United States v. Herbert Yagid, 528 F.2d 962, 2d Cir. (1976)

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528 F.

2d 962

UNITED STATES of America, Appellant,


v.
Herbert YAGID, Defendant-Appellee.
No. 265, Docket 75--1288.

United States Court of Appeals,


Second Circuit.
Argued Oct. 29, 1975.
Decided Jan. 5, 1976.

Michael C. Eberhardt, Sp. Atty. for the U.S. Dept. of Justice (Paul J.
Curran, U.S. Atty., S.D.N.Y., John D. Gordan, III, Asst. U.S. Atty., of
counsel), for appellant.
Herbert Yagid, pro se.
Before MULLIGAN, OAKES and MESKILL, Circuit Judges.
MESKILL, Circuit Judge:

On July 7, 1975 the District Court for the Southern District of New York
dismissed Indictment 73 Cr. 471 against Herbert Yagid on the ground that he
had not been retried, after a successful appeal, within the 90 day period
prescribed by Rule 6 of the Southern District's Plan for Achieving Prompt
Disposition of Criminal Cases ('the Plan'). The government appeals that
dismissal. It claims that the district court should not have dismissed the
indictment because, at the time of the order of dismissal, the 90 day period had
not yet expired. Rule 6 reads as follows:

2
'Where
a new trial has been ordered by the district court or a trial or new trial has
been ordered by an appellate court, it shall commence at the earliest practicable
time, but in any event not later than 90 days after the finality of such order unless
extended for good cause.'
3

The government contends that this Court's order for a new trial did not become
final on December 16, 1974, when its mandate was filed, but rather on April 14,

1975, when the Supreme Court denied Yagid's co-defendant's petition for writ
of certiorari. The government argues further that even if the earlier date applies,
good cause existed for the extension of the 90 day period. In short, it claims
that Rule 6 had not been violated and that, consequently, Judge Brieant's
dismissal of the indictment should be reversed.
4

A brief discussion of the facts is necessary to understand the government's


argument as well as our reasons for affirming the order of the district court.

Herbert Yagid, Jerry Allen, Salvatore Badalamente, Louis Stern and three
others originally were charged in a two-count indictment with conspiracy to
transport in interstate and foreign commerce forged, altered and counterfeit
passbooks and certificates of deposit obtained from various banks in violation
of 18 U.S.C. 371, and with the substantive crime of interstate transportation
of such passbooks and certificates of deposit in violation of 18 U.S.C. 2314
and 2. Allen and two other co-defendants pleaded guilty. The substantive count
was dismissed as to Badalamente, but he was tried before a jury on the
conspiracy count along with Yagid and Stern, who were also tried on the
substantive count. Allen testified as a government witness and all were found
guilty on all charges. Yagid and Badalamente appealed, advancing numerous
contentions why their convictions should be reversed. This Court concluded
that the government's suppression of material having substantial relevance to
Allen's credibility required a new trial for Yagid. Because Allen's testimony did
not implicate Badalamente in any manner, however, Badalamente could not win
a new trial on this ground. United States v. Badalamente, 507 F.2d 12, 18 (2
Cir. 1974), cert. denied, 421 U.S. 911, 95 S.Ct. 1565, 43 L.Ed.2d 776 (1975). In
the opinion on that appeal, this Court observed that another district judge
should preside at the new trial since Judge Carter, the presiding judge in the
first trial, might be required to testify about certain aspects of the suppression.
507 F.2d at 15.

Our mandate, dated December 12, 1974, was filed in the district court on
December 16, 1974. Badalamente petitioned for a writ of certiorari in the
Supreme Court on January 17, 1975, 43 U.S.L.W. 3529. Certiorari was denied
on April 14, 1975, 421 U.S. 911, 95 S.Ct. 1565, 43 L.Ed.2d 776 (1975).
Apparently, no one connected with Yagid's case made any efforts to have it
assigned for retrial until late February, 1975, when the Assistant United States
Attorney addressed telephone inquiries to Judge Carter's chambers about
reassignment, only to be told that the matter 'would be taken care of.' Someone
at the District Court Clerk's office erroneously told both parties that the case
had been reassigned to Judge Harold Tyler. After phone calls to Judge Tyler's
chambers failed to clarify matters, the government again was informed by the

