Henry et al v. County of Niagara et al
Filing
127
ORDER OF MAGISTRATE JUDGE HUGH B. SCOTTORDER denying 121 Motion for Judgment as a Matter of LawPlaintiffs' Motions under Fed. R. Civ. P. 50(b), 52(b), 59(a), (e), and 60(b) are denied for the reasons stated in this Order.So Ordered. Signed by Hon. Hugh B. Scott on 7/18/2014. (DRH)
UNITED STATES DISTRICT COURT
WESTERN DISTRICT OF NEW YORK
BEVERLY HENRY,
THADDEUS ROUGIER,
Plaintiffs,
Hon. Hugh B. Scott
10CV800
CONSENT
v.
Order
DEPUTY SHERIFF RAY TRACY, et al.,
Defendants.
Before the Court is plaintiffs’ motions (under different rules) for relief from the
judgment, namely (1) motion for judgment as a matter of law, pursuant to Federal Rule of Civil
Procedure 50(b), (2) for a new trial, pursuant to Rules 50(d) and 59(b), (3) to amend the
judgment, pursuant to Rule 59(e), or (4) for relief under Rule 60(b) (Docket No. 121) 1.
Following resolution of a conflict of interest with this Court and defense counsel, responses to
this motion were due by July 8, 2014, replies by July 15, 2014, and the motion was deemed
submitted (without oral argument) on July 15, 2014 (Docket No. 122). Familiarity with the facts
from prior proceedings and trial testimony is presumed.
BACKGROUND
This is a civil rights action commenced against the Niagara County Sheriff’s Department,
the County, and three deputies and a Sheriff’s Department investigator for the stop, detention,
1
In support of this motion, plaintiffs submit their attorney’s initial Declaration, Memorandum of Law,
Docket No. 121; and their counsel’s Reply Declaration, Docket No. 126. In opposition, defendants submit their
attorney’s Affidavit with Exhibits and Memorandum of Law, Docket No. 125.
and search of a vehicle approaching the Lewiston-Queenston Bridge on April 28, 2009. At issue
is the stop, search, and seizure of plaintiffs by defendant deputies and Niagara County Sheriff’s
Department investigator on April 28, 2009; familiarity with the basic facts is presumed from
proceedings had herein (see Docket No. 59, Report & Recommendation at 2-6; Docket No. 64,
Order). Following defense motion for summary judgment (Docket No. 50), plaintiffs’ second
cause of action for discrimination due to racial profiling and third cause of action for hindering
their interstate travel were dismissed (as well as claims against Niagara County and its Sheriff’s
Department) (Docket No. 64), the focus for trial was the legitimacy of defendants’ seizure of
plaintiffs for the duration of less than three hours. What remained for trial were the legality of
the nearly three hour detention and seizure of plaintiffs’ and their vehicle and the legality of
relocating the vehicle during that detention to conduct further investigation.
During the trial, plaintiffs argued that each event during the seizure merited
consideration; defendants continued to focus on the totality of events during the seizure, resisting
plaintiffs’ attempts to challenge searches conducted during that period.
A five-day trial was held on May 12-19, 2014 (Docket Nos. 106-10). The jury was given
a special verdict sheet with a series of questions. The first question addressed whether plaintiffs
consented to the seizure at issue. The jury then sent a series of notes to the Court (Docket
No. 113, Court Exs. 3A, 4A; see Docket No. 110; see also Docket No. 113, Court Ex. 8A (jury
seeking to discuss issues in outstanding notes with Court and counsel)), some of which were not
yet answered when they submitted its note that a verdict had been reached. The jury then had its
outstanding questions addressed, including a reminder of the relevant portion of the jury charge,
and the jury was ordered to resume deliberations with this additional information (Docket No.
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110; Docket No. 113, Court Ex. 9; cf. Docket No. 113, Court Ex. 5 (proposed jury instruction,
not given)). Thus informed, the jury returned and announced that it had reached a verdict for
defendants (Docket Nos. 113, Court Ex. 10A, 112). As plaintiffs argue (Docket No. 120, Pls.
Atty. Decl. ¶ 91), the jury stated that its questions were answered by the further instruction.
Judgment for defendants was entered on May 22, 2014 (Docket No. 115), with defendants later
filing their bill of costs (Docket No. 120; see also Text Notice of Intent to Tax Costs, July 1,
2014).
Conflict with Defense Counsel
After the jury reached its verdict, this Court learned that defense counsel was about to
become a member of board of directors the undersigned currently serves upon, cf. 28 U.S.C.
§ 455(a); Code of Conduct for United States Judges Canon 3C(1) (“a judge shall disqualify
himself . . . in a proceeding in which the judge’s impartiality might reasonably be questioned”),
Canon 3 (“the duties of judicial office takes precedence over all other activities”) (hereinafter
“Canon”). On May 27, 2014, this conflict was announced to the parties and they were to report
whether this case should proceed with the undersigned (Docket No. 116). Both parties submitted
notices of their remittal of any conflict, pursuant to Canon 3D (see also Docket No. 118)
(defense counsel’s letter)).
