ILLINOIS OFFICIAL REPORTS
Appellate Court
People v. Murphy, 2013 IL App (4th) 111128
Appellate Court THE PEOPLE OF THE STATE OF ILLINOIS, Plaintiff-Appellee, v.
Caption ELLIOTT T. MURPHY, Defendant-Appellant.
District & No. Fourth District
Docket No. 4-11-1128
Filed May 9, 2013
Held Defendant’s convictions for first degree murder and attempted first
(Note: This syllabus degree murder were reversed and the cause was remanded for a new trial
constitutes no part of on the ground that defense counsel’s contemporaneous representation of
the opinion of the court defendant and a prosecution witness in an unrelated case constituted a per
but has been prepared se conflict of interest.
by the Reporter of
Decisions for the
convenience of the
reader.)
Decision Under Appeal from the Circuit Court of Macon County, No. 09-CF-1471; the
Review Hon. Timothy J. Steadman, Judge, presiding.
Judgment Reversed and remanded.
Counsel on Michael J. Pelletier, of State Appellate Defender’s Office, of Springfield,
Appeal and Alan D. Goldberg and Charles W. Hoffman (argued), both of State
Appellate Defender’s Office, of Chicago, for appellant.
Jay Scott, State’s Attorney, of Decatur (Patrick Delfino, Robert J.
Biderman, and Anastacia R. Brooks (argued), all of State’s Attorneys
Appellate Prosecutor’s Office, of counsel), for the People.
Panel JUSTICE APPLETON delivered the judgment of the court, with opinion.
Presiding Justice Steigmann and Justice Knecht concurred in the
judgment and opinion.
OPINION
¶1 A jury found defendant, Elliott T. Murphy, guilty of first degree murder (720 ILCS 5/9-
1(a)(1) (West 2008)) and attempt (first degree murder) (720 ILCS 5/8-4(a), 9-1(a) (West
2008)), for which the trial court sentenced him to consecutive prison terms of 55 years and
25 years. Defendant appeals. Because trial counsel labored under a per se conflict of interest,
we reverse defendant’s convictions and remand this case for a new trial.
¶2 I. BACKGROUND
¶3 A. The Charges
¶4 In September 2009, the State charged defendant and several other persons with first
degree murder (720 ILCS 5/9-1(a)(1) (West 2008)), attempt (first degree murder) (720 ILCS
5/8-4(a), 9-1(a) (West 2008)), aggravated battery (720 ILCS 5/12-4(a) (West 2008)), robbery
(720 ILCS 5/18-1 (West 2008)), and mob action (720 ILCS 5/25-1(a)(1) (West 2008)). The
charges arose out of two incidents that took place in Decatur on August 24, 2009. In the first
incident, a group of teenage boys battered and fatally injured Jerry Newingham near 540
West Sawyer Street. The second incident occurred shortly thereafter, in which they battered
and severely injured Kevin Wilson in nearby Garfield Park. Allegedly, defendant was one
of the attackers of Newingham and Wilson. Because defendant was 16 at the time of the
attacks and hence was over the statutory age of 15, the State prosecuted him in adult criminal
court pursuant to section 5-130(1)(a) of the Juvenile Court Act of 1987 (705 ILCS 405/5-
130(1)(a) (West 2008)).
¶5 B. Shawn Stanley’s Testimony in the Jury Trial
¶6 In defendant’s trial, which took place in August 2011, the State called Shawn Stanley.
During direct examination, Stanley testified he had no recollection seeing Wilson being
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beaten on August 24, 2009, or of giving a statement to Detective Barry Hitchens regarding
the beating.
¶7 Then, without objection, the prosecutor played for the jury People’s exhibit No. 29, a
videotape of the statement Stanley had given to Hitchens regarding the beating of Wilson.
The State presented this statement as substantive evidence pursuant to section 115-10.1 of
the Code of Criminal Procedure of 1963 (725 ILCS 5/115-10.1 (West 2008)). In the
statement, Stanley told Hitchens that on August 24, 2009, he was sitting in a pavilion in
Garfield Park with his girlfriend and that a man, who appeared to be drunk and asleep, was
sitting at another table in the pavilion. A group of about 12 teenage boys came to the park
and surrounded the man. The man stood up and tried to leave, but one of the boys punched
him in the face, knocking him down. Then another boy stomped on the man’s head. Several
other boys joined in, stomping on his stomach, ribs, and face. Then the attackers ran out of
the park.
