Whittemore, J.
These are appeals by two defendants convicted of soliciting a bribe and conspiracy to solicit a bribe. The proceedings and the trial were subject to G. L. c. 278, §§ 33A-33G.
[97]*97The conspiracy indictment charged that the defendants Favulli and Sullivan, with Joseph E. Crimmins and Ernest C. Stasiun, all then being members of the Executive Council of the Commonwealth, and Foster Furcolo, then the Governor, conspired with each other and with Leo F. Benoit (not a defendant) and others not named to request and accept from Mr. Furcolo, Benoit, and others money for their votes to confirm the nomination of Anthony N. DiNatale as Commissioner of the Department of Public Works. At the close of the evidence the judge directed a verdict of not guilty as to Mr. Furcolo. There were verdicts of guilty against the other four defendants. Stasiun and Crimmins, after claiming appeals, withdrew them and began the service of their sentences. See Massachusetts Bar Assn. v. Cronin, 351 Mass. 321, 324-325.
Separate indictments charged in one count that the Coun-cillor named therein had solicited a gift or gratuity for his vote for the confirmation of DiNatale and in a second count that he had accepted the gift or gratuity. Verdicts were directed under the second counts.
The Pleas in Abatement.
The ground stated in the pleas of the defendants was “That during the proceedings before the Grand Jury, which resulted in this indictment, there was present at all times . . . counsel for the Crime Commission, who had been engaged in the preparation of the case against the Defendant; that . . . [such] presence . . . even under the guise as a so-called Special Assistant Attorney General, was in violation of the Defendant’s rights under Article 12 of the Declaration of Eights.”
The pleas were dealt with as raising also an issue under art. 30 of the Declaration of Eights.
(1) The right of review on appeal.
General Laws c. 278, § 27,1 as appearing in St. 1962, c. 480, [98]*98in terms makes “final” as to defendants the decision of the Superior Court on pleas in abatement. Section 33B provides : “A defendant in a case . . . made subject to . . . [§§ 33A-33G-] aggrieved by an opinion, ruling, direction or judgment . . ., rendered upon any question of law arising out of such case . . . but not upon a plea in abatement, who desires to appeal therefrom . . . shall . . . file a claim of appeal . . ..” The General Court in giving a right of appeal to the Commonwealth from the decision upon a plea in abatement rejected a proposal to express a right of appeal in the defendant. 1962 House Bill Nos. 1552, 3707. 1962 Senate Bill No. 691. St. 1962, c. 480.
In Commonwealth v. Hanley, 337 Mass. 384, 386, cert. den. sub nom. Hanley v. Massachusetts, 358 U. S. 850, we said, as to an appeal under c. 278, §§ 33A-33G, “We do not think that . . . c. 278, § 27 . . . can operate to deprive the defendant of a review of a decision so far as it involves a constitutional right.” The Commonwealth in oral argument referred to a conflict between the Hanley case and Commonwealth v. Kozlowsky, 238 Mass. 379, 391, where, after reviewing and declaring constitutional the overruling of a plea, this court held that, in any event, § 27 was a conclusive answer to the attempt to present the issue on exceptions.
Without consideration of the statutory provisions, this court in a number of other cases arising on exceptions or appeal has reviewed constitutional issues raised by decisions on pleas in abatement. Commonwealth v. Clune, 162 Mass. 206. Commonwealth v. Harris, 231 Mass. 584, 586-587. Commonwealth v. Geagan, 339 Mass. 487, 495-498 (cert. den. sub nom. Geagan v. Massachusetts, 361 U. S. 895). Commonwealth v. Monahan, 349 Mass. 139, 157-158. Commonwealth v. Slaney, 350 Mass. 400, 401-402. In Commonwealth v. Woodward, 157 Mass. 516, the overruling of the plea was sustained on evidentiary, not constitutional, grounds.
The implication of an exception of constitutional issues from the statutory bar of review in due course of decisions on pleas stems from the constitutional rights of every per[99]*99son witMn the jurisdiction to be tried in accordance with the law of the land and assured the equal protection of the laws. It will not do to have an important constitutional issue resolved by this court upon report in one case (as will result if, in his discretion, a judge in the Superior Court acts under c. 278, § 30A), and yet stand decided to the contrary for purposes of another case on the unreported decision of the judge there ruling. Equally unreasonable would be two opposing unreported Superior Court rulings on the same constitutional issue in different cases.
