Smith v. United States

*321FERREN, Associate Judge,

concurring in the result:

I concur in the judgment of affirmance, but not in the opinion of the court, for I do not believe “a detainer has been lodged against” appellant within the meaning of the Interstate Agreement on Detainers (IAD), D.C.Code § 24-701, Art. 111(a) (1981). If the warrant had been lodged as a detainer, as the opinion of the court assumes, I could not find substantial compliance with the IAD. On the facts here, the custodial jurisdiction, South Carolina, did not inform appellant “of his right to make a request for final disposition of the indictment ... on which the detainer is based,” as required by IAD § 24r-701, Art. III(c). Consequently, on the assumption that the warrant was a detainer, the court should have grappled with the question whether dismissal of the indictment or some lesser sanction is appropriate (a question I need not reach).

I.

In October 1979, a District of Columbia trial court issued an arrest warrant charging appellant with the murder of Frank Cheek and the shooting of Donald Long. On November 26, 1979, South Carolina law enforcement authorities arrested appellant on unrelated armed robbery and kidnapping charges arising in South Carolina. While processing appellant, the South Carolina authorities ran a computer check through the National Crime Information Center (NCIC) and learned of the existence of the outstanding District of Columbia warrant. South Carolina authorities notified the District’s Metropolitan Police Department (MPD) that they had custody of appellant. On November 28 or 29, 1979, two MPD detectives travelled to South Carolina with copies of the District of Columbia warrant to interview appellant. The detectives showed the warrant to appellant to identify themselves, to prove the existence of the charges, and to impress upon him the seriousness of the situation. As the detectives were leaving the interview, a South Carolina detective requested a copy of the arrest warrant, which the MPD detectives gave him as a “matter of courtesy.”

In April 1980, appellant was convicted, sentenced, and imprisoned for the South Carolina offenses. Somehow, the copy of the District of Columbia warrant was placed in appellant’s prison file upon his incarceration in South Carolina. When an Assistant United States Attorney called the South Carolina prison in September 1980, however, he was told that there were no detainers against appellant.

In November 1980, the grand jury indicted appellant for the District of Columbia offenses referred to in the warrant, as well as for an additional shooting and for assorted incidents alleged to constitute obstruction of justice. Appellant’s trial here began in June 1981 and resulted in his convictions for second degree murder, assault with intent to kill while armed, attempted robbery, carrying a pistol without a license, and obstruction of justice.

A month before trial, on inquiry by appellant’s counsel, the Public Defender Service, the South Carolina custodian of prison records had sent the following telegram dated May 12,1981: “Be advised the affidavit in support of arrest warrant and complaint received in this office on April 22 1979 [sic] are considered by me to be detain-ers placed against Mr. Smith. Ed Balog.” It does not appear that the prosecutor made a similar inquiry after September 1980 (when he received a contrary response).

II.

Appellant argues that the District of Columbia arrest warrant placed in his South Carolina prison file upon his incarceration there in April 1980 was a detainer under the IAD § 24-701, Art. 111(a). Ante at 318-319. He asserts that under § 24-701, Art. III(c), ante at 319, he had a right to be notified of the detainer so that he could request expeditious trial of the District of Columbia charges — within 180 days of his request — pursuant to § 24r-701, Art. 111(a). Because the South Carolina authori*322ties did not advise him of his IAD rights, he says he did not know he could make the request. His District of Columbia trial did not take place until much later than his IAD rights, if asserted, would have required. He argues, accordingly, that he should be deemed to have requested a District of Columbia trial as of the time he was imprisoned in South Carolina: April 1980. Because trial did not take place here until June 1981, he maintains that his indictment should be dismissed for failure to meet the 180-day requirement.

III.

The IAD does not define “detainer,” but when Congress adopted the IAD for the United States and the District of Columbia, it explained: “a detainer is a notification filed with the institution in which a prisoner is serving a sentence, advising that he is wanted to face pending criminal charges in another jurisdiction.” H.R.Rep. No. 1018, 91st Cong., 2d Sess. 2 (1970); S.Rep. No. 1356, 91st Cong., 2d Sess. 2, U.S.Code Cong. & Admin.News 1970, pp. 4864, 4865 (1970) quoted in United States v. Mauro, 436 U.S. 340, 359, 98 S.Ct. 1834, 1846, 56 L.Ed.2d 329 (1978) and Dobson v. United States, 449 A.2d 1082, 1085 (D.C.1982); see Gale v. United States, 391 A.2d 230, 233 (D.C.1978). According to case law, a detainer requests the “custodial” or “sending” jurisdiction to notify the “prosecuting” or “receiving” jurisdiction, McBride v. United States, 393 A.2d 123, 127 (D.C.1978), before the inmate’s release, Christian v. United States, 394 A.2d 1, 34 (D.C.1978), cert. denied, 442 U.S. 944, 99 S.Ct. 2889, 61 L.Ed.2d 315 (1979), and to hold him for delivery to the prosecuting/receiving jurisdiction. State v. Newman, 117 R.I. 354, 358, 367 A.2d 200, 202 n. 1 (1976).

