YVETTE KANE, District Judge.
Before the Court are the Government's motions
The detailed factual and procedural history of this case—including the charges and allegations at issue—has already been fully set forth in a prior August 29, 2017 opinion, (Doc. No. 88 at 1-5), issued by the Honorable William W. Caldwell. Upon Judge Caldwell's retirement, this case was reassigned to the undersigned.
The Court will not repeat the extensive details from the August 29, 2017 opinion here, but instead will write only to address the pending motions
In December of 2016, Defendant was tried and convicted on all counts of a four-count indictment. (Doc. Nos. 57-58.) Counts I, II, and III stem from circumstances surrounding a December 8, 2015 traffic stop ("December 8th stop"), and Count IV involves allegations regarding a subsequent, unrelated traffic stop on January 2, 2016 ("January 2nd stop"). (Doc. No. 88 at 1-5.) After his conviction, Defendant moved for a new trial. (Doc. No. 76.)
Judge Caldwell granted a new trial due to improper and prejudicial closing remarks made by the Government in the first trial. (Doc. Nos. 88, 89.) In those remarks, the Government improperly commingled the evidence from the two separate traffic stops. (
Prior to the second trial addressing Counts I through III, the Government filed a notice pursuant to Federal Rule of Evidence 404(b)(2) indicating that it intended to present much of the evidence from the January 2nd stop to prove its case on the December 8th charges. (
Shortly before trial, Judge Caldwell ruled that the proffered Rule 404(b) evidence was inadmissible. (Doc. No. 104.) A memorandum fully explaining that decision was issued several days after the trial concluded. (Doc. No. 116.)
In that memorandum, Judge Caldwell provided several reasons why the January 2nd evidence was inadmissible under Rule 404(b) to prove the charges stemming from the December 8th stop. First, the Government had failed to identify a proper, non-propensity purpose for the evidence. (Doc. No. 116 at 7-9.) Although it had proffered two non-propensity purposes enumerated in Rule 404(b)(2)—knowledge and intent—upon closer scrutiny neither of the proffered purposes applied because neither was "at issue" in the trial on Counts I through III. (
Specifically, knowledge was not at issue because Defendant neither denied knowing that a gun was discovered in the vehicle nor contended that he unknowingly possessed the gun; rather, he simply denied that the gun was his and that he ever possessed it. (
Second, assuming intent qualified as a proper non-propensity purpose, Judge Caldwell explained that the Government had also failed at the second step of the Rule 404(b) process. (
At the second trial on Counts I through III, Defendant was found guilty on Count I (attempt to distribute cocaine base), and acquitted on Counts II and III (the firearms charges). (Doc. Nos. 111, 115.) The second trial on the remaining Count IV (possession with intent to distribute cocaine base on January 2, 2016) is scheduled to begin on March 20, 2018. (Doc. No. 121.)
As noted, the Government intends to introduce Rule 404(b) evidence at the upcoming trial. (Doc. No. 124.) The Government plans to present evidence of Defendant's previous 2006 and 2012 drug distribution convictions to prove that Defendant knowingly possessed and intended to distribute cocaine base on January 2, 2016. (
Defendant argues that none of this other-act evidence is admissible in the upcoming trial. He contends that the Government has not met its burden under Rule 404(b) to demonstrate why the multiple pieces of other-act evidence are admissible to prove Count IV. (Doc. No. 137 at 12-23.)
The Government has also moved
Defendant does not dispute the admissibility of the alleged booking statement. (Doc. No. 137 at 6 n.1.) He does, however, dispute the admissibility of the prejudicial details of his flight from police, and argues that the Government has not provided an adequate reason to alter Judge Caldwell's prior decision on this issue. (
The motions have been fully briefed and are now ripe for disposition.
The Government has raised multiple evidentiary issues—some new, and some that have been previously litigated. The Court will address each issue in turn.
As noted, the Government has moved
According to the Government, when the cocaine base at issue in Count IV was discovered in Defendant's jacket during a search performed by Richard Swanson ("Swanson") at the Dauphin County Booking Center, Defendant responded in a manner indicating either that the substance was not his, or that he did not know what the substance was. The Government seeks to have Swanson testify regarding what Defendant said to him when the package of suspected narcotics was found. Judge Caldwell excluded this statement at the first trial because it had only been disclosed to defense counsel several days before trial.
Initially, the Court notes material inconsistencies in the proffered statement that run throughout the Government's motion, briefing, and exhibits. In the motion
However, in the same brief, the Government indicates that the statement Defendant allegedly made was "it's not mine, I've never seen it before." (
The differences between these statements are not meaningless. The first statement implies lack of knowledge that the package contained illegal narcotics. The second implies lack of guilt for possessing illegal narcotics, i.e., "they are not my narcotics." Because the second statement ("it's not mine, I've never seen it before") appears in the December 2, 2016 supplemental pretrial disclosure to defense counsel, (Doc. No. 126-2 at 2), the Court will assume this statement more accurately reflects Swanson's proffered testimony.
