State v. D'Antonio
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Opinions
Opinion
NORCOTT, J.
This court, in State v. Niblack, 220 Conn. 270, 280, 596 A.2d 407 (1991), approved of a [661]*661procedure whereby a trial court may participate in the negotiation of a plea agreement between the state and a defendant, so long as a different judge presides at trial and sentencing if the negotiations are unsuccessful (Niblack rule). The principal issue in these certified appeals is whether the Appellate Court properly concluded that violation of the Niblack rule is, by itself, plain error that requires reversal of a defendant’s conviction, without regard to the facts and circumstances of a particular case. The state appeals, upon our granting of its petitions for certification,2 from the judgments of the Appellate Court reversing the judgments of the trial court, which: (1) found the defendant, Louis D’Antonio, to be in violation of his probation pursuant to General Statutes § 53a-32; State v. D’Antonio, 79 Conn. App. 683, 691, 830 A.2d 1187 (2003) (D’Antonio I); and (2) convicted the defendant after a jury trial of criminal trespass in the first degree in violation of General Statutes § 53a-107 (a) (1), and two counts of interfering with an officer in violation of General Statutes § 53a-167a (a). State v. D’Antonio, 79 Conn. App. 696, 830 A.2d 1196 (2003) (D’Antonio II). We conclude that, under the facts and circumstances of this case, the trial court’s presiding at the hearing, trial and sentencing of the defendant after it had participated in plea negotiations, although improper, was not plain error requiring rever[662]*662sal. Accordingly, we reverse the judgments of the Appellate Court.
The records and the Appellate Court decisions reveal the following facts and procedural history. “On October 24, 2000, the defendant, through his public defender, pleaded nolo contendere to two separate charges of operating under the influence on two separate occasions in violation of General Statutes § 14-227a and was sentenced by the court [Clifford, J.] to a total effective term of thirty months of imprisonment, execution suspended after twenty-four months, and one year of probation with special conditions.3 The special conditions of the defendant’s probation were the same with respect to both violations and included, inter alia, substance abuse screening, evaluation and treatment as recommended by the probation officer, a total of 200 hours of community service and no operation of a motor vehicle while the defendant’s operator’s license was under suspension.
“On or about October 4, 2001, the defendant was released from prison and began serving his probation. After the defendant refused to participate in an alcohol treatment program, his probation officer applied for arrest warrants for violation of probation on December 10, 2001. On December 11, 2001, the defendant was arraigned on two criminal matters, criminal trespass in the first degree and interfering with an officer, respectively, and the court appointed a public defender as his counsel. On December 18, 2001, the defendant was arraigned on the violation of probation matters and denials were entered. At that time, the court appointed the public defender who was handling the defendant’s criminal matters to represent him in the violation of [663]*663probation matters. Thereafter, the court held several scheduled proceedings, often involving both the criminal and the violation of probation matters.
“On January 15,2002, the defendant appeared in court with his counsel and indicated that he wanted to represent himself. The court [Gordon, J.[ told the defendant that before allowing him to represent himself, it was going to order a competency examination. On February 27, 2002, when the defendant appeared in court with his counsel, the court, Fischer, J., made an uncontested finding of competency based on the competency report in the file. Again, the defendant raised the issue of self-representation. The court, Fischer, J., allowed the defendant’s counsel to withdraw from the violation of probation and criminal cases, and, on the same date, the defendant filed a pro se appearance in those cases. On March 20,2002, the court, Clifford, J., the prosecutor and the defendant engaged in an on the record plea discussion. The defendant refused any offered plea bargain and insisted on exercising his ‘right for a trial.’4
[664]*664“On April 3, 2002, the defendant again appeared before Judge Clifford for the violation of probation hear[665]*665ing. Although Judge Clifford recalled having some discussion with the defendant previously in the case, he proceeded to canvass the defendant on the issue of self-representation and advised the defendant of, inter alia, the state’s burden of proof in the case and the defendant’s various constitutional rights. The defendant [666]*666indicated that he was ‘prepared to continue’ and to ‘go forward,’ and there was no mention by anyone of Judge Clifford’s recusal. Thereafter, the hearing commenced and concluded, and Judge Clifford found that the defendant did violate a condition of his probation and that the beneficial aspects of probation were no longer being served. Judge Clifford sentenced the defendant to the remaining six months of imprisonment previously suspended on the sentence for the underlying motor vehicle offenses.” D’Antonio I, supra, 79 Conn. App. 685-89. Additional facts concerning the violation of probation hearing will be discussed in part I C of this opinion.
“At the conclusion of the sentencing phase of the violation of probation hearing, there was a brief on the record discussion of the defendant’s pending criminal trespass and interfering cases. Judge Clifford again briefly canvassed the defendant on the issue of self-representation and appointed standby counsel to assist the defendant in the trial of the charges of criminal trespass in the first degree and interfering with an officer. On June 10, 2002, Judge Clifford granted the state’s motion to consolidate those cases for trial. On the same date, during a discussion about whether Judge Clifford had signed an arrest warrant in the case, Judge Clifford asked the defendant, ‘Do you have a problem with me sitting on [this case?]’ The defendant responded that he had ‘[n]o objection.’
“Thereafter, following jury selection on June 12,2002, the case proceeded to trial before Judge Clifford on June 12, 13, 14 and 18, 2002. During trial, there was no mention by anyone of Judge Clifford’s recusal. On June 18, 2002, the jury returned a guilty verdict on one count of criminal trespass in the first degree in violation of § 53a-107 (a) (1) and two counts of interfering with an officer in violation of § 53a-167a (a). Judge Clifford then sentenced the defendant to a total effective term of two years imprisonment, execution suspended after twenty [667]*667months, with three years of probation.” D Antonio II, supra, 79 Conn. App. 702-703. Additional facts concerning the criminal jury trial will be discussed in part I D of this opinion.
The defendant filed timely appeals to the Appellate Court from the judgments of the trial court with respect to the judgments of conviction and probation violation.
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Opinion
NORCOTT, J.
This court, in State v. Niblack, 220 Conn. 270, 280, 596 A.2d 407 (1991), approved of a [661]*661procedure whereby a trial court may participate in the negotiation of a plea agreement between the state and a defendant, so long as a different judge presides at trial and sentencing if the negotiations are unsuccessful (Niblack rule). The principal issue in these certified appeals is whether the Appellate Court properly concluded that violation of the Niblack rule is, by itself, plain error that requires reversal of a defendant’s conviction, without regard to the facts and circumstances of a particular case. The state appeals, upon our granting of its petitions for certification,2 from the judgments of the Appellate Court reversing the judgments of the trial court, which: (1) found the defendant, Louis D’Antonio, to be in violation of his probation pursuant to General Statutes § 53a-32; State v. D’Antonio, 79 Conn. App. 683, 691, 830 A.2d 1187 (2003) (D’Antonio I); and (2) convicted the defendant after a jury trial of criminal trespass in the first degree in violation of General Statutes § 53a-107 (a) (1), and two counts of interfering with an officer in violation of General Statutes § 53a-167a (a). State v. D’Antonio, 79 Conn. App. 696, 830 A.2d 1196 (2003) (D’Antonio II). We conclude that, under the facts and circumstances of this case, the trial court’s presiding at the hearing, trial and sentencing of the defendant after it had participated in plea negotiations, although improper, was not plain error requiring rever[662]*662sal. Accordingly, we reverse the judgments of the Appellate Court.
The records and the Appellate Court decisions reveal the following facts and procedural history. “On October 24, 2000, the defendant, through his public defender, pleaded nolo contendere to two separate charges of operating under the influence on two separate occasions in violation of General Statutes § 14-227a and was sentenced by the court [Clifford, J.] to a total effective term of thirty months of imprisonment, execution suspended after twenty-four months, and one year of probation with special conditions.3 The special conditions of the defendant’s probation were the same with respect to both violations and included, inter alia, substance abuse screening, evaluation and treatment as recommended by the probation officer, a total of 200 hours of community service and no operation of a motor vehicle while the defendant’s operator’s license was under suspension.
“On or about October 4, 2001, the defendant was released from prison and began serving his probation. After the defendant refused to participate in an alcohol treatment program, his probation officer applied for arrest warrants for violation of probation on December 10, 2001. On December 11, 2001, the defendant was arraigned on two criminal matters, criminal trespass in the first degree and interfering with an officer, respectively, and the court appointed a public defender as his counsel. On December 18, 2001, the defendant was arraigned on the violation of probation matters and denials were entered. At that time, the court appointed the public defender who was handling the defendant’s criminal matters to represent him in the violation of [663]*663probation matters. Thereafter, the court held several scheduled proceedings, often involving both the criminal and the violation of probation matters.
