13th Court of Appeals

Monday, February 26, 2007

Supoena-latin for "under penalty"

Actuary "Ezekial 25:17 - The path of the righteous man is beset on all sides by the inequites of the selfish and the tyranny of evil men. Blessed is he that shepherds the weak from the valley of darkness for he is truly his brother's keeper, and the finder of lost children. And I will strike down upon thee with great vengeance and furious anger those who attempt to poison and destroy my brothers, and you will know my name is the Lord when I lay my vengeance upon thee."

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IN THE COURT OF CRIMINAL APPEALS

OF TEXAS


NO. PD-0533-05

CURTIS WAYNE POPE, JR., Appellant


v.


THE STATE OF TEXAS




ON APPELLANT'S PETITION FOR DISCRETIONARY REVIEW

FROM THE SECOND COURT OF APPEALS

TARRANT COUNTY

Cochran, J., delivered the opinion of the Court, in which Keller, P.J., and Meyers, Price, Womack, Keasler, Hervey and Holcomb, JJ., joined. Johnson, J., filed a concurring opinion.

O P I N I O N


This is a case of first impression concerning the attorney work-product doctrine.

Appellant was convicted of murder based, in part, upon his DNA being found at the crime scene. After the State's DNA experts were cross-examined about the accuracy of their DNA testing techniques and results, the State, on re-direct, questioned them about the identity and "eminent" qualifications of another expert, Robert Benjamin, who was "involved in the case." The State's experts also testified that they had forwarded their reports to Dr. Benjamin and that he did not request further DNA testing. Although the jury was not told that appellant had designated Dr. Benjamin as a possible testifying expert, the State argued that if Dr. Benjamin or any other expert disagreed with the State's DNA experts, appellant would have called that witness to testify.

Both at trial and on appeal appellant claimed that this testimony and argument violated the attorney work-product doctrine and this was constitutional error as it impinged upon his Sixth Amendment right to counsel. (1) The court of appeals found that neither Dr. Benjamin's identity nor his qualifications were protected, but that testimony regarding Dr. Benjamin's failure to request additional testing "indirectly" violated appellant's work-product "privilege." (2) The court of appeals concluded, however, that the error was nonconstitutional and harmless. (3) We conclude that none of the testimony was protected by the work-product doctrine, and thus there was no error that affected appellant's Sixth Amendment right to counsel. We affirm the judgment of the court of appeals.

I.

Appellant was charged with the murder of Darrell North, who was found stabbed to death at his construction-site trailer. Mr. North had suffered over "50 distinct sharp force wounds" to his head, face, back, chest, shoulders, and torso. Suspicion focused on appellant who, along with Mr. North, failed to keep a scheduled meeting with a pool-construction customer on the evening of the murder. DNA tests tied blood found on the floor and furniture at the crime scene, as well as on the victim's pants, to appellant. The statistical probability of this DNA being that of another Caucasian male was one in 41.7 million.

After appellant was charged, the State filed a Motion for Discovery of Expert Witnesses asking for the name and address of any expert witnesses that the defense might call at trial. Appellant later filed a motion for independent examination of the DNA evidence and requested the trial court to "enter an order permitting Robert Benjamin to review and examine all reports and testing already performed by William Watson for purposes of deoxyribonucleic acid (DNA) testing and comparisons," as well as independent testing "if necessary." The trial court granted appellant's motion. Less than a month later, appellant formally designated "Dr. Robert Benjamin with the University of North Texas Department of Biological Sciences" as a potential defense expert witness. The State then designated eleven potential expert witnesses. Several months later, the trial judge granted a joint request by the State and appellant to submit hair samples from the murder victim, appellant, and Donald Fortenberry, another possible suspect, as well as fingernail scrapings from the murder victim, for additional DNA testing. This additional DNA testing excluded Mr. Fortenberry, but included appellant.

Immediately before the State's first DNA expert testified at trial, appellant made a motion in limine to bar any mention of Dr. Benjamin because his existence as a potential defense witness was irrelevant. "I think it goes into work product. If he takes the stand, that's a different story." The trial judge granted this motion. However, appellant's cross-examination of William Watson attacked the validity of the DNA testing procedures and test interpretation. He suggested that (1) the PowerPlex 1.1 machine that Orchid Cellmark (formerly GeneScreen) used to "run the gel" was not as good as the ABI-310 machine because it requires more "professional judgment" to interpret the results, and (2) Mr. Watson could not say with 100% certainty that the person who "ran the gel," Katherine Long, did it correctly and "she's not here."

Before beginning his re-direct examination, the prosecutor approached the bench and argued that appellant had opened the door to the existence and role of Dr. Benjamin as a defense expert:

[I]t is the State's position that due to their vigorous cross-examination as to the accuracy and methodology and technique of Mr. Watson's analysis and subsequent opinions, that it has now become a relevant matter of redirect to demonstrate, first of all, that all of this witness's work papers, and well as those of Ms. King [the State's second expert witness], were sent to Dr. Benjamin for analysis and review, and that never at any time has their expert ever contacted these folks and requested any opportunity to discuss any alleged errors or mistakes in their work papers or protocol or secondly has there ever been any request for any additional testing of the samples that they have in fact done.


Defense counsel objected that he had not opened the door with his cross-examination and that any mention of Dr. Benjamin or his role in the case would violate the attorney work-product doctrine and appellant's due-process rights. Defense counsel argued that it was part of his strategy to keep Dr. Benjamin out of the courtroom to prevent the State from arguing that "this guy is teaching me," and that this "expert was appointed for them, and if there was anything incorrect about it, they could bring him in here and tell you about it, folks."

The trial court noted, "So if I don't allow it in, then at final argument I can hear the Defense standing up and saying, can you trust all of this evidence because it had all of these problems in it, so how is that fair to the State?" The court further noted that the State's expert had sent his lab reports directly to Dr. Benjamin and that appellant had the right to call his expert if he wished. After further discussion, the trial court ruled that the State could ask its expert "if he knows Dr. Benjamin, how he knows him, how long he's known him, . . . was this witness aware that Dr. Benjamin was involved in this case," and whether Dr. Benjamin had ever requested any further testing.

Mr. Watson then testified, over objection, that he knew Dr. Benjamin, who was "eminently qualified"; he had delivered his notes and work papers to Dr. Benjamin; and he was not requested by Dr. Benjamin, or anyone acting for him, to retest any of the work Mr. Watson had done.

Jamie King, the State's second expert, was also impeached with asserted deficiencies in the DNA testing process. She, too, then testified that she knew Dr. Benjamin and had taken a course from him. "I know he's used as a defense expert many times." She said that she sent him her bench notes and had e-mail exchanges with him. No one had asked her to retest any of the DNA material.

During closing argument, the State noted that the defense "attacked the DNA, and that's fine. Let them attack it." But, the State continued,

The Defense under our constitution . . . has the right to issue subpoenas and use the power of the State and the government to compel people to appear. . . . They don't have to bring witnesses, but they can do so if it behooves them.

And don't you know, don't forget this, if they had one person, one expert who knew anything about DNA and the testing procedures, they would have put somebody on that witness stand today. . . .

[Appellant's objection overruled]

And don't you know, Benjamin or anybody else, and Jamie testified, yes, all of these notes were sent to him. Now, do you think he just threw them in the trash? I think it's probably reasonable to conclude that perhaps he looked at them. And don't you know that if he had any quarrel whatsoever with the results these people at GeneScreen obtained, that he'd have decorated that witness stand and said, you can't believe anything.

But all you have, ladies and gentlemen, with regard to their challenge for the DNA is [defense counsel's] theories. That's all you have. You have no experts who challenged them. It has gone unrefuted.


The jury convicted appellant and the court sentenced him to life imprisonment.

On appeal, appellant complained of the trial court's ruling and the State's argument. In its analysis, the court of appeals first noted that "a testifying expert's identity, once disclosed, is not work-product." (4) Second, it stated that "testimony regarding the witnesses' knowledge of Dr. Benjamin's qualifications, and the materials provided to him, cannot be privileged because they do not constitute work-product of the defense." (5) Third, it stated that

we believe that the testimony elicited by the State regarding Dr. Benjamin's failure to request additional testing indirectly violated Pope's work-product privilege because the testimony could have had the effect of disclosing Dr. Benjamin's mental impressions regarding the absence of a need for further tests. (6)


The court of appeals concluded, however, that this was nonconstitutional error and harmless under Rule 44.2(b). (7)

II.