Clerk's office that the case had been placed on Judge Tyler's docket. In midMarch, the government learned that all of Judge Tyler's cases were in the
process of being reassigned.1 Unfortunately, at no time did the government seek
to communicate in writing with Judge Carter, who had tried the case on its first
journey through the judicial system.
7

In mid-April, the government filed a Notice of Readiness in an attempt to


ascertain the whereabouts of the case. After learning that the notice had not
been docketed, the government, on April 30, 1975, filed a new Notice of
Readiness.2 In response thereto, Judge Carter, on May 23, 1975, sent a
memorandum to the District Court Assignment Committee which said:

8 have just received a notice of readiness for trial on or after May 5 (1975) in the
'I
above case. . . . (T)he opinion of the Court of Appeals suggests that I not preside at
the retrial. Apparently this development had not come to the attention of the
Assignment Committee, and the case has not yet been reassigned. I would suggest
that the reassignment proceed without delay, and that the Judge who is to preside
over the trial be advised that he may have to proceed with the trial of this case
promptly.'
9

By June 4, 1975 the Assignment Committee had reassigned the case to Judge
Brieant. Judge Brieant held a pretrial conference on June 20, 1975 where he
raised the issue of compliance with Rule 6. He heard oral argument on the point
on July 2, 1975 and, on July 7, 1975, filed a memorandum opinion and order
dismissing the indictment against Yagid without prejudice because the
government had failed to commence the retrial of the case within 90 days, as
required by Rule 6 of the Plan.

10

The memorandum opinion intimated that this Court is without power to effect
changes in the district court's docket and that '(a)ccordingly, notwithstanding a
recommendation of the Court of Appeals that a case 'should' be reassigned to
another judge, no reassignment should be expected to take place except upon
the initiation of the attorney for the Government or defendant, or on the
application of the Assigned Judge himself.' Before addressing the issues raised
on appeal, we should place in focus this Court's recommendation that a
different judge should preside over the new trial and the communication of that
observation to the court below.

11

The district court's apprehension that this Court is injecting itself into the
assignment process of the district courts is unwarranted. We did not suggest
who should preside over the retrial. We suggested who should not preside.3
When we believe that there is an inherent problem in a particular remand, we

have the power, indeed the duty, to frame our opinion to provide for 'further
proceedings . . . (which are) just under the circumstances.' 28 U.S.C. 2106.4
The fact that Judge Carter might be called as a witness at retrial warrants
assigning the retrial to a different judge. Such suggestions contained in
appellate opinions should not be deemed merely precatory because they are not
'ordered,' especially when a retrial is mandated.5 Rule 41(a) of the Federal
Rules of Appellate Procedure specifically provides that '(a) certified copy of the
judgment and a copy of the opinion of the court . . . shall constitute the mandate
. . ..'6 We emphatically reject the district court's notion that '(s)uch a provision
in an appellate opinion . . . does not, nor should it, effect, without more, an
automatic reassignment of the case.' (emphasis added) We now turn to the
issues raised on appeal.
I. Finality of the Order for Retrial
12

The government cites United States v. Roemer, 514 F.2d 1377 (2 Cir. 1975), as
authority for its position that the court's order for a new trial became final, not
on December 16, 1974, when the mandate was filed, but on April 14, 1975,
when Badalamente's petition for certiorari was denied. We find Roemer to be
distinguishable from the facts of this case and affirm the dismissal of the
indictment.

13

A superficial reading of Roemer might lead to the conclusion that it should be


controlling in the instant case. Closer scrutiny, however, leads us to hold
otherwise. Roemer was found guilty as a party to a conspiracy to defraud the
United States.7 The challenge to his conviction included a claim that his trial
had not begun within the time limit established by Rule 6 of the Plan. In
affirming the judgment of conviction, this Court held that the time limit for
Roemer's trial did not begin to run until his co-defendants' petition for certiorari
had been denied. The court found that even though Roemer had not petitioned
for certiorari, he 'plainly stood to benefit from his co-appellees' efforts in this
regard. The order directing a trial for Roemer did not therefore become final
until his co-appellees' attempt to overturn . . . (the appellate decision) came to
rest with the Supreme Court's denial of certiorari.' 514 F.2d at 1381 n. 4.