Nor do we think that, as to a case in which Q-. L. c. 278, §§ 33A-33G, have been made applicable, the defendant should be restricted to writ of error for an adjudication of the constitutional issues. For the availability of the writ, see, by analogy, the cases cited in MacKenzie v. School Comm. of Ipswich, 342 Mass. 612, 614. The issues would not stand differently if so presented. Section 33A requires that the evidence be taken and certified in “any proceeding or trial” made subject to §§ 33A-33G-. This evidence so far as necessary to determine the constitutional issues would be available on writ of error. Brown v. Commonwealth, 335 Mass. 476, 479-480. Sandrelli v. Commonwealth, 342 Mass. 129, 141-143. See Shoppers’ World, Inc. v. Assessors of Framingham, 348 Mass. 366, 376, fn. 9. It is highly inadvisable that the resolution of threshold constitutional issues, which upon a report could have been decided before trial, be postponed any longer than our present statutes and procedures inescapably require, or that there be separate appellate procedures where no substantive purpose is served. Indeed the statutory scheme that brought in §§ 33A-33G- also showed an intention that, so far as might be, reviewable issues of law should be reviewed on appeal rather than on writ of error. Guilmette v. Commonwealth, 344 Mass. 527, 529.
(2) The alleged violation of art. 30 of the Declaration of Bights following the appointment of persons who were attorneys for the commission as assistants to the Attorney General.
[100]*100Resolves 1962, c. 146, creating the so called “Massachusetts Crime Commission” provided in part: “Upon order of the commission its counsel shall present to a grand jury for its action, or submit to the attorney general, a district attorney or other law enforcement agency, such evidence which has come to the attention of the commission as in the opinion of the commission warrants such presentation or submission. ’ ’
The judge, as the evidence warranted, found that the commission had proceeded by referral to the Attorney General and that none of its attorneys were authorized by the commission to present matters directly to the grand jury. The Attorney General had complete control of the presentation of grand jury evidence submitted by the commission. Facts peripherally related to the indictments, having been referred to the Attorney General, “were developed by him from facts already in his possession, that resulted in the matter being presented to the Grand Jury.”
Attorneys who were or had been paid counsel for the commission participated in the presentation of the evidence to the grand jury. In this work each was acting as a duly appointed special assistant to the Attorney General without compensation. One attorney was active as such special assistant in the presentation of cases to the grand jury over an extended period during which he was on the staff of the commission. He did not charge the commission for time spent in the grand jury room but did charge it for time devoted on the same days to preparing evidence for presentation to the grand jury. These special assistants presented or assisted in presenting evidence as to matters which they had investigated for or presented to the commission.
There is no doubt that the commission was an agent of the General Court performing an appropriate investigatory function. Commonwealth v. Benoit, 347 Mass. 1, 6. Sheridan v. Gardner, 347 Mass. 8,16-18. Gardner v. Massachusetts Turnpike Authy. 347 Mass. 552, 558-559. We have already ruled that art. 30 was not violated by the provisions [101]*101of the resolve for the use by law enforcement agencies of evidence uncovered by the legislative commission. Sheridan v. Gardner, supra, 17-18. The issue adverted to in Gardner v. Massachusetts Turnpike Authy., supra, 558-559, but now for the first time presented for decision, is whether the legislative department was participating in presenting the evidence to the grand jury in violation of art. 30.
In Cosmopolitan Trust Co. v. Mitchell, 242 Mass. 95, 116, this court stated the controlling principle by quoting from Kilbourn v. Thompson, 103 U. S. 168, 191: “It is also essential to the successful working of this system that the persons intrusted with power in any one of these branches shall not be permitted to encroach upon the powers confided to the others, but that each shall ... be limited to the exercise of the powers appropriate to its own department and no other.”
