United States v. Thomas F. Johnson, J. Kenneth Edlin, and William L. Robinson, 337 F.2d 180, 4th Cir. (1965)
United States v. Thomas F. Johnson, J. Kenneth Edlin, and William L. Robinson, 337 F.2d 180, 4th Cir. (1965)
2d 180
I. THE INDICTMENT
A. FIRST COUNT-- CONSPIRACY
1
The appellants attack the validity of count one on two broad fronts. First, they
say that in general conspiracy indictments should not be tolerated because of
the abuses which they engender. Second, they contend that this particular
indictment is defective in a number of ways.
have been repeatedly upheld. The net effect of the Court's expressions of
concern is an admonition to scrutinize carefully the allegations of such
indictments and the proof adduced in their support.
2. Specific Attacks on First Count
4
The appellants insist that count one is indefinite and vague and fails to inform
them of the charge alleged. Our reading of the count does not confirm this
contention. The count alleges a conspiracy 'to defraud the United States.'
Subparagraphs (a) to (d) of paragraph 14, summarized above, enumerate four
governmental functions and rights which are alleged to have been defrauded. It
was not necessary to allege that the Government had been defrauded of money
or property. Section 371 has consistently been interpreted to support an
indictment charging that a lawful function of the Government has been
interfered with or obstructed. Hammerschmidt v. United States, 265 U.S. 182,
44 S.Ct. 511, 68 L.Ed. 968 (1924); Curley v. United States, 130 F. 1 (1st Cir.),
cert. denied, 195 U.S. 628, 25 S.Ct. 787, 49 L.Ed. 351 (1904); Haas v. Henkel,
216 U.S. 462, 30 S.Ct. 249, 54 L.Ed. 569 (1910).
b. Duplicity
Because count one alleges both Johnson's speech and his discussions with
members of the Justice Department, the appellants maintain that it is
duplicitous. The short and, we think, sufficient answer is that the indictment
charges only one conspiracy-- to defraud the United States-- and this is not
changed by the assertion of more than one means used to accomplish the
object. 'The conspiracy is the crime, and that is one, however diverse its
objects.' Frohwerk v. United States, 249 U.S. 204, 210, 39 S.Ct. 249, 252, 63
10
We must also reject the argument that count one was fatally defective because
it failed to charge any false statement, misrepresentation or deceit. In
Hammerschmidt v. United States, 265 U.S. 182, 188, 44 S.Ct. 511, 512, 68
L.Ed. 968 (1924), the Supreme Court defined the word 'defraud' as used in
what is now section 371:
11
'To conspire to defraud the United States means primarily to cheat the
government out of property or money, but it also means to interfere with or
obstruct one of its lawful governmental functions by deceit, craft or trickery, or
at least by means that are dishonest.'
12
Since Hammerschmidt, numerous cases have held that the payment of money
by a private person to an official of the Government for the performance of an
official act constitutes a fraud. United States v. Manton, supra; Glasser v.
United States, 315 U.S. 60, 62 S.Ct. 457, 86 L.Ed. 680 (1942); May v. United
States, supra; United States v. Bowles, 183 F.Supp. 237 (S.D.Me.1958).
Glasser really closed the debate. There the Court, citing Hammerschmidt, said:
13
'The indictment charges that the United States was defrauded by depriving it of
its lawful governmental functions by dishonest means; it is settled that this is a
'defrauding' within the meaning of (section 371) of the Criminal Code.' 315
U.S. at 66, 62 S.Ct. at 463.
14
15
16
Appellant Edlin contends that the conspiracy count must fail because it was
impossible to defraud the United States in connection with the criminal charge
pending against him. His position is that it was not within the power of the
Department of Justice to effectuate a postponement of the trial or a dismissal of
the indictment, because that power was solely in the court. The argument is
e. Congressional privilege
18
19
20
This is the first case, within our knowledge, squarely raising the question
whether the congressional privilege deprives a court of jurisdiction to try a
member on a criminal charge of accepting money to make a speech in the
House of which he is a member.
21
22
their lives and lands; therefore of their liberties.' 3 Howell, State Trials, 296,
306. The decision was very unpopular and contributed to the eventual downfall
of Charles.8
23
Immediately after the Revolution of 1688, Parliament enacted the Bill of Rights
containing the following declaration: 'That the freedom of speech, and debates,
and proceedings in Parliament, ought not to be impeached or questioned in any
court or place out of Parliament.' Since then the privilege of speech and debate
has never been questiond or denied.
24
The scope of the privilege is demonstrated in the English case, Ex parte Wason,
4 Q.B. 573 (1869). There the English court held that a conspiracy by a number
of persons, including members of the House of Lords, to make false statements
in the House was not an offense at law, because the courts were powerless to
question the motives and intentions of members when speaking before the
Parliament.
25
26
'The privilege of having their debates unquestioned, though denied when the
members began to speak their minds freely in the time of Queen Elizabeth, and
punished in its exercise both by that princess and her two successors, was soon
clearly perceived to be indispensable and universally acknowledged. By
consequence, whatever is done within the walls of either assembly must pass
without question in any other place. For speeches made in Parliament by a
member to the prejudice of any other person, or hazardous to the public peace,
that member enjoys complete impunity. For every paper signed by the speaker
by order of the House, though to the last degree calumnious, or even if it
brought personal suffering upon individuals, the speaker cannot be arraigned in
a court of justice. But if the calumnious or inflammatory speeches should be
reported and published, the law will attach responsibility on the publisher. So if
the speaker by authority of the House order an illegal act, though that authority
shall exempt him from question, his order shall no more justify the person who
executed it than King Charles's warrant for levying ship-money could justify
his revenue officer.'
