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CPL 440.10 (subd. 3, par. [a])

The question raised on this appeal is whether the trial court properly denied defendant’s motion to vacate a judgment of conviction, grounded on claims of prosecutional misconduct, juror misconduct and misrepresentation by a prosecution witness, without initially conducting an evidentiary hearing. We hold that the facts of this case do not demonstrate that the trial court abused its discretion as a matter of law and, therefore, affirm the denial of the motion to vacate.

Defendant was arrested and charged with the murder of his wife, SF. He was also charged with grand larceny for stealing more than $450,000 worth of securities, jewelry and currency from his wife’s estate following her death. During defendant’s 11-week jury trial, the criminal prosecution sought to prove that defendant had killed his wife by injecting her with multiple doses of Demerol over the course of two days, June 17 and June 18, 1975. On December 15, 1976, the trial concluded and defendant was found guilty of murder in the second degree and grand larceny in the second degree. Defendant was sentenced on January 26, 1977 to concurrent terms of not less than 25 years to life imprisonment on the murder count and not more than 7 years on the grand larceny count. On June 5, 1978, the Appellate Division affirmed. Leave to appeal to this court was denied on June 29, 1978.

In January, 1980, more than three years after the trial was concluded, defendant commenced the instant proceeding by bringing a motion in the Nassau County Court, pursuant to CPL 440.10, seeking an order vacating the judgment of conviction. Criminal Defendant’s motion was denied without a hearing. A divided Appellate Division affirmed.

Defendant argues on this appeal that the judgment of conviction should be vacated and a new trial ordered because the jury’s verdict was tainted by prosecutori misconduct, juror misconduct and the misrepresentations of a prosecution witness.

We note at the outset that the trial court’s denial of defendant’s motion without providing a hearing can be reversed only if we find that the court abused its discretion. With respect to his claim of prosecutorial misconduct, defendant contends that the District Attorney improperly summoned a potential defense witness, BL, to his office on July 29, 1975, by use of a Grand Jury subpoena and while there coerced her into signing a statement which was inconsistent with her prospective testimony. It is also contended that it was improper for the District Attorney not to present BL’ testimony to the Grand Jury. While defendant does not specify which provisions of CPL 440.10 he relies on in asserting this claim, it appears that 440.10 is the applicable section.

That section provides that the court may vacate a judgment of conviction if it is shown that the judgment was procured by duress, misrepresentation or fraud on the part of the court or a prosecutor or a person acting for or in behalf of a court or a prosecutor. In support of his claim, defendant offered the affidavit of BL, in which she states that she spoke with SF on Wednesday morning, June 18, 1975, when, according to the prosecution’s expert witness, Mrs. SF was dead. It is further alleged that BL was summoned to the District Attorney’s office and coerced into signing a statement which stated that she was not sure whether she had spoken to Mrs. SF on Tuesday, June 17, or Wednesday, June 18. The People, in opposition to defendant’s motion, offered the affidavits of four witnesses who were present at the meeting in the District Attorney’s office and denied that any threats were made or coercion used to force BL to sign the statement.

Defendant’s claim that the trial court abused its discretion in not providing a hearing on this charge suffers from two defects. First, although defendant waited for ov three years to bring the instant proceeding, his attorney made no effort to explain this delay other than to say he was busy working on defendant’s appeal. Moreover, nowhere does criminal defendant disclose when he learned of the alleged coercive tactics employed by the prosecutor. As a result, defendant has failed to show that he used due diligence in adducing such facts prior to sentencing as required by CPL 440.10 (subd. 3, par. [a]). The second flaw in defendant’s position is that he has failed to allege sufficient facts to show that the prosecutor’s allegedly coercive tactics could have prejudiced his defense. Defendant was well aware that BL had given a signed statement on July 9, 1975, nearly three weeks before she was subpoenaed to appear before the Grand Jury, in which she stated that she had spoken with Mrs. SF on Wednesday morning, June 18, the day Mrs. SF died.