There is nothing inherently repugnant to the concept of separation of powers that agents of one branch also act as agents of the other. Of course these agents of an instrumentality of the General Court were not legislators. The task of the attorneys for the commission was to ferret out and present to the commission the facts as to suspicious conduct suggestive of corruption in government. Although serving a legislative purpose, this work was not in its own nature legislative. “The ascertainment of facts in its essence is not a legislative function. ’ ’ Attorney Gen. v. Bris-senden, 271 Mass. 172, 180. Such work by these agents of the commission was genetically like that of agents of the executive department in discovering crime and presenting the facts to a grand jury.
Only duly appointed subordinates of the Attorney General or that official himself dealt with the grand jury. These subordinates had no obligation to the commission or to its principal the General Court in any degree inconsistent with their duties as special assistants to the Attorney General. The defendants refer to the assertion of the commission in its Third Annual Report, December 2, 1963, p. 2: “Its recommendations for remedial legislation will not [102]*102carry weight unless the existence and nature of corruption can be shown by naming the persons who have been guilty of corrupt practices and by describing the patterns of their corruption. This cannot be done until their guilt has been proven by their conviction.” In thus showing that a specific legislative purpose would be served by action which was in any event required in the public interest, the commission did not disqualify persons who acted as its attorneys from action in the executive department.
We reject the suggestion that the commission or its agents, because of their legislative authority and obligation or for any other reason, would wish to have indictments if the facts fairly presented to a grand jury did not so warrant. Neither the commission nor its agents had any personal concern, as might be the case of a citizen who had been wronged by what he believed to be criminal conduct. Compare Commonwealth v. Gibbs, 4 Gray, 146. The members of the commission were unpaid, and might neither hold public office, except that of justice of the peace or notary public, nor be members of any political committee. Not more than four of its seven members could be members of the same political party. The independence and impartiality of the commission were reasonably assured. The agents referred to were members of the bar. Their commitment to securing an indictment of persons who, as their investigation appeared to indicate, were guilty of crime was not different from the commitment of the usual public prosecutor to the same end. The defendants themselves cite Smith v. Commonwealth, 331 Mass. 585, 591, “It is well understood that the duty of a district attorney is not merely to secure convictions.” And see American Bar Association, Canons of Professional Ethics, No. 5: “The primary duty of a lawyer engaged in public prosecution is not to convict, but to see that justice is done.”
The commission, of course, did not directly exercise the power set forth in the resolve to “present” matters to the grand jury. See the Sheridan case, supra, 347 Mass. at 15-16. Nor did it do so indirectly. On the facts found, the [103]*103Attorney General’s action was the product of his own decision, in no way dictated or controlled by any members of the commission or of its staff. All exercise of power by the commission ended when the matter referred reached the Attorney General. Opinion of the Justices, 208 Mass. 610, 613. There was no merger of functions in the persons of his assistants.
What this court has held and its Justices have said support our construction. In Attorney Gen. v. Brissenden, 271 Mass. 172, 180, 183, the court upheld the appointment of the Attorney General as a special investigating committee for the General Court. Accord, Nelson v. Wyman, Atty. Gen. 99 N. H. 33. See also Opinion of the Justices, 328 Mass. 655, 661.
In Opinion of the Justices, 307 Mass. 613, 618, the Justices were of the opinion that membership on a local Federal draft board and the holding of the office of judge of the Superior Court would not be constitutionally incompatible. They said: “Moreover, though a judge of the Superior Court is a part of the judicial department of the government of this Commonwealth, the powers that would be conferred upon him by his appointment as a member of a local board or of an appeal board would be conferred upon him as an individual, and not as a part of the judicial department of the Commonwealth.”
An illustration of what would be a violation of art. 30 is presented in Ames v. Attorney Gen. 332 Mass. 246, 253, where this court held that it would constitute intolerable interference by the judiciary with the executive department for the court to require that the Attorney General permit the use of his name in a suit to determine whether proposed action by a trustee would be a breach of trust. Compare also Denny v. Mattoon, 2 Allen, 361, 376-380; Forster v. Forster, 129 Mass. 559, 561-562. See also The Federalist, No. 47, where Madison develops the thesis that the origin of the concept of separation of powers is that to avoid tyranny the whole power of one of the three departments must not be exercised by another department.
[104]*104We conclude that there was no violation of art. 30 of the Declaration of Bights.
(3) The alleged violation of art. 12 of the Declaration of Bights because of the presence in the grand jury room of several special assistants to the Attorney General.