¶8 In some photographs that Hitchens showed him, Stanley identified five of the attackers,
including defendant. Stanley told Hitchens that defendant had been “the main one” stomping
on the man; defendant had stomped on the man’s face at least six or seven times.
¶9 After the prosecutor played for the jury the video recording of Stanley’s statement to
Hitchens, the assistant public defender, Howard Baker, cross-examined Stanley on
statements he purportedly made to a Decatur park district ranger, Del Taylor, on the day of
Wilson’s beating. In his cross-examination, Baker brought out inconsistencies between what
Stanley told Taylor and what Stanley told Hitchens weeks later. Bringing out the
inconsistencies between these statements was all Baker did in his cross-examination of
Stanley.
¶ 10 C. The Verdicts and the Sentences
¶ 11 The jury found defendant guilty of murdering Newingham and of attempting to murder
Wilson.
¶ 12 In December 2011, the trial court sentenced defendant to consecutive prison terms of 55
years and 25 years.
¶ 13 D. Appellate Counsel’s Discovery That Baker Also Represented Stanley
for a Time During the Pretrial Phase of Defendant’s Case
¶ 14 The office of the State Appellate Defender (OSAD) was appointed to represent defendant
in this appeal, and while working on the appeal, OSAD learned that, during the pretrial phase
of defendant’s case, Baker also represented Stanley in a separate criminal case. OSAD
provides the following chronology.
¶ 15 On September 23, 2009, the trial court appointed Baker to represent defendant.
¶ 16 On October 1, 2009, Stanley’s name appeared in a discovery disclosure by the State, a
disclosure filed with the trial court and served on Baker.
¶ 17 On November 23, 2009, in People v. Stanley, Macon County case No. 2009-CF-1816,
the State charged Stanley with first degree murder, armed robbery, armed violence,
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aggravated battery with a firearm, and unlawful possession of cannabis with the intent to
deliver it.
¶ 18 On December 2, 2009, Baker entered his appearance on Stanley’s behalf in Macon
County case No. 2009-CF-1816.
¶ 19 On April 1, 2010, Stanley’s name appeared again in a discovery disclosure by the State
in the present case, a disclosure filed with the trial court and served on Baker.
¶ 20 On April 15, 2010, Baker represented Stanley in a guilty-plea hearing in Macon County
case No. 2009-CF-1816 (An earlier docket entry, dated January 27, 2010, says: “Cause
assigned on the trial call of Judge White.”). Stanley entered negotiated pleas of guilty to
aggravated battery with a firearm and unlawful possession of cannabis with the intent to
deliver it. The charges of murder, armed robbery, and armed violence were dismissed. The
trial court sentenced Stanley to concurrent prison terms of six years and four years.
¶ 21 On August 12, 2011, the State called Stanley as a prosecution witness in defendant’s trial,
with Judge Steadman presiding. Baker still was representing defendant, and he cross-
examined Stanley.
¶ 22 II. ANALYSIS
¶ 23 A. Our Standard of Review
¶ 24 All the facts germane to this appeal appear to be undisputed. “When the record shows
that the facts are undisputed, the issue of whether a per se conflict exists is a legal question
that this court reviews de novo.” People v. Fields, 2012 IL 112438, ¶ 19.
¶ 25 B. The Two Primary Precedents Under Discussion
in This Appeal: Dopson and Fields
¶ 26 Defendant argues that Baker “operated under a per se conflict of interest under the
controlling precedent of [the Fourth District’s] decision in People v. Dopson, 2011 IL App
(4th) 100014, as attorney Baker contemporaneously represented [defendant] in the present
case, and represented prosecution witness Shawn Stanley in an unrelated criminal case.”
¶ 27 The State counters that, in invoking our decision in Dopson, defendant ignores or
overlooks the supreme court’s more recent decision in Fields, which, according to the State,
destroys an essential presupposition of Dopson and thereby renders that case invalid as a
precedent.
¶ 28 To understand these opposing arguments, one must understand Dopson and Fields.
