|
Dr. Malachi Z. York
IN THE
UNITED STATES COURT OF APPEALS
FOR THE ELEVENTH CIRCUIT
______________________________
Appellate Case No. 04-12354
______________________________
UNITED STATES OF AMERICA,
Plaintiff-Appellee,
-vs-
DWIGHT D. YORK,
Defendant-Appellant,
______________________________
Appeal from the United States District Court
for the Middle District of Georgia
Macon Division
______________________________
CORRECTED OPENING BRIEF OF APPELLANT
Attorney Adrian L. Patrick
Attorney for the Appellant
1044 Baxter Street
Athens, Georgia 30606
(706) 546-6631
REDACTED VERSION
United States of America v. Dwight York
Appellate Case NO. 04-12354
CERTIFICATE OF INTERESTED PERSONS
The undersigned counsel of record certifies that the
following individuals have
an interest in the outcome of this case:
Richard S. Moultrie, Assistant U.S. Attorney
Verda Colvin, Assistant U.S. Attorney
Dean S. Daskal, Assistant U.S. Attorney
Maxwell Wood, U.S. Attorney
Honorable C. Ashley Royal, United States District Judge
Honorable Hugh Lawson, United States District Judge
Manubir S. Arora, Defense Attorney
Harry Jean Charles, Defense Attorney
Benjamin A. Davis, Defense Attorney
Edward T.M. Garland, Defense Attorney
Leroy R. Johnson, Defense Attorney
Jonathan Marks, Defense Attorney
Adrian L. Patrick, Defense Attorney
Matthew M. Robinson, Defense Attorney
i
-ii-
Frank A. Rubino, Defense Attorney
Stephanie Thacker, Dept. of Justice
Kathy C. Johnson, Co-defendant
Dwight D. York, Defendant
Identifiable alleged victims exist in the instant matter,
including; (Ha.E),
(Hu.E), (S.E), (K.E.), (K.E.), (M.F.), (K.H.), (R.H), (E.H),(I.J.),
(C.L.), (K.L.),
(Sa.L.), (Sal. L.), (N.L.), (H.M.), (K.M.), (Q.M.), (A.N.),
(D.N.), (S.P.), (A.T.),
(S.T.), (H.W.), (Su.W.), (S.W.).
I hereby certify that, to the best of my knowledge, the
preceding list is a
complete list of all parties having an interest in the
outcome of this case.
By:
Attorney Adrian L. Patrick
-iii-
STATEMENT REGARDING ORAL ARGUMENT
Defendant-Appellant, Malachi Z. York (Dwight York),
respectfully requests
oral argument in this case, as he believes that it would
assist the Court in analyzing
the legal issues raised herein.
-iv-
TABLE OF CONTENTS
CERTIFICATE OF INTERESTED PERSONS . . . . . . . . . . . . .
. . . . . . . . . . . . . . i
STATEMENT REGARDING ORAL ARGUMENT . . . . . . . . . . . . .
. . . . . . . . . iii
TABLE OF CONTENTS . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . iv
TABLE OF CITATIONS . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . vii
STATEMENT OF JURISDICTION . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . xii
STATEMENT OF ISSUES . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . 1
STATEMENT OF THE CASE . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . 2
STATEMENT OF THE FACTS . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . 9
SUMMARY OF ARGUMENTS . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . 14
STANDARD OF REVIEW . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . 13
ARGUMENTS . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . 18
I. The Appellant Was Denied a Fair Trial and Due Process Due
to the Trial
Court’s Denial of His Motion to Sever Disparate Counts . . .
. . . . . . . . . . 18
II. The District Court Erred in Denying Appellant’s Motion
to Dismiss
The Rico Claims (Counts One, Two, And Twelve) . . . . . . .
. . . . . . . . . . . 24
III. The District Court Erred in Denying the Appellant’s
Motion to
Dismiss the Superseding Indictment and Allowing the Jury
Trial to go
Forward on an Indictment that was Returned by a Tainted
Grand
Jury.............30
IV. The District Court Erred
by:........................................................................33
-v-
A. Denying the Appellant’s Motion for Mistrial after the
Government
Exceeded the Scope of the Court Ordered Limitation of the
Rebuttal
Witness’ Testimony
..................................................................................................34
B. Not Allowing the Appellant to Call His Own Rebuttal
Witness to Rebut
the Government’s Rebuttal
Witness............................................................37
V. The Evidence was Insufficient to Prove Beyond a
Reasonable Doubt that the
Appellant Committed the Acts Alleged in Count 1 (1), Count 1
(2), Count 2
(B) (1) Racketeering Act 1, Count 2 (B) (2) Racketeering Act
2, Count 2 (B)
(3) Racketeering Act 3, Count 2 (B) (4) Racketeering Act 4;
Count 3 (A) and
Count 3 (B) Conspiracy, Count 4, Count 5, Count 6, Count 7,
Count 8 -
Transporting Minors in Interstate Commerce to Engage in
Unlawful Sexual
Activity.......................................................................................................40
VI. The District Court Erred by Denying the Appellant’s
Motion to Dismiss
Count 2 Racketeering Act 3 and Count 6 Essentially Ruling
that the
Government could Base a Federal Violation on a Georgia Crime
which was
No Crime at all at the Time of its Alleged
Commission................................47
VII. Post trial Counsel, Jonathan Marks, was Ineffective for
Withdrawing the
Appellant’s Motion for New Trial and Motion for Judgment of
Acquittal
without Properly Informing and Receiving the Express
Permission of the
Appellant.....................................................................................................50
VIII. The District Court’s Denial of New Counsel’s Motion
For Extension
Deprived Appellant of a Fair Trial And Due Process of
Law.......................52
IX. A. Appellant’s Sixth Amendment Right to a Jury Trial was
Denied When He
was Sentenced Based upon Facts Not Reflected in the Jury
Verdict............53
B. Appellant’s Sentence is Void because Appellant was
Sentenced under
Federal Sentencing Guidelines that have been Ruled
Unconstitutional as
Applied in This
Case...................................................................................55
-vi-
X. The Use of the 2002 Version of the Federal Sentencing
Guidelines
Instead of the 1993 Guidelines Violated Ex Post Facto Clause
of the
United States
Constitution...............................................................................56
CONCLUSION . . . . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . .58
CERTIFICATE OF COMPLIANCE . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . 58
CERTIFICATE OF SERVICE . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . 59
TABLE OF CITATIONS
CASES: PAGES
Apprendi v. New Jersey, 530 U.S. 466 (2000) . . . . . . . .
. . . . . . . . . . . . . . . . . . . 54
Bank of Nova Scotia v. United States, 487 U.S. 250 (1988)
..................................31
Blakely v. Washington, 124 S. Ct. 2531 (2004) . . . . . . .
. . . . . . . . . . . . . . . . . . . 54
Dysert v. United States Sec'y of Labor, 105 F.3d 607 (11th
Cir. 1997) . . . . . . 13,14
Evitts v. Lucey, 469 U.S. 387
(1985)......................................................................50
Glasser v. United States, 315 U.S. 60
(1942).......................................................34,42
Grooms v. Wainwright, 610 F. 2d 344 (5th Circuit
1980...........................................13
In re Winship, 397 U.S. 358, 364 (1970) . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . 42
Lusk v. Dugger, 890 F.2d 332 (11th Circuit
1994)....................................................14
Nutter v. White, 39 F.3d 1154 (11th Circuit
1994).................................................34,42
Phagan v. State, 268 Ga. 272
(1997).......................................................................49
Rinaldi v. United States, 434 U.S. 22, 98 S.Ct. 81 (1977) .
. . . . . . . . . . . . . . . . . 18
Sullivan v. Wainwright, 695 F.2d 1306 (11th Circuit
1983).......................................13
United States v. Abdi 744 F. 2d 1500 (11th Circuit
1984).......................................37
United States v. Andrews, 953 F.2d 1312 (11th Circuit
1992)................................51
United States v. Bergouignan, 764 F.2d 1503, 1508 (11th
Cir.1985) . . . . . . . . . . 53
United States v. Booker, Supreme Court Case No: 04-104 . . .
. . . . . . . . . . . 55,56
United States v. Brown, 53 F.3d (11th Circuit
1995)...............................................51
-viii-
United States v. Caldwell, 594 F. Supp. 548 (N.D. Ga. 1984)
. . . . . . . . . . . . . . . 23
United States v. Camacho, 40 F. 3d 349 (11th Circuit
1994)....................................51
United States v. Coleman, 22 F.3d 126, 133 (7th Cir. 1994) .
. . . . . . . . . . . . . . . . 21
United States v. Fanfan, Supreme Court Case No:
04-105....................................18,56
United States v Forsythe , 429 F. Supp 715(WD Pa. 1977) . .
. . . . . . . . . . . . . . . 25
United States v. Hersh, 297 F.3d 1233 (11th Cir. 2002) . . .
. . . . . . . . . . . . . . 21,22
United States v. Jones, 32 F.2d 1512 (11th Circuit
1994).........................................51
United States v. Knox, 396 U.S. 77, 83, 84 n.7 (1969) . . .
. . . . . . . . . . . . . . . . . . 26
United States v. Lane, 474 U.S. 438, 446 n. 8 (1986) . . . .
. . . . . . . . . . . . . . . . . . 21
United States v. Levin, 973 F.2d 463 (6th Cir. 1992) . . . .
. . . . . . . . . . . . . . . . . . 26
United States v. Nabors, 45 F.3d 238, 240 (8th Cir. 1995) .
. . . . . . . . . . . . . . . . . 26
United States v. Patti, 337 F.3d 1317 (11th Cir. 2003) . . .
. . . . . . . . . . . . . . . . . . 14
United States v. Peay, 972 F.2d 71(4th Circuit
1992).............................................40
United States v. Puche, 350 F.3d 1137 (11th Cir. 2003) . . .
. . . . . . . . . . . . . . 13,14
United States v. Sigma Intern, Inc. 244 F.3d 841, 852 (11th
Circuit 2001)..............32
United States v. Thetford, 676 F.2d 170, 182 (5th Circuit
1982).............................40
United States v. To, 144 F.3d 737 (11th Circuit
1998)............................................14,42
United States v. Verderame, 51 F.3d 249, 252 (11th Cir.1995)
. . . . . . . . . . . . . . . 53
United States v. Waldon, 363 F.3d 1103, 1108 (11th Cir.
2004) . . . . . . . . . . . . . . 33
-ix-
United States v. Walser, 3 F.3d 380, 385 (11th Cir. 1993) .
. . . . . . . . . . . . . . . . . 21
United States v. Weaver, 905 F.2d 1466 (11th Cir. 1990) . .
. . . . . . . . . . . . . . 20,22
United States v. Wright, 63 F.3d 1067, 1071 (11th Cir.1995)
. . . . . . . . . . . . . . . . 14
United States v. Zemater, 501 F.2d 540 (7th Circuit
1974).......................................46
STATUTES:
Georgia Criminal Code 1664 &
1665....................................................................49
Fed. R. Crim. P. 8(a) . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . 14,20,21,23
Fed.R.Crim P. 11(e)(1) . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . 14, 35, 36, 37
Fed. R. Crim. P. 14 . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . 14,20,22,23
Fed. R. Crim. P.