The scope of the attorney work-product doctrine is sometimes confused with that of the attorney-client privilege. The attorney-client privilege is an evidentiary privilege and protects against the compelled disclosure of confidential communications. (8) This privilege belongs to and protects the client. (9) The attorney work-product doctrine, while not a true evidentiary privilege, belongs to and protects the attorney. (10) Its purpose is to stimulate the production of information for trials, and it rewards an attorney's creative efforts by giving his work product a qualified privilege from being shared with others. (11) It is premised on the notion that an attorney should not be compelled to disclose the fruits of his labor to his adversary. (12) Under Texas civil rules, material that reflects the attorney's personal thought processes is "core work product" and receives absolute protection, while other materials, such as documents, reports, or memoranda compiled by the attorney or his agents and communications made in anticipation of litigation or trial are "other work product" and receive qualified protection. (13) While the work-product doctrine protects the communications of parties, attorneys, and agents, the underlying factual information is not protected. (14) For example, descriptions of potential witnesses and statements that would reveal whether the party had spoken to potential witnesses are not work product and are discoverable. (15) As Professor Dix has explained:

if defense counsel's efforts do not create or enhance the substantive information, that information-or the form in which it is preserved-does not become protected work product. (16)


That is, facts that are divulged by or exist independent of the attorney or his agents are not protected, but statements or documents that set out their thoughts concerning the significance of these facts or the strategic conclusions that the attorney or his agents draw from them may well be protected. Thus, material prepared by a consulting expert appointed by the trial court to assist the defense in developing strategies and theories is protected by the work-product doctrine when that material reflects the expert's thoughts regarding the strength and weaknesses of a defense theory. (17)

Under Texas civil law, the world of experts is divided into two parts: consulting experts and testifying experts. (18) "The identity, mental impressions, and opinions of a consulting expert whose mental impressions and opinions have not been reviewed by a testifying expert are not discoverable." (19) The Texas Supreme Court has stated that "[t]he policy behind the consulting expert privilege is to encourage parties to seek expert advice in evaluating their case and to prevent a party from receiving undue benefit from an adversary's efforts and diligence." (20) But that protection "is intended to be only 'a shield to prevent a litigant from taking undue advantage of his adversary's industry and effort, not a sword to be used to thwart justice or to defeat the salutary object' of discovery." (21)

If a party might call an expert whom he has consulted as a witness at trial and the opposing side has requested designation of any potential experts, the party must designate that person as a testifying expert. A party who has designated a person as a potential testifying expert must be willing to divulge his name, address, telephone number, resume, and the subject matter on which he will testify. (22) Also subject to discovery in civil cases are "the facts known by the expert that relate to or form the basis of the expert's mental impressions and opinions formed or made in connection with the case in which the discovery is sought, regardless of when and how the factual information was acquired;" (23) as well as "the expert's mental impressions and opinions formed or made in connection with the case in which discovery is sought, and any methods used to derive them[.]" (24) Thus, in civil cases, there is no work-product protection for that potential testifying expert's data, tests, reports, or opinions.

The nature and extent of the work-product doctrine in Texas criminal cases is considerably less developed than it is in civil proceedings because there is very little pre-trial discovery in criminal cases. (25) However, article 39.14(b) of the Texas Code of Criminal Procedure was amended in 1999 to provide for limited reciprocal discovery of the opposing side's potential expert witnesses. That provision, in pertinent part, states:

On motion of a party and on notice to the other parties, the court in which an action is pending may order one or more of the other parties to disclose to the party making the motion the name and address of each person the other party may use at trial to present evidence under Rules 702, 703, and 705, Texas Rules of Evidence. (26)


The rule explicitly refers to any expert that the party "may use" at trial; it is not limited to those that he actually "does use." (27) Thus, once a party designates a particular person as an expert that he may use as a witness at trial, that person is no longer a "consulting" expert, he is a "testifying" expert, and the opposing party, whether the State or the defendant, may seek further information from or about him for use at trial. (28)

But what happens when the party who has designated a particular person as an expert later decides that the expert's opinions and testimony could do its side more harm than good? This is a frequent problem in civil proceedings and has led to the formulation of an entire body of legal disputes, often called "Red Rover" issues. (29) The first question is whether the designating party can "de-disclose" the expert "by issuing some type of declaration that she will not use the expert as a witness at trial." (30) The second question is what consequence, if any, this de-designation warrants at trial. (31) Some courts have held that, absent "exceptional circumstances," the opposing party may not call the de-designated expert, even though the expert had formed his opinions, given his deposition, written his report, etc., before the act of de-designation. (32) Other courts have held that there is no privilege protecting a retained expert from being called by the opposing party. (33) Numerous criminal cases have held that calling an expert witness originally designated by the defense does not violate the Sixth Amendment. (34) One court noted that this position "is a minority one, although it has the strong endorsement of a leading expert in the field of evidence." (35) A third group of courts have held that the trial judge may use his discretion, balancing probative value against the risk of unfair prejudice under Rule 403, to decide whether the opposing party may call, depose, or otherwise use an expert originally retained and designated by the other side. (36)

Courts that have permitted some use at trial of the opponent's de-designated expert have frequently disallowed any explicit mention that the expert was originally retained by the opponent. (37) They have noted that this information creates a danger that the jury will draw two unwarranted and improper conclusions. First, it could create the impression that the opposing party is suppressing evidence that it had an obligation to present. (38) Second, the jury might believe that the "Red Rover" expert is more credible than other experts because he will "tell the truth" regardless of the fact that he was originally retained and paid by the opposing party. Accordingly, some courts have held that the information concerning who originally hired an expert witness is either irrelevant under Rule 401 or inadmissible under Rule 403. (39)

With this general background, we turn to the situation in the present case.

III.

Here, appellant first requested that all of the DNA testing results and reports conducted by the State's experts be sent to Dr. Benjamin. The trial court ordered the State to do so and the reports were sent to Dr. Benjamin. Second, appellant formally designated Dr. Benjamin as a potential testifying expert under article 39.14(b). Third, it was only at trial, immediately before the State's first expert witness testified, that appellant requested that the prosecution be prohibited from mentioning Dr. Benjamin, claiming that the mention of his name as a designated expert witness would violate the work-product doctrine. The trial judge granted appellant's motion in limine. Fourth, when appellant cross-examined the State's first expert about his testing procedures, the testing equipment that he used, and the reliability of his test results, the trial judge concluded that the defense had opened the door to allow the State to ask its expert about Dr. Benjamin, his qualifications, his involvement in this case, (40) and the fact that, although the State's expert had sent Dr. Benjamin a copy of his reports, Dr. Benjamin had never requested any retesting.

Appellant claims,

Allowing the State to introduce evidence establishing that Dr. Benjamin is an eminently qualified defense expert who was provided with all of the State's DNA testing material was inadmissible for the same reason that evidence of his failure to request additional testing was: it could have no possible relevance other than to allow the jury to conclude that Dr. Benjamin reviewed the State's DNA testing and concluded it was accurate.


But Dr. Benjamin was, at all times, a formally designated expert witness for the defense. He was never "de-designated." His identity and qualifications were not protected by any work-product privilege. (41) Appellant had publicly filed a formal motion requesting that all expert reports be sent to Dr. Benjamin for his review. Information in the public domain is not protected by the work-product doctrine. (42) As a part of his Motion for Independent Examination of DNA Evidence, appellant also requested an "independent examination by an expert of Defendant's own choice of the pertinent evidence" and "if necessary, to arrange for a lab of the Defendant's own choice, to examine said evidence for the purposes" of additional DNA testing and comparisons. This motion was granted in its entirety. The contents of that motion, granted in open court by the trial judge, are not protected by the work-product doctrine. (43) The work-product doctrine "is intended to protect and to act as a limitation upon pretrial discovery of a lawyer's strategies, legal theories, and mental impressions," (44) but information that the lawyer himself puts into the public domain via a formally filed legal motion can hardly be thought of as a secret trial strategy.

Finally, the fact that the State's experts did or did not receive a request from any person to retest their samples or send samples to an independent lab for retesting by someone else is not covered by the work-product doctrine. (45) This is a fact that is within the personal knowledge of the State's experts. (46) Whether someone-anyone-called them, wrote to them, or otherwise communicated such a request to them could not be, by any stretch of the imagination, the work product of the defendant's attorney. (47) The State's experts are not agents of the defense attorney nor are they agents of Dr. Benjamin. The fact that neither Dr. Benjamin nor anyone else requested additional testing is not an instance of the State "'leaching' case preparation information from" its adversary. (48)

The court of appeals concluded that Dr. Benjamin's failure to request additional testing "indirectly" violated the work-product doctrine because the jury could have inferred that Dr. Benjamin concluded that the original testing was accurate or he would have wanted to do his own. (49) But this proves too much. It is always a possible inference that an expert who could request additional testing but does not do so has concluded that additional testing is unnecessary. And that inference might lead the jury to discern the expert's or the retaining attorney's "mental impressions" about the need for retesting. (50) Similarly, an attorney who fails to call an available eyewitness at trial might lead the jury to discern the attorney's "mental impression" that the uncalled witness would testify unfavorably. Nonetheless, a party may always comment on the fact that the opponent failed to call an available witness and then argue "Don't you know, if Mr. X had anything favorable to say, my opponent would have called him." (51) And this Court has already held that the State may comment upon the defendant's failure to call a DNA expert when DNA evidence was offered by the State's expert. (52)

Juries are always entitled to draw reasonable inferences from known, unprivileged facts, even though those inferences may have the effect of indirectly disclosing an attorney's (or his agent's) mental impressions. What the work-product doctrine protects is the production of material-documents, e-mails, letters, disclosure of conversations, and so forth-and statements that set out an attorney's litigation strategy or opinions concerning the result of his investigation or that of his agents. It does not prevent the factfinder from making reasonable inferences from known facts.