14

The posture of the instant case is significantly different. What Badalamente,


Yagid's co-defendant, sought by petitioning for certiorari was principally the
new trial already granted Yagid. The government contends, however, that in a
supplemental brief which Badalamente filed with the Supreme Court, he sought
review on the basis of a new ground, which, if successful, would have
benefitted Yagid by dismissal of the indictment.8 That is true. Nevertheless, the
instant case is clearly distinguishable from Roemer. Roemer did not prevail

when the government appealed the dismissal of his indictment. The Court of
Appeals ordered his indictment reinstated. His co-defendants sought certiorari
on the very issue on which Roemer lost. Had they prevailed in the Supreme
Court, Roemer clearly would have benefitted. Therefore, this Court properly
found that the order for Roemer's trial did not become final until his codefendants' petition for certiorari was denied. In addition, by delaying Roemer's
trial until the Supreme Court's disposition of the petition for certiorari, the
criminal justice system also benefitted, since a needless trial might have been
avoided. In the instant case, Yagid succeeded in winning a new trial.
Badalamente, his co-defendant, did not. Badalamente sought certiorari for the
very relief which Yagid had already won, plus dismissal of the indictment on
an additional ground, which, if successful, would have benefitted many people
under indictment, including Yagid.
15

In determining the proper limits of the 'benefit' test of Roemer, we must


consider the purpose of the speedy trial rules adopted by the district court
pursuant to Rule 50(b) F.R.Cr.P.9 The purpose of all the Plans for Achieving
Prompt Disposition of Criminal Cases has been to serve the public interest in
the prompt adjudication of criminal cases, and not 'primarily to safeguard
defendants' rights.' United States v. Flores, 501 F.2d 1356, 1360 n. 4 (2 Cir.
1974). Neither purpose would be served, however, by following Roemer in the
instant case. To expand Roemer beyond its factual setting, as the government
urges here, could mean that in this Circuit a defendant, by asserting spurious
claims in a petition for certiorari seeking greater relief than his co-defendant
has sought and won, could bind his co-defendant insofar as a speedy trial is
concerned. That result would neither serve the public interest in the prompt
adjudication of criminal cases nor an accused's interest in a speedy trial.
Therefore, we decline the invitation to expand Roemer further.

II. 'Good Cause' Extension of the 90 day Period


16
17

Finally, we address the government's claim that 'good cause' existed to extend
the 90 day period. It argues that such 'good cause' existed because it had made
diligent efforts to bring the case to trial, because Yagid had done nothing to
hasten the setting of a new trial date, and because this Court's clarification of
Rule 6 in United States v. Drummond, 511 F.2d 1049 (2 Cir. 1975), had been
issued two months after a new trial was ordered in the present case. We find
these contentions to be without merit. While there may have been no
prosecutorial misconduct here, certainly none of the administrative snafus in
this case can be charged to the defendant. The issuance of our Drummond
opinion still allowed the government one month to begin trial under the 90 day
rule. In both Drummond, supra, 511 F.2d at 1054, and Roemer, supra, 514 F.2d

at 1382, we found 'good cause' for extending the 90 day period but warned that
such delays in the future would not be tolerated. That future has arrived. We
hold that there was no good cause for extending the time.
18

Rule 6 does not specify the sanction to be applied in cases of non-compliance.


Because we recognize that the public has a dual interest of enforcing the
criminal laws and of upholding the Plan, United States v. Flores, supra, 501
F.2d at 1360 n. 4, we believe that the trial court has discretion to decide
whether dismissal should be with or without prejudice.10 A 'without prejudice'
disposition is not an abuse of discretion absent a clear showing of prosecutorial
misconduct, inordinate delay causing actual prejudice to the defendant, or other
circumstances weighing heavily against reindictment. Since there has been no
such showing made in this case, Judge Brieant properly dismissed the
indictment without prejudice.

