Amicus Brief 2
Amicus Brief 2
Amicus Brief 2
COURT OF APPEALS
STATE OF NEW YORK
JOHN GIUCA,
Respondent.
ROSS E. FIRSENBAUM
TARA E. LEVENS
WILMER CUTLER PICKERING
HALE AND DORR LLP
7 World Trade Center
250 Greenwich Street
New York, NY 10007
Telephone: (212) 937-7518
Facsimile: (212) 230-8888
Appeals of the State of New York, the Center on the Administration of Criminal
Law at New York University School of Law provides the following corporate
disclosure statement:
business affiliates.
i
TABLE OF CONTENTS
Page
ii
TABLE OF AUTHORITIES
Page(s)
Federal Cases
Brady v. Maryland,
373 U.S. 83 (1963) ......................................................................................1, 5, 11
Chnapkova v. Koh,
985 F.2d 79 (2d Cir. 1993) ................................................................................. 23
Cone v. Bell,
556 U.S. 449 (2009) ............................................................................................ 12
DiSimone v. Phillips,
461 F.3d 181 (2d Cir. 2006) ............................................................................... 14
Jackson v. Virginia,
443 U.S. 307 (1979) ............................................................................................ 17
Kyles v. Whitley,
514 U.S. 419 (1995) ......................................................................................12, 27
iii
United States v. Price,
566 F.3d 900 (9th Cir. 2009) .............................................................................. 19
State Cases
People v. Baxley,
84 N.Y.2d 208 (1994) ...................................................................................13, 16
People v. Colon,
13 N.Y.3d 343 (2009) ......................................................................................... 24
People v. Consolazio,
40 N.Y.2d 446 (1976) ......................................................................................... 14
People v. Hayes,
17 N.Y.3d 46 (N.Y. 2011) .................................................................................. 25
People v. Hicks,
38 N.Y.2d 90 (1975) ............................................................................................. 9
People v. Jackson,
65 N.Y.2d 265 (1985) ......................................................................................... 17
People v. Jackson,
74 N.Y.2d 787 (1989) ........................................................................................... 9
People v. Lantigua,
228 A.D.2d 213 (1st Dep’t 1996) .................................................................13, 16
People v. Reedy,
70 N.Y.2d 826 (1987) ......................................................................................... 30
iv
People v. Rensing,
14 N.Y.2d 210 (1964) ......................................................................................... 23
People v. Santorelli,
95 N.Y.2d 412 (2000) .............................................................................10, 25, 27
People v. Tissois,
72 N.Y.2d 75 (1988) ........................................................................................... 29
People v. Vilardi,
76 N.Y.2d 67 (1990) .....................................................................................19, 20
People v. Washington,
86 N.Y.2d 189 (1995) ...................................................................................27, 29
People v. Waters,
35 Misc.3d 855 (Sup. Ct. 2012) .......................................................................... 14
Other Authorities
v
New York Pretrial Criminal Procedure (2d ed. 2007) ............................................. 22
New York State Bar Association, Final Report of the New York State
Bar Association’s Task Force on Wrongful Convictions 114 (Apr.
4, 2009) ................................................................................................................. 8
vi
INTEREST OF AMICUS CURIAE
in criminal matters, with a special focus on the exercise of prosecutorial power and
discretion.1 The Center pursues this mission through a mix of academic research,
public policy research, and litigation advocacy. The Center’s litigation program,
which consists of filing briefs in support of both the government and defendants in
courts throughout the United States, seeks to bring the Center’s empirical research
and experience with criminal justice practices to bear in important cases at both the
state and federal levels. The Center concentrates on cases in which the exercise of
decisions regarding the application of Brady v. Maryland, 373 U.S. 83 (1963), and
its progeny are among the most significant they make and thus fall squarely within
This appeal concerns a prosecutor’s obligation under Brady and its progeny
became a crucial witness in the prosecution’s case against John Giuca, and
(ii) information and records in the possession of an agency assisting the prosecutor
1
No part of this brief purports to represent the views of New York
University School of Law, or New York University, if any.
