United States v. Bishop Robert St. Clair

930 F.2d 36, 1991 WL 47106
CourtCourt of Appeals for the Tenth Circuit
DecidedMarch 19, 1991
Docket89-1383
StatusUnpublished

This text of 930 F.2d 36 (United States v. Bishop Robert St. Clair) is published on Counsel Stack Legal Research, covering Court of Appeals for the Tenth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Bishop Robert St. Clair, 930 F.2d 36, 1991 WL 47106 (10th Cir. 1991).

Opinion

930 F.2d 36

Unpublished Disposition
NOTICE: Tenth Circuit Rule 36.3 states that unpublished opinions and orders and judgments have no precedential value and shall not be cited except for purposes of establishing the doctrines of the law of the case, res judicata, or collateral estoppel.
UNITED STATES of America, Plaintiff-Appellee,
v.
Bishop Robert ST. CLAIR, Defendant-Appellant.

No. 89-1383.

United States Court of Appeals, Tenth Circuit.

March 19, 1991.

Before McKAY and STEPHEN H. ANDERSON, Circuit Judges, and CHRISTENSEN*, District Judge.

ORDER AND JUDGMENT**

A. SHERMAN CHRISTENSEN, District Judge.

After examining the briefs and appellate record, this panel has determined unanimously that oral argument would not materially assist a determination of this appeal. See Fed.R.App.P. 34(a); 10th Cir.R. 34.1.9. The case is therefore ordered submitted without oral argument.

This is an appeal1 from a judgment of conviction and prison sentence on a seven-count indictment and jury verdict for conspiracy, wire fraud and the interstate transportation of stolen property. Tried separately from his alleged co-conspirator, appellant contends the trial court erred in receiving evidence concerning improper conduct of persons not part of the conspiracy charged, activities and declarations of his alleged co-conspirator, and records of the latter, and evidence of St. Clair's "fraudulent life style," and that he was denied effective assistance of counsel.2 We affirm for reasons hereinafter stated.

Apart from the evidence challenged here, there is testimony in the record tending to show that, with the participation of the appellant Bishop Robert St. Clair and one Alexander Dorsey, investors interested in financing the sale of Wyoming coal leases for huge profits were fraudulently induced to advance more than $700,000 as "seed money" to obtain financial backing from shell or nonexistent offshore banks.3

Appellant first argues that the trial court erred in receiving evidence of improper acts by persons who were not part of the conspiracy charged. Because no objection was made to any such evidence, we review its receipt for plain error. United States v. Jefferson, 1991 WL 7657 (10th Cir. (Wyo.) 1991). Background briefly can be described in the words of appellant's brief:

The alleged conspiracy began when a group of persons trying to sell a coal lease in Wyoming contacted St. Clair, who in turn contacted Dorsey (Tr. 191, 194, 673). Agreements were reached whereby Dorsey, and later St. Clair, agreed to buy the coal lease (Tr. 191-192, 260). Each agreement was conditioned on the coal group raising sufficient funds to make offshore banks (Anguilla) owned by Dorsey and St. Clair operational (Tr. 92-96, 261). Those banks would then be able to obtain funds to consummate the purchase of the coal lease.

The fund raising was exclusively the responsibility of the coal group, which secured investments of $200,000.00 and $125,000.00 from Robert Whittlesey, $35,000.00 from Dr. Pat Pugh, plus other investments (Tr. 105, 121, 146, 242, 262, 481 and 490).

.............................................................

...................

* * *

To obtain these investments, two members of the coal group, Ralph Hall and Clarence Blair, pledged property they owned as security for the above described investments from Whittlesey and Pugh (Tr. 98, 122, 162, 164, 482-483).

Appellant's brief at 8-9.

St. Clair maintains that "[b]oth Hall and Blair misrepresented and falsified the value of their properties, and/or the outstanding encumbrances." Id. at 9. His point seems to be that he was somehow prejudiced by evidence of the wrongful acts of others not a part of the conspiracy.

The evidence leaves no room for doubt that whatever collateral efforts were made to raise money were based upon and the result of the St. Clair-Dorsey conspiracy of which the investors then had no knowledge, were never otherwise ascribed to defendant and under the instructions of the court could not have been understood by the jury as misconduct on the part of St. Clair. Besides, not only did appellant's counsel fail to object to this testimony, but it came into the record only incidentally during the government's case and was emphasized on cross-examination in apparent effort to divert attention from appellant's own wrongdoing. We see neither plain error nor prejudice to the defendant here.

The appellant next contends that the trial court erred in permitting the witness Lukich to testify about activities and declarations of alleged co-conspirator Dorsey and in admitting exhibits that violated the hearsay rule. Lukich let Dorsey in January or February 1983, and continuing to the fall of that year, use one of his offices. When Dorsey moved out, he left numerous papers including canceled checks, check stubs, bank statements and wire transfers, as well as documents about one of the banks for which the conspirators purportedly were raising "seed money." Many of these were introduced in evidence by the government, as were certain statements made by Dorsey to Lukich concerning his dealings with St. Clair.

Appellant particularly complains of testimony from Lukich that Dorsey borrowed part of the name of Lukich's M.G.S. Oil and Petroleum Corporation to describe "MGS" bank shares of one of the banks utilized in the conspirators' appeal to investors, that Dorsey had a Telex installed by which he sent messages to banks all over the world, that Dorsey talked "about St. Clair, that St. Clair would call Dorsey, and that Dorsey sent money to St. Clair," and that Lukich thought Dorsey was working a "scam." Appellant's brief at 15. Most of this testimony was so patently relevant and within the period and scope of the otherwise established conspiracy as to leave little question of its admissibility. The conclusion of the witness about "scams" was not only relatively innocuous in relation to the overwhelming evidence to this effect but was elicited quite inadvertently by the government.4

The order of proof and admission procedures were circumspect on the part of the court.5 There was ample independent evidence of the conspiracy between St. Clair and Dorsey even though this were deemed essential. But see U.S. v. Peveto, 881 F.2d 844, 852 (10th Cir.), cert. denied sub nom, 110 S.Ct. 348 (1989); U.S. v. Hernandez, 829 F.2d 988, 992-94 (10th Cir.1987), cert. denied, 485 U.S. 1013 (1988). Dorsey's declarations involving St. Clair tended to explain the methods of the charged conspiracy and especially the division of generated funds. The check stub notations indicating that cash withdrawals were intended for St.

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Bluebook (online)
930 F.2d 36, 1991 WL 47106, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-bishop-robert-st-clair-ca10-1991.