Although the admissibility of this statement is not challenged by Defendant, it nonetheless merits a brief discussion as it appears to be tethered to the Government's Rule (404)(b) argument. In its Rule 404(b) notice and briefing, the Government contends that Defendant's past drug-distribution convictions are admissible to prove his "knowledge that he possessed crack cocaine." (Doc. No. 126 at 29.) Specifically, the Government argues that Defendant "placed this issue in question with his statement to Swanson." (
The booking statement is admissible at trial. However, to the extent that the Government seeks to admit this statement solely to manufacture a non-propensity purpose for bringing in Defendant's prior drug-distribution convictions, the Court finds such a tactic unavailing. The reasons for why this is so are fully set forth in Section II. B. 1. a., below.
The Government also seeks to introduce evidence that when Defendant fled from the scene on January 2nd, he "struck a parked patrol car, nearly struck [a law enforcement officer], and struck a parked car containing a mother and four-year[-]old child." (Doc. No. 123 at 3.) During the first trial, Judge Caldwell allowed the admission of evidence that Defendant fled from police in the car he was driving, hit a tree, and was pursued for ten blocks before coming to a stop. (Doc. No. 65 at 138-42.) But Judge Caldwell explicitly excluded the inflammatory details about almost striking a police officer and the alleged accidents with the police car and mother. (
The Court does not find any reason to deviate from Judge Caldwell's prior rulings on this issue, nor has the Government provided one. Defendant's flight from police is relevant to showing consciousness of guilt for the crime charged in Count IV.
The Government alternatively argues that if Defendant elicits a particular statement from one of the arresting officers, the evidence that was excluded at the first trial should be admitted to rebut the inference of bias raised by this statement. Upon cross-examination at the first trial, Officer Darrin Bates ("Officer Bates") affirmed that after Defendant had been apprehended, Officer Bates told Defendant he was "going to bury him under the prison." (Doc. No. 65 at 168.)
The Court notes that Defendant has indicated that "[i]t is unlikely that the defense will need to present" this statement in the upcoming trial. (Doc. No. 137 n.6.) If Defendant does elicit the "bury him under the prison" statement from Officer Bates, however, the Court finds that it would be fair rebuttal for Officer Bates to explain his reasons for making that statement. The statement raises the inference that Officer Bates is biased against Defendant. Thus, Officer Bates should be permitted to rebut that inference by explaining why he made the statement, which fairly could include—if averred by Officer Bates—that he did so because of the circumstances surrounding Defendant's flight from police.
Nonetheless, to avoid the risk of substantially unfair prejudice, some inflammatory details must be omitted. Officer Bates may explain on rebuttal that Defendant, upon fleeing, hit a parked patrol car, almost hit a police officer, and also hit another parked vehicle during the chase. He may not, however, venture into the fact that Defendant's vehicle came to a stop by hitting a car occupied by a mother and her four-year-old daughter.
Federal Rule of Evidence 404(b) provides that "[e]vidence of a crime, wrong, or other act is not admissible to prove a person's character in order to show that on a particular occasion the person acted in accordance with the character." FED. R. EVID. 404(b)(1). An exception to this rule provides that such "evidence may be admissible for another purpose, such as proving motive, opportunity, intent, preparation, plan, knowledge, identity, absence of mistake, or lack of accident." FED. R. EVID. 404(b)(2). In a criminal case, where evidence is offered to prove a proper, non-propensity purpose under Rule 404(b)(2), the prosecutor should provide "notice of the general nature of any such evidence that the prosecutor intends to offer at trial." FED. R. EVID. 404(b)(2)(A).
"Rule 404(b) is a rule of general exclusion," and "directs that evidence of prior bad acts be excluded—unless the proponent can demonstrate that the evidence is admissible for a non-propensity purpose."
Before other-act evidence can be admitted, four distinct steps must be taken.
The Government first seeks to introduce Defendant's prior drug-distribution convictions from 2006 and 2012. (Doc. No. 126 at 28-34.) According to the Government, these other acts demonstrate knowledge and intent, and thus are admissible under Rule 404(b)(2).
The first step in the Rule 404(b) process is determining whether a permissible, non-propensity purpose has been identified by the proponent of the evidence. Knowledge is one of the enumerated exceptions to the general rule of exclusion of other-act evidence. FED. R. EVID. 404(b)(2).
