Dissenting Opinion Filed December 29 , 2014.
S In The
Court of Appeals
Fifth District of Texas at Dallas
No. 05-13-00421-CR
No. 05-13-00423-CR
No. 05-13-00424-CR
No. 05-13-00425-CR
THE STATE OF TEXAS, Appellant
V.
ALBERT G. HILL, III, Appellee
On Appeal from the 204th Judicial District Court
Dallas County, Texas
Trial Court Cause Nos. F11-00180-Q, F11-00182-Q, F11-00183-Q, F11-00191-Q
DISSENTING OPINION
Dissenting Opinion by Justice Bridges
I respectfully dissent from the majority’s opinion and judgment because I would conclude
the trial court did not abuse its discretion in conducting a hearing on Hill’s motion to dismiss and
dismissing with prejudice the indictments against Hill.
No appellate court in Texas has ever ruled that a trial court erred in conducting a hearing
on a defendant’s motion to dismiss charges on the basis they violated his constitutional rights.
See, e.g., State v. Dinur, 383 S.W.3d 695, 698–99 (Tex. App.—Houston [14th Dist.] 2012, no
pet.) (trial court conducted hearing on appellant’s motion to dismiss charges against him on the
basis of, among other things, selective prosecution); Rodriguez v. State, 283 S.W.3d 465, 471–72
(Tex. App.—San Antonio 2009, pet. dism’d) (trial court conducted hearing on appellant’s claim,
similar to claim of selective prosecution, that trial court denied him equal protection, due
process, equity, and fairness when it dismissed a virtually identical bond forfeiture case against
another defendant and his surety but did not do the same for appellant); Galvan v. State, 988
S.W.2d 291, 293 (Tex. App.—Texarkana 1999, pet. ref’d) (trial court conducted hearing on
appellant’s motion to quash indictment on basis he was selectively prosecuted for bail jumping
due to his race and nationality); Amaya v. State, No. 08-11-00265-CR, 2013 WL 5593110, at *7–
9 (Tex. App.—El Paso Oct. 9, 2013, no pet.) (not designated for publication) (trial court
conducted pretrial hearing on appellant’s motion to dismiss alleging prosecutorial vindictiveness
in that prosecutor offered appellant prison time on a mandatory probation case following a
motion to suppress hearing at which appellant did not prevail); Roman v. State, No. 08-11-
00057-CR, 2012 WL 5287933, at *4–5 (Tex. App.—El Paso Oct. 24, 2012, no pet.) (not
designated for publication) (trial court conducted hearing on appellant’s motion to quash “due to
selective/vindictive prosecution” supported only by copy of information charging her with
harassment, copy of citizen complaint form she filed against detective, and track and confirm
receipt from United States Postal Service).
Under article 28.01 of the code of criminal procedure, a trial court may set any criminal
case for a pretrial hearing at which it must determine “preliminary matters,” including a claim of
prosecutorial vindictiveness. See Neal v. State, 150 S.W.3d 169, 176 (Tex. Crim. App. 2004).
The trial court’s decision to conduct an evidentiary hearing and dismiss the indictments with
prejudice is reviewed for an abuse of discretion. See State v. Terrazas, 970 S.W.2d 157, 159
(Tex. App.—El Paso 1998), aff’d, 4 S.W.3d 720 (Tex. Crim. App. 1999).
Hill’s motion to quash and dismiss the indictments was based on the following facts: Hill
and his father were involved in “a hotly-contested federal lawsuit involving multi-billion dollar
trusts.” In February 2010, the federal judge presiding over the case entered an order finding that
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Hill’s father had testified falsely and submitted evidence in bad faith. Four days later, Hill’s
father, through his lawyer, submitted to the Dallas County District Attorney’s Office a letter
accusing Hill and his wife of mortgage fraud. In the months that followed, a law partner donated
a total of $48,500 in three contributions to the re-election campaign of Dallas District Attorney
Craig Watkins. No member of this firm had previously donated to Watkins’s campaign.
In May 2010, Lisa Blue saw a magazine article raising the question of whether the district
attorney’s office would “go after” Hill “for shenanigans related to the house in which they live.”
The article described the circumstances surrounding the same $500,000 loan that had been
reported to the district attorney. After Blue learned the investigation of Hill’s alleged criminal
conduct had been leaked to the press, she had a meeting with Terri Moore, First Assistant
District Attorney at the time. Blue recommended that Hill not be indicted. Watkins was not
present at the meeting.
Also in May 2010, the federal trust litigation settled. Following the settlement, Blue and
her colleagues had a conflict with Hill over payment of more than $50 million in attorneys’ fees
attributed to Blue’s six-month representation of Hill. Because of the indictments, Hill felt he
could not testify and invoked his Fifth Amendment rights in the federal proceeding.