27
Early in the history of the American colonies, the privilege of speech was
recognized,9 and many of them placed it in their constitutions when they
achieved independence.10 'The provision in the United States Constitution was
a reflection of political principles already firmly established in the States.'
Tenney v. Brandhove, 341 U.S. 367, 373, 71 S.Ct. 783, 786, 95 L.Ed. 1019
(1951).
28
29
'These privileges are thus secured, not with the intention of protecting the
members against prosecutions for their own benefit, but to support the rights of
the people, by enabling their representatives to execute the functions of their
office without fear of prosecutions, civil or criminal. I, therefore, think that the
article ought not to be construed strictly, but liberally, that the full design of it
may be answered. I will not confine it to delivering an opinion, uttering a
speech, or haranguing in debate, but will extend it to the giving of a vote, to the
making of a written report, and to every other act resulting from the nature and
in the execution of the office. And I would define the article as securing to
every member exemption from prosecution for everything said or done by him
as a representative, in the exercise of the functions of that office, without
inquiring whether the exercise was regular, according to the rules of the House,
or irregular and against their rules. I do not confine the member to his place in
the House; and I am satisfied that there are cases in which he is entitled to this
privilege when not within the walls of the representatives' chamber.'
30
31
32
'The claim of an unworthy purpose does not destroy the privilege. Legislators
are immune from deterrents to the uninhibited discharge of their legislative
duty, not for their private indulgence but for the public good. One must not
expect uncommon courage even in legislators. The privilege would be of little
value if they could be subjected to the cost and inconvenience and distractions
of a trial upon a conclusion of the pleader, or to the hazard of a judgment
against them based upon a jury's speculation as to motives. The holding of this
Court in Fletcher v. Peck, 6 Cranch 87, 130, 3 L.Ed. 162, that it was not
consonant with our scheme of government for a court to inquire into the
motives of legislators, has remained unquestioned.' 341 U.S. at 377, 71 S.Ct. at
788.
33
34
What we have said thus far is, we think, generally accepted. The question with
which we are faced is whether these general principles become inapplicable
when bribery is a motivating factor for making a speech in a legislative
chamber. The Australian courts have considered the effect of the privilege
where criminal prosecutions were brought against legislators for taking bribes
to cast their votes and held that the privilege did not protect accused legislators.
Regina v. White, 13 S.C.R. (N.S.W.) 332 (1875); Rex v. Boston, 33 C.L.R. 386
(1923). See also the Canadian case of Regina v. Bunting, 7 O.R. 524 (1885).
These cases are not binding on us but we consider them, especially as they bear
on the historic concept of the privilege.
35
While it is true that count one of the indictment alleges a 'conspiracy to defraud
the United States' and not bribery, the District Court, by citing federal and state
statutes which make the acceptance of a bribe a criminal act, recognized the
close relation between the two.15 The District Judge also noted that in no
instance has the constitutionality of either the federal or a state bribery statute
ever been questioned. Reasoning by analogy from these statutes and the state
cases decided under them-- which do not, however, discuss the constitutional
question-- the Judge concluded that 'the prosecution of a Member of Congress
for receiving money from a private person for making a speech on the floor of
the House would not be barred by Art. 1, sec. 6, cl. 1 of the Constitution.' 215
F.Supp. 300, 307 (D.Md.1963).
36
Basic to the conclusion of both the District Judge and the Government is the
reasoning that 'to hold Count One of the present indictment barred by the
privilege would subvert rather than advance the purpose for which the privilege
exists-- the independence of the legislator in the fulfillment of his public trust.'
215 F.Supp. at 307. It would be less than candid to deny the appeal of this
reasoning, for one readily perceives a difference between fearless speech and
corrupt speech, but after deliberate consideration we must reject the District
Court's conclusion.
37
38
Federal cases discussing the privilege have repeatedly held that the good or bad
faith of the member making the speech is immaterial. Indeed this is precisely
the teaching of Tenney. In Cochran v. Couzens, 42 F.2d 783 (D.C.Cir.), cert.
denied, 282 U.S. 874, 51 S.Ct. 79, 75 L.Ed. 772 (1930), for example, the
complaint alleged that a Senator 'maliciously, wilfully, falsely and wrongfully'
delivered a 'scandalous, malicious and defamatory slander' in a speech on the
floor of the Senate. In affirming the District Court's dismissal of the complaint,
the court held that 'the words forming the basis of plaintiff's action were uttered
in the course of a speech in the chamber of the Senate of the United States, and
were absolutely privileged and not subject to 'be questioned in any other place."
42 F.2d at 784. The court added:
39
'It is manifest that the framers of the Constitution were of the view that it would
best serve the interests of all the people if members of the House and Senate
were permitted unlimited freedom in speeches or debates. The provision to that
end is, therefore, grounded on public policy, and should be liberally construed.
Presumably legislators will be restrained in the exercise of such a privilege by
the responsibilities of their office. Moreover, in the event of their failure in that
regard, they will be subject to discipline by their colleagues. Article 1, 5.' 42
F.2d at 784.
40
41
42
Coffin v. Coffin, which was quoted at length by the Supreme Court in both
Kilbourn and Tenney, emphasized that the privilege belongs to the Congress
and was developed for the benefit of Congress as a whole. This does not mean
that a member of Congress is immune from sanction or punishment. Nor does it
mean that a member may with impunity violate the law; it means only that the
Constitution has clothed the House of which he is a member with the sole
authority to try him. In this respect the Constitution has made the Houses of
Congress independent of other departments of the Government. These bodies,
the Founders thought, could be trusted to deal fairly with an accused member
and at the same time do so with proper regard for their own integrity and
dignity.