¶ 29 1. Dopson
¶ 30 In Dopson, the defendant alleged in his postconviction petition that his appointed trial
counsel, John Wright, had provided ineffective assistance in that, while representing him,
Wright represented Anna Trotter, the confidential informant who eventually testified against
the defendant in his trial. Dopson, 2011 IL App (4th) 100014, ¶ 12. This concurrent
representation did not exist throughout the defendant’s entire case. Rather, there merely was
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a period of overlap during the pretrial phase of the defendant’s case, a period during which
Wright represented both Trotter in two criminal cases against her as well as the defendant
in his own separate case. By the time of the defendant’s trial, however, Trotter’s cases had
been transferred to a different assistant public defender, Jim Tusek. Id. ¶ 7. Wright continued
representing the defendant, and he cross-examined his former client, Trotter, in the
defendant’s trial. Id. ¶ 9.
¶ 31 The defendant argued he had been “denied his right to effective assistance of counsel
because his attorney [(Wright)] was operating under a per se conflict of interest arising from
his prior and contemporaneous representation of Trotter.” Id. ¶ 12. We quoted the principle
to which the defendant was alluding: “A per se conflict exists when ‘defense counsel has a
prior or contemporaneous association with the victim, the prosecution, or an entity assisting
the prosecution.’ ” Id. ¶ 25 (quoting People v. Taylor, 237 Ill. 2d 356, 374 (2010)). “In such
instances,” we said, “no more than defense counsel’s prior or contemporaneous
representation of the State’s witness is necessary to establish a per se conflict.” Id. ¶ 25.
¶ 32 The State argued, however, that two circumstances militated against the defendant’s
claim that Wright had contemporaneously represented him and Trotter: (1) Wright no longer
was representing Trotter when the defendant’s case went to trial, and (2) Wright’s prior
representation of Trotter did not involve any charges or facts that were relevant to, or
“ ‘commingled’ ” with, the defendant’s case. Id. ¶ 26.
¶ 33 We responded that the State was taking too narrow a view of “ ‘contemporaneous
representation’ ” and was overlooking the potential for a clash of loyalties. Id. ¶ 28. One of
the purposes of the per se conflict-of-interest rule was to ensure that defense counsel’s cross-
examination and impeachment of the State’s witness was “thorough and unconstrained” (id.
¶ 29), “unhindered by the need to avoid privileged attorney-client information” (id. ¶ 27).
Because the attorney-client privilege continued even after formal representation ended (id.),
limiting the meaning of “contemporaneous representation” to “contemporaneous
representation during trial” would have failed to ensure a zealous and uninhibited cross-
examination of the State’s witness: a pretrial attorney-client relationship with the witness
could make for a timid cross-examination the same way a continuing attorney-client
relationship with the witness could do so (id. ¶ 28).
¶ 34 This was not to suggest that, in order for the per se conflict-of-interest rule to be
applicable, there actually had to be privileged attorney-client information that defense
counsel, to the defendant’s detriment, refrained from eliciting from the State’s witness during
cross-examination. “Whether such information existed, or would have been useful to the
defense, [was] irrelevant because such questions concern[ed] whether the conflict resulted
in prejudice and *** prejudice [was] beyond the scope of the per se conflict rule.” Id. ¶ 27.
The purpose of the per se conflict rule was to avoid not only actual prejudice but also the
ambiguity of whether prejudice had resulted. We said: “The per se conflict rule is intended
to avoid (1) unfairness to the defendant, who may not be able to determine whether his
representation was affected by the conflict, and (2) putting the honest practitioner in a
position where he may be required to choose between conflicting duties.” (Internal quotation
marks omitted.) Id. ¶ 23.
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¶ 35 Wright might not have consciously chosen between conflicting duties, given his
testimony, in the postconviction hearing, that “he did not recall whether he recognized
Trotter as his former client at the time of [the] defendant’s trial.” Id. ¶ 34. Even so, to remain
faithful to the purpose of the rule, we “impute[d] to [Wright] his recognition of the identity
of those he [had] represent[ed], even after formal representation end[ed].” Id. Again, the
purpose was to avoid not only actual prejudice, but ambiguity.
¶ 36 We summed up:
“Here, the only question before us is whether Wright’s representation of Trotter,
clearly an ‘entity assisting the prosecution,’ was ‘prior or contemporaneous’ to Wright’s
representation of [the] defendant. Taylor, 237 Ill. 2d at 374, 930 N.E.2d at 971. The
breadth of the per se conflict-of-interest rule reflects the importance of removing doubt
in the minds of the convicted that they were afforded loyal, unconflicted representation
at trial.” Id. ¶ 35.