Appellant also argues that public-policy concerns should forbid the State from mentioning the existence of his expert until and unless he calls that witness to testify at trial. He argues that a rule that permits the State to comment on the existence of such an expert and his failure to contradict the State's experts will inevitably discourage defense attorneys from fully investigating the facts of a case pretrial and that, in turn, would violate the defendant's right to effective assistance of counsel under the Sixth Amendment. (53) Once again, this argument proves too much. There is a simple solution: investigate first, consult second, (54) designate third. The designation of a potential expert witness (55) under article 39.14(b) is an act similar to crossing the Rubicon in that it may waive many of the protections otherwise provided by the work-product doctrine, although it will not waive any confidential communications under the attorney-client privilege.

In sum, the trial judge in this case did not abuse his discretion in these Rule 403 rulings because the prosecutor's questions did not call for any disclosure of protected attorney work-product. The careful trial judge prohibited any explicit mention that Dr. Benjamin had been retained by appellant, a ruling that minimized the risk of any possible "Red Rover" unfair prejudice. And the fact that neither Dr. Benjamin nor anyone else had requested additional DNA testing is a simple fact known to the State's experts that is both relevant under Rule 401 and non-prejudicial under Rule 403. Finding no attorney-work product error, we affirm the judgment of the court of appeals.


Delivered: November 15, 2006

Publish

1. Appellant's grounds for review state

1. Does admission of evidence of (1) the identity of a non-testifying defense expert witness, (2) the qualifications of the non-testifying defense expert witness, and (3) the fact that the non-testifying defense expert witness reviewed materials provided by the State's expert permit the jury to improperly infer that the non-testifying defense expert reviewed the State's expert's work and concluded that it was correct, in violation of the Sixth Amendment right to counsel and the corollary work-product privilege?

2. Does improper admission of evidence indicating that a non-testifying defense expert reviewed the State's expert's work and did not request additional testing amount to a violation of the Sixth Amendment right to counsel, or is it merely a violation of a non-Constitutional right?

2.
Pope v. State, 161 S.W.3d 114, 121 (Tex. App.-Fort Worth 2004).

3.
Id. at 121-23.

4.
Pope, 161 S.W.3d at 120.

5.
Id. at 121.

6.
Id.

7.
Id. at 121-23.

8. Tex. R. Evid. 503.

9.
See West v. Solito, 563 S.W.2d 240, 245 (Tex. 1978, orig. proceeding). The Texas Supreme Court explained that

the purpose of the attorney-client privilege is to promote the unrestrained communication and contact between an attorney and client in all matters in which the attorney's professional advice or services are sought, without fear that these confidential communications will be disclosed by the attorney, voluntarily or involuntarily, in any legal proceeding.

Id.; see also Austin v. State, 934 S.W.2d 672, 673 (Tex. Crim. App. 1996) (stating that the purpose of the privilege is to promote communications by protecting against the fear that confidences will later be revealed).

10.
See United States v. Nobles, 422 U.S. 225, 238 (1975) (stating that "[a]t its core, the work-product doctrine shelters the mental processes of the attorney, providing a privileged area within which [the attorney] can analyze and prepare his client's case"); Washington v. State, 822 S.W.2d 110, 115-16 (Tex. App.-Waco 1991) (explaining that "the work-product doctrine is designed for the benefit of the attorney"), rev'd on other grounds, 856 S.W.2d 184 (Tex. Crim. App. 1993).

11.
See Occidental Chem. Corp. v. Banales, 907 S.W.2d 488, 490 (Tex. 1995, orig. proceeding) ("The attorney work product privilege protects two related but different concepts. First, the privilege protects the attorney's thought process, which includes strategy decisions and issue formulation, and notes or writing evincing those mental processes. Second, the privilege protects the mechanical compilation of information to the extent such compilation reveals the attorney's thought processes"). See generally, Edward J. Imwinkelried, The Applicability of the Attorney-Client Privilege to Non-Testifying Experts: Reestablishing the Boundaries Between the Attorney-Client Privilege and the Work Product Protection, 68 Wash. U. L.Q. 19, 37-38 (1990).

12.
The Supreme Court explained the rationale for the doctrine in Hickman v. Taylor, 329 U.S. 495 (1947):

Were such materials open to opposing counsel on mere demand, much of what is now put down in writing would remain unwritten. An attorney's thoughts, heretofore inviolate, would not be his own. Inefficiency, unfairness and sharp practices would inevitably develop in the giving of legal advice and in the preparation of cases for trial. The effect on the legal profession would be demoralizing. And the interests of the clients and the cause of justice would be poorly served.

Id. at 511; see also Carmona v. State, 941 S.W.2d 949, 953 (Tex. Crim. App. 1997) ("The work-product doctrine is designed for the benefit of the lawyer by protecting the lawyer from being compelled to disclose 'the fruits of his labor to his adversary'").

13.
See Tex. R. Civ. P. 192.5; see also National Tank Co. v. Brotherton, 851 S.W.2d 193, 200 (Tex. 1993) (noting that the common law work-product doctrine had shielded from discovery "specific documents, reports, communications, memoranda, mental impressions, conclusions, opinions, or legal theories, prepared and assembled [by an attorney] in actual anticipation of litigation or for trial").

14.
See Axelson, Inc. v. McIlhany, 798 S.W.2d 550, 554 n.8 (Tex. 1990, orig. proceeding) (noting that the work-product doctrine "protects only the mental impressions, opinions, and conclusions of the lawyer and not the facts"); Leede Oil & Gas, Inc. v. McCorkle, 789 S.W.2d 686, 687 (Tex. App. - Houston [1st Dist.] 1990, orig. proceeding) (attorney's notes that were mere "neutral recitals of facts" and contained no commentary by the attorney were not covered by the work-product privilege).

15.
City of Denison v. Grisham, 716 S.W.2d 121, 123-24 (Tex. App.-Dallas 1986, orig. proceeding).

16. 42 George E. Dix & Robert O. Dawson, Criminal Practice and Procedure § 22.14 at 13 (2d ed. 2001).

17.
Id. (citing Skinner v. State, 956 S.W.2d 532, 540 (Tex. Crim. App. 1997)).

18. The same is, to a large extent, true in the federal system.
See, e.g., House v. Combined Ins. Co. of Am., 168 F.R.D. 236, 245 (N.D. Iowa 1996) ("whether the witness has been designated as an expert expected to testify at trial pursuant to Fed. R. Civ. P. 26(b)(4)(A) is a very significant difference from the situation in which an expert has merely been consulted by a party, but never designated as likely to testify at trial"). As noted in House,

Parties should be encouraged to consult experts to formulate their own cases, to discard those experts for any reason, and to place them beyond the reach of an opposing party, if they have never indicated an intention to use the expert at trial. Such a consulted-but-never-designated expert might properly be considered to fall under the work product doctrine that protects matters prepared in anticipation of litigation. . . .

However, once an expert is designated, the expert is recognized as presenting part of the common body of discoverable, and generally admissible, information and testimony available to all parties.

Id. (citations omitted).

Fed. R. Civ. P. 26(b)(4) refines this distinction even more. It divides experts into four classes and deals separately with each. These categories are: (1) experts a party expects to use at trial; (2) experts retained or specially employed in anticipation of litigation or preparation for trial but not expected to be used at trial; (3) experts informally consulted in preparation for trial but not retained; and (4) experts whose information was not acquired in preparation for trial. See 8 Charles Alan Wright, Arthur R. Miller, & Richard L. Marcus, Federal Practice and Procedure § 2029, at 428-29 (2d ed. 1994).

19. Tex. R. Civ. P. 192.3(e);
see In re City of Georgetown, 53 S.W.3d 328, 334 (Tex. 2001) ("The rules of civil procedure delineate a category for consulting experts whose mental impressions and opinions have not been reviewed by a testifying expert. The rules expressly provide that a party is not required to disclose the identity, mental impressions, and opinions of consulting experts.") (internal citation omitted).

20.
Tom L. Scott, Inc. v. McIlhany, 798 S.W.2d 556, 559 (Tex. 1990, orig. proceeding).

21.
Id. (holding that a settling party could not "assign" its experts to the opposing party, who then redesignated the experts from "testifying" experts to "consulting-only" experts).

22. Tex. R. Civ. P. 192.3(e)(1), (2), (7).

23.
Id. at 192.3(e)(3).

24.
Id. at 192.3(e)(4).

25.
See Carmona v. State, 941 S.W.2d 949, 953 (Tex. Crim. App. 1997).

26. Tex. Code Crim. Proc. art. 39.14(b). The pertinent phrase, "each person the other party may use at trial to present evidence under Rules 702, 703, or 705" is almost exactly the same wording as is used in Rule 26(a)(2)(A) of the Federal Rules of Civil Procedure ("any person who may be used at trial to present evidence under Rules 702, 703, or 705"). We assume that the Texas Legislature, by following the wording of the federal rule, also intended to follow the federal interpretation of that wording. For a thorough discussion of the federal civil rule, the history of the work-product doctrine, its scope and applicability to expert witnesses, see Wright & Miller,
supra note 18, §§ 2021-2033.