We have dealt above with the contention that the special assistants to the Attorney General, because they were also agents of the crime commission, were unauthorized strangers in the grand jury room. We rule that this presence did not contravene the established grand jury procedures (see Jones v. Robbins, 8 Gray, 329) which are guaranteed by art. 12. The authorities relied on by the defendants are not in point. Commonwealth v. Harris, 231 Mass. 584, Opinion of the Justices, 232 Mass. 601, 602, 604, and Lebowitch, petitioner, 235 Mass. 357, 362, dealt with the presence of persons other than duly appointed prosecutors.
The defendants lay stress, however, on the number of assistants present at the same time and particularly to six prosecutors being present on October 13,1964, the day when the indictments were returned. As to this issue, the judge, in accordance with the evidence, found that except on two days the number of assistants or special assistants to the Attorney General present in the grand jury room did not exceed three, and that on October 7 and October 13, during the presentation of testimony, the number of assistants or special assistants present was five, and that on those days the Attorney General was also present, and that all the attorneys sat at a table reserved for counsel. In overruling the plea, he found or ruled in part as follows: “The limitations of inquiry into deliberations and hearings in the Grand Jury room necessarily require speculation as to the simplicity or complexity of the matter being presented. Therefore, there can be no yardstick to determine what is a reasonable number .... The efficiency of presentation of evidence may have required different assignments to different Assistants for various aspects of the hearing. The Assistants involved in the allegations of the Plea are persons who were connected with the investigation or prep-[105]*105oration and production of the evidence associated with the indictments .... They were not witnesses, bystanders, or spectators while in the Grand Jury room. They were authorized persons, within the meaning of the law.-. . . [T]his procedure did not destroy the force and vital principle of the oath . . . [of secrecy].”
The judge correctly applied the applicable constitutional principles. Article 12 was not violated. The defendants err in suggesting that our cases either limit to a specific number the prosecutors who may be present or require that the number be determined only by the imperative necessities of the presentation. In Opinion of the Justices, 232 Mass. 601, 603, it was said, “It has been the practice for more than two hundred years for . . . [the grand jury proceedings] to be in private, except that the district attorney and his assistant are present.” In Commonwealth v. Kozlowsky, 238 Mass. 379, 390, the court said: “The power of the Attorney General . . . enabled him personally or by his assistant to be present . . ..” There is in these words no implication that the presence of more than one assistant would be contrary to the law of the land. The practice, noted by the court, that two prosecutors customarily be present, appears founded in the convenience of the presentation rather than any inherent necessity. In Lebowitch, petitioner, 235 Mass. 357, 361-362, the court noted that the rule of the Harris case, 231 Mass. 584 (the presence of two policemen and other persons was unconstitutional), was founded in the requirement of secrecy. The court, after giving certain illustrations of exceptions to the rule that no “more than one person” may be present, concluded that it “is only when some imperative compulsion requires . . . that more than one stranger at a time may be before the grand jury” (emphasis supplied). In Opinion of the Justices, 232 Mass. 601, 604 (with reference to the Harris case, supra,) it was not numbers that the court referred to but rather “the attendance of a police officer [that] would afford opportunity for subjecting witnesses to fear or intimidation. ’ ’
[106]*106There are, we think, two controlling principles: (1) The prosecutor has discretion as to the use of assistants and (subject to the principle next stated) may have present from time to time such reasonable number as he deems appropriate. (2) In presenting eases to the grand jury the prosecutor and his assistants must scrupulously refrain from words or conduct that will invade the province of the grand jury or tend to induce action other than that which the jurors in their uninfluenced judgment deem warranted on the evidence fairly presented before them.
This court will assume, as did the judge below, that, unless the facts require another conclusion, the prosecutor did not have assistants present for any other purpose than the effective presentation of the evidence. This assumption being applicable, the burden is not on the Commonwealth to show a necessity, or indeed the reason, for the presence of the prosecutors as distinguished from strangers.
We reject the contention that the presence of six prosecutors on two occasions in itself shows an overstepping of the prosecutor’s function and an invasion of that of the grand jury. It was not beyond reason in the circumstances. The indictments showed that six named persons “with others” were involved. We now know that the matter being presented did involve a number of persons and transactions. See (6) below.