1
in the case against Giuca showing the informant’s mental-health and substance-
abuse history. The Center believes that doctrinal complexities, ambiguities, and
institutional pressures can make the application of Brady and its disclosure
establishing clear standards for disclosure for prosecutors in New York that will
enhance their performance of their duties as well as help guarantee the right of
2
PRELIMINARY STATEMENT
relating to the use of informant testimony. In the People’s case against defendant
John Giuca, the prosecution decided, toward the end of trial, to call John Avitto as
the time witness lists were exchanged. A662-663. Despite making no mention of
Avitto in her opening statement, A563, A956-960, the ADA evidently decided to
examination called into question the credibility of the People’s other witnesses.
A674-676.
Upon announcing her intention to call Avitto to the stand, the ADA
disclosed nothing more than a sheet listing Avitto’s prior criminal convictions.
When the defense made a specific request for exculpatory and impeachment
information relating to Avitto, the ADA denied the existence of any additional
information. A451, A476, A713. However, the ADA noted the continuing nature
of her disclosure obligations and stated on the record that she would present any
information discovered in the future to the court for in camera inspection. A920.
3
Avitto was a key witness for the People. He testified that he and Giuca were
detained together at Rikers Island and that, during their time together, Giuca
thereafter became central to the People’s case: the ADA repeatedly referred to
Avitto’s testimony during closing argument and emphasized to the jury that Avitto
However, unbeknownst to Giuca, the trial court, and the jury, the ADA
about Avitto’s credibility and cast reasonable doubt on Giuca’s guilt. First, the
ADA failed to disclose any information about interactions that she and her
colleagues at the Kings County District Attorney’s Office (the “KCDAO”) had
with Avitto regarding his own criminal case—a conviction for third-degree
burglary, A6—that had been prosecuted by the KCDAO and was pending in
Second, despite knowing that Avitto was in treatment for substance abuse
and had past mental-health issues, the ADA made no effort educate herself about
these credibility “red flags.” The ADA knew that Avitto had an active case with
the MHC, as she made appearances on Avitto’s case and ultimately took over his
case file from another ADA. However, she never tried to obtain, let alone disclose,
4
records that the ADA herself admitted in post-trial proceedings contained
possession of the Empower Assist Care Network (the “EAC”), a company that
works with MHC to provide treatment and other services to people with active
MHC cases, the KCDAO had a close working relationship with EAC employees,
some of whom were working under the direction and control of the KCDAO in
Despite these facts, the ADA did not disclose her interactions with Avitto,
existence of the EAC records. By affirming the Appellate Division’s ruling, the
Court has the opportunity to explain how prosecutors should approach their
disclosure obligations at the front end of a case and to clarify that, when
their constitutional and ethical obligations counsel in favor of erring on the side of
ARGUMENT
373 U.S. 83 (1963), Giglio v. United States, 405 U.S. 150 (1972), and their
5
progeny. As a preliminary matter, informants present unique credibility problems,
and prosecutors must ensure their offices strike an appropriate balance between the
utility of such testimony and concerns about its reliability and bias. In practice,
this means establishing clear policies and guidelines that direct prosecutors to
Here, the KCDAO apparently had no such policies governing Avitto’s use as
a witness, and the record suggests that it did not proceed cautiously when
evaluating its disclosure obligations regarding Avitto. While the Office has
offered a robust ex post defense of why the ADA had nothing to disclose, DA Br.
34-42, this is very different from showing that the ADA engaged in internal
deliberations about whether she needed to disclose her interactions with Avitto at
the proper time, i.e., when she was contemplating offering Avitto as a witness.
Indeed, at the time she was charged with evaluating her case for Brady
Avitto.