To remove any such doubt, we applied the per se conflict rule on the basis of “a realistic
appraisal of defense counsel’s professional relationship to someone other than the
defendant,” not on the basis of “technicalities of the law, such as whether or not the dual
representation existed at the moment the trial commenced.” (Internal quotation marks
omitted.) Id. We concluded that Wright had been in a per se conflict of interest and that the
defendant therefore had been denied the effective assistance of counsel. Id.
¶ 37 2. Fields
¶ 38 In Fields (which the supreme court decided after Dopson), the defendant was charged
with sexually assaulting K.N.J. Fields, 2012 IL 112438, ¶ 4. The defendant previously was
convicted of sexual offenses against another minor, C.S., and in the subsequent case, in
which K.N.J. was the victim, the State called C.S. to prove the defendant’s propensity to
commit the charged offenses. Id. ¶ 7. The trial court had ruled this propensity evidence to be
admissible under section 115-7.3 of the Code of Criminal Procedure of 1963 (725 ILCS
5/115-7.3 (West 2006)). Id. ¶ 5.
¶ 39 In June 2008, the jury found the defendant guilty of the sexual offenses against K.N.J.
Id. ¶ 8.
¶ 40 On appeal, the defendant argued ineffective assistance. He argued that his trial counsel,
Edward Woller, had been in a per se conflict of interest because he served as guardian ad
litem for C.S. in a case that ended in 2002 or 2003. Id. ¶ 9.
¶ 41 The guardian ad litem proceedings had no relation to either of the criminal cases against
the defendant. Id. Nevertheless, the appellate court held that Woller had indeed labored under
a per se conflict of interest and that the defendant therefore should receive a new trial. Id.
¶ 10. The appellate court noted that there were three situations in which a per se conflict of
interest existed: “(1) where defense counsel has a prior or contemporaneous association with
the victim, the prosecution, or an entity assisting the prosecution; (2) where defense counsel
contemporaneously represents a prosecution witness; and (3) where defense counsel was a
former prosecutor who had been personally involved in the prosecution of the defendant.”
Id. See also Taylor, 237 Ill. 2d at 374 (“This court has identified three situations where a per
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se conflict exists: (1) where defense counsel has a prior or contemporaneous association with
the victim, the prosecution, or an entity assisting the prosecution; (2) where defense counsel
contemporaneously represents a prosecution witness; and (3) where defense counsel was a
former prosecutor who had been personally involved in the prosecution of defendant.”).
According to the appellate court, the first of those three situations existed: C.S. was an
“entity” assisting the prosecution, and Woller had a prior association with her in that he had
served as her guardian ad litem. Fields, 2012 IL 112438, ¶ 10.
¶ 42 The supreme court disagreed with the appellate court. Id. ¶ 20. The term “entity,” the
supreme court explained, did not mean an individual person (id. ¶ 30); rather, it meant a
nonindividual, such as a municipality (id. ¶ 33). C.S. was not an “entity” for purposes of the
first situation in Taylor, and the second situation negated the defendant’s theory of a per se
conflict because it required “contemporaneous representation” as opposed to prior
representation. Id. ¶ 29. The supreme court observed: “Illinois supreme court case law has
clearly and consistently held that, in cases where defense counsel has represented a State’s
witness, a per se conflict of interest will not be held to exist unless the professional
relationship between the attorney and the witness is contemporaneous with defense counsel’s
representation of the defendant.” Id. ¶ 20. Woller did not represent C.S. at the same time he
represented the defendant, and his prior representation of her did not create a per se conflict
of interest. Id. ¶ 35.
¶ 43 C. The Effect of Fields Upon Dopson
¶ 44 In the State’s view, our decision in Dopson “lacks continuing vitality after Fields because
Dopson erroneously considered a witness to be an ‘entity assisting the prosecution’ and
thereby allowed a per se conflict to arise from a counsel’s ‘prior’ representation of a
prosecution witness.”