No adequate basis exists for assuming that it might have appeared to the grand jury that assistants were present other than in due course for the efficient presentation of the matter at hand. We believe that grand jurors assume, as they should, that the prosecutor would not be presenting the evidence if he were not convinced that it warranted their consideration. The presence of a number of assistant prosecutors does not reinforce the implied representation. The presence of a number of prosecutors, even though apparently justified by the ramifications of the facts, may also suggest that the matter is deemed highly important. But the importance of a matter involving the Governor and the Executive Council was self-evident. The presence of a [107]*107number of assistant prosecutors could add no significant emphasis, whether on the day of the return of the indictments or at an earlier time. The presence of a particular person who has previously interviewed a witness being interrogated may tend to hold the witness to his previous testimony. That is always the possibility if the prosecutor present is the one who has interviewed the witness in the course of the investigation. There is no intimidation involved in this.
Nothing in this record suggests that this grand jury were overawed or moved to act other than as the members deemed right. It appears that the grand jury understood and exercised its independence and its prerogative. There is evidence that they were instructed both by a judge of the Superior Court and the chief prosecutor that the prosecutors were available to give counsel but were in the room only at the grand jury’s sufferance. There is also evidence that on October 13, 1964, the prosecutors were requested to leave the room and they all did so for two separate periods of time. This warrants the inference that the grand jurors, at least as to some matter or matters, made decisions in the absence of the prosecutors before returning the indictments.
We believe that prosecutors fully understand the advisability of refraining from the use of an unusual number of assistants. Apart from unnecessarily raising an issue under art. 12, an obvious risk would be the irritation of the grand jury against the prosecutors with adverse effect upon the case presented.
(4) The contention that the defendants were denied equal protection in that the indictments were returned by a special grand jury.
It does not adequately appear that this issue was presented below or duly reserved by assignment. See Newton v. Commonwealth, 333 Mass. 523, 524. Averments that the grand jury was convened and subsequently extended in violation of law reasonably relate to noncompliance with applicable statutes, rather than to constitutional defects. Notwithstanding this, we consider the points raised. The spe-[108]*108eial grand jury was convened under Gr. L. c. 277, § 2A.2 So convened, it was a grand jury drawn, summoned, and returned as is a regular grand jury and with the same powers. The record does not show that as the defendants contend and as seems likely, the grand jury heard only commission cases. We rule in any event, however, that there would be in this no basis for a claim of unreasonable classification. Whether a regular or a special grand jury happens to hear a variety of matters from a variety of complainants, or a variety of matters, or one matter, from one complainant is inconsequential. The statutory procedures that assure the constitutional rights of the defendants are the same. We need not consider what would be the status of a “blue ribbon jury” if such a jury were brought into existence for a special class of offences or a special class of accused. See Fay v. New York, 332 U. S. 261, 268.
We see nothing unconstitutional in having two grand juries at work in the same court at the same time. We do not overlook holdings or suggestions to the contrary in a few other jurisdictions.
The procedures for presentation of the evidence, through the appointment of special assistants who also worked for the commission, did not make this a constitutionally different kind of grand jury.
The Motions to Quash.
(5) The conspiracy indictment as an offence cognisable under our law.
Motions to quash raised, in substance, the issue whether there was violation of the rule that an agreement by two [109]*109persons to commit a particular crime cannot be prosecuted as a conspiracy when the crime is of such a nature as necessarily to require the participation of two persons for its commission. Anderson, Wharton’s Criminal Law & Procedure, § 89, p. 191. A leading case exemplifying this rule is Gebardi v. United States, 287 U. S. 112, 123, which holds that a woman acquiescing in her transportation by a man does not commit the offence of conspiracy to violate the Mann Act. Where the conspiracy involves elements in addition to those contained in the substantive offence the rule, by its rationale, is inapplicable. 72 Harv. L. Rev. 920, 954. Perkins, Criminal Law, pp. 535-536. “ [W]hen a third person conspires with a man and a woman for the commission of adultery by the latter two, all three are guilty of conspiracy.” Wharton, supra, p. 193.