On January 20, 2011, Blue and Watkins met for dinner. Also in January 2011, while
Blue was with Steve Malouf, Watkins called Blue and said, “There could be an indictment1 or
are you still interested in the indictments or . . . .” On another occasion, the date of which Blue
could not remember, Watkins called Blue and again “mentioned the Hills.” Blue said, “Craig,
remember, I don’t represent the Hills, so I can’t -- there’s nothing that I could talk about.”
Another lawyer was with Blue when she received this second call.
1
In 2014, the Dallas County District Attorney’s website said 100,000 cases are processed per year.
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Blue and Watkins exchanged numerous phone calls in March 2011. On March 3, 2011,
Blue met with Watkins to take publicity photos in connection with a $100,000 donation Blue
made in his honor to SMU law school in 2010. On March 9, 2011, Blue had a fundraiser for
Watkins at her house and contributed $5000 to Watkins. On March 22, 2011, Blue was deposed
in connection with her fee dispute with Hill. On March 30, 2011, Blue and Watkins again met
for dinner. On March 31, 2011, the Hills were indicted on charges of mortgage fraud. The
indictments were made public two weeks before the $50 million fee dispute trial.
On October 12, 2012, approximately eighteen months after the Hills were indicted, the
Hills’ defense counsel met with Assistant District Attorney Deborah Smith who described a “re-
evaluation” of certain cases and said she had already decided to recommend dismissing certain
charges against both Hill and his wife. Smith “expressed significant concerns about the cases
against the Hills, made clear that she had no role in obtaining the indictments, [and] said that the
interviews of witnesses she was conducting should have been conducted much earlier.” Shortly
after the meeting, the DA moved to dismiss all charges against Hill’s wife “in the interest of
justice.” On October 22, 2012, in response to a follow-up email from Hill’s counsel, Smith
wrote that she had been reassigned to prosecute animal cruelty cases.
On February 14, 2013, the trial judge conducted a hearing on Hill’s motion to dismiss.
The trial judge stated she did not take her authority to dismiss a case filed by the prosecutor
lightly and emphasized the limited nature of that authority. The trial judge, over the State’s
objection, called Blue as a witness. Blue took the stand and invoked her Fifth Amendment right
on all questions.
Hill’s attorney called Watkins to the stand. Counsel for the State objected on the basis of
lawyer/client privilege. Specifically, counsel argued the State of Texas was represented by the
district attorney, and the State therefore had a right to assert the privilege to prevent its lawyers
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from disclosing “any other fact which came to their knowledge by virtue of their representation
of the State.” Counsel for the State argued conversations between Blue and Watkins were work
product because they would “reveal [Watkins’s] mental impression.” The trial judge instructed
the State to “bring Mr. Watkins down.”
An assistant district attorney entered the courtroom and stated she had spoken to Watkins,
Watkins was in the office, but Watkins was not going to make himself available. The trial judge
asked if Watkins was informed that the questions were going to be limited to his discussions with
Blue. The assistant district attorney stated she was not aware of that and further stated she knew
“[Watkins] to be ill,” and he was not “in a condition to be able to testify in this matter.”
Following further discussion as to the extent of Watkins’s illness and the fact that Watkins was
under subpoena to testify, the trial judge granted a continuance.
On March 7, 2013, the trial judge conducted a hearing at which Blue’s counsel stated
Blue’s position that “she would assert her Fifth Amendment privilege today just as she had
before.” Hill called Watkins as a witness and, after a private consultation with counsel, Watkins
took the stand and refused to answer any questions “because of [his] right as an attorney to have
the privilege and to protect [his] work product.” Following a discussion of whether any privilege
had been waived by providing affidavits of the people who worked for Watkins, the trial judge
ordered Watkins to answer the questions. Watkins refused, and the trial judge held him in
contempt.
Hill was prepared to call witnesses to testify regarding the authenticity of the exhibits
attached to his motion to dismiss and certain other documents. Although it is not clear which
exhibits were at issue, counsel for the State agreed he was stipulating to the authenticity of the
exhibits.
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Terri Moore, a former Dallas assistant district attorney, testified Donna Strittmatter and
Stephanie Martin, two other assistant district attorneys, came to Moore and asked for permission
to use the resources of the office to investigate Hill. Moore inquired whether Hill’s father had
made the allegations against him, and Strittmatter and Martin told Moore “there was a lawsuit
between the father and the son.” Moore said, “I’m sure dad is trying to get some kind of
strategic advantage over his son in the lawsuit, so be very, very skeptical of whatever he may
have told you.” Moore added, “Be careful, because [Hill’s father] is just using the office . . . .”
Strittmatter testified she attended the pitch session at which Watkins was present.