“On January 15,2002, the defendant appeared in court with his counsel and indicated that he wanted to represent himself. The court [Gordon, J.[ told the defendant that before allowing him to represent himself, it was going to order a competency examination. On February 27, 2002, when the defendant appeared in court with his counsel, the court, Fischer, J., made an uncontested finding of competency based on the competency report in the file. Again, the defendant raised the issue of self-representation. The court, Fischer, J., allowed the defendant’s counsel to withdraw from the violation of probation and criminal cases, and, on the same date, the defendant filed a pro se appearance in those cases. On March 20,2002, the court, Clifford, J., the prosecutor and the defendant engaged in an on the record plea discussion. The defendant refused any offered plea bargain and insisted on exercising his ‘right for a trial.’4
[664]*664“On April 3, 2002, the defendant again appeared before Judge Clifford for the violation of probation hear[665]*665ing. Although Judge Clifford recalled having some discussion with the defendant previously in the case, he proceeded to canvass the defendant on the issue of self-representation and advised the defendant of, inter alia, the state’s burden of proof in the case and the defendant’s various constitutional rights. The defendant [666]*666indicated that he was ‘prepared to continue’ and to ‘go forward,’ and there was no mention by anyone of Judge Clifford’s recusal. Thereafter, the hearing commenced and concluded, and Judge Clifford found that the defendant did violate a condition of his probation and that the beneficial aspects of probation were no longer being served. Judge Clifford sentenced the defendant to the remaining six months of imprisonment previously suspended on the sentence for the underlying motor vehicle offenses.” D’Antonio I, supra, 79 Conn. App. 685-89. Additional facts concerning the violation of probation hearing will be discussed in part I C of this opinion.
“At the conclusion of the sentencing phase of the violation of probation hearing, there was a brief on the record discussion of the defendant’s pending criminal trespass and interfering cases. Judge Clifford again briefly canvassed the defendant on the issue of self-representation and appointed standby counsel to assist the defendant in the trial of the charges of criminal trespass in the first degree and interfering with an officer. On June 10, 2002, Judge Clifford granted the state’s motion to consolidate those cases for trial. On the same date, during a discussion about whether Judge Clifford had signed an arrest warrant in the case, Judge Clifford asked the defendant, ‘Do you have a problem with me sitting on [this case?]’ The defendant responded that he had ‘[n]o objection.’
“Thereafter, following jury selection on June 12,2002, the case proceeded to trial before Judge Clifford on June 12, 13, 14 and 18, 2002. During trial, there was no mention by anyone of Judge Clifford’s recusal. On June 18, 2002, the jury returned a guilty verdict on one count of criminal trespass in the first degree in violation of § 53a-107 (a) (1) and two counts of interfering with an officer in violation of § 53a-167a (a). Judge Clifford then sentenced the defendant to a total effective term of two years imprisonment, execution suspended after twenty [667]*667months, with three years of probation.” D Antonio II, supra, 79 Conn. App. 702-703. Additional facts concerning the criminal jury trial will be discussed in part I D of this opinion.
The defendant filed timely appeals to the Appellate Court from the judgments of the trial court with respect to the judgments of conviction and probation violation. The Appellate Court reversed the judgments in the cases in two separate opinions, concluding that, notwithstanding the defendant’s failure to move for recusal at trial, it was plain error for Judge Clifford to preside over the probation violation hearing and criminal trial after having participated in plea bargaining on the same charges on March 20, 2002, in violation of the Niblack rule. D'Antonio I, supra, 79 Conn. App. 693-94; D'Antonio II, supra, 79 Conn. App. 707. The Appellate Court relied on its decisions in State v. Falcon, 68 Conn. App. 884, 793 A.2d 274, cert. denied, 260 Conn. 924, 797 A.2d 521 (2002), and State v. Washington, 39 Conn. App. 175, 664 A.2d 1153 (1995), and reasoned that a new hearing and a new trial were required because “the existence of impartiality might reasonably be questioned and the fairness and integrity of and public confidence in the judicial proceeding affected when a court presides over the violation of probation hearing after having participated actively in plea negotiations. In this case, the appearance of a fair trial has been lost and a new revocation of probation hearing is warranted.” D'Antonio I, supra, 696; see also DAntonio II, supra, 710 (same conclusion for trial and sentencing in criminal matter). Thereafter, we granted the state’s petitions for certification; see footnote 2 of this opinion; and these appeals followed.
On appeal, the state claims that the Appellate Court improperly reversed the judgments of the trial court on the basis of plain error because: (1) the defendant’s claims with respect to the trial court’s failure to recuse [668]*668itself axe unreviewable because he waived them by failing to raise them pursuant to General Statutes § 51-39 (c)5 before the trial court in a Practice Book § 1-236 disqualification motion; and (2) the records in both the probation violation and criminal proceedings demonstrate that there was no actual bias on the part of the trial court, and that the impropriety was harmless because it did not affect the results of the proceedings. In response, the defendant argues that the Appellate Court properly: (1) reviewed the proceedings for plain error because “judicial neutrality is a core value of our judicial system”; and (2) concluded that it was plain error for the trial court to preside because it is the potential appearance of partiality that requires the trial court to recuse itself after unsuccessful plea bargaining. The defendant also posits two alternate grounds for affirming the judgment of the Appellate Court, namely, that: (1) the trial court’s presiding over the hearing and trial was a constitutional due process violation reviewable under State v. Golding, 213 Conn. 233, 239-40, 567 A.2d 823 (1989); and (2) the February 27, 2002 canvass of the defendant by the trial court, Fischer, J., did not establish that the defendant made a knowing and intelligent waiver of his right to counsel before he proceeded pro se during plea bargaining, the probation violation hearing and the criminal jury trial. Finally, the defendant also claims that his two interfering with an officer convictions violate federal and state constitutional protections against double jeopardy because they are for the same offense.
[669]*669We begin with the standard of review applicable to the defendant’s plea bargaining claims, which were not raised before the trial court. “A claim that a judge should not have participated in plea negotiations, based solely upon the appearance of partiality, does not rise to the level of a constitutional violation.” Safford v. Warden, 223 Conn. 180, 190-91, 612 A.2d 1161 (1992) (unpreserved claim that judge improperly had sentenced defendant after participating actively in plea negotiations based solely on appearance of partiality not constitutional violation for habeas corpus purposes). Accordingly, and as the Appellate Court properly recognized, review is unavailable under State v. Golding, supra, 213 Conn. 239-40, which is limited to constitutional claims. Review of the defendant’s unpreserved claims must, therefore, be pursuant to the plain error doctrine, which “has been codified at Practice Book § 60-5, which provides in relevant part that [t]he court may reverse or modify the decision of the trial court if it determines . . . that the decision is . . . erroneous in law. . . . The plain error doctrine is not ... a rule of reviewability. It is a rule of reversibility. That is, it is a doctrine that this court invokes in order to rectify a trial court ruling that, although either not properly preserved or never raised at all in the trial court, nonetheless requires reversal of the trial court’s judgment, for reasons of policy. . . . The plain error doctrine is reserved for truly extraordinary situations where the existence of the error is so obvious that it affects the fairness and integrity of and public confidence in the judicial proceedings. ... A party cannot prevail under plain error unless it has demonstrated that the failure to grant relief will result in manifest injustice.” (Internal quotation marks omitted.) State v. Alston, 272 Conn. 432, 455-56, 862 A.2d 817 (2005).
[670]*670I
WHETHER THE TRIAL COURT’S FAILURE TO RECUSE ITSELF FROM PRESIDING OVER THE DEFENDANT’S HEARING AND TRIALS CONSTITUTED PLAIN ERROR REQUIRING REVERSAL
A
Whether the Defendant’s Failure to Raise His Recusal Claims Before the Trial Court Precludes Plain Error Reversal
We begin with the state’s claim that the Appellate Court should not have determined whether the trial court’s failure to recuse itself was reversible plain error because the defendant failed to raise his disqualification claims at trial. The state relies on General Statutes § 51-39 (c), and Practice Book § 1-23, which govern the disqualification of judges, as well as the Appellate Court’s decision in State v. Maluk, 10 Conn. App. 422, 523 A.2d 928 (1987).
A judge must recuse herself or himself from a matter, either sua sponte or “upon motion of either party, if such judicial authority is disqualified from acting therein pursuant to Canon 3 (c) of the Code of Judicial Conduct . . . .”7 Practice Book § 1-22 (a). It is undisputed that Practice Book § 1-23 governs motions for [671]*671judicial disqualification, and requires such motions to “be in writing and shall be accompanied by an affidavit setting forth the facts relied upon to show the grounds for disqualification and a certificate of the counsel of record that the motion is made in good faith. The motion shall be filed no less than ten days before the time the case is called for trial or hearing, unless good cause is shown for failure to file within such time.”
These mies of practice must be read in conjunction with § 51-39 (c), which provides that, “[w]hen any judge or family support magistrate is disqualified to act in any proceeding before him, he may act if the parties thereto consent in open court.” It is well settled that, in both civil and criminal cases, the failure “to raise the issue of the referee’s disqualification either before or during the trial, can be constmed as the functional equivalent of ‘consent in open court . . . .’” Timm v. Timm, 195 Conn. 202, 205, 487 A.2d 191 (1985) (noting that record revealed no evidence of bias when trial judge failed to disqualify himself after conducting pretrial negotiations in court case); see also State v. Fitzgerald, 257 Conn. 106, 117, 777 A.2d 580 (2001) (noting that record revealed no evidence of bias and defendant’s failure to object after improper disclosure of part B information was “tantamount to consent to the judge’s participation in the case”).