27.
See Stephen D. Easton, "Red Rover, Red Rover, Send that Expert Right Over": Clearing the Way for Parties to Introduce the Testimony of Their Opponents' Expert Witnesses, 55 SMU L. Rev. 1427, 1461 (2002) ("the Rule 26(a)(2)(A) disclosure is not a statement that an attorney will call an expert as a witness at trial. Instead, this disclosure is a required statement that the expert might be called as a witness at trial").

28.
See, e.g., Doe v. Eli Lilly & Co., 99 F.R.D. 126 (D.D.C. 1983). In the context of expert witnesses, the court stated,

As a general proposition, . . . no party to litigation has anything resembling a proprietary right to any witness's evidence. Absent a privilege no party is entitled to restrict an opponent's access to a witness, however partial or important to him, by insisting upon some notion of allegiance. Even an expert whose knowledge has been purchased cannot be silenced by the party who is paying him on that ground alone. Unless impeded by privilege an adversary may inquire, in advance of trial, by any lawful manner to learn what any witness knows . . . .

Id. at 128 (citations omitted).

Article 39.14 of the Code of Criminal Procedure does not provide for mandatory depositions of experts, interrogatories, disclosure of reports or the whole host of other discovery mechanisms available in civil proceedings. That failure, however, does not imply that the work- product doctrine necessarily continues to protect otherwise discoverable materials once the State or defendant designates an expert witness. As noted by Professor Easton, "[a]fter an expert has been disclosed by the retaining attorney, muzzling that witness may be unfair to the opposing party for several reasons," one of which is that "a party ordinarily should be able to count on the availability of the testimony of a person who has been declared to be a potential witness at trial." Easton, supra note 27 at 1478.

Article 39.14(a) provides for limited pretrial discovery by the defendant of certain material in the State's possession. This article explicitly protects "the work product of [the State's] counsel in the case and their investigators and their notes or report." Presumably, the trial court concluded that written reports by those persons who have been formally designated as a potential expert witness are not protected by the work-product doctrine. Otherwise, the trial court would not have ordered the State to send its experts' written notes and DNA reports to Dr. Benjamin.

29. See generally, Easton,
supra note 27. The term "Red Rover" refers to the children's playground game in which one team "calls over" a member of the opposing team who must try to break through the hand-holding members of the calling team. If that person cannot break through the human chain, he becomes a member of the calling team. Id. at 1437 n.49.

30.
Compare id. at 1438-39 & n.55 (collecting cases) with id. at 1463 (noting that, under the federal rules of civil procedure, there is no mechanism to "de-designate" a previously designated expert witness and arguing that there should not be). Several Texas civil cases have held that a "testifying expert [may] be 'de-designated' so long as it is not part of 'a bargain between adversaries to suppress testimony' or for some other improper purposes." In re Doctor's Hosp. of Laredo, Ltd., 2 S.W.3d 504, 506 (Tex. App.-San Antonio 1999) (quoting Castellanos v. Littlejohn, 945 S.W.2d 236, 240 (Tex. App.-San Antonio 1997, orig. proceeding).

31. Easton,
supra note 27 at 1439-47.

32.
See Durflinger v. Artiles, 727 F.2d 888, 891 (10th Cir. 1984); see also In re Shell Oil Refinery, 132 F.R.D. 437, 440-41 (E.D. La. 1990) (suggesting that if a party notifies its opponent prior to the deadline for designation of expert witnesses that a particular expert will not be testifying, that party may designate him as a non-testifying or "consulting" expert even though his initial expert reports had been disclosed to the opposing side).

33.
See, e.g., Knoff v. American Crystal Sugar Co., 380 N.W. 2d 313, 319-21 (N.D. 1986); Granger v. Wisner, 656 P.2d 1238, 1240 (Ariz. 1982).

34.
See, e.g., Noggle v. Marshall, 706 F.2d 1408, 1414-17 (6th Cir. 1983) (noting that no Fifth or Sixth Amendment violation or "violation of a constitutionally mandated attorney-psychiatrist-client privilege occurred when the state called as its witness a defense-retained psychiatrist" in rebuttal of defendant's insanity defense); State v. Riddle, 8 P.3d 980, 990 (Or. 2000) (holding that there is no attorney-client privilege, work-product doctrine privilege, or state precedent "that prevents an expert whom a litigant has employed to investigate a factual problem from testifying for the other side as to the expert's thoughts and conclusions that are segregated from confidential communications"; stating that the State was not barred from calling a defense-employed accident reconstruction expert as its witness as long as it did not elicit any confidential communications or work product).

35.
Riddle, 8 P.3d at 989 n.5 (citing Edward J. Imwinkelried, The Applicability of the Attorney-Client Privilege to Non-Testifying Experts: Reestablishing the Boundaries between the Attorney-Client Privilege and the Work Product Protection, 68 Wash. U. L. Q., 19, 28-30 (1990)).

36.
See, e.g., House v. Combined Ins. Co. of Am., 168 F.R.D. 236, 245-46 (N.D. Iowa 1996); White v. Vanderbilt Univ., 21 S.W.3d 215, 224 (Tenn. Ct. App. 1999) (setting out various Rule 403 factors, balancing them and holding that plaintiff should have been permitted to use defendant hospital's de-designated expert's deposition at trial, but noting that proponent must first remove any reference to the fact that the expert had been initially consulted by the defendant).

37.
See Peterson v. Willie, 81 F.3d 1033, 1037-38 (11th Cir. 1996); Rubel v. Eli Lilly & Co., 160 F.R.D. 458, 460 (S.D.N.Y. 1995); Granger v. Wisner, 656 P.2d at 1242; General Motors Corp. v. Jackson, 636 So. 2d 310, 314-15 (Miss. 1994); Seeber v. Howlette, 586 N.W.2d 445, 451 (Neb. 1998). But see Cogdell v. Brown, 531 A.2d 1379, 1382 (N.J. Super. Ct. Law. Div. 1987); (stating that the identity of the party who originally retained an expert is material to the weight and credibility of the expert's testimony).

38.
Granger v. Wisner, 656 P.2d at 1242-43 (allowing the defendant to elicit, on direct examination, that the plaintiff had originally retained the expert "would only serve to unfairly prejudice the plaintiff. Jurors unfamiliar with the role of counsel in adversary proceedings might well assume that plaintiff's counsel had suppressed evidence which he had an obligation to offer. Such a reaction could destroy counsel's credibility in the eyes of the jury"); see 8 Charles A. Wright et al., Federal Practice and Procedure § 2032, at 447 (2d ed. 1994) (calling this information "explosive").

39.
See State v. Hamlet, 944 P.2d 1026, 1031-33 (Wash. 1997) (holding that State could call expert who was originally retained by defendant in preparation of diminished capacity defense, but it was error, though harmless, to permit him to testify that he was retained by the defendant); State v. Wilkinson-Snowden-McGehee, Inc., 571 S.W.2d 842, 843 (Tenn. Ct. App. 1978); Agron v. Trustees of Columbia Univ., 176 F.R.D. 445, 450-53 (S.D.N.Y. 1997) (denying plaintiff student's motion in limine to preclude the testimony of an expert witness for the defendant university, but prohibiting any reference to his original retention by the plaintiff and requiring that copies of his report be redacted to eliminate any such references); Dovel v. Walker Manuf., 174 F.R.D. 649 (D.C. Neb. 1996); see also Imwinkelried, supra note 35 at 47 (noting that, in Red Rover situations, "the trial judge could admonish the prosecutor and expert to refrain from any mention of the defense's consultation with the witness" under Rule 403 if "the jury is likely to ascribe too much significance to the defense's earlier consultation with this prosecution witness").

40. The trial judge should be complimented for being remarkably fast on his feet in minimizing the risk of prejudice under Rule 403 by prohibiting the State from explicitly stating that Dr. Benjamin had been retained by appellant.

41.
See Tex. R. Civ. P. 192.3(e); Fed. R. Civ. P. 26(a)(2)(A); see also House v. Combined Ins. Co. of Am., 168 F.R.D. 236, 245 (N.D. Iowa 1996); White v. Vanderbilt Univ., 21 S.W.3d 215, 225 (Tenn. Ct. App. 1999).

42.
See Carmona v. State, 941 S.W.2d 949, 953-54 (Tex. Crim. App. 1997) (discussing waiver of attorney-client privilege by public disclosure).

43.
Id.

44.
Morris v. State, 477 A.2d 1206, 1211 (Md. Ct. Spec. App. 1984). Put more colorfully, the work-product doctrine operates primarily to protect against pretrial discovery, on the basis that each litigant should be expected to prepare its own case and courts should "discourage lazy or unscrupulous lawyers from trying to cut case-preparation corners by leaching basic information or valuable opinions from experts retained by their opponents." Brown v. Ringstad, 142 F.R.D. 461, 465 (S.D. Iowa 1992).

45.
See, e.g., Morris, 477 A.2d at 1211 (stating that "[t]here is a distinction to be made, however, between the disclosure of confidential communications whether made to an attorney or to an agent consulted by the attorney and information gained by objective scientific analysis conducted by experts, no matter by whom employed").