The Court should take this opportunity to remind prosecutors that informant
testimony presents unique concerns and that prosecutorial best practices encourage
6
inconsistent with best practices, including the disclosure framework endorsed by
New York courts, and because an ex post materiality standard should not excuse
generally take their witnesses as they find them, warts and all. Sometimes, people
with crucial information about criminal activity have character flaws and
crucial to the prosecution of a case, and the prosecutor may determine that, to
case.
issues. These considerations have been noted for well over a century. See
Crawford v. United States, 212 U.S. 183, 204 (1909) (informant’s testimony “is
States, 343 U.S. 747, 757 (1952) (“The use of informers, accessories, accomplices,
7
false friends, or any of the other betrayals which are ‘dirty business’ may raise
for the Ninth Circuit Court of Appeals, has explained, “[t]he most dangerous
informer of all is the jailhouse snitch who claims another prisoner has confessed to
him. The snitch now stands ready to testify in return for some consideration in his
own case. Sometimes these snitches tell the truth, but more often they invent
testimony and stray details out of the air.” Stephen S. Trott, Words of Warning for
see also Alexandra Natapoff, Beyond Unreliable, 37 Golden Gate U. L. Rev. 107,
112 (2006) (“Informants are [] punished for silence and rewarded for producing
nation. See N.Y. State Bar Association, Final Report of the New York State Bar
pursuing a case and safeguarding against the unique credibility issues that
8
diligent in disclosing information concerning informants so that the defense can
lie or falsely implicate a defendant. See People v. Jackson, 74 N.Y.2d 787, 790
Bernal-Obeso, 989 F.2d 331, 333-334 (9th Cir. 1993) (“Because the government
decides whether and when to use [informants], and what, if anything, to give them
for their service, the government stands uniquely positioned to guard against
Brady and Jailhouse Informants, 57 Case W. Res. L. Rev. 619, 638 (2007) (“Given
the problems with credibility, head prosecutors should ensure that their offices
prosecutor who fails to “turn over to the defense in discovery all material
9
“compromis[e] the truth-seeking mission of our criminal justice system.” Bernal-
Obeso, 989 F.2d at 333-334; see also People v. Santorelli, 95 N.Y.2d 412, 420-421
(2000) (“Prosecutors play a distinctive role in the search for truth in criminal cases.
criminal process.”).
certain facts are favorable to the defense. See Alafair S. Burke, Improving
Prosecutorial Decision Making, 47 Wm. & Mary L. Rev. 1587, 1594-1596, 1609-
1612 (2006). The doctrine itself can also engender confusion: Prosecutors are
asked to evaluate whether certain facts will impact a trial outcome when the trial
has not occurred (and the prosecution may not know the theory the defense intends
to present at trial). See United States v. Bagley, 473 U.S. 667, 698 (1985)
(Marshall, J., dissenting) (“Evidence that is of doubtful worth in the eyes of the
10
prosecutor could be of inestimable value to the defense, and might make the
difference to the trier of fact.”); United States v. Agurs, 427 U.S. 97, 116-117
item of information will often not be apparent to the prosecutor in advance of trial.
In the face of these difficulties, the Center has identified best practices that
2
See Brady, 373 U.S. at 87; Giglio, 405 U.S. at 153-154; Model Rules of
Prof’l Conduct R. 3.8(d) (2009) (“MRPC”); National District Attorneys
Association, National Prosecution Standards § 2-8.4 (3d ed. 2009) (“Nat’l Pros.
Std.”); N.Y.C. Bar Association, Formal Opinion 2016-3 at 2 (Aug. 29, 2016).
3
See U.S. Department of Justice, Justice Manual § 9-5.001(B)(1) (2016)
(“JM”) (“[P]rosecutors generally must take a broad view of materiality and err on
the side of disclosing exculpatory and impeaching evidence.”).
11
is admissible. Prosecutors should treat disclosure as one inquiry and can
and should seek rulings on admissibility in a separate process.4
In addition to Brady and Giglio, states have their own case law, statutes,
and ethical rules mandating broader disclosure, and offices must be
aware of these expanded obligations.6
4
See JM § 9-5.001(C)(3) (requiring disclosure “regardless of whether the
information subject to disclosure would itself constitute admissible evidence”);
Kansas County & District Attorney’s Association, Brady & Giglio: A Prosecutor’s
Guide to Producing Evidence 12 (Aug. 2017) (“KCDAA Guide”) (“[I]nformation
may be favorable even if it is not admissible as evidence itself, as long as it
reasonably could lead to admissible evidence.”); Nat’l Pros. Std. § 6-7.2.