The state’s arguments, however, sweep far too broadly and are dramatically at odds with the purpose of the plain error doctrine, which does not exist to permit reversals as the result of unpreserved technical errors, but rather to prevent the occurrence of “manifest injustice [s]” as the result of particularly “extraordinary” trial errors. (Internal quotation marks omitted.) State v. Alston, supra, 272 Conn. 456. We find instmctive this court’s decision in Cameron v. Cameron, 187 Conn. 163, 444 A.2d 915 (1982). In that case, an issue developed at trial about $4000 that the defendant allegedly had [672]*672failed to include in his financial affidavit. Id., 164. The defendant’s attorney explained that the money had been deposited into a savings account, but the trial court demanded a deposit slip, stating that if one could not be produced, “ ‘either you or your client is in serious trouble in perpetrating or attempting to perpetrate a fraud upon this [c]ourt.’ ” Id., 164-65. The court ordered the defendant to appear the following morning, and made derogatory comments about the defendant’s attorney and some of his prior clients, while stating “several times . . . that the defendant had lied under oath.” Id., 165-66. The exchange continued the following morning when the trial court stated that it thought that the deposit slip that was produced had been “ ‘tampered with,’ ” and called the defendant to the witness stand, subsequently holding both the defendant and counsel in contempt of court; this judgment was vacated after counsel apologized. Id., 166-68. The defendant’s attorney did not move for a mistrial or disqualification at any point.
On appeal, this court stated that, “[w]e would not ordinarily review on appeal a claim that a trial judge should have disqualified himself or declared a mistrial at a certain stage of the proceedings when no such request was made during the trial,” but concluded that, “[w]e are dealing here, however, with an accusation of prejudice against a judge, ‘which strikes at the very core of judicial integrity and tends to undermine public confidence in the established judiciary.’ ” Id., 168. The court invoked the plain error rule, concluding that the trial court’s conduct toward the defendant and counsel caused the appearance of partiality, and that “[i]t is quite evident from our review of the trial transcript that a serious departure from these high standards [of impartiality] occurred in the court below.” Id., 169. The court stated that the trial court had expressed “a preconceived view of the credibility of a witness who had [673]*673not yet testified before the trier and of an attitude of skepticism concerning any person represented by his counsel [that] must have been devastating to the defendant and astounding to any observer schooled in the simple faith that the court is an instrument of justice.” Id., 170. Noting that “[p]roof of actual bias is not required for disqualification,” and that “[t]he appearance as well as the actuality of impartiality on the part of the trier is an essential ingredient of a fair trial,” the court concluded that the “record in this case discloses a situation ‘which inevitably raises in the minds of litigants ... a suspicion as to the fairness of the court’s administration of justice.’ ” Id., 170-71. Accordingly, the court concluded that the trial judge sua sponte should have ordered a mistrial, and vacated the judgment of the trial court. Id., 171; see Bieluch v. Bieluch, 199 Conn. 550, 553, 509 A.2d 8 (1986) (comparing Cameron and declining to consider disqualification claim not raised at trial when “nothing on the face of this record demonstrates such a miscarriage of justice as would warrant a finding of plain error in the trial judge’s failure to recuse himself sua sponte”);8 see also State v. Moore, 65 Conn. App. 717, 728, 783 A.2d 1100 (declining to review unpreserved judicial bias claim based on court’s conduct during trial when “[t]he defendant has made no claim of plain error in this case”), cert. denied, 258 Conn. 940, 786 A.2d 427 (2001); State v. McDuffie, 51 Conn. App. 210, 217, 721 A.2d 142 (1998) (concluding that trial court’s pretrial statement about defendant before probation violation hearing “did not affect the fairness or integrity of the proceedings, nor did it result [674]*674in manifest injustice to the defendant”), cert. denied, 247 Conn. 958, 723 A.2d 814 (1999).9
Applying Cameron and its progeny, we conclude that the state’s argument that these claims lay beyond the ambit of the plain error rule subverts the purpose of that doctrine, which exists to prevent “manifest injustices” that otherwise might occur without consideration of certain “extraordinary” unpreserved claims. (Internal quotation marks omitted.) State v. Alston, supra, 272 Conn. 456. Accordingly, we do not subject trial courts to reversal by ambuscade by reversing judgments on the basis of apparent judicial bias as manifested by genuinely egregious conduct, rather than technical violations of rules of practice. Accordingly, we now turn to the merits of the certified questions.
B
Whether Automatic Reversal is Required When a Trial Court Presides Over a Defendant’s Trial After Having Participated in Plea Bargaining Negotiations
We now turn to the primary legal issue in these appeals, namely, whether it is per se plain error requiring reversal for a trial court to preside, in violation of the Niblack rule, over a defendant’s trial after having participated actively in unsuccessful plea negotiations. [675]*675The state claims that the Appellate Court misapplied the plain error doctrine because the record does not show any actual bias against the defendant on the part of Judge Clifford, and, therefore, his presiding at the probation violation hearing and criminal trial likely did not affect the results of those proceedings. The state contends specifically that we should follow the lead of the federal courts and apply the doctrine of harmless error to the defendant’s claim that the trial court improperly presided after participating in plea negotiations. In response, the defendant argues that proof of actual bias is not required to mandate judicial disqualification and that per se reversal protects public confidence in the fairness of judicial proceedings and the conduct of justice.
Our inquiry about whether violation of the well established Niblaclc rule constitutes per se plain error begins with a review of the purposes of the rule. In State v. Niblack, supra, 220 Conn. 281, we rejected the defendant’s attack on his guilty pleas to charges of murder, escape from custody and robbery, and concluded that the defendant failed to raise issues of constitutional magnitude requiring Golding review because “the available record fails to indicate that the participation of the judge who presided over and supervised the challenged plea negotiations coerced a plea from the defendant.” We also “approve [d]” in dicta of the method followed by the trial court and the parties with respect to judicial court participation in the plea bargaining process, stating that, “[t]he plea negotiations involved an assistant state’s attorney, defense counsel and eventually a judge who assisted the adversaries in reaching an agreement .... The judge was responsible for conducting plea negotiations and, if an agreement was reached, for holding a plea and sentencing hearing. If negotiations were not successful, however, a judge who was not involved in the plea negotiations would have presided at trial [676]*676and pronounced sentence if the defendant were found guilty.” Id., 280.
In so concluding, we discussed the criticisms of active judicial participation in plea bargaining described in prior cases. In State v. Gradzik, 193 Conn. 35, 47, 475 A.2d 269 (1984), this court stated in dicta: “If the record revealed that the judge had been an active participant in negotiating the plea, we would view this claim differently. The dangers of such participation are obvious. In the first place, judicial participation in plea negotiations is likely to impair the trial court’s impartiality. The judge who suggests or encourages a particular plea bargain may feel a personal stake in the agreement (and in the quick disposition of the case made possible by the bargain) and may therefore resent the defendant who rejects his advice. . . . Moreover, the defendant is likely to make incriminating concessions during the course of plea negotiations. ... In the second place, judicial participation in plea discussions creates a misleading impression of the judge’s role in the proceedings. As a result of his participation, the judge is no longer a judicial officer or a neutral arbiter. Rather, he becomes or seems to become an advocate for the resolution he has suggested to the defendant.”10 (Inter[677]*677nal quotation marks omitted.) Citing United States v. Adams, 634 F.2d 830, 840-41 (5th Cir. 1981); United States v. Werker, 535 F.2d 198, 203 (2d Cir.), cert. denied sub nom. Santos-Figueroa v. United States, 429 U.S. 926, 97 S. Ct. 330, 50 L. Ed. 2d 296 (1976); see also State v. Fullwood, 194 Conn. 573, 581, 484 A.2d 435 (1984) (discussing risks, but concluding that record was inadequate for review of defendant’s plea bargaining claims).
We reiterated our approval of the Niblack rule in Safford v. Warden, supra, 223 Conn. 194 and n.16. In Safford, we affirmed the denial of a habeas corpus petition, rejecting, inter alia, the petitioner’s claim that the judge who had sentenced him was barred from doing so by the Code of Judicial Conduct because he had participated in the plea bargaining that led to the petitioner’s guilty plea to sexual assault charges. Id., 188-90. We concluded that the claims were not appropriate for a habeas petition because “[a] claim that a judge should not have participated in plea negotiations, based solely upon the appearance of partiality, does not rise to the level of a constitutional violation. . . . Nor does it constitute a miscarriage of justice, or other prejudice justifying the issuance of a writ of habeas corpus.” (Citation omitted.) Id., 190-91. We also rejected the petitioner’s claim that his trial counsel was ineffective for failing to move for the trial court’s disqualification; id., 194; and we again recited our approval of the Niblack rule governing plea negotiations. Id., 194 n.16. We also stated that this “procedure must be distinguished from the situation where the judge who participates in plea negotiations is also responsible for conducting the trial and, therefore, for sentencing the defendant in the event of a conviction,” because, that situation gives rise to the “dangers we identified in State v. Gradzik, [supra, 193 Conn. 47] . . . .” Safford v. Warden, supra, 223 Conn. 194 n. 16. We noted that adherence to the Niblack rule eliminates these risks because [678]*678“[a]s long as the defendant is free to reject the plea offer and go to trial before a judge who was not involved in or aware of those negotiations, he is not subject to any undue pressure to agree to the plea agreement, and the impartiality of the judge who will sentence him in the event of conviction after trial is not compromised.” Id.
