United States v. Steven G. Clark

385 F.3d 609, 2004 WL 2108248
CourtCourt of Appeals for the Sixth Circuit
DecidedNovember 16, 2004
Docket03-5431
StatusPublished
Cited by51 cases

This text of 385 F.3d 609 (United States v. Steven G. Clark) 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. Steven G. Clark, 385 F.3d 609, 2004 WL 2108248 (6th Cir. 2004).

Opinion

OPINION

CLAY, Circuit Judge.

Defendant Steven Clark appeals his conviction and sentence on two counts of knowingly, intentionally and without authority distributing cocaine base (crack), a Schedule II controlled substance, in violation of 21 U.S.C. § 841(a)(1). He argues that the district court erred when it (1) refused to authorize the expenditure of funds for a clinical psychologist to assist in the guilt and sentencing phases of his trial; (2) refused to compel the government .to produce a copy of notes prepared by an FBI Agent who had interrogated Defendant after his arrest; (3) refused to grant a mistrial for the government’s alleged failure to comply with Federal Rule of Criminal Procedure 16 by failing to produce the agent’s notes in a timely manner; (4) refused to grant a downward departure in his sentence for his purported diminished capacity; and (5) ordered Defendant’s sentence to run consecutively to the term of his imprisonment on his state law offenses. For the reasons that follow, we AFFIRM Defendant’s convictions, but REMAND to the district court for consideration of whether Defendant’s term of imprisonment on his federal conviction *612 should run concurrently or consecutively to his state law convictions.

I.

Facts

On June 16, 2000, after a confidential informant (“Cl”) had been searched for contraband and equipped with a recording device, an undercover agent accompanied the Cl to the residence of Tim Knox in Shelbyville, Tennessee. Defendant Steven Clark sold crack cocaine to the Cl in exchange for $200 in pre-recorded funds. The Cl relinquished the recording device and 0.5 grams of crack cocaine to the agents. Similarly, on October 13, 2000, after a Cl had been searched for contraband and equipped with a recording device, an undercover agent accompanied the Cl to McGee’s Trailer Park, also in Shel-byville. The Cl entered a trailer and found Defendant in the living room. Defendant sold crack cocaine to the Cl in exchange for $100 in pre-recorded funds. The Cl relinquished the recording device and 0.4 grams of crack cocaine to the agents. At the time of these drug transactions, Defendant was on probation for state charges of sale of cocaine under 0.5 grams, theft over $500, bail jumping, simple possession of marijuana, and driving on a revoked license. His state probation terms were subsequently revoked on various dates in 2001, and he was ordered to serve a series of prison terms expiring in August of 2010.

On March 13, 2002, the federal grand jury for the Eastern District of Tennessee returned a two-count indictment, charging that on or about October 13, 2000 and June 16, 2000, Defendant knowingly, intentionally and without authority distributed cocaine base (crack), a Schedule II controlled substance, in violation of 21 U.S.C. § 841(a)(1). On March 18, 2002, Defendant was arrested as a result of the indictment and, after being retrieved from the Rutherford County Jail, was interviewed by FBI Special Agent Richard Poff and Agent Tim Lane of the Tennessee 17th Judicial District Drug Task Force. During that interview, Defendant purportedly admitted to selling crack cocaine in the Shelbyville, Tennessee area and also identified his drug suppliers.

On May 13, 2002, Defendant, through court-appointed counsel, moved for a psychiatric examination to determine his competency to stand trial, his ability to make a voluntary confession and whether there existed any factors that might mitigate his culpability at trial or sentencing. With the concurrence of the government, the magistrate judge referred Defendant to the U.S. Medical Center for Federal Prisoners, requesting opinions regarding whether Defendant suffered from a mental disease or deficit that rendered him mentally incompetent to understand the judicial proceedings or assist in his defense, whether he was insane at the time of the offenses charged, whether there were any factors that shed light on the voluntariness of any statement against interest given by Defendant, and whether there were mental conditions that might mitigate Defendant’s culpability related to trial or sentencing issues.

Defendant was evaluated by Dr. Richard DeMier, a clinical psychologist, over a period of months, culminating in a report generated on August 27, 2002. Dr. DeMier’s report made the following findings: Defendant grew up with both parents, but his father was “very abusive.” His IQ is between 77 and 88, he dropped out of school at age 15, and he has learning disabilities. He has posttraumatic stress disorder (“PTSD”) as a result of being shot 17 times as an 18 year-old; symptoms include intrusive memories, flashbacks, and nightmares. He also has a history of *613 drug and alcohol abuse. Prior to his incarceration, he regularly used crack cocaine.

In addition to the PTSD, Dr. DeMier diagnosed Defendant as having a psychotic disorder. Defendant was prescribed anti-psychotic and anti-anxiety medications, to which his symptoms responded. Dr. De-Mier concluded that “it is most likely that he does not have a genuine psychotic illness at this time,” although he speculated that more psychotic symptoms might appear if Defendant discontinued his antipsy-chotic medication. Thus, Dr. DeMier diagnosed Defendant with only PTSD, which would not preclude Defendant’s ability to understand the nature and potential consequences of the charges against him or hinder his capacity to assist properly in his defense.

A separate report from Dr. DeMier indicated that Defendant denied the allegations in the indictment, to wit, that he had sold crack cocaine to a confidential informant on June 16 and October 13, 2000. Although Defendant acknowledged being a cocaine user, he claimed he was not a seller. He said that the police had used high pressure tactics during his interrogation, that he was told he should “help himself,” and that he was led to believe that if he cooperated, he would receive better treatment. Defendant also told the psychologist that he had requested an attorney at least four times during his interrogation, but that they denied his request.

Dr. DeMier concluded that Defendant had no mental illness or cognitive deficit that would have hindered his ability to give a statement freely and voluntarily to the police. Dr. DeMier further found that Defendant’s PTSD and his possible auditory hallucinations would not have had any impact on his ability to consider his actions and make a reasoned decision to cooperate or refuse to cooperate during the police interview. Dr. DeMier also noted that Defendant’s mental health needs could be met in or out of prison and thus should have little impact on his sentence if convicted.

After the evaluation, Defendant filed a waiver of his mental competency hearing under 42 U.S.C. §§ 4241(c) and 4247(d).

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Bluebook (online)
385 F.3d 609, 2004 WL 2108248, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-steven-g-clark-ca6-2004.