5
See Administrative Order 291/17 at 2-3 (Nov. 6, 2017); MRPC 3.8(d).
6
See generally Prosecuting Attorneys Association of Michigan, Best
Practices Recommendation: Brady/Giglio Material (June 17, 2016); KCDAA
Guide.
7
See Cone v. Bell, 556 U.S. 449, 470 n.15 (2009) (“[T]he prudent prosecutor
will err on the side of transparency, resolving doubtful questions in favor of
disclosure.”); Kyles v. Whitley, 514 U.S. 419, 439 (1995) (“[A] prosecutor anxious
about tacking too close to the wind will disclose a favorable piece of evidence.”);
JM § 9-5.001(F) (“encourag[ing] prosecutors to err on the side of disclosure” and
“identif[ying] standards that favor greater disclosure in advance of trial”); Nat’l
Pros. Std. § 4-9 (prosecutors should resolve “any doubt about whether something is
subject to disclosure … in favor of the defendant”); ABA, Formal Opinion 09-454
at 4 (July 8, 2009).
12
questionable information, prosecutors should involve the trial court by
seeking in camera review or filing a motion in limine.8
Many of these best practices are already embodied in New York doctrine
New York courts have rejected a prosecutorial approach to disclosure that would
information, (2) sincerely believes the information does not exculpate or impeach,
or (3) believes the information is possibly both exculpatory and inculpatory, her
analysis does not control, and she must err on the side of disclosure. See People v.
cannot be excused merely because the trial prosecutor genuinely disbelieved [the
reliability of the material].”); People v. Lantigua, 228 A.D.2d 213, 220 (1st Dep’t
suspect did not excuse failure to disclose facts suggesting eyewitness was not
8
See Model Brady Order at 3 (noting that “[a] protective order may be
issued for good cause … with respect to disclosures required under this order” and
prosecutors “may request a ruling from the court on the need for disclosure”); Nat’l
Pros. Std. § 6-7.2 (prosecutors should “attempt to resolve issues relating to the
admissibility of evidence” or arguments not by withholding information but
instead through “the filing of and a hearing on a Motion in Limine”).
13
being truthful); People v. Waters, 35 Misc.3d 855, 857-858 (Sup. Ct. 2012)
(finding Brady violation when ADA failed to disclose that key witness initially
denied seeing defendant stab victim and rejecting ADA’s argument that
information was not exculpatory); DiSimone v. Phillips, 461 F.3d 181, 195-196 (2d
Cir. 2006) (finding Brady violation even though prosecutor believed withheld
they do not believe it is exculpatory. See People v. Andre W., 44 N.Y.2d 179, 184-
185 (1978) (“When there is substantial room for doubt [as to admissibility or
exculpatory nature], the prosecutor is not to decide for the court what is admissible
N.Y.2d 446, 453 (1976) (cautioning that “[w]hile a prosecutor must of necessity
‘have some discretion in determining which evidence must be turned over to the
found, “deference to the prosecutor’s discretion must give way” and the trial court
Most recently, New York reiterated its commitment to these best practices
by adopting new rules designed to ensure that prosecutors comply with their
14
disclosure obligations. See Administrative Order 291/17 (Nov. 6, 2017) (the
“Model Brady Order”). Those rules require a trial judge to issue an order
confirming the prosecutor’s Brady/Giglio obligations for all indicted cases. The
Must disclose information that “tends to show that a witness has a motive
to lie” or a “bias” for the prosecution, as well as information that “tends
to show impairment of a witness’s ability to perceive, recall, or recount
relevant events, including impairment resulting from mental … illness or
substance abuse”; and
Can “request a ruling from the court on the need for disclosure.”