Watkins did not say anything about conversations with Blue regarding the Hills. Strittmatter
testified Watkins’s only involvement in preparing the case for the grand jury was that he was
present at the pitch session. The pitch session was in January 2011, and the case was presented
to the grand jury approximately two and a half months later.
Strittmatter testified Moore told her “to be suspicious of the complaint” she received
from Hill’s father. Strittmatter later learned the trust “offered the bargain over a nonprosecution
affidavit in this case” so that Hill would drop his claim for the assets of the trust. In investigating
the case, Strittmatter discovered the “title agency missed something on the abstract of the
property.” When asked if she was aware whether the Dallas County District Attorney’s Office
had “indicted a mortgage fraud case where the loan was fully collateralized, paid as expected,
and repaid in full and there was no complaint from the bank, but it was indicted anyway,”
Strittmatter answered she “was not aware because [she had] not been the mortgage fraud
prosecutor.” When asked the same question again, Strittmatter answered, “I don’t know, but that
doesn’t mean it hasn’t happened.” When the trial judge asked if there was a way to identify
similar cases via computer, Strittmatter answered, “We have a computer, but it wouldn’t say that
much detail, Your Honor. It’d really be the – the prosecutors’ individual memory.”
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Martin testified that, on February 22, 2010, Strittmatter called her into a meeting with
Lynn and gave her a copy of a complaint alleging Hill had stolen from the trust “because eighty
percent of the house was put into a mortgage.” Martin denied having “concerns about a case in
which the bank was not the one that complained about the alleged fraud.” Martin testified
Moore told her to be suspicious of Hill’s father. Martin testified that, from the moment she got
the complaint and reviewed the exhibits, she thought she had a good case and immediately
started requesting original documents.
Martin invited Watkins to the pitch session because the case against Hill “would get some
media attention, possibly national media attention.” Martin testified that, if Watkins had told her
“this is too much of a hot potato; let’s just let it go,” she would not have put the case before the
grand jury.
On redirect examination, Hill’s counsel showed Martin notes Martin identified as “two
different days where I wrote notes about having talked to David Pickett.” The first date was
September 8, 2010, and noted the following:
David Pickett calls all the time. Investigation is slowly going, and I told him that.
Today he wanted a definite timeline. I told him I can’t give you a timeline. I’ve
got things to do on the case and haven’t done them because I’m getting ready for
trial. He said Trust is actual victim after I told him bank really isn’t interested in
prosecuting. Told him that in research I’d done, didn’t see how I could prove his
criminal case at this time. He said he sent -- gave all that stuff to me. I said I’d
go back and look, but getting ready for trial. He then sends e-mail. I showed it to
Chief D. Strittmatter, and then she said to show to First Assistant Terri Moore so
she would have all info, if needed. Took to Terri Moore, and she said, okay, in a
few weeks call him to discuss the matter.
Upon further questioning, Martin testified the bank’s general counsel said “we wouldn’t
have filed a complaint because we -- the loan got repaid, but she would do whatever [Martin]
wanted her to do as far as prosecuting the case because, by law, she has to.” The trial judge,
reading from Martin’s notes, stated “and then it goes on to say, I’ve talked to David Pickett
multiple times since then. He was okay with not indicting for the Trust as a victim because the
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bank is actual -- who was defrauded under the fraud statutes and going forward with
indictments.” In response to questioning, Martin testified the part of her note the trial judge read
was “probably” added after Hill filed his motion to dismiss for prosecutorial misconduct.
Thus, as the trial judge summarized the situation, the pitch session was held only because
the case against Hill was a potentially high publicity case; Martin invited Watkins to the pitch
session and would not have gone forward with the case against Hill without Watkins’s approval;
the only person who could know Watkins’s motivations was Watkins and, maybe, Blue; and
neither Watkins nor Blue were testifying. The trial judge gave Watkins another opportunity to
come down and testify and took a brief recess. When the hearing recommenced, counsel for the
State told the trial judge Watkins would not testify.
Following the presentation of evidence, the trial judge made an oral finding that,
“because of the failure of Mr. Watkins to testify in this hearing, the Defendant has been denied
his right to have a meaningful hearing on his Motion to Dismiss.” The trial judge then dismissed
the cases. This appeal followed.