21................................................................................................22
U.S.S.G. § 1B1.3 . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . 43
U.S.S.G. § 2A1.3 . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . 50
U.S.S.G. § 2F1.1(b)(1) . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . 55
U.S.S.G. § 2G1.1 . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . 50
18 U.S.C. §§ 1961 and 1962 . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . 27
18 U.S.C. § 2253 . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . 19
18 U.S.C. Section
2421....................................................................................41,47
-x-
18 U.S.C. Section 2423(a) . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . 41,42,47,48,49
18 U.S.C. § 3282 . . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . . . 19
18 U.S.C. Sec.
3283..............................................................................................24
18 U.S.C. §§ 3663 and 3663A . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . 19, 54, 55, 56
31 U.S.C. § 5324(a)(3) . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . . . . . . 19
42 U.S.C. § 2000bb . . . . . . . . . . . . . . . . . . . . .
. . . . . . . . . . . . . . . . . . . . . 51, 52, 53
STATEMENT OF JURISDICTION
Appellant asserts that this Honorable Court has jurisdiction
to hear this
matter as it arises from a final adjudication of all claims
and on the merits by a
United States District Court, pursuant to 28 United States
Code § 1291.
1
STATEMENT OF ISSUES
I. The Appellant Was Denied a Fair Trial and Due Process Due
to the Trial
Court’s Denial of His Motion to Sever Disparate Counts
II. The District Court Erred in Denying Appellant’s Motion
to Dismiss The
Rico Claims (Counts One, Two, And Twelve)
III. The District Court Erred in Denying the Appellant’s
Motion to Dismiss
the Superseding Indictment and Allowing the Jury Trial to go
Forward
on an Indictment that was Returned by a Tainted Grand Jury
IV. The District Court Erred by:
A. Denying the Appellant’s Motion for Mistrial after the
Government Exceeded
the Scope of the Court Ordered Limitation of the Rebuttal
Witness’ Testimony
B. Not Allowing the Appellant to Call His Own Rebuttal
Witness to Rebut the
Government’s Rebuttal Witness
V. The Evidence was Insufficient to Prove Beyond a
Reasonable Doubt that the
Appellant Committed the Acts Alleged in Count 1 (1), Count 1
(2), Count 2 (B)
(1) Racketeering Act 1, Count 2 (B) (2) Racketeering Act 2,
Count 2 (B) (3)
Racketeering Act 3, Count 2 (B) (4) Racketeering Act 4;
Count 3 (A) and
Count 3 (B) Conspiracy, Count 4, Count 5, Count 6, Count 7,
Count 8 -
Transporting Minors in Interstate Commerce to Engage in
Unlawful Sexual
Activity
VI. The District Court Erred by Denying the Appellant’s
Motion to Dismiss Count
2 Racketeering Act 3 and Count 6 Essentially Ruling that the
Government
could Base a Federal Violation on a Georgia Crime which was
No Crime at all
at the Time of its Alleged Commission
VII. Post trial Counsel, Jonathan Marks, was Ineffective for
Withdrawing the
Appellant’s Motion for New Trial and Motion for Judgment of
Acquittal
without Properly Informing and Receiving the Express
Permission of the
Appellant
VIII. The District Court’s Denial of New Counsel’s Motion
For Extension Deprived
Appellant of a Fair Trial And Due Process of Law
2
IX. A. Appellant’s Sixth Amendment Right to a Jury Trial was
Denied When He
was Sentenced Based upon Facts Not Reflected in the Jury
Verdict
B. Appellant’s Sentence is Void because Appellant was
Sentenced under
Federal Sentencing Guidelines that have been Ruled
Unconstitutional as
Applied in This Case
X. The Use of the 2002 Version of the Federal Sentencing
Guidelines
Instead of the 1993 Guidelines Violated Ex Post Facto Clause
of the
United States Constitution
STATEMENT OF THE CASE
The instant appeal involves the criminal case charged
against the Appellant,
Malachi Z. York. (The government alleges his name is Dwight
D. York [Doc. 158])
This case arose in the Middle District of Georgia. As
discussed below, York was
convicted in the district court and is currently
incarcerated in federal prison.
A. Course of Proceedings and Disposition in the Court Below.
York initially was indicted with a co-defendant in the
Middle District of
Georgia, on various counts of interstate transport and
interstate travel for purposes of
unlawful sexual activity with juveniles. [Doc. 1] The
government and York thereafter
submitted a superseding information and a proposed plea
agreement that called for a
specified term of imprisonment, based on one count of
interstate transport for
purposes of unlawful sexual activity and one count of
structuring a financial
3
transaction. [Doc. 78 - 86]. The first trial judge rejected
the plea agreement, and later
recused himself on defense motion because he arguably had
become entangled with
the plea negotiations. [Doc. 107, 119, 121, 124, 133].
Thereafter, York filed a motion
for change of venue and a motion for a psychological exam,
both of which were
granted. (Doc. 108, 109; Motions). In the meantime, York was
sent for a
psychological examination.[Doc. 112, 131, 132, 135]. York
thereafter withdrew his
guilty plea and the parties made ready for trial. [Doc. 138,
145].
Subsequently, the Grand Jury returned a superseding
indictment that formed the
basis for trial. [Doc. 158]. Count One of the superseding
indictment charged a RICO
conspiracy (18 U.S.C.§ 1962(d)) to violate 18 U.S.C.§
1962(c), alleging that the
coconspirators would conduct or participate in the conduct
of the affairs of an
enterprise through a pattern of racketeering activity. [Doc.
158, pp. 1-23]. The alleged
racketeering activity that was the object of the conspiracy
consisted of alleged
multiple acts of (1) transporting minors in interstate
commerce with the intent that the
minors engage in unlawful sexual activity for which a person
can be charged with a
criminal offense, such as child molestation prohibited by
the Georgia Code, in
violation of 18 U.S.C.§ 2423(a); (2) traveling in interstate
commerce for the purpose
of engaging in unlawful sexual activity with minors, in
violation of 18 U.S.C.§
2423(b); and (3) structuring cash transactions to evade the
reporting requirements of
4
18 U.S.C.§ 5313(a) and regulations thereunder, by allegedly
making multiple deposits
of United States currency in amounts less than $10,000, in
transactions with an FDICinsured
institution, contrary to 31 U.S.C.§ 5324(a)(3). [Doc. 158,
pp.2-3].
Count Two charged a substantive RICO offense (18U.S.C.§
1962(c)) based on
seven alleged specific racketeering acts, i.e. four alleged
episodes of transporting
minors in interstate commerce for unlawful sexual activity
and three alleged episodes
of structuring cash transactions to evade the currency
transaction reporting
requirements. [Doc. 158, pp. 23-29]. These four alleged
episodes of interstate
transport were set forth again as Counts Four, Five, Six,
and Eight of the superseding
indictment. [Doc. 158, pp. 31-34]. The three alleged
episodes of structuring were set
forth again as Counts Nine, Ten, and Eleven of the
superseding indictment. [Doc. 158,
pp. 34-37].
Count Three charged an alleged conspiracy per 18 U.S.C. §
371, the objects of
which paralleled the predicate offenses set forth in Count
One, i.e. transporting minors
in interstate commerce with the intent that the minors
engage in unlawful sexual
activity, traveling in interstate commerce for the purpose
of engaging in unlawful
sexual activity with minors, and structuring cash
transactions to evade currency
transactions reporting requirements. [Doc. 158, pp.29-30].
5
Counts Four, Five, Six, and Eight charged specific alleged
acts of transporting
minors in interstate commerce with the intent that the
minors engage in unlawful
sexual activity for which a person can be charged with a
criminal offense, such as
child molestation prohibited by Georgia law. [Doc. 158, pp.
31-34].
The alleged minor victim of Count Four was “I.J.” Count Five
referred to
“K.H.,” “A.N.,” and “D.N.” Count Six involved “A.T.” Count
Eight involved
“A.N.,” and “D.N.” Count Six involved “A.T.” Count Eight
involved “A.N.,” “K.L.,”
and “S.W.” (A sealed unredacted version of this brief is
being filed
contemporaneously with this brief, which will further
identify these alleged victims.)
Counts Four, Five, Six, and Eight mirrored the violations of
18 U.S.C. Section 2423
(a) that were set forth as predicate offenses in Count Two
of the indictment. [Doc.
158, pp. 24-26].
In parallel to Count Eight, Count Seven charged specifically
that York traveled
in interstate commerce to Orange County, Florida in 1996 for
the purpose of engaging
in an unlawful sexual act. [Doc. 158, p. 33].
Counts Nine, Ten, and Eleven charged the structuring of cash
transactions.
[Doc. 158, pp. 34-37]. Counts Nine, Ten, and Eleven mirrored
the structuring
violations that were set forth as predicate offenses in
Count Two of the indictment.
[Doc. 158, pp. 26-29]. Count Twelve set forth the RICO
forfeiture allegations, while
6
the forfeiture allegations of Count Thirteen were based on
unlawful transport of
minors. [Doc. 158, pp. 37-48].
On October 28, 2003, based on concerns about extensive
pretrial publicity
including reports about the prior submission of York’s
guilty plea, the trial judge
ordered that the venue be moved to the Brunswick Division of
the Southern District
of Georgia. [Doc. 146].
On December 8, 2003, York filed a Motion to Dismiss Counts 1
and 2 [Doc.
161 and a Motion to Separate Count 3 [Doc. 162]. On December
12, 2004 [Doc. 174]
York filed a Motion to Dismiss Indictment Based on the
Court’s Change of Venue
Order. On December 16, 2004, York filed a Motion to Dismiss
Counts VI and Count
II Racketeering Act 3 [Doc. 175]. The court denied all of
these Motions.
During the course of the trial Defense Counsel made a Motion
for mistrial based
on the government eliciting testimony contrary to a court
ruling limiting the testimony
of “M.F.” [Trial Transcript hereinafter referred to as
“T.T.” Volume 13 P. 3447 Line
4 - P. 3448 Line 5].
At the close of the government’s case in chief, defense
counsel moved generally
and specifically for a directed verdict based on
insufficient evidence. [“T.T.” Vol. 9,
p. 2374]. Counsel also offered specific remarks about
particular aspects of the
government’s case that were insufficient. [T. T. Vol. 9, pp.
2374-83]. Defense
7
Counsel later properly named the Motion as a Motion seeking
Judgment of Acquittal
based on insufficient evidence, and then land additional
grounds and clarity for the
Motion. [T. T. Vol. 10, p. 2602, T.T. Vol. 12, pp. 3165 -
68.]. The trial judge took the
verbal motions under advisement. [T. T. Vol. 9, p. 2382].
Near the close of the
evidence in the guilt phase, the trial judge declared that
York’s motions were
overruled and the case would go to the jury. [T. T. Vol. 12
p. 3387]. York did renew
his motion for judgment of acquittal at the close of all the
evidence by written motion
for judgment of acquittal [Doc. 243] filed on January 30,
2004. Additionally, York
filed a Motion for New Trial [Doc. 242] on January 30, 2004.
After fourteen days of “actual” trial, the jury returned
guilty verdicts on all
counts of the superseding indictment but Count Eight [Doc.
234] and Count 12
[Doc.235]. In regard to Count Two, the jury entered findings
that each of the seven
predicate offense had been proven beyond a reasonable doubt.
[Doc. 234, pp. 2-3; T.