43
44
'It is not necessary to decide here that there may not be things done, in the one
House or the other, of an extraordinary character, for which the members who
take part in the act may be held legally responsible. If we could suppose the
members of these bodies so far to forget their high functions and the noble
instrument under which they act as to imitate the Long Parliament in the
execution of the Chief Magistrate of the nation, or to follow the example of the
French Assembly in assuming the function of a court for capital punishment we
are not prepared to say that such an utter perversion of their powers to a
criminal purpose would be screened from punishment by the constitutional
provision for freedom of debate.' 103 U.S. at 204-205.
45
From the illustrations hypothesized in the caveat, it is plain that the Court
envisioned a situation so extreme that the Congress as a whole, because of its
All will agree that when a congressman accepts compensation for a speech, his
act is reprehensible. However, the privilege being applicable, courts are barred
from exercising jurisdiction, and the duty falls upon the House of Congress to
punish its offending member. It is not an unfamiliar concept to bar a conviction,
regardless of how contemptible the defendant's act may be, in order to protect
and preserve an important constitutional principle. This is precisely the doctrine
underlying the innumerable cases involving violations of the Bill of Rights and
the Fourteenth Amendment. No better examples need be cited than the recent
cases of Mapp v. Ohio16 and Gideon v. Wainwright.17
47
48
A practical reason exists for invoking the congressional privilege, which meets
the objective of the constitutional provision. The design is to promote the
independence of all congressmen. To avoid restraint on free expression on the
floor of either House, protection is given against the hazard and harassment of
inquiry in any court. It is no answer, therefore, to say that if the accused
member is innocent of accepting a bribe he has nothing to fear. A groundless
charge may be sufficient to destroy him at the polls. Moreover, the process of
indictment by a grand jury and inquiry in a court may itself be so devastating
that an innocent congressman may well fear it.
49
It is interesting to note that the Supreme Court has recently used a similar
approach in related areas involving potential impediments on constitutional
rights. Discussing the oath condemned in Baggett v. Bullitt, 377 U.S. 360, 84
S.Ct. 1316, 12 L.Ed.2d 377 (1964), Mr. Justice White said:
50
'The uncertain meanings of the oaths require the oath-taker-- teachers and
public servants-- to 'steer far wider of the unlawful zone', Speiser v. Randall,
357 U.S. 513, 526, 78 S.Ct. 1332, 1342, 2 L.Ed.2d 1460, than if the boundaries
of the forbidden areas were clearly marked. Those with a conscientious regard
for what they solemnly swear or affirm, sensitive to the perils posed by the
oath's indefinite language, avoid the risk of loss of employment, and perhaps
Similarly in New York Times Co. v. Sullivan, 376 U.S. 254, 278, 84 S.Ct. 710,
11 L.Ed.2d 686 (1964), the Court said:
52
53
54
"It does indeed go without saying that an official, who is in fact guilty of using
his powers to vent his spleen upon others, or for any other personal motive not
connected with the public good, should not escape liability for the injuries he
may so cause; and, if it were possible in practice to confine such complaints to
the guilty, it would be monstrous to deny recovery. The justification for doing
so is that it is impossible to know whether the claim is well founded until the
case has been tried, and that to submit all officials, the innocent as well as the
guilty, to the burden of a trial and to the inevitable danger of its outcome, would
dampen the ardor of all but the most resolute, or the most irresponsible, in the
unflinching discharge of their duties. Again and again the public interest calls
for action which may turn out to be founded on a mistake, in the face of which
an official may later find himself hard put to it to satisfy a jury of his good faith.
There must indeed be means of punishing public officers who have been truant
to their duties; but that is quite another matter from exposing such as have been
honestly mistaken to suit by anyone who has suffered from their errors. As is so
often the case, the answer must be found in a balance between the evils
inevitable in either alternative. In this instance it has been thought in the end
better to leave unredressed the wrongs done by dishonest officers than to
subject those who try to do their duty to the constant dread of retaliation.' * * *
Gregoire v. Biddle, 2 Cir., 177 F.2d 579, 581.' 376 U.S. at 302-303, 84 S.Ct. at
738.
55
56
57
58
It is conceded that none of the services recited in the indictment was rendered in
Maryland. The charge is that Johnson received seven checks-- one for each of
counts 2 to 8-- and that he deposited them all in a Maryland bank. Four of the
checks (counts 3 to 6) were drawn on a Maryland bank and three (counts 2, 7
and 8) on a Florida bank. The appellants contend that Maryland was not the
proper district in which to try these substantive counts because the checks were
delivered to Johnson in Washington, D.C., and that was where 'compensation'
was received.
59
60
In the case of Burton v. United States, 196 U.S. 283, 25 S.Ct. 243, 49 L.Ed. 482
(1905), the Supreme Court had occasion to pass upon the nature of checks as
compensation. The indictment in that case charged the defendant, a United
States Senator, with the receipt of various checks at St. Louis, Missouri. The
case was tried in the United States District Court of Missouri where the
evidence showed that the checks, drawn on a St. Louis bank, were in fact
delivered in Washington, D.C. The defendant contended, unsuccessfully in the
District Court, that Washington, not Missouri, was the proper venue.
61
The Supreme Court noted that after the defendant received the checks in
Washington he endorsed and deposited them in a Washington bank. After a
detailed discussion of the relevant banking laws, the Court concluded that the
Washington bank became the owner of the checks upon Burton's endorsement
and was not his agent for collection from the St. Louis bank. The Court then
held:
62
'All this made a payment at Washington, and as a result there was a total lack of
evidence to sustain the sixth, seventh, eighth, and ninth counts of the
indictment. The court should have, therefore, directed a verdict of not guilty on
those counts.' 196 U.S. at 304, 25 S.Ct. at 248.
63
The case makes it clear that the place of the delivery of a check is not the sole
determinative of venue. If it were, the Court's wrestling with banking laws to
determine where the payment of the check occurred would have been needless
and irrelevant. United States v. Lotsch, 102 F.2d 35 (2d Cir. 1939).