A warrant may be a detainer, but only if “lodged” as such. D.C.Code § 24-701, Art. 111(a) (1981); see Mauro, supra, 436 U.S. at 346, 98 S.Ct. at 1840; Bean v. United States, 409 A.2d 1064, 1066 (D.C.1979); ante at 319 n. 3.1 Thus, a functional analysis is necessary to determine whether the warrant here was lodged as a detainer, i.e., was intended as, or accorded the status of, a detainer.

If it is unclear whether the prosecuting/receiving jurisdiction intended a detain-er, and if the inmate did not suffer any of the prejudice inherent in a detainer, the IAD may not apply. On the other hand, if the District of Columbia intended the warrant to function as a detainer, and thus can be said to have “lodged” a detainer, then the District should be strictly bound by the IAD requirements regardless of prejudice to the defendant — as would be the case if a designated “detainer” had been lodged. Similarly, if the District did not intend to file a detainer, but appellant suffered the ill effects associated with detainers as a result of governmental conduct, then the warrant would have functioned as a detainer, and the IAD accordingly should apply.

Intent

On this record, there is no showing that District of Columbia officials either intended the arrest warrant as a detainer or sought to avoid the provisions of the IAD. The arrest warrant — originally obtained through an NCIC computer check — was placed in appellant’s prison file at the request of South Carolina, not District, officials. The prosecutor apparently did not know that the arrest warrant was in appellant’s file and, on inquiring, learned from South Carolina officials that no detainer was on file. Moreover, the warrant itself, unlike a typical detainer, did not request that South Carolina notify the District of Columbia before releasing appellant or hold him for the District upon completion of his sentence. Thus, the prosecution did not either intend to lodge a detainer or seek to *323obtain its advantages.2 Accordingly, the IAD should not apply unless the warrant effectively functioned as a detainer, prejudicing appellant in the absence of notice of his IAD rights by South Carolina officials.

Prejudice

Congress designed the IAD to eliminate “uncertainties which obstruct programs of prisoner treatment and rehabilitation.” D.C.Code § 24-701, Art. 1. Courts and commentators have recognized that certain specific forms of prejudice may result from the unregulated lodging of detainers. These include (1) harassment through the filing of detainers based on groundless charges or with no intention of bringing the prisoner to trial, Ridgeway v. United States, 558 F.2d 357, 361 (6th Cir.1977); and (2) damage to rehabilitation efforts, Christian, supra, 394 A.2d at 34, including adverse effects on the custodial state’s decisions about parole and pre-release programs. L.W. Abramson, Criminal Detain-ers, at 32-34 (1979).

More specifically, as to rehabilitation, an inmate against whom a detainer has been lodged is usually assigned a higher security classification, based on the existence of the detainer alone and not upon an ad hoc determination of the likelihood that the inmate is a greater escape risk or is guilty of the charge. Id. at 29-30. An inmate under the onus of a detainer, therefore, may be prevented from participating in rehabilitation programs, may be denied the opportunity to attain certain positions at the prison (i.e. trusty status or preferred prison jobs), and may be unable to accumulate good time credits. Id. at 30-31. Additionally, the psychological effects of a detainer may be overwhelming. Id. at 31-32; see Smith v. Hooey, 393 U.S. 374, 379, 89 S.Ct. 575, 577, 21 L.Ed.2d 607 (1969). Anxiety, depression, skepticism, and hopelessness about his uncertain prospects may drain the inmate of any inclination toward self-improvement. L.W. Abramson, supra, at 31-32; see generally Mauro, supra, 436 U.S. at 359-60, 98 S.Ct. at 1846-47. This court accordingly has characterized the IAD as “a long-overdue piece of legislation designed to correct untenable abuses by government officials in the use of detainers.” Christian, supra, 394 A.2d at 38-39.

On this record, however, appellant has not demonstrated that he suffered any of these ill effects. The charges in question were well-founded; appellant was convict ed of the offenses. Appellant, moreover, has not argued that the arrest warrant in his prison file in any way affected his prison treatment, including prospects for rehabilitation, in South Carolina, even though some prison officials there may have considered the warrant a detainer. Nor was appellant eligible for parole or pre-release programs in South Carolina during the pendency of the District’s charges.