Plaintiffs’ Motion for a New Trial
On June 16, 2014, plaintiffs filed their motion for a new trial or to amend or alter the
judgment (Docket No. 121). Plaintiffs argue that a new trial should be granted pursuant to four
rules to revisit the judgment entered against them, principally arguing that there was no
evidentiary basis for the jury to answer the first special jury verdict question and questioning the
3
concept of consent in this case. They move for a new trial, under Rule 50 because no reasonable
jury would find for defendants based on the evidence presented in this trial because the stop and
subsequent detention was overly prolonged and violated plaintiffs’ rights (Docket No. 121, Pls.
Memo. at 13-17). They alternatively seek to amend or add findings, pursuant to Rule 52(b),
because this Court erred in accepting the verdict before the jury’s questions were answered (id. at
17-22, 20-21). Plaintiffs next claim entitlement to a new trial, under Rule 59(a), because the
verdict was against the weight of the evidence for the reasons stated under the other rules (id. at
22). They seek to alter or amend the judgment, under Rule 59(e), because this Court disregarded
United States Court of Appeals for the Second Circuit decisions in United States v. Young,
140 F.3d 453 (2d Cir. 1998), and United States v. Gregory, No. 99-1765, 2000 U.S. App. LEXIS
27588 (2d Cir. Nov. 1, 2000) (summary order), in electing to accept the jury’s premature verdict
(id. at 23, 18, 20). Plaintiffs argue that the jury was confused by special verdict question 1 and
that the passage of time did not resolve the jury’s questions (Docket No. 120, Pls. Atty. Decl.
¶¶ 95, 96). They believe that the jury believed that plaintiff did not voluntarily consent and that
what consent was given was given under duress (id. ¶ 97). The jury had rendered its verdict
before receiving answers to its questions on consent (id. ¶ 98) and (given the late hour of the
verdict) rushed to reach that verdict without first receiving the answers to these questions (id. ¶
99). Plaintiffs claim that the Court instructed the jury to not return to the deliberation room but
instead confer in the hall leading to that room to see if the instructions satisfied its questions (id.
¶ 100). They contend that, had this jury been advised of the proper consent standard, it would
not have rendered a verdict for defendants (Docket No. 120, Pls. Memo. at 21). Finally, and for
the same reasons stated for other rules, plaintiffs contend that they are entitled to relief from the
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judgment under Rule 60(b)(1) for the jury’s mistake or the catchall for “any other reason that
justifies relief,” Fed. R. Civ. P. 60(b)(6), based upon the exceptional circumstances argued under
other rules (id. at 24-25). They claim that this motion is timely under any of the rules cited (id.
at 17 (Rule 50), 22 (Rule 52(b)), 22 (Rule 59(a)), 24 (Rule 59(e)), 24-25 (Rule 60(b)).
Defendants first argue that plaintiffs’ Rule 50 motion should be denied because the
verdict was fully supported by the evidence. The jury had contradictory testimony whether
Rougier consented to the search, with defendant Douglas testifying that he had requested and
received Rougier’s consent to x-ray the vehicle. (Docket No. 125, Defs. Memo. at 1-2; see also
Docket No. 125, Defs. Atty. Aff. ¶¶ 22, 26, 23-24, 25.) Defendants claim that plaintiffs are now
contending that Rougier did consent, but under some form of duress (Docket No. 125, Defs.
Memo. at 2). As a disputed fact issue, there was sufficient evidence for the jury to find for
defendants as to consent (see id. at 2-4).
As for plaintiffs’ Rule 52 motion, defendants first argue that this rule applies for bench
trials, whereas this case was tried to verdict by the jury (id. at 4). Defendants next argue, as for
the Rule 59(a) motion, that the verdict was neither erroneous nor a miscarriage of justice (id. at
6-10). Again, the Rule 59(a) issue turns on party credibility that was the jury’s province rather
than this Court on a post-trial motion (id. at 7-9).
Regarding plaintiffs’ Rule 59(e) motion, defendants argue that one case which plaintiffs
argue this Court disregarded, United States v. Young, supra, 140 F.3d 453, did not support
plaintiffs’ position (id. at 10, 5), while the second case they rely upon, United States v. Gregory,
supra, 234 F.3d 1263, also fails to show plain error in handling the jury questions and the verdict
return (id. at 10-11). While jury question notes were pending, the jury submitted a note
5
indicating that they reached a verdict. The jury was recalled, their questions were answered, and
then they asked whether their questions were addressed. (Id.) Finally, as for plaintiffs’
Rule 60(b) motion, defendants conclude that plaintiffs fail to show that the jury was mistaken,
again with the putative mistake turning on the credibility of defendant Douglas and plaintiff
Rougier (id. at 11-13).
In reply, plaintiffs contend that Rougier consented only to Tracy’s initial request to “have
a look” around their vehicle (Docket No. 126, Pls. Atty. Reply Decl. ¶ 5), with plaintiffs arguing
that this initial look was used by defendants to justify a broader and expansive search and seizure
beyond the scope plaintiffs consent (id. ¶ 6). Plaintiffs renew their denial that Douglas asked
them to move the vehicle to the border x-ray (id. ¶ 7); alternatively, if found that they were asked
about the x-ray, such consent Rougier gave was coerced due to the threat of continued hours of
detention if consent was not given while awaiting a search warrant (id.¶¶ 8, 12). Plaintiffs do not
point to testimony or other evidence of this coercion. Plaintiffs note that, after the jury was
further instructed following their questions, that they did not go into the deliberation room but
conferred in the exit from the courtroom (id. ¶¶ 20-21), concluding that the jury was not allowed
enough time to consider the jury instruction on coercion given in the further instructions (id.¶ 22)
DISCUSSION
I.