46. Similarly, Dr. Benjamin's "eminent" qualifications and professional standing were facts known to the State's experts-they were, after all, his former students-well before defense counsel retained him as a potential expert witness. And Dr. Benjamin's professional credentials existed independent of defense counsel's act of retaining him or any work-product strategy or conclusions that might have been developed on appellant's behalf. The only issue that the trial court, court of appeals, or this Court is asked to decide is whether Dr. Benjamin's existence and qualifications are protected by the work-product doctrine or the Sixth Amendment right to counsel. Whether the trial court might have considered the validity of some other, unrelated objection at trial is not before us because such an objection was never made.

47. Appellant states that "[t]here is no doubt that Dr. Benjamin's 'conclusions were the work product of defense counsel and would never have been provided to the prosecutor.'
See Taylor v. State, 939 S.W.2d 148, 152 (Tex. Crim. App. 1996)." But Taylor was decided before the legislature enacted the reciprocal-discovery statute. We need not decide, in this case, what effect, if any, that statute would have upon our previous opinions dealing with the work-product doctrine as it applies to designated experts.

48.
Dovel v. Walker Manuf., 174 F.R.D. 649 (D.C. Neb. 1996) (allowing plaintiff to call her former physician, who had previously been retained by the defendant to perform an independent examination and prepare an expert report, as an expert witness at trial).

49.
Pope, 161 S.W.3d at 121.

50. Indeed, the court of appeals appears to have recognized this fact as it noted that appellant's

assertion that the jury could have only come to the conclusion that the defense's expert agreed with the State's experts is a logical conclusion that the jury could have reached from admissible evidence; that is, there was a DNA expert who reviewed the state's materials but was not called as a witness by the defendant.

161 S.W.3d at 122.

51.
See Patrick v. State, 906 S.W.2d 481, 491 (Tex. Crim. App. 1995) (argument that points to a defendant's failure to produce evidence other than his own testimony is proper); Caron v. State, 162 S.W.3d 614, 618 (Tex. App.-Houston [14th Dist.] 2005, pet. ref'd) (prosecutor may comment on defendant's failure to present evidence; "if there is something out there that is going to exonerate you, you want to make it known" was proper argument); Torres v. State, 979 S.W.2d 668, 673-74 (Tex. App.-San Antonio 1998, no pet.) (prosecutor could comment on defendant's failure to call a defense expert).

52.
Jackson v. State, 17 S.W.3d 664, 674 (Tex. Crim. App. 2000) (stating that prosecutor's argument that "the defense would have called its [DNA] expert to the stand if it had seriously disputed the State's evidence" did not shift the burden of proof to the defense and was a permissible "comment on the defendant's failure to produce witnesses and evidence" because it did "not fault the defendant for exercising his right not to testify"); see also Faison v. State, 59 S.W.3d 230, 243 (Tex. App.-Tyler 2001, pet. ref'd) (prosecutor's argument-that it was a reasonable deduction from the evidence that the defense did not present its own expert testimony about DNA testing because its expert had reached the same results as had the State's expert- upheld as a reasonable deduction from the evidence).

53. Appellant's Brief at 14-15.

54.
See, e.g., Williams v. State, 958 S.W.2d 186, 192-94 (Tex. Crim. App. 1997) (defendant is entitled to make an ex parte motion for expert assistance under Ake v. Oklahoma, 470 U.S. 68 (1985) to protect work product and defensive strategy).

55. Other acts, such as a formal request that certain materials in the State's possession be shown to or shared with a particular expert, will have the same effect of publicly disclosing the existence of an expert who is more than a consultant, but less than a formally designated expert witness.

the jury should have been allowed to assess their credibility and demeanor of Mary Cano... but the Kleberg county was hiding her.......WHY?

Actuary "Ezekial 25:17 - The path of the righteous man is beset on all sides by the inequites of the selfish and the tyranny of evil men. Blessed is he that shepherds the weak from the valley of darkness for he is truly his brother's keeper, and the finder of lost children. And I will strike down upon thee with great vengeance and furious anger those who attempt to poison and destroy my brothers, and you will know my name is the Lord when I lay my vengeance upon thee."

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NUMBER 13-03-430-CR

COURT OF APPEALS

THIRTEENTH DISTRICT OF TEXAS

CORPUS CHRISTI - EDINBURG



DOMINIC MCKAINE,

Appellant,

v.



THE STATE OF TEXAS,

Appellee.



On appeal from the 24th District Court of De Witt County, Texas.



O P I N I O N

Before Chief Justice Valdez and Justices Rodriguez and Garza

Opinion by Justice Garza



By two issues, Dominic McKaine challenges his conviction and sentence for burglary of a habitation and committing aggravated assault therein. Footnote We reverse and remand for a new trial on punishment.

1. Background

The conviction from which McKaine appeals stems from the following events. On November 12, 2002, McKaine and three other people used force to unlawfully enter the residence of Charles and Amy in Cuero, Texas. Footnote McKaine entered the home carrying a twenty-gauge shotgun. His cohorts were armed with handguns. With their weapons drawn, the group forced Charles down onto the kitchen floor, threatening to kill him if he resisted. McKaine then pointed his shotgun at Charles’s wife, Amy, and told her to take off her shirt. With her husband and three small children watching, Amy removed her shirt for McKaine, exposing her breasts. McKaine’s companions then took Charles into the couple’s bedroom, and McKaine took Amy and two of her children into a second bedroom. Once inside, he began to touch Amy, fondling her breasts and repeatedly telling her that he wanted to have sex and that he was going to have sex with her on her child’s bed in front of her children. He threatened to kill her, her husband, and her children if she told anyone. McKaine then took Amy into the living room and in front of all three of her children, ordered her to pull down her pants. She refused. McKaine repeated his demand, and again, she refused, saying that she was “on her period.” McKaine put his shotgun against the head of Amy’s three year old son and said, “Pull down your pants and spread your legs, or I’m going to kill your son.” She complied, but McKaine did not have sex with her. He and his companions left, taking a knife, cigarettes, and money belonging to the family. Before leaving, McKaine repeated his threat that he would kill all of them if they told anyone what happened.

At the time of the incident, McKaine was sixteen years old. He was originally charged as a juvenile, but the State petitioned the juvenile court to transfer the case to district court so that he could be prosecuted as an adult. After a hearing, the juvenile court certified McKaine as an adult and transferred the case. Before the district court, McKaine pled guilty to burglary of a habitation and committing aggravated assault therein, a first-degree felony. Footnote He requested that a jury determine his punishment. The jury sentenced him to seventy-five years imprisonment.

2. Analysis

McKaine raises two issues on appeal. First, he challenges the juvenile court’s decision to transfer his case to district court for trial as an adult. Second, he argues that the trial court abused its discretion during the punishment phase of the trial by not allowing his attorney to question Amy and Charles regarding their involvement in drug activities. For the reasons that follow, we reverse.

A. Transfer to District Court

In his first issue, McKaine claims that the juvenile court erred in transferring his case to district court. Footnote He complains that the court erred by considering a psychological report because it amounted to hearsay. McKaine also contends that the author of the report should have been present at the transfer hearing to explain her evaluation and the basis for her findings. Finally, he maintains that the juvenile court had insufficient evidence to transfer his case to district court for trial as an adult.

The juvenile court has exclusive, original jurisdiction over children seventeen years of age and younger. Ex parte Waggoner, 61 S.W.3d 429, 431 (Tex. Crim. App. 2001); see Tex. Fam. Code Ann. §§ 51.04(a), 51.02(2) (Vernon 2002) (discussing the jurisdiction of juvenile courts and defining “child”). Texas Family Code Section 54.02(a) provides that the juvenile court may waive its exclusive, original jurisdiction and transfer a child to the appropriate district court for criminal proceedings if the child is alleged to have committed a first-degree felony and was aged fourteen or older at the time of the alleged offense. Tex. Fam. Code Ann. § 54.02(a) (Vernon 2002). A juvenile court’s discretionary power to transfer a juvenile can be exercised only after the State files a petition or motion requesting waiver and transfer. Hidalgo v. State, 983 S.W.2d 746, 749 n.3 (Tex. Crim. App. 1999); see Tex. Fam. Code Ann. §§ 53.04, 54.02(b) (Vernon 2002). When the State requests a transfer, the juvenile court is required to conduct a hearing without a jury to consider transfer of the child for criminal proceedings. Tex. Fam. Code Ann. § 54.02(c). Before the transfer hearing, the court must order and obtain a complete diagnostic study, social evaluation, and full investigation of the child, his circumstances, and the circumstances of the alleged offense. Id. § 54.02(d); In re J.S.C., 875 S.W.2d 325, 326 (Tex. App.–Corpus Christi 1994, writ dism’d by agr.). Based on this information, the court must determine whether there is probable cause to believe that the child committed the offense alleged and whether the welfare of the community requires criminal proceedings because of the seriousness of the offense or the background of the child. See Tex. Fam. Code Ann. § 54.02(a); In re J.S.C., 875 S.W.2d at 326. The juvenile court’s decision to transfer a case to district court is reviewed for abuse of discretion. Faisst v. State, 105 S.W.3d 8, 12 (Tex. App.–Tyler 2003, no pet.); see In re J.S.C., 875 S.W.2d at 326.