T. Vol. 14, p. 3735]. Shortly thereafter, the jury found
that the properties at both 404
Shady Road, Eatonton, Georgia and 155 Mansfield Court,
Athens, Georgia were not
acquired or maintained through a pattern of racketeering
activity per Count Two, but
instead found that both properties were used to promote the
allegations in Counts Four
through Eight. [Doc. 235]. York filed timely motions for a
Judgment of Acquittal and
a New Trial. [Doc. 242, 243]. York thereafter submitted
another new trial motion on
8
the basis of alleged newly discovered evidence. [Doc. 294,
298]. In the course of a
hearing about the last motion for a new trial, which was
denied, the initial post-trial
motions were withdrawn by York’s lead counsel, Jonathan
Marks. [Transcript of
August 13, 2004, pp. 3, and 22-23]. On August 13, 2004, York
filed a Motion to
Withdraw Jonathan Marks as Attorney due to Ineffective
Assistance of Counsel. [Doc.
345]. Additionally, on August 17, 2004, York filed a Motion
for Hearing to Reinstate
and/or Reconsider New Trial “Initial” Motion, Judgment of
Acquittal, to Amend All
New Trial Motions of the Defendant Due to Ineffective
Assistance of Counsel and
Unauthorized Withdrawal of Defendant’s Motions, etc. [Doc.
348]. The Court ruled
that these motions were procedurally improper because York
filed them “pro se.”
[Doc. 354]. On November 9, 2004, the Appellant’s, new lead
appellate counsel,
Adrian L. Patrick, filed Amended Motions to Reinstate Motion
for New Trial and
Judgment of Acquittal [Doc. 363]. This Motions are still
pending. Additionally,
counsel filed a Motion in this Court requesting that the
time to file this appeal be
tolled until the District Court makes a decision on this
aforementioned issue [
Appellate Court Docket Sheet].
In the meantime, York came forward for sentencing.
[Transcript of sentencing
on April 22, 2004; transcript of Restitution Hearing on
April 23, 2004]. The trial
9
judge imposed a total imprisonment sentence of 1,620 months.
[Doc. 285 pp 3, 297].
York promptly filed a notice of appeal. [Doc. 299].
B. STATEMENT OF THE FACTS
The instant charges arose out of an investigation conducted
by Putnam
County, Georgia law enforcement officials, the Federal
Bureau of Investigation
(FBI), and the Internal Revenue Service (IRS). York was the
alleged leader of a
religious organization, initially named the Nubian Islamic
Hebrews, that
represented both a religious ministry and a Native American
tribe. The current
name of the organization is the United Nation of Nuwaubian
Moors, replacing the
group title Yamassee Native American Moors of the Creek
Nation. Allegedly,
York is viewed as a prophet from a spiritual aspect as well
as an acknowledged
leader of the Nuwaubians from both a Native-American tribal
standpoint and a
religious ministry perspective. (Doc.304, T.T., Vol.VI at
1733; Doc.305, T.T.,
Vol.VII at 1880-1881).
In 1998, law enforcement officials allegedly started
receiving anonymous
letters and e-mails stating that sexual misconduct was
occurring on York’s
property in Eatonton, Georgia. (Doc.301, T.T., Vol.III, at
806-808). By 2001,
local and federal law enforcement officials were allegedly
receiving telephone calls
10
alleging sexual misconduct on York’s property, including
sexual abuse and
molestation of children.
Some of the community lived on land in Eatonton, Georgia.
(Doc.302, T.T.,
Vol. IV at 1148). On the land, it is alleged that York had
many wives, as endorsed
by his faith and culture, with Kathy Johnson being the
“main” wife. (Doc.300,
T.T., Vol.II at 424). Allegedly, children were taught to
obey York and to refer to
York as Baba (father), Imam (leader), and Isa (Jesus).
(Doc.300, T.T., Vol.II at
421-22; Doc. 301, T.T., Vol.III at 827-28). Children
received home schooling on
the land. (Doc.300, T.T., Vol.II at 430; Doc. 301, T.T.,
Vol.III at 823). The
community insured food, clothing, and living space
distribution on the land.
(Doc.301, T.T., Vol.III at 813).
York taught through web sites, newsletters, and a chain of
stores to sell
teachings, memberships, publications, and other merchandise.
(Doc.304, T.T.,
Vol.VI at 1610-1611, 1617-1618, 1620). Weekly ceremonies
were also held on the
Eatonton land, allegedly generating weekly cash income of
approximately $4,000.
York also hosted an annual week-long “Savior’s Day Party.”
(Doc.304, T.T.,
Vol.VI at 1641). In 1999, this event allegedly raised
$250,000 and in 2000 the
event allegedly raised $278,000. (Doc.304, T.T., Vol.VI at
1642).
11
Weekly income from the organization’s sale of goods was
prepared for
deposit after the alleged removal of large denomination
bills, which were kept on
hand on the land by York. (Doc.304, T.T., Vol.VI at
1619-1620). The allegation
by the government was that no more than $9,000 was to be
deposited into any
single account at a time. (Doc.304, T.T., Vol.VI at 1632).
Allegedly, no cash
deposit was to exceed $10,000. Allegedly, York instructed
others that current
reporting paperwork was not to be filled out on any cash
deposit. (Id). Allegedly,
several times, a community member left the bank without
making a deposit when
instructed by the bank teller that a form would have to be
completed. (Doc.303,
T.T., Vol.V at 1390-1392).
One bank, with an overzealous bank teller (inference), with
which York had
regular dealings filed several suspicious activity reports
(SARs) and currency
transaction reports (CTRs) regarding York’s financial
dealings. (Doc.303, T.T.,
Vol.V at 1393-1396). The FBI obtained these reports,
learning that on 41 separate
occasions, multiple deposits totaling more than $10,000 were
made to one or more
of York’s bank accounts. At trial, the government presented
evidence that
allegedly showed that deposits made on September 29 and 30,
1999; October 6 and
8, 1999; and April 5 and 11, 2000 were structured to obviate
currency reporting
requirements. (Doc.303, T.T., Vol.V at 1399-1400, 1401-1402,
1402-1403).
12
Aside from the financial irregularities alleged to have
occurred in this case,
allegations of sexual abuse of minors by York were also
raised. According to the
government’s allegations, previously molested younger
children were employed to
bring new children to York once they had gotten older.
(Doc.304, T.T., Vol. VI at
1568). Allegedly, children refusing York’s advances were
ignored, not fed well,
and not allowed to go outside and play. (Doc.303, T.T.,
Vol.V at 1321; Doc.305,
T.T., Vol.VII at 1830). Allegedly, the children were told
that the sexual activity
was instructional as well as part of an ancient Sudanese
ritual, assisting in
preparing the child for marriage. (Doc.301, T.T., Vol.III at
847, 853-854;
Doc.304, T.T., Vol. VI at 1552).
Notably, some of the government’s witnesses denied being
molested.
(Doc.305, T.T., Vol.VII at 1908). Other individuals
presented evidence of
allegedly being victimized at the Eatonton compound as part
of the religious
ministry of York. (Doc.305, T.T., Vol.VII at 1818-1827,
1830).
After the trial, another alleged victim, in a sworn
affidavit stated that her
testimony at trial had been fabricated. (Doc.294, Motion,
Affidavit at ¶ 1-3). The
individual swore that the allegations raised against York
were coerced from Jacob
York, York’s son, who blamed York for the premature death of
his mother.
13
(Doc.294, Motion, Affidavit at ¶ 3). Nevertheless, the Court
discounted the
recantation and denied motions for a new trial.
STANDARDS OF REVIEW
I. The denial of a motion to sever is reviewed, in a general
standard, for abuse
of discretion. United States v. Bennett, 368 F.3d 1343 (11th
Cir. 2004)
II/III. This court reviews the district court's denial of a
defendant's motion to
dismiss an indictment under an abuse of discretion standard.
United States v.
Waldon, 363 F.3d 1103, 1108 (11th Cir. 2004). The denial of
a motion to
dismiss, when based upon a district court's findings of
fact, are reviewed for
clear error. United States v. Puche, 350 F.3d 1137 (11th
Cir. 2003). The
proper interpretation of a statute, however, is a question
of law that is
reviewed de novo. Dysert v. United States Sec'y of Labor,
105 F.3d 607
(11th Cir. 1997).
IV (A): A Reviewing a decision made on a motion for
mistrial. The Court
looks for a manifest necessity by examining the entire
record in the case
without limiting itself to the actual findings of the trial
court. Grooms v.
Wainwright, 610 f.2d 344 (5th Circuit 1980). Abdi asks that
we apply the
clearly erroneous standard of review to the findings of the
district court. But
the district court made no findings of fact in the case;
rather it performed the
same function as this court, reviewing the record and
applying the law to the
facts. Accordingly, we subject the district court’s
decisions to plenary
review. Cf. Sullivan v. Wainwright, 695 f.2d 1306 (11th
Circuit 1983).
IV (B): The reopening of a criminal case after the close of
evidence is within
the discretion of the District court and the court reviews
the District court’s
decision to reopen for abuse of discretion. United States v.
Peay 972 F.2d 71
(4th Circuit 1992).
V. Whether the evidence is sufficient to sustain a
defendant’s conviction is a
question of law which the appellate court reviews de novo.
United States v.
To, 144 F.3d 737 (11th Circuit 1998).
14
VI. This court reviews the district court's denial of a
defendant's motion to
dismiss an indictment under an abuse of discretion standard.
United States v.
Waldon, 363 F.3d 1103, 1108 (11th Cir. 2004). The denial of
a motion to
dismiss, when based upon a district court's findings of
fact, are reviewed for
clear error. United States v. Puche, 350 F.3d 1137 (11th
Cir. 2003). The
proper interpretation of a statute, however, is a question
of law that is
reviewed de novo. Dysert v. United States Sec'y of Labor,
105 F.3d 607
(11th Cir. 1997).
VII. An ineffective assistance of Counsel claim, which
presents a mixed question
of law and fact, is subject to plenary review. Lusk v.
Dugger, 890 F.2d 332
(11th Circuit 1994).
VIII. The Court reviews the disposition of requests for
trial continuances for abuse
of discretion. See United States v. Wright, 63 F.3d 1067,
1071 (11th
Cir.1995).
IX/X. A district court's application of the sentencing
guidelines is reviewed de
novo, and its findings of fact for clear error. United
States v. Patti, 337 F.3d
1317 (11th Cir. 2003).
SUMMARY OF THE ARGUMENTS
I. The lower court erred in ignoring the dictates of Rules
8(a) and 14 of the
Federal Rules of Criminal Procedure by misjoining distinct
and disparate
counts under the umbrella of one superseding indictment,
this calls for
dismissal.
II. The District court committed reversible error when it
denied York’s motion
to dismiss the RICO claims of the indictment. As a matter of
law, the
15
provisions of the criminal RICO statutes were not designed
for the isolated
criminal acts of a single clergy member in a religious
organization; thus, the
RICO charge should have been dismissed.
III. On October 28, 2003, the District court issued an Order
the granting the
Defendant’s Request for Change of Venue stating that due to
the negative
pre-trial publicity in that circuit “. . .the Defendant
could not receive a fair
trial.” On November 21, 2003, subsequent to this ruling, a
grand jury
selected from this condemned jury pool returned the
superseding indictment
that the Appellant was found guilty on. Therefore, this
indictment should
have been dismissed.
IV. (A) The court allowed the re-opening of the government’s
case, but with a
strict limitation that she government could only state that
the witness was
molested, with no details. The government violated this by
soliciting details.
The Appellant moved for a mistrial and the Court denied the
motion. (B)
The court did not allow the Appellant to put “S.W.” on the
stand to rebut
what the government’s rebuttal witness, “M.F.”. Thus, the
conviction
should be vacated.