The Government argues that Defendant's prior drug-distribution convictions "demonstrate his knowledge that he possessed crack cocaine." (Doc. No. 126 at 29.) It then summarily concludes that knowledge is "clearly at issue in this case" without providing any reason for why this is so. In its discussion of the second step of the Rule 404(b) process, however, it does mention that Defendant placed knowledge in question "with his statement to Swanson[.]" (
The Court disagrees that knowledge is at issue in the present case. Defendant's alleged statement to Swanson at booking notwithstanding, knowledge is not genuinely at issue because Defendant has conceded knowing possession of cocaine base and argues only that he did not intend to distribute the drugs.
Accordingly, because knowledge is not at issue in this case, it is not a proper basis for admitting Defendant's prior drug-distribution convictions.
The Court notes, however, that even if the Government could satisfy steps one and two for "knowledge," the step three Rule 403 balancing would almost certainly end in Defendant's favor.
The Government next argues that the prior convictions are admissible to show intent to distribute. (Doc. No. 126 at 28-34.) Intent, like knowledge, is one of the enumerated exceptions to the general rule of exclusion of other-act evidence. FED. R. EVID. 404(b)(2).
Unlike knowledge, however, intent is clearly at issue in this case. At his first trial, Defendant openly admitted possession on January 2nd, but denied that he intended to distribute the drugs. Thus the Government has properly identified "intent" is a permissible, non-propensity purpose under step one of the Rule 404(b) process.
The Government falters at step two. The second step in the Rule 404(b) process is "crucial."
The Government provides only one sentence to satisfy step two. It argues that the prior distribution convictions are relevant to establishing intent to distribute as they show that Defendant "was aware of the manner in which cocaine base was packaged in Dauphin County, the manner in which cocaine base was distributed in Dauphin County, the prices for which cocaine base sold in Dauphin County, and the manner in which cocaine base was ingested." (Doc. No. 126 at 29.)
First, as Defendant notes, the Government's single-sentence explanation fails to properly set forth its chain of inferences.
There are multiple problems with this reasoning. First, and most importantly, the Government has not explained how awareness of drug packaging, pricing, and ingestion necessarily implies intent to distribute. Presumably, those who purchase drugs for personal consumption are equally aware of how drugs are packaged, priced, and ingested. Thus, there is significant missing link in the Government's chain of logic: how intent to distribute necessarily follows from awareness of drug packaging, pricing, and ingestion.
Second, the proffered chain of inferences appears to work in reverse. The Government is essentially arguing that because of the way the January 2nd drugs were packaged, Defendant must have prior experience with drug dealing in order to know how to prepare drugs for distribution in Dauphin County. But that is not how step two of Rule 404(b) operates. At step two, the proponent of the other-act evidence must show why that evidence is relevant to establishing the current non-propensity purpose, not why the current evidence tends to support the other-act evidence.
Finally, the argument set out by the Government in this step appears to be what the Government will present as evidence in its case in chief at trial—that the manner of packaging shows intent to distribute. (
The Government also cites multiple cases to support the admission of the prior drug convictions to show intent to distribute. These cases, however, do not support the admission of the prior convictions in the instant case.
Most of the cases upon which the Government relies pre-date the Third Circuit's more recent and comprehensive jurisprudence involving the admissibility of Rule 404(b) evidence.
The other cases the Government cites are also distinguishable and unpersuasive. In
First,
First, the
Consequently, the Court finds that the Government has failed to articulate a chain of inferences showing how the proffered other-act evidence is relevant to the non-propensity purpose of intent without relying on an impermissible propensity link. Because the Government falters at step two, the Court will not perform the Rule 403 balancing required at step three.
In sum, the Government has not carried its burden to satisfy the requirements of Rule 404(b) regarding Defendant's prior distribution convictions. Accordingly, that other-act evidence will be excluded from the upcoming trial on Count IV.
The Government has also provided notice that it intends to introduce evidence regarding the results of three random drug tests Defendant underwent from September 2015 to December 2015. (Doc. No. 124 at 3-4.) According to the Government, these tests were negative for cocaine or cocaine base, and will be introduced to prove intent to distribute on January 2nd. (
First, as fully explained above, intent to distribute is clearly at issue in this case. Therefore, the Government has satisfied step one of the Rule 404(b) process.
Next, the Government must explain how this other-act evidence is relevant to the non-propensity purpose (intent to distribute) without relying on an impermissible propensity inference. Here, the prosecution has set forth its chain of inferences, and that chain is much more logically sound.