64
Burton does not supply the answer as to venue for all of the substantive counts,
but it is conclusive as to counts 3 to 6. In these counts it was alleged that
Johnson received checks drawn on one Maryland bank and deposited them in
another Maryland bank. Maryland banking law, unlike that in force in
Washington, D.C., at the time of the Burton case, designates a bank in which a
check is deposited, as an agent for collection only. 1 Md.Code (1957), Art. 11
119, 121. This presents no problem as to counts 3 to 6, for the bank making
final payment, i.e., the drawee bank, and also the bank in which the checks
were deposited were both located in the District of Maryland.
65
The venue for counts 2, 7 and 8 is not as clear, because in these counts the
drawee bank was located in Florida, while the depositing bank was in
Maryland. Burton did not consider the effect on venue where the depositing and
paying banks are in different districts.20
66
The Government contends further that on these three counts venue in Maryland
can be supported on the theory that when a check is involved, 'compensation'
constitutes a continuing offense within the meaning of 18 U.S.C.A. 323721 and
that a prosecution can be brought for a violation of section 281 either where the
check was deposited or where it was paid. The proposition is well supported.
67
In Benson v. Henkel, 198 U.S. 1, 9, 25 S.Ct. 569, 570, 49 L.Ed. 919 (1905), a
prosecution for bribery, the indictment charged that 'the defendant unlawfully
gave to such officer, in the District of Columbia, certain sums of money, with
the intent to induce him to do an act in violation of his lawful duty * * *.' The
evidence showed that the defendant had mailed cash from California to the
District of Columbia. The contention was that venue lay in California, where
the cash was mailed, and not in Washington, where the case was tried. The
Court disagreed, noting that 'the case is treated as covered by 731 (now 18
U.S.C.A. 3237), providing that, when an offense is begun in one district and
completed in another it shall be deemed to have been committed in either, and
be tried in either, as though it had been wholly committed therein.'
68
69
We are fully advertent to certain language in the Burton case which, standing
alone, appears to cut the other way.
70
'This is not a case of the commencement of a crime in one district and its
completion in another, so that, under the statute, the court in either district has
jurisdiction. Rev.Stat. 731, U.S.Comp.Stat. 1901, p. 585. There was no
beginning of the offense in Missouri. The payment of the money was in
Washington, and there was no commencement of that offense when the officer
of the Rialto Company sent the checks from St. Louis to defendant. The latter
did not thereby begin an offense in Missouri.' 196 U.S. at 304, 25 S.Ct. at 248.
71
We agree with the District Court that the above language does not negative the
result we reach here. The Henkel and Burton cases were decided at the same
term, and the Supreme Court in Burton was merely rejecting a government
argument that one is guilty of receiving compensation at the moment a check is
sent by the payer. In the instant case the indictment alleged, and the proof
established, that Johnson both received and deposited the checks in Maryland.
72
We conclude, therefore, that the District of Maryland was a proper venue for
the prosecution of the substantive counts, 2, 7 and 8, as well as 3 through 6.
2. Application of Section 281 to Johnson
73
The purpose of section 281 is stated in United States v. Adams, 115 F.Supp.
731, 734-735 (D.N.D.1953):
75
'It (section 281) was aimed at preventing Congressmen, officers and employees
of the United States Government from using the weight of their positions or
their influence in connection with matters which were to be determined before
any department, agency, court martial, officer or commission and was to assist
in insuring the integrity of such department determinations.'
76
See also Burton v. United States, 202 U.S. 344, 368, 26 S.Ct. 688, 50 L.Ed.
1057 (1906).
77
The legislative history of the predecessor to section 281 makes it clear that
Congress considered and rejected a proposal to prohibit lawyer-congressmen
from appearing as counsel in courts. This policy decision continues to this day,
and its rationale is obvious. Governmental departments, agencies, etc., are
dependent upon Congress for support, and therefore these bodies are readily
susceptible to pressures from individual Senators and Representatives. Courts,
on the other hand, are surrounded by protections to assure their independence.
A lawyer-congressman's status and influence when he appears in open court are
entirely different when he intervenes in a departmental matter. This difference
was given legislative recognition.
78
79
'This is not a bill to prevent attorneys from practising in courts of law, but it is a
bill to prevent Representatives and Senators in Congress * * * from receiving a
compensation for advocating claims in the departments and before the bureaus
of the government * * *.' Cong. Globe, 38th Cong., 1st Sess. (1864), p. 561.
80
While Edlin in particular stresses this history, it does not support his contention.
The evidence was undisputed that Johnson did not enter his appearance in the
criminal case pending against Edlin. In fact, the attorney who did represent
Edlin in the criminal trial was not even aware of Johnson's efforts in behalf of
Edlin.
81
Edlin also argues that the indictment is defective because, 'the plain words of
281 confine its operation to services in proceedings pending before any
department, agency or officer of the Government.' As the District Court noted,
section 281 does not use the word 'pending.' 'The words 'before any department,
agency', etc. refer to where the services have been rendered or are to be
rendered, not where the proceeding or other matter is pending.' 215 F.Supp.
300, 316. The services alleged in the indictment were in relation to a matter in
which the United States was a party, namely the criminal charge pending
against Edlin; and the services were performed before a department, namely the
Department of Justice. As noted above, the Department did have a significant
role, and it had the power to take affirmative action as a result of Johnson's
visits. Counts 2 to 8 of the indictment as they pertain to Johnson are sufficient.
See Burton v. United States, 202 U.S. 344, 26 S.Ct. 688, 50 L.Ed. 1057 (1906);
United States v. Quinn, 111 F.Supp. 870 (E.D.N.Y.1953). Cf. United States v.