We most recently addressed judicial participation in plea bargaining in State v. Revelo, 256 Conn. 494, 497, 775 A.2d 260, cert. denied, 534 U.S. 1052, 122 S. Ct. 639, 151 L. Ed. 2d 558 (2001), wherein the trial court stated that it would sentence the defendant to eight years imprisonment in accordance with a plea offer that had been made. The defendant, however, wished to move for the suppression of certain evidence. Id. The trial court told the defendant that, if the motion was unsuccessful, the sentence would be nine years imprisonment. Id., 497-98. Thereafter, the trial court held a hearing and denied the motion to suppress, and then accepted the defendant’s plea of nolo contendere and sentenced him to nine years imprisonment. Id., 498-99.
On appeal, we concluded that “principles of due process prohibit a court from retaliating against a defendant merely for exercising a statutory or constitutional right. In this case, the trial court told the defendant that he would be required to serve one extra year in prison if he agreed to plead guilty only after exercising his right to a judicial determination of his motion to suppress. By requiring that additional period of incarceration for no reason other than the defendant’s decision to pursue his motion to suppress, the trial court punished the defendant for doing what the law plainly allow[ed] him to do ... . Although a corut may deny leniency to an accused who, like the defendant, elects to exercise a statutory or constitutional right, a court may not penalize an accused for exercising such a right by increasing his or her sentence solely because of that election.” [679]*679(Citation omitted; internal quotation marks omitted.) Id., 513. Although we noted that a trial court may advise a defendant during plea bargaining of the potential for a greater sentence after trial,11 we concluded that “[t]he court, in wielding its power as it did in this case, discharged its sentencing function in a manner that is legally indistinguishable from the kind of ‘unilateral imposition of a penalty upon a defendant who ha[s] chosen to exercise a legal right’ that has been held unconstitutional.” Id., 515. In particular, we noted the trial court’s failure to explain why the greater sentence “might be appropriate ... to dispel any suggestion that the court was prepared to punish the defendant merely for exercising his right to a judicial determination of his motion. Indeed, the failure of the trial court in this case to provide such an explanation is a critical factor in our conclusion that the court overstepped its constitutional bounds by adding one year to the defendant’s sentence.” (Citation omitted.) Id., 516.
Our analysis in Revelo included a comprehensive review of the restrictions on judicial participation in plea bargaining. We began “by reaffirming our recognition of the critical role that pretrial negotiations play in the criminal justice system.”12 Id., 505. Citing, inter [680]*680alia, then rule 11 (e) of the Federal Rules of Criminal Procedure; id., 506 n.22; we also noted that, “[a]lthough plea bargaining between the state and the accused is a universally accepted practice, many jurisdictions bar judges from active participation in plea negotiations.” Id., 506. Citing our decision in Safford v. Warden, supra, 223 Conn. 194 n.16, we contrasted the inherent “dangers” of a judge presiding over a defendant’s trial after active participation in unsuccessful plea negotiations; State v. Revelo, supra, 256 Conn. 506 n.23; with “judicial involvement in plea discussions when it is clear to all concerned parties that, in the event a plea agreement is not reached, the judge involved in the plea negotiations will play no role in the ensuing trial, including the imposition of sentence upon conviction.” Id., 506-507, citing State v. Niblack, supra, 220 Conn. 280.
Niblack established a clear and bright line rule standing for the proposition that it is improper for a trial judge to preside over a defendant’s trial after having participated actively in unsuccessful plea negotiations in the case. Moreover, although it is well established that the Niblack rule is itself not of constitutional dimensions; Safford v. Warden, supra, 223 Conn. 190-91; scrupulous adherence thereto nevertheless aids in the [681]*681enforcement of the constitutional requirement of an impartial judiciary and the constitutional prohibition against increasing defendants’ sentences in retaliation for their having exercised their sixth amendment right to a trial. See German v. United States, 525 A.2d 596, 601-602 (D.C.) (prohibition of judicial participation in plea bargaining is “prophylactic” and “rule of practice for trial courts; it does not embody a constitutional limitation”), cert. denied, 484 U.S. 944, 108 S. Ct. 331, 98 L. Ed. 2d 358 (1987). Accordingly, violation of the Niblack rule is, by itself, not a “truly extraordinary [situation] where the existence of the error is so obvious that it affects the fairness and integrity of and public confidence in the judicial proceedings.” (Internal quotation marks omitted.) State v. Alston, supra, 272 Conn. 456.
We conclude that establishing a violation of the Niblack rule does not, therefore, excuse the defendant from “demonstrating] that the failure to grant relief will result in manifest injustice.” (Internal quotation marks omitted.) Id. Rather, the defendant must demonstrate on appeal that the record in the case actually implicates the dangers of judicial participation in plea negotiations, the primary examples of which were discussed in Safford v. Warden, supra, 223 Conn. 194 n. 16.13 Accordingly, before reversing a judgment of conviction and a concomitant sentence, we must look beyond the fact of the Niblack violation and review the record as a whole for evidence of actual or apparent prejudice to the defendant. See German v. United States, supra, 525 A.2d 602 (noting “core concern” of resentment of [682]*682defendant by court after unsuccessful negotiations and stating that “[t]he selection of a proper remedy . . . merges into the question whether the defendant has been penalized for exercising his sixth amendment right to a jury trial”); see also id., 603 (“the same standards and case law can be employed to determine both the [harmless error] inquiry and the constitutional question whether [the defendant] has been improperly penalized for exercising his sixth amendment right to a trial by jury”). In doing so, we consider, in addition to judicial participation in unsuccessful plea negotiations followed by a harsher sentence than initially was offered, factors that include: “(1) whether the trial judge initiated the plea discussions with the defendant ... (2) whether the trial judge, through his or her comments on the record, appears to have departed from his or her role as an impartial arbiter by either urging the defendant to accept a plea, or by implying or stating that the sentence imposed would hinge on future procedural choices, such as exercising the right to trial; (3) the disparity between the plea offer and the ultimate sentence imposed; and (4) the lack of any facts on the record that explain the reason for the increased sentence other than that the defendant exercised his or her right to a trial or hearing.” Wilson v. State, 845 So. 2d 142, 156 (Fla. 2003); accord State v. Gradzik, supra, 193 Conn. 47-48 (concluding that “the sentence imposed was eminently fair and compassionate” in light of defendant’s “lengthy criminal record, including five violations of probation” and failure “to avail himself of drug rehabilitation”); cf. State v. Messier, 16 Conn. App. 455, 459-60, 549 A.2d 270 (presiding trial judge did not improperly deny defendant’s recusal motion when pretrial participation was brief and record provided “no basis for concluding that the trial judge’s pretrial activities so impaired, or appeared to impair, his ability to act as a judicial officer or a neutral arbiter that it was [683]*683error to deny the motion for disqualification” [internal quotation marks omitted]), cert. denied, 209 Conn. 829, 552 A.2d 1216 (1988).
Indeed, our rejection of a per se reversal rule for Niblack violations is consistent with the approach to this issue taken by the federal courts and the majority of our sister states.14 We, therefore, begin with a review of the federal approach. Unlike Connecticut trial judges, federal district judges are not permitted to participate in the plea negotiation process at all. See Fed. R. Crim. P. 11 (c).15 This prohibition exists primarily to avoid [684]*684the appearance of coercion because “[a] defendant may be motivated to enter an involuntary guilty plea if he fears that his rejection of the plea will mean imposition of a more severe sentence after trial or decrease his chances of obtaining a fair trial before a judge who he has challenged.” (Internal quotation marks omitted.) United States v. Diaz, 138 F.3d 1359, 1363 (11th Cir.), cert. denied, 525 U.S. 913, 119 S. Ct. 259, 142 L. Ed. 2d 213 (1998). The federal courts, however, also have determined that an absolute ban on judicial participation “serve [s] important prophylactic purposes” by ensuring the appearance of judicial impartiality during [685]*685trial and sentencing. (Internal quotation marks omitted.) United States v. Crowell, 60 F.3d 199, 205 n.11 (5th Cir. 1995). Despite the categorical ban, such participation nevertheless is subject to review for harmless error. Fed. R. Crim. P. 11 (h).
In conducting this harmless error review, in the absence of other claimed trial errors, the federal courts of appeal “examine whether the district court’s participation might reasonably be said to have affected the court’s impartiality in the conduct of the trial or sentencing.” United States v. Crowell, supra, 60 F.3d 205; see also United States v. Diaz, supra, 138 F.3d 1364 (“most importantly, the district court based [the defendant’s] sentence on entirely sound reasons and displayed no bias in sentencing him”). For example, in United States v. Crowell, supra, 205, the United States Court of Appeals for the Fifth Circuit concluded that the trial court’s participation in plea bargaining caused no harm with respect to the defendant’s trial because the defendant did not raise any claims on appeal with respect to sufficiency of the evidence, evidentiary rulings, jury instructions or other trial procedure. The court did, however, conclude that there was harm with respect to the defendant’s sentence because: (1) the government did not argue harmless error; and (2) comments made by the trial court during the plea negotiations indicated a “premature commitment to a sentence of at least a certain level of severity.” Id., 205. Accordingly, it affirmed the defendant’s convictions, but vacated the sentences and remanded for resentencing by a different judge. Id., 206-207.