Here, the delay in prosecution, from the time appellant began serving his South Carolina sentence until trial began in the District of Columbia, was 14 months. Appellant’s status as a prison inmate may have made this delay more onerous than it otherwise would have been; but the IAD does not provide for relief whenever charges are pending against a prison inmate. See Newman, supra, 367 A.2d at 202. The delay alone, then, does not show that the warrant in appellant’s file was prejudicial.

In summary, because the District of Columbia government did not intend the warrant in appellant’s South Carolina prison file to serve as a detainer, and because there is no record evidence that the warrant prejudiced appellant in any of the ways that the IAD was designed to prevent, I conclude that no detainer was lodged against appellant in South Carolina, within the meaning of the IAD. Thus, I would affirm his convictions.

*324IV.

Assuming, without deciding, that the District’s warrant was a detainer, the majority concludes, “upon the unusual facts in the instant case,” that “ ‘the burden of substantial compliance’ with the IAD fell upon appellant and that ... he did not carry such burden.” Ante at 320, quoting McBride v. United States, 393 A.2d 123, 128-29 (D.C.1978). I emphatically disagree. Because my colleagues seriously misapply the principles of McBride and create precedent that may distort this court’s proper application of the IAD in the future, I feel obliged to elaborate my disagreement. To this end, it is important to set forth excerpts from that decision at length.

In McBride, supra, 393 A.2d at 126-29, we said:

On March 17, 1976, while incarcerated in Maryland in the Prince George’s County Detention Center, [appellant] James Thomas received written notice that “a Detainer ha[d] been placed against him by [the] U.S. Marshal.” The warrant number and charge (assault with intent to kill while armed) were specified, and appellant was further “advised that any questions in reference to the above case(s) should be sent to the prosecuting attorney of the issuing jurisdiction.” Two weeks later, on April 1,1976, during a probation revocation hearing in Prince George’s County Circuit Court, appellant asked the judge about “squaring away” the District of Columbia detainer. The judge suggested that he write to the District about his desire to be tried, whereupon the District of Columbia officials would “be put under certain constraints” to remove him to the District for trial. Subsequently, around April 6, appellant sent such a request to his brother, apparently intending that it be routed to an attorney and then to the proper District authority. The fate of the letter is not known. On June 16, 1976, Thomas was brought to the District of Columbia for trial on another charge by means of a writ of habeas corpus ad prosequendum. Apparently, he remained until completion of the present case. [Footnote omitted.]
⅜ ⅜ sfc * * *
The written notice furnished by Maryland was not itself sufficient to meet this [IAD Art. Ill] § (c) requirement. Appellant, however, does not maintain that this deficiency in the written notice alone triggered the running of the 180 days. He asserts, rather, that Maryland did not sufficiently inform him of his IAD rights at any other time, and thus that his oral request for information in court on April 1, coupled with the letter to his brother, was enough to achieve “substantial compliance” with his own statutory obligation to deliver “his request for a final disposition” so as to invoke his right to trial within 180 days. Because trial began in the District of Columbia on December 15,1976, more than 180 days after his April 1 inquiry, appellant contends that the 180-day period had expired, and that the indictment accordingly should have been dismissed. [Footnote omitted.]
* * ⅜ * * *
The IAD is intended to be “liberally construed so as to effectuate its purposes.” D.C.Code 1973, § 24-701, IAD, Article IX. See Commonwealth v. Merlo, 242 Pa.Super. 517, 364 A.2d 391 (1976). Thus, we agree with the states which hold that “substantial compliance” should be the test. There is, of course, a circular path from the prosecuting jurisdiction (lodges the detainer) to the custodial jurisdiction (informs prisoner of IAD rights) to the prisoner (notifies prosecuting jurisdiction through official of custodial jurisdiction, who supplies certificate of conviction) back to the prosecuting jurisdiction (must prosecute within 180 days of notice). Once a detainer has been lodged, therefore, a failure to comply carefully with the statute at any point thereafter could cause the speedy trial scheme to fail. We agree with the Supreme Court of Delaware: “The burden of compliance with the procedural requirements of the IAD rests upon the party states and their *325agents; the prisoner, who is to benefit from this statute, is not to be held accountable for official administrative errors which deprive him of that benefit.” Pittman v. State, 301 A.2d 509, 514 (Del. 1973). On the other hand, the “substantial compliance” concept puts a responsibility on the prisoner as well, once he becomes aware that IAD-type rights exist; the custodial state’s failure to comply absolutely with its obligations will not necessarily be determinative if the prisoner has sufficient information on which to base an assertion of IAD rights. After reviewing the IAD mechanism, as well as all the interests involved, wé conclude that the question of “substantial compliance” by a prisoner should turn on whether he or she has done everything that the IAD jurisdictions could reasonably expect, given their own degree of compliance with a scheme which they have the principal responsibility to implement.
* * * * * *
We have assessed the situation here and conclude that appellant received sufficient notice from Maryland for the burden of substantial compliance to fall upon •him — a burden he failed to carry. Appellant received a written notice about the detainer, including a direction to address questions “to the prosecuting attorney of the issuing jurisdiction.” Just two weeks later, a Maryland court advised appellant to write to the District of Columbia, in order to put it under “constraints” in resolving the charge. This notice, like the earlier written notice of the detainer, did not constitute strict compliance with the notification provision, Article III(c). Nevertheless, we believe that it was sufficient and done “promptly” enough, id., to impose the burden of substantial compliance on appellant. He was obliged at that point to direct a written request to the District, in order to trigger the 180-day speedy trial period. [Footnote omitted.]