Waldin, 122 F.Supp. 903 (E.D.Pa.1954); United States v. Adams, 115 F.Supp.
731 (D.N.D.1953).
82
83
84
86
But the indictment before us is different from those in the above cited cases,
and the difference is decisive. This indictment does not charge that Robinson
and Edlin aided and abetted in the completion of the offense merely as payers.
It goes further. It charges them with a far more active role-- 'aiding, abetting,
counselling, commanding, inducing and procuring.' This charges conduct in
addition to the mere payment of money necessary to complete a violation of
section 281.24
II. DISCLOSURE OF THE GRAND JURY TRANSCRIPT
87
Prior to trial, Johnson moved for the production of his grand jury testimony. He
supported his motion with an affidavit setting forth his reasons. In part, the
affidavit reads:
88
'By reason of the length of the interrogation, the intensity at times with which it
was conducted and the fact that I was tired physically and mentally from my
work in the House of Representatives and my vigorous campaign for reelection
on the Eastern Shore, I do not recollect a considerable part of my testimony.'
89
90
Later, it was disclosed that the Government, before the trial, had permitted a
government witness to examine the witness' grand jury testimony. The witness'
attorney was accorded the same opportunity, and together they read a volume
of the transcript containing the witness' testimony and the testimony of others.
The appellants moved the court for the production of all the grand jury
testimony on the ground that the Government had breached 'the veil of secrecy'
usually surrounding grand jury records. This motion also, the court denied. But
the court made available to the appellants the volume of testimony revealed by
the Government. We find no error in either of these rulings.
91
91
92
93
Likewise, the fact that the Government, in preparation for the trial, disclosed a
volume of the transcript to one of its witnesses does not require the complete
abandonment of secrecy. Secrecy is maintained for the benefit of the grand jury
and for the betterment of grand jury proceedings. United States v. Smyth, 104
F.Supp. 283, 304 (N.D.Cal.1952). Where it becomes necessary to breach the
secrecy of the proceedings, it should be done 'discreetly and limitedly.' United
States v. Proctor & Gamble, 356 U.S. 677, 683, 7 S.Ct. 983, (1958). This is
what the Judge did. He repaired any possible damage to the defendants and
equalized the situation by permitting them to examine the same testimony
which was shown to the government witness.
III. SUFFICIENCY OF THE EVIDENCE
94
The appellants complain that the evidence is insufficient to support the verdict.
To a large extent their contentions merely repeat the arguments made in their
attack on the indictment. For example, arguing the insufficiency to support a
finding of a section 281 violation, Edlin reintroduces his concept of the
statutes,26 and follows through with the assertion that there was no evidence
showing a violation of section 281 as he defines it.
95
The trial was long, extending over eleven weeks, and the record is mammoth,
95
The trial was long, extending over eleven weeks, and the record is mammoth,
consisting of 41 volumes of 5600 pages of testimony and many exhibits. We
have closely examined this mass of material and have carefully considered the
arguments. To restate all of the evidence here would be a useless exercise. The
posture of the case, on appeal from a judgment of conviction, requires us to
view the evidence in the light most favorable to the Government. For the
present purpose, a condensed statement will suffice.
96
Appellant J. Kenneth Edlin was the dominating force in two Maryland savings
and loan associations, First Colony Savings and Loan Association and First
Continental Savings and Loan Association. Robinson was Edlin's associate and
an officer in each of these associations. According to Martin Heflin, a public
relations man, Edlin and Robinson consulted him in April, 1960, about the
possibility of having a speech delivered in Congress in behalf of savings and
loan institutions. Robinson made an initial draft of such a speech and sent it to
Heflin who edited it and inserted the words 'Mr. Speaker' at appropriate places.
Heflin, however, pointed out to Robinson and Edlin that there was no reason to
make the speech at that time, and that no one 'could be justified in making a
speech.'
97
The next month, May, 1960, Heflin, Edlin and Jackson Rains, an accountant for
First Colony, met with Congressman Johnson in a Washington restaurant where
they discussed the situation of Maryland savings and loan associations. Johnson
asked Heflin to send him a resume of the meeting.
98
On June 30, 1960, Johnson delivered the speech on the floor of the House of
Representatives. Johnson testified that the speech was prompted by an
unfavorable newspaper article in the May 27, 1960, edition of the Washington
Star, and by his own desire to create a political issue for the upcoming
congressional election. The newspaper article, however, was a relatively minor
one and appeared on an inside page. On cross-examination Johnson admitted
that he never had any complaints from his constituents concerning the article or
even about savings and loan associations in general, and that no constituent had
requested him to make a speech. He also admitted that he made no mention of
the speech either in his customary weekly newsletter to constituents or during
his campaign.
99
Johnson also testified that his administrative assistant, Manual Buarque, wrote
the speech with the aid of information supplied by Heflin. Buarque testified to
the same effect. But other evidence cast grave doubt on the truthfulness of this
testimony. Another version of the authorship of the speech came from
Accountant Rains, who testified that immediately before or after the speech
was delivered Edlin showed him a copy. Rains also testified that on July 4,
1960, on a plane trip from Maryland to Florida, Robinson and Edlin joked
about the authorship of the speech. His testimony was:
100 'Everyone was in good spirits. Mr. Edlin and Mr. Robinson were sitting
together and they were showing the speech back and forth and saying, jokingly,
or facetiously, 'How do you like the speech I wrote,' and the other one would
say, 'What do you mean, you wrote it? I wrote it,' and that sort of thing.'
101 Ten days before the speech, Robinson sent Johnson a check for $500. Both men
claimed at the trial that it was a campaign contribution, but the evidence
showed that when the check was drawn Robinson's bank account was
insufficient to cover the sum, and that immediately thereafter he deposited a
$300 check from First Colony. First Colony recorded the check as a legal
expense.