We also find helpful the approaches taken by other state courts, such as the Florida Supreme Court’s recent decision in Wilson v. State, supra, 845 So. 2d 152, wherein the court recognized that “imposition of a harsher sentence, without explanation on the record after judicial participation in the plea negotiations, does [686]*686raise concerns” of judicial vindictiveness that are constitutional in scope.16 The court cited cases that “illustrate the tension between the realistic expectation . . . that a guilty plea may justify leniency . . . and the constitutional imperative that a defendant should not be penalized by the judicial system for not accepting a plea and exercising his or her constitutional right to proceed to trial.” (Citation omitted; internal quotation marks omitted.) Id., 156. The court adopted a totality of the circumstances analysis “to employ to determine whether a defendant’s constitutional right to due process of law was violated by the imposition of an increased sentence after unsuccessful plea discussions in which the trial judge participated.” Id. The Florida court enumerated factors to consider, which, in addition to judicial participation in plea negotiations followed by a harsher sentence, include: “(1) whether the trial judge initiated the plea discussions with the defendant ... (2) whether the trial judge, through his or her comments on the record, appears to have departed from his or her role as an impartial arbiter by either urging the defendant to accept a plea, or by implying or stating that the sentence imposed would hinge on future procedural choices, such as exercising the right to trial; (3) the disparity between the plea offer and the ultimate sentence imposed; and (4) the lack of [687]*687any facts on the record that explain the reason for the increased sentence other than that the defendant exercised his or her right to a trial or hearing.”17 Id., 156.
The vast majority of our sister states have, despite their varying degrees of acceptance of judicial participation in plea bargaining, adopted approaches similar to that taken by both Florida and the federal courts for assessing any harm that may have befallen a defendant as a result of that practice. See Pelmer v. State, 389 So. 2d 584, 589-91 (Ala. Crim. App. 1980) (trial court aware of defendant’s rejection of state’s two year offer, and sentenced defendant to five years after trial, but no indication of vindictiveness because sentence proper in light of statutory limit and defendant’s prior felony convictions); People v. Clark, 183 Colo. 201, 203, 515 P.2d 1242 (1973) (stating that judicial participation “in plea bargaining is fundamentally unfair and brings to bear the full force and majesty of a court on a defendant,” and concluding that resentencing was required because of trial court’s assurance during unsuccessful negotiations that defendant would be “ ‘put away forever’ ” if he was convicted after trial); German v. United States, supra, 525 A.2d 603 (success of claim for retaliation requires that the defendant “affirmatively demonstrate ‘a reasonable likelihood of vindictiveness’ on the part of the trial judge”); People v. Dennis, 28 Ill. App. [688]*6883d 74, 78, 328 N.E.2d 135 (1975) (noting that “a mere disparity between the sentence offered during plea bargaining and that ultimately imposed, of itself, does not warrant the use of our power to reduce a term of imprisonment,” but finding disparity requiring relief when defendant had been offered two to six years, but was sentenced after trial to forty to eighty years); Garrett v. State, 737 N.E.2d 388, 389-91 (Ind. 2000) (concluding that trial court’s statement to defendant during plea bargaining that he would get maximum sentence if convicted was improper and raised potential for judicial vindictiveness, but that defendant could not prevail because he failed to object to comments and sentence was supported by defendant’s criminal history and lack of mitigating evidence); State v. Molinario, 530 So. 2d 665, 668 (La. App. 1988) (trial judge’s offer of four years imprisonment during plea negotiations, followed by ten year sentence after trial “underscores the problems inherent in a judge’s participation in plea bargain negotiations,” but reversal not warranted because judge learned more about defendant’s record after trial and articulated explanation of sentence), cert. denied, 536 So. 2d 1212 (La. 1989); Commonwealth v. Ford, 35 Mass. App. 752, 757-58, 626 N.E.2d 1 (1994) (stating that judge’s presiding over trial after violating prohibition of active participation in plea negotiations “does not mean that a judgment after trial must be vacated for presumptive bias on the part of the judge” where record and sentence indicate that defendant was “not unfairly tried or vindictively sentenced”); State v. Wilson, 750 S.W.2d 560, 565 (Mo. App. 1988) (rejecting defendant’s claim in aggravated robbery case that trial court should have recused itself after stating that it “ ‘guarantee^]’ ” defendant never would get out of jail if convicted after trial because “record demonstrates the impartiality and evenhandedness of the court in dealing with the defendant despite his obstreperous conduct”); State v. Hall, [689]*689317 Mont. 356, 365-66, 77 P.3d 239 (2003) (discussing vindictiveness concerns and remanding for resentencing when trial court was involved in plea bargaining and failed to explain on record “why the sentence was more onerous than the sentence offered before trial”); State v. Moore, 4 Neb. App. 564, 578, 582-84, 547 N.W.2d 159 (1996) (noting that judicial participation in plea bargaining process is “strongly discourage [d]” and record must establish that reason for harsher sentence imposed after trial “is due solely to the facts of the case and the personal histoiy of the defendant”); State v. Mitchell, 117 Ohio App. 3d 703, 706-708, 691 N.E.2d 354 (1997) (concluding, notwithstanding remark at sentencing that defendant should have taken plea offer, that defendant’s sentence was not product of vindictiveness when trial court: [1] imposed less than maximum sentence; [2] stated that he was not imposing maximum sentence “merely because defendant insisted upon his right to a trial”; [3] discussed defendant’s extensive prior criminal history; and [4] noted defendant’s failure to take responsibility for his actions as evinced by defendant’s remarks to judge at sentencing); State v. Kimsey, 182 Or. App. 193, 206 n.7, 47 P.3d 916 (2002) (noting in dicta that judge presiding over trial may not participate in plea negotiations, but that “a trial judge’s active participation in plea negotiations has been held not to be a per se violation of any constitutional fair trial guarantee and a basis on which a defendant may automatically invalidate a plea or obtain a reversal of a conviction”); Commonwealth v. Palmer, 463 Pa. 26, 34-35, 342 A.2d 387 (1975) (Judge’s improper participation in plea bargaining before trial did not require reversal when defendant did not claim that “the trial judge was prejudiced against him; that anything occurred prejudicing him before the jury; or that the province of the jury was invaded in any way. These factors, plus a careful review of the record, convince us that [the [690]*690defendant’s] trial comported with due process standards and, as a result, a just sentence was imposed.”); State v. Davis, 155 Vt. 417, 420-21, 584 A.2d 1146 (1990) (noting that Vermont judges may participate in plea bargaining and that “the mere disparity between plea-bargained and post-trial sentences does not mandate a presumption of vindictiveness” in absence of record evidence such as improper comments); State v. Sanders, 209 W. Va. 367, 383, 549 S.E.2d 40 (2001) (stating that defendant should, if found competent on remand, be “resentence[d] ... to no more than the previously offered thirty years, as we find nothing in the record affirmatively showing that the escalation in sentence was not the result of [the defendant’s] refusal to plead guilty”);18 but see State v. Miller, Docket No. 1 CA-CR 98-0153, 1999 Ariz. App. LEXIS 93, at *18 (February 9, 1999) (depublished opinion) (presuming prejudice and finding “fundamental error” requiring reversal when “[t]he judge improperly participated in the plea discussions and was clearly of the opinion that the [defendant should accept the [s]tate’s offer”).
Accordingly, we conclude that a trial court presiding over a trial after having first participated in unsuccessful plea bargaining efforts is not, by itself, plain error [691]*691requiring reversal.19 Violation of this prophylactic rule does not require reversal when the record demonstrates that the defendant otherwise has received a fair trial [692]*692and sentencing before an impartial court, and that the core danger of judicial vindictiveness has not been realized.20 Accordingly, we now turn to the records of the probation violation hearing and the criminal trial in the present case, to assess whether the trial court appears to have departed from its role of impartiality in light of its involvement in the plea discussions, the hearing [693]*693and the trial,21 and the appropriateness and fairness of the sentence in this particular case.22
C
Probation Violation Hearing
We begin with the record of the probation violation hearing, which was held before Judge Clifford on April 3 and 17, 2002. The hearing began with the trial court and the defendant remembering each other from the prior proceedings, followed by a canvass of the pro se defendant to ensure that he was aware of his rights and [694]*694the procedure for probation violation hearings, as well as his potential exposure for incarceration. At the beginning of the hearing, without prompting from the defendant, the trial court immediately ordered the defendant’s handcuffs removed in accordance with a promise made at the March plea bargaining session. Kathleen Carabetta, the defendant’s supervising probation officer, then testified that she had supervised him pursuant to a sentence for two driving while intoxicated convictions in 2000; it was a concurrent sentence of thirty months, with execution suspended after twenty-four months, with one year probation. The court’s orders of probation were admitted into evidence, as well as the conditions of probation signed by the defendant in October, 2001. Those conditions were that the defendant was to: (1) refrain from operating a car while his license was under suspension; (2) obtain substance abuse screening, evaluation and treatment in accordance with the probation officer’s recommendations; (3) perform 200 total hours of community service; and (4) refrain from assaulting, threatening or harassing his mother. In November, 2001, Carabetta received a postscreening recommendation that the defendant be placed inpatient at a residential treatment program because he had reported that he still was drinking; the clinician who did the screening also had reported to Carabetta that the defendant became hostile and started yelling that he was not going into a residential program.
