Gordon v. Commonwealth

916 S.W.2d 176, 1995 Ky. LEXIS 144, 1995 WL 692955
CourtKentucky Supreme Court
DecidedNovember 22, 1995
Docket94-SC-279-MR
StatusPublished
Cited by51 cases

This text of 916 S.W.2d 176 (Gordon v. Commonwealth) is published on Counsel Stack Legal Research, covering Kentucky Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Gordon v. Commonwealth, 916 S.W.2d 176, 1995 Ky. LEXIS 144, 1995 WL 692955 (Ky. 1995).

Opinions

LAMBERT, Justice.

This matter of right appeal is from appellant’s conviction for one count of trafficking in a controlled substance for which he was sentenced to ten years with enhancement to twenty years upon his conviction as a persistent felony offender. Four issues have been presented and will be addressed herein.

In June, 1993, an undercover drug investigation was ongoing in Logan County. In the course of the investigation, appellant became a suspect. At the instance of the police, a paid informant, Robert Mason, sought to buy cocaine from appellant. Prior to his meeting with appellant, Mason had been “wired” with a tape recorder. As it turned out, this device essentially failed and produced a tape recording of poor quality. As such, the evidence at trial was hotly disputed. Mason testified for the Commonwealth that he had made the cocaine purchase and appellant, testifying on his own behalf, denied it. Jury assessment of the witnesses’ credibility was crucial.

Appellant claims reversible error arising out of hearsay testimony given by Detective Robert Link on direct examination. The Commonwealth’s first witness was Detective Link, a narcotics officer for the City of Rus-sellville Police Department. Without objection, he testified that in the course of a county-wide investigation, he had reason to suspect appellant of drug trafficking. He was then asked how he proceeded to further investigate appellant. In response, Detective Link replied,

On June 4 we did what’s called preliminary surveillance of the area around Sportman’s Lounge at Fifth and Morgan, which we had had quite a bit of drug activity go on in that area. Mr. Gordon was suspected to be selling narcotics from the Fifth and Morgan Area.

Appellant, by counsel, objected on hearsay grounds and an extensive colloquy then ensued between counsel for the parties and the trial court. In essence, appellant claimed that the answer was based on hearsay statements and indeed, upon voir dire of the witness, established that the witness had relied in part on information from others including confidential informants. The Commonwealth contended that the testimony was not hearsay because it was not offered for the truth of the matter asserted; that it was only to show the course of the investigation. The trial court overruled the objection.

As in the trial court, in this forum appellant claims error in the Link testimony. He insists that the course of the investigation had been sufficiently revealed by means of the question and answer which established that he was a suspect; that any further testimony in that vein branded him as a drug dealer and improperly bolstered the credibility of the police informant. The Commonwealth responds that the testimony was not offered for the truth of it, but to explain the Detective’s conduct in arranging a controlled buy.

The issue here is discussed in Robert G. Lawson, The Kentucky Evidence Law Handbook § 8.05 (3d ed. 1993). It is observed that in a proper case, information as to the motivation of police officers for actions they have taken may be needed to avoid misleading the jury. It is also acknowledged that receipt of such information is fraught with danger of transgressing the purpose underlying the hearsay rule. Lawson quotes from McCormick on Evidence 734 (3d ed. 1984) as follows

In criminal cases, an arresting or investigating officer should not be put in the false position of seeming just to have happened upon the scene; he should be allowed some explanation of his presence and conduct. His testimony that he acted “upon information received,” or words to that effect, should be sufficient. Nevertheless, cases [179]*179abound in which the officer is allowed to relate historical aspects of the case, replete with hearsay statements in the form of complaints and reports, on the ground that he was entitled to give the information upon which he acted. The need for the evidence is slight, the likelihood of misuse great.

In Sanborn v. Commonwealth, Ky., 754 S.W.2d 534 (1988), this Court affixed a tight rein upon so-called “investigative hearsay.” It limited such testimony to circumstances where the taking of action by the police is an issue in the case and where it tends to explain the action that was taken as a result of the hearsay information. In such circumstances, hearsay may be admissible to prove why the police acted in a certain manner, but not to prove the facts given to the officer. In any event, however, such information is admissible only if there is an issue about the action of the police officer. Id. at 541. Hughes v. Commonwealth, Ky., 730 S.W.2d 934 (1987), articulates the reason such information must be limited:

Appellant now stands convicted, in part at least, because of the statement of an unknown person without any showing of the reliability of the statement and without any opportunity of the appellant to cross-examine the person who allegedly implicated him in the crime. This is precisely the situation which the confrontation clauses of the Sixth Amendment to the United States Constitution and Section 11 of the Kentucky Constitution were designed to prevent.

Id. at 934-35; see also Releford v. Commonwealth, Ky., 860 S.W.2d 770, 771 (1993).

In the case at bar, it was not improper to admit evidence that appellant had become a suspect in the county-wide drug investigation. This avoided any implication that appellant had been unfairly singled out and explained why the police equipped an informant with a recording device and money with which to attempt a drug buy from appellant. The next question, however, was utterly unnecessary and unfairly prejudicial. There was no legitimate need to say or imply that appellant was a drug dealer or that he was suspected by the police department of selling drugs in a particular vicinity. Such testimony was admittedly based in part on hearsay and was thus unassailable by appellant. Admission of this evidence branded appellant a drug dealer, violated his right to confront and cross-examine witnesses, denied his right to be tried only for the crime charged, and in general, bolstered the credibility of the police informant to the point where appellant’s denial of criminal conduct would have appeared preposterous.

In view of the foregoing, the conviction must be reversed and a new trial granted.

Appellant’s next complaint arises out of alleged misconduct by a juror. In substance, he contends that a juror who may have been prejudiced against him failed to answer truthfully on voir dire examination. We will refrain from an extensive discussion of this issue due to appellant’s failure to sufficiently present it, but will comment briefly in the interest of providing judicial guidance.

At the outset, there was no question raised as to this juror during trial. Even assuming, for the sake of argument, that this could be overlooked due to lack of information, appellant presented only an ambiguously worded affidavit which suggested that the juror may have had knowledge he did not reveal during voir dire. Significantly, appellant did not seek to examine this juror as to what he actually knew or how he felt about appellant at the time of jury selection.

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Cite This Page — Counsel Stack

Bluebook (online)
916 S.W.2d 176, 1995 Ky. LEXIS 144, 1995 WL 692955, Counsel Stack Legal Research, https://law.counselstack.com/opinion/gordon-v-commonwealth-ky-1995.