Applicable Standards
Plaintiffs cite five rules to reconsider the judgment (and implicitly the jury verdict) in this
case.
For a motion for judgment as a matter of law after the verdict under Federal Rule 50(b),
this Court must determine whether there was evidence for the jury to find for the opponents of
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the motion, see 9A Charles A. Wright & Arthur R. Miller, Federal Civil Practice § 2524, at 25354, 250 (Civil 2d ed. 1995). Whether evidence at trial is sufficient to create an issue of fact for
the jury is a question of law, id. at 249. The Court here does not weigh evidence or pass on
witness credibility, these are the province of the jury, id. at 255-56. The weight of evidence is
viewed in the light favoring the opponents to the motion for judgment and those parties are given
the benefit of all reasonable inferences that may be drawn from that evidence, id. at 256-57, 259.
Without weighing credibility or weighing evidence, the motion is denied if there can be only one
conclusion that the verdict was one that reasonable persons could have reached, id. at 262, citing
Simblet v. Maynard, 427 F.2d 1, 4 (2d Cir. 1970).
Rule 52 applies to findings of Court in cases tried without a jury or with an advisory jury,
Fed. R. Civ. P. 52(a)(1) (see Docket No. 125, Defs. Memo. at 4). Under Rule 52(b), a party may
move to amend findings or make additional findings upon a showing of manifest error of fact or
law, the existence of newly discovered evidence, or an intervening change in the law, see
Flickinger v. Harold C. Brown & Co., No. 89CV1218, 1992 U.S. Dist. LEXIS 18967, at *6
(W.D.N.Y. Nov. 12, 1992) (Skretny, J.) (denying motion to amend) (see Docket No. 121, Pls.
Memo. at 8). This rule may address manifest errors of law or fact, Afrika v. New York,
No. 12CV537, 2014 U.S. Dist. LEXIS 50179, at *2 (W.D.N.Y. Apr. 14, 2014) (Telesca, J.)
(denying motion to amend) (see Docket No. 121, Pls. Memo. at 8). A motion to amend findings
“should not be a means for relitigating issues upon which” the movant did not prevail,
Flickinger, supra, 1992 U.S. Dist. LEXIS 18967, at *6; Hoffman v. Beer Drivers & Salesmen’s
Local 888, 536 F.3d 1268, 1276 (9th Cir. 1976).
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For a motion for a new trial or to amend a judgment under Rule 59, this Court has the
power to avoid a miscarriage of justice and may order a new trial when deemed it is in the
interests of justice to do so, 11 Charles A. Wright, Arthur R. Miller & Mary Kay Kane, Federal
Practice and Procedure § 2803, at 45 (Civil 2d 1995). “Courts do not grant new trials unless it is
reasonably clear that prejudicial error has crept into the record or that substantial justice has not
been done, and the burden of showing harmful error rests on the party seeking the new trial,” id.
at 46-47. The motion for a new trial is subject to this Court’s sound discretion, id. at 47-48. Any
error of law prejudicial to movants is a ground for a new trial, id., § 2805, at 55.
This Court also has the discretion regarding a motion to amend or alter a judgment under
Rule 59(e), id., § 2810.1, at 124, but reconsideration of a judgment after its entry is an
extraordinary remedy that should be used sparingly, id. A motion to amend or alter may be used
to correct manifest errors of law or fact upon which the judgment is based, id. at 125, or to
prevent manifest injustice, id. at 126. Other grounds include newly discovered, but previously
unavailable, evidence and intervening change in the controlling law, id. at 126, 127. Rule 59(e)
is not to be used to relitigate old matters or raise arguments and present evidence that could have
been raised before judgment was entered, id. at 127-28.
Under Rule 60(b), a party may move for relief from a judgment based upon reasons now
argued by plaintiffs (among other stated reasons within that rule) mistake, inadvertence, surprise,
or excusable neglect, Fed. R. Civ. P. 60(b)(1), or “any other reason that justifies relief,” id.,
R.60(b)(6) (see Docket No. 121, Pls. Memo. at 11-13). A Rule 60(b) motion is addressed to this
Court’s sound discretion, Biernacki v. United States, No. 11CV973, 2014 U.S. Dist. LEXIS
48406, at *3 (W.D.N.Y. Apr. 8, 2014) (Schroeder, Mag. J.) (citation for internal quotation
8
omitted) (denying motion) (Docket No. 121, Pls. Memo. at 12); Caswell v. Racetti,
No. 11CV153, 2014 U.S. Dist. LEXIS 41415, at *7-8 (W.D.N.Y. Mar. 27, 2014) (Telesca, J.)