Shortly thereafter, Carabetta met with the defendant to discuss the recommended treatment plan. At this meeting, the defendant became hostile; Carabetta told the defendant that, if he refused to go into the program, she would obtain a warrant for violation of probation. She testified that he told her to “[g]o ahead and get your warrant and I’ll see you in court at a hearing,” and that he “could do six months in jail no problem.” She then directed the defendant to leave, and obtained the [695]*695warrant. After being reminded by the court of his right to cross-examine Carabetta, the defendant declined the opportunity to do so.
After the trial court again reminded him of his right to remain silent, the defendant then testified on his own behalf. Shortly after the defendant was sworn, the trial court observed that he was “[njervous” and seemed like he was “going to get emotional,” and therefore, sua sponte offered him a break so that he could compose himself. After the break, the defendant explained, in narrative form, his version of what had occurred. He explained that he disagreed with the inpatient treatment and anger management classes directed by probation, and discussed his efforts to obtain employment and find a place to live. The defendant apparently became emotional again as the trial court offered him a glass of water during this narrative. After the defendant concluded his narrative, the state cross-examined him briefly. The defendant conceded on cross-examination that he had refused to comply with the directions of the probation officer. He offered no other witnesses or evidence on his own behalf.
The trial court then heard brief closing arguments from the state and the defendant, and concluded that the state had proven by a fair preponderance of the evidence that the defendant had violated the terms of his probation.23 See State v. Faraday, 268 Conn. 174, [696]*696183-84, 842 A.2d 567 (2004). The trial court then offered the defendant the opportunity to be heard with respect to the appropriate sentence, asking the defendant “should [I] just put you back on the probation or what . . . should [I] do with you?” The defendant then stated that “I never agreed to probation in the beginning,” and after some discussion of the original plea canvass, that “I don’t know. I definitely do not want probation reinstated. It’s just too difficult to get around and make appointments with people, try to keep your job, keep above water. I have no driver’s license. At this point, sir, the bus situation, the transportation situation, is less than excellent in this particular part of the state from East Hampton to Middletown. The counseling services, I was not happy about that. I’ve been to other counseling services and I feel that I should have—the counseling services should have been a little bit more lenient to my condition, my particular case. ... I was trying to get back on my feet as a normal citizen of the state and they made it impossible for me, sir.”
The trial court then acknowledged its sympathy with the defendant’s “frustration,” and the difficulties inherent in complying with the probation conditions while [697]*697“you’re trying to get back on the road. But the problem is it’s not your call. See, that is what the problem is. It’s probation’s. Maybe you’re right. Maybe originally you shouldn’t have received probation. You’re obviously not a probation kind of a guy because, you know, you didn’t want to do this inpatient. So, I understand that.” The trial court then considered the defendant’s prior criminal record,24 and stated: “I agree with the defendant, I think I can penalize him more if he sat in jail now for three and a half months—I think the greater penalty would be if I sentenced you and kept you on the probation or extended the probation. I have the authority to extend the probation another two years. I think that would be a worse punishment to you if I said, well, I’m not going to put you in jail for this. I’m just going to extend the probation a couple of more years. I know you don’t want probation. It’s not going to work out with you in probation.” Accordingly, the trial court stated that “the beneficial aspects of probation [are] no longer being served,” and sentenced the defendant to complete the six months suspended portion of his sentence, with credit received for the three and one-half months pretrial detention. See State v. Faraday, supra, 268 Conn. 185 (“[i] fa violation is found, a court must next determine whether probation should be revoked because the beneficial aspects of probation are no longer being served” [internal quotation marks omitted]). The trial court, the state and the defendant then discussed the defendant’s upcoming criminal trial, and the appointment of standby counsel to assist the defendant in those proceedings because of his continued desire to proceed pro se therein.
We conclude that the trial court presided over the probation violation proceedings in a fair and even[698]*698handed manner, and the record reveals no manifest injustice therein. We begin by noting that the facts underlying the probation violation were not discussed during plea negotiations; see footnote 4 of this opinion; accordingly, they could not improperly have colored the trial court’s factual findings. Moreover, the trial court’s finding that the defendant violated the terms of his probation was supported by a preponderance of the evidence on the record, and the defendant does not attack the validity of that finding on appeal. No reference was made at any point to the defendant’s failure to accept the state’s plea offer. The trial court was solicitous of the defendant throughout the hearing, offering him a break when necessary for him to regain his composure. Most importantly, the sentence was appropriate, and grounded both in the defendant’s past criminal record and his admitted difficulties in complying with the terms of probation; indeed, the defendant explicitly stated that he did not wish to be placed back on probation. Accordingly, we conclude that the concerns of judicial vindictiveness contemplated by the Niblack rule were not realized in the probation violation proceedings, and, therefore, the Appellate Court improperly reversed the judgment of the trial court.
D
Criminal Jury Trial on Interfering With an Officer and Trespass Charges
We next consider the record from the defendant’s criminal jury trial on the trespass and interfering with an officer charges. When the trial began, the court ordered the removal of the defendant’s handcuffs, but denied his motion for a bond reduction, finding no change in circumstances. The trial court then heard oral argument on the defendant’s motion to dismiss the interfering with an officer charges, which was based on the police officers’ alleged attack on him and failure [699]*699to show their warrants, but the court denied that motion, explaining that it implicated actual defenses that presented issues of fact for the jury.25 Pursuant to the state’s joinder motion, the cases were then set for a consolidated trial on the various charges. Prior to the conclusion of the hearing on the joinder motion, the court, noting the importance of the defendant’s appearance at trial, inquired about the availability of clothing other than the prison garb for the defendant, who was aided by standby counsel.26 The trial court then recanvassed the defendant to ensure that he understood the role of standby counsel in the pro se proceedings, as well as his rights of cross-examination and the fifth amendment implications of testifying on his own [700]*700behalf.27 At the suggestion of the state’s attorney, who noted his concern that the trial court had signed the arrest warrants in the case, the trial court then obtained the defendant’s consent to preside at the trial.28
Thereafter, a jury was empaneled and the trial commenced on June 13, 2002. The trial court ordered the removal of the defendant’s handcuffs and leg irons before the jury entered the courtroom for the court’s preliminary remarks.29 Thereafter, the trial commenced, and the jury reasonably could have found the following facts from the exhibits and testimony adduced therein. The defendant had a falling-out with his mother, Frances D’Antonio, who owned a home located at 137 Wopowog Road in East Hampton; she told him several times that he no longer was welcome at that house. In September, 1999, she obtained a restraining order from the [701]*701court, which was continued permanently until further order by the court, Higgins, J., in April, 2000.30 On the evening of December 9,2001, she returned from Florida to find the defendant in her home. He did not speak to his mother, but said to her daughter-in-law that “I live here.” The defendant’s mother contacted the police from the nearby home of her other son. Two East Hampton police officers responded to her call; they went to the house and spoke to the defendant, who refused to leave the house. Thereafter, the police researched the orders, and found the April order on file at police headquarters, although they had some doubts as to its validity. The following day, the police obtained an arrest warrant for the defendant.
Five police officers returned to 137 Wopowog Road the next day to arrest the defendant pursuant to the warrant. When another officer telephoned the defendant there and directed him to surrender to the incoming police officers, the defendant hung up the telephone during the conversation. When the officers arrived at the residence, they saw the defendant in the kitchen cutting meat with a large filleting knife. They told the defendant that they had an arrest warrant for him, but he refused to come out of the house. Using a key provided by the defendant’s mother, the officers entered the house with weapons drawn and ordered the defendant to drop the knife. The defendant placed the knife on a nearby counter, but remained within reach of the knife—continuing to alternate looking at the officers and the knife. The defendant refused to comply with the officers’ repeated directions to walk backward away from the knife. At that point, one officer sprayed the defendant with pepper spray and he began to scream [702]*702and thrash around as they attempted to handcuff him. The defendant continued to curse and kick at the officers until one struck him on the back of the calf with a police baton. The defendant then became physically compliant and was transported to the police station.31 On cross-examination, the defendant admitted disobeying the officers’ directions as they executed the arrest warrant.32
During the proceedings, the defendant moved for a judgment of acquittal on the criminal trespass charges, contending that: (1) with respect to the charge based on the restraining order, the court should construe the restraining order as limited to six months; and (2) the state had produced insufficient evidence with respect to the charge based on his mother’s statement that he was banned from the house. The state opposed the motion. The trial court denied the motion with respect to the restraining order personally communicated to the defendant, concluding that there was sufficient evidence to create a jury question, but granted the defendant’s motion for acquittal with respect to the trespass charges based on the restraining order. The trial court concluded that “especially since it is an element of the crime I don’t believe that there actually was a valid restraining order outstanding. There was a restraining order outstanding, but I don’t believe it was a valid one, so I am going to grant a judgment of acquittal as to that count of criminal trespass.” Thereafter, the defendant presented his defense, and the jury convicted him of [703]*703one count of criminal trespass in the first degree in violation of § 53a-107 (a) (2), and two counts of interfering with an officer in violation of § 53a-167a (a).