In its first two points of error, the State argues the trial court abused its discretion by
granting Hill an evidentiary hearing and dismissing the indictments against him because (1) Hill
tendered no evidence to support his request and (2) the facts Hill alleged failed to establish a
constitutional violation. Specifically, the State challenges the trial judge’s decision to hold an
evidentiary hearing on Hill’s claims of prosecutorial misconduct in its first two issues. The State
first complains about Hill’s proffer of evidence in support of his motion. The State argues that
Hill needed to present evidence to support his claims before he was entitled to an evidentiary
hearing and, because Hill “simply made unsworn allegations” in his motion and “attached a stack
of unauthenticated documents” as exhibits, he basically provided no evidence to support his
central allegations. The State asserts that, under United States v. Armstrong, 517 U.S. 456
–8–
(1996), the judge had to presume Watkins acted in good faith until Hill presented clear evidence
to the contrary, and the presentation of such evidence was a condition that must be met before
receiving an evidentiary hearing. The State contends that, because Hill tendered no evidence
(other than some trial transcripts and deposition testimony, both of which the State argues are not
clear evidence sufficient to dispel the presumption the prosecutor acted with a proper motive),
the trial judge erred in conducting the evidentiary hearing. In response, Hill states the facts cast
doubt on the constitutionality of the prosecution and not only entitle him to an evidentiary
hearing but also establish a prima facie showing of prosecutorial misconduct.
The trial court’s decision to conduct an evidentiary hearing and dismiss the indictments
with prejudice is reviewed for an abuse of discretion. See Terrazas, 970 S.W.2d at 159. The test
for whether the trial court abused its discretion is whether the action was arbitrary or
unreasonable. State v. Mechler, 153 S.W.3d 435, 439 (Tex. Crim. App. 2005). The trial court
does not abuse its discretion unless its determination lies outside the zone of reasonable
disagreement. Martinez v. State, 327 S.W.3d 727, 736 (Tex. Crim. App. 2010).
Selective prosecution and vindictive prosecution are not defenses on the merits to the
criminal charge but independent assertions that the prosecutor has brought the charge for reasons
the Constitution prohibits. See Armstrong, 517 U.S. at 463; Ex Parte Quintana, 346 S.W.3d 681,
685 (Tex. App.—El Paso 2009, pet. ref’d). Generally, prosecutors have broad discretion in
enforcing criminal laws. See Neal, 150 S.W.3d at 173. But selective prosecution does limit a
prosecutor’s otherwise broad discretion in determining what crimes to prosecute and how.
Quintana, 346 S.W.3d at 685; see Roise v. State, 7 S.W.3d 225, 242–43 (Tex. App.—Austin
1999, pet. ref’d).
A defendant who believes he is subjected to selective prosecution bears the burden of
proving purposeful discrimination. See Green v. State, 934 S.W.2d 92, 103 (Tex. Crim. App.
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1996). This burden falls on the defendant because the presumption is that a prosecution for a
violation of a criminal law is taken upon in “good faith and in nondiscriminatory fashion” to
bring violators to justice. See Gawlick v. State, 608 S.W.2d 671, 673 (Tex. Crim. App. 1980);
Garcia v. State, 172 S.W.3d 270, 273 (Tex. App.—El Paso 2005, no pet.). To establish a prima
facie case, the defendant must show that: (1) the government has singled him out for prosecution
even though the government has not proceeded against others similarly situated based on the
type of conduct for which he is charged; and (2) the government’s discriminatory selection is
invidious, which means that the selection is based on impermissible considerations such as race,
religion, or the desire to prevent his exercise of constitutional rights or based on some arbitrary
classification. Quintana, 346 S.W.3d at 685; Garcia, 172 S.W.3d at 273-74. The defendant
must provide “exceptionally clear” evidence that the decision to prosecute was for an improper
reason to establish a prima facie case of selective prosecution. See Garcia, 172 S.W.3d at 274.
Once the defendant makes a clear showing of an Equal Protection violation, the burden shifts to
the State to justify the discriminatory treatment. See Johnson v. California, 543 U.S. 499, 505
(2005); Quintana, 346 S.W.3d at 685. However, the Equal Protection clauses of the United
States and Texas Constitutions only require a rational basis for the distinction unless it
discriminates against a suspect class or impinges on a fundamental right. See Flores v. State,
904 S.W.2d 129, 130 (Tex. Crim. App. 1995).
A constitutional claim of prosecutorial vindictiveness may be established in either of two
distinct ways: (1) proof of circumstances that pose a “realistic likelihood” of such misconduct
sufficient to raise a “presumption of prosecutorial vindictiveness,” which the State must rebut or
face dismissal of the charges; or (2) proof of “actual vindictiveness” — that is, direct evidence
that the prosecutor’s charging decision is an unjustifiable penalty resulting solely from the
defendant’s exercise of a protected legal right. Neal, 150 S.W.3d at 173. Under the first prong,
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if the State pursues increased charges or an enhanced sentence after a defendant is convicted,
exercises his legal right to appeal, and obtains a new trial, the Supreme Court has found a
presumption of prosecutorial vindictiveness. Id. (citing Blackledge v. Perry, 417 U.S. 21
(1974)). In the very few situations in which this presumption does apply, it can be overcome by
objective evidence in the record justifying the prosecutor’s action. Id. at 173–74.
