United States v. Eddie Street

933 F.2d 1010
CourtCourt of Appeals for the Sixth Circuit
DecidedJuly 19, 1991
Docket90-5538
StatusUnpublished

This text of 933 F.2d 1010 (United States v. Eddie Street) is published on Counsel Stack Legal Research, covering Court of Appeals for the Sixth 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. Eddie Street, 933 F.2d 1010 (6th Cir. 1991).

Opinion

933 F.2d 1010

Unpublished Disposition
NOTICE: Sixth Circuit Rule 24(c) states that citation of unpublished dispositions is disfavored except for establishing res judicata, estoppel, or the law of the case and requires service of copies of cited unpublished dispositions of the Sixth Circuit.
UNITED STATES of America, Plaintiff-Appellee,
v.
Eddie STREET, Defendant-Appellant.

No. 90-5538.

United States Court of Appeals, Sixth Circuit.

May 21, 1991.
As Amended and Dissenting Opinion Filed July 19, 1991.

Before KEITH and KRUPANSKY, Circuit Judges, and ENGEL, Senior Circuit Judge.

PER CURIAM:

Eddie Street ("defendant") appeals from the district court's April 2, 1990, order denying defendant's motion for reconsideration of the district court's March 16, 1990, order. The district court's March 16, 1990, order reversed the magistrate's February 23, 1990, order placing defendant's financial records which were submitted in support of defendant's request for appointed counsel under seal. For the reasons stated below, we VACATE.

I.

On November 15, 1989, a four-count indictment was filed in the Middle District of Tennessee charging defendant with two counts of filing a false income tax return in violation of 26 U.S.C. Sec. 7206(1), one count of failure to file an income tax return in violation of 26 U.S.C. Sec. 7203, and one count which consisted of conspiring both to file false returns in violation of 26 U.S.C. Sec. 7206(1) and to defraud lending institutions in violation of 18 U.S.C. Sec. 1341. On November 17, 1989, defendant was arrested and released on bond.

On December 8, 1989, defendant appeared before the magistrate and submitted a Criminal Justice Act ("CJA" or the "Act") Form 23 Financial Affidavit1 in support of his request that counsel be appointed to represent him in this case. After reviewing the affidavit, the magistrate appointed the Federal Public Defender's Office to represent defendant under the Act. See 18 U.S.C. Sec. 3006A. That same day, the government filed a motion to reconsider appointment of counsel, requesting the court require defendant to file more detailed financial information. The magistrate granted the government's motion. Defendant then filed motions for an ex parte hearing, for protective orders and for reconsideration.

On January 5, 1990, the government responded to defendant's motion. In its response, the government acknowledged that the information regarding defendant's financial status could not be used against defendant at trial. On January 11, 1990, a hearing on both parties' motions was held before the magistrate. After reviewing all of the information provided by the prosecution at the hearing of January 11, 1990, as well as the Form OBD-500 and other financial records, the magistrate let stand the earlier order appointing counsel. Following the hearing, the magistrate ordered defendant to complete the Department of Justice's Form OBD-500 and submit it to the court under seal. In compliance with the magistrate's order, defendant filed financial records with the court on January 12, 1990. On February 23, 1990, the magistrate entered an order placing the financial documents submitted by defendant under seal.

The government then filed a notice of appeal with the district court on February 28, 1990. The district court issued an order on March 16, 1990, reversing, as clearly erroneous, the magistrate's order sealing the financial documents. The district court further stated in the order that "[t]he United States is precluded from using information in the affidavits and financial records against the defendant in its case-in-chief." Joint Appendix at 35. Defendant then filed a motion to stay the district court's order releasing his financial information to the government. The district court granted this motion on March 21, 1990. Defendant filed a motion to reconsider the order unsealing the financial information on March 23, 1990. The district court orally denied defendant's motion to reconsider on April 2, 1990, and reduced this order to writing on April 9, 1990. On April 5, 1990, following the district court's oral ruling, defendant filed a motion for stay of the order of April 2, 1990, pending appeal to this Court. Defendant then filed a timely notice of appeal to this Court on April 5, 1990. The district court granted the motion to stay on April 9, 1990. Defendant pled guilty on April 2, 1990, and was sentenced on June 11, 1990, to a term of two years incarceration.

II.

On appeal, defendant urges this Court to reverse the district court's order unsealing the financial documents submitted by defendant in support of his application for appointed counsel. Defendant argues that the government is not entitled to view the documents under seal when they have not shown just cause for their disclosure. Defendant urges this Court to determine the extent to which the government may be involved in the appointment of counsel to indigent defendants and what measures may be taken to protect such a defendant's sixth amendment right to counsel. The government counters that it is not required to show cause for the disclosure of defendant's financial records and that it is allowed to participate in the court's determination of defendant's financial eligibility for appointed counsel.

Defendant pled guilty and was sentenced during the pendency of this appeal. He was afforded counsel throughout the proceedings in the direct case and the documents remained sealed, thus precluding government participation in the determination of defendant's financial eligibility. We therefore conclude the issue of whether the district court properly ordered the documents unsealed is moot.

The doctrine of mootness has two distinct branches, one stemming from Article III jurisdictional limitations and one stemming from discretionary or prudential considerations. Chamber of Commerce v. United States Dep't of Energy, 627 F.2d 289, 291 (D.C.Cir.1980)

Because mootness is a threshold jurisdictional issue, this Court must determine if an "actual controversy still exists between the parties." WJW-TV, Inc., v. City of Cleveland, 878 F.2d 906 (6th Cir.1989) (quoting Speer v. City of Oregon, 847 F.2d 310, 311 (6th Cir.), cert. denied, 478 U.S. 1005 (1986)). Mootness is determined by examining whether an actual controversy between the parties exists in light of intervening circumstances. See Carras v. Williams, 807 F.2d 1286, 1289 (6th Cir.1986) ("Mootness results when events occur during the pendency of a litigation which render the court unable to grant the requested relief").

Courts have developed principles closely related to Article III mootness doctrine which guide their discretion to forego decision on the merits in some circumstances actually leaving them with the power to act; thus a court may refuse to entertain a suit which is not actually moot, but is so attenuated that considerations of prudence counsel the court to stay its hand. See Community for Creative Non-Violence v.

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Bluebook (online)
933 F.2d 1010, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-eddie-street-ca6-1991.