After the jury’s verdict was received, the trial court gave the defendant an option with respect to the scheduling of sentencing. He conferred with standby counsel and elected to be sentenced that same day. The state, citing the defendant’s record of twenty prior criminal convictions, asked the court to impose the maximum possible sentence on all counts of three years. The defendant expressed his remorse for the effect of his actions on his family, and stated his desire to move on with his life. The trial court noted that imposing a consecutive sentence on the interfering with an officer counts might raise double jeopardy implications because they arose from the same conduct; see also part III of this opinion; and that the maximum available sentence was, therefore, two years. In discussing the various purposes of sentencing, the trial court discussed the defendant’s criminal history and his history of psychological and substance abuse problems, and encouraged him to seek help.33 The trial court discussed the defendant’s conduct that gave rise to the charges, and sentenced him to a split sentence of two years, suspended after twenty months, followed by three years of probation with counseling as directed by probation, and an order to stay away from his mother and her home. The trial court determined that it wanted to keep some controls on the defendant after his release from [704]*704prison in order to provide him with a behavioral incentive and ensure that he is seeking the help he needs. The sentence ran consecutive to the defendant’s sentence for probation violation, which had concluded the day after the trial.
Having reviewed the proceedings on these criminal charges, we conclude that the record demonstrates no manifest injustice requiring reversal under the plain error doctrine. First, the plea negotiations could not have colored the factual determinations because a jury was the fact finder, and, in any event, the facts were not discussed during plea negotiations. See footnote 4 of this opinion. Indeed, the defendant consented affirmatively to the trial court’s presiding over the trial, despite the trial court’s concerns with respect to the arrest warrant. Furthermore, the trial court granted the defendant’s motion for acquittal with respect to the restraining order-based trespass charges, which was a decision that was different from the judge’s preliminary assessment of the case during plea negotiations. See footnote 4 of this opinion. Moreover, during the trial, the court constantly was solicitous of the defendant by: (1) sua sponte offering him a break when he became upset while questioning his mother about his deceased father; (2) providing him with tissues and water when he became upset while testifying about the events that gave rise to his trespassing arrest; (3) explaining why it was permissible for the prosecutor to question him about the September, 1999 incident with his mother that gave rise to a restraining order; and (4) providing guidance with respect to various points of procedure, such as opportunities for rebuttal and the conduct of closing arguments.
Moreover, although the trial court would have been better advised not to have commented at sentencing about the “reasonable disposition” that previously had been offered to the defendant; see footnote 33 of this [705]*705opinion; the totality of the record demonstrates that the defendant received a fair trial and a reasonable sentence, both of which were not colored by judicial vindictiveness.34 The trial court did not sentence the defendant to a maximum term of incarceration, but fashioned a thoughtful sentence that considered the defendant’s extensive criminal history while maintaining an opportunity for the defendant to obtain mental health and substance abuse services in a structured, court supervised setting. Accordingly, the Appellate Court improperly concluded that it was plain error requiring reversal for Judge Clifford to preside over the defendant’s trial.
II
ALTERNATE GROUND FOR AFFIRMANCE: WHETHER THE DEFENDANT KNOWINGLY AND INTELLIGENTLY WAIVED HIS RIGHT TO COUNSEL
The defendant posits, as an alternate ground for affirming the judgment of the Appellate Court, a claim that he proceeded pro se without making a knowing and intelligent waiver of his constitutional right to the assistance of counsel. Specifically, the defendant contends that the trial court, Fischer, J., did not adequately canvass him pursuant to Practice Book § 44-335 on Feb[706]*706ruary 27, 2002, and that the defendant was, therefore, deprived of the assistance of counsel during plea bargaining and trial preparation. The defendant concedes that he did not raise this claim before the trial court, and requests review pursuant to State v. Golding, supra, 213 Conn. 239-40.36 The state argues in response that both the February 27, 2002 canvass and the record as a whole demonstrate that, notwithstanding the trial court’s failure to comply strictly with the prophylactic requirements of Practice Book § 44-3, the defendant’s waiver of his right to counsel nevertheless satisfied the constitutional requirement that the waiver be knowing and voluntary. We conclude that the defendant’s claim is reviewable pursuant to State v. Golding, supra, 213 Conn. 239-40, but we agree with the state that the defendant’s waiver of counsel satisfied constitutional requirements.
The record reveals the following additional facts and procedural history. In December, 2001, the trial court, Fischer, J., appointed a public defender to represent the defendant in both the criminal and probation violation matters. At proceedings conducted in January, 2002, the defendant expressed to the trial court, Gordon, J., his desire to represent himself, and to be placed on the speedy trial list. The trial court discussed the defendant’s wish with him, ordered a competency examination pursuant to General Statutes § 54-56d, and [707]*707continued the matter.37 Thereafter, on February 27, 2002, the trial court, Fischer, J., reviewed the competency report and found the defendant competent to represent himself.38 The defendant reiterated his desire to proceed pro se, and to have the public defender withdraw from representing him. The trial court ascertained the degree of the defendant’s education, warned [708]*708him of the risks of proceeding pro se, and permitted the public defender to withdraw.39 The trial court then [709]*709granted the defendant’s request and continued the matter to March 20, 2002, so that the defendant could complete research on his case.
We begin with the applicable standard of review. We review the trial court’s determination with respect to whether the defendant knowingly and voluntarily elected to proceed pro se for abuse of discretion. See, e.g., State v. Bangulescu, 80 Conn. App. 26, 43, 832 A.2d 1187, cert. denied, 267 Conn. 907, 840 A.2d 1171 (2003). Recognizing the constitutional implications attendant to Golding review, we do not review the proceedings for strict compliance with the prophylactic rule of Practice Book § 44-3, but rather for evidence that the waiver of counsel was made knowledgeably and voluntarily. See State v. Webb, 238 Conn. 389, 429, 680 A.2d 147 (1996) (“The defendant, however, does not possess a constitutional right to a specifically formulated canvass. His constitutional right is not violated as long as the court’s canvass, whatever its form, is sufficient to establish that the defendant’s waiver was voluntary and knowing.”); State v. Gethers, 193 Conn. 526, 540, 480 A.2d 435 (1984) [710]*710(“[o]nce it is determined that there has been a constitutionally valid waiver of counsel, a defendant cannot be denied his right to try his own case simply because of some insubstantial nonconformity with [Practice Book § 44-3]”).
“The right to counsel and the right to self-representation present mutually exclusive alternatives. A criminal defendant has a constitutionally protected interest in each, but since the two rights cannot be exercised simultaneously, a defendant must choose between them. When the right to have competent counsel ceases as the result of a sufficient waiver, the right of self-representation begins. . . . Put another way, a defendant properly exercises his right to self-representation by knowingly and intelligently waiving his right to representation by counsel. . . . State v. Day, 233 Conn. 813, 821, 661 A.2d 539 (1995).
“Practice Book § [44-3] was adopted in order to implement the right of a defendant in a criminal case to act as his own attorney .... State v. Gethers, [supra, 193 Conn. 532]. Before a trial court may accept a defendant’s waiver of counsel, it must conduct an inquiry in accordance with § [44-3], in order to satisfy itself that the defendant’s decision to waive counsel is knowingly and intelligently made. State v. Day, supra, 233 Conn. 822. Because the § [44-3] inquiry simultaneously triggers the constitutional right of a defendant to represent himself and enables the waiver of the constitutional right of a defendant to counsel, the provisions of§ [44-3] cannot be construed to require anything more than is constitutionally mandated. Id.; State v. Townsend, 211 Conn. 215, 220, 558 A.2d 669 (1989); [State v.] Gethers, supra, 534.
“[A] defendant need not himself have the skill and experience of a lawyer in order competently and intelligently to choose self-representation .... Faretta v. [711]*711California, [422 U.S. 806, 835, 95 S. Ct. 2525, 45 L. Ed. 2d 562 (1975)]. Rather, a record that affirmatively shows that [he] was literate, competent, and understanding, and that he was voluntarily exercising his informed free will sufficiently supports a waiver. Id.; [State v. Gethers], supra, [193 Conn.] 536. . . . State v. Day, supra, 233 Conn. 827-28. The nature of the inquiry that must be conducted to substantiate an effective waiver has been explicitly articulated in decisions by various federal courts of appeals. See, e.g., United States v. Cash, 47 F.3d 1083, 1088 (11th Cir. 1995) (court must inform defendant of charges, included offenses and possible range of punishment); United States v. Hurtado, 47 F.3d 577, 583 (2d Cir. 1995) (factors determining valid waiver include whether defendant understood that he had choice between proceeding pro se and with assigned counsel, understood advantages of having trained counsel, and had capacity to make intelligent choice) [cert. denied, 516 U.S 903, 116 S. Ct. 266, 133 L. Ed. 2d 188 (1995)]; United States v. Van Krieken, 39 F.3d 227, 229 (9th Cir. 1994) (defendant must be aware of nature of charges against him, possible penalties and disadvantages of self-representation) ....