Under the second prong, when the presumption does not apply, the defendant may still
obtain relief if he can show actual vindictiveness. Id. at 174. To establish that claim, a
defendant must prove, with objective evidence, that the prosecutor’s charging decision was a
“direct and unjustifiable penalty” that resulted “solely from the defendant’s exercise of a
protected legal right.” Id. Under this prong, the defendant shoulders the burden of both
production and persuasion, unaided by any legal presumption. Id. Once again, the trial judge
decides the ultimate factual issue based upon the evidence and credibility determinations. Id. at
174-75. Under either prong, “[i]f the defendant is unable to prove actual vindictiveness or a
realistic likelihood of vindictiveness, a trial court need not reach the issue of government
justification.” Id. at 175. That is, the State may stand mute unless and until the defendant carries
his burden of proof under either prong. Id.
A trial judge’s limited authority to dismiss an indictment stems in part from the fact that
the decision of whether to prosecute is a core executive constitutional function. Armstrong, 517
U.S. at 464–65. And because this power is within the province of the State, the State enjoys
considerable discretion in deciding whether or not to prosecute and what charge to file or bring
to the grand jury. Wayte v. United States, 470 U.S. 598, 607 (1985); Bordenkircher v. Hayes,
434 U.S. 357, 364 (1978); see also Neal, 150 S.W.3d at 173. As a result of that discretion, our
consideration of Hill’s claims begins with a “presumption of regularity.” That means we
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presume the State made its decision to prosecute Hill in good faith and in compliance with the
Constitution. Armstrong, 517 U.S. at 465–66; Neal, 150 S.W.3d at 173.
Because courts are hesitant to interfere with the State’s exercise of its discretion to
prosecute, a defendant challenging the State’s decision to prosecute him must make out a prima
facie showing that he has been prosecuted in violation of his constitutional rights. United States
v. Webster, 162 F.3d 308, 333–34 (5th Cir. 1999). To do this, he must “dispel the presumption
of good faith” and constitutional compliance by presenting “‘clear evidence to the contrary.’” Id.
at 334 (quoting Armstrong, 517 U.S. at 465); see also Armstrong, 517 U.S. at 464 (because
prosecutors are afforded a “background presumption,” the necessary showing “to obtain
discovery should itself be a significant barrier to the litigation of insubstantial claims”); Garcia,
172 S.W.3d at 274 (appellant “claiming selective prosecution must come forth with
‘exceptionally clear evidence’ that the prosecution was initiated for an improper reason.”).
Importantly, a defendant who claims his constitutional rights were violated by some form
of prosecutorial misconduct “is not automatically entitled to an evidentiary hearing to make the
required showing.” Webster, 162 F.3d at 334. Rather, he must “present facts ‘sufficient to
create a reasonable doubt about the constitutionality of [his] prosecution’ . . . .” Id. (quoting
United States v. Jennings, 724 F.2d 436, 445–46 (5th Cir. 1986)); see also United States v.
Cervantes, 132 F.3d 1106, 1111 n.4 (5th Cir. 1981) (explaining that defendant is entitled to an
evidentiary hearing related to constitutionality of his prosecution “only if the existing record
proves the likely merit of [his] specific allegations”). The “facts” required to cast doubt about
the constitutionality of the prosecution and rebut the presumption the State acted in good faith
such that a person is entitled to an evidentiary hearing (or even discovery) must be more than
allegations. See Jennings, 724 F.2d at 445–46 (motion containing broad, generalized allegations
did not offer facts to the court to warrant evidentiary hearing); see also Wade v. United States,
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504 U.S. 181, 186 (1992) (stating that “generalized allegations of improper motive” are not
enough to entitle a defendant to a remedy, discovery, or evidentiary hearing); United States v.
Sanchez, 517 F.3d 651, 671 (2d Cir. 2008) (“Generalized allegations of improper motive do not
disturb the presumption of regularity.”).
A defendant also is not automatically entitled to discovery to obtain information about
the prosecutorial motive; the requisite threshold to obtain discovery on such claims requires the
person to produce “some evidence tending to show the existence of the essential elements” of the
claimed violations. Armstrong, 517 U.S. at 468. The standard for obtaining discovery in aid of
such claims is “rigorous” and complements the “rigorous standard” for proving constitutional
violations in the decision to prosecute. Id.
I agree with the State’s contention that a criminal defendant is not entitled to probe
prosecutorial motive absent clear evidence establishing a prima facie case of a constitutional
violation. See In re United States, 397 F.3d 274, 284 (5th Cir. 2005). I also agree that the
governing legal principles outlined above contemplate an initial evidentiary tender by Hill to
displace the presumption the prosecutor acted in good faith. See Armstrong, 517 U.S. at 465;
Webster, 162 F.3d at 334. I disagree, however, with the State’s first argument that Hill provided
“no evidence” with his motion in support of his claims.
