Court Opinion

ID: 2995417
Source: CourtListenerOpinion
Date Created: 2015-09-24 19:20:13.740607+00
Date Added: 2024-06-11T15:02:29.602169
License: Public Domain

No. 14-0455 - State of West Virginia v. Steven Williams

                                                                               FILED
                                                                          September 24, 2015

                                                                          RORY L. PERRY II, CLERK

                                                                        SUPREME COURT OF APPEALS

                                                                            OF WEST VIRGINIA

Workman, Chief Justice, concurring:

                 Although I agree with the majority’s ultimate decision to affirm the defendant’s

conviction, I write separately to express my belief that the circuit court’s decision to prevent

cross-examination of State witness Ms. Victoria Combs on the issue of her probationary

status at the time she provided a statement to the West Virginia State Police was an abuse of

discretion. In my opinion, this issue warranted evaluation by the majority, despite the fact

that the error might properly have been found to be harmless in light of the other evidence

against the defendant.1 This witness, Ms. Combs had been placed on probation for two years

under a deferred adjudication, and that probationary period was subsequently reduced to only

twelve months. That reduction in her probationary period and dismissal of her criminal

conviction2 was accomplished approximately six months after she provided her statement to

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           I also believe that any effort to analyze this issue under Rule 609 of the West Virginia
Rules of Evidence was misguided from its initiation. There is absolutely no question, based
upon the rule itself and the precedent of this Court, that Rule 609 had no application to this
case. It applies in the very narrow instance of a criminal conviction of a witness in question,
a circumstance which was not present here. Thus, to engage in an evaluation of whether
evidence of Ms. Combs’ legal history could be introduced under Rule 609 was fruitless and
misleading.
       2
       Upon her plea of guilty to a felony conspiracy charge, Ms. Combs was placed on
probation for two years under a deferred adjudication, with the understanding that if she

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the police about the defendant in this case. Moreover, the police officer who assisted with

the investigation into the shooting at McDonald’s was the same police officer who arrested

Ms. Combs in her underlying criminal charge.

              While I applaud the circuit court’s thoroughness in conducting an in camera

hearing to evaluate the issue of a potential connection between her cooperation with the

police and her reduction in time of probation, I believe the court’s ultimate conclusion was

flawed. A credibility issue as significant as the motivation of a key witness to provide a

statement against a defendant deserves to be evaluated by the jury, even if the trial court is

not convinced of any undue pressure placed upon that witness to cooperate with the police.3

              This Court has very appropriately and consistently held that the right of a

defendant to cross-examination of witnesses is sacred. This Court has also emphatically

explained that “[a] defendant on trial has the right to be accorded a full and fair opportunity

to fully examine and cross-examine the witnesses.” Syl. Pt. 1, State v. Crockett, 164 W.Va.

successfully completed probation, she would be permitted to withdraw her guilty plea.
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         It is axiomatic that the prosecution in this matter would have been required to
disclose any inducements provided to Ms. Combs in exchange for her statement or testimony.
See Syl. Pt. 2, State v. James, 186 W.Va. 173, 411 S.E.2d 692 (1991) (explaining that “[t]he
prosecution must disclose any and all inducements given to its witnesses in exchange for
their testimony at the defendant’s trial.”). This Court reasoned that “[s]uch deals are crucial
as impeachment evidence; in some cases the jury may decide that the deal has created an
incentive for the witness to lie.” Id. at 175, 411 S.E.2d at 694.

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435, 265 S.E.2d 268 (1979).

                      Several basic rules exist as to cross-examination of a
               witness. The first is that the scope of cross-examination is
               co-extensive with, and limited by, the material evidence given
               on direct examination. The second is that a witness may also be
               cross-examined about matters affecting his credibility. The term
               “credibility” includes the interest and bias of the witness,
               inconsistent statements made by the witness and to a certain
               extent the witness’ character. The third rule is that the trial
               judge has discretion as to the extent of cross-examination.

Syl. Pt. 4, State v. Richey, 171 W.Va. 342, 298 S.E.2d 879 (1982) (emphasis added).