V. In relation to Count 1 (1), Count 1 (2), Count 2 (B) (1)
Racketeering Act 1,
Count 2 (B) (2) Racketeering Act 2, Count 2 (B) (3)
Racketeering Act 3,
16
Count 2 (B) (4) Racketeering Act 4; Count 3 (A) and Count 3
(B)
Conspiracy and Counts 4, 5, 6, 7, and 8 - Transporting
Minors in Interstate
Commerce for Unlawful Sexual Activity - The government
failed to prove
beyond a reasonable doubt all of the necessary elements of
these crimes:
specifically the unlawful sexual activity and the purpose
elements. There
was absolutely no evidence presented to prove that the
travel in interstate
commerce was unlawful, no State law was put into evidence
during the
State’s presentation of their case and there was
insufficient or no evidence
that the purpose of the interstate travel was for sex with
minors. Thus, the
conviction should be reversed.
VI. “A.T.”, the individual in Count 6 and Count 2
Racketeering Act 3, was 14
years of age at the time the alleged sexual act occurred;
thus, as indicted this
would not be a crime per Georgia law. Thus, this conviction
should be
reversed.
VII. The post-trial Counsel, Jonathan Marks, was ineffective
because he
withdrew the Appellant’s Motion for Judgment of Acquittal
and Motion for
New Trial without the consent of the Appellant and with no
sound legal
basis. This has a negative and adverse impact on his
appellate rights,
including but not limited to the ability of the Appellant to
challenge the
17
sufficiency and other relevant issues. No reasonably
objective lawyer would
have withdrawn the Motions because there was no rationale
basis.
VIII. On December 30, 2003, six days before trial, the court
permitted previous
lead counsel to withdraw from the case; thereby, leaving new
counsel Adrian
L. Patrick, as lead counsel with 6 days to prepare. In
attempting to review
the 20 months of activity in the case, including,
indictments, superseding
indictments, discovery information, motions, and court
orders; new counsel
requested an extension in the trial date so that he could
adequately prepare
for trial. The district court refused and trial proceeded as
planned. The
court’s failure to grant an extension, given the
circumstances, deprived York
of his right to counsel, due process and a fair trial.
IX. A. After York’s conviction at trial, the district court
improperly relied upon
the United States Sentencing Guidelines to determine York’s
punishment.
The use of the Guidelines served to increase York’s
punishment based on
facts that were never submitted to a jury for proof beyond a
reasonable
doubt. York was denied his Sixth Amendment right to a jury
trial when the
district court took these steps and increased his punishment
based on facts
beyond what was reflected in the jury verdict. Blakely v.
Washington, 124
S. Ct. 2531 (2004).
18
B. The recent Supreme Court decisions in U.S. v. Booker,
Supreme Court
Case No.: 04-104 and U.S. v. Fanfan, Supreme Court Case No:
04-105
affirmed the Blakely decision and essentially stated that
the sentencing
guidelines are unconstitutional and that the invalid parts
can be excised and
the remainder should be advisory, but not mandatory.
X. The use the most recent version of the Sentencing
Guidelines at York’s
sentencing violates Ex Post Facto. York’s punishment was
increased based
on the use of the most recent version of the Guidelines
instead of the version
in effect at the time York committed the charged offenses.
Therefore, he
must receive a new sentencing so that the court may employ
the appropriate
version of the Guidelines.
ARGUMENT
I. Appellant Was Denied a Fair Trial and Due Process Due to
the
Trial Court’s Denial of His Motion to Sever Disparate
Counts.
Part of the judiciary’s structural integrity is the
limitations on the
government from manipulating charging instruments so as to
circumvent
jurisdiction. See, Rinaldi v. United States, 434 U.S. 22, 98
S.Ct. 81 (1977). In the
case below, the government used all of its vast resources to
bring federal charges
against York notwithstanding the challenges of the
applicable statutes of
limitations. Specifically, York was originally indicted on
May 2, 2002 with four
19
counts of interstate transport of minors for unlawful sexual
activity in violation of
18 U.S.C. 2423(a) (hereinafter referred to generally as
“Mann Act violations”).
(Doc.1, Indictment) However, the government recognized
serious problems with
this indictment in light of the five year statute of
limitations for the application of
these charges. See, 18 U.S.C. § 3282 As reflected in each of
the charging
instruments, most of the allegations against York related to
events occurring in
1988 through 1994. A superseding indictment was returned
against York on
January 23, 2003, re-focusing the allegations of Mann Act
violations and adding a
criminal forfeiture claim. (Doc. 78, Superceding
Information) This information
was returned in anticipation of a plea agreement; however,
the plea agreement
dissolved due to no fought of the Appellant. Subsequently,
the final superseding
indictment against York was returned.. (Doc. 158,
Superseding Indictment) This
final indictment again attempted to address the government’s
challenge of charging
York with old, dated, and stale allegations of Mann Act
violations (18 U.S.C.
2253) by creating a hazy aggregation of Mann Act claims,
claims of improperly
structuring legal cash deposits in violation of 31 U.S.C. §
5324(a)(3), conspiracy
claims, and racketeering claims based upon the belief that a
recognized church
ministry and Native American tribe constitutes an enterprise
for illegal
racketeering akin to a drug cartel or an organized crime
syndicate. On December
20
8, 2003, York moved to separate Count 3 of the 2nd
Superseding Indictment
(conspiracy to violate the Mann Act) and to sever the wholly
unrelated financial
reporting allegations. (Contemporaneously, York also sought
dismissal of the
RICO claims, a matter of further District Court error
discussed below.) It is clear
from the pleadings that the government joined together two
independent and
unrelated claims against York: first, that York sought to
transport minors across
state lines for the purpose of engaging in unlawful sexual
activity sometime in the
distant future, and second, that York engaged in improper
structuring of legal cash
deposits to circumvent required administrative currency
reporting regulations.
Such a joinder offends due process and as importantly runs
contrary to the Federal
Rules of Criminal Procedure. Rule 8(a) allows: "two or more
offenses [to] be
charged in the same indictment . . . in a separate count for
each offense if the
offenses charged . . . are of the same or similar character
or are based on the same
act or transaction or on two or more acts or transactions
connected together or
constituting parts of a common scheme or plan." Fed. R.
Crim. P. 8(a). See, United
States v. Weaver, 905 F.2d 1466 (11th Cir. 1990).
The underlying principles of the constitutionally required
indictment process
are founded in the bedrock guarantee of due process.
Disparate claims against a
defendant, joined under the umbrella of one indictment, are
susceptible to
severance under Federal Rules of Criminal Procedure, Rules
8(a) and 14, most
notably when the government’s joinder of such claims
prejudices the defendants.
The clear basis for the severance of dissimilar claims
fairness and due process. In
fact, the Supreme Court has held that “misjoinder would rise
to the level of a
constitutional violation only if it results in prejudice so
great as to deny a defendant
his Fifth Amendment right to a fair trial.”
21
United States v. Lane, 474 U.S. 438, 446 n. 8 (1986). In
reviewing the propriety of
whether separate charges were properly joined, this Court,
in United States v.
Hersh, 297 F.3d 1233 (11th Cir. 2002), outlined a two-step
analysis for any
appellate court to use in determining whether separate
charges were properly tried
at the same time. First, the appellate court should review
de novo whether the
initial joinder of charges was proper under Fed. R. Crim. P.
8(a). Second, the
appellate court must determine whether the district court
abused its discretion
under Fed. R. Crim. P. 14 by denying a motion to sever. Case
law is clear that Fed.
R. Crim. P. 8(a) is not limited to crimes of the "same"
character but also covers
those of "similar" character, which means "nearly
corresponding; resembling in
many respects; somewhat alike; having a general likeness."
United States v.
Walser, 3 F.3d 380, 385 (11th Cir. 1993). Moreover, when
offenses are joined
under Rule 8(a) by virtue of their "same or similar
character," the offenses need
only be similar in category, not in evidence. See, United
States v. Coleman, 22
F.3d 126, 133 (7th Cir. 1994). In relying on these most
liberal and literal cases
regarding the Rule 8(a), it is illogical to argue, suggest,
or hold, as the lower court
did, that Mann Act violations are similar in category,
evidence, resemblance, or
general likeness to alleged violations of currency reporting
regulations. Such an
argument belies logic for no definition can transform these
disparate allegations
22
into similar ones. Thus, there is no question that the Mann
Act violations were
misjoined with the money structuring offenses. The second
step, under Hersh, is
to apply Federal Rules of Criminal Procedure Rule 14. This
Rule directs that “[i]f
the joinder of offenses . . .in an indictment, an
information, or a consolidation for
trial appears to prejudice a defendant or the government,
the court may order
separate trials of counts, sever the defendants' trials, or
provide any other relief that
justice requires.” The standard for applying this rule is
that an appellate court is
required to reverse a denial of a motion to sever if the
joinder of disparate claims
creates prejudicial error and results in actual prejudice
that had "substantial and
injurious effect or influence in determining the jury's
verdict." United States v.
Weaver, 905 F.2d 1466, 1477 (11th Cir. 1990). There can be
no question that the
joinder of the unrelated charges in the indictment served to
prejudice York. Not
only does this joinder obfuscate statute of limitations
issues relative to Mann act
claims, it clearly influenced the jury’s verdict. The
government sought to eliminate
the objectivity of the jury by submitting evidence of York’s
alleged wrongdoing
regarding cash structuring in an effort to make York appear
guilty of other
unrelated crimes of child molestation and vice-versa.
Presenting allegations of
sexual misconduct against a clergy member and a leader of a
large “religious
organization that consisted of approximately 5,000 members”
(see, Superceding
23
Indictment, Count One) may not impact a jury in today’s
environment of similar
claims against religious leaders in Boston, Cincinnati,
Chicago, and other
metropolitan areas. Consequently, the government sought,
inter alia, to
characterize York as a major criminal, a corrupt racketeer,
an opportunistic false
priest. Through its joinder of dissimilar allegations, the
government sought to
influence the jury with the claims that York was a child
molester, a sinister tax
cheat who wanted to hide where his ministry’s income
originated, and a corrupt
crime leader involved in racketeering and other corrupt
practices. Thus, evidence
of guilt concerning one act would spill over to lead the
jury to conclude that York
was guilty of other acts too. The lower court, pursuant to
Rules 8(a) and 14,
should have sustained York’s motion to sever the Mann Act
counts with those
related to claims of improper currency reporting of legal
cash deposits under Title
31 of the U.S. Code. The legal standards for these separate
acts are complex and,
at the very least, the jury instructions alone may have
prejudiced and confused the
jurors in addition to any actual prejudice accruing due to
the jury recognition of
many, multiple count allegations of guilt. See, United
States v. Caldwell, 594 F.
Supp. 548 (N.D. Ga. 1984); also see Trial Transcript, Volume
14, p. 3685 et. seq.
(charge to jury). In sum, York was prejudiced by the joinder
of the objectively
dissimilar
24
charges of the Superceding Indictment and the lower court
erred in not sustaining
York’s motion for a severance. The misjoinder of the
dissimilar offenses charged
under the single indictment resulted in prejudice so great
as to deny York’s Fifth
Amendment right to a fair trial. Therefore, York’s
convictions must be reversed.
II The District Court Erred in Denying Appellant’s Motion to
Dismiss The
Rico Claims (Counts One, Two, And Twelve).