(Docket No. 121, Pls. Memo. at 12-13). This rule “is ‘a mechanism for “extraordinary judicial
relief” invoked only if the moving party demonstrates “exceptional circumstances,”’” id.
(quoting Ruotolo v. City of N.Y.¸514 F.3d 184, 191 (2d Cir. 2009) (quoting in turn Paddington
Partners v. Bouchard, 34 F.3d 1132, 1142 (2d Cir. 1994)). The movant bears the burden of proof
and must convince this Court that “exceptional circumstances” exist to vacate the judgment,
Caswell, supra, 2014 U.S. Dist. LEXIS 41415, at *2, 8 (Docket No. 121, Pls. Memo. at 12); see
id. at *7-8 (denying motion, in particular Rule 60(b)(6) relief); Gonzalez v. Crosby, 545 U.S.
524, 536 (2005) (extraordinary circumstances standard for Rule 60(b) relief).
Each rule has a different deadline for a timely motion. Most allow the timely motion to
be filed within 28 days of entry of judgment, Fed. R. Civ. P. 50(b), 52(b), 59(b), (e), or by
June 19, 2014, for the May 22, 2014, entry of judgment in this case. Rule 60 differs, allowing a
timely motion “made within a reasonable time,” specifically for a Rule 60(b)(1) motion to be
made within one year of entry of judgment, Fed. R. Civ. P. 60(c)(1). Plaintiffs here filed a
timely motion under the cited rules.
II.
Application
A. Conflict of Interest
On April 30, 2014, before the start of this trial, defense counsel Brian Crosby was
appointed to the Board of Trustees of Niagara University, to formally join that board after this
jury trial concluded. This fact was not known to the undersigned until after the jury reached its
verdict, on May 19, 2014, when a Niagara University e-mail was sent to Chambers and indicated
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that it was copied to Mr. Crosby; that e-mail was read on May 21, 2014. The undersigned has
served on the Niagara University board for several years but was not present when Mr. Crosby’s
name was considered for addition to the board. Upon reading the Niagara e-mail and confirming
that Mr. Crosby was both defense counsel and board member, the Court notified the parties of a
post-trial status conference (Docket Nos. 111, 114 (rescheduling conference for May 27, 2014)).
Section 455(a) of Title 28 of the United States Code requires a judge to disqualify
himself “in any proceeding in which his impartiality might reasonably be questioned,” see also
id. § 455(d)(1) (defining “proceedings” to include, among others, trial or other stages of
litigation). The judge is to inform himself of his personal interests, id. § 455(c). Courts applying
this statute have held that determining a judge’s impartiality must be judged from the perspective
of reasonable, uninvolved observer in light of the full record, In re Wirebound Boxes Antitrust
Litig., 724 F. Supp. 648, 650-51 (D. Minn. 1989). The judge considering recusal needs to
consider all circumstances, both those in public as well as those hidden, and determine if a
reasonable, uninvolved observer would conclude that the judge’s impartiality might be
questioned, Idaho v. Freeman, 507 F. Supp. 706, 722-23 (D. Idaho 1981).
Similarly, the Code of Conduct for United States Judges Canon 2(B) precludes judges
from allowing “family, social, political, financial, or other outside relationships to influence
judicial conduct or judgment,” that the judge should not “permit others to convey the impression
that they are in a special position to influence the judge.” Further, Canon 3C(1) states that “a
judge shall disqualify himself or herself in a proceeding in which the judge’s impartiality might
reasonably be questioned,” although this situation does not fit in the express five instances listed
in that provision. Canon 4 allows judges to engage in extrajudicial activities, including serving
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on civic, charitable, educational organizations, Canon 4B; see also Canon 4E (judge may serve
as fiduciary). Finally, Canon 1 requires a judge to uphold the integrity and independence of the
judiciary and Canon 2 generally requires a judge to avoid impropriety and the appearance of
impropriety in all activities, see also Adv. Opn. No. 2 (a judge’s service on a non-profit
organization board must not interfere with the prompt and proper performance of judicial duties).
“The duties of judicial office takes precedence over all other activities,” Canon 3; see Adv. Opn.
No. 2.
A conflict under Canon 3C(1) is subject to remittal if the conflict is disclosed on the
record, counsel and the parties and their counsel confer outside the presence of the Court, and
agree either on the record or in writing that the judge should not be disqualified, and if the judge
is willing to participate, Canon 3D. All parties have agreed to allow the undersigned to proceed
with this case (see Docket No. 118). This Court retains this case because the conflict arose at the
conclusion of the trial and had no role in the decisions rendered in this case (as conceded by
plaintiffs’ counsel during the May 27 status conference) and that the Court’s duty to sit arises
(especially given the procedural state of this case).
There are no cases on point dealing with this scenario (trial counsel joining the judge’s
organization while the trial was underway). The closest decision to this scenario is the Supreme
Court’s decision in Liljeberg v. Health Services Acquisition Corp., 486 U.S. 847, 856-58, 861
(1988), where the judge also was a trustee of a university which had an interest in the corporate
litigant before that judge but that judge failed to disqualify himself because he had forgotten the
university’s interest in the corporation. The Court did not require judges to “perform the
impossible” and recuse based on facts not known to them, id. at 860, but held that an objective
11
observer would have concluded that the district judge should have recused since his impartiality
would have been questioned. But in Pippen v. Georgia-Pacific Gypsum, LLC, 408 Fed. Appx.