Id. at 2-3. Affirmance here is consistent with the disclosure framework endorsed
by New York courts, which encourage prosecutors to err on the side of disclosure,
especially when they are evaluating information they may not personally credit or
believe.
ignores the credibility issues surrounding the use of informants and cannot be
squared with best practices or the disclosure framework endorsed by New York
courts.
15
First, the KCDAO’s argument that there was no agreement with Avitto
misses the mark. They devote substantial analysis to explaining how the facts
support the ADA’s belief that her interactions with Avitto did not imply any
best practices and New York courts have rejected. See Baxley, 84 N.Y.2d at 213-
214; Lantigua, 228 A.D.2d at 220. As the case law makes clear (see supra at 13-
practices and New York courts acknowledge that Brady disclosures often involve
shades of gray and that, in dealing with these gray areas, ADAs must ensure that
disclosure occurs even (and especially) when there is substantial room for a
difference of interpretation—as is the case here. In other words, New York courts
endorse an approach that encourages an ADA to momentarily step back from her
adversarial role and to neutrally evaluate whether the information at issue “tends
to” exculpate or impeach (even if she does not personally believe it or can explain
recognition that the trial court retains ultimate responsibility for disclosures in hard
cases. Again, the KCDAO argues that, so long as the ADA does not see any
16
argument in favor of disclosure, her decision to withhold information cannot be
improper. DA Br. 34-42. This approach ignores the best practices embodied in
Consolazio, Andre W., and the Model Brady Order, which instruct that, when
disclosure obligations are disputed, prosecutorial discretion should yield to the trial
Jackson v. Virginia, 443 U.S. 307, 319 (1979) (jury’s role is “to resolve conflicts in
the testimony, to weigh the evidence, and to draw reasonable inferences from basic
facts to ultimate facts”); People v. Jackson, 65 N.Y.2d 265, 271-272 (1985) (it is
for the jury to “determine credibility, weigh the evidence, and draw justifiable
information.
In fact, the ADA knew she could have requested in camera review of her
interactions with Avitto. During trial, the ADA stated on the record that she was
“aware of [her] continuing duty under Brady to disclose exculpatory evidence” and
that “[a]ny arguably exculpatory material will be submitted to the Court for in
camera inspection.” A920. Yet, despite her statement, nothing in the record
suggests that the ADA (or her superiors) examined her interactions with Avitto to
17
tending to impeach his credibility or implicate a motive to lie; (2) whether the
ADA should seek in camera review; or (3) whether the ADA should disclose her
interactions and then file a motion in limine arguing against admissibility. Instead,
agreement” in this case between the KCDAO and Avitto, improperly ending the
the face of error. However, should the Court reverse on materiality grounds, it will
best practices. Put differently, the after-the-fact defense of the ADA’s actions on
appellate review should not be viewed as a model for how ADAs should approach
their disclosure obligations at the time they are charged with executing them, i.e.,
during pretrial proceedings. That is, while the KCDAO is obviously entitled to
defend the ADA’s actions as lawful, this is not the same as saying that the
KCDAO, at the time the case was being prosecuted, took all reasonable steps to
ensure that it was fulfilling its Brady and Giglio obligations by exploring Avitto’s
credibility.
18
Numerous courts have expressed concern that a backward-looking
assessment of materiality will either create the wrong incentives for ADAs to
comply with their obligations at the front end or confuse ADAs as to what they
ought to be doing in the first instance. See People v. Vilardi, 76 N.Y.2d 67, 77
dispositive weight to the strength of the People’s case clearly provides diminished
to review files for exculpatory material, or to err on the side of disclosure where
exculpatory value is debatable.”); United States v. Price, 566 F.3d 900, 913 n.14
(9th Cir. 2009) (“The absence of prejudice to the defendant does not condone the
Sudikoff, 36 F. Supp. 2d 1196, 1199 (C.D. Cal. 1999) (noting that post-trial review
of Brady violations asks only whether suppression violated due process, and just
because “suppression may not have been sufficient to violate due process does not
In short, the Court should reject the KCDAO’s attempt to justify its pretrial
failures by looking “through the end of the telescope an appellate court would use
Materiality aside, then, the record makes clear that, at the time they were charged
with making disclosures (before and even during trial), the KCDAO failed to ask
19
the “only question … at issue”—namely, whether the information “may be
‘favorable to the accused.’” Id. Given this Court’s admonition in Vilardi that “the
and this Court’s affirmation of a broad disclosure standard in the Model Brady
grounds.