York’s motion to dismiss should have been granted because
the allegation
that the religious organization is an enterprise for RICO
purposes is beyond the
scope of the statute. Additionally, the RICO allegations
should have been
dismissed due to the absence of any government allegation of
a violation of federal
law in counts six and two. When the government sought a
superseding indictment
from the Grand Jury of
the Middle District of Georgia, it needed to insulate the
claims of Mann Act
violations from beyond the limitation protections of 18
U.S.C. § 3283 with the
totally unrelated currency regulations. In addition to this
misjoinder, the
government manipulated the judicial process with one
additional layer of
inappropriate claims by alleging that a recognized religious
organization, whose
spiritual leader is charged with a felony, is a criminal
enterprise as defined under
the RICO statutes. The Racketeer Influenced and Corrupt
Organization statute
(RICO) is a powerful and in many respects draconian tool
adopted by Congress in
25
1970 with one specific focus: “...to seek the eradication of
organized crime in the
United States by strengthening the legal tools in the
evidence-gathering process, by
establishing new penal prohibitions, and by providing
enhanced sanctions and new
remedies to deal with the unlawful activities of those
engaged in organized crime.".
Act Oct. 15, 1970, P.L. 91-452, §§ 1, 84 Stat. 922 The
statute’s principal purpose
is to strengthen the means of preventing money and power
obtained from such
illegal endeavors as syndicated gambling, loan sharking,
theft and fencing of
property, importation and distribution of narcotics and
other dangerous drugs from
being used to infiltrate and corrupt legitimate businesses
and labor unions and to
subvert and corrupt our democratic processes so as to
interfere with free
competition and to burden interstate and foreign commerce.
United States v
Forsythe , 429 F. Supp 715(WD Pa. 1977), rev’d on other
grounds 560 F.2d 1127
(3rd Cir. 1977). This case, as is clear from all filings, is
not a matter of prosecuting
organized crime. It does not deal with loan sharking,
syndicated gambling, theft
and fencing of stolen property, or even the distribution and
trafficking of narcotics.
This is a simple, yet powerful, state case of alleged child
molestation.
Nevertheless, the government has manipulated this state case
into a proverbial
federal one, a dated one into a current allegation, and a
case of singular
wrongdoing into a RICO concern. The district court
erroneously denied York’s
26
motion to dismiss these RICO claims. This court now has the
opportunity of
correcting this error. York concedes that motions to dismiss
indictments are
creatures of limited procedural availability in this
circuit. Although the Sixth
Circuit has found that Federal Rule of Criminal Procedure 12
provides a basis for
granting a pre-trial motion to dismiss a criminal
indictment, see United States v.
Levin, 973 F.2d 463 (6th Cir. 1992)(as a matter of law,
criminal intent could not be
proven), four circuits limit this view. See United States v.
Knox, 396 U.S. 77, 83,
84 n.7 (1969) (evidentiary questions concerning whether the
defendant established
a duress defense or whether his false statement was made
"willfully," as required
by statute, should be determined initially at trial, and not
on a motion to dismiss
under Federal Rule of Criminal Procedure 12(b)(1)). This
circuit, along with the
third, eighth, and ninth, take a limited view, yet one still
applicable to the case at
bar. While these circuits have reversed dismissals of
indictments based on the
insufficiency of the evidence, the vehicle of a motion to
dismiss is still much in use
and applicable when, as a matter of law, the government
cannot sustain an indicted
charge. See, United States v. Nabors, 45 F.3d 238, 240 (8th
Cir. 1995)( the trial
court dismissed an indictment on the basis that the
government's proffered
evidence was insufficient to prove the facts alleged in the
indictment) . In the
current case, the motion to dismiss the RICO claims was
based on the fact that, as a
27
matter of law, there was no nexus between the defined
enterprise (the religious
organization of the United Nation of Nuwaubian Moors) and
the pattern of
racketeering activities allegedly undertaken by some members
of the church. The
RICO statute, 18 U.S.C. § 1961, requires several key
elements, each defined in the
statute. All RICO violations under 18 U.S.C. § 1962 entail
"(1) a person who
engages in (2) a pattern of racketeering activity, (3)
connected to the acquisition,
establishment, conduct, or control of an enterprise." RICO
requires an enterprise
that is involved in racketeering activities. Both the
definition of an enterprise and
the specific definition of racketeering activities are
placed in the context of
organized crime and corrupt organizations. Perhaps the
racketeering component in
this case provides the greatest support for pretrial
disposition. In its second
superseding indictment, the government alleges that the
entire religious
organization is the “enterprise” involved in the corrupt
activities. In fact, the
government almost indicts as a co-conspirator the personnel
and membership of
the 5,000 strong church. In the charging instrument, the
government is clear. It
defines the “enterprise” as the Nuwaubian religious
organization. It further states
that this religious ministry was “an ongoing organization
whose members
functioned as a continuing unit for the common purpose of
achieving the
objectives of the enterprise.” The government then alleges
that a common purpose
28
of the religious organization was to “groom minors for
purposes of engaging in
unlawful sexual activity, engage with minors in unlawful
sexual activity and
transport minors in interstate commerce for purposes of
engaging in unlawful
sexual activity.” While the specific allegations of the
indictment are clear, the
government sought to confuse the issue before the court in a
pretrial hearing on
December 16, 2003 when Mr. Moultrie, the assistant U.S.
Attorney, attempted to
re-write the indictment with his own oral argument: “What I
would like to make
clear, Your Honor, is that this is not an indictment of the
entire Nuwaubian [sic]
nation or its group. There are lots of fine people who
believe in Mr. York now,
there are lots of fine people who believe in him when he was
arrested. This
indictment is not an indictment of those people or what they
believed then or what
they believe now. The RICO count charges Mr. York with
conspiring with certain
individuals among the Nuwaubian [sic] nation to commit a
criminal enterprise.”
[T]his indictment - - -doesn’t have anything to do with a
lot of the legitimate
purposes and beliefs and foundations that Mr. York put in
place and that a lot of
his believers continue to believe. ***
And again, Your Honor, I would state that the law is very
clear that if the
government can prove that the predicate acts relate to the
overall enterprise, then
the RICO count should stand. ***And in this case we have
predicate acts that
relate to the overall purpose of the enterprise, that is, to
enrich Mr. York. (Doc.177,
Arraign, pp. 30-32).
Notwithstanding the government’s eloquence in proclaiming
that the
indictment has nothing to do with the legitimate purposes of
the Nuwaubian nation,
the enterprise defined in the indictment is, in fact, the
organizational mission and
goals of the Nuwaubian’s religious organization. When the
government defined
29
the “enterprise” in such a manner, the subject of the
racketeering activities must
relate back to the entire religious organization and not
just, as Mr. Moultrie
proclaimed at the same hearing, to the “illegal intent of
Mr. York and some of his
co-conspirators to commit illegal acts.” (Id. at 32). As a
matter of law, the lower
court should have sustained York’s motion to dismiss as the
allegation that the
religious organization is an enterprise for RICO purposes is
well beyond the scope
of the statute. While the religious ministry technically
conforms to the definition of
enterprise, it does not comport with the claims of defined
racketeering activity. In
addition, the RICO allegations should have been dismissed
due to the absence of
any government allegation of a violation of federal law in
counts six and two. The
racketeering activity alleged is that York knowingly
transported a minor from
Kings County, New York to Bibb County, Georgia and Putnam
County, Georgia
with the intent that said minor would engage in sexual
activity for which a person
could be charged as violating the State of Georgia’s
criminal code, to-wit Sections
1664 and 1665. The state offenses to which the federal
charge refers are child
molestation and enticing a child for indecent purposes. The
problem, incorrectly
sustained by the lower court, is that before York can be
accused of violating the
terms of the federal statute, sufficient and proper
allegations must be made in the
indictment that he also violated the underlying criminal
offenses under Georgia
30
law. The government alleges various facts in its indictment
to support these counts.
One such fact, found on page 17 of the indictment, alleges
that in April of 1993,
the victim P-23 was fourteen years of age. In 1993, Georgia
state law did not
criminalize engaging in any immoral or indecent act with a
child who was age 14.
To be a criminal offense, required under the federal
statute, the child had to be
under the age of 14. Both O.C.G.A. 1664 and 1665 maintained
the same age
ceiling. To be a state criminal offense, the victim child
was required to be under
the age of 14. (It was not until 1995 that the state
statutes were amended to raise
the age to 14.). As the government did not adequately allege
facts to support a
violation of federal law, the lower court should have
granted York’s motion to
dismiss these counts. Failing so, the court committed
reversible error. Thus, the
convictions should be reversed.
III. The District Court Erred in Denying the Appellant’s
Motion to
Dismiss the Superseding Indictment and Allowing the Jury
Trial
to go Forward on an Indictment that was Returned by a Grand
Jury that was Selected from a Tainted Jury Pool
The District Court should have granted the Defendant’s
Motion to Dismiss
Superseding Indictment based on the Tainted Grand Jury [Doc.
174] that was
selected from the Macon Division of the Middle District of
Georgia. On October
28, 2003, this Court issued an Order granting the
Defendant’s Motion to Change
31
Venue [Doc. 146 - Change of Venue Order]. This Order stated
essentially the
following:
“The Court GRANTS Defendant’s Motion as to Fed. R. Crim. P.
21 (a) because
the Court is satisfied that without changing venue for the
trial of this case,
Defendant cannot obtain a fair and impartial trial in the
Macon Division of the
Middle District of Georgia.” The Court goes on to state the
following: “In
reaching the conclusion about where to try this case, the
Court has carefully
considered the problem of media saturation and potential
bias involving not only
the allegations against Malakai (Malachi) York, but also
reports about the
Nuwaubians because York is the leader of the Nuwaubians. The
Court regularly
reviews and has reviewed both the Macon Telegraph and the
Atlanta Constitution
for many years. Over the years the Court has noticed in both
newspapers coverage
of Defendant’s criminal case and articles that reflect
unfavorably on the
Nuwaubians that could adversely impact Defendant at trial.
The Court has
grave concerns about trying to select a jury in this case in
any division in the
Macon and Atlanta media markets . . .”
It should be noted that the government did not file an
objection to the
Motion to Change Venue. [Doc. 146 - Court notes this fact in
the Change of Venue
Order]. Subsequent to this Order on November 21, 2003, the
Superseding
Indictment that Appellant was tried on was returned from a
grand jury selected
from the aforementioned tainted jury pool. In Bank of Nova
Scotia v. United
States, 487 U.S. 250 (1988), the Court announced the
standard for assessing nonconstitutional
errors in the grand jury. The Court established that the
dismissal of
the indictment is appropriate if it is established that the
violation substantially
influenced the grand jury’s decision to indict or if there
is a grave doubt that the
decision to indict was free from the substantial influence
of such violations. In
32
United States v. Sigma Intern, Inc. 244 F.3d 841, 853 (11th
Circuit 2001), opinion
vacated, 287 F.3d 1325 (11th Circuit 2002) rehearing en banc
pending, the court
applied this same standard to constitutional errors. Thus,
in the case at hand, it was
a violation for the United States Attorney to present a case
to a grand jury selected
from this tainted jury pool and it was a violation for the
Court to select and/or
allow to be selected a grand jury from this same jury pool
that the Court had
previously, summarily stated was tainted as indicated above.
It would only be
logical that any jury (trial jury or grand jury) selected
from this jury pool would be
tainted and equally affected by the same negative publicity.
Thus, as
contemplated by the aforementioned Supreme Court and 11th
Circuit cases, there is
clearly a grave doubt that the grand jury’s decision to
indict the Appellant on the
Superseding Indictment was free from the adverse concerns
expressed by the Court
in its Order date October 28, 2003. The District court
effectively and
constructively took “judicial notice” of the fact that any
jury selected from this
District would be “tainted” or have an extremely high
probability of being
“tainted;” thus, it is clear that the grand jury for this
superseding indictment was
erroneously selected from the same District that the Court,
per its own order issued
October 28, 2003, already ruled insufficient; thus, it was
error for the Court to deny
33
the Appellant’s Motion to Dismiss the Superseding Indictment
and to let the trial
go forward. Thus, the Appellant’s conviction should be
reversed.