102 First Continental Savings and Loan thereafter ordered 50,000 reprints of the
speech, underlined in red at significant portions and used to attract depositers.
103 It is important to note here that as of 1959, Edlin, together with Rains and First
Colony, were under indictment in the District Court of Maryland for mail fraud.
Rains testified that when Edlin showed him the speech, he reassured him about
the pending indictment. According to Rains, Edlin said 'You see, we have
friends on the Hill-- we have nothing to fear on our indictment. These people
are interested in us and the injustice we have been done.'
104 The testimony of Edlin's secretary, Mrs. Sadie Goldman, was significant. She
testified that in the first week of June, 1960, (before the speech) Edlin came
into the office in an unusually good mood and told her: 'Well, I have made a
new contact. There is no stopping us now. The sky's the limit. We'll have a
chain of banks, Sadie, we are going to be rich. Seriously, Sadie, it is a
Congressman.' She also testified that she later asked Robinson why Edlin was
so excited. Robinson asked her if she had ever heard of Congressman Johnson,
and when she said she had not, Robinson told her, 'You will hear plenty about
him now. He is on our payroll. It is costing Ken (Edlin) plenty.'
105 Johnson claimed at the trial that when he made the speech he did not know that
an indictment was pending against Edlin. Buarque, the Congressman's
administrative assistant, testified that he was aware of the indictment but did not
inform Johnson. In closing arguments, the Government maintained that in the
context of the events both Johnson's and Buarque's testimony was 'incredible.'
106 In addition, Mrs. Goldman said that in July, 1960, she asked Robinson what
would happen to her job if Edlin were convicted. Robinson replied, 'You have
nothing to worry about. The Congressmen are being paid well and Ken (Edlin)
will never go to jail. Don't worry.'
The evidence is uncontradicted that Congressman Johnson did receive the
107 checks mentioned in the indictment and that when he, together with
Congressman Boykin, spoke to the Attorney General and other members of the
Justice Department in behalf of Edlin, he did not tell them that he was
appearing as an attorney.
108 Both Robinson and Edlin conferred with Johnson a number of times as to the
best approach to the Department. Robinson also prepared an analysis of the
indictment for presentation to the Justice Department.
109 Louis Goldman, an attorney, testified that 'Mr. Edlin from time to time would
say that he had nothing to worry about the indictment. That his friends on the
Hill would take care of it for him and that everything would turn out all right.'
In response to the question whether Edlin ever referred to costs, Goldman
answered: 'From time to time Mr. Edlin would say that it is costing him a lot of
money and that the cost is eating him up.' He also testified that on one
occasion, noticing that Edlin looked worried-110 'I asked him what was wrong, and at that time he told me that he was concerned
with the fact that Congressman Boykin and Congressman Johnson were not
getting anywheres with his indictment; that it was costing him a lot of money.
When I asked him what he meant by that, he stopped for a minute, looked at
me, and said, 'Forget it.' That was the end of that.'
111 At the trial the appellants claimed that the checks listed in the indictment
represented payments to Johnson for valid legal services. It was the
Government's contention that to a large extent the alleged legal services were
either performed by other attorneys or not performed at all. Our examination of
the record leads to the conclusion that there was ample basis, both in the
testimony in chief and in cross-examination of Johnson and Robinson, for the
jury to believe that the appellants' explanation for the checks was false and that
the money was paid to Johnson for making the speech and for using his
influence in the Department of Justice.
112 For example, in his direct testimony Johnson related that he had performed
legal services on 305 mortgages to the Cassell Land Company. His testimony
was that over $1,600,000 was involved and that his job was to review the
mortgages, half of which he found to be defective. To correct the defects, he
testified, he and another lawyer drew up one confirmatory mortgage. On crossexamination, he said he could not remember giving this testimony on direct, but
repeated that there was a confirmatory mortgage. However, it was shown that
before the Montgomery County Grand Jury he swore that he redrafted each of
the defective mortgages. Faced with the conflict, he admitted that the grand
jury testimony was incorrect. The prosecution then confronted him with a
prepared statement he had issued, to the effect that 'new indentures had to be
made to correct the mistakes (in the mortgages)'. In addition to this obvious
conflict, he then acknowledged on cross-examination that he did not prepare the
confirmatary mortgage, but that another lawyer did.
113 Again, in direct testimony Johnson had said in reference to a proposed loan to
the Savarin Development Corporation: 'I did participate in the preparation of
the entire loan agreement, the mortgages.' Yet he later conceded that he did not
mention the loan to the grand jury and, on cross-examination, stated that
Robinson actually prepared the loan papers.
114 Two attorneys who assertedly worked with Johnson testified that they and not
Johnson performed the legal work. One, Carrico, testified that shortly before
the trial Johnson visited him and asked him to sign a prepared statement
concerning Johnson's legal services. Carrico refused because the proffered
statement recited that Johnson had visited him to discuss a foreclosure-- a
statement Carrico would not confirm and his records did not reflect.
115 Moreover, Johnson introduced into evidence many legal documents on which
he had placed penciled notations. On cross-examination, however, a revealing
light was shed when it was shown that Johnson had earlier given photostats of
these same documents to the FBI and that the photostats were without the
penciled marginal notes. Johnson had also furnished the FBI a photostat of a
letter he had allegedly written to Robinson discussing the validity of a long
agreement. The letter bore a Berlin, Maryland, return address, but its
authenticity was impeached by the telephone company's records showing that
throughout the day the letter was supposed to have been written in the town of
Berlin, on the Eastern Shore of Maryland, Johnson placed long distance phone
calls from his Washington office.
