be applicable here is the possible
    impeachment of Peace, the forensic scientist that signed the certificates of analysis in Mercer’s
    case. Mercer argues that had he “been made aware of the performance and reliability issues of
    Nancy Peace prior to trial, [he] would have objected to the admission of the certificates of
    analysis performed by her, request that she be made available to introduce the certificates, and
    asked for a jury trial.” However, Mercer fails to satisfy the first prong of Brady because the
    evidence is neither exculpatory nor would it constitute grounds for impeachment.
    Initially, we note that the failure of Peace to identify controlled substances in three other
    unrelated cases is not exculpatory as to Mercer. Her performance as a scientist or technician in
    other cases does not establish that Mercer is innocent of these offenses, nor does the nature of it
    reduce either the offense or the penalty that may be appropriate in this case. Regarding
    impeachment, Mercer concedes that he would not be able to introduce mistakes by Peace that
    occurred in unrelated cases. Rather, he simply asserts that his strategy would have been
    different, in that had he been made aware of Peace’s employment status he would have objected
    to the admission of the certificates of analysis, called Peace to the stand, and asked for a jury
    trial. 5 In this retrospective assessment, Mercer would attempt to demonstrate that because Peace
    was terminated for cause, her findings should be considered unreliable by a new fact-finder, a
    jury. However, while we do not doubt that a different trial strategy may, with hindsight, possibly
    Odum v. Commonwealth, 
    225 Va. 123
    , 130, 
    301 S.E.2d 145
    , 149 (1983). Because Mercer did
    not raise this issue below or brief and argue it on appeal, we do not consider whether the
    evidence in this case meets these criteria. See Rule 5A:18.
    5
    In such a situation, pursuant to both Melendez-Diaz v. Massachusetts, 
    557 U.S. 305
    ,
    307 (2009), and Code § 19.2-187.1(B), the Commonwealth would be required to call the lab
    technician who performed the analysis in order to admit the evidence; otherwise, it would violate
    the defendant’s right to confront witnesses against him under the Sixth Amendment.
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    have been more efficacious, the mere possibility that an alternate trial strategy might produce a
    more beneficial result is not the proper test for a Brady violation.
    Were we to adopt Mercer’s argument in this case, this Court would have to assume
    impeachment, if even possible under the rules of evidence regarding the admissibility of relevant
    evidence, would be under a bias or prejudice theory. This is because Peace would be called as a
    government witness. This record reflects no bias or prejudice by Peace against Mercer. It goes
    without saying that we are all fallible and errors or mistakes can occur in any human endeavor
    but unless it can be shown that an error or mistake is material to a fact at issue in the case at bar,
    it has no more than speculative relevance.
    Nevertheless, in Workman v. Commonwealth, 
    272 Va. 633
    , 647, 
    636 S.E.2d 368
    , 376
    (2006), the Supreme Court of Virginia made clear that “admissibility at trial is not the final
    arbiter of any Brady violation.” Rather,
    [w]hen assessing the materiality of inadmissible evidence, we
    apply the general Brady test and “ask only . . . whether the
    disclosure of the evidence would have created a reasonable
    probability that the result of the proceeding would have been
    different.” Because of the requirement that the outcome of the
    proceeding be affected, we often consider whether the suppressed,
    inadmissible evidence would have led to admissible evidence.
    Id. at 647-48, 
    636 S.E.2d at 376
     (quoting United States v. Sipe, 
    388 F.3d 471
    , 485 (5th Cir.
    2004)).
    However, the basis for Peace’s termination was her failure to identify controlled
    substances that were present, not falsely identifying controlled substances where none existed.
    Thus, any bias theory would seem to operate in favor of Mercer rather than against him. The
    evidence in question here is not favorable to Mercer, and its disclosure would not have created a
    reasonable probability that the result of the proceeding would have been different. The record
    does not indicate that Peace ever made a false positive drug analysis. Rather, her termination
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    from DFS was due to three separate false negative readings.6 When a false negative drug screen
    occurs, a recovered substance that should have tested positive for narcotics is mistakenly read to
    be negative. Thus, the recovered substance would not be reported as a Schedule I or II substance
    and the defendant would likely not be prosecuted for a narcotics related crime. The opposite
    occurs with a false positive drug reading. In a false positive drug reading, the analyst would
    indicate that a recovered item tested positive as a controlled substance, when, in reality, it was
    not an illegal substance at all.
    The suppression of evidence of an analyst’s history that demonstrated previous instances
    of false positive drug screens might be evidence favorable to the defendant because it would
    show that the analyst had a history of indicating a recovered item was controlled and illegal
    when it was not. The effect of such findings could subject a defendant to conviction of a crime
    for which the proof may be inaccurate. However, a history of false negative readings, like
    Peace’s, only indicates that she found recovered substances not to be a controlled substance
    when, in fact, they were.
    Any fault Mercer desires to attribute to Peace’s analyses in other cases is not beneficial to
    him. Without undisclosed favorable evidence, a Brady violation cannot occur.
    C. Lack of Prejudice
    It is also clear from this record that Mercer failed to meet his burden that the “suppression
    of evidence ‘undermines confidence in the outcome of the trial.’” Workman, 272 Va. at 645,
    
    636 S.E.2d at 375
     (quoting Bagley, 
    473 U.S. at 678
    ). Here, the record supports confidence in the
    outcome of the trial.
    6
    The record is silent on the length of time between each of Peace’s three false negative
    readings.
    - 10 -
    First, every drug analysis performed by DFS is required to undergo full technical peer
    review of the data before a certificate of analysis can be released. The state has implemented this
    precautionary procedure in order to determine whether the original analyst’s finding is supported
    by the data. It was this quality control procedure that uncovered the deficiencies in other cases
    and there is no evidence that DFS’s mandatory quality control procedure was not followed in this
    case. Second, no evidence was presented that Peace ever misidentified anything as a controlled
    substance that was not; rather, the evidence shows that her errors were in failing to identify the
    presence of a controlled substance. Third, each of the thirty-five substances previously tested by
    Peace that were resubmitted for testing by another analyst returned the same result as Peace had
    originally found.
    Therefore, we conclude that, in this case, confidence in the verdict remains intact,
    regardless of Peace’s post-trial termination, because no reasonable doubt exists that the three
    certificates of analysis returned in Mercer’s case were accurate in Peace’s conclusion that they
    tested positive for cocaine. Also, there is no indication in the record that the substances
    submitted to DFS were not recovered by the Department during its controlled purchase operation
    targeting Mercer. Regardless of the allegations surrounding Peace, the Commonwealth proved
    that Mercer distributed a Schedule I or II controlled substance on three separate occasions. Thus,
    Mercer has failed to meet the third prong of the Brady analysis that prejudice resulted from
    favorable evidence that was suppressed by the government.
    III. CONCLUSION
    For the foregoing reasons, we affirm the judgment of the circuit court that there was no
    Brady violation and conclude that Mercer’s motion to set aside the verdict and for a new trial
    was properly denied.
    Affirmed.
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