We first consider McKaine’s argument that the trial court erred by considering a psychological report because it was inadmissible hearsay. Strict rules of evidence are not applied in transfer proceedings. In re J.S.C., 875 S.W.2d at 330; see also In re J.P.O., 904 S.W.2d 695, 699 (Tex. App.–Corpus Christi 1995, writ denied). Section 54.02(e) authorizes the juvenile court to “consider written reports from probation officers, professional court employees, or professional consultants in addition to the testimony of witnesses.” Tex. Fam. Code Ann. § 54.02(e). In at least one case involving the use of a pyschiatric evaluation in a transfer hearing, this Court overruled an alleged hearsay error, noting that juvenile courts are authorized to consider such evidence. See In re J.S.C., 875 S.W.2d at 330 (holding that there was “no error in . . . the use of records even though [they] . . . may not be admissible as evidence at an adjudication hearing”). Footnote We reach the same conclusion in this case. The juvenile court did not err in admitting the psychological report into evidence.

McKaine also argues that Dr. Karan Redus, who conducted his psychological evaluation and authored the report, should have testified at the transfer hearing. He contends that the juvenile court’s duty to conduct a “full investigation and hearing” is not complete without live testimony from the author of any reports relied upon under section 54.02(e). Tex. Fam. Code Ann. § 54.02(c), (e). The State has not responded to this argument. Nevertheless, we cannot conclude that the juvenile court abused its discretion. The family code does not specifically require that the juvenile court hear live testimony from a professional consultant whose written report is considered under section 54.02(e). Id. § 54.02(e). It allows the court to consider “written reports from . . . professional consultants in addition to the testimony of witnesses.” Id. (emphasis added). Although McKaine makes compelling arguments regarding the court’s duty to be fully informed of the juvenile’s circumstances, he has cited no cases holding that the court must receive live testimony in addition to the written reports. Our research has unearthed no such authority. Thus, we cannot conclude that the trial court abused its discretion. In so holding, we note that although McKaine’s trial counsel complained of Dr. Redus’s absence at the hearing, the record does not show that he ever attempted to subpoena her or otherwise solicit her testimony. The record shows that McKaine’s trial counsel received proper notice of Dr. Redus’s report under section 54.02(e). Id.

Finally, McKaine argues that the juvenile court erred in transferring his case to district court because the evidence was insufficient to support a transfer. McKaine has not specified whether his challenge is to the legal or factual sufficiency of the evidence or to both. See In re J.P.O., 904 S.W.2d at 699-700 (“The juvenile court’s findings of fact are reviewed by the same standards that are applied in reviewing the legal or factual sufficiency of the evidence supporting a jury’s answers to a charge.”). He has not cited authorities for his contention that the evidence is insufficient. See Tex. R. App. P. 38.1(h) (“The brief must contain a clear and concise argument for the contentions made, with appropriate citations to authorities and to the record.”). McKaine argues that the evidence adduced at the transfer hearing was insufficient to support a transfer because it showed that: (1) he had never been adjudicated of a felony as a juvenile; (2) he suffered from drug addiction and had not received treatment; and (3) the Texas Youth Commission offered services that could assist in rehabilitating him. The State has not responded to McKaine’s sufficiency arguments. Assuming without deciding that McKaine has properly presented this issue for review, we hold that it does not warrant reversal because his arguments do not address all of the grounds for the juvenile court’s decision. Specifically, McKaine has not addressed the court’s finding that the seriousness of the offense necessitated criminal proceedings to protect the welfare of the community.

As noted above, the juvenile court has discretion to waive its jurisdiction and transfer a case to criminal court if it finds that there is probable cause to believe that the child committed the offense alleged and that the welfare of the community requires criminal proceedings because of the seriousness of the offense or the background of the child. See Tex. Fam. Code Ann. § 54.02(a); In re J.S.C., 875 S.W.2d at 326. In making this determination, the court is required to consider: (1) whether the alleged offense was against a person or property, with greater weight in favor of transfer given to offenses against the person; (2) the sophistication and maturity of the child; (3) the record and previous history of the child; and (4) the prospects of adequate protection of the public and the likelihood of the rehabilitation of the child by use of procedures, services, and facilities available to the juvenile court. Tex. Fam. Code Ann. § 54.02(f). While the juvenile court must consider all of these factors before transferring the case to district court, it is not required to find that each factor is established by the evidence. In re D.D., 938 S.W.2d 172, 176 (Tex. App.–Fort Worth 1996, no writ); In re J.S.C., 875 S.W.2d at 329; In re M.D.B., 757 S.W.2d 415, 417 (Tex. App.–Houston [14th Dist.] 1988, no writ). The court is also not required to give each factor equal weight as long as each is considered. In re J.J., 916 S.W.2d 532, 535 (Tex. App.–Dallas 1995, no writ); In re C.C.G., 805 S.W.2d 10, 15 (Tex. App.–Tyler 1991, writ denied).

In its order, the juvenile court discussed each of the foregoing factors and how they influenced its decision. The court also noted that “[a]fter conducting . . . [a] full investigation, including evidence and argument of counsel, the Court finds that the welfare of the community requires criminal proceedings, because of the seriousness of the offenses and the background of the child and . . . [because] there is probable cause to believe the child committed the offenses . . . .” On appeal, McKaine argues that his background did not require criminal proceedings for the protection of the community’s welfare, but he does not challenge the court’s finding that the seriousness of the offense warranted criminal proceedings. A court does not abuse its discretion by finding the community’s welfare requires transfer due to the seriousness of the crime alone, despite the child’s background. See In re D.D., 938 S.W.2d at 177; In re C.C.G., 805 S.W.2d at 15. Thus, even if we were to sustain McKaine’s challenge regarding his background, his failure to challenge the court’s finding regarding the seriousness of the offense would preclude relief on his sufficiency arguments. Appellant’s first issue is overruled.

B. Admissibility of Evidence at Punishment Phase

In his second issue, McKaine claims that the trial court erred by not allowing his trial counsel to question Amy and Charles on their involvement in drug-related activities prior to the burglary. McKaine’s attorney sought to ask Amy and Charles whether they were drug dealers and whether McKaine and his three companions had stolen cocaine and marihuana from them along with the knife, cigarettes, and money. Before trial, however, the State filed a motion in limine, requesting that the court “order counsel for the defendant not to inquire of any witnesses, mention or allude to . . . any alleged criminal record, activity, or involvement on the part of the . . . victims.” The court granted the motion, and at trial, the testimony was ultimately excluded as irrelevant. See Tex. R. Evid. 401.

A trial court’s decision to admit or exclude evidence is reviewed for abuse of discretion. Green v. State, 934 S.W.2d 92, 101-02 (Tex. Crim. App. 1996); Ford v. State, 26 S.W.3d 669, 672 (Tex. App.–Corpus Christi 2000, no pet.). Under Section 3(a)(1) of Article 37.07 of the Texas Code of Criminal Procedure, the State and defendant may offer evidence during the punishment phase of a trial as to:any matter the court deems relevant to sentencing, including but not limited to the prior criminal record of the defendant, his general reputation, his character, an opinion regarding his character, the circumstances of the offense for which he is being tried, and . . . any other evidence of an extraneous crime or bad act that is shown beyond a reasonable doubt by evidence to have been committed by the defendant or for which he could be held criminally responsible, regardless of whether he has previously been charged with or finally convicted of the crime or act.



Tex. Code Crim. Proc. art. 37.07 § 3(a)(1) (Vernon Supp. 2004) (emphasis added); Mendiola v. State, 21 S.W.3d 282, 284 (Tex. Crim. App. 2000). In Rogers v. State, 991 S.W.2d 263, 265 (Tex. Crim. App. 1999), the court of criminal appeals explained that rule 401 was “helpful” in determining what evidence is “relevant” under article 37.07 section 3(a)(1) but noted that rule 401's definition of “relevant” was not a “perfect fit” in the sentencing context. Tex. Code Crim. Proc. Ann. art. 37.07 § 3(a)(1); Tex. R. Evid. 401. As the court explained in Miller-El v. State, 782 S.W.2d 892, 895-96 (Tex. Crim. App. 1990):

admissibility of evidence at the punishment phase of a non-capital felony offense is a function of policy rather than relevancy. This is so because by and large there are no discreet factual issues at the punishment stage. There are simply no distinct “facts . . . of consequence” that proffered evidence can be said to make more or less likely to exist. Rather, “deciding what punishment to assess is a normative process, not intrinsically factbound.”

(footnotes and citations omitted). Based on this reasoning, the Rogers court concluded, “[W]hat is relevant . . . [is] a question of what is helpful to the jury in determining the appropriate sentence for a particular defendant in a particular case.” Rogers, 991 S.W.2d at 265.

McKaine argues that the trial court abused its discretion by not allowing Amy and Charles to be questioned about their involvement in drug-related activities because such testimony would have developed the circumstances of the offense. See Tex. Code Crim. Proc. Ann. art. 37.07 § 3(a)(1). According to McKaine, the jury may have been less severe with him if it knew the full details of his relationship with the couple. In response, the State argues that the evidence was irrelevant under rule 401 and that, in any event, it was inadmissible under rule 404(a)(2) because it constituted impermissible evidence of the victims’ characters. Tex. R. Evid. 401, 404(a)(2).