116 Robinson testified that Johnson was on a retainer, yet a statement he made to
the FBI did not reflect this. On the contrary, in the FBI report, which he signed,
he declared that particular checks were paid to Johnson for specific legal
services. The checks, specified in the indictment, aggregating $17,550, which
the appellants now claim were for legal services, are far in excess of the $6000
to $7500 claimed by Robinson in his interview with the FBI agent.
117 This testimony is representative of much more to the same effect. If believed by
the jury, as it obviously was, it is more than sufficient to support the jury's
verdict.
IV. ALLEGED PREJUDICIAL TRIAL ERRORS
A. FBI AGENTS' TESTIMONY
118 At trial, the defense insisted that the checks specified in the indictment were
payments to Johnson for legitimate legal services. Robinson and Johnson so
testified. They both also testified that Johnson was on a retainer from the
savings and loan associations controlled by Edlin.
119 To rebut this testimony, the Government called as a witness the FBI agent who
had interviewed Robinson on January 11, 1962. In the course of the interview
the agent made notes, then returned to his office, and, from these notes,
dictated a narrative statement which was subsequently typed and presented to
Robinson. Robinson read, corrected and signed the statement. A copy was
given to him.
120 The agent testified that in the interview Robinson made no mention of any
retainer fee having been paid to Johnson. He also testified that after the
statement was signed Robinson added that the total fees paid to Johnson were
between $6000 and $7500. If believed by the jury it meant that the appellants'
evidence that Johnson was on a retainer was probably false. The suggested
inference is that if he were on a retainer, as now claimed, Robinson would have
mentioned this fact to the agent. Moreover, the $6000 to $7500 testified to by
the agent as the sum Robinson claimed to be the total legal fees, was far below
that claimed by the appellants at the trial.
121 On cross-examination, the agent stated that after he dictated Robinson's
statement he destroyed the interview notes in accordance with the then
customary FBI procedure. The completed and signed statement of Robinson,
which was made part of the agent's report, was retained in the FBI files. The
agent further testified that while he was not aware at the time of the interview
that Robinson was being investigated, he did recognize the possibility that
Robinson might be called as a witness in a prosecution against Johnson.
Robinson moved to strike the agent's entire testimony for the reason that the
original notes of the interview had been destroyed. The court denied the motion
and ruled the evidence admissible against Robinson, though not against Edlin.
122 Another FBI agent testified to an interview he had with Johnson's
administrative assistant, Manuel Buarque. This agent's testimony was offered in
rebuttal of certain testimony given by Buarque as a defense witness. At the
interview, the agent made notes from which he later prepared his report.
Buarque did not sign the report. Johnson's counsel moved that the agent's
testimony be stricken because of the destruction of the notes. Again the trial
court denied exclusion. Buarque, like Robinson, was furnished a copy of the
report.
123 Appellant Robinson argues that the destroyed notes were a produceable
'statement' under the Jencks Act, 18 U.S.C.A. 3500, and that their willful
destruction by the FBI required the agents' testimony to be stricken.27 If the
notes can qualify as a 'statement,' a serious question arises.
124 This is not the first time that a court has been called upon to consider the effect
of the destruction of FBI interview notes. Campbell v. United States, 373 U.S.
487, 83 S.Ct. 1356, 10 L.Ed.2d 501 (1963); Killian v. United States, 368 U.S.
231 (1961); Ogden v. United States, 323 F.2d 818, 820-821 (9th Cir. 1963);
United States v. Greco, 298 F.2d 247 (2d Cir. 1961). Each time the problem has
arisen the FBI has claimed that the notes were destroyed as part of FBI routine.
This is really not a satisfactory answer. Where the agent testifies to matter he
claims not to be in the notes and the defendant insists on a different version, an
issue arises which may not be satisfactorily resolved in the absence of the
original notes. If the notes were available, they might confirm or refute one
version or the other. One of the purposes of both the Jencks decision and the
Jencks Act is to afford the defense an opportunity to impeach witnesses.
Palermo v. United States, 360 U.S. 343, 79 S.Ct. 1217, 3 L.Ed.2d 1287 (1959);
United States v. Wenzel, 311 F.2d 164, 171 (4th Cir. 1962). The destruction of
interview notes does not advance this purpose. Of course, a district court may
find as a fact that the notes were not a substantially verbatim record, or that
they were accurately copied into a report and then destroyed in good faith, but
the necessity for inquiries along this line can be avoided by the preservation of
notes until after the trial. Eliminating uncertainty may serve the interest of the
Government no less than the defendant.
125 However this may be, as we view the Jencks Act, the notes in question do not
qualify either as a 'statement' or as a 'report' as these terms are defined in the
Act. Subsections (a), (b) and (e) are pertinent.
126 '(a) In any criminal prosecution brought by the United States, no statement or
report in the possession of the United States which was made by a Government
witness or prospective Government witness (other than the defendant) to an
agent of the Government shall be the subject of subpena, discovery, or
inspection until said witness has testified on direct examination in the trial of
the case.
127 '(b) After a witness called by the United States has testified on direct
examination, the court shall, on motion of the defendant, order the United
States to produce any statement (as hereinafter defined) of the witness in the
possession of the United States which relates to the subject matter as to which
the witness has testified. * * *
128 '(e) The term 'statement', * * * in relation to any witness called by the United
States, means-129 '(1) a written statement made by said witness and signed or otherwise adopted
or approved by him; or
130 '(2) a stenographic, mechanical, electrical, or other recording, or a transcription
thereof, which is a substantially verbatim recital of an oral statement made by
said witness to an agent of the Government and recorded contemporaneously
with the making of such oral statement.'
131 The italicized portions require that the obtainable 'statement or report in the
possession of the United States' must be made by the witness, and the witness
must be a government witness. By its terms, the Act does not cover statements
made either by a defendant or by a defense witness.