               As this Court aptly noted in State v. Barnett, 226 W.Va. 422, 701 S.E.2d 460

(2010), a “trial court’s decision must be balanced with the substantive rights of the

appellants.” Id. at 430, 701 S.E.2d at 468. Justice Cleckley observed that in striking this

delicate balance, “[l]atitude normally is permitted in cross-examining the State’s witnesses,

and limitation of such cross-examination may only be based upon sound reasons justifying

a departure from the norm.” State v. Blake, 197 W.Va. 700, 709, 478 S.E.2d 550, 559

(1996).

               The United States Supreme Court emphasized the relevance of the partiality

of a witness, astutely observing as follows in Davis v. Alaska, 415 U.S. 308 (1974): “The

partiality of a witness is subject to exploration at trial, and is always relevant as discrediting

the witness and affecting the weight of his testimony.” Id. at 316 (emphasis added). In

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Pointer v. Texas, 380 U.S. 400 (1965), the Court explained that “[t]here are few subjects,

perhaps, upon which this Court and other courts have been more nearly unanimous than in

their expressions of belief that the right of confrontation and cross-examination is an

essential and fundamental requirement for the kind of fair trial which if the country’s

constitutional goal.” Id. at 405. Similarly, Justice Davis clearly articulated the critical

importance of wide latitude in cross-examination in her dissenting opinion in State v. Jones,

230 W.Va. 692, 742 S.E.2d 108 (2013), and examined the “problem of denying a defendant

the right to cross-examine a key witness with relevant evidence that attacks the witness’

credibility.” Id. at 705, 742 S.E.2d at 121 (Davis, J., dissenting).

              Essential to an accurate analysis of the present case is the recognition that

evidence of a specific promise of leniency or inducement to provide a statement is not a

prerequisite to allowing cross-examination on the issue of witness motivation. As the

Supreme Court of Georgia indicated in Hines v. State, 290 S.E.2d 911 (Ga. 1982), in

examining witness motivation and the possibility of a deal with law enforcement, “[w]hether

or not such a deal existed is not crucial.” Id. at 914 (internal citations omitted). “What

counts is whether the witness may be shading his testimony in an effort to please the

prosecution.” Id. This “desire to cooperate may be formed beneath the conscious level, in

a manner not apparent even to the witness, but such a subtle desire to assist the state

nevertheless may cloud perception.” Id. (internal citations omitted).

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              Similarly, in Braund v. State, 12 P.3d 187 (Alaska Ct. App. 2000), the trial

court had ruled that the defendant could not cross-examine a prosecution witness on the issue

of “her favorable treatment unless he had some independent evidence that the District

Attorney’s Office formally gave [the witnsss] favorable treatment in exchange for her

testimony[.]” Id. at 190. The trial court had advised the defendant’s counsel to “[c]ome back

[if] you have . . . a good-faith basis for asking that question[.]” Id. On appeal, the appellate

court reversed, noting that the trial court “was willing to let [the defendant] question [the

witness] about the favorable resolution of the crack cocaine charge only if the State conceded

that the dismissal of that charge had been the quid pro quo for [the witness’] testimony

against [the defendant]. This was error.” Id. at 191. The court in Braund elaborated:

              The State dismissed a felony charge against [the witness] just
              before she was to testify against [the defendant]. This sequence
              of events, in itself, raised an inference of favoritism. [The
              defendant] was entitled to present the facts and ask the jury to
              draw the inference. If the State wished to prove that the District
              Attorney’s Office was simply following established policy and
              that no favoritism was involved, the State was free to present
              witnesses on this issue. But it was error to prohibit [the
              defendant] from cross-examining [the witness] on this issue
              unless the government explicitly conceded the existence of the
              deal that [the defendant] was trying to prove.

Id. (emphasis added). The court also recognized that “the test is the witness’ expectation or

hope of a reward, not the actuality of a promise by the State.” Id. (internal citations omitted).

              Even if there was no formal agreement between [the witness]
              and the State, [she] might have subjectively believed that her

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              willingness to testify against [the witness] was the reason the
              State chose to dismiss her possession-of-cocaine charge.
              Conceivably, [she] might also have believed that the felony
              charge could be revived if she did not continue to cooperate.
              [The defendant] should have been allowed to cross-examine [the
              witness] concerning these potential grounds of bias.

Id.

              Addressing a refusal to permit cross-examination of a witness in Standifer v.