It shall be noted that the Court in denying York’s Motion to
Dismiss
Indictment [Doc. 174] relied on the case of United v.
Waldon, 363 f. 3d 380 (11th
Circuit 2004). However, the Waldon case can be distinguished
on the facts and
substantive law as discussed in York’s reply brief. York’s
position is that Waldon
does not apply in the case at hand.
IV. The District Court Committed Error by:
A. Denying the Appellant’s Motion for Mistrial after the
Government
Exceeded the Scope of the Court Ordered Limitation of the
Rebuttal
Witness’s Testimony
B. Not allowing the Appellant to call his own witness as a
Rebuttal
Witness to rebut the Government’s Rebuttal witness
After the close of the Government’s Case-in-Chief and after
the close of the
Appellant’s Case. The Government sought to introduce a new
witness, “M.F.”,
who was one the alleged victim’s named in the government’s
superseding
indictment against Appellant. The Government sought to
introduce her as an “
rebuttal witness.” Although the Government titled her a
“rebuttal” witness, it is the
Appellant’s contention that she was actually a
victim-witness that the government
was using to reopen and modify their case-in-chief after
they had already rested.
The Appellant objected and questioned the reason why the
Government was
calling “M.F.”, who is an alleged victim named in the
indictment.
34
A. The Court Erred by Denying the Appellant’s Motion for
Mistrial
after the Government Exceeded the Scope of the Court Ordered
Limitation of
the Rebuttal Witness’s Testimony
After overruling the Appellant’s objection to the
introduction of alleged
rebuttal witness, “M.F.”, the Court allowed this erroneous
testimony with strict
limitations. After the Court announced these limitations,
the government
acknowledged their understanding of the limitation and then
intentionally
exceeded this limitation by prompting their witness, “M.F.”,
to testify about things
that were in direct contradiction to the judge’s order. The
following excerpt is a
continuation of the aforementioned discussion concerning
“M.F.’s” alleged
rebuttal testimony.
[T.T. p. 3441 Line 4 - 12]:
The Court: And that’s why I’m restricting that so much.
Mr. Patrick: But, it’s still coming in. They should have
presented that [“M.F.”
during their main case. Your Honor, they’re reopening their
case. That’s not the
purpose of rebuttal .
Ms. Thacker: We are rebutting your two witnesses, “S.W.” and
“S.T.”, and your
legion of witnesses who said it simply didn’t happen and – .
[T.T. Volume 13 P. 3441 line 15 - P. 3442 Line 2]:
Ms. Thacker: And I understand the Court’s ruling that we are
going to be limited in
that regard . . .
[T.T. Volume 13 P. 3441 Line 22 - 23]:
35
The Court: No. I’m just going to restrict you to the fact
that she was molested by
him..
[T.T. Vol. 13 : P. 3442 Line 10 - 13]:
The Court: – of rebutting the testimony of “S.W.” or others,
I’m going to allow
that, but this is not a victim-type testimony. You’re being
restricted by that.
[T.T. Vol. 13 P. 3442 Line 14 - 19]:
Mr. Patrick: When you allow them to get into the fact that
there was an act of
molestation, she is a victim-witness, and that’s outside of
the rebuttal, and we
object to that because they’re just re-opening their case,
and this is not rebuttal
testimony. They should have called her during their case.
But I’ll rest on my
objection.
Testimony of“M.F.” - T.T. Volume 13 P. 3444 line 9 - 11:
(Note: Stephanie
Thacker is asking the Questions and “M.F.” is Answering)
Q: Now, during that time period, did Dwight York ever molest
you?
A: Yes, Ma’am.
[T.T. Volume 13 P. 3446 line 15 - P. 3447 line 3]:
Q: What happened after that?
A: She took me to his house, and he began to fondle me. He
took my ants
off, and he began to fondle me.
Q: Anything else?
A: No. He just began to fondle me and touching me.
Q: Did you touch him?
A: Yes, his private parts.
Q: Did you tell anybody about this?
A: He said not to tell nobody, so no.
Q: Was “S.W.” present when this happened?
A: Yes, ma’am.
Q: Was this the first incident of sexual molestation by Mr.
York?
A: Yes, ma’am.
36
[T.T. Volume 13 P. 3447 Line 4 - P. 3448 Line 5]:
Mr. Patrick: Your honor, I think the Court has ruled, and
counsel is going beyond
what the Court has ruled counsel could go into. . .
The Court: Well, I –
Mr. Patrick: And, Your Honor, we need to approach on an
issue.
The Court: Okay.
Mr. Patrick: Your Honor you clearly informed the government
that the only thing
the government could go into was that she was molested and
nothing else. She
clearly went beyond that, to get into details. I want to
make a Motion for a Mistrial
at this point based upon that, because the Court was clear
as to what counsel could
get into, and she continued. She even started talking about
another incident. The
Court was clear your Honor and I think this is grounds for a
mistrial. It was
already tenuous because it was getting outside of the scope,
and the Court was
clear to the government about this, and she intentionally
went beyond what the
Court stated.
The Court: Well, let me just tell you that I told her she
could give the testimony,
the facts testimony related to “S.W.”, and that’s all she’s
done here. So your
motion is –
Mr. Patrick: But, your Honor, she’s talking about her –
The Court: . . . So your motion is overruled . . .
At this point even after the Court erroneously allowed the
Government to
reopen their case, the Court placed a strict limitation on
this testimony, the
Government understood this limitation and then the
Government went beyond the
limitation and start getting into the details of the
molestation and even went so for
37
as to quantify this incident as the 1st time, indicating to
the jury that if this was the
1st time there had to be many other incidents. This was
clearly outside of the
restriction that the Court put on this testimony. Based on
the fact that the
Government violated the strict limitation that the Court put
on this testimony, by
prompting the witness to testify to evidence that was in
direct violation of the
judge’s restrictive order, the Appellant made a timely
motion for mistrial which the
judge denied. Per the rule established in United States v.
Abdi,744 F.2d 1500 (11th
Circuit 1984) it was a manifest necessity to declare a
mistrial, because once the
new act of child molestation was in the minds of the jury
there was irreparable
harm.
Therefore, it was error for the District court to deny the
Appellant’s request
for a mistrial and we request that this conviction be
vacated and/or remanded for a
new trial.
B. The District Court erred by not allowing the Appellant to
call
“S.W.” as a rebuttal witness to rebut the Government’s
Rebuttal Witness
After the Court had allowed “M.F.” to testify in an attempt
to rebut “S.W.’”
testimony. The Appellant requested that the Court allow the
Defense time to call
“S.W.” back to the stand. After “S.W.’” testimony in the
Appellant’s direct case
she went back to Eatonton, Georgia which was about 6 hours
from Brunswick.
“S.W.” was willing to come back to Brunswick to testify to
rebut what “M.F.”
38
testified to, but it would take her about 6 hours which
would have taken us into the
next day. Although we had been in trial approximately 3
weeks, the court refused
to delay the trial one more day to allow the Appellant a
chance to perfect his
Defense. The court had given the Government approximately
two weeks to present
their case, but then refused to allow the Appellant one more
day to present an
effective and proper Defense.
The following is an excerpt of the discussion concerning the
Appellant’s
ability to present “S.W.” as a witness to rebut the “M.F.”
testimony.
[T.T. Volume 13 P.3542 - Line 14 -18]:
Mr. Patrick: Your honor one of the witnesses we have “S.W.”,
she’s in
Eatonton and – well, we didn’t know we were going to need
her [again].
She’s far away . . . I mean, we can call her to come, but
that’d be after 5:00.
[T.T. Volume 13 P. 3543 Line 7 - 12]:
The Court: I mean, as far as “S.W.” in concerned, I wonder
if we could work
out an agreement where I advise the jury that “S.W.” is not
here and
unavailable, and that she would testify that she didn’t
solicit – which was it?
Mr. Patrick: “M.F.”.
[T.T. Volume 13 P. 3543 Line 19 - 25]:
Mr. Patrick: But, Your Honor, I need “S.W.” here on that
stand to testify and
in person so the jury can evaluate her credibility when she
says it; because,
Your Honor . . . if the Court just says that, I mean, it’s
not like the
reinforcement of actually seeing the witness and the number
of other things
that a jury can interpret.
39
The Court: This is a very, very fine point . . .
[T.T. Volume 13 P. 3545 Line 4 - 13]:
Mr. Patrick: . . . Now they [the government] have introduced
“M.F.”, who
they had a full opportunity to produce during their case.
She’s named a
named person [in the indictment] – she [Ms. Thacker] said
she was under
subpoena. They just didn’t call her. Thus, “S.W.”, I want to
call her to clear
that issue up . . . And, Your Honor, there’s no way for the
Court or anyone
to know what factor could change a jury’s mind, either way .
. . And I want
to cover that base, and I have a right to cover that base .
. .
[T.T.Volume 13 P. 3548 Line 14 -15]:
The Court: I’m not going to delay the trial for you to call
“S.W.” back
[T.T. Volume 13 P. 3551 Line 10 - 22]:
Mr. Patrick: Your Honor, we take exception to your ruling .
. . I think that
“S.W.’” testimony is extremely critical to the defense . . .
I think the court
not allowing “S.W.” to the stand, in conjunction with the
fact that the
government had an opportunity, a full opportunity, to call
her [“M.F.”]
during their case, substantially cripples the defense. And I
ask that “S.W.”
herself be able to come and make that statement. Obviously,
the Court has
ruled, and I make exception to that.
In the case of United States v. Peay 972 F.2d 71, (4th
Circuit 1992), the court
held as follows:
“An important criterion for properly reopening a case is
taking care that
reopening does not “preclude an adversary from having an
adequate
opportunity to meet the additional evidence offered.”
Thetford, 676 F.2d at
182. The court’s reopening of the government’s case while at
the same time
denying Peay an opportunity to impeach Seager’s with
Rainer’s testimony
sustains Peay’s assignment of error. The judgment must be
vacated and the
case remanded for retrial.”
40
Similarly, in the case at hand, the Court’s act of allowing
the government to
reopen their case by calling “M.F.”, while at the same time
denying the right of the
Appellant to call “S.W.” to impeach the government’s alleged
rebuttal witness is
clearly erroneous and warrants that this conviction be
vacated and the case should
be reversed or in the alternative, the case should be
remanded for retrial.
V. The Evidence was Insufficient to Prove Beyond a
Reasonable Doubt that
the Appellant Committed the Acts Alleged in Count 1 (1),
Count 1 (2), Count
2 (B) (1) Racketeering Act 1, Count 2 (B) (2) Racketeering
Act 2, Count 2 (B)
(3) Racketeering Act 3, Count 2 (B) (4) Racketeering Act 4;
Count 3 (A) and
Count 3 (B) Conspiracy, Count 4, Count 5, Count 6, Count 7,
Count 8 -
Transporting Minors in Interstate Commerce to Engage in
Unlawful Sexual
Activity
The above-referenced counts of the indictment are codified
in the following
code sections:
18 U.S.C. Section 2421 and 18 U.S.C. 2423 state in pertinent
part the
following:
18 U.S.C. Section 2421 - Transportation generally
Whoever knowingly transports any individual in interstate or
foreign
commerce . . . with intent that such individual engage
[purpose element].