The defendants suggest that, in the construction of the indictment, they and the other Councillors are to be regarded as a unit, as the takers of the bribe, and the other two persons named, or either of them, as the giver. This is unsound. It is established that a conspiracy among several to accept bribes from third persons is a criminal of-fence and the rule is inapplicable. Commonwealth v. Mannos, 311 Mass. 94, 111. Persons conspiring as the defendants were charged with doing do not lose their individual significance for purposes of the offence because the alleged bribe givers are joined as conspirators. As to the bribe to be given Crimmins, for example, the other Councillors were third parties. Beyond this, the danger of the concert of plan and action was the substantive justification for a conspiracy indictment. See Commonwealth v. Waterman, 122 Mass. 43, 57; Commonwealth v. Dyer, 243 Mass. 472, 484. Only a majority of Councillors could effectively prevent the confirmation of DiNatale. Undoubtedly there exists the risk of abuse in indictments for conspiracy; this case, we think, clearly does not show it.
Authorities elsewhere sustain our view. O’Leary v. United States, 53 F. 2d 956, 957-958 (7th Cir.), cert. den. 283 U. S. 830. Old Monastery Co. v. United States, 147 [110]*110F. 2d 905, 907-908 (4th Cir.), cert. den. 326 U. S. 734. United States v. Smolin, 182 F. 2d 782, 786 (2d Cir.), distinguishing United States v. Zeuli, 137 F. 2d 845 (2d Cir.). Medrano v. United States, 285 F. 2d 23, 26, fn. 3 (9th Cir.), cert. den. 366 U. S. 968. Reno v. United States, 317 F. 2d 499, 503-504 (5th Cir.), cert. den. 375 U. S. 828. State ex rel Durner, Sheriff, v. Huegin, 110 Wis. 189, 243-244. See also Pinkerton v. United States, 328 U. S. 640, 643. United States v. Katz, 271 U. S. 354, 355, indicates that an indictment for conspiracy of one buyer and one seller of whisky would be doubtful, but cites Vannata v. United States, 289 Fed. 424 (2d Cir.), where the seller'was convicted, having acted in concert with several others.
We are not impressed with and doubt the present force of the contrary holding in United States v. Sager, 49 F. 2d 725 (2d Cir.). See cases cited above and in particular the later Smolin case in the same circuit. We note also and do not follow other cases to the contrary. People v. Wettengel, 98 Colo. 193, 198. State v. Aircraft Supplies, Inc. 45 N. J. Super. 110, 120.
The motions to quash were rightly denied.
The Cases oh the Merits.
(6) The denial of the defendants’ motions for directed verdicts, rulings on evidence, the judge’s charge, and his action on requests.
The jury could have found these facts: On February 4, 1960, Governor Furcolo submitted to the Executive Council the nomination of Anthony N. DiNatale for reappointment as Commissioner of the Department of Public Works. At meetings of the Council on February 11,18, 25, March 3,10, 24, 31, and April 7,1960, the nomination was not voted upon and hence was “automatically held.” On April 8, 1960, at a special meeting of the Council attended by the defendants and Councillors Crimmins, Cronin, Kahalas, Means, and Stasiun, the Council voted to confirm the appointment, Councillors Means and Crimmins voting in the negative.
[111]*111In the meantime certain Councillors had discussed the appointment among themselves and with the Governor’s chief secretary, Daniel J. O’Connell. Immediately following the meeting on February 4, Councillors Crimmins, Sullivan, Favulli, Stasiun, and Cronin3 met in a room above the council chamber. Councillor Crimmins said, “Here’s Tony’s reappointment coming up. This is a campaign year. We are all going to seek reelection or election to some other office. It’s pretty well known that he has been a good fund raiser, and maybe we could talk to him about raising some funds for us.” The others present “all said that DiNatale could help us with campaign funds and that Mr. Crimmins would pass on our thoughts to Mr. DiNatale.”4
On February 18, Councillors Crimmins, Cronin, Favulli, Kahalas, Stasiun, and Sullivan conferred in respect of the DiNatale nomination with Mr. O’Connell in his State House office. All who were present spoke. The Council-lors stated that they had been ignored or discriminated against in matters of patronage, the Commissioner had not been available to see Councillors to discuss their problems, and “they had been overlooked in the financial fund raising at reelection time.” As to fund raising, the group discussed what amount they thought would be fair, and the Councillors “felt as though no campaign with the areas that they had to cover could be genuinely and thoroughly covered with the expense of modern-day campaigning for less than $5000.” Mr. O’Connell replied, “You must be out of your mind to think in terms of campaign contributions along these lines.” In the meantime-Mr. O’Connell had said he would “indicate to Mr. DiNatale that they speak [112]*112with him” and they indicated their desire that that be done.