Hill alleged in his motion that the influence exercised upon Watkins by Hill’s father, his
father’s lawyer, and Blue deprived him of due process. He explained that Watkins had “a
financial stake in the prosecution of the Hills” because indicting them benefited Blue (who was
involved in a dispute with the Hills over attorneys’ fees) and counsel for his father (who also was
a major campaign contributor) “which in turn benefited” Watkins. Hill claimed Blue’s influence
and involvement with the indictment process were demonstrated by Blue’s admission that
Watkins contacted her two times before the indictments were returned and the pattern of phone
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calls and text messages exchanged between Blue and Watkins (and others in the DA’s office) in
the weeks before the indictments were returned.
In his motion, Hill argued that, to prevail on his vindictive prosecution claim, he was
required to show that (1) “the prosecutor harbored genuine animus toward the defendant, or was
prevailed upon to bring the charges by another with animus such that the prosecutor could be
considered a ‘stalking horse’” and (2) “he would not have been prosecuted except for the
animus.” United States v. Koh, 199 F.3d 632, 640 (2d Cir. 1999). Hill alleged that the decision
to prosecute him was prompted by the anger of his father after receiving an adverse ruling in the
trust litigation and the animus of Blue in the fee-dispute litigation. He also maintained that the
timing, circumstances, and unusual if not unprecedented nature of the Hill
indictments make abundantly clear that the real motivation of these indictments
was to benefit [Watkins’s] prolific campaign contributor [his father’s lawyer’s
law partner], and to assist [Watkins’s] friend and benefactor, [Blue] by impairing
the Hills’ ability to contest [Blue’s] enormous fee claims.
He claimed such animus was demonstrated by the improprieties inherent in the indictments (such
as his denial of any pre-indictment notice or opportunity to be heard by the Grand Jury), the
“unprecedented nature” of the charges, and Hill’s understanding that the DA’s office did not
conduct a thorough investigation before indicting him. Hill’s third allegation was that the
indictments should be dismissed because he was denied equal protection under the law when he
was prosecuted under circumstances that do not normally lead to criminal prosecution and when
he was denied the benefit of pre-indictment notice.
The State concedes Blue’s deposition testimony that Watkins called her two times
regarding the Hill indictments was evidence. Attached to Hill’s motion to dismiss were exhibits
including a complaint from Hill’s father’s attorney that the Hills committed mortgage fraud;
excerpts from Watkins’s campaign finance reports; emails between Blue, Hill, Malouf, and
Charla Aldous; excerpts from Blue’s deposition; and the indictments against the Hills. The
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record reflects that the State did not object to the numerous exhibits attached to Hill’s motion to
dismiss. Instead, the State filed a response to the merits of Hill’s assertions contained in Hill’s
motion, appeared at the hearing on Hill’s motion, and ended up stipulating to the authenticity of
the exhibits. Further, Blue took the Fifth and refused to testify concerning her conversations
with Watkins, which creates an adverse inference against the State. An adverse inference may
not be drawn from a defendant’s proper invocation of a privilege because in a criminal case “the
stakes are higher and the State’s sole interest is to convict.” Baxter v. Palmigiano, 425 U.S. 308,
318-19 (1976). However, the danger of unfair prejudice is not the same when it is the defense
rather than the State that seeks to draw an inference from a witness’s invocation of privilege. I
would reject the State’s argument, made for the first time on appeal, that the exhibits were “no
evidence,” see TEX. R. APP. P. 33.1(a), and overrule the State’s first issue.
In its second issue, the State argues Hill failed to make a prima facie case of a
constitutional violation. At the hearing on Hill’s motion to dismiss, the State made this same
argument. However, the State raised this issue after the hearing had begun and after the trial
judge determined Hill had already established a prima facie case. A review of the record shows
the first thing the trial judge did at the February 14 hearing was address the court’s power to
dismiss the indictments against Hill. No new evidence was presented at the February 14 hearing.
In response to the State’s argument that Hill “want[ed] information” and “that’s just discovery
under 39.14,” the trial judge questioned how Hill could “just want information” when “[Hill had]
already provided, in the opinion of this Court, sufficient information.” Later in the hearing, the
trial judge specifically stated that “civil lawyers in a couple weeks ahead of time [of the
indictments] making huge contributions to the District Attorney, and you have admissions by
Ms. Blue that she discussed the indictments with Mr. Watkins” established a prima facie case to
support the motion to dismiss. Another time, the trial judge stated, “This is a hearing on a
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motion to dismiss or a motion to quash,” and Hill “presented sufficient evidence to the Court in
the form of their motion to dismiss and the response . . . to the State’s objections that I believe
rise to the level of a prima facie showing.”