299, 302-03 (11th Cir. 2011) (per curiam), the magistrate judge was an adjunct professor in the
same university as principal counsel in a case before that judge; the Eleventh Circuit concluded
that recusal was not required, although both the judge and attorney taught at the same institution,
without more a reasonable person would not create doubt in a disinterested lay observer as to the
judge’s impartiality. Compare Sexson v. Servaas, 830 F. Supp. 475 (S.D. Ind. 1993), where the
judge held that he did not have to recuse given his membership on a non-profit organization’s
board, given that the judge had no legal relationship with an attorney in defendant’s law firm
which also served on that board.
Given the timing of the disclosure and the proceedings to date in this case, the fact that
the undersigned and defense counsel have yet to work on the Niagara board, and the remittal
executed by all concerned and adopted by the undersigned, this case will remain with the
undersigned.
B. Consent
The substantive issue in plaintiffs’ motion is whether there was sufficient evidence for
the jury to find that they consented to the search of Rougier’s vehicle and, by extension, their
detention and seizure during the completion of that search and investigation. Plaintiffs now
focus on Rougier’s consent for the removal of his vehicle to be x-rayed and the x-raying of it at
the Lewiston-Queenston Bridge. If, as found by the jury, plaintiffs consented (either initially or
on the later request to x-ray), then the resulting almost three-hour detention, seizure, and
investigation is not actionable, see Florida v. Jimeno, 500 U.S. 248 (1991); United States v.
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Snow, 44 F.3d 133, 134-35 (2d Cir. 1995) (consent to search vehicle implicitly includes
containers within vehicle, even if purpose of search was not disclosed before consent was
obtained). Consent to search generally is limited to what is objectively reasonable under the
circumstances and excludes intentional damage inflicted to the place to be searched, United
States v. Saucedo, 688 F.3d 863, 868 (7th Cir. 2012); United States v. Torres, 32 F.3d 225, 23132 (7th Cir. 1994), citing Jimeno, supra, 500 U.S. at 251.
1. Plaintiffs’ Objection: They Did Not Consent
Plaintiffs argue (in different venues, see Docket No. 88, Pls. Objections to Defs. Pre-Trial
Submissions at 4) that judgment should be entered in their favor (or a new trial ordered) because
plaintiffs did not consent to the seizure as performed by defendants. Plaintiffs raised this in
proposed jury instructions and in the verdict sheet, seeking an instruction that
“IF THE JURY FINDS THAT THERE WAS CONSENT TO SEARCH BY A
PARTY, AND THAT CONSENT WAS GIVEN IN THE PRESENCE OF
COERCION, THREAT, OR DURESS, THE JURY MAY INFER NO
CONSENT WAS GIVEN.
“BOTH OCCUPANTS OF THE VEHICLE WOULD NEED TO
CONSENT TO THE SEARCH OF A VEHICLE IN WHICH BOTH OF THEIR
CONTENTS WERE LOCATED.”
(Docket No. 113, Court Ex. 6). They also argue that the jury should have been charged that
plaintiffs were defrauded into consenting to the search and seizure since defendants represented
either that plaintiffs would be arrested if they did not or misrepresented the duration of time
necessary to complete the operation. They also contend that, assuming the answers to the jury’s
questions addressed consent in some fashion, the jury should have been instructed to deliberate
further and, in rendering its verdict, failed to act based upon the answers to their questions.
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Defendants disagreed with this language, arguing that the first question posed to the jury
in the verdict sheet should be, “Did Plaintiffs consent to the seizure as described by this Court in
its charge on consent” (Docket No. 112; see also Docket No. 74, Defs. Special Verdict Form,
Ques. 1), the question actually first posed to the jury in the verdict sheet submitted to them.
They argue that plaintiffs failed to seek coercion and passenger consent language in the jury
instructions, hence waiving those contentions in a post-trial motion (Docket No. 125, Defs. Atty.
Aff. ¶ 48). On the response to the jury’s questions during deliberation, defendants argue that the
seizure described in the jury instruction referred to transportation of the vehicle to be x-rayed (id.
¶ 52; see also id.¶¶ 53-56). Defendants also argue that plaintiffs make contradictory arguments,
initially that Rougier did not consent and later that Rougier consented, but under duress (Docket
No. 125, Defs. Memo. at 2).
Plaintiffs now argue in this motion that there is insufficient evidence of continuous
consent by plaintiffs for the almost three-hour detention with the attendant investigation and
search (see Docket No. 121, Pls. Memo. at 13-16). They view this incident as a series of events,
each of which required a renewed question whether plaintiffs consented to the next event,
concluding that this period was unreasonable, prolonged and unsupported by any articulable
reason or suspicion (id. at 15-16). They point to Defendant Douglas’ suggestion that a warrant
may be needed to further search the vehicle (with further delay while awaiting the warrant) or
that they could consent and the vehicle could be taken to the Lewiston-Queenston Bridge to be xrayed by border authorities (Docket No. 121, Pls. Memo. at 3, 21).
