United States v. Taylor, Tyreese R.

CourtCourt of Appeals for the Seventh Circuit
DecidedApril 3, 2008
Docket06-4112
StatusPublished

This text of United States v. Taylor, Tyreese R. (United States v. Taylor, Tyreese R.) 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. Taylor, Tyreese R., (7th Cir. 2008).

Opinion

In the United States Court of Appeals For the Seventh Circuit ____________

No. 06-4112 UNITED STATES OF AMERICA, Plaintiff-Appellee, v.

TYREESE R. TAYLOR, Defendant-Appellant. ____________ Appeal from the United States District Court for the Western District of Wisconsin. No. 06 CR 105—Barbara B. Crabb, Chief Judge. ____________

No. 07-1939 UNITED STATES OF AMERICA, Plaintiff-Appellee, v.

SAMUEL R. HOGSETT, Defendant-Appellant. ____________ Appeal from the United States District Court for the Southern District of Illinois. No. 05-30196-WDS—William D. Stiehl, Judge. ____________ ARGUED JANUARY 24, 2008—DECIDED APRIL 3, 2008 ____________ 2 Nos. 06-4112, 07-1939

Before POSNER, RIPPLE, and TINDER, Circuit Judges. POSNER, Circuit Judge. We have consolidated for deci- sion two appeals presenting overlapping issues under Fed. R. Evid. 404(b) (admissibility of evidence of previous crimes or other prior “bad acts”). Tyreese Taylor and Samuel Hogsett were convicted in separate trials of distributing crack (Hogsett was also convicted of a gun offense) and sentenced to 240 and 355 months in prison, respectively. Rule 404(b) forbids the use of prior convictions or other evidence of bad acts to prove that the defendant has a propensity to commit crimes. But it allows such evid- ence to be presented (in the discretion of the trial judge, balancing probative value against prejudice to the de- fendant under Fed. R. Evid. 403) to prove other, material facts, including criminal intent, identity, and absence of mistake. Taylor’s lawyer told the judge before the trial began that he was going to request an instruction that would permit the jury to convict his client of the lesser offense of possession of crack for personal use rather than for sale. The judge ruled that the request opened the door to the government’s presenting evidence of Taylor’s prior conviction of possession of crack with intent to distribute it. But after the lawyers’ opening statements to the jury, Taylor’s lawyer withdrew the request for a lesser-included instruction, and the judge told the pros- ecutor that he could introduce evidence of prior bad acts, to rebut an inference that Taylor possessed drugs only for his personal use, only if the defendant opened the door to such evidence in some other way during the trial. The defendant did not do that. Nos. 06-4112, 07-1939 3

The judge did allow the persons who had bought crack from Taylor in transactions that he was accused in this case of having made to testify that they knew from prior dealings with him that he was indeed a crack dealer. That evidence, like the prior conviction, related to his intent to distribute crack rather than to possess it just for personal use. He did not make an issue of intent, as we have just seen, but the buyers’ evidence of prior dealings with him also related to identity; the evidence explained how they knew and thus could identify him. Although no one questioned these witnesses’ ability to identify him as the person from whom they had bought crack in the transactions charged by the prosecution, we hesitate to pronounce the admission of their testimony of prior dealings with him a violation of Rule 404(b). The fact that a defendant pleads not guilty does not provide many clues to the specific attacks that he will mount against the government’s case. Unless the government is allowed to present some evidence about previous trans- actions between the government’s witnesses and the defendant, the transactions alleged in the government’s current case could be challenged in the defendant’s closing argument as unworthy of belief, especially since the buyer witnesses would be criminals who might be hoping for lenity by testifying for the government. It would be too late for the government to attempt to re- habilitate those witnesses. (We shall give another and clearer example of this sandbagging concern when we discuss Hogsett’s appeal.) The evidence that Taylor was known to be a seller of illegal drugs also explained why the govern- ment’s informants had identified him as a potential seller for a controlled buy and how they knew who he 4 Nos. 06-4112, 07-1939

was and what car he drove; the police officer who had observed the drug scene, being outside the house in which two of the three controlled buys took place, did not see Taylor hand over the drugs. The buyers’ previous knowledge about him related to the accuracy (hence absence of mistake) of their testimony concerning the controlled buys that provided crucial evidence for the government’s case. But clearly the judge should not have allowed the officer who arrested Taylor to testify that he had recog- nized him as a result of having known him “throughout [the officer’s] career as a police officer and as a drug and gang officer” (emphasis added). There was no doubt of the identity of the arrested person. The government offers two other reasons for the admis- sion of this damaging testimony, which implied that Taylor had a long history of drug and gang activity. First, the officer had arrested him after observing illegal tinting on his car windows and an illegal tinted cover on his rear license plate. But the officer testified that he had not made the decision to arrest for so trivial a traffic offense until he recognized that it was Taylor’s car. He also testified that he knew there was an outstanding warrant for Taylor’s arrest (on what charge the jury was not told). That evidence was at once irrelevant and damaging, as was the officer’s testimony about his prior professional knowledge of Taylor. It is not as if the government had to try to justify the arrest on the basis not of the traffic of- fenses but of suspicion that Taylor was a drug dealer. Not only was the legitimacy of the arrest for the traffic offenses not questioned; it was an issue for the judge rather than for the jury to decide. United States v. McKinney, 919 F.2d 405, 414 (7th Cir. 1990); see Jones v. United States, Nos. 06-4112, 07-1939 5

362 U.S. 257, 264 (1960); United States v. Nunez-Rios, 622 F.2d 1093, 1098-99 (2d Cir. 1980); Fed. R. Crim. P. 12(b)(3)(C). The government appeals (in Hogsett’s case as well) to the principle that bad-act evidence “inextricably inter- twined” with admissible evidence may be admitted without regard to the specific exceptions in Rule 404(b), and argues that all the bad-act evidence in Taylor’s case was of that character. Although many cases recite the “inextricably intertwined” formula, see, e.g., United States v. Luster, 480 F.3d 551, 556-57 (7th Cir. 2007), and cases cited in United States v. Bowie, 232 F.3d 923, 927-28 (D.C. Cir. 2000), it is unhelpfully vague. Courts do not agree on whether it refers to evidence “intrinsic” to the charged crime itself, in the sense of being evidence of the crime, or whether though evidence of another crime it may be introduced in order to “complete the story” of the charged crime.

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