Thus, the record shows the trial judge made a determination that Hill established a prima
facie case before the hearing on February 14. The trial judge began the hearing by questioning
the court’s authority to dismiss the indictments against Hill, not by addressing the issue of
whether Hill made a prima facie showing of a constitutional violation. The trial judge’s
references to a “hearing” to follow referred to a hearing on specific issues the trial judge
identified, not the issue of a prima facie case. Notably, the February 14 hearing was continued
due to Watkins’s refusal to appear, necessitating further “hearings” on the dismissal issue.
The gist of the allegations presented in Hill’s motion is that there was an untoward
interest in indicting him. He specifically claimed he was deprived of his right to a disinterested
prosecutor and that he had been vindictively and selectively prosecuted. As proof of the alleged
constitutional violations, Hill emphasized in his motion the following: (1) Watkins’s campaign
records showing political contributions from a lawyer associated with his father in the months
after the February 2010 complaint and five months before the indictments were returned and a
donation by Blue less than a month before the indictments; (2) information showing that Blue
hosted a fundraiser for Watkins in the month before the indictments; (3) the “unusual” nature of
the charges against him; (4) the lack of notice to him that indictments were being considered; (5)
the suspect timing of the indictments in that they were returned just before the fee-dispute trial
involving Blue, which Hill claimed prevented him and his wife from testifying in that trial; (6)
Blue’s telephone records and text message logs, which Hill claimed show a “heated exchange”
of communications with Watkins and his office in the weeks leading up to the indictments and
ending after the indictments were returned; (7) Blue’s admission during her depositions that she
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discussed indictments with Watkins in the time before they were returned; (8) Blue’s comment
made in her deposition that she would have no reason to discuss indictments with Watkins after
they were returned; (9) Blue’s close relationship with Watkins; (10) defense counsel’s meeting
with Smith about the charges; and (11) the fact that the charges against Hill’s wife were
dismissed. In addition, the trial judge heard from the district attorney’s office that they did not
initially think this was a good case, and the trial judge noted Martin was impeached with her own
notes.
I would conclude the trial judge did not abuse her discretion in determining these facts
establish a prima facie case of a selective prosecution, vindictive prosecution, and absence of an
impartial and disinterested prosecutor. See Terrazas, 970 S.W.2d at 159. The evidence
presented by Hill amounted to “more than allegations.” See Jennings, 724 F.2d at 445–46. By
conducting a hearing after Hill made a prima facie case of a constitutional violation, the trial
judge correctly shifted the inquiry to whether the State could produce evidence showing why the
prosecution of Hill was not vindictive or selective or undertaken by an impartial and
disinterested prosecutor. See Neal, 150 S.W.3d at 173. Following the State’s failure to present
evidence from Watkins or Blue to rebut Hill’s prima facie case, the trial judge did not abuse her
discretion in dismissing the indictments against Hill. Id. at 173–75. I would overrule the State’s
second issue.
In its third issue, the State argues the trial judge abused her discretion by compelling
Watkins to testify and then dismissing the indictments based on his refusal to testify.
Specifically, the State argues Hill was attempting to “invade protected work product” by seeking
to discover the basis for Watkins’s decision to seek indictments against Hill.
In its response to Hill’s motion to dismiss, the State asserted Hill’s argument assumed the
district attorney was not free to discuss these crimes or his investigation with others or, more
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particularly, Blue. The State argued Hill’s assumption is false and argued that, even if the
district attorney spoke to Blue about Hill’s cases every single time the two communicated, there
was nothing improper about it. As the county’s prosecuting authority, the district attorney is
obligated to investigate allegations of criminal activity and, according to the State, any source
that could inform his decision about whether to prosecute and what to prosecute an individual for
is fair game. The State argued it would be reasonable for the district attorney to conclude that
Blue’s prior relationship with Hill, which was both personal and professional, made her a
potential source of reliable information.
Again, nowhere in its response did the State challenge the authenticity or veracity of any
of the exhibits attached to Hill’s motion to dismiss or argue that Hill’s motion failed to make out
a prima facie showing that he had been prosecuted in violation of his constitutional rights.
Further, the record shows the State subsequently stipulated to the authenticity of the exhibits at a
later hearing.
Work product comprises:
(1) material prepared or mental impressions developed in anticipation of litigation
or for trial by or for a party or a party’s representatives, including the party’s
attorneys, consultants, sureties, indemnitors, insurers, employees, or agents; or
(2) a communication made in anticipation of litigation or for trial between a party
and the party’s representatives or among a party’s representatives, including the
party’s attorneys, consultants, sureties, indemnitors, insurers, employees, or
agents.