19

Affirmed.
MULLIGAN, Circuit Judge (dissenting):

20

I think that United States v. Roemer, 514 F.2d 1377 (2d Cir. 1975) is
controlling here. In that case we held that the order directing a trial for Roemer
did not become final even though he did not pursue possible appellate reversal
because his co-appellees had sought certiorari and he 'stood to benefit' from
their efforts. 514 F.2d at 1381 n. 4. Here Yagid clearly would be benefited if his
co-defendant had succeeded in persuading the Supreme Court to dismiss the
indictment. He would not have to stand trial at all--the benefit here obviously
would be greater than the new trial sought in Roemer. How then does the
majority distinguish Roemer? We are told that the criminal justice system was
benefited since a needless trial might have been avoided in that case. Had
Badalamente succeeded in the Supreme Court in dismissing the indictment,
Yagid's retrial would have become perforce unnecessary. The fact that many
other defendants would have also benefited does not change the ratio decidendi
of Roemer. Badalamente was a co-defendant in Yagid's trial and hardly an
accidental or peripheral beneficiary.

21

We are also told by the majority that to expand Roemer would not serve the
public interest in the prompt adjudication of criminal cases nor the accused's
interest in a speedy trial. But Judge Smith pointed out in Roemer, 514 F.2d at
1381, that the public also has a concomitant interest 'in the punishment and
deterrence of criminal behavior.' Moreover, since the dismissal below was
without prejudice and Yagid can be reindicted, the question of 'speed' is not

now an issue. The trial court here also found that Yagid himself in any event
had not made any effort to bring the case to trial.
22

The majority finally warns that to extend Roemer could mean that a defendant,
by asserting 'spurious' claims 'in a petition for certiorari seeking greater relief
than his co-defendant has sought and won, could bind his co-defendant insofar
as a speedy trial is concerned.' The prospect of a defendant making a spurious
claim in order to prevent his co-defendant from enjoying the benefits of a
speedy trial is indeed far-fetched. If the majority simply means that irrespective
of intent the co-defendant who has taken no appellate steps is therefore
deprived of a speedy trial, the position is unrealistic. The prospect of no trial is
much more attractive than a speedy retrial to any normal criminal defendant. In
any event, there is nothing at all to suggest here that Badalamente's petition for
a writ of certiorari was spurious. Although the majority notes the United States
v. Crispino, 392 F.Supp. 764 (S.D.N.Y.1975) upon which he relied was
subsequently reversed in this court, it did represent the considered view of a
district court judge. We cannot therefore characterize a writ based on that
opinion as spurious. A defendant who is convicted has the untrammelled right
to appellate review and we cannot premise a re-trial rule upon the assumption
that the ground for the review is flimsy or phony. The co-defendants of Roemer
were also unsuccessful in obtaining certiorari but there is no indication in that
case that this court made any assessment of the odds of appellate success in
formulating its re-trial rule. In this case the minety-day period for the re-trial
under Rule 6 commenced when Badalamente's petition for certiorari was
denied on April 14, 1975. The Roemer rule thus spares the government and the
defendant the burden of an unnecessary trial if appellate review ultimately
exonerates the defendant; if review is not successful, the public's interest in the
punishment and deterrence of criminal behavior will be accommodated by
allowing re-trial within 90 days from the time review proves fruitless. It thus
seems to me that this case is well within the rationale of Roemer, that it does
not represent an expansion of that case, and that the distinctions proffered by
the majority are not at all meaningful.

23

I fully concur with that part of the majority opinion upholding the propriety of
the direction that on re-trial the case be assigned to a different district court
judge.

Judge Tyler had been appointed Deputy Attorney General of the United States.
He assumed his new duties on April 7, 1975

Since a Notice of Readiness is inapplicable to retrial of a case, the government

acknowledged that its only purpose in filing was to clear up the confusion
surrounding assignment
3

28 U.S.C. 137, cited by Judge Brieant to support his viewpoint, merely


provides for the division of business among district judges. The statute has no
relevance to an instruction from the Court of Appeals that another judge should
preside over retrial

28 U.S.C. 2106 in pertinent part provides:


'The Supreme Court or any other court of appellate jurisdiction may . . . remand
the cause and direct the entry of such appropriate judgment, decree, or order, or
require such further proceedings to be had as may be just under the
circumstances.'

