United States v. Wilson

158 F. Supp. 442, 1958 U.S. Dist. LEXIS 2754
CourtDistrict Court, M.D. Alabama
DecidedJanuary 2, 1958
DocketCr. 10990-N
StatusPublished
Cited by12 cases

This text of 158 F. Supp. 442 (United States v. Wilson) is published on Counsel Stack Legal Research, covering District Court, M.D. Alabama primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Wilson, 158 F. Supp. 442, 1958 U.S. Dist. LEXIS 2754 (M.D. Ala. 1958).

Opinion

JOHNSON, District Judge.

This cause is now before the Court upon the motion, as amended, filed separately and severally by the above-named defendants ; said motion seeks to have this 'Court set aside the jury verdicts of guilty rendered November 20, 1957, as to ■each of these defendants and seeks to have the Court grant to them a new trial.

Several grounds are set up in the motion. For convenience, they may be .grouped as follows :

(1) That the Court committed error in overruling the motion of the defendants to suppress the evidence on the .-ground that the evidence was obtained by reason of illegal search on the part of the government’s agents without prob.able cause and without a search warrant.

(2) That the Court committed error fin overruling defendants’ motion for continuance made and filed following the ■Court’s declaration of a mistrial. The ‘overruling of this motion for continuance required the defendants to go to trial again on the same date.

(3) Defendants claim the jury venire was void because the names placed in the jury box by the jury commissioners were not selected by said commissioners.

(4) Defendants claim their constitutional rights were violated in that the Congress of the United States had no authority to prescribe qualifications of Federal jurors when such do not require the jurors to be qualified according to the law of the State of Alabama.

These grounds will be discussed in the order listed. However, prior to any detailed discussion, it is considered essential to set out the history of the case. These defendants were jointly indicted on September 11, 1957, by a grand jury convening in this district. Said indictment charged these defendants with violating certain sections of the Internal Revenue Code of the United States. The sections alleged to have been violated were: 5632 (concealing and aiding in the concealment of nontax-paid whiskey), 5008(b) (possession of 75 gallons of nontax-paid whiskey), and 7206(4) (the removal, deposit and concealment of 75 gallons of nontax-paid whiskey). To this indictment the defendants, separately and severally, entered pleas of not guilty. The case was called for trial on the morning of November 20, 1957, the government being represented by the United States attorney for this district and his assistants, and the defendants being represented by two attorneys of their choice. Upon inquiry and after the jurors were qualified generally, both the government and the defendants, through their respective counsel, announced ready for trial. A jury was selected after being qualified specifically for this case. The testimony was taken and the case proceeded to the point of argument by the counsel to the jury. It appeared on the trial of this case that the theory of the defense for the defendant Griffin was one of mistaken identity. Neither of these defendants testified; during the course of the argument by the United States attorney, reference was made by him to the fact that the defendant Griffin had not denied he was present at the time and place the officers had testified. This Court, upon proper motion, thereupon declared a mistrial at approximately 11:15 a. m. Since the case had only taken approximately two hours to try, the Court reset the ease for trial at 1:30 p. m. on the same date. These defendants objected to being put *444 to trial again during the same term and filed a written motion for continuance; this motion was denied and another jury was qualified and selected at 1:30 p. m. on the same date. The questions and comments concerning the qualification and selection of the jury for this second trial are set out verbatim in Appendix “A” to this memorandum opinion.

I. Defendants’ Motion to Suppress the Evidence.

On November 13, 1957, these defendants, separately and severally, filed a written motion with this Court, seeking to have the Court enter an order suppressing the evidence obtained by the agents of the government upon the ground that said evidence was obtained by reason of an illegal search without probable cause and without a search warrant. To this motion of the defendants, the United States filed a motion asking the Court to quash the defendants’ motion to suppress this evidence. This motion to quash was based upon the fact that the defendants’ motion was uncertain and vague, that it failed to state that the defendants claimed possession of the illegal whiskey seized by the agents, and that it failed to state that the seizure of the whiskey was from their premises. On November 15, 1957, which was several days prior to the trial before the jury on the merits of the case, this Court conducted a hearing in open court in order to determine the legality of the evidence the government’s agents obtained. After hearing the evidence, this Court determined that the motion to suppress was not well taken and on November 18, 1957, filed a written memorandum opinion, D.C., 159 F.Supp. 149. The pertinent parts of that opinion are as follows:

“In order to be more than fair to these defendants and in order to eliminate the necessity of an amendment, this Court overruled and denied the motion to quash filed upon behalf of the United States of America; this action overruling the motion to quash was taken in the face of the case of Scoggins v. United States, 92 U.S.App.D.C. 29, 202 F. 2d 211, and the case of the United States v. White, 7 Cir., 228 F.2d 832.
“All the evidence in support of defendants’ motion to suppress was enacted by virtue of stipulation entered into by the parties. The pertinent portions of this stipulated evidence show that two agents for the Alcohol & Tobacco Tax Unit of the Treasury Department were, on August 26, 1957, at about 9:50 a. m., traveling south on U. S. Highway 331 at a point about 1% miles south of Sprague, Alabama, in this district, at which time they saw a 1951 Ford approaching them, which Ford automobile appeared to them to> be heavily loaded, with the rear end of the car extremely low. One of these defendants, Morris Griffin, was recognized as being in the front seat of the par. Griffin was known to these agents as being a Negro male that had a record and reputation for being in the nontax-paid whiskey business.
“The law is well settled that where there exists probable cause to believe that a felony is being committed in the presence of officers, no warrant is needed to stop and search the automobile. See Carroll v. U. S., 267 U.S. 132, 45 S.Ct. 280, 69 L.Ed. 543. The United States Circuit Court of Appeals for the Fifth Circuit has followed the law in the Carroll case in several cases, three of which are Koenann v. U. S., 230 F.2d 662; Medina v. U. S., 5 Cir., 158 F.2d 955; and Cannon v. U. S., 5 Cir., 158 F.2d 952, 953. This Court concludes from the cireumstances in this case that the officers had reasonable cause for believing that these defendants were committing a felony in their presence and were justified in stopping and searching and seizing and arresting.”

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255 F.2d 686 (Fifth Circuit, 1958)

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Bluebook (online)
158 F. Supp. 442, 1958 U.S. Dist. LEXIS 2754, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-wilson-almd-1958.