We disagree that the excluded evidence was offered as character evidence. The record indicates that McKaine’s trial counsel sought to question Amy and Charles, not to establish their bad characters, but to show that McKaine and his companions did not choose their house at random. The questioning was intended to develop the backdrop against which the offense was committed. According to McKaine’s trial counsel, Amy and Charles were drug dealers and had been supplying drugs to McKaine prior to the offense. The defense’s theory was that McKaine burglarized their home in an attempt to get more drugs.

The court allowed Amy and Charles to be questioned outside the jury’s presence. For her part, Amy denied having any relationship with McKaine. When asked whether illegal drugs were stolen during the burglary, she said she was not aware that any drugs were in her home. Amy also stated that she had never sold marihuana to McKaine. When questioned further, she asserted her Fifth Amendment rights. Similarly, when Charles was questioned outside the jury’s presence, he testified that there were no drugs in his home on the night of the burglary. He also testified that he had no explanation for why his home was singled out by McKaine. When asked if he understood that he could be charged with perjury for lying under oath, Charles asserted his Fifth Amendment rights.

Although the testimony was of only slight probative value, we conclude that it was relevant for purposes of sentencing because it pertained to the circumstances of the offense. See Tex. Code Crim. Proc. Ann. art. 37.07 § 3(a)(1). The trial court erred by excluding it. Having concluded the trial court abused its discretion, we must conduct a harm analysis. See Tex. R. App. P. 44.2. The error in excluding evidence in this case is a non-constitutional error under rule 44.2(b). Tex. R. App. P. 44.2(b). Accordingly, we must disregard the error and affirm the judgment if the error did not affect McKaine’s substantial rights. Id.; see King v. State, 953 S.W.2d 266, 271 (Tex. Crim. App. 1997). A substantial right is affected when the error had a substantial and injurious effect or influence in determining the jury’s verdict. King, 953 S.W.2d at 271. A criminal judgment should not be overturned for non-constitutional error if the appellate court, after examining the record as a whole, has fair assurance that the error did not influence the jury or had but a slight effect. Johnson v. State, 967 S.W.2d 410, 417 (Tex. Crim. App. 1998).

Our review of the record gives us no fair assurance that the error did not influence the jury or that it had “but a slight effect.” See id. The jury could have sentenced McKaine to as little as five years or as much as ninety-nine years imprisonment. See Tex. Penal Code Ann. § 12.32(a) (Vernon 2003). It gave him seventy-five years. The record shows that McKaine had no prior felony adjudications. There was also evidence that McKaine might have suffered from drug addiction. Although both Amy and Charles denied any involvement in drug-related activities, the jury should have been allowed to assess their credibility and demeanor. We cannot tell whether the jury would have considered these circumstances in assessing McKaine’s sentence or whether the testimony would have resulted in a less severe sentence. The error was therefore harmful. See Siverand v. State, 89 S.W.3d 216, 221 (Tex. App.–Corpus Christi 2002, no pet.) (“[I]f the reviewing court is unsure whether the error affected the outcome, the court should treat the error as harmful . . . .”). Appellant’s second issue is sustained.

3. Conclusion

We reverse the portion of the judgment imposing punishment and remand to the trial court for another punishment hearing. See Tex. Code Crim. Proc. Ann. art. 44.29(b) (Vernon Supp. 2004).















_______________________

DORI CONTRERAS GARZA,

Justice



Publish.

Tex.R.App.P. 47.2(b)

Opinion delivered and filed

this the29th day of April, 2004.

Sunday, February 11, 2007

Omitting key facts destroys your credibility when the other side points them out.

Actuary "Ezekial 25:17 - The path of the righteous man is beset on all sides by the inequites of the selfish and the tyranny of evil men. Blessed is he that shepherds the weak from the valley of darkness for he is truly his brother's keeper, and the finder of lost children. And I will strike down upon thee with great vengeance and furious anger those who attempt to poison and destroy my brothers, and you will know my name is the Lord when I lay my vengeance upon thee."

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* "To write clearly and to speak clearly, you first must think clearly." —Elmer Lower, former president of ABC News.
* Read the Rules of Appellate Procedure.
* Mailing the notice of appeal is not the same as filing the notice of appeal.See, e.g., State v. DuPaul, 527 N.W.2d 238, 243 (N.D. 1995).
* Make sure you are appealing something appealable. Not every order or ruling that may be reviewed on appeal is itself appealable.
* Effective March 1, 2003, the criminal appeal period is increased from 10 to 30 days. See, N.D.R.Crim.P. 37 with amendments; N.D.R.App.P. 4 with amendment.
* Notice of appeal in a post-conviction proceeding must be filed within 60 days of service of notice of entry of judgment. If notice of entry is not served, the 60-day appeal period is not triggered. See N.D.R.App.P. 4(d).
* An appeal in a proceeding under the Uniform Juvenile Court Act must be filed within 30 days of entry of the judgment, order, or decree appealed. See N.D.C.C. 27-20-56.
* A cost bond on appeal is now required only if ordered by the district court. . See N.D.R.App.P. 7.
* The standard of review most often determines the outcome of the appeal. Trial judges rarely have abused their discretion. Findings of fact usually aren't clearly erroneous. Most reversals are on questions of law, which are reviewed de novo. (But clearly established precedent is seldom overruled.)
* When your client wants to appeal as a matter of principle, tell the client how much principal it will take.
* Be respectful, but also be self-respectful.
* Seek to persuade, not to show how much you know.
* You serve your client by maintaining your own credibility.
* Omitting key facts destroys your credibility when the other side points them out.
* Acknowledge obvious weaknesses in your case and explain why you should win anyway.
* Tell the Court clearly why you think your position is correct.
* Be a resource to the Court to help it understand the law and the facts.
* Drop the hyperbole!!!
* Cheap shots at the other side will only hurt your case.
* "Civility is not too much to expect in a civilized society's alternative to brute force, stealth, and deception." See Jacobson v. Garaas, 2002 ND 181, ¶ 37, 652 N.W.2d 918.
* Not every lawyer excess is justified by the mantra of zealous representation. See Jacobson v. Garaas, 2002 ND 181, ¶ 23, 652 N.W.2d 918.
* A lawyer is not always protected by following the client's specific directions. See Jacobson v. Garaas, 2002 ND 181, ¶ 23, 652 N.W.2d 918.
* Summary judgment can't be reversed on appeal based on what you wish you had presented in the trial court, only on what was presented as competent evidence in the trial court.
* "Judges are not ferrets."Linrud v. Linrud, 552 N.W.2d 342 (N.D. 1996).
* Justices don't like to have to look for the pony.
* When you discover you are riding a dead horse, the best strategy is to dismount.
* "The best arguments are those that tell us how you believe we can do justice and maintain the integrity of the law at the same time." - former Justice Robert Vogel

The Record

* The appellant assumes the consequences and the risk for the failure to file a complete transcript. See Sabot v. Fargo Women's Health Organization, 500 N.W.2d 889 (N.D. 1993).
* If no verbatim record of the evidence or proceedings at a hearing or trial was made or no transcript is available, the record may be supplemented as provided by rule.See N.D.R.App.P. 10.
* If the transcript contains errors, a motion to correct the record should be made to the trial court. See N.D.R.App.P. 10(h).
* If material considered by the trial court is not in the record, a motion to correct the record should be made to the trial court. See N.D.R.App.P. 10(h).
* The Clerk of the Supreme Court and the Chief Deputy Clerk are lawyers specializing in appealability and Rules of Appellate Procedure.
* Appellate rules are not hoops to jump through, but means to promote fairness and to help the Court do its job.
* The Clerk of the Supreme Court enforces the rules and carries out the directives of the Court.
* Comply with deadlines set by the Supreme Court Clerk's Office.
* Do not ignore correspondence from the Supreme Court Clerk's Office requesting case information or directing specific action.

Stays

* Seek a stay from the trial court before seeking one from the Supreme Court. See N.D.R.App.P. 8(a).
* When seeking a stay from the Supreme Court, include the relevant parts of the record. See N.D.R.App.P. 8(a).
* When seeking a stay from the Supreme Court, include the application made to the trial court and the trial court's denial of the stay. See N.D.R.App.P. 8(a).
* An application for a stay must show the reasons for the relief requested and the facts relied on, and, if the facts are subject to dispute, affidavits or other sworn statements must be included. See N.D.R.App.P. 8(a).
* When seeking a stay from the Supreme Court, discuss the factors established in Cass County Elec. Co-op., Inc. v. Wold Properties, Inc., 253 N.W.2d 323, 327 (N.D. 1977)