See, United States v. Clark, 475 F.2d 240, 251 (2 Cir. 1973), where this Court
'advised' a hearing before a new judge because of the trial judge's prior decision
regarding suppression issues. See also, United States v. Rosner, 485 F.2d 1213,
1231 (2 Cir. 1973), cert. denied, 417 U.S. 950, 94 S.Ct. 3080, 41 L.Ed.2d 692
(1974); United States v. Bryan, 393 F.2d 90 (2 Cir. 1968)

See Nixon v. Richey, 513 F.2d 430, 435--437 (D.C.Cir. 1975)

The Rule 6 aspect of the Roemer decision evolved somewhat differently from
the situation in the instant case. In Roemer, the government had delayed
prosecution of the indictments while it attempted to secure one defendant's
extradition from Europe. The district judge to whom the case had been
assigned, upon motion by various defendants, dismissed the indictments
because the government was not ready for trial within the period specified by
the rules then in effect (Rule 4 of the Second Circuit Plan). The Court of
Appeals, finding excusable delay, ordered reinstatement of the indictments.
This is an order for trial by the Court of Appeals which normally would trigger
Rule 6. However, Roemer's co-defendants sought reversal of this appellate
decision by petitioning for certiorari. The district court delayed Roemer's trial
until disposition of the petition for certiorari. Because of administrative
mishaps, more than ninety days elapsed from the date of the Supreme Court's
denial of certiorari until Roemer's trial began. Prior to trial Roemer moved to
dismiss the indictment because of an alleged Rule 6 violation; after that motion
was denied, the trial proceeded and Roemer was convicted

The new ground was based upon an opinion of the district court, dated
February 13, 1975, in United States v. Crispino, 392 F.Supp. 764
(S.D.N.Y.1975), in which that court held that where the commission letter
authorizing a special 'Strike Force' attorney to appear before the grand jury did

not describe the type of cases to be investigated, the appearance of that attorney
before the grand jury was unauthorized, and that indictments issued by that
grand jury must be dismissed. This Court summarily reversed Crispino, 517
F.2d 1395 (2 Cir. 1975), the same issue having been decided in favor of the
government in In re Persico, 522 F.2d 41 (2 Cir. 1975)
9

From 1971 through 1973, the Second Circuit promulgated Rules Regarding the
Prompt Disposition of Criminal Cases. Rule 50(b), F.R.Cr.P. was then amended
to require the district courts to adopt such plans, subject to the approval of the
Judicial Council of the Circuit. The instant case falls within this set of rules
adopted by the Southern District of New York. Finally, Congress enacted a
new Speedy Trial Act in 1975, 18 U.S.C. 3161 et seq., which also contains a
retrial provision, but which is not effective even in part until July 1, 1976

10

Originally, the defendant-appellee had cross-appealed, claiming that the order


of dismissal should have been 'with prejudice.' This Court, before oral
argument, granted his motion to withdraw this cross-appeal. There is precedent
in this Circuit that dismissal for failure to comply with the Speedy Trial rules
should be with prejudice. See Hilbert v. Dooling, 476 F.2d 355 (2 Cir.) (en
banc), cert. denied, 414 U.S. 878 (1973); United States v. Flores, 501 F.2d
1356 (2 Cir. 1974). These cases, however, dealt with trial readiness
requirements, rather than retrials after appeals. Also, Hilbert involved Rule 4 of
the Second Circuit Rules which were in effect from 1971 to 1973 and have now
been superseded by district court rules adopted pursuant to Rule 50(b) F.R.Cr.P.
The Court there focused on the overall structure of the Rules, which delineated
a 'gamut of exceptions' to a dismissal with prejudice, and the specific language
of Rule 4, which contained verbal imperatives and dismissal of the 'charge'
rather than the indictment. 476 F.2d at 358. Rule 4 of the District Court Plan, at
issue in Flores, specifically mandated dismissal with prejudice unless the
government's neglect was excusable. Thus, neither case controls the issue of the
range of sanctions provided by Rule 6 of the District Court Plan

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