This Court should affirm the Appellate Division on the separate and
independent ground that the ADA violated her disclosure obligations when she
failed to provide defense counsel with the sum and substance of Avitto’s EAC
records. The ADA knew that Avitto had mental-health and substance-abuse issues
and that Avitto was receiving treatment and other services from EAC during the
pendency of Giuca’s trial. Despite this knowledge, she never disclosed the
existence of Avitto’s credibility issues to the defense and never took reasonable
steps to better understand the nature and extent of Avitto’s mental-health and
20
A. The ADA Possessed Impeachment Information About Avitto That
She Never Disclosed
The proper starting point for analyzing the ADA’s disclosure obligation is
and Giglio. Leaving aside the ADA’s duty to obtain and disclose the EAC records
(discussed in more detail below), the record shows that the ADA was aware of and
failed to disclose impeachment information regarding Avitto and that the EAC
records themselves were impeachment information that also should have been
disclosed.
Prior to offering Avitto as a witness, the ADA knew that Avitto was
illness or substance abuse,” Model Brady Order at 2, later admitting that she and
510. The ADA also knew of Avitto’s noncompliance with his program: She was
aware, after first meeting Avitto in June 2005, of his outstanding warrant for
supervision of his case, she was copied on correspondence from the EAC regarding
21
Executive ADA and another ADA who practiced in the MHC knew that Avitto had
tested positive for cocaine and that the EAC wanted to find Avitto in violation of
his MHC-imposed program terms. Id. The ADA also knew of Avitto’s
absconding from one program and being kicked out of another for rule violations,
and EAC employees updated the ADA about Avitto’s court appearance at which
the judge released him due to his upcoming testimony in the Giuca case. A2549.
documents (including in the EAC records) and regardless of whether she believed
she needed to obtain the records. See United States v. Rodriguez, 496 F.3d 221,
information that impeaches its witness or exculpates the defendant, it does not
avoid the obligation under Brady/Giglio to disclose the information by not writing
it down.”); id. at 225 (“Whether the Government was obligated to make notes of a
potential witness’s statements and whether it was required to disclose the witness’s
lies are very different questions. From the fact that the Government is not required
to make notes of a witness’s statements, it does not follow that the Government has
witness.”); N.Y. Pretrial Criminal Procedure § 7:12 (2d ed. 2007) (“Brady material
22
evidence that originated from any person or any thing.”); Model Brady Order at 3
form.”). Thus, even if the ADA did not believe she was obligated to obtain and
disclose the EAC records themselves, she was still obligated to disclose Avitto’s
should have been disclosed. These records included “reports regarding psychiatric
made in order to be “moved from the general population” to “a mental health unit,”
fabricated the suicidal ideation to facilitate the transfer.” A11-12. These records
People v. Rensing, 14 N.Y.2d 210, 213-214 (1964) (ordering new trial because
prosecution failed to disclose witness’s “long history of mental illness” and “visual
and auditory hallucinations”); Chnapkova v. Koh, 985 F.2d 79, 81 (2d Cir. 1993)
23
(“A clinical history of mental illness is probative of the credibility of the
witness.”).9
In light of this record, the crucial question is what the ADA should have
done with this information. Here, she did nothing. She opted not to conduct due
diligence on her own witness’s credibility and never asked the EAC for any
records. She also failed to inform defense counsel about Avitto’s drug treatment,
past warrants, and history of absconding from his program. She also failed to
material, because it effectively precluded counsel from requesting the EAC records
9
Prosecutors also have an obligation to take reasonable steps to confirm that
the statements they make about their witnesses are correct. See People v. Colon,
13 N.Y.3d 343, 350 (2009) (“[T]he People must be vigilant to avoid misleading the
court or jury.”); ABA, Criminal Justice Standards for the Prosecution Function § 3-
1.4(b) (4th ed. 2015) (“The prosecutor should not make a statement of fact or law,
or offer evidence, that the prosecutor does not reasonably believe to be true, to a
court, lawyer, witness, or third party.”). Here, the ADA told the jury in her
summation that Avitto was “very honest about his problems and his criminal past”
and was “acting responsibly” throughout his drug-treatment program. A1957,
A1967. Given that the EAC records would have shown this was not accurate, the
ADA failed to satisfy this critical obligation in addition to her Brady/Giglio
obligations.