¶ 45 It is true that, in Dopson, we described Trotter as “clearly an ‘entity assisting the
prosecution’ ” (Dopson, 2011 IL App (4th) 100014, ¶ 35 (quoting Taylor, 237 Ill. 2d at
374)), and it is true that, in light of the supreme court’s subsequent decision in Fields, a
witness for the State does not qualify as an entity assisting the prosecution (Fields, 2012 IL
112438, ¶ 30). So, here in a nutshell is the problem: We held, in Dopson, that the facts in that
case conformed to the first situation described in Taylor: “defense counsel has a prior or
contemporaneous association with *** an entity assisting the prosecution” (Taylor, 237 Ill.
2d at 374), but Fields thereafter kicked out an essential underpinning of that holding–i.e., the
presupposition that Trotter was an “entity”–causing the holding to collapse.
¶ 46 Did our discussion, in Dopson, of “contemporaneous representation” survive the
collapse? See Dopson, 2011 IL App (4th) 100014, ¶¶ 27-28. The answer appears to be no.
In Dopson, we did not make a rigorous distinction between prior and contemporaneous
representation; we referred to the two in the alternative (id. ¶¶ 25, 35). We reasoned that,
even though the defense counsel’s “formal representation” of the State’s witness had ended
by the time of the defendant’s trial, the defense counsel was still, in a manner of speaking,
“representing” the witness by observing the ongoing attorney-client privilege, which possibly
hindered the defense counsel when cross-examining the State’s witness. Id. ¶¶ 27-28. That
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reasoning does not survive Fields, either, and here is why. In Fields, the supreme court
rejected the notion that the defense counsel’s prior representation of the State’s witness
created a per se conflict of interest. Fields, 2012 IL 112438, ¶ 29 (“[T]his court has always
held that a defense counsel’s representation of a prosecution witness constitutes a per se
conflict of interest when the representation is contemporaneous with defense counsel’s
representation of the defendant, but is not a per se conflict of interest when defense counsel’s
representation of the witness is prior to counsel’s representation of defendant.”). In the case
of any such prior representation, defense counsel would remain bound by the ongoing
attorney-client privilege. One must infer, then, from Fields, that this ongoing attorney-client
privilege does not create a per se conflict of interest. See also People v. Schaefer, 188 Ill.
App. 3d 317, 322 (1989) (“[T]he mere possession of confidential information does not
preclude an effective cross-examination of a codefendant witness; furthermore, the burden
of demonstrating the existence and materiality of the alleged confidential information lies
with the defendant. [Citation.] Mere hypothetical or speculative conflicts will not suffice.”).
¶ 47 Thus, we agree with the State that Fields has invalidated our analysis in Dopson. Even
so, we arrived at the correct result in Dopson, as we will explain.
¶ 48 D. According to Case Law, Must the Contemporaneous Representation
Occur During the Trial, as Opposed to During the Pretrial Phase,
for There To Be a Per Se Conflict?
¶ 49 The State says: “After Fields, it should be undisputed that a per se conflict requires
‘contemporaneous’ representation by a counsel of a defendant and a prosecution witness. The
problem then becomes identifying what the word ‘contemporaneous’ actually means in this
context through examining how courts have applied that requirement in various factual
scenarios.”
¶ 50 Actually, there is no question as to what the word “contemporaneous” means; it means
“existing, occurring, or originating at the same time.” Merriam-Webster’s Collegiate
Dictionary 249 (10th ed. 2000). More precisely, the question is, When the supreme court
says–over and over in Fields, for example–that a per se conflict of interest exists where
defense counsel contemporaneously represents a prosecution witness (Fields, 2012 IL
112438, ¶¶ 18, 20, 22, 24, 25, 29), is that statement subject to an implied qualification that
the contemporaneous representation must occur during the defendant’s trial as opposed to
during the pretrial phase of the defendant’s case, in order for there to be a per se conflict of
interest?
¶ 51 The State argues that “dual representation is contemporaneous only if the defendant’s
attorney is still representing the prosecution witness on the date of trial.” The trouble with
that argument is it would have us second-guess the plain meaning of words. As a matter of
English, “dual representation” is “contemporaneous representation” because it is
representation “occurring *** at the same time.” Merriam-Webster’s Collegiate Dictionary
249 (10th ed. 2000) A better way of putting the State’s argument might be: the only
contemporaneous representation that counts for purposes of the per se conflict rule is
contemporaneous representation during trial. According to the State, cases before Dopson
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found a per se conflict only in contemporaneous representation during trial, and Dopson was
a radical and ill-supported extension of that rule to pretrial proceedings.