TEX. R. CIV. P. 192.5. The work product of an attorney or an attorney’s representative that
contains the attorney’s or the attorney’s representative’s mental impressions, opinions,
conclusions, or legal theories is not discoverable. Id. “The primary purpose of the work product
rule is to shelter the mental processes, conclusions, and legal theories of the attorney, providing a
privileged area within which the lawyer can analyze and prepare his or her case.” Owens
Corning Fiberglas Corp. v. Caldwell, 818 S.W.2d 749, 750 (Tex. 1991).
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Our evidence rules provide, however, that a privilege can be waived:
A person upon whom these rules confer a privilege against disclosure waives the
privilege if:
(1) the person or a predecessor of the person while holder of the privilege
voluntarily discloses or consents to disclosure of any significant part of the
privileged matter unless such disclosure itself is privileged.
TEX. R. EVID. 511(1); Jones v. State, 181 S.W.3d 875, 878 (Tex. App.—Dallas 2006, pet. ref’d).
The State in this case did not raise any privilege or work product objections during the testimony
of Moore, Strittmatter, or Martin. Through their collective testimony, the State allowed
extensive evidence concerning the decision-making process before and during the events leading
up to Hill’s indictments. Thus, any claim of privilege related to that process was waived. See
TEX. R. EVID. 511(1); Jones, 181 S.W.3d at 878.
Rule 1.05 of the Texas Rules of Disciplinary Procedure is pertinent to the issue of
whether Watkins legitimately could solicit information from Blue concerning whether to indict
Hill. Rule 1.05 provides:
[A] lawyer shall not knowingly . . . (2) [u]se confidential information of a client to
the disadvantage of the client unless the client consents after consultation [or] (3)
[u]se confidential information of a former client to the disadvantage of the former
client after the representation is concluded unless the former client consents after
consultation or the confidential information has become generally known.
TEX. DISCIPLINARY R. PROF’L CONDUCT 1.05(b), reprinted in TEX. GOV’T CODE ANN., tit. 2,
subtit. G app. A (West 2005) (TEX. STATE BAR R. art. X, § 9).
One of the primary purposes of the Sixth Amendment right to counsel is to preserve the
integrity of the attorney-client relationship once it has been established. State v. Frye, 897
S.W.2d 324, 327 (Tex. Crim. App. 1995) (citing Patterson v. Illinois, 487 U.S. 285 (1988)).
Both the court of criminal appeals and the United States Supreme Court have declared once an
accused has a lawyer, “a distinct set of constitutional safeguards aimed at preserving the sanctity
of the attorney-client relationship takes effect.” Id.
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Here, Watkins’s communication with Blue concerning Hill could have been a purely
innocent inquiry into whether Blue, his personal friend, was simply “interested” in what was
going on with Hill, in which case the inquiry would have had nothing to do with “a
communication made in anticipation of litigation or for trial” and would not have constituted
work product. The communication could have been an inquiry of Blue as a “potential source of
reliable information” against Hill, in which case the communication would have violated rule
1.05. Or the communication could have been an inquiry into whether Blue, who had formerly
urged the district attorney’s office not to indict Hill while she represented Hill, was “still
interested” in preventing the indictments now that she was seeking in excess of $50 million in
attorney’s fees from Hill. In that case, the characterization of Watkins’s communication as “a
communication made in anticipation of litigation or for trial” cannot stand; the purpose of the
communication in that case would be to violate Hill’s constitutional rights under the guise of
legitimate “prosecution.” None of these possibilities support the State’s theory that Watkins’s
communication with Blue concerning the Hill indictments fit within the definition of work
product. I would overrule the State’s third issue.
In its fourth issue, the State argues the trial judge abused her discretion by dismissing the
indictments with prejudice. The State argues dismissal without prejudice would have cured the
claimed constitutional violations.
Dismissal with prejudice may be warranted when a defendant suffers demonstrable
prejudice, or a substantial threat thereof, and where the trial court is unable to “identify and
neutralize the taint” by other means. Frye, 897 S.W.2d at 330. Here, the evidence supported the
trial judge’s determination that Hill established a prima facie case his constitutional rights were
violated, and the State presented no evidence enabling the trial judge to “identify and neutralize
the taint.” See id. It was for the trial judge to decide the ultimate factual issue based upon the
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evidence and credibility determinations. Neal, 150 S.W.3d at 174–75. I would conclude the trial
judge did not abuse her discretion in dismissing the indictments with prejudice. I would overrule
the State’s fourth issue.
I would affirm the trial judge’s order dismissing the indictments in these cases.
130421DF.P05
DAVID L. BRIDGES
JUSTICE
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