24
B. The Limitation That A Prosecutor Need Only Disclose
Information In Her Possession, Custody, Or Control Does Not
Relieve The KCDAO Of Its Disclosure Obligations
The KCDAO defends nondisclosure by arguing that, because the ADA did
not have possession, custody, or control of the EAC records, she was under no
obligation to disclose them. DA Reply 29-30. While New York courts do not
require prosecutors to obtain and disclose records that are not in their actual or
constructive possession, this rule is not a blanket justification for the ADA’s failure
to obtain and review the EAC records. Rather, the question is what obligation the
ADA had to obtain and review the records in order to determine whether to
disclose their contents and substance, given her knowledge that Avitto had mental-
health and substance-abuse problems and was being monitored through the MHC
by EAC employees.
prosecutor’s possession, custody, or control should not be read as a rule that also
long as they purposefully decline to come into possession of it. See People v.
Hayes, 17 N.Y.3d 46, 51-52 (2011) (refusing to find affirmative duty to investigate
witnesses on part of police where prosecution obtained and disclosed the substance
Santorelli, 95 N.Y.2d 412, 422 (2000) (finding no Rosario violation where ADAs
25
failed to disclose FBI 302s to defense after a “record of unsuccessful attempts to
gamesmanship, creating perverse incentives for ADAs to not seek out information
that might be exculpatory or impeaching and that the defense would have
attempted to obtain, but for the late disclosure of the witness’s identity.
interactions and relationship between the prosecution and the agency at issue in the
particular case. This assessment should be broad in cases like this one, when the
witness’s identity is disclosed shortly before trial, depriving the defense of the
prosecution. Here, the Supreme Court concluded that the prosecution was not “in
control” of the EAC records because Giuca failed to prove that the ADA “was in
possession of these records or that she had a duty to obtain them,” since “EAC
Link records are not records generally maintained by the District Attorney’s
office.” A18. The KCDAO likewise contends on appeal that disclosure was not
required because “[t]he fact that there was some contact between” the KCDAO and
EAC “concerning Avitto’s continuing drug treatment did not convert EAC-LINK
26
arguments take an unduly narrow view of “control” that is inconsistent with this
control that is both favorable and material to the defense.” Santorelli, 95 N.Y.2d
at 421 (emphasis added). This “control” requirement “has not been interpreted
the others acting on the government’s behalf in the case’ and promptly disclose any
such material evidence to the defendant.” Id. (quoting Kyles v. Whitley, 514 U.S.
419, 437 (1995)); see also United States v. Osorio, 929 F.2d 753, 761-762 (1st Cir.
1991) (“[A] prosecutor charged with discovery obligations cannot avoid finding
out what ‘the government’ knows [about the witness] simply by declining to make
reasonable inquiry.”).
person or agency other than a law enforcement agency, the test of the People’s
obligation to produce is whether the items are in the ‘control’ of the People.”
determination include whether the agency was “independent of and not subject to
the control of” the prosecution, whether the prosecutor “ha[d] power to dictate the
contents or practices within [the agency],” and whether the agency “ha[d] []
27
authority to gather evidence with an eye toward prosecuting a perpetrator.” Id. at
192-193.
