United States v. Whittaker

201 F.R.D. 363, 2001 U.S. Dist. LEXIS 7658, 2001 WL 793224
CourtDistrict Court, E.D. Pennsylvania
DecidedJune 12, 2001
DocketCrim.A. No. 01-107
StatusPublished
Cited by3 cases

This text of 201 F.R.D. 363 (United States v. Whittaker) 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. Whittaker, 201 F.R.D. 363, 2001 U.S. Dist. LEXIS 7658, 2001 WL 793224 (E.D. Pa. 2001).

Opinion

[365]*365 MEMORANDUM

DALZELL, District Judge.

Because the same United States Attorney’s Office regarded him a perpetrator and a victim of the same alleged insurance fraud, defendant Wayne Whittaker has filed a motion to disqualify that office for its alleged ethical breaches. As we have found no other case presenting such extraordinary conduct on the part of the Government, we consider Whittaker’s motion at some length. Background

On February 22, 2001, a Grand Jury indicted Whittaker for mail fraud in violation of 18 U.S.C. § 1341, arising out of what was claimed to be an “insurance give-up”. Specifically, the Government alleges that Whit-taker, who once leased a 1998 Jeep Cherokee from World Omni Financial Corporation of Bridgeton, Missouri, defrauded Colonial Penn Insurance Company, the car’s insurer, when he arranged to have his vehicle stolen in order to relieve himself of further payments to World Omni. It is undisputed that on or about June 6, 1999, the Jeep Cherokee was indeed stolen, and that ultimately Colonial Penn sent an insurance check to World Omni through the United States mails. According to the Government, the Jeep Cherokee was delivered to AOK Auto Parts, a chop shop, where it was disassembled.

On January 29, 2001, the same United States Attorney’s Office sent Whittaker a three-page, single-spaced letter, which he received, which began with the following sentence:

Following a four-year investigation, we have identified you as a victim of a federal crime involving the theft of your motor vehicle as part of a massive chop shop ring centered in Philadelphia, Pennsylvania.

Although the United States Attorney’s Office at the time knew that Whittaker was represented by Samuel C. Stretton, Esquire, it did not send the letter to Mr. Stretton, nor did it send a copy of the letter to Mr. Stretton.

After Whittaker was charged, he filed what he styled a motion to dismiss the indictment, based upon the Government’s “outrageous conduct”. He contended that the January 29, 2001 letter not only demonstrated a conflict of interest within the United States Attorney’s Office, but also violated his due process rights, citing, e.g., United States v. Pitt, 193 F.3d 751 (3d Cir.1999).

After a hearing on May 24, 2001 at which the author of the January 29, 2001 letter testified, Whittaker amended his motion to include one for disqualification in view of the prosecutors’ apparent breaches of the Pennsylvania Rules of Professional Conduct.1 We have now received additional briefing from the parties on the issue. As will be seen, we find that, as a motion to disqualify, it has merit.

The Parties’ Contentions

In his supplemental submission, Whittaker identifies no less than eight Rules of Professional Conduct which he believes the Govern-0 ment breached when its left hand called him a criminal and its right hand called him a victim of the same scheme. Specifically, Whittaker cites:

• Rule 1.7, which generally bars conflicts of interest (Whittaker contends that as the January 29 letter purported to be helping him at the same time the Government was seeking to prosecute him, this constituted such a conflict);
• Rule 1.9, which bars a lawyer from taking a position adverse to a former client in the same or a related matter;
• Rule 3.8, which outlines the professional responsibilities of a prosecutor, and in particular Rule 3.8(a), which bars a prosecutor from bringing a claim that he knows is “not supported by probable cause”;
• Rule 4.1(a), which bars attorneys from making false statements of fact to third persons (Whittaker maintains that the January 29 letter’s statement that he [366]*366was a “victim” constitutes a false statement pursuant to this Rule);
• Rule 4.2, which precludes contact with someone the Office knew was “represented by another lawyer”;
• Rule 4.4, which bars the collection of evidence by methods that could compromise the rights of a third party (Whittaker asserts that the letter constituted an effort to obtain a statement in violation of this Rule);
• Rule 8.4(c), which bars conduct involving “misrepresentation”; and
• Rule 8.4(d), which bars conduct “prejudicial to the administration of justice”.

Additionally, Whittaker cites R.P.C. 3.7(a) which holds that “a lawyer shall not act as advocate at a trial in which the lawyer is likely to be a necessary witness” (absent exceptions inapplicable here). Whittaker contends that Assistant United States Attorney Robert Reed, the author of the January 29 letter, may be a witness at trial, and that it would be unfair to have one" Assistant United States Attorney as a witness being examined by another Assistant United States Attorney because Reed’s credibility would wrongly be bolstered by such an arrangement.

While not disputing that Assistant United States Attorney Reed mailed the January 29 letter to Whittaker at the same time another Assistant United States Attorney was preparing an Indictment against Whittaker for the Grand Jury, the Government nevertheless argues that the mailing of the letter was “inadvertent”. It relies for this contention on AUSA Reed’s testimony on May 24, 2001. AUSA Reed was visibly bemused as he recounted how the letter came to be sent to Whittaker, and rather seemed to regard the whole episode with the seriousness of a misdirected letter from Publisher’s Clearinghouse. This view is perhaps understandable, as AUSA Reed admitted that he not only allowed a paralegal to assemble the list of about 200 victims,2 but permitted her to copy his signature for each letter. Reed testified that he never reviewed this list of victims, which he believed the FBI had supplied to the unsupervised paralegal. On questioning from us at the May 24 hearing, however, AUSA Reed acknowledged that he had drafted the January 29 letter, authorized his signature, and knew of ongoing investigations of many chop shop-related people. He did not, however, work with AUSA Mark Miller, the prosecutor in Whittaker’s case.

It is undisputed that the January 29 letter was never formally retracted.3 N.T. 54-55. AUSA Reed also admitted, “I knew that you [Mr. Stretton] represented one of the people in the insurance part of the case”, N.T. 47, but never checked whom, exactly, Mr. Stretton represented. Reed also acknowledged that Whittaker was “about to be a defendant with the pending Indictment two or three weeks” after sending the January 29 letter. N.T. 53-54.

Analysis

Since April of 1999, lawyers' “for the Government shall be subject to State laws and rules, and local Federal court rules, governing attorneys in each State where such attorney engages in that attorney’s duties, to the same extent and in the same manner as other attorneys in that State.” 28 U.S.C. § 530B(a).

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Related

United States v. Serawop
303 F. Supp. 2d 1259 (D. Utah, 2004)
United States v. Whitaker
Third Circuit, 2001
United States v. Wayne Whittaker
268 F.3d 185 (Third Circuit, 2001)

Cite This Page — Counsel Stack

Bluebook (online)
201 F.R.D. 363, 2001 U.S. Dist. LEXIS 7658, 2001 WL 793224, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-whittaker-paed-2001.