¶ 52 The primary cases the State cites as representative of the law before Dopson are People
v. Thomas, 131 Ill. 2d 104 (1989), People v. Flores, 128 Ill. 2d 66 (1989), and People v.
Strohl, 118 Ill. App. 3d 1084 (1983). We will discuss each of those cases in turn.
¶ 53 1. Thomas
¶ 54 The most recent of the three cases is Thomas. In Thomas, a jury found the defendant
guilty of murder and indecent liberties with a child. Thomas, 131 Ill. 2d at 106. The victim
was a 15-year-old girl, whose body was found by the side of a driveway in Harvey; she had
been disemboweled, and semen was on her clothing. Id. at 107. The defendant’s cousin,
Madis Lacy, implicated the defendant. Id. She stopped some Chicago police officers and
allegedly told them she had seen bloodstains in the defendant’s car and that the defendant’s
wife had told her he “had ‘gutted’ a girl in Harvey.” Id.
¶ 55 The defendant hired an attorney, Cassandra Watson, to represent him in the murder case,
and after entering her appearance as the defendant’s attorney, Watson undertook the
representation of Madis Lacy in a separate criminal case charging her with welfare fraud. Id.
at 108. “Although the documents from Lacy’s pending criminal case [did] not reveal when
Watson’s representation of Lacy terminated, clearly, Watson was still representing Lacy on
April 21, 1986, at the time of [the] defendant’s suppression hearing,” because that was the
date when “Watson filed an answer to the State’s request for discovery in Lacy’s case.” Id.
at 108-09. So, in Thomas, it was clear that Watson was representing both the defendant and
Lacy at the time of the defendant’s suppression hearing, but it was unclear whether she still
was representing Lacy while representing the defendant in his trial.
¶ 56 Nevertheless, according to the supreme court, contemporaneous representation was the
single dispositive issue in Thomas. The supreme court said: “Our review of the record reveals
one issue to be dispositive of the appeal: Was [the] defendant denied effective assistance of
counsel by his attorney’s contemporaneous representation of an informant/witness against
[the] defendant?” Id. at 106-07. After so stating the issue, the supreme court said: “We
believe [the] defendant was denied effective assistance of counsel because his attorney
labored under a per se conflict of interest ***.” Id. at 107. Then the supreme court said: “We
will briefly summarize the facts as they pertain to this issue.” Id. One of the facts the
supreme court summarized was Watson’s contemporaneous representation of the defendant
and Lacy at the time of the defendant’s suppression hearing. Id. at 108-09. Therefore, in the
supreme court’s view, contemporaneous representation during the suppression hearing was
pertinent to the issue of a per se conflict.
¶ 57 Watson chose not to call Lacy to testify in the suppression hearing, even though, “as an
informant providing hearsay information,” “[Lacy’s] veracity and basis of knowledge were
highly relevant to a probable-cause determination.” Id. at 113. The supreme court remarked:
“[Watson] may well have declined to call Lacy as a witness for fear of offending her in the
course of examination and losing her business, or counsel may have felt that an attack on
Lacy’s veracity might later come to haunt Lacy in her felony case.” Id.
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¶ 58 Ultimately, it was unknowable why Watson did not call Lacy in the defendant’s
suppression hearing. Likewise, it was unknowable whether calling Lacy would have helped
the defense in the probable-cause determination. Definitively resolving those questions was
unnecessary, for, as the supreme court held, if an attorney represented a State witness at the
same time the attorney represented the defendant in his or her criminal case, there was a per
se conflict of interest, and prejudice was presumed; prejudice did not have to be shown. Id.
at 111.
¶ 59 Lacy could “be properly characterized as a State witness for the purpose of applying the
per se rule,” the supreme court said. Id. at 112-13. The status of Lacy as a State witness
would have been irrelevant if, as the State would have us believe, the supreme court cared
only about contemporaneous representation during trial when applying the per se conflict
rule–because, again, it was unclear whether Watson was still representing Lacy at the time
of the defendant’s trial, but it was clear she was representing Lacy at the time of the
defendant’s suppression hearing, some eight months before trial (id. at 108-09). If one took
the position that contemporaneous representation during the pretrial phase of a defendant’s
case did not count for purposes of the per se conflict rule, Thomas would be
incomprehensible. The supreme court’s discussion of Watson’s potentially conflicting
loyalties in the suppression hearing would be pointless.
