United States v. Grady

185 F.2d 273, 1950 U.S. App. LEXIS 3266
CourtCourt of Appeals for the Seventh Circuit
DecidedNovember 15, 1950
Docket10145
StatusPublished
Cited by34 cases

This text of 185 F.2d 273 (United States v. Grady) is published on Counsel Stack Legal Research, covering Court of Appeals for the Seventh 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. Grady, 185 F.2d 273, 1950 U.S. App. LEXIS 3266 (7th Cir. 1950).

Opinion

MAJOR, Chief Judge.

Defendant was charged in an information containing nine counts, signed by the United States Attorney, with a violation of various sections of the Commodity Exchange Act, Title 7 U.S.C.A. §§ 6b(A) and (B) and 6d(2). Count 9 was dismissed by the government and ordered detached by the court. The case has twice -been tried. On the first trial, a jury disagreed, and on a second trial (the instant case), a jury returned a verdict of guilty on all eight counts. Motions for a new trial and in arrest of judgment were denied. Thereupon judgment was entered on the verdict, from which the appeal comes to this court.

In the view which we take of the case, we need consider only a single ground relied upon for reversal, which makes it unnecessary to relate in detail either the allegations contained in the various counts of the information or the proof offered in support thereof. In substance, defendant, charged with being a registered future commission merchant, was alleged to have received funds from customers for the purpose of margining trades in commodity futures for the account of such customers and unlawfully defrauding them in connection with such transactions; with failing to treat and deal with the funds so received as belonging to such customers in accordance with the requirements of the 'Commodity Exchange Act; and with mak *274 ing false reports to such customers with respect to such transactions. The government presented the testimony of four customer witnesses who stated that they had placed specific sums of money totaling $25,-225.00 with defendant, which money was to be used to margin transactions in commodity futures for their accounts. It was also shown by these witnesses that defendant informed them that transactions in commodity futures had been executed for them. The government also offered in evidence authenticated copies of Department of Agriculture records showing the Chicago Open Board of Trade as having been designated by the Secretary of Agriculture as a contract market under the Commodity Exchange Act. It was also shown by the Secretary of the Chicago Open Board of Trade that the defendant was a member of that organization.

This brief description of the nature of the charges, as well as the proof relied upon by the government, is pertinent only as a prelude to the matter which follows. There was attached to the information the following affidavit:

“Northern District of Illinois Eastern Division

“George Livingston, being first duly sworn, on his oath deposes and says that the facts stated in the foregoing Criminal Information are true.

George Livingston

(Seal)

“Subscribed and Sworn to before me this 6th day of October, A.D. 1948.

Roland C. Kumb

Dep. Clerk of the District Court of the United States for the Northern District of Illinois, Eastern Division.”

(George Livingston was not a witness at the trial.)

The jury was permitted to take with it to the jury room the information with the affidavit attached. The court gave to the jury the usual cautionary instruction, that the information was not to be considered as evidence against the defendant, that it was simply the formal charge made by the government and should not be considered by the jury in any other light. No mention of the affidavit was made by the court in its instructions or otherwise, and no objection was made by defendant to the submission of the affidavit. In fairness to court and counsel, however, it should be stated that there is nothing in the record to indicate that either was informed or had knowledge that the affidavit was being submitted. Defendant’s counsel assert that the first knowledge they had of its submission was subsequent to the trial, and the question relative thereto was first raised by defendant on motion for new trial.

Thus, our problem is whether the submission of this affidavit constitutes reversible error. Defendant, as might be expected, relies heavily upon a previous decision of this court, United States v. Douglas, 7 Cir., 155 F.2d 894. The government makes no criticism of our holding in the Douglas case but attempts to distinguish it from the instant situation. We think, however, there is no distinction in the principle involved and such as there is relates only to the form and content of the affidavit. In addition to its contention that the instant case is distinguishable from the Douglas case, the government argues that the defendant is in no position to raise the question because of a failure to object at the appropriate time, points to the cautionary instruction which the court gave as to the effect to be given to the information and the purpose for which it could be used as curing the error, if such it be, and contends that in any event the error was not of such a prejudicial nature as to require a reversal. All of these contentions were advanced in the Douglas case and answered adversely to the government’s contention.

It is true that there are very few cases, if any, other than the Douglas case which throw light upon the question before us. The government cites People v. Franklin, 341 Ill. 499, 173 N.E. 607, as the closest case which it has been able .to find. In that case, each count of the information was supported by an affidavit of the States Attorney. The defendant for some strange reason was complaining in the Supreme Court because the trial court had directed detachment of the affidavits from the information before the latter was submitted *275 to the jury. The court held that the defendant was not injured thereby, and in doing so stated 341 Ill. at page 501, 173 N.E. at page 608; “ * * * plaintiff in error could not be injured 'by detaching the affidavits, since the affidavit of the state’s attorney might, in the absence of proper instruction, cause the jury to feel that the information was to be treated as evidence.” That case is of no benefit to the government here, but if it has any bearing it is an indication that the defendant might have been injured for failure to detach the affidavit. The government also cites, without too much reliance, certain Indiana cases. Middaugh v. State, 191 Ind. 373, 132 N.E. 678; Berry v. State, 196 Ind. 258, 148 N.E. 143; Lee v. State, 213 Ind. 352, 12 N.E.2d 949. In those cases, the “affidavit” was the statutory pleading or, more specifically, the affidavit constituted the charge on which the defendant was brought to trial. In contrast, the affidavit in the instant situation is no part of the charge and neither is it essential to the validity of the information.

Whatever might have been the rule prior to the. adoption of the Federal Rules of Criminal Procedure, 18 U.S.C.A., it seems plain by Rule 7(a) that an information- need not be verified by affidavit, and it “may be filed without leave of court.” And by Rule 9(a), it seems equally plain that an information need be supported by an oath only when there is a request by the government attorney for the issuance of a warrant, and in the absence of such oath only a summons will issue requiring the defendant to appear.

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Bluebook (online)
185 F.2d 273, 1950 U.S. App. LEXIS 3266, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-grady-ca7-1950.