. . in any sexual activity for which any person can be
charged with a
criminal offense [unlawfulness element] . .
18 U.S.C. Section 2423 - Transportation of minors
(a) Transportation with intent to engage in criminal sexual
activity.-A person
who knowingly transports an individual who has not attained
the age of 18
years in interstate or foreign commerce . . . with intent
that such individual
41
engage [purpose element]. . . in any sexual activity for
which any person
can be charged with a criminal offense [unlawfulness
element] . .
There are two elements of the above-referenced charges that
these arguments
will focus on and that is a follows:
a. The intent or “purpose” element
“. . . with intent that such individual engage . . .” 18
U.S.C. 2423 (a)
and
b. The “unlawfulness” element
“. . . in sexual activity for which a person can be charged
with a criminal
offense . . .” 18 U.S.C. 2423 (a)
In a criminal case, the government must prove each and every
element of a
charged offense beyond a reasonable doubt. In re Winship,
397 U.S. 358 (1970).
The Eleventh Circuit has characterized this right as one of
the most fundamental
guarantees in a criminal trial. Nutter v. White, 39 F.3d
1154 (11th Circuit 1994).
Whether the evidence is sufficient to sustain a defendant’s
conviction is a
question of law and fact which the appellate court reviews
de novo. United States
v. To, 144 F.3d 737 (11th Circuit 1998). In passing on this
argument the court must
view the evidence in the light most favorable to the
government, Glasser v. United
States, 315 U.S. 60 (1942).
42
A. Necessary Element: Purpose. There was a failure by the
government to
Prove the Appellant Guilty Beyond a Reasonable Doubt on all
of the abovereferenced
charges because the Government never proved that the purpose
of the
travel was to engage in unlawful sexual activity. This
failure defeats the federal
court’s jurisdiction from being invoked and leaves the
alleged crimes only under
the realm of the state’s jurisdiction. Generally, the
Government has alleged in the
indictment that the travel from New York to Georgia was for
illegal sexual
purposes and the travel from Georgia to Florida was illegal.
The jury found the
Appellant not guilty of count 8, which covered the travel
from Georgia to Florida.
Thus, if you look at this case in the light most favorable
to the government, the
government could have possibly proven child molestation in
New York and child
molestation in Georgia. However, these are state crimes and
in order to invoke the
federal jurisdiction and to prove the federal crimes, the
government must prove
beyond a reasonable doubt that the travel was for the
purpose of engaging in an
unlawful act. However, the government presented no witnesses
that testified that
the purpose of the travel was to engage in unlawful sexual
activity. There was no
proof that the Appellant actually drove anyone of the
alleged victims. There was
no evidence that the Appellant directed anyone specifically
to travel for that
purpose.
43
[T.T. Volume 9 p. 2428 line 19- 23: (Attorney Adrian L.
Patrick is
questioning Federal Agent Jalaine Ward about her Detention
Hearing Testimony
May 9, 2002):
Q: Read from “all right” down for us. Okay?
A: “Now in connection with the travel for the purpose of
having sex with a
minor, do you have any witness who says that the purpose in
the travel was
to have the children have sex?”
The witness – my answer is, “The witness that says that?”
[T.T. Volume 9 P. 2428 Line 25 - P. 2429 Line 7]:
And my Answer is, “No.”
“You have no witness that says that?”
“Not that says that, no.”
And you didn’t say anything about “H.W.” at that time,
correct?
No . . .
[T.T. Volume 9 Line 9 - 12]:
She would be the witness that comes to mind.
And this is sworn testimony May 9, 2002; correct?
Yes. Yes.
At this point Jalaine Ward, the Federal Agent has indicated
that it is her
belief that “H.W.” may fill this evidentiary void of
providing a witness or any
evidence that the purpose of the travel from New York to
Georgia was for the
purpose of unlawful sex; however, contrary to this agent’s
belief, upon review of
“H.W.’s” entire testimony. There is no evidence that she
provides indicating that
the purpose of the travel was for unlawful sex with minors.
Thus, there is no
44
evidence that would sufficiently support the federal
jurisdiction over the state acts
of alleged child molestation. Thus, due to the government’s
failure to prove
beyond a reasonable doubt the purpose element of the
above-referenced charges
the convictions on all the charges individually and as a
whole should be vacated
and reversed.
B. Necessary Element: Unlawful Sexual Activity. There was a
failure by
the government to Prove the Appellant Guilty Beyond a
Reasonable Doubt on all
of the above-referenced charges because the Government never
proved that the
alleged sexual activity was unlawful.
An essential element of all of the aforementioned counts is
that the travel
must be with the intent to commit an unlawful sexual act.
The government put the
“unlawfulness” element in the indictment by writing it in,
by putting it in
parentheses and by underlining the term “unlawful sexual
act4ivity” [Doc. 158 pp.
2, 24, 25, 29, 30, 31, 32, and 33]. Thus, by virtue of
preparing this superseding
indictment, the government has mandated that unlawfulness is
a necessary element
that they must prove beyond a reasonable doubt. However, the
government
presented absolutely no evidence during its case-in-chief,
nor during its rebuttal
case to prove that the alleged sexual acts where unlawful.
45
Specifically, the Government failed to put into evidence and
prove the
Georgia Law - Georgia Code 16-6-4 and 16-6-5, any State Law,
nor any law that
was going to be or that would show that the alleged sexual
acts were unlawful.
Once again, the government put the Georgia Code Sections in
the superseding
indictment [Doc. 158 pp. 2, 24, 25, 26, 29, 32, 34].
See United States v. Zemater 501 F.2d 540 (7th Circuit
1974), this court held
as follows:
“. . . But even if the activity in Saigon violated Illinois
statue, it did not
violate the Travel Act. Subsection (b) of the federal
statute requires the acts
committed after the travel to be in violation of the laws of
the state “in which
they are committed.” Since Congress could have punished
travel merely . . .”
“That Congress did not intend to exercise its full
constitutional powers in the
area of local law enforcement is demonstrated by the wording
of the Act and
specifically by use of the word “thereafter” As the Senate
Report on S.1653
states:
. . .to come within the provisions of the bill some activity
in furtherance of a
racketeering enterprise, subsequent to the performance of
the travel must
take place . . .”
Although not directly on point, this case is used as support
for the
Appellant’s contention that there must be proof presented by
the Government
during its case that the sexual activity “would be” unlawful
or “is” unlawful if
committed in the destination state.
46
In the case at hand, the government would have to prove that
after the travel
from New York to Georgia was complete, that any intended or
actual sexual
activity “would have been” or “is” unlawful. The government
completely failed to
do this. The government simply relied on the court to
instruct the jury on the
Georgia law at the end of the entire case; thereby,
circumventing their obligation
and burden of proof beyond a reasonable doubt of each and
every element of the
crime. The government essentially relied on the court to
meet their burden of
proof through its jury instructions. In this entire case,
the jury instructions are the
extent of the evidence of proof that the alleged sexual acts
where unlawful.
However, the jury instructions are not evidence.
First, it is necessary that the government prove what the
law “is” or what the
law “was” at the time of the alleged offenses. Next, it is
necessary that the
government must prove that this law was violated or was
going to be violated in
the destination state. As referenced above, 18 U.S.C.
Section 2421- Transportation
generally and 18 U.S.C. Section 2423 (a) - Transportation of
minors, the state law
is a necessary and material element, in order to prove the
“unlawfulness” of the
sexual activity. In the case at hand, that proof would have
been the Georgia and
Florida law. This element is necessary to prove beyond a
reasonable doubt. It is
necessary because if there was no crime that would be
violated in the state of
47
destination - then there is no violation of the law. Without
the government being
required to prove this necessary element beyond a reasonable
doubt, the
government would have the freedom to criminalize “any travel
with a minor,”
including parents with their children, uncles with nephews,
etc. Even if you look
at this case in the light most favorable to the government,
the government
completely failed to provide any evidence and completely
failed to meet its burden
of proof on this issue. Thus, by the Government failing to
prove or provide any
evidence of the applicable State Laws, a reversal is
warranted on all of the abovereferenced
Counts: Count 1 (1), Count 1 (2), Count 2 (B) (1)
Racketeering Act 1,
Count 2 (B) (2) Racketeering Act 2, Count 2 (B) (3)
Racketeering Act 3; Count
Two (B) (4); Count 3 (A) and Count 3 (B)Conspiracy, Counts
4, Count 5, Count 6,
and Count 7.
It shall be noted that York’s contention is that 18 U.S.C.
section 2423 (b)
inherently and per the government’s indictment have the same
elemental
requirements as the above-referenced laws.
VI. The District Court Erred by Denying the Appellant’s
Motion to Dismiss
Count Two Racketeering Act 3 and Count Six essentially
ruling that the
Government Could Base a Federal Violation on a Georgia Crime
Which was
no Crime at all at the Time of its Alleged Commission
48
Count VI and Count II - RICO Act III, purports to set forth
a violation of 18
U.S.C. 2423(a) in identical language as follows (Doc. 158):
In or about April 1993, . . . Dwight D. York ... knowingly
transported and
caused to be transported (“A.T.”), . . .with the intent that
such minor engage in
unlawful sexual activity for which a person can be charged
with a criminal offense
including but not limited to violations of Georgia Code
Sections 16-6-4 an 16-6-
5, . . . Title 18, United States Code Section 2423,
subsection (a) states in pertinent
part as follows: a person who knowingly transports an
individual . . . in interstate
... commerce with the intent that the individual engage ...
in any sexual activity for
which any person can be charged with a criminal offense ....
shall be fined under
this title and imprisoned not more than 15 years.
The "criminal offense" that the government purports to have
been committed
by this Defendant is a violation of Georgia State law
namely, child molestation
pursuant to O.C.G.A. Section 16-6-4 and Enticing a child for
Indecent purposes
pursuant to O.C.G.A. 16-6-5. Therefore, applying the
Government's legal theory
of the case as set forth in Counts VI and II (RICO ACT III)
to the statutory
language of Title 18 United States Code 2423
subsection(a)before this Defendant
can be accused of violating the terms of this federal
statute he must also have
violated the 1993 versions of O.C.G.A 16-6-4 and 16-6-5. In
accordance with the
factual allegations set forth on page 17 of the indictment
paragraph 37 and
paragraph 38, in April of the year 1993, “A.T.” was 14 years
of age. This is
significant because, per the 1993 version of O.C.G.A 16-6-4
this alleged sex act
would not have been illegal.
49
The dicta of the Georgia Supreme Court case of Phagan v.
State, 268 Ga.
272 (1997) lends credence to this argument to wit: "...
Effective July 1, 1995, it
was illegal to have sex with a person under the age of 16 to
whom the accused
was not married... Prior to July 1, 1995, the conduct was
illegal if one of the
parties was under the age of fourteen ... "
Thus, the Government did not adequately set forth a
violation of federal law
in Counts VI and II(RICO ACT III), accordingly the trial
court erred by failing to
dismiss said Counts and charge the jury that in 1993 it was
not a crime to have sex
with someone under the age of 16 and over the age of 14.
This argument refers to York’s Motion [Doc. 175].
VII. Post trial Counsel, Jonathan Marks, was Ineffective for
Withdrawing the
Appellant’s Motion for New Trial and Motion for Judgment of
Acquittal
without Properly Informing and Receiving the Express
Permission of the
Appellant
Attorney Jonathan Marks would not be considered trial
counsel, because he
entered the case after trial on March 26, 2004 per the
Docket Sheet [Doc. P. 42 6th
Entry; thus, it is York’s contention that Jonathan Marks was
his appellate and post
trial counsel.