State, 718 N.E.2d 1107 (Ind. 1999), the Supreme Court of Indiana observed that the trial

court had improperly disallowed witness cross-examination regarding “the amount of time

remaining on a sentence he had served . . . .” Id. at 1110. The witness was on parole at the

time of the defendant’s trial, and the defendant “argued that the amount of time remaining

on [the witness’] sentence was a motivating factor in his cooperation with the State that

would affect the jury’s assessment of his credibility.” Id. The court found that “[a]lthough

there was no evidence of a deal between the State and [the witness] based on his cooperation,

[the defendant] is correct that the extent of a benefit offered to a witness is relevant to the

jury’s determination of the weight and credibility of a witness’ testimony.” Id.

              Similarly, even in the absence of any formal offer of favorable disposition, the

Supreme Court of Colorado held that it was error to prevent cross-examination of a witness

with regard to a recent charge for criminal trespass and any expectation the witness may have

had concerning a forthcoming favorable disposition. Kinney v. People, 187 P.3d 548, 559

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(Colo. 2008). The reviewing court in Kinney held:

              ]T]he court of appeals seems to have concluded that defense
              counsel failed to show a nexus between the pending charge and
              an influence on [the witness’] testimony against [the defendant]
              because the prosecution claimed that it had not promised [the
              witness] a favorable disposition of her pending misdemeanor
              case in exchange for testifying.

Id. at 560. The court reversed that decision, holding that precedent clearly “only requires that

the defendant show that the witness’s testimony might be influenced by a promise for, or

hope or expectation of, immunity or leniency with respect to the pending charges against [the

witness].” Id. at 560 (internal citations omitted).

              Put another way, the court of appeals erred when it required the
              defendant show with certainty, rather than merely show the
              possibility, that the witness’s testimony was being influenced by
              a promise for, or even only mere hope or expectation of,
              leniency with the pending charge in exchange for favorable
              testimony against the defendant.

Id. (emphasis added). The court in Kinney emphasized that courts have not demanded a

“level of certainty in the nexus between the pending case and the witness’s testimony.” Id.

at 561.

              Even when there has not been an explicit promise of leniency
              made by the prosecution, an offer of proof or testimony by the
              witness articulating an expectation for leniency has not been
              required. Rather, reviewing courts have examined whether the
              particular facts of the case show that the witness’s testimony
              might have been influenced by a promise for, or simply a hope
              or expectation of, leniency in exchange for favorable testimony.
              ...

Id.; see also Delaware v. Van Arsdall, 475 U.S. 673 (1986) (finding error in ruling

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prohibiting defendant’s inquiry into possibility of witness bias as result of state’s dismissal

of pending public drunkenness charge).

               In the case sub judice, despite the fact that the only evidence on the impartiality

issue was presented by the State and did not indicate overt pressure or bias, I believe the

defendant should have been afforded the right to cross-examine Ms. Combs regarding her

probationary status and the possibility of undue influence. The potential connection between

her statement to police about this defendant and the leniency she later received on her

probationary status should have been a question of credibility for the jury, rather than the trial

court. This woman was originally placed on probation for twenty-four months, and that

period was reduced to only twelve months after she provided her statement to the police.

Rather than permitting the defendant a certain degree of latitude to present these

circumstances to the jury, the trial court circumvented any jury evaluation and used the

mechanism of an in camera hearing to make its own determination of whether the facts

warranted presentation to the jury. As examined above, courts have recognized that even the

subconscious expectations of a witness may influence his or her statement to the police.

While we do not question Ms. Combs’ truthfulness or suggest that she cooperated with police

to curry personal gain or to seek the favor of law enforcement in order to obtain a benefit in

her own legal tribulations, those issues should have been explored by the jury in this case.

I believe that the weakness in the majority’s opinion is its apparent endorsement of the

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concept that this credibility determination could be made by the trial court when, in my

opinion, it should have been solely within the province of the jury. As the United States

Supreme Court articulated in Van Arsdall, “[a] reasonable jury might have received a

significantly different impression” of Ms. Combs’ credibility had defense “counsel been

permitted to pursue his proposed line of cross-examination.” Id. at 680.

             I therefore respectfully concur.

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