Thereafter Mr. O’Connell spoke with the Governor from time to time and reported the attitude of the Councillors. He also spoke with DiNatale who refused to meet with the Council. On one occasion the Governor said that a number of persons including Leo Benoit, Chairman of the State Housing Board, had offered to be helpful.
On April 7, Mr. O’Connell spoke with Benoit and thereafter with Crimmins telling him that he had spoken with someone who “I think . . . can help in the campaign in the amount of $15,000.” Crimmins replied: “I don’t want any promises. You know what the fellows have spoken about insofar as DiNatale is concerned.”
The conversation with Crimmins was about the middle of that day. The Executive Council met at 12:45 p.m. on April 7. Eight appointments were confirmed. The DiNatale appointment was again automatically held. The Lieutenant Governor, presiding, announced that when the Council adjourned it would not meet again until April 21. After establishing an interim procedure for handling warrants the meeting adjourned at 1:10 p.m.
On April 7, 1960, Nicholas J. Civitarese, a general contractor, spoke with Benoit by telephone about midday and thereafter met with him twice. At the second meeting, at about 3 p.m., Civitarese delivered to Benoit a paper bag containing $15,000 in bills. Benoit executed a note to Civi-tarese for $15,000.
Late in the afternoon of April 7, Crimmins said to Mr. O’Connell, “I think we may be all right in this tomorrow.” Sometime after adjournment of the April 7 meeting a special meeting of the Council was called for April 8. Just prior to the meeting Crimmins said to Cronin, “It’s all right to vote for Tony today.” He also said, “I’m going to be off” meaning that he was going to vote against confirmation.
Immediately after the meeting Crimmins said to Cronin, “Come on.” They entered an automobile under the arch at the State House, and Crimmins handed Cronin an en[113]*113velope saying, “Here.” In the envelope was $2,500 in cash.
There was evidence that the Governor never authorized Mr. O’Connell to do anything in behalf of any member of the Executive Council in connection with the nomination. Sullivan and Favulli both testified. There was evidence, including their testimony, that would have warranted a finding that they did not join any conspiracy or solicit a bribe. Sullivan testified that no such conversation as Cronin testified to occurred on February 4; he was not interested in campaign funds. Favulli testified that he at all times favored confirmation and that he so told Mr. O’Connell, with emphasis, on February 18. This was corroborated.
The judge instructed the jury that the evidence of the talk between Crimmins and Mr. 0 ’Connell of the handing of $15,000 through Benoit to Crimmins and the payment of $2,500 to Cronin was to be considered on the conspiracy indictment but not on the solicitation indictment.
(a) The conspiracy indictment. The exceptions to evidence relating thereto.
The defendants contend that nothing in the evidence of the meeting of Councillors on February 4 tends to prove their guilt. We disagree. It is not controlling that Cronin could not remember anything in particular that Favulli or Sullivan said, and could not tell if Sullivan was within hearing distance of Crimmins when he made the remarks. The jury could conclude that at that meeting a proposal to seek a bribe was made and acquiesced in by all present regardless of whether anyone indicated his acquiescence by words or gesture. Furthermore, Sullivan’s presence when, in effect, a request was made of Mr. O’Connell for $5,000 each tended to show that Sullivan was in accord with the plan. That conversation also tended to show a conspiracy by all six to solicit a bribe.