A defendant is entitled to effective assistance of counsel
in general and in his
direct appeal. Evitts v. Lucey, 469 U.S. 387 (1985).
50
Generally, the Court of Appeals will not consider claims of
ineffective
assistance of counsel on direct appeal because there is
usually insufficient
opportunity to develop the record regarding the merits of
these claims. United
States v. Camacho, 40 F.3d 349 (11th Circuit 1994). However,
in certain cases the
record is sufficient to enable the court to review counsel’s
performance. See, e.g.,
United States v. Andrews, 953 F.2d 1312 (11th Circuit 1992).
In this case, it is
Appellant’s contention that the record is sufficient to
enable the court to review
counsel’s performance. In support of this contention, the
Appellant shows the
following:
By presenting evidence a Defendant waives the right to
appeal the denial of
his Rule 29 motion made at the end of the government’s case.
United States v.
Brown, 53 F.3d 312 (11th Circuit 1995). In this case it is
clear that the Appellant
presented a case; thus, the Appellant is only left with the
written judgment of
acquittal motion filed on January 30, 2004 (Doc. 243) to
protect his appellate rights
to challenge the sufficiency of the evidence. On August 13,
2004, the Post trial
Counsel, Jonathan Marks, was ineffective because he withdrew
the Appellant’s
Motion for Judgment of Acquittal and Motion for New Trial
(Doc. 242) without
the consent of the Appellant.
51
At minimum, the Attorney should have stood on the motions
and should not
have withdrawn the Motions. The Attorney’s actions of
withdrawing the Motion
for Judgment of Acquittal definitely has a negative impact
on the Appellant’s
appellate rights. The attorney’s actions definitely
adversely affects the Appellant’s
ability to challenge the sufficiency of the evidence;
additionally, the withdrawal of
the new trial motion has a more speculative negative impact.
Thus, the Appellant is requesting that this Court find that
his counsel was
ineffective and that his case be remanded back to the
District court for a ruling on
the issues contained within the Motion for New Trial and
Motion for Judgment of
Acquittal. In the alternative, the Appellant requests that
the ineffectiveness of the
Attorney in this post-trial matter be considered a manifest
miscarriage of justice
and rule on the sufficiency of evidence issues raised in
this appeal. United States v.
Jones, 32 F.2d 1512 (11th Circuit 1994) is cited for the
proposition that if there is a
showing of a manifest miscarriage of justice, this Court can
consider the
sufficiency of the evidence on appeal. In support of this
request, the Defendant
shows that he filed a “Pro Se” Motion on the Monday
following these ineffective
actions by counsel and Requested that the Court Reinstate
these two
aforementioned Motions (Doc.348).
52
VIII. The District Court’s Denial of New Counsel’s Motion
For Extension
Deprived Appellant of a Fair Trial And Due Process of Law.
On December 30, 2003, just a few days prior to this long and
arduous trial,
the court permitted previous counsel to withdraw from the
case. Also, the new
lead counsel, Adrian Patrick made an oral Motion for
Continuance that was denied
by the Court [Transcript of Sealed hearing, December 30,
2003]. On January 2,
2004 [Doc. 211] Attorney Patrick filed a written Motion for
continuance of the trial
in the interest of justice.
Attorney Adrian L. Patrick was entered into this case on
December 16, 2003
and suddenly became lead counsel 6 days prior to trial. For
approximately 20
months, Edward Garland, was the lead counsel. In attempting
to review the 20
months of activity in the case, including, hearings,
indictments, superseding
indictments, discovery information, motions, plea
agreements, and court orders;
new counsel requested an extension in the trial date so that
he could adequately
prepare for trial. The district court refused and trial
proceeded as planned.
The court’s failure to grant an extension, given the
circumstances, deprived
York of his right to counsel, due process, and a fair trial.
York submits that
denying his motion to continue left the defense with an
inadequate amount of time
to prepare for trial. United States v. Verderame, 51 F.3d
249, 252 (11th Cir.1995).
53
As a result, York’s rights to counsel and due process were
violated and his
convictions must be reversed. When the trial court denied
York’s motion for
continuance in the trial, York suffered substantial
prejudice in the defense of his
case. See United States v. Bergouignan, 764 F.2d 1503, 1508
(11th Cir.1985).
"Implicit in [the] right to counsel is the notion of
adequate time for counsel to
prepare the defense," and the trial court’s denial of a
continuance deprived new
counsel time to prepare an adequate defense. See, Verderame,
51 F.3d at 252.
Importantly, as evidenced by the 48 page Superseding
Indictment and the three
week long trial, the government’s case grew increasingly
more complicated as time
went by. See, Verderame, 51 F.3d at 252.
Such a short period of time to prepare for trial prejudiced
York because it
was impossible for counsel to adequately investigate the
case and prepare a
defense. This deprived York of his right to counsel, right
to due process, and
resulted in a trial that was fundamentally unfair. As such,
York’s convictions must
be overturned.
IX. A. Appellant’s Sixth Amendment Right to a Jury Trial was
denied
When He was Sentenced Based upon Facts Not Reflected in the
Jury
Verdict
54
The U.S. Constitution guarantees each defendant a trial by
jury wherein no
punishment is imposed until a jury determines the defendant
guilty of particular
conduct beyond a reasonable doubt. See U.S. Const. Amends.
V, VI.
In Apprendi v. New Jersey, 530 U.S. 466, 490 (2000), the
Supreme Court
held that “other than the fact of a prior conviction, any
fact that increases the
penalty for crime beyond the prescribed statutory maximum
must be submitted to a
jury, and proved beyond a reasonable doubt.”
The Supreme Court’s decision in Blakely v. Washington, 124
S. Ct. 2531
(2004) indicates that the courts have been wrong, holding
that “the ‘statutory
maximum’ for Apprendi purposes is the maximum sentence a
judge may impose
solely on the basis of the facts reflected in the jury
verdict or admitted by the
defendant.
Additionally, Blakely calls into question the
constitutionality of the entire
federal sentencing system or guidelines.
Under the Federal Sentencing Guidelines, any enhancements
and upward
departures all have the same effect – namely, they all
increase the maximum
permissible sentence under the guidelines. A judge's
reliance on such factors at
sentencing is therefore unconstitutional. United States v.
Booker, 375 F.3d 508 (7th
Cir. 2004).
55
In the instant case, the government had York’s sentence
increased based on
enhancements and upward departures that were never submitted
to the jury. This is
error and should be reversed. Thus, York’s conviction should
be reversed, and at
minimum the case should be remanded for resentencing.
IX. B. Appellant’s Sentence is Void because Appellant was
Sentenced under
Federal Sentencing Guidelines that have been Ruled
Unconstitutional as
Applied in This Case
On Wednesday, January 12, 2005 United States Supreme Court
ruled in the
Booker and Fanfan cases and the validity of the U.S.
sentencing guidelines. Justice
Stevens opinion addresses the first question on appeal,
whether Blakely should be
affirmed, and the Court agrees it should. Justice Breyer
answers the second
question as to whether the Guidelines are constitutional.
Essentially, they are not,
but the invalid parts can be excised and the remainder can
stay as advisory but not
mandatory. U.S. v. Booker, Supreme Court Case No.: 04-104
and U.S. v. Fanfan,
Supreme Court Case No: 04-105. (Counsel did not specify the
page number of the
holding because Counsel does not have the published copy of
the decision as of
yet.)
“The Court held in these two cases that both courts
correctly concluded that
the Sixth Amendment as construed in Blakely does apply to
the Sentencing
Guidelines. In a separate opinion authored by Justice
Breyer, the Court concludes
that in light of this holding, two provisions of the
Sentencing Reform Act of 1984
(SRA) that have the effect of making the Guidelines
mandatory must be
56
invalidated in order to allow the statute to operate in a
manner consistent with
congressional intent.” U.S. v. Booker, Supreme Court Case
No.: 04-104 and U.S.
v. Fanfan, Supreme Court Case No: 04-105.
Thus, York’s conviction should be reversed and at minimum,
the case
should be remanded for resentencing.
X. The Use of the 2002 Version of the Federal Sentencing
Guidelines
Instead of the 1993 Guidelines Violated Ex Post Facto Clause
of
the United States Constitution.
In the instant case, the alleged offenses listed for groups
II, III, IV, V, VI all
occurred no later than 1993. According to the government,
this is when the intent
to transport the minors across state lines allegedly formed,
and when these crimes
occurred. Because the sentencing guidelines in effect in
2002 are more severe than
the guidelines in effect at the time York allegedly
committed the instant offense,
the 1993 version should be used to calculate his base
offense level.
It is well-established that the ex post facto clause in the
Constitution "forbids
the imposition of punishment more severe than the punishment
assigned by law
when the act to be punished occurred." Weaver v. Graham, 450
U.S. 24, 67 L. Ed.
2d 17, 101 S. Ct. 960 (1981).
In the instant case, the probation office correctly cites
that § 2G1.1 applies to
the offense of transporting individuals, including minors,
for the purpose of
prohibited sexual conduct. However, despite the fact the
offense conduct occurred
57
in 1993, the court used the 2002 version of the Federal
Sentencing Guidelines to
determine the York’s base offense level.
Under the 2002 version, § 2G1.1(c)(2) instructs that if the
offense involved
criminal sexual abuse, then § 2A3.1 should be used to
determine the offense level.
When applying § 2A3.1, the Defendant’s offense level becomes
27. Further,
additional enhancements are applicable under § 2A3.1 based
on the age of the
victims and whether the victims were under the care or
supervision of the York. As
a result, of these enhancements, the Defendant’s offense
levels for the offenses
listed in groups II, III, IV, V, and VI are increased
drastically.
Importantly, the 1993 version of the Federal Sentencing
Guidelines do not
contain a cross reference to § 2A3.1. Instead, U.S.S.G. §
2G1.1 (1993) provides
for a base offense level of 14 and no other enhancements
apply under this section.
Therefore, applying the 1993 Guidelines, York’s offense
levels should be
drastically lower than the offense levels listed in the PSI.
Therefore, in order to
comply with the ex post facto clause of the Constitution,
the 1993 version of the
Guidelines should have been applied at York’s sentencing.
Accordingly, York’s
sentence must be vacated.
CONCLUSION
58
For the reasons stated above, York respectfully requests
that this court
overturn his convictions. In the alternative, York requests
that this court vacate his
sentence and remand for re-sentencing consistent with the
arguments raised herein.
Respectfully Submitted,
_______________________
Attorney Adrian L. Patrick
Attorney for the Appellant
1044 Baxter Street
Athens, Georgia 30606
(706) 546-6631
CERTIFICATE OF COMPLIANCE
I certify that this brief complies with the type-volume
limitation set forth in
FRAP 32(a)(7)(B). This brief contains 13,950 words in 14
point Times New
Roman
59
typestyle.
___________________________
Adrian L. Patrick Bar #565945, Attorney for the Appellant
1044 Baxter Street Athens, Georgia 30606
CERTIFICATE OF SERVICE
I certify that a true and accurate copy of the foregoing has
been served via
regular U.S. mail, this 14th day of January, 2004, upon
Office of the Assistant U.S.
Attorney:
(1) Dean Daskal, AUSA
P.O. Box 2568
Columbus, GA 31902
_______________________________________________
Adrian L. Patrick Bar #565945, Attorney for the Appellant
1044 Baxter Street Athens, Georgia 3060
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