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One of the questions posed by the jury in its notes (see Docket No. 110) was the meaning
of consent but this Court reinforced the earlier instruction which focused the jury on its recall of
the evidence.
Viewing the evidence with reasonable inferences in defendants’ favor as required by
Rule 50(b), plaintiff testified that he may have initially consented to the search of the vehicle
when Deputy Tracy approached the Lexus. Both Tracy’s request and that consent were
unconditional as to scope or duration and there was no indication of coercion, threat, fraud, or
duress to warrant plaintiffs’ proposed charge. Despite plaintiffs’ argument, there was no
evidence of coercion, fraud or duress during the detention period to somehow void or qualify
Rougier’s initial consent or make his consent to have the vehicle x-rayed be vitiated. Plaintiffs’
sole argument of coercion arises from the move to the border x-ray, arguing that the choice given
to Rougier (if Douglas’ testimony is to believed) that he could consent or wait for warrant, and
that the waiting option was coercive. But the potential delay in waiting for a search warrant to
be obtained is not coercion, cf. United States v. Cruz, 701 F. Supp. 440, 445-46 (S.D.N.Y. 1988)
(agent’s illusory promise that it would take minutes to get a warrant unless defendant consented
did not make the consent voluntary); United States v. Calvente, 722 F.2d 1019, 1023 (2d Cir.
1983) (agent told suspect that a warrant could be obtained, advising suspect that a warrant could
be obtained, when true, does not constitute coercion), cert. denied, 471 U.S 1021 (1985); United
States v. Mayo, No. 2:13-CR-48, 2013 U.S. Dist. LEXIS 158866, at *15 (D. Vt. Nov. 6, 2013)
(suspect, told that he could consent or wait for a warrant to issue, consented without coercion).
Whether consent to a search is voluntary or was the product of duress or coercion is a question of
fact to be determined from the totality of the circumstances, Schneckloth v. Bustamonte,
15
412 U.S. 218, 227 (1973). Coercion in these situations arise where the law enforcement officers
lie about their ability to obtain a search warrant, deceiving the suspect into consenting, e.g.,
Cruz, supra, 701 F. Supp. at 445-47. Here, the purported coercion is the combination of the
almost three-hour delay plaintiffs endured coupled with the possibility of an extended delay
awaiting a warrant if plaintiffs did not consent.
Furthermore, this search also falls under the automobile exception to the Fourth
Amendment warrant requirement, which allows the police to conduct a warrantless search of a
motor vehicle “if probable cause exists to believe the vehicle contains contraband or other
evidence of a crime.” United States v. Gaskin, 364 F.3d 438, 456 (2d Cir. 2004); Mayo, supra,
2013 U.S. Dist. LEXIS 158866, at *15-16. Here, the evidence established that defendants had
probable cause to believe contraband was in the vehicle, from the positive hit of the detection
dog, Rougier’s nervous and furtive reactions, and the other indicia discussed for this sustained
stop and search.
Rougier did not testify that, had he agreed to the move, he did so under the duress of the
alternative of waiting for a warrant or other cause. As in Jimeno, supra, 500 U.S. at 251,
defendants sought to search the vehicle without any restriction and Rougier consented. It was
objectively reasonable for the police to conclude that Rougier’s general consent included the
contents of the vehicle, id. The investigation and subsequent search up to the suggestion to move
the vehicle to the border for x-ray examination (including the canine search) was objectively
reasonable. As for the damages plaintiffs testified to occurring during the detention, there was
sufficient evidence to create an issue of fact for the jury to determine Rougier’s consent was
exceeded by defendants’ actions. There also was an issue of fact regarding whether Rougier
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consented to move the vehicle for the x-ray examination, despite the judicial notice taken that a
warrant was not necessary to continue that search.
Despite attempts by defendants to separate the stop (removed from this case in motion
practice) from the search (which they claim plaintiffs did not allege was violated), and plaintiffs’
argument that this was a series of distinct incidents, the near three-hour incident was a unified
series of events, consisting of the initial stop; investigation and request for consent to search; the
initial, unconditional grant of consent; the initial search; further investigation and suspicion;
canine search of vehicle; canine alerting to rear of vehicle; request to move vehicle to the border
x-ray; consent to that removal and x-ray; and conducting of the x-ray. Plaintiffs never alleged
separate causes of action for these various steps; instead, they plead and argued that this was a
single, three-hour incident, with in which different events occurred. As suspicion built upon
suspicion, defendants detained plaintiffs longer and increased the level of investigation and
scrutiny (from visible inspection to dog to x-ray). Then Investigator Douglas suggests moving
the car to the Lewiston-Queenston Bridge for use of its x-ray equipment. There was testimony
that plaintiff Rougier consented to this relocation. Search, seizure, and detention were blended
together during this nearly three hour period. Despite defense arguments that plaintiffs failed to
allege a search claim, this episode tied together search and seizure. Technically, the consent
defendants rely upon was consent to search the vehicle. Inherent with that consent to search was
detaining or seizure of the vehicle and the persons with that vehicle until that search was
completed, see Terry v. Ohio, 392 U.S. 1, 16 (1968); Brendlin v. California, 551 U.S. 249
(2007).