“None of these authorities, however, stands for the proposition that a defendant must be specifically informed of the particular elements of the crimes charged before being permitted to waive counsel and proceed pro se. In fact, the Court of Appeals for the Ninth Circuit has stated that perfect comprehension of each element of a criminal charge does not appear to be necessary to a finding of a knowing and intelligent waiver. United States v. Robinson, 913 F.2d 712, 715 (9th Cir. 1990) [cert. denied, 498 U.S. 1104, 111 S. Ct. 1006, 112 L. Ed. 2d 1089 (1991)]. A discussion of the elements of the charged crimes would be helpful, and may be one of the factors involved in the ultimate determination of whether the defendant understands the [712]*712nature of the charges against him. A description of the elements of the crime is not, however, a sine qua non of the defendant’s constitutional rights in this context. Indeed, in our cases we have approved of a defendant’s assertion of the right to proceed pro se in a case in which the record did not affirmatively disclose that the trial court explained the specific elements of the crimes charged to the defendant as long as the defendant understood the nature of the crimes charged.” (Citations omitted; internal quotation marks omitted.) State v. Wolff, 237 Conn. 633, 654-57, 678 A.2d 1369 (1996).
“The multifactor analysis of § [44-3], therefore, is designed to assist the court in answering two fundamental questions: first, whether a criminal defendant is minimally competent to make the decision to waive counsel, and second, whether the defendant actually made that decision in a knowing, voluntary and intelligent fashion. ... As the United States Supreme Court recently recognized, these two questions are separate, with the former logically antecedent to the latter.” (Citation omitted.) State v. Day, supra, 233 Conn. 822-23. Inasmuch as the defendant’s competence is uncontested, we proceed to whether the trial court abused its discretion in concluding that the defendant made the waiver decision in a knowing, voluntary, and intelligent fashion.
Although the transcript of the February 27, 2002 canvass does not itself adhere strictly factor-by-factor to Practice Book § 44-3, we conclude that the record demonstrates that the defendant’s waiver of counsel was knowing and voluntary.40 Judge Fischer advised the [713]*713defendant repeatedly of his right to the assistance of counsel, and the advisability of retaining an attorney given the disadvantage he would face relative to the trained prosecutor. See Practice Book § 44-3 (1) and (4); see also footnote 39 of this opinion. Indeed, Judge Clifford reiterated those admonitions during the plea negotiations. See footnote 4 of this opinion. Moreover, Judge Fischer relied properly on the competency report and his discussion with the defendant with respect to the defendant’s high school education and community college law courses in determining that the defendant “[possessed] the intelligence and capacity to appreciate the consequences of the decision to represent oneself . . . .” Practice Book § 44-3 (2). The record also demonstrates substantial compliance with Practice Book § 44-3 (3), namely, whether the defendant “[comprehended] the nature of the charges and proceedings, the range of permissible punishments, and any additional facts essential to a broad understanding of the case . . . .” The trial court reasonably relied on the competency report; see footnote 38 of this opinion; for the defendant’s comprehension of the charges and proceedings, as well as the defendant’s awareness and understanding of procedural devices such as speedy trial motions. See State v. Bangulescu, supra, 80 Conn. App. 46 (trial court properly relied on competency report describing defendant’s awareness of pending charges and possible penalties, as well as his defense strategy and his “adequate understanding of the nature of judicial proceedings as [714]*714well as the roles of the courtroom personnel and courtroom procedures”). Indeed, we also note that the defendant cited, without prompting, the charges pending against him in the initial January colloquy during the pretrial proceedings before Judge Gordon. See footnote 37 of this opinion. Accordingly, we conclude that the trial court did not abuse its discretion in concluding that the defendant knowingly and intelligently waived his right to counsel and proceeded pro se.41
Ill
WHETHER THE DEFENDANT’S TWO INTERFERING WITH AN OFFICER CONVICTIONS ARE A DOUBLE JEOPARDY VIOLATION
The defendant’s final claim is that his two interfering with an officer convictions violate federal and state [715]*715constitutional protections against double jeopardy.42 Specifically, he argues that he has been convicted twice for the same offense, and that the trial court incorrectly permitted both convictions to stand, despite the imposition of concurrent sentences. Accordingly, the defendant asks for the convictions to be combined into a single conviction pursuant to State v. Chicano, 216 Conn. 699, 724-25, 584 A.2d 425 (1990), cert. denied, 501 U.S. 1254, 111 S. Ct. 2898, 115 L. Ed. 2d 1062 (1991). The state, relying on State v. Jenkins, 40 Conn. App. 601, 672 A.2d 969, cert. denied, 237 Conn. 918, 676 A.2d 1374 (1996), and State v. Lytell, 206 Conn. 657, 539 A.2d 133 (1988), contends in response that the two convictions are valid because each charge was directed to different officers and different conduct. This claim was not raised before the trial court, and we review it pursuant to State v. Golding, supra, 213 Conn. 239-40. See also footnote 36 of this opinion.
“Double jeopardy analysis in the context of a single trial is a two-step process. First, the charges must arise out of the same act or transaction. Second, it must be determined whether the charged crimes are the same offense. Multiple punishments are forbidden only if both conditions are met.” (Internal quotation marks omitted.) State v. Chicano, supra, 216 Conn. 706. “It is well settled that [t]he proper double jeopardy inquiry when a defendant is convicted of multiple violations of [716]*716the same statutory provision is whether the legislature intended to punish the individual acts separately or to punish only the course of action which they constitute. ... As we noted in State v. Madera, 198 Conn. 92, 109, 503 A.2d 136 (1985), the issue, though essentially constitutional, becomes one of statutory construction. We have recently interpreted a number of criminal statutes to determine the same issue: whether the legislature intended to allow punishment for two separate violations of the same statutory provision. ... In these cases, we found that the pivotal question was whether the statutes defined crimes against the individual persons.” (Citations omitted; internal quotation marks omitted.) State v. Lytell, supra, 206 Conn. 665-66; see also id., 667 (upholding two convictions for single robbery of two victims because “the plain language of [General Statutes] § 53a-133 clearly mandates punishment for each and every robbery of each and every person, irrespective of whether the robbery was spatially linked with another robbery”).
The defendant’s claim is controlled by the Appellate Court’s decision in State v. Jenkins, supra, 40 Conn. App. 602-603, wherein three police officers attempted to apprehend a defendant as the suspect in an attempted carjacking. “The defendant pushed two officers away and attempted to flee. All three officers pursued the defendant until [Officer R] tackled the defendant. The defendant struggled with the three officers and attempted to grab [Officer R’s] gun. During the struggle, [Officer R] sustained a painful cut on his elbow. At some point during the struggle, [Officer N] informed the defendant that he was under arrest. While being taken to a police vehicle, the defendant, by wrapping his legs around a signpost, further hindered [Officer N]. [Officer N] and [Officer R] forcibly removed the defendant from the post and placed him in the police vehicle. Once inside the vehicle, the defendant repeat[717]*717edly struck his head against a window.” Id., 603. The defendant was convicted of, inter alia, interfering with an officer and assault of a peace officer. Id., 602. The Appellate Court concluded that, although interfering with an officer is a lesser included offense of assault of a peace officer, the two separate convictions did not violate the double jeopardy clause because, although “the charges arose out of the same transaction, the sole issue is whether the crimes constitute the same offense.” Id., 611. The Appellate Court followed this court’s decision in State v. Lytell, supra, 206 Conn. 666, noting that “[w]here crimes against persons are involved, a separate interest of society has been invaded for each violation. Therefore when two or more persons are the victims of a single episode there are as many offenses as there are victims.” (Internal quotation marks omitted.) State v. Jenkins, supra, 612. The court stated that the statutes used the word “officer” in the singular, and quoted Lytell for the proposition that “there is no indication that the defendant can get a bargain rate . . . when two officers are involved.” (Citation omitted; internal quotation marks omitted.) Id., 613, quoting State v. Lytell, supra, 667. The court concluded that the interfering with an officer and assault of a peace officer statutes, therefore, “authorize punishment for separate violations against each officer, regardless of whether the violations were spatially linked.” State v. Jenkins, supra, 613.
In the present case, the information charged and the defendant was convicted of two violations of § 53a-167a (a), that while arising from the same general series of events, indeed within minutes of each other, nevertheless were based on two distinct acts involving different officers: (1) refusing to surrender peacefully when he was told by telephone that the officers had an arrest warrant for him; and (2) refusing the order to walk away from the knife toward the officers and kicking [718]*718and thrashing during the arrest. See also part I D of this opinion. Accordingly, we follow Jenkins andLytell, and we conclude that the defendant’s constitutional protections against double jeopardy were not violated.43
The judgments of the Appellate Court are reversed, and the cases are remanded to that court with direction to affirm the judgments of the trial court in case SC 17096 and case SC 17095.
In this opinion BORDEN, PALMER, VERTEFEUILLE and ZARELLA, Js., concurred.
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877 A.2d 696, 274 Conn. 658, 2005 Conn. LEXIS 316, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-v-dantonio-conn-2005.