¶ 60 2. Flores
¶ 61 In Flores, a jury found the defendant guilty of the armed robbery and murder of Gilbert
Perez. Flores, 128 Ill. 2d at 75. On appeal to the supreme court, the defendant argued he had
been “denied [his] sixth amendment guarantee of conflict-free representation of counsel
because at the time of trial, defense counsel also represented one of the State’s witnesses,
Sammy Ramos.” Id. at 82. This “dual representation,” the defendant argued, “raised a per
se conflict of interest which required counsel to withdraw as his attorney, and because
counsel did not, he was denied a fair trial.” Id.
¶ 62 The supreme court responded:
“Contrary to what the defendant asserts, nothing in the record shows that defense
counsel represented Ramos at the time of [the] defendant’s trial. While defense counsel
stated that he had ‘previously’ represented Ramos, he did not say that he represented him
at that time or concerning Perez’[s] murder prior to trial. The defendant has failed to
show an actual or per se conflict of interest on the part of defense counsel.” Id. at 83.
¶ 63 As one can see from the quoted passage, the supreme court never really held, in Flores,
that an attorney’s contemporaneous representation of the defendant and of a witness for the
State had to occur during the defendant’s trial in order to be a per se conflict of interest.
Instead, the defendant in Flores argued that, “at the time of trial, defense counsel also
represented one of the State’s witnesses, Sammy Ramos” (id. at 82), and the supreme court
merely responded to that argument: “Contrary to what the defendant asserts, nothing in the
record shows that defense counsel represented Ramos at the time of [the] defendant’s trial.”
(Emphasis added.) Id. at 83. “A judicial opinion is a response to the issues before the court,
and these opinions *** must be read in the light of the issues that were before the court for
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determination.” Nix v. Smith, 32 Ill. 2d 465, 470 (1965).
¶ 64 3. Strohl
¶ 65 In Strohl, a jury found the defendant guilty of murdering William Prather. Strohl, 118 Ill.
App. 3d at 1087. The defendant argued, on appeal, that his trial counsel, Lonnie Lutz, had
been in a per se conflict of interest in that Lutz had simultaneously represented the State’s
witness, Collin Runner. Id. at 1091.
¶ 66 “The [defendant’s] trial commenced on August 24, 1982, and there [was] no showing in
the record as to the disposition of Runner’s case.” Id. We said: “In the instant case there is
no showing that Lutz was representing Runner on August 24, 1982. In fact, the fair inference
*** is to the contrary, that Runner’s case was closed. *** It follows that no per se conflict
has been demonstrated.” Id. at 1092.
¶ 67 Strohl could be interpreted as assuming that the sine qua non of a per se conflict is
contemporaneous representation during a defendant’s trial as opposed to contemporaneous
representation during the pretrial phase. That assumption did not survive the supreme court’s
subsequent decision in Thomas.
¶ 68 E. Additional Reasons To Find a Per Se Conflict in
Contemporaneous Representation During the Pretrial Phase
¶ 69 1. The Right to Effective Assistance by Counsel,
and Therefore to Unconflicted Counsel,
From the Very Initiation of the Criminal Proceedings
¶ 70 The sixth amendment provides that, “[i]n all criminal prosecutions, the accused shall
enjoy the right to *** have the Assistance of Counsel for his defense.” U.S. Const., amend.
VI. This sixth amendment right to counsel arises the moment when adversarial criminal
proceedings are initiated against the defendant. People v. Young, 153 Ill. 2d 383, 401-02
(1992). The right to counsel encompasses the right to effective assistance by counsel. People
v. Wilk, 124 Ill. 2d 93, 107 (1988). Effective assistance by counsel in turn entitles the
defendant to counsel who has no conflict of interest, whose loyalty to the defendant is
undivided. Thomas, 131 Ill. 2d at 111. See also People v. Stoval, 40 Ill. 2d 109, 112-13
(1968) (“[A] [defendant’s] right to counsel under the Constitution is more than a formality,
and to allow him to be represented by an attorney with such conflicting interests as existed
here without his knowledgeable consent is little better than allowing him no lawyer at all.”
(Internal quotation marks omitted.)). It follows that, not only during the trial, but from the
very initiation of the criminal proceedings, the defendant has a sixth amendment right to
unconflicted counsel.