exerted continued control over the EAC, using the agency as an investigative arm
to monitor Avitto and keeping in frequent contact with the EAC regarding Avitto’s
compliance. Just days after the ADA in the Giuca case appeared in court with
Avitto, an executive ADA explicitly directed the EAC director to “mark the John
Avitto case for special attention” and “keep [the prosecution in the Giuca case]
posted as to his progress.” A2048. Pursuant to this direction, the EAC provided
regular updates regarding Avitto’s status in drug treatment during the months
leading to the trial. A608, A2048-2049, A2523, A2547-2549. The KCDAO also
provided its “position” on Avitto to EAC officials both during and after many of
Avitto’s court appearances in his own case, and EAC officials communicated that
position to the judge in Avitto’s case. A561, A594, A2523, A2547-2549. Avitto’s
EAC case manager kept the judge informed of the Giuca ADA’s position, letting
him know when the ADA encouraged release and when her opinion was unknown.
A2085-2087, A2549. In at least one instance, the EAC wanted to violate Avitto
but deferred to the prosecution’s preferences and kept their views from the judge.
Avitto as a threat, telling him that “EAC would be in direct contact” with the Giuca
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ADA and that “EAC had full support of [the ADA] on any decisions made on
In short, this record establishes far more than that the KCDAO and EAC
work “closely together,” as the People contend. See DA Reply 30. To the
contrary, this record establishes that the KCDAO believed it had the power to, and
did, control the EAC’s conduct with respect to Avitto, that the KCDAO exercised
that control over the EAC, and that it did so for the specific purpose of “gather[ing]
193.
interpretation of control. In Washington (DA Reply 30), this Court concluded that
Office of the Chief Medical Examiner (OCME) records were not under the
prosecution’s control given the OCME’s independent mandate in the State’s Public
Health Laws and in the New York City Charter and Administrative Code. 86
N.Y.2d at 192. No such independent statutory mandate exists for the EAC. In
People v. Tissois (DA Reply 30), the prosecution did not exert any control over the
social worker: The prosecutor had no history of interactions with the social
worker, never asked the social worker to provide updates regarding the victim, and
attempted to obtain the social worker’s records with a subpoena. 72 N.Y.2d 75, 77
(1988). Here, by contrast, Giuca’s trial ADA and the Executive ADA at the
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KCDAO had a history of interactions with EAC officials, requested and received
regular updates on Avitto’s compliance, and asked for any information relevant to
addition, the ADA appears to have deliberately avoided obtaining the records, in
contrast to the Tissois ADA, and ignored her obligation to fully investigate her
informant’s credibility.
The People’s final case, People v. Reedy (DA Reply 30), is similarly
distinguishable. There, the prosecution did not direct or control the victim, and
thus was not required to disclose a “personal version of the attack written by the
victim,” especially when “no foundation was presented that [the victim’s writing]
trial” and when “the victim objected to turning [the writing] over based on personal
privacy rights.” 70 N.Y.2d 826, 827 (1987). By contrast, the KCDAO’s efforts to
remain informed about Avitto, and its explicit request to EAC for information
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KCDAO’s control over his case, demonstrate the control relationship present
here.10
The close relationship between the EAC and the prosecution in this case
shows that Avitto’s EAC records were within the ADA’s possession, custody, or
control. Given that these records contained favorable information to Giuca—as the
CONCLUSION
The Center urges this Court to affirm the Appellate Division (i.e., affirm
vacatur of Giuca’s conviction) for the two separate and independent reasons stated
10
The People’s contention that disclosure of medical records such as
Avitto’s drug-treatment records would be invasive of the witness’s privacy, see
People’s 2d Dep’t Opp. Br. 66, is not dispositive. Standard measures for
protecting sensitive information and preserving witnesses’ privacy remain
available, including seeking protective orders, submitting summary letters to
defense counsel, or seeking in camera review of the records. See Section I.B,
supra; JM § 9-5.001(F).
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Respectfully submitted,
32
NEW YORK STATE COURT OF APPEALS
CERTIFICATE OF COMPLIANCE
this state, certify that the foregoing brief was generated by a computer and
follows:
The total number of words in this brief, inclusive of point heading and
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33