Defendant maintains he possessed cocaine base on January 2, 2016, for personal use, rather than for distribution. The other-act evidence—random drug tests from September through December 2015 that were negative for cocaine or cocaine base—creates an inference that Defendant did not use cocaine or cocaine base around the time of testing. The last drug test was performed less than a month before Defendant's arrest on January 2, 2016, and thus a jury could reasonably infer that Defendant was not using cocaine or cocaine base near the time of his arrest. This inference would then permit the jury to infer that Defendant did not possess the cocaine base on January 2nd for personal use, but rather intended to distribute the drugs. There is no impermissible propensity inference in this chain of logic. Thus, step two is satisfied.
At step three, the Court must perform a Rule 403 balancing analysis. Here, that process is fairly simple. The Court agrees with the Government that the probative value of the drug tests is significant. Defendant maintains he possessed cocaine base for personal use. The negative tests in the months prior to his January 2nd arrest tend to show that this assertion may be untrue, and thus are probative of what appears to be the ultimate issue: whether Defendant had the requisite intent to distribute.
In addition, contrary to prior similar convictions, drug tests negative for cocaine or cocaine base are not inherently and significantly prejudicial. Hearing that a defendant tested negative for an illicit substance is not, in itself, prejudicial. Notably, the Government intends to abstain from any reference regarding why Defendant was tested, or that he tested positive for marijuana. (Doc. No. 126 at 36.) Admittedly, a juror may infer some type of parole or supervised release from this information, but, as the Government notes, those are not the only reasons that someone may undergo random drug screenings. Therefore, the danger of unfair prejudice from this other-act evidence is comparatively low.
Therefore, under Rule 403, the probative value of the proffered other-act evidence is not substantially outweighed by the dangers posed by its admission. Accordingly, the Government has satisfied step three.
Lastly, upon Defendant's request, an appropriate limiting instruction will be given by the Court directly after the evidence is admitted and also during the final jury instructions to help reduce the risk of unfair prejudice. Defendant will have the choice regarding whether a limiting instruction is given,
In its recent supplemental motions
Next, the Government plans to introduce testimony from Pennsylvania Board of Probation and Parole Agent Elliot DeFrancesco ("Agent DeFrancesco"). (
Initially, the Court rejects the Government's contention that the alleged statement made to Agent Zelznick regarding previous drug dealing is "intrinsic" to the charged offense and thus does not implicate Rule 404(b). (Doc. No. 135 at 10-11.) This evidence does not come close to falling into one of the "two narrow categories of evidence" that comprise intrinsic evidence: evidence that "directly proves the charged offense," and "uncharged acts performed contemporaneously with the charged crime" that "facilitate the commission of the charged crime."
The Government next argues that the statements made to the parole agents are admissible to show intent to distribute.
First, Defendant contends that the statements are not admissible because they were made in response to interrogation by a state parole officer while Defendant was incarcerated, and Defendant was not informed of his
The Government argues that
Here, the facts and circumstances under which Defendant's statements to the parole agents were made are unknown at this time, and thus it is unclear whether
Defendant next argues that the Government has failed to meet its burden under Rule 404(b) in that there is no legitimate purpose for the evidence, "what [Defendant] did at the age of 14 is completely irrelevant," and the Government has not satisfied the steps for properly admitting Rule 404(b) evidence. (Doc. No. 137 at 23.)
The Government contends that the statements to the parole agents are admissible to show intent to distribute. At the outset, the alleged statements to Agent Zelznick regarding prior drug distribution, including when Defendant allegedly starting selling drugs and how much money he made, are inadmissible for the same reasons that his prior drug convictions are inadmissible.
Even assuming the Government can meet steps one and two of the Rule 404(b) process for the other statements to the parole agents, it encounters multiple problems at step three.
When considering the Rule 403 balancing, the probative value of the proffered statements is low. The statements to Agent Zelznick were made two to four years prior to the January 2nd incident. The fact that Defendant, at that time, only admitted to having substance abuse problems with marijuana and alcohol has limited probative value regarding whether he used cocaine base at the time of his 2016 arrest. The statement to Agent DeFrancesco is also of limited probative value in that it is merely cumulative of the results of the drug tests, which the Government already plans on admitting.
Second, the potential prejudice of these statements is not insignificant. The statements to Agent Zelznick involve drug and alcohol use. They also have the potential for raising the inference with the jury that Defendant was under state-sponsored criminal monitoring such as parole or probation, despite the Government's plan of having the parole agents identify themselves as "state employee[s]" who interviewed Defendant about his "drug and alcohol history." (Doc. No. 136 at 8.) As such, although the statements are not extremely prejudicial in themselves, when balanced against the minimal probative value they provide, that probative value is substantially outweighed by the unfair prejudice they would cause.
Moreover, as noted above, even if the Rule 403 balancing favored admission, the outstanding
Based upon the foregoing, the Court will grant in part and deny in part the Government's motions
An Order consistent with this Memorandum follows.