United States v. Edwards

379 F. Supp. 617, 1974 U.S. Dist. LEXIS 7144
CourtDistrict Court, M.D. Florida
DecidedAugust 14, 1974
Docket73-63-CR-T-H
StatusPublished
Cited by11 cases

This text of 379 F. Supp. 617 (United States v. Edwards) is published on Counsel Stack Legal Research, covering District Court, M.D. Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Edwards, 379 F. Supp. 617, 1974 U.S. Dist. LEXIS 7144 (M.D. Fla. 1974).

Opinion

ORDER

HODGES, District Judge.

On April 16, 1974, in the seventh week of trial in this multi-defendant case, the jury returned its verdicts. Defendants Dondich and McConnell, among others, were found guilty of the conspiracy offense alleged in Count One of the indictment, that being the only count in which those Defendants were charged. After the verdicts bad been received the Government orally announced in open Court, for the first time, that it wished to proceed against Dondich and McConnell, as “dangerous special offenders” subject to enhanced punishment pursuant to 18 U. S.C.A. § 3575, and it then produced for filing a written motion invoking that provision.

In due course, according to the requirements of § 3575, the Court conducted an evidentiary hearing on June 3 and 4, 1974. Ruling was reserved on the principal motion of the Government and upon various motions in response filed by the Defendants.

One of the threshold procedural issues is whether the Government’s motion was timely filed. On June 10, 1974, while this issue was under consideration, the Court of Appeals rendered its opinion in United States v. Noland, 495 F.2d 529 (5th Cir. 1974), construing the analogous provisions of 21 U.S.C.A. § 851. Because of the possible application of that decision to the issue of timeliness here, the Court requested additional briefs from the parties.

Section 3575 is a relatively new addition to the Federal Criminal Code. It was enacted in 1970 as a part of the Organized Crime Control Act (Pub.L. 91— 452, Title X, § 1001(a), Oct. 15, 1970, 84 Stat. 948). There are, as yet, no reported decisions in which the provision has been construed. Indeed, according to Government counsel, this may be the first case in which the Government has sought to have it applied.

With respect to the timeliness of the pending motion, the pertinent portion of the statute is subsection (a):

“§ 3575. Increased sentence for dangerous special offenders
(a) Whenever an attorney charged with the prosecution of a defendant in a court of the United States for an alleged felony committed when the defendant was over the age of twenty-one years has reason to believe that the defendant is a dangerous special offender such attorney, a reasonable time before trial or acceptance by the court of a plea of guilty or nolo contendere, may sign and file with the court, and may amend, a notice (1) specifying that the defendant is a dangerous special offender who upon conviction for such felony is subject to the imposition of a sentence under subsection (b) of this section, and (2) setting out with particularity the reasons why such attorney believes the defendant to be a dangerous special offender. *619 In no case shall the fact that the defendant is alleged to be a dangerous special offender be an issue upon the trial of such felony, be disclosed to the jury, or be disclosed before any plea of guilty or nolo contendere or verdict or finding of guilty to the presiding judge without the consent of the parties. If the court finds that the filing of the notice as a public record may prejudice fair consideration of a pending criminal matter, it may order the notice sealed and the notice shall not be subject to subpena or public inspection during the pendency of such criminal matter, except on order of the court, but shall be subject to inspection by the defendant alleged to be a dangerous special offender and his counsel.” (emphasis supplied)

As previously stated, the Government’s motion or notice under the statute was not filed in this instance until after the trial had been completed by the reception and filing of the jury’s verdicts. In defending the procedural sufficiency of that approach the Government principally urges two related arguments. First, it is emphasized that the statute says the Government “may” file and “may” amend its notice. From this the Government would infer a congressional intent to vest discretion in the United States Attorney as to whether and when such notice is to be filed. Secondly, it is asserted that the Defendants and their counsel were advised in this case some six weeks before trial that the Government intended to file the requisite notice and the Defendants were asked to consent, but they refused. 1 Such consent was necessary, according to the Government, because of the statute’s proscription against pre-trial disclosure of the notice to the presiding judge “without the consent of the parties.” Thus, the Government concludes, it was frustrated in its desire to file before trial because the filing would have come to the attention of the trial judge, contrary to the statute; and, under those circumstances, that it properly exercised its discretion in withholding the notice until Defendants had been convicted.

It can be said in justification of the Government’s position that a cursory reading of the statute does give rise to an apparent inconsistency to the extent that it requires, on one hand, that the notice be filed before trial, while also requiring, on the other hand, that the notice not be disclosed to the presiding judge. The key to this statutory scheme, however, is the distinction to be drawn between “the Court” and “the presiding judge.” The first sentence of subsection (a) requires filing “with the court.” The second sentence precludes disclosure “to the presiding judge.” The third sentence again refers to the right of “the court” to order the notice sealed. The significance of this terminology becomes even clearer when one reads the pertinent legislative history.

“In order to assure that the filing of the notice will not prejudice the jury or the court against the defendant before the determination of his guilt or innocence, the allegation shall not be disclosed to the jury, and without the consent of the parties shall not be communicated to the presiding judge before any plea of nolo contendere or verdict or finding of guilty. If a judge of the court in which the notice is filed finds that the filing of the notice as a public record may prejudice fair consideration of the pending criminal case, it may order the notice sealed against public inspection or production upon subpoena during the pendency of the proceeding. However, the notice will be subject to inspection by the defendant and his counsel.” (emphasis supplied)
House Report (Judiciary Committee) No. 91-1549, Sept. 30, 1970, U.S.Code Cong., & Admin.News, 91st Cong., 2d Sess., p. 4007 at 4037.

*620 Properly construed, therefore, it is plain that the statute contemplates filing with the Court or, more precisely, a judge of the Court other than the judge presiding in the affected Defendants’ case. In no respect is the Defendants’ consent a necessary precondition to such filing. Rather, his consent is required only if the notice is to be disclosed to the presiding judge before a finding of guilty, whether by plea or by verdict. It follows that the Government can find no comfort in 'the Defendants’ refusal to consent to a pre-trial filing of the motion or notice in this case.

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Cite This Page — Counsel Stack

Bluebook (online)
379 F. Supp. 617, 1974 U.S. Dist. LEXIS 7144, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-edwards-flmd-1974.