Sellmon v. Reilly

551 F. Supp. 2d 66, 2008 U.S. Dist. LEXIS 36082, 2008 WL 1933759
CourtDistrict Court, District of Columbia
DecidedMay 5, 2008
DocketCivil Action 06-01650 (ESH)
StatusPublished
Cited by62 cases

This text of 551 F. Supp. 2d 66 (Sellmon v. Reilly) is published on Counsel Stack Legal Research, covering District Court, District of Columbia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Sellmon v. Reilly, 551 F. Supp. 2d 66, 2008 U.S. Dist. LEXIS 36082, 2008 WL 1933759 (D.D.C. 2008).

Opinion

MEMORANDUM OPINION

ELLEN SEGAL HUVELLE, District Judge.

Plaintiffs Tony Sellmon, Carlton Martin, Charles Phillips, Darius Smith, Daru Swin-ton, Benson West-El, Curtis Eason, and James Gambrell 1 are inmates serving prison sentences for committing criminal offenses under the District of Columbia Code. Each committed his crime and was sentenced prior to August 5, 1998, when the United States Parole Commission (“USPC”) took over responsibility from the District of Columbia Parole Board (“the Board”) for conducting parole hearings for D.C.Code offenders. Although the facts of each plaintiffs case differ materially, all plaintiffs allege that USPC retroactively applied its own parole guidelines and practices so as to significantly increase the risk that they would serve longer terms of incarceration in violation of the Ex Post Facto Clause of the Constitution. Before the Court are plaintiffs’ motion for summary judgment and defendants’ motion for judgment on the pleadings. For the reasons stated herein, plaintiffs’ motion will be granted in part and denied in part and defendants’ motion will be granted in part and denied in part.

BACKGROUND

I. PAROLE PRACTICES FOR D.C. OFFENDERS

On August 5, 1997, Congress enacted the National Capital Revitalization and Self-Government Improvement Act (“the Revitalization Act”), Pub.L. No. 105-33, § 11231 111 Stat. 712, 734-37 (codified at D.C. Code §§ 24-101 et seq. (2001 & Supp.2005)). (Pis.’ Joint Stmt, of Material Facts [“Pis.’ Joint Stmt.”] ¶ 13.) The Revitalization Act abolished the D.C. Parole Board, see Pub.L. No. 105-33 § 11231(b), and directed the USPC to conduct parole hearings for D.C.Code offenders “pursuant to the parole laws and regulations of the District of Columbia.” Id. § 11231(c). Since August 5, 1998, the USPC has conducted the hearings and decided the requests for parole of all persons convicted of violating the D.C.Code. (Pis.’ Joint *69 Stmt. ¶ 2.) Prior to this date, the D.C. Parole Board conducted the parole hearings for D.C.Code offenders, applying guidelines it formally adopted in 1985, and published in the District of Columbia Municipal Regulations in 1987 (the “1987 Regulations”). (Id. ¶ 18) (citing D.C. Mun. Regs. tit. 28, §§ 100 et seq. (1987) (repealed Aug. 5, 2000).) 2

A. 1987 Regulations

The 1987 Regulations were adopted to “structure the exercise of the paroling authority’s discretion” and to promote “increased consistency in parole release decisions and enhanced accountability of the Board” by making “explicit those factors that will be considered in each case.” (Pis.’ Joint Ex. 1 [Report on the Development of the Paroling Policy Guidelines for the District of Columbia Board of Parole] at 1-2) (emphasis in original). The Board’s stated goals in promulgating formal parole regulations were to: (1) promote consistent decision-making; (2) make the Board’s parole policies more explicit; (3) ensure that the offender’s time served is proportionate to the sentence imposed by the court and risk posed by the offender; (4) “achiev[e] the sentencing purposes of incapacitation and specific deterrence, while promoting, to the fullest extent possible, the offender’s efforts at rehabilitation;” (5) “penalizfe] institutional misconduct;” and (6) “develop[] an evolutionary model of management control.... ” (Id. at 2-3.) In formulating the Regulations, the Board was guided by three principles: (1) “the touchstone of the parole decision-making process should be based on offender characteristics that have a statistically determined bearing on the offender’s risk of future involvement in criminal behavior;” (2) “the court should addresse[ ] the purposes of retribution and general deterrence through the sentence it imposes .... ” and the Board “will not function in a manner that might be viewed as the usurpation of the functions of the sentencing judge;” and (3) “in determining the factors to be used in assessing the guidelines, consideration should be given to their fairness as well as to their statistical reliability.” (Id. at 3-4.) The Board concluded that “[g]uidelines oriented to the assessment of risk and institutional performance, therefore touching on the need for progress towards rehabilitation, [would] be consistent with the intent of this Act.” (Id. at 4.)

After serving his or her minimum sentence, a D.C.Code offender became eligible to considered for parole. 3 Once a prisoner became eligible for parole, the D.C. Parole Board would then determine whether he or she was suitable for parole. 4 Under the *70 1987 Regulations, the D.C. Parole Board would make this determination employing an analytical framework that relied on both pre- and post-incarceration factors. (See Pis.’ Joint Stmt. ¶ 30.) The Regulations were “comprised of four factors, two of which utilize[d] information known at the time of incarceration, the other two based on post-incarceration factors.” (Pis.’ Joint Ex. 1 at 5.) The D.C. Parole Board intentionally did not use an offense severity factor in its regulations because its philosophy was to let the “court-imposed sentence serve as its offense severity indicant.” (Pis.’ Joint Stmt. ¶ 32 (quoting Pis.’ Joint Ex. 1 at 17).)

The first and “primary” factor the Board considered was the degree of risk posed by an offender. (See Pis.’ Joint Ex. 1 at 5.) This factor was “based on [the] calculation of the Salient Factor Score [“SFS”],” an actuarial risk assessment device that relies exclusively on information known at the “time of incarceration.” (Id.) In calculating a prisoner’s SFS, the Board considered six pre-incarceration factors: (1) prior convictions and adjudications; (2) prior commitments of more than 30 days; (3) age at the commission of current offense; (4) recent commitment-free period; (5) status of prisoner at time of current offense; and (6) history of heroin or opiate dependence. See Fletcher v. Reilly, 433 F.3d 867, 871 (D.C.Cir.2006) (“Fletcher III”) (citing D.C. Mun. Regs. tit. 28, § 204.4-204.16). The SFS placed the candidate into one of four risk categories (10-9 = low risk, 8-6 = fair risk, 5-4 = moderate risk, or 3-0 = high risk) from which the Board would determine a baseline number of points (“base point score”) that provided 0 for low risk, 1 for fair risk, 2 for moderate risk, and 3 for high risk. (Pis.’ Joint Ex. 1 at 5; D.C. Mun. Regs. tit. 28, § 204.17, app. 2-1.) The Board would then take the base point score and adjust it using the remaining pre-incarceration factor and the two-post incarceration factors to arrive at the Point Assignment Grid Score (“total point score”). (Pis.’ Joint Ex. 1 at 5-6.)

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Bluebook (online)
551 F. Supp. 2d 66, 2008 U.S. Dist. LEXIS 36082, 2008 WL 1933759, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sellmon-v-reilly-dcd-2008.