¶ 71 2. The Artificiality of a Dividing Line
Between the Pretrial Phase and the Trial
¶ 72 The pretrial phase and the trial do not exist in separate watertight compartments. What
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happens during the pretrial phase affects what happens at trial. For example, the ruling on
a motion in limine or on a motion for suppression will determine what evidence is presented
at trial. More broadly, trial preparation has a profound effect on the trial, and if a conflicting
loyalty to the State’s witness inhibits the defense counsel in his or her trial preparation, the
defense could suffer in the trial. See People v. Coleman, 301 Ill. App. 3d 290, 300 (1998).
Because the trial depends on the pretrial phase, it would be illogical to hold that only
contemporaneous representation during the trial, not during the pretrial phase, qualifies as
a per se conflict of interest.
¶ 73 3. The Unlikelihood That the Supreme Court Would Leave
Such an Important Qualification to Implication
¶ 74 We are aware of no case in which the supreme court has said, plainly and outright, that
the only contemporaneous representation that counts, for purposes of the per se conflict rule,
is contemporaneous representation during trial. Rather, the supreme court always seems to
say, “Where defense counsel has represented a State’s witness, a per se conflict of interests
exists if the professional relationship between the attorney and the witness is
contemporaneous with counsel’s representation of [the] defendant,” or words to that
effect–without any qualification. Thomas, 131 Ill. 2d at 111. In Fields, for example, the
supreme court says 10 times (by our count) that an attorney’s contemporaneous
representation of the defendant and a witness for the State constitutes a per se conflict of
interest, and not once during those 10 times does the supreme court add the qualifier
“contemporaneous representation during trial.” Fields, 2012 IL 112438, ¶¶ 18, 20, 22, 24,
25, 29. It strikes us as unlikely that the supreme court would leave such an important
qualification to implication.
¶ 75 4. An Illustration of Why Contemporaneous Representation
During the Pretrial Phase Should Be Considered a Per Se Conflict
¶ 76 Defendant points out:
“[I]t was in Elliot Murphy’s best interests that Shawn Stanley be convicted of every
felony with which he was charged, in order to maximize the impeachment of his
credibility should he testify against Murphy (or, as it turned out, should his video
recorded statement be admitted against Murphy as substantive evidence). On the other
hand, it was in Shawn Stanley’s best interests that he be convicted of the fewest felonies,
if any, with which he was charged, in order to minimize his potential punishment.”
¶ 77 This dilemma illustrates why defense counsel’s contemporaneous representation of the
defendant and the State’s witness during the pretrial phase of the defendant’s case should be
considered a per se conflict of interest. Why, during defendant’s trial, did Baker not impeach
Stanley with his prior felony convictions? Not, apparently, because Baker was worried he
might shake the jury’s confidence in Stanley’s testimony that he lacked any memory of
telling Hitchens about the beating of Wilson. Surely, People’s exhibit No. 29, the video of
the interview, already destroyed the believability of Stanley’s lack of memory. Even though
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it was important, for the defense, that the jury not believe Stanley’s video-recorded
statement, maybe Baker refrained from impeaching Stanley with his felony convictions
because, subliminally, Baker sensed the tension that defendant points out in the paragraph
quoted above. Maybe Baker sensed it would be rather crass first to recommend, as Stanley’s
attorney, that Stanley plead guilty to felony charges and then, as defendant’s attorney, turn
around and use the felony convictions against Stanley. See People v. Spreitzer, 123 Ill. 2d
1, 16 (1988) (“[T]he knowledge that a favorable result for the defendant would inevitably
conflict with the interest of his client *** might ‘subliminally’ affect counsel’s performance
in ways difficult to detect and demonstrate.”).
¶ 78 F. Defendant’s Motion for Summary Reversal and Remand
¶ 79 Defendant has moved for summary reversal and for remand for a new trial because of
trial counsel’s per se conflict of interest in contemporaneously representing defendant and
Stanley. For the reasons we have discussed, we grant the motion.
¶ 80 We emphasize, though, that this is an exceptional case and that motions for summary
reversal generally are disfavored.
¶ 81 III. CONCLUSION
¶ 82 For the foregoing reasons, we reverse the trial court’s judgment and remand this case for
a new trial.
¶ 83 Reversed and remanded.
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