Joel A. Burns v. United States

323 F.2d 269, 1963 U.S. App. LEXIS 4109
CourtCourt of Appeals for the Fifth Circuit
DecidedSeptember 27, 1963
Docket19646_1
StatusPublished
Cited by13 cases

This text of 323 F.2d 269 (Joel A. Burns v. United States) is published on Counsel Stack Legal Research, covering Court of Appeals for the Fifth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Joel A. Burns v. United States, 323 F.2d 269, 1963 U.S. App. LEXIS 4109 (5th Cir. 1963).

Opinion

GEWIN, Circuit Judge.

This is an appeal from rulings of the District Court for the Southern District of Florida, denying post conviction motions seeking, in essence, a reversal of pre-conviction rulings holding that the appellant is not immune from criminal prosecution. 1 The appellant Burns, along with a number of others, was indicted in the Southern District of Florida for violations of the Securities and Exchange Act. Burns was also a defendant in two criminal cases in the District of Utah involving substantially the same transactions. Prior to his trial in Florida, Burns filed numerous motions seeking, among other things, to quash the indictment, and to sever and transfer the cause to Utah so that it might be consolidated with the cases pending in Utah.

These motions and the court’s rulings on them are far too numerous and voluminous to merit individual elaboration in this opinion. We have considered all of them. After a careful review of the record and briefs before us, we have concluded that the District Court did not abuse his discretion, and committed no harmful error in his handling of any of the various motions. We find no merit in the errors specified.

*270 While not of controlling importance in this case, we feel it appropriate to mention the fact that some of the proceedings in this case were not recorded by the official court reporter as required by 28 U.S.C.A. § 753(b). 2 For example, counsel for appellant makes an affidavit in which he states that at a hearing before the trial judge on the 5th day of January 1962, seeking a transfer of the cause pursuant to the provisions of Rule 21(b) F.R.Crim.P., it was his understanding that the Court made an oral ruling stating that he would transfer the cause to the State of Utah. This affidavit conflicts with the action actually taken by the trial judge as shown by order dated January 10, 1962 (filed January 12, 1962) wherein he ordered only that the 36th count of the indictment be severed and transferred to the U. S. District Court for the District of Utah. We do not approve of the practice of failing to comply with the code section mentioned. It should be followed by trial courts. In this case we do not find prejudicial error; and failure to comply with the statute is not error per se. Fowler v. United States, 5 Cir., 1962, 310 F.2d 66; Strauss v. United States, 5 Cir., 1963, 311 F.2d 926; Addison v. United States, 5 Cir., 1963, 317 F.2d 808.

The claim of immunity from prosecution, which is entwined in all of the pretrial and post conviction motions, and pursued so diligently on this appeal, commands our careful attention. The claim of immunity is based on the following statute:

Title 15 U.S.C.A. § 77v(c):
“No person shall be excused from attending and testifying or from producing books, papers, contracts, agreements, and other documents before the Commission, or in obedience to the Subpoena of the Commission or any member thereof or any officer designated by it, or in any cause or proceeding instituted by the Commission, on the grounds that the testimony or evidence, documentary or otherwise, required of him, may tend to incriminate him or subject him to a penalty or forfeiture; but no individual shall be prosecuted or subjected to any penalty or forfeiture for or on account of any transaction, matter, or thing concerning which he is compelled, after having claimed his privilege against self-incrimination, to testify or produce evidence, documentary or otherwise, except that such individual so testifying shall not be exempt from prosecution and punishment for perjury committed in so testifying.”

On September 16, 1957, Burns was asked by the Securities & Exchange Commission to give testimony in a criminal investigation of the Columbus-Rexall Oil Company, in which he had recently been an officer and director. Bums through his attorney claimed that the Commission’s order was too broad to give him proper notice as to the subject and scope of the inquiry on which he was to be interrogated, and he therefore claimed his constitutional privilege against self-incrimination. Burns’ attorney made the following request:

“Let the record show that if the Commission will grant Mr. Burns immunity from any possible prosecution as a result of any answers he might give during the course of this proceeding, that he will be delighted to comply with the requests of the staff of the Commission.”
The Commission Examiner replied:
“Mr. Lee: Let the record show that this office has no authority at this time to extend to you, Mr. Bums, the immunity provided by section *271 21(b) * of the Securities Act of 1933.
“Let the record show further that [we] ceased our interrogation then where you claimed your, privilege against self-incrimination.”

Over three years later on October 24, 1960, Bums was served with a subpoena duces tecum from the Commission commanding him to appear and produce:

“All original correspondence, memo-randa, books and other records, of whatever nature, or copies thereof, of or pertaining to Columbus Rexall Consolidated Mines Company or Columbus-Rexall Oil Company and the predecessors or successors thereof; Beachline Production Corporation, a Nevada Corporation, Adaven Oil Company, a Nevada Corporation ; Titan Uranium, Inc., a Nevada Corporation; Great Chief Uranium Company, a Nevada Corporation; San Rita Oil, Inc., a Utah Corporation ; United Caribbean Oil and Mining Enterprises, Inc., a Liberian Corporation; United Caribbean Oil, Inc., a Cuban corporation; and Al-bercalif Petroleum, Ltd., a Canadian corporation, of Long Beach, California, which may be held in your possession, custody or control.
“The books, papers and documents to be produced shall include, but are not of necessity limited to; articles of incorporation; letters; memorandums; journals or other records of original entry; ledgers, bank deposit slips; bank statements; can-celled bank checks; purchase and sale contracts; deeds; leases; assignments; minutes of meetings of stockholders and directors; capital stock certificates, issued and unissued, cancelled or uneancelled; lists of stockholders; capital stock ledgers; and other records; capital stock issuance and transfer data and instructions; invoices; statements of account; income tax returns; tax statements; and vouchers.”

The subpoena contained the customary clause, “Fail not at your peril”. Burns responded to the subpoena by turning over various material including his personal diary and other personal records. Thereafter, he appeared before the Commission and testified on two different occasions. Each time he was informed by the examining officer of his privilege not to testify, if to do so would tend to incriminate him.

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Bluebook (online)
323 F.2d 269, 1963 U.S. App. LEXIS 4109, Counsel Stack Legal Research, https://law.counselstack.com/opinion/joel-a-burns-v-united-states-ca5-1963.