United States v. Flanagan

527 F. Supp. 902, 1981 U.S. Dist. LEXIS 16074
CourtDistrict Court, E.D. Pennsylvania
DecidedDecember 2, 1981
DocketCrim. 81-270
StatusPublished
Cited by7 cases

This text of 527 F. Supp. 902 (United States v. Flanagan) is published on Counsel Stack Legal Research, covering District Court, E.D. Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Flanagan, 527 F. Supp. 902, 1981 U.S. Dist. LEXIS 16074 (E.D. Pa. 1981).

Opinion

OPINION

LUONGO, District Judge.

Presently before me is the Government’s motion to prohibit the law firm of Sprague and Rubenstone from representing all four defendants in this criminal case. The defendants, Robert Flanagan, James Keweshan, Sidney Landis and Thomas McNamee, all police officers employed by the Philadelphia Police Department, are each charged in a single indictment with conspiracy to violate the civil rights of citizens. 18 U.S.C. § 241. The indictment also charges substantive violations of citizens’ civil rights, see 18 U.S.C. § 242, by Flanagan (Counts Two through Thirteen), McNamee (Counts Two through Thirteen), Landis (Counts Four through Thirteen), and Keweshan (Counts Two through Seven, and Eleven through Thirteen).

The defendants are members of a so-called “grandpop” squad, a decoy squad engaged in undercover operations to ferret out street crime. Typically, defendant Flanagan would pose as the decoy, with defendants Keweshan, Landis and McNamee as his backup. After being accosted and robbed by an assailant, Flanagan would signal the backup team by yelling: “Give me back my money.” Keweshan, Landis and McNamee would then close in and make the arrest. The Government charges that over a period of about 17 months the defendants conspired to violate citizens’ civil rights by arresting persons, under color of law, without probable cause, and that varying combinations of the defendants did in fact falsely arrest and/or physically abuse eight persons in violation of their civil rights.

Pursuant to the Government’s request, and in accordance with Fed.R.Crim.P. 44(c), 1 a hearing was held on November 12, *903 1981, to inquire whether defendants were aware of (1) the risk of joint representation, and (2) their right to separate representation. Each of the defendants was present at the hearing. Bruce Thall and James Leonard from the firm of Sprague and Rubenstone appeared on behalf of the defendants. At that time, Mr. Thall informed the court that, after extensive discussions with each defendant concerning the risks and pitfalls of joint representation, each still wished to be represented by the firm of Sprague and Rubenstone.

Among the areas which Mr. Thall stated had been discussed with each defendant were the following:

(1) Opening and closing statements— Unlike separate counsel, joint counsel would not be able to set one defendant apart from another.
(2) Sentencing — In the event that more than one defendant were convicted, joint counsel could not argue that one defendant was more or less culpable than another.
(3) Spillovers — Possibility that jury might infer from joint representation that if one defendant is found guilty, the others must be also.
(4) Possible grants of immunity — Each defendant was told that the Government could offer one of the defendants immunity on the condition that he testify against the others, thus interfering with a joint trial strategy.
(5) Nature of the evidence — It was explained to each defendant that the Government might introduce more evidence tending to implicate defendant Flanagan, and that as a result:
(a) the jury might infer that the others were also guilty because of joint representation,
(b) defense efforts might be more concentrated toward the defense of Flanagan.
(6) Right to testify — If one defendant exercised his right to testify on his own behalf and one or more of the others did not, the jury, from the fact of joint representation alone, might infer guilt on the part of those not testifying. Also, on cross-examination, the defendant who exercised his right to testify could be questioned as to his knowledge of activities involving the other defendants.
(7) Character and reputation testimony — Each was informed that if the defense offered character or reputation testimony on behalf of some but not all defendants, the jury might infer from the fact of joint representation that the character or reputation of the other defendants is undesirable.
(8) Right to separate counsel — Each defendant was apprised of his right to separate counsel, and that, if he could not afford counsel, the court would appoint counsel for him.

After Mr. Thall completed his outline of the areas discussed with the defendants, I questioned each defendant, individually and under oath, to ensure that each was aware of the potential conflicts that very likely could arise in this case. In addition to questioning the defendants on matters which had been explored by counsel, I also ascertained that each defendant understood that separate counsel could present a united defense strategy but, unlike joint counsel, could present alternative defenses as well. More importantly, I assured myself that financial considerations played no part in defendants’ choice of joint counsel. Defendants advised me that their legal expenses were being paid by their union, the Fraternal Order of Police. Further, I advised each defendant that, if I ordered separate counsel and the union refused to defray the cost of such counsel, I would ap *904 point counsel for them. Finally, in the presence of the court and defense counsel only, each defendant was given the opportunity to explain in his own words why, in light of the several risks created by joint representation, he wished to be represented jointly with the other defendants.

At the conclusion of the hearing, I found that (1) a conflict of interest was very likely to arise in the course of the proceedings against defendants; (2) each defendant was fully and completely aware of the potential conflicts; and (3) each defendant, without financial pressure, had voluntarily and intelligently chosen to waive any claim of conflict of interest and elected to. be represented by one counsel. Defense counsel and the Government were then instructed to brief the question of whether I must accept the defendants’ waiver, notwithstanding the conflict of interest that I find is very likely to arise. In addition, I asked the parties to address the question of whether I must disqualify the firm of Sprague and Rubenstone from the case entirely, in the event that I order that each defendant be separately represented.

Both sides have now filed memoranda of law. Since defense counsel concedes 1(a) that “logic mandates” that the firm of Sprague and Rubenstone must be disqualified should separate counsel be ordered, the sole question before me is whether I may, and should, reject the defendants’ voluntary, knowing and intelligent waiver of their right to separate counsel, given the conflict which is very likely to arise.

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Related

Flanagan v. United States
465 U.S. 259 (Supreme Court, 1984)
Opinion No. Oag 18-83, (1983)
72 Op. Att'y Gen. 61 (Wisconsin Attorney General Reports, 1983)
United States v. Jones
623 F. Supp. 110 (E.D. Pennsylvania, 1983)
State v. Kaye
315 N.W.2d 337 (Wisconsin Supreme Court, 1982)
United States v. Agosto
528 F. Supp. 1300 (D. Minnesota, 1981)

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Bluebook (online)
527 F. Supp. 902, 1981 U.S. Dist. LEXIS 16074, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-flanagan-paed-1981.