Nevertheless, criminal defendant did not call BL as a defense witness at trial, nor has he made any effort to explain why. If the reason for failing to do so was his knowledge that BL had subsequently signed the contradictory statement on July 29 under the improper direction of the District Attorney, then his failure to promptly investigate the circumstances surrounding this change and immediately bring the matter to the court’s attention is inexcusable. If, however, the reason is that BL’ original, arguably equivocal, statement and her anticipated testimony would not have been helpful to the defense, then the prosecutor’s alleged misconduct did not prejudice the defendant. Finding himself on the horns this dilemma, defendant not only failed to make the requisite showing of due diligence (CPL 440.10, subd. 3, par. [a] ), but he also failed to sufficiently allege that he was prejudiced by the alleged misconduct which, because it would have to be proven for defendant to succeed in having his conviction vacated, must be alleged. (CPL 440.30, subd. 4, par. [b].) Hence, defendant has not met the minimum requirements necessary for the court to either vacate his conviction or, in the alternative, order that an evidentiary hearing be held.

We note in passing that the mere act of interviewing BL on July 29, 1975 and then deciding not to present her testimony to the Grand Jury does not constitute prosecutorial misconduct per se. Indeed, as the official charged with the orderly presentation of evidence to the Grand Jury, it is sound practice for the prosecutor to interview and, when appropriate, dismiss prospective witnesses in order to eliminate unnecessary or equivocal material so that grand jurors’ time can be conserved. This is especially so where, as here, the prospective witness had given a prior statement, conceded to have been freely made, wherein she stated that she was unsure of the very facts that she would be called upon to testify to before the Grand Jury.

Consequently, it cannot be said that the trial court abused its discretion in denying defendant’s motion insofar as it was based on prosecutorial misconduct.

Defendant’s claim of juror misconduct, which is apparently premised on CPL 440.10 (subd. 1, par. [f]), is equally unavailing. That section provides that the court may vacate a judgment of conviction upon the ground that improper and prejudicial conduct not appearing in the record occurred during a trial resulting in the judgment which conduct, if it had appeared in the record, would have required a reversal of the judgment upon an appeal therefrom. Once again, however, the only explanation given for failing to promptly investigate and report these alleged instances of juror misconduct is that defense counsel w busy preparing defendant’s appeal. We believe that this explanation, in light of defendant’s three-year delay in bringing this motion, is insufficient, as a matter of law, to satisfy the due diligence requirement of CPL 440.10 (subd. 3, par. [a] ). No drug or weapon was found.

Furthermore, with respect to all but one of defendant’s claims of juror misconduct, only hearsay allegations contained in the affidavits of defense counsel and a private investigator employed by him have been proffered in support thereof. Since no explanation was given as to why affidavits could not be obtained from jurors who allegedly admitted to having acted improperly or from those jurors who allegedly observed other jurors acting improperly, and since the only juror who gave an affidavit, EG, did not state which or how many jurors heard an allegedly improper comment by juror, defendant cannot be heard to say that the trial court abused its discretion in denying the motion on this ground.

We also note that, as a matter of policy, efforts to undermine a jury’s verdict by systematically questioning the individual jurors long after they have been dismissed in hopes of discovering some form of misconduct should not be encouraged.

Defendant’s final ground for vacatur is that the Doctor who is a medical expert who testified for the prosecution, misrepresented facts critical to his opinion concerning the time of Mrs. SF’s death. While defendant seeks to frame this contention in terms of CPL 440.10 (subd. 1, par. [b] ), he is in actuality basing his claim on newly discovered evidence pursuant to CPL 440.10 (subd. 1, par. [g] ). Consequently, the trial court’s exercise of discretion in denying the defendant’s motion on this ground is beyond our power to review.

Stephen Bilkis and Accociates together with Nassau County Grand Larceny Lawyers handles criminal cases involving petit larceny, grand larceny, robbery, theft and similar crimes, just drop by our offices in New York for free legal consultation. In addition, our Nassau County Criminal Attorneys will assist you during the entire criminal proceeding so you need not worry.

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