United States v. Ring

878 F. Supp. 134, 1995 U.S. Dist. LEXIS 2941, 1995 WL 95118
CourtDistrict Court, C.D. Illinois
DecidedFebruary 16, 1995
Docket94-30023
StatusPublished
Cited by4 cases

This text of 878 F. Supp. 134 (United States v. Ring) is published on Counsel Stack Legal Research, covering District Court, C.D. Illinois primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Ring, 878 F. Supp. 134, 1995 U.S. Dist. LEXIS 2941, 1995 WL 95118 (C.D. Ill. 1995).

Opinion

OPINION

RICHARD MILLS, District Judge:

The difficult issue of attorney disqualification.

The Government asks the Court to reconsider its denial of the Government’s Motion to Disqualify Defense Counsel Gregory K. Harris and all members of his law firm of Giffin, Winning, Cohen and Bodewes, P.C.

The Government contends that because Attorney Harris previously represented a potential government witness — James Goss — it is impossible for him to adequately represent Defendant Wood without undermining the integrity of the trial process. Attorney Harris responds that Samuel Wood is willing to waive his right to conflict-free counsel and that reasonable limitations on the cross examination of James Goss can protect all the implicated interests.

On November 4, 1994, the Court agreed with the Defendant. Now, the Government

*135 and counsel for Goss put forth additional evidence and ask for reconsideration.

C. Proceedings Prior To The Indictment 1. Civil Case

I. BACKGROUND

A. The Indictment

On August 25, 1994, an indictment was returned against Marion Ring and Samuel Wood charging twenty-one counts of mail fraud and one count of forfeiture. On November 16, 1994, the Grand Jury returned a superseding indictment adding one violation each of 18 U.S.C. § 1956 and § 1957.

The indictment alleges that Defendant Ring managed the corporate operations and finances of the Reserve Oil Corporation (Reserve). According to the indictment, Reserve created a limited partnership known as Bellair Limited Partnership to purchase an oil field in Crawford County, Illinois. The indictment alleges that Defendant Wood induced potential investors in and around the Springfield area to purchase shares in the partnership. According to the indictment, Defendants Ring and Wood made false and fraudulent representations to the investors and improperly received commissions paid from investor funds.

B. James Goss

James Goss, a retired FBI agent, served as President of Reserve from 1985 until 1990. He has not been charged with any criminal misconduct. According to the Government, however, criminal charges remain a possibility. Moreover, the Government plans to call Goss as a material witness. 1

Counsel for Defendant Wood, Attorney Harris, previously represented Goss when Goss testified before the Grand Jury investigating the present case. Goss also worked as an investigator for Attorney Harris’ firm on unrelated matters.

The first legal action alleging that Reserve and those associated with it fraudulently induced investors was a civil suit filed against Reserve, James Goss, Marion Ring, Samuel Wood, and Ronald Reguly on March 19,1991, in Sangamon County, Illinois. No attorneys from Giffin, Winning, Cohen & Bodewes were or are involved in the civil action. In the civil action, James Goss gave a deposition on January 6, 1993.

During the deposition, Goss was specifically asked about Defendant Wood’s involvement with Reserve. As they relate to the current criminal action, relevant questions included: (1) Did Goss know “they [Wood and Reguly] were assisting Mr. Ring in, to acquire investors?”; (2) Was Goss “aware at some point that they [Wood and Reguly] were receiving shares at a discounted price in fields offered by Reserve?”; (3) Did Goss know “investors were told that Wood and Reguly were receiving these discounts?”; (4) Was Goss ever “present when Wood or Reguly talked to any of the Plaintiffs” or “potential investors”; and (5) Did Goss ever talk “to Mr. Wood or Reguly about the problem [investor complaints] as it developed?”. Goss answered all the above questions in a manner favorable to Defendant Wood.

2. The Grand Jury

On September 11, 1993, a little more than a year before the first indictment, Goss retained Attorney Harris to represent him. 2 Thereafter, on December 1,1993, two Illinois Security Department, Investigators interviewed Goss with Attorney Harris present. After the interview, a memorandum was prepared. Subsequently, in a letter to the agents, Goss made numerous changes to his attributed statements.

Regardless as to whether the original or subsequently changed document is more accurate, Goss’ answers to questions about Defendant Wood are generally consistent with *136 his earlier deposition testimony and are favorable to Defendant Wood in both versions.

3. Assistant United States Attorney Bruce’s Letter

On May 11, 1994, Assistant United States Attorney Colin Bruce wrote a letter to Attorney Harris. In the letter, AUSA Bruce confirms an earlier conversation with Attorney Harris in which he apparently stated that Goss was neither a target nor a subject of the investigation. Moreover, in the letter AUSA Bruce also states that based on the information contained in the interview memorandum: “I do not believe at this time a truthful answer to any question posed [by the Grand Jury] would tend to incriminate your client.”

4. Grand Jury

On December 1,1993, Goss testified before the Grand Jury. Immediately after his testimony, Attorney Harris debriefed him. The Court has reviewed the transcript of Goss’ testimony in camera.

5. Attorney Harris’ Representation of Defendant Wood

Defendant Wood first approached Attorney Harris about the possibility of representing him sometime in early spring of, 1994. According to Attorney Harris, he did not agree to represent Defendant Wood until after both Goss and Wood consented and until after he received AUSA Bruce’s letter dated May 11, 1994. 3 In other words, according to Attorney Harris, he did not agree to represent Defendant Wood until after he reasonably believed there was no conflict and until after both clients had consented. See Illinois Rule of Professional Conduct 1.7. Nevertheless, it is not in dispute that Attorney Harris represented both Goss and Wood from May 11, 1994, to at least May 18, 1994.

D. Proceedings After Indictment

On October 5,1994, the Government filed a motion to disqualify Attorney Harris. On October 31, 1994, the Court held an evidentiary hearing. At the hearing, the Court heard from all the attorneys — including counsel for Goss — and from both Goss and Defendant Wood. Because of the nature of the proceedings, much of the testimony was given ex parte. Following the hearing, on November 4, 1994, the Court issued a written Order denying the Government’s motion to disqualify and further established limitations on the potential cross examination of Goss. 4

Thereafter, the Government filed a motion for reconsideration.

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Cite This Page — Counsel Stack

Bluebook (online)
878 F. Supp. 134, 1995 U.S. Dist. LEXIS 2941, 1995 WL 95118, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-ring-ilcd-1995.