People v. Gleason

285 A.D. 278, 136 N.Y.S.2d 220
CourtAppellate Division of the Supreme Court of the State of New York
DecidedDecember 21, 1954
StatusPublished
Cited by18 cases

This text of 285 A.D. 278 (People v. Gleason) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
People v. Gleason, 285 A.D. 278, 136 N.Y.S.2d 220 (N.Y. Ct. App. 1954).

Opinion

Botein, J.

Defendant John B. Gleason was convicted, after trial in the Court of General Sessions, on each of the four counts in an indictment charging him with the crime of perjury in the first degree. He was accused of giving false testimony before a Grand Jury that was investigating a conspiracy to extort money from contractors in the business of installing oil burner systems in buildings located in the city of New York.

On the trial the District Attorney staked out distinct chronological boundaries in the presentation of his proof. The first part relates to the formation of the illegal scheme in 1947 and its operation until November 10, 1950, all this time under the protection and leadership of First Deputy Fire Commissioner Moran. This period of the racket’s operation shall be called the “ Moran conspiracy ”. It is conceded that defendant had no part whatsoever in the Moran conspiracy.

In the People’s pattern of proof, November 10, 1950, marks the date of defendant’s unequivocal entrance into the conspiracy, and the assumption of the role relinquished by Moran by defendant and another more powerful political figure. Defendant had occupied a post of some importance in the campaign of a newly elected Mayor. Moran, who was in a different political camp, withdrew from the conspiracy with the philosophical observation that “ to the victor belongs the spoils ”. The second phase of the racket, and its operation under the alleged leadership of a political leader shall be called the “ second ” conspiracy. The second conspiracy was aborted in a few months due to the Grand Jury investigation.

The People claim defendant committed perjury when he testified before the Grand Jury investigating the conspiracy; more specifically, when he denied certain conversations and acts in furtherance of the second conspiracy attributed to him by the People’s witnesses. The first three counts are based on defendant’s denials that he met with two or more of his alleged co-conspirators on three separate occasions and had conversations relating to the continuing operation of the extorsive scheme. The fourth count relates to defendant’s denial that one of the conspirators delivered pay-off money to him.

The People introduced a good deal of testimony concerning the original Moran conspiracy. Four employees of the fire department, Smith, Keohane, Power and Crew, testified in some detail about the institution in 1947 of a scheme to ‘6 bury ’ ’ applications for permits for installation of fuel oil storage tanks unless and until the contractors made specified payments. They testified that Moran provided a schedule for payments, fixed in [281]*281accordance with the size of the tank to be installed. There was also testimony about the necessary transfers of firemen in the department so that they would occupy strategic positions in the conspiracy, the broadening of the scope of operations, the provisions for handling complaints, the amounts collected each week, the amounts retained by the firemen and then transmitted to Moran, and the instructions given by Moran for the conduct of the racket. Defendant took no part in the Moran conspiracy, and for aught that appears in the record, until its closing days had no knowledge of its very existence; nor, it follows, of the acts and conversations which took place in his absence.

It may be that this testimony, in and of itself, was not so unnecessarily prejudical to defendant as to warrant reversal. The court received it to establish the background of the extorsive scheme which functioned under Moran until November 10,1950; and which allegedly continued under the protection of defendant and another person after defendant joined the conspiracy. Some evidence of the nature of the structure and operation of the scheme was necessary to make the subject matter of defendant’s alleged perjury intelligible to the jury. Without it, the jury would have to consider defendant’s alleged acts and conversations truncated from essential underlying proof. At various times, when objection was made, the Judge was painstaking to instruct the jury that such evidence was not binding on the defendant and was received only to show the background of the crime with which defendant was charged. This instruction was repeated when the case was submitted to the jury.

Without some background evidence the jury could not knowledgeably consider the sharply disputed perjury issues drawn from defendant’s alleged participation in the second conspiracy. For that limited purpose minimal evidence could properly be received (People v. Duffy, 212 N. Y. 57, 65-66; Heike v. United States, 227 U. S. 131, 145; Terry v. United States, 51 F. 2d 49, 52; Egan v. United States, 137 F. 2d 369, 381-382). It goes without saying that the introduction of such evidence must be carefully monitored by the trial judge, as it is an accommodation that the general rules of evidence must at times make to the exigencies of the particular instance. It is difficult to enunciate rules in anything but the most general of terms. Too much depends on the cast of the particular case and the techniques employed by the particular judge in guiding and instructing the jury. Background material of this nature is received as an explanatory preamble to the evidence on which the guilt or innocence of the defendant will be determined. [282]*282Every precaution must be taken lest it spill over its barriers and distort the jury’s contemplation of the determinative and critical evidence.

It is clear that in this case the District Attorney in good faith introduced only such explanatory proof as he considered essential to a proper understanding of his main case; and a conscientious Judge strove skillfully to inform the jury of its limited application. However, since we shall set aside this verdict and judgment and order a new trial on other grounds, we deem it appropriate to comment that, in our opinion, too great a volume of evidence was introduced relating to the Moran conspiracy. The modus operandi and the dramatis personae of that racket can be sketched quickly by only one participant. There is no purpose served by the redundant and prolonged recitals by all the recanting firemen of their actions and conversations in furtherance of their conspiracy. Any choice in the presentation of background proof should be exercised in favor of abridgement.

Otherwise, as happened here, defendant’s counsel may be drawn into cross-examining each witness at great length on his background testimony. In this case the so-called explanatory evidence consumed an inordinately large part of a protracted trial. We would like to believe that all through the trial, obedient to the court’s instructions, such evidence remained in a compartment of each juror’s mind labeled "Not binding on the defendant”; and that no part ever leaked into another compartment to be weighed in the balance against the defendant. But we suspect that reliable allocation of so great a volume of proof could occur only in the never-never land of legal theory. “ Perhaps even at best the safeguards provided by clear rulings on admissibility, limitations of the bearing of evidence as against particular individuals, and adequate instructions, are insufficient to ward off the danger entirely.” (Blumenthal v. United States, 332 U. S. 539

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Bluebook (online)
285 A.D. 278, 136 N.Y.S.2d 220, Counsel Stack Legal Research, https://law.counselstack.com/opinion/people-v-gleason-nyappdiv-1954.