Commonwealth v. Kamara

643 N.E.2d 1056, 37 Mass. App. Ct. 769, 1994 Mass. App. LEXIS 1184
CourtMassachusetts Appeals Court
DecidedDecember 30, 1994
DocketNo. 92-P-1802
StatusPublished
Cited by2 cases

This text of 643 N.E.2d 1056 (Commonwealth v. Kamara) is published on Counsel Stack Legal Research, covering Massachusetts Appeals Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Commonwealth v. Kamara, 643 N.E.2d 1056, 37 Mass. App. Ct. 769, 1994 Mass. App. LEXIS 1184 (Mass. Ct. App. 1994).

Opinion

Ireland, J.

On January 22, 1992, a Superior Court jury found the defendant guilty of murder in the second degree and of carrying an unlicensed firearm. On appeal, we focus on the defendant’s claim that remarks made by one of the jurors were prejudicial.1 We reverse.

[770]*770On May 16, 1991, Ronald Taylor was shot at close range on Dakota Street in the Dorchester section of Boston. He died shortly thereafter. The defendant was charged with first degree murder. At trial, defense counsel attempted to demonstrate that none of the Commonwealth’s witnesses had been able to identify the defendant as the assailant with any degree of certainty. Each, for example, had given inconsistent or somewhat vague descriptions of the assailant’s height, clothing, or complexion. Several had initially failed to pick the defendant out from a photographic array. The primary defense, thus, was misidentification. Defense counsel also offered an alternate theory of the case (although not until well into trial) that one Eric Brown, who was alleged to have shot the victim in February, 1991, from a vehicle may have been the perpetrator. The defendant’s only witness, a licensed private investigator, posited that Brown lived near Dakota Street where the shooting took place, in the same direction from the point of shooting in which the assailant reportedly fled after the shooting, and that a vehicle fitting the description of the one in the earlier shooting had been found at Brown’s supposed address.

For its part, the Commonwealth repeatedly tried to establish a gang connection to, or motivation for, the shooting. It attempted to do this by showing (1) that the victim was afraid of gangs in the area (specifically the Vamp Hill Kings) and (2) that the defendant was a member of or frequently “hung with” gangs. With few exceptions, the defendant’s objections to that line of questioning were sustained. Nevertheless, the assistant district attorney returned time and again to that theme with each witness.2 No evidence of gang connection or motivation was established, and, accordingly, the Commonwealth was barred from any reference thereto in its closing argument, and the jury was instructed to ignore the subject in its deliberations.

Following the first day of jury deliberations, the jury foreman informed the court of possible misconduct by one of the [771]*771jurors, who had related certain extraneous information about the defendant to her fellow jurors.3 After conducting individual voir dire of each juror, the judge dismissed the errant juror and replaced her with an alternate. See G. L. c. 234A, § 39, as inserted by St. 1982, c. 298, § 1 (“The court shall have the discretionary authority to dismiss a juror at any time in the best interests of justice”). Upon instructions from the court, the jury began its deliberations anew and arrived at the guilty verdicts for which the defendant has been sentenced.

We are convinced that the juror’s remarks — particularly those concerning the defendant’s possible gang membership — poisoned the jury’s deliberations. The judge had been at some pains to preclude the Commonwealth during its closing from mentioning the words “gang” or “group” and had specifically instructed the jurors to disregard and purge from their minds any reference to gangs or to the defendant’s possible affiliations with gangs.

The central problem here is the jury’s exposure to extraneous matters that were highly prejudicial to the defendant.4 Hence, Commonwealth v. Fidler, 377 Mass. 192 (1979), and cases that follow it5 are controlling. The situation here in fact mirrors Fidler, where a juror having personal knowledge, not in evidence, remarked during deliberations that “Fidler had been shot in Charlestown a month earlier” and that “[tjhey . . . almost got him,” id. at 199, 194. It is immate[772]*772rial under such circumstances whether the extraneous matter was communicated by one of the jurors, as was the case here and in Fidler, or by a third person. Id. at 200.

Drawing upon established precedent, the Fidler court held that, once questions are raised about jury exposure to extraneous matters, the judge may query individual jurors to determine whether such matters have in fact found their way into the jury room; but the judge shall not inquire what, if any, influence they may have had on the jury’s deliberation process. See id. at 196, citing Woodward v. Leavitt, 107 Mass. 453, 466 (1871); Harrington v. Worcester, Leicester & Spencer St. Ry., 157 Mass. 579, 581-583 (1893); Mattox v. United States, 146 U.S. 140 (1892). If the judge finds that extraneous facts have penetrated the jury’s deliberations, the judge “must focus on the probable effect of the extraneous facts on a hypothetical average jury.” Fidler, supra at 201. Cutler v. Cuffie, 414 Mass. 632, 637 (1993).

That is not the process that was followed here. In his voir dire of jurors, the judge determined that the juror had imparted certain knowledge she had about the defendant and about his possible affiliation with gangs. Then he asked each juror whether he or she could still judge the case solely on the evidence and not on the extraneous information. In so doing, he committed error. See Woodward v. Leavitt, 107 Mass. at 466; Commonwealth v. Fidler, 377 Mass. at 201; Fitzpatrick v. Allen, 410 Mass. 791, 795-796 (1991) (“There can be no inquiry concerning the actual impact of extraneous matter on the jury” [emphasis supplied]).

Upon determining that highly prejudicial extraneous information concerning the defendant had seeped into the jury room, we think the remedy of a new trial was required — whether the judge applied the test in Commonwealth v. Fidler requiring the Commonwealth to show beyond reasonable doubt that the extraneous matter would not have prejudiced the defendant before a “hypothetical average jury,” 377 Mass. at 201; or held instead that, given the nature of that information, the sitting jury could not “fairly be [773]*773modeled by a ‘hypothetical average jury.’ ” Markee v. Biasetti, 410 Mass. 785, 789 (1991).6

Throughout the trial, defense counsel scrupulously attempted to avoid and have excluded all testimony concerning “gangs” or “groups.” Over repeated (and sustained) objections, the assistant district attorney continued his efforts to develop the theme.7 Hence, a seed — albeit small — may already have been planted in some jurors’ minds, in spite of the judge’s admonitions, that this crime was gang-connected. Without doubt, that seed was watered and fertilized by information concerning the defendant and Eric Brown that the juror improperly related to her fellow jurors. For reasons analogous to those discussed in Commonwealth v. Wolcott, 28 Mass. App. Ct. 200, 207-210 (1990) (concerning error in admitting police officer’s testimony on gang activity to establish motive and intent), this information “had a toxic element [that] made an unspoken appeal to fears of gang violence . . .” and thus gave rise to “[a] doubt . . . whether the poison might not have infected the [trial].” Id. at 210-211.

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Related

Commonwealth v. McCaster
710 N.E.2d 605 (Massachusetts Appeals Court, 1999)
Commonwealth v. Kamara
664 N.E.2d 825 (Massachusetts Supreme Judicial Court, 1996)

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Bluebook (online)
643 N.E.2d 1056, 37 Mass. App. Ct. 769, 1994 Mass. App. LEXIS 1184, Counsel Stack Legal Research, https://law.counselstack.com/opinion/commonwealth-v-kamara-massappct-1994.