17
While defendants seek to distinguish search from seizure, the facts here show that these
two concepts were intertwined during the almost three-hour detention. There was seizure of
property and of persons. Seizure occurs when there is some meaningful interference with an
individual’s possessory interest in property seized, Maryland v. Macon, 472 U.S. 463, 469
(1985) (quoting United States v. Jacobsen, 466 U.S. 109, 113 (1984)); Dejesus v. Village of
Pelham Manor, 282 F. Supp.2d 162 (S.D.N.Y. 2003) (officer briefly detains an individual and
restrains them, they are “seized” and the limitations of the Fourth Amendment become
applicable). A person is seized whenever a police officer accosts that person and restrains his or
her freedom to walk away, Terry, supra, 392 U.S. at 16. A search or seizure may violate the
Fourth Amendment “by virtue of its intolerable intensity and scope,” id. at 18; Kremen v. United
States, 353 U.S. 346 (1957); Go-Bart Importing Co. v. United States, 282 U.S. 344, 356-58
(1931). A passenger in a vehicle stopped by the police is also seized within the Fourth
Amendment, Brendlin, supra, 551 U.S. 249.
2.
Passenger Henry’s Consent
Plaintiffs next argue that Henry never consented to the search or the resulting detention
and seizure, focusing in this motion to the removal and x-ray of the vehicle. Defendants argued
during the trial that the owner or driver of a vehicle may consent to its search and search of its
contents including the property of passengers inside that vehicle, United States v. Snow, 44 F.3d
133, 135 (2d Cir. 1995); cf. United States v. Zapata, 180 F.3d 1237, 1241-42 (11th Cir. 1999)
(police officer asked for consent to search driver and passenger, both granting consent).
Plaintiffs object that Beverly Henry never consented to the search or her detention during the
search of Rougier’s vehicle. As a passenger in a stopped car, Henry has standing to challenge
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the constitutionality of the stop, Brendlin, supra, 551 U.S. at 254-63. One district court has held
that a passenger’s consent is not required where the driver has consented to a search, United
States v. Lopez, No. S1 10Cr. 798(PAC), 2011 U.S. Dist. LEXIS 91349, at *4-5 (S.D.N.Y. Aug.
16, 2011), holding that the passenger lacked standing to seek suppression of evidence seized
during the search of the vehicle, id. at *4. This differs from United States v. Jaras, 86 F.3d 383,
390 (5th Cir. 1996), where the driver, while granting consent to search, noted that some of the
bags were his and others were not. The Fifth Circuit upheld suppression of evidence from bags
not owned by the driver since the officers did not seek the passenger’s consent to search them,
id.; see United States v. Sparks, No. 03 CR. 269, 2004 U.S. Dist. LEXIS 2278 (S.D.N.Y. Feb.
13, 2004), at *22 n.6. Where the driver’s consent to search is not qualified in any way (such as
distinguishing ownership of items within the vehicle or an assertion of ownership of a particular
item), see Sparks, supra, 2004 U.S. Dist. LEXIS 2278, at *22 n.6, the driver’s consent allows for
a search of all items in the vehicle despite its ownership.
Here, Rougier was asked generally if he consented to a search and he answered
affirmatively, without any condition or qualification (such as he was speaking only for himself
and not for his passenger, Henry). As with the duration of the eventual detention and scope of
the investigation and search conducted during that detention, Rougier’s general consent was not
qualified.
3.
Acceptance of Jury Verdict Before Answering the Jury’s Questions
Plaintiffs next object to the Court disregarding Young and Gregory in accepting the
verdict prematurely before the jury had its questions answered (Docket No. 121, Pls. Memo. at
23). First, Gregory was a summary order from 2000 and under the Second Circuit’s rules, there
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are limits to the citation of unpublished opinions such as summary orders as binding authority.
Rule 32.1.1 currently provides that “rulings by summary order do not have precedential effect,”
2d Cir. R. 32.1.1(a); see also id., R. 32.1.1(b)(2) (summary orders before January 1, 2007,
generally may not be cited); Fed. R. App. P. 32.1(a)(1) (courts may not prohibit citation to
unpublished opinions rendered after 2007). Thus, there is no error for this Court not relying
upon the summary order in Gregory in handling the jury notes and the verdict.
On its merits, in Gregory the defendant argued that it was plain error for the court to
accept the jury’s verdict while a jury question remained unanswered. The Second Circuit held
that the district court answered the question by instructing them and that the instruction given
was “clear and correct,” 2000 U.S. App. LEXIS 27588, at *4-5, and the jury came to its own
conclusion while the judge considered the question, id. at *5; see Stathos v. Bowden, 728 F.2d
15, 19 (1st Cir. 1984) (finding no plain error in civil rights trial where court accepted the verdict
before answering a jury question).
In Young, supra, 140 F.3d 453 (2d Cir. 1998), the issue was whether a court could accept
a jury verdict returned one hour after the jury asked to have part of the charge read back without
that read back, id. at 454-55. While denying relief in that case, the Second Circuit suggested
considerations for other trial courts to bear in mind in similar circumstances, id. at 455, 456-57.