In contrast, in the present case, although appellant was aware of the District of Columbia warrant and thus of the charges pending against him, no one in the custodial jurisdiction, South Carolina, ever informed him of his IAD rights or more generally, as in McBride, supra, told him that “a Detain-er ha[d] been placed against him” and “that any questions in reference to the above case(s) should be sent to the prosecuting attorney of the issuing jurisdiction.” Id. at 126.

My colleagues acknowledge that “South Carolina officials did not inform [appellant] that he had a right to ... request” that the District dispose of such charges. Ante at 320. And yet, despite McBride’s teaching that a prisoner must have “sufficient information on which to base an assertion of IAD rights,” id. at 128, my colleagues shift the burden of substantial compliance to appellant — as though South Carolina did sufficiently inform him of his IAD rights— simply because of appellant’s knowledge of the “source and contents of the warrant for his arrest,” ante at 319, his admission that he committed “two of the three crimes charged against him” in the District of Columbia, ante at 320, and his “significant experience with the workings of the criminal justice system, viz., arrest and then conviction and sentence by the court in South Carolina.” Ante at 320.

I am at a loss to understand how the latter two circumstances are even relevant, and in any event how the three circumstances are enough, to warrant a conclusion that appellant should be deemed to know of IAD speedy trial rights attributable to a warrant/detainer. As I see it, my colleagues are sweeping the stringent “substantial compliance” requirements of McBride, supra, under the rug to reach for a result that the facts simply do not support.

But that does not end the matter. Although the IAD requires dismissal of the indictment if the prosecuting/receiving jurisdiction misses the 180-day trial deadline, D.C.Code § 24-701, Art. V(c) (1981), the *326IAD is silent as to the sanction when the custodial/sending jurisdiction fails promptly to inform an inmate of IAD rights. McBride, supra, 398 A.2d at 128 n. 4.

Given my colleagues’ premise that a de-tainer has been lodged, and given that the record clearly demonstrates the custodial jurisdiction, South Carolina, did not inform appellant of his IAD rights (and there is no evidence that appellant otherwise knew them), I believe that my colleagues are obliged on this record to consider — squarely— what sanction, if any, is required. This is a critical and troublesome issue on which the highest state courts have reached dramatically conflicting results. For example, in State v. Clark, 222 Kan. 65, 68, 563 P.2d 1028, 1032 (1977), the Supreme Court of Kansas affirmed a conviction when prison officials of another jurisdiction “fail[ed] to notify a prisoner of an outstanding detain-er,” since a “legislative enactment providing for a speedy trial, with no sanction for failure to comply with the mandate, is generally construed as directory,” and in “the absence of a specific sanction, the right to a speedy trial must be gauged from a constitutional viewpoint.” In sharp contrast, the Supreme Court of Colorado dismissed an indictment on IAD Article III(c) grounds, holding that “when officials of the state imprisoning the defendant do not comply with the mandates of Article 111(e), the indictments, informations, or charges against the defendant pending in the jurisdiction from which the detainer emanates shall be dismissed with prejudice.” Romans v. Dist. Ct. In and For Eighth Jud. Dist., Colo., 633 P.2d 477, 481 (1981) (en banc).

YI.

Because I conclude that no detainer was lodged against appellant, I vote to affirm, despite my disagreement with the majority analysis.

. The majority at one point indicates that Bean, supra, is dispositive of this issue. Ante at 320 n. *. However, the majority’s analysis of the Bean holding elsewhere in the opinion, ante at 319 n. 3, amply demonstrates that Bean is not properly read as authority for the proposition that an arrest warrant always constitutes a detainer. Indeed, it is apparently because of this ambiguity in Bean that the majority declined to decide the issue in this case.

. While the acts of police officers must be imputed to the government, the action of the police officer here in leaving a “courtesy” copy of the warrant for the South Carolina detective, five months before appellant was tried and sentenced in South Carolina, does not in itself show intent to file a detainer.