The evidence of the February 4 and February 18 conferences was not inadmissible on the ground that it did not tend to prove the conspiracy alleged. The allegations were [114]*114not limited to a conspiracy to obtain money from Mr. Furcolo and Benoit. The indictment charged a conspiracy of named persons and “others” to request and accept gifts and gratuities from two named persons “and others.” The particulars relied on by Favulli are in answer to the request to specify the acts of conspirators and " of the other persons named or referred to in the indictment.” The specification5 confirms that, as alleged in the indictment, the conspiracy was to obtain money to vote and work for the confirmation of DiNatale, and that the proof might show that the money came from others than those named. The specification did not limit the conspiracy to an effort to work only through the named conspirators. The testimony of an agreement that Crimmins should talk to DiNatale “about raising some funds for us” and of an effort through Mr. O’Connell to talk to DiNatale was evidence of the conspiracy to obtain money for confirming DiNatale. It did not show that the agreed aim of the conspiracy was confined to obtaining a payment only from him.
There is nothing in Favulli’s contention that the behavior of the defendants was “equally consistent with a legitimate political decision” to solicit a campaign contribution. The evidence favorable to the Commonwealth being believed, the inescapable inference was of an intention to sell favorable confirmatory votes for a sum of money. That this money might be used for campaign expenses of course did not change the essence of what was done.
The testimony tending to show that Sullivan was interested only in improving his relations with the department [115]*115and the Commissioner and that Favulli, although favoring confirmation, went along merely to accommodate his colleagues, did not vitiate the evidence that by their presence and acquiescence they joined in the plan and in the solicitation. This evidence was not equally consistent with innocence.
The judge rightly admitted, as to the conspiracy indictment, the evidence of the raising of $15,000 through Benoit and the paying of one sixth of this sum to one of the six Councillors.
(b) The indictments for soliciting a bribe.
The Commonwealth specified in a bill of particulars filed in the indictment against Favulli that the person solicited for the bribe was “Foster Furcolo, then Governor . . .. The request was made personally to intermediaries. The intermediary now known ... to whom such request was made . . . was Daniel J. O’Connell . . . chief secretary to the . . . Governor.” The testimony as to the conference of Councillors on February 4, 1960, as stated, tended to show a plan to obtain payment for votes. The jury could have found solicitation of such payment on February 18, as charged, by all the Councillors present, including Favulli and Sullivan. That there was no evidence of particular words spoken by either of these defendants, and that the conference was held in a busy place with numerous people walking in and out, where telephones were ringing, were circumstances to be weighed by the jury, but they were not grounds for a ruling that any of those Councillors present was not talcing part in the request then made. That mention was made of $25,000 whereas, if six Councillors were to be paid $5,000 each, a total of $30,000 would be required, of course does not suggest with any force that some Coun-cillor or any particular Councillor was not soliciting.
(e) The charge; the requests.
There was no error in the judge’s charge or in denial of requests. The charge clearly distinguished between the indictments and the proof applicable to each. The judge carefully confined the jury in their consideration of the [116]*116solicitation indictments to the conference with Mr. O’Con-nell on February 18,1960. It was not necessary to instruct in terms that finding one defendant guilty did not necessarily require the jury to find another or all others guilty. The judge expressly referred to the testimony of Sullivan and Favulli as qualifying what Mr. O’Connell had testified to and instructed them to weigh that testimony. He reminded them that they had the right to believe everything that a witness had testified to, naming Cronin, O’Connell, Stasiun, Sullivan and Favulli. It was not necessary to repeat for each defendant the appropriate general instructions as to proof beyond a reasonable doubt.
Sullivan, after the charge, took an exception to the judge’s remark in the course of it: “I suggest, if the defendants can’t control their emotions, I will have to ask them to leave the court room.” Colloquy when the exception was taken showed that the judge was referring to the conduct of Favulli over a fifteen or twenty minute period in shaking his head back and forth. We discern no prejudice to any defendant. A display of emotion in one charged with a crime is not unnatural; it is as consistent with innocence as with guilt. If the jurors had not observed the conduct, they knew only that some one or more of the defendants had in an undisclosed way disturbed the decorum of the court room. This, in our view, did not tend to induce a verdict against any defendant otherwise than on the facts and the applicable law. It is beside the point that, as Sullivan points out, each defendant was entitled to be present throughout the trial. G-. L. c. 278, § 6 (“during the trial”).
(7) Other points; Favulli’'s motion for a new trial.
We have considered all the points assigned or adverted to in the briefs. There was no error in denying the motion for a new trial.
Judgments affirmed.