Relief was not available in that case because defense counsel did not object to the verdict being
received or that the readback not being done, id. at 457. The Second Circuit states that the
readback of portions of the trial record, including jury instructions, are committed to the sound
exercise of trial court’s discretion, id. at 456 (citing cases). While the court prefers honoring the
jury’s request, the Second Circuit has accepted that “to promote the interest in informed jury
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decision-making without unduly delaying court proceedings, trial judges should bear several
considerations in mind. These include the jurors’ need to review the material before reaching a
verdict, assessed against the difficulty in locating the specific material requested, the possibility
of undue emphasis on any portion of the record, and the possibility of undue delay in the trial,”
id. (citing United States v. Escotto, 121 F.3d 81, 84 (2d Cir. 1997); United States v. Criollo,
962 F.2d 241, 243 (2d Cir. 1992)), with these factors usually favoring answering the jury’s
question, id. The Government in that case argued that the jury possibly had changed its mind
about the question and reached a verdict, id., but the court considered that the jury may have
concluded that its unanswered question was denied, id. This scenario was held not to be plain
error because defendant failed to object to the question not being answered or to the verdict
being rendered, id. at 456-57.
In the case at bar, as jury notes were posed with questions about the definition of
“consent,” the Court and counsel considered the response to the questions. Before resolution of
the answer to these questions and the Court could call the jury in to address its notes, the jury
then sent a note indicating that it reached a verdict. This Court then called the jury in, instructed
them and answered their questions and had the jury return to deliberation. The verdict was not
opened at that time. Plaintiffs here acknowledge that, like the defense in Young, they did not
immediately object to the reading of the verdict, but distinguish Young and Gregory because the
verdict “was rendered before the jury’s questions had been answered” (Docket No. 121, Pls.
Memo. at 20-21). But that is not the case; the jury had reached a verdict (which was not
disclosed when the jury was called in to address their prior notes) and the jury (after the
questions were addressed) was instructed to return to deliberate. The jury then returned and
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announced that it had reached a verdict. The deliberation was brief, but no objection was raised
that the jury rushed its deliberations.
As in Young, supra, 140 F.3d at 457, plaintiffs here did not object either to the jury
deliberating while their questions were pending or the verdict being rendered after having those
questions answered. They never insisted that the jury, after being instructed again in response to
its questions, return to deliberate or seek such deliberation over a specific period of time. While
noting the late hour before the jury rendered its verdict, the jury was asked if it wished to
proceed or resume the next day and the jury indicated that it wanted to finish. There was nothing
indicating that the verdict was rushed or that the jury was anxious to finish despite the questions
posed and answered. The jury was polled (Docket No. 110). The jury apparently was satisfied
with the further instructions that addressed their questions to complete their deliberations or
concluded that their deliberations did not need those questions answered.
The Second Circuit in dictum in Young sets out its preference that jury questions be
answered or notify the jury the amount of time necessary to answer its question or to locate and
read back from the transcribed record, id. at 456, but the court never established that this was a
rule for trial practice, leaving it instead to the sound discretion of the trial judge how that
situation should be addressed. As was found by Young, “once the jury announced its readiness
to return a verdict, it was up to . . . counsel to decide whether to accede to having the verdict
promptly announced or to request the Judge to ask the jurors if the still wished the readback,” id.
at 456-57; plaintiffs here did not object. Under the Federal Rule of Criminal Procedure
applicable in the Young trial, absent either an objection to receipt of the verdict or to a request
for a further inquiry of the jury, the trial court’s procedure did not warrant reversal unless it was
22
plain error, id. at 457 (citing Fed. R. Crim. P. 52(b) (plain error rule)). A similar standard applies
in a civil case where the exercise of discretion is the same. The procedure followed here can be
reversed only on plain error. No such error occurred.
C. Pending Motions to Alter or Amend Judgment
Under Rule 50(b), there was evidence for the jury to find for defendants, opponents to
plaintiffs’ motion; therefore, plaintiffs’ motion on this ground is denied. As for Rule 52(b), that
rule would apply if this were a bench trial. Since it was a jury trial, plaintiffs are not entitled to
relief under that rule and their motion is thus denied. As for plaintiffs’ Rule 59(a) and (e)
motions, since the perceived error is the factual dispute of Rougier’s consent, there is sufficient
evidence that there would be no miscarriage of justice to uphold the verdict and judgment
entered herein. Regarding the form of deliberation the jury took after being further instructed
and having their questions answered, there was no miscarriage of justice in not directing the jury
to go to the deliberation room and consider the answers and their verdict. These motions also are
denied. Finally, as for plaintiffs’ Rule 60(b) motion, there was no mistake by the jury, it made
credibility determinations about Rougier’s consent. Their motion under Rule 60 also is denied.
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CONCLUSION
For the reasons stated above, plaintiffs’ motions (Docket No. 120) for judgment as a
matter of law, a new trial, or amended judgment under Rules 50(b), 52(b), 59(b) and (e), and
60(b) is denied.
So Ordered.
/s/ Hugh B. Scott
Hon. Hugh B. Scott
United States Magistrate Judge
Dated: Buffalo, New York
July 18, 2014
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