Briefs

* Before writing your brief, master the record and the law.
* Oral argument is no substitute for a good brief.
* Raise only important issues. Trivial issues detract from important ones.
* Only "the names and addresses of counsel representing the party on whose behalf the document is filed" are to be listed on the covers of appellate briefs; counsel for other parties are not to be listed. See N.D.R.App.P. 32.
* The Table of Contents should include the text of each issue, not just "Issue I," "Issue II," etc. Use normal capitalization in the Table of Contents.
* Don't type the Statement of Issues in all capital letters. Sentences in all capital letters are hard to read. Use normal capitalization.
* Citations to the law and to the record are counted in the maximum number of words for briefs. See N.D.R.App.P. 28.
* Don't make your brief a mystery. Tell the reader what the case is about right up front. The Statement of the Case should clearly and concisely tell what the case is about in the opening sentence. For example: "This is an appeal from summary judgment of dismissal of a negligence action, arising out of an automobile accident." "A jury found the defendant guilty of manslaughter. The defendant appeals, contending...."
* A long brief should have a summary of the argument.
* As much as possible, avoid referring to parties by "appellant" or "appellee." Instead, use "the designations used in the trial court or in the agency proceedings, or the actual names of parties, or descriptive terms such as: 'the employee,' 'the injured person,' 'the taxpayer,' 'the purchaser.'"
* Generally, shortened names are better than acronyms.
* Statements of the facts should be placed in chronological order, not in the order of testimony.
* Present the facts in an accurate, fair, persuasive manner.
* Don't ignore unfavorable facts. Refer to them in a way that does the least harm.
* State the standard of review for each issue.
* Put citations in the body of the brief, not in footnotes.
* Refer to the appendix and the transcript by page and line number.
* Following each sentence stating a fact, include the record reference. See N.D.R.App.P. 28(e).
* Avoid footnotes. Don't put your citations in footnotes. Never put substantive argument in a footnote.
* The word "clearly" is no substitute for authority or logic.
* Arguing in favor of the position taken in a recent dissent is almost never successful
* Always use the medium-neutral case citation (e.g., 1997 ND 103, ¶ 23) for North Dakota appellate decisions after January 1, 1997. Include a parallel primary N.W.2d citation when it becomes available. Opinions on this website are annotated with the N.W.2d citations when they become available. See N.D.R.Ct.11.6.
* Case citations should always include a specific page or paragraph.
* Include the full text of key statutes.
* Define medical terms in your brief the first time you use them.
* Never use many words when a few will do. A longer brief is not necessarily a better brief.
* Cite only cases you have actually read.
* Long quotations usually are not effective.
* Make sure cases and statutes are cited correctly. Make sure cases cited are still good law.
* Read the cases cited by your opponent.
* Avoid "legalese." Don't use "pursuant to," "hereinafter," "herein."Never use "said" as an adjective or an article .Clear language—not pompous or ponderous language—is most effective.
* The possessive "its" has no apostrophe, just as there is no apostrophe in "his," "hers," "theirs," "yours," and "ours." "It's," with the apostrophe, means "it is." "It's" can be used only when "it is" could be substituted.
* "Good legal writing should not differ, without good reason, from ordinary well-written English."—Richard Wydick, Plain English for Lawyers.
* Omit needless words.
* Long sentences are confusing.
* Use short sentences.
* Limit yourself to one idea per sentence.
* Avoid repetitious arguments.
* "Always use your computer's spell check, and never trust it." —Steve Wilbers, Minneapolis Star Tribune
* "Judges are not like pigs, hunting for truffles buried in briefs." United States v. Dunkel, 927 F.2d 955, 956 (7th Cir. 1991).
* "Error" is a noun."Err" is a verb .A party errs by saying "The trial court did not error . . ."
* "Time period" is redundant.
* "Realtor" is a trademark used by members of the National Association of Realtors. The correct term in legal writing is usually "real estate agent."
* At the end of your brief, state clearly and concisely what specific action you are seeking from the appellate court. For example, if you are the appealing party, it's not enough to ask the court to say the trial court was wrong, you must say what you are asking the appellate court to do about it. See N.D.R.App.P. 28.
* Although there are specific rules about the format of the brief, ease of reading is always the goal. Any combination of font size and line length resulting in an average of more than 65 characters per line is hard to read. Make your brief easy to read. See N.D.R.App.P. 32.
* Briefs should have a binding allowing them to lie open without having to be held down. Justices often have more documents open than they have hands.
* All electronic copies of briefs must contain in a single file all information contained in the paper brief, including cover, table of contents, and certifications, in the same order as in the paper brief. See N.D.R.App.P. 31(b)(1)(C).
* Electronic copies of briefs may include hypertext linking within the brief (for example, from the Table of Contents to the various parts of the brief) and to Internet sources (such as opinions or rules on this website).
* Proofread. Then proofread again.

Appendix

* Only material actually in the trial court record may be included in the appendix. See N.D.R.App.P 30.
* The appendix must be in chronological order (as listed in the trial court docket). See N.D.R.App.P. 30.
* File an appropriate appendix. If the judge's reasoning is in the transcript, include those pages of the transcript. See N.D.R.App.P. 30(a)(2).
* Except for brief excerpts showing the judge's reasoning, district court transcripts filed in electronic form should not be included in the appendix. See N.D.R.App.P. 30(a)(2).
* Only items that have not been included in the appellant's appendix may be included in the appellee's or cross-appellant's appendix. See N.D.R.App.P. 30(b).
* When an appendix item contains multiple parts or attachments, separately list each part or attachment in the table of contents. See N.D.R.App.P. 32.
* Number pages consecutively from the beginning to the end of the appendix. See N.D.R.App.P. 32.
* Don't number blank pages in the appendix. See N.D.R.App.P. 32.
* A defective appendix hurts credibility.
* The appendix may be filed electronically by e-mail or fax. See N.D.Sup.Ct.Admin.Order 14(B)(1)(d).
* An electronically filed appendix is less expensive for the client and helpful to the Court. See N.D.Sup.Ct.Admin.Order 14(B)(1)(d).
* In most cases, an appendix can now be filed for free using e-mail or fax. See N.D.Sup.Ct.Admin.Order 14(B)(1)(d).

Mootness

* Each party has a duty to advise the court if the appeal may have become moot, but the party may argue why the Court should still decide the case. See N.D.R.App.P. 42(c).

Oral argument

* The primary purpose of oral argument is to answer the Court's questions.
* Effective March 1, 2003: "Oral argument may be denied if a party fails to file a brief or if the court, upon examination of the briefs and record, decides that oral argument is unnecessary." See N.D.R.App.P. 34(a)(2) with amendment.
* Prepare, prepare, prepare. Review the record and your cases and your opponent's cases before oral argument. Check this website for opinions issued since you filed your brief. If you didn't handle the case in the trial court, you are still expected to be familiar with the record.
* Be prepared to discuss each case you cite and each case your opponent cites.
* Start off oral argument on the right foot. The traditional opening is "May it please the court," not "If it please court." In North Dakota, the Supreme Court has a "Chief Justice" and "Justices," not "Associate Justices."
* Usually, it is not helpful at oral argument to spend very much time reiterating the facts.
* Listen carefully to the question and understand it before answering.
* Answer the question when it is asked.
* Don't evade.
* Don't answer a question with a question.
* If you don't know the answer to a question, say so.
* If the premise of a question is wrong, politely say so.
* If a Justice throws you a life preserver, don't bat it away.
* Justices ask hypothetical questions because they are concerned about how the decision in your case may affect other cases. What are the limits of the principle you advocate?
* Remember, the Justice asking the question isn't the only audience for your answer.
* Oral argument is not the time to present a list of cases that could have and should have been in your brief.
* Don't talk faster than the Justices can listen.
* Speak up, but don't shout.
* Stay behind the podium.
* You don't have to use all your time at oral argument.
* Watch the podium time lights.
* When your time is up, your time is up. Stop.
* Don't ask, "May I briefly conclude?"
* Wireless Internet is available in the Supreme Court's Ralph J. Erickstad Courtroom.

Petitions for Rehearing

* Petitions for Rehearing are rarely granted.
* Don't file a petition for rehearing if the real audience is the client.
* Petition for rehearing only when the appellate court has made a glaring error.
* A Petition for Rehearing will not succeed by simply parroting the dissent.
* A Petition for Rehearing merely repeating the argument previously made is pointless. See N.D.R.App.P. 40.
* The most effective Petition for Rehearing will state with particularity the points of law or fact that the Court has in fact overlooked or misapprehended .See N.D.R.App.P. 40.

Administrative Agencies Practice Act

* When an agency requests that the Office of Administrative Hearings designate an Administrative Law Judge to issue a final decision, and appeal is not expressly prohibited, the requesting agency may appeal. See N.D. Securities Commissioner v. Juran and Moody, Inc., 2000 ND 136, 613 N.W.2d 503.
* Under the Administrative Agencies Practice Act, the District Court is not a trial court, but the first level of appellate court. See N.D.C.C. 28-32-19.
* Under the Administrative Agencies Practice Act, the scope of an appeal is limited by the specifications of error filed with the notice of appeal to the District Court. See N.D.C.C. 28-32-19.
* In Administrative Agency Practice Act appeals, material in the agency record contained in the Appendix must be in chronological order. See N.D.R.App.P. 30.
* Under the Administrative Agencies Practice Act, the evidentiary record cannot be supplemented on appeal except upon remand to the agency. See N.D.C.C. 28-32-18.
* In Administrative Agency Practice Act appeals, the standard of review for findings of fact is very deferential: Could a reasoning mind reasonably have determined the findings were proven by the weight of the evidence from the entire record? See Power Fuels, Inc. v. Elkin, 283 N.W.2d 214, 220 (N.D. 1979).
* In Administrative Agency Practice Act appeals, questions of law are fully reviewable, but deference is given to long-standing agency interpretations.

Appellate practice tips are compiled from the "Appellate practice tip of the week" through February 28, 2006.