132 The FBI agents' reports were within the Jencks Act because in each instance the
'report * * * was made by a Government witness * * * to an agent of the
Government.' Holmes v. United States, 271 F.2d 635 (4th Cir. 1959) Copies of
these verified statements were, as heretofore shown, in the defendants'
possession. Assuming that the notes the agents made when interviewing
Robinson and Buarque were 'substantially verbatim recital(s) of oral
statement(s),' they were at most statements of Robinson and Buarque, not
statements 'made by a Government witness.'
133 Both FBI agents testified to their present recollection of the interviews. It was
for the jury to consider the reliability and weight of their testimony, as
compared to the testimony given by Robinson and Buarque.
142 We have closely examined the numerous references to the record and find that
they do not show the claimed 'totality of prejudice.' The record attests the close
and careful attention the trial judge gave to questions of the admissibility of
evidence. Wherever necessary he instructed the jury that evidence admissible
only against certain appellants should not be considered against the others. We
have earlier in this opinion pointed out the dangers inherent in conspiracy trials,
but as long as Congress authorizes prosecutions for conspiracy and the
Supreme Court adheres to its holdings that the Constitution does not proscribe
them, we must rely in large measure on the alertness of district judges to protect
the interests of the individual defendants by properly cautioning the jury as to
the purpose and effect of particular items of testimony. Indeed, the problem is
potentially present whenever two or more defendants are jointly tried on any
charge. The District Judge showed himself sensitive to the delicacy of his
function as governor of the trial, and whenever the situation called for a
specific instruction to the jury, appropriate instruction was given.
143 Where the trial judge finds that a defendant has been unduly harmed or his trial
made unfair, he should in the interest of justice grant a new trial. United States
v. Decker, 51 F.Supp. 20, 25-26 (D.Md.1943). Upon full consideration, we
cannot say that Edlin had an unfair trial. In the particular rulings, and in the
totality of the trial we perceive no unfairness.
D. INSTRUCTIONS TO THE JURY
144 Each of the appellants presses the contention that certain portions of the court's
charge to the jury were erroneous. First, it is said that the court committed
reversible error in refusing to instruct the jury to acquit unless they found that
the alleged legal services performed by Johnson were a 'sham and pretense.'
The court refused the tendered instruction 'because there is no requirement on
the Government to prove sham and pretense.'
145 The Government did not claim, nor was it necessary for it to show, that Johnson
performed absolutely no legal services. The appellants' requested instruction, if
granted, was susceptible of being understood by the jury as requiring it to find a
set of facts beyond that charged by the Government. The court dealt with the
subject adequately and avoided the possibility of misunderstanding when it told
the jury that receipt of the compensation was illegal if it was, 'in whole or in
substantial part' for services rendered before the Department of Justice. This
was unquestionably appropriate to direct the jury to the issue impartially.
Burton v. United States, 202 U.S. 344, 26 S.Ct. 688, 50 L.Ed. 1057 (1906).
146 The appellants also contend that the District Court erred in refusing their
See pre-trial opinion of District Court, United States v. Johnson, 215 F.Supp.
300 (D.Md.1963)
2
See also United States v. Manton, supra, and May v. United States, supra,
where the same contention was raised and rejected
10
11
12
13
14
16
17
18
Art. I, 5, cl. 2 of the United States Constitution reads: 'Each House may
determine the Rules of its Proceedings, punish its Members for disorderly
Behaviour, and, with the Concurrence of two thirds, expel a Member.'
19
20
Justice Harlan dissented from the Court's opinion in Burton. He took the view
that the Washington bank in which Burton deposited the check was only an
agent for collection, and that the St. Louis bank, the drawee bank, was the bank
making final payment. Because of this position he, unlike the other Justices,
was required to consider the effect on venue where the depositing district and
the payment district are different. His conclusion was that venue was properly
22
This conclusion does not conflict with Justice Harlan's dissent in Burton, noted
in n. 20. The original prosecution against Senator Burton was brought in the
district where, as Justice Harlan concluded, final payment was made on the
check, i.e., Missouri. Justice Harlan held this to be proper. In the instant case,
had the original prosecution been brought in Florida, the situs of the drawee
bank, the continuing offense statute would have supported venue there, as well
as in Maryland
23
Cf. United States v. Holte, 236 U.S. 140, 35 S.Ct. 271, 59 L.Ed. 504 (1915)
24
In Bowles the indictment apparently averred only that the alleged aiders and
abettors had paid money. The court's opinion indicated no other acts of
assistance. The same is true of Nigro and Lott. Because of the difference
between these cases and ours, we are not required to rule on whether mere
payment would be sufficient to sustain a charge of aiding and abetting
25
Perhaps the most frequently cited justification for the practice is found in
United States v. Rose, 215 F.2d 617, 628-629 (3rd Cir. 1954). There the court
summarized the reasons for the rule as follows:
'(1) To prevent the escape of those whose indictment may be contemplated; (2)
to insure the utmost freedom to the grand jury in its deliberations, and to
prevent persons subject to indictment or their friends from importuning the
grand jurors; (3) to prevent subornation of perjury or tampering with the
witnesses who may testify before grand jury and later appear at the trial of
those indicted by it; (4) to encourage free and untrammeled disclosures by
persons who have information with respect to the commission of crimes; (5) to
protect innocent accused who is exonerated from disclosure of the fact that he
has been under investigation, and from the expense of standing trial where there
was no probability of guilt.'
26
27
'(d) If the United States elects not to comply with an order of the court under
paragraph (b) or (c) hereof to deliver to the defendant any such statement, or
such portion thereof as the court may direct, the court shall strike from the
record the testimony of the witness, and the trial shall proceed unless the court
in its discretion shall determine that the interests of justice require that a
mistrial be declared.'