Three or four men robbed six poker players. Petitioner was
separately charged with having robbed one of the players, Knight,
who, along with three others, testified for the prosecution that
each had been robbed. The State's evidence that petitioner had been
one of the robbers was weak. The defense offered no testimony. The
trial judge instructed the jury that, if it found that petitioner
participated in the robbery, the theft of any money from Knight
would sustain a conviction, and that, if petitioner was one of the
robbers, he was guilty even though he had not personally robbed
Knight. The jury found petitioner "not guilty due to insufficient
evidence." Thereafter petitioner, following denial of his motion
for dismissal based on the previous acquittal, was tried for having
robbed another poker player, Roberts, and was convicted. Following
affirmance by the Missouri Supreme Court and unsuccessful
collateral attack in the state courts, petitioner brought this
habeas corpus action in the District Court, claiming that the
second prosecution had violated the Double Jeopardy Clause of the
Fifth Amendment. The District Court denied the writ, relying on
Hoag v. New Jersey, 356 U. S. 464,
which, on virtually identical facts, held that there was no
violation of due process. The Court of Appeals affirmed.
Thereafter, this Court, in
Benton v. Maryland,
395 U. S. 784,
held that the Fifth Amendment guarantee against double jeopardy is
enforceable against the States through the Fourteenth Amendment, a
decision which had fully "retroactive" effect,
North Carolina
v. Pearce, 395 U. S. 711.
Held:
1. The Fifth Amendment guarantee against double jeopardy,
applicable here through the Fourteenth Amendment by virtue of
Benton v. Maryland, supra, embodies collateral estoppel as
a constitutional requirement. Pp.
397 U. S.
437-444.
2. Since, on the record in this case, the jury in the first
trial had determined by its verdict that petitioner was not one of
the robbers, the State, under the doctrine of collateral estoppel,
was constitutionally foreclosed from relitigating that issue in
another trial. Pp.
397 U. S.
445-447.
399 F.2d 40, reversed and remanded.
Page 397 U. S. 437
MR. JUSTICE STEWART delivered the opinion of the Court.
In
Benton v. Maryland, 395 U.
S. 784, the Court held that the Fifth Amendment
guarantee against double jeopardy is enforceable against the States
through the Fourteenth Amendment. The question in this case is
whether the State of Missouri violated that guarantee when it
prosecuted the petitioner a second time for armed robbery in the
circumstances here presented. [
Footnote 1]
Sometime in the early hours of the morning of January 10, 1960,
six men were engaged in a poker game in the basement of the home of
John Gladson at Lee's Summit, Missouri. Suddenly three or four
masked men, armed with a shotgun and pistols, broke into the
basement and robbed each of the poker players of money and various
articles of personal property. The robbers -- and it has never been
clear whether there were three or four of them -- then fled in a
car belonging to one of the victims of the robbery. Shortly
thereafter, the stolen car was discovered in a field, and, later
that morning, three men were arrested by a state trooper while they
were walking on a highway not far from where the abandoned car had
been found. The petitioner was arrested by another officer some
distance away.
Page 397 U. S. 438
The four were subsequently charged with seven separate offenses
-- the armed robbery of each of the six poker players and the theft
of the car. In May, 1960, the petitioner went to trial on the
charge of robbing Donald Knight, one of the participants in the
poker game. At the trial, the State called Knight and three of his
fellow poker players as prosecution witnesses. Each of them
described the circumstances of the holdup and itemized his own
individual losses. The proof that an armed robbery had occurred and
that personal property had been taken from Knight as well as from
each of the others was unassailable. The testimony of the four
victims in this regard was consistent both internally and with that
of the others. But the State's evidence that the petitioner had
been one of the robbers was weak. Two of the witnesses thought that
there had been only three robbers altogether, and could not
identify the petitioner as one of them. Another of the victims, who
was the petitioner's uncle by marriage, said that, at the "patrol
station," he had positively identified each of the other three men
accused of the holdup, but could say only that the petitioner's
voice "sounded very much like" that of one of the robbers. The
fourth participant in the poker game did identify the petitioner,
but only by his "size and height, and his actions."
The cross-examination of these witnesses was brief, and it was
aimed primarily at exposing the weakness of their identification
testimony. Defense counsel made no attempt to question their
testimony regarding the holdup itself or their claims as to their
losses. Knight testified without contradiction that the robbers had
stolen from him his watch, $250 in cash, and about $500 in checks.
His billfold, which had been found by the police in the possession
of one of the three other men accused of the robbery, was admitted
in evidence. The defense offered no testimony, and waived final
argument.
Page 397 U. S. 439
The trial judge instructed the jury that, if it found that the
petitioner was one of the participants in the armed robbery, the
theft of "any money" from Knight would sustain a conviction.
[
Footnote 2] He also instructed
the jury that, if the petitioner was one of the robbers, he was
guilty under the law even if he had not personally robbed Knight.
[
Footnote 3] The jury -- though
not instructed to elaborate upon its verdict -- found the
petitioner "not guilty due to insufficient evidence."
Six weeks later, the petitioner was brought to trial again, this
time for the robbery of another participant in the poker game, a
man named Roberts. The petitioner filed a motion to dismiss, based
on his previous acquittal. The motion was overruled, and the second
trial began. The witnesses were for the most part the
Page 397 U. S. 440
same, though this time their testimony was substantially
stronger on the issue of the petitioner's identity. For example,
two witnesses who at the first. trial had been wholly unable to
identify the petitioner as one of the robbers now testified that
his features, size, and mannerisms matched those of one of their
assailants. All other witness who before had identified the
petitioner only by his size and actions now also remembered him by
the unusual sound of his voice. The State further refined its case
at the second trial by declining to call one of the participants in
the poker game whose identification testimony at the first trial
had been conspicuously negative. The case went to the jury on
instructions virtually identical to those given at the first trial.
This time, the jury found the petitioner guilty, and he was
sentenced to a 36-year term in the state penitentiary.
The Supreme Court of Missouri affirmed the conviction, holding
that the "plea of former jeopardy must be denied."
State v.
Ashe, 350 S.W.2d
768-771. A collateral attack upon the conviction in the state
courts five years later was also unsuccessful.
State v.
Ashe, 403 S.W.2d
589. The petitioner then brought the present habeas corpus
proceeding in the United States District Court for the Western
District of Missouri, claiming that the second prosecution had
violated his right not to be twice put in jeopardy. Considering
itself bound by this court's decision in
Hoffa v. New
Jersey, 356 U. S. 464, the
District Court denied the writ, although apparently finding merit
in the petitioner's claim. [
Footnote 4] The Court
Page 397 U. S. 441
of Appeals for the Eighth Circuit affirmed, also upon the
authority of
Hoag v. New Jersey, supra. [
Footnote 5] We granted certiorari to consider
the important constitutional question this case presents. 393 U.S.
1115.
As the District Court and the Court of Appeals correctly noted,
the operative facts here are virtually identical to those of
Hoag v. view Jersey, supra. In that case, the defendant
was tried for the armed robbery of three men who, along with
others, had been held up in a tavern. The proof of the robbery was
clear, but the evidence identifying the defendant as one of the
robbers was weak, and the defendant interposed an alibi defense.
The jury brought in a verdict of not guilty. The defendant was then
brought to trial again, on an indictment charging the robbery of a
fourth victim of the tavern holdup. This time, the jury found him
guilty. After appeals in the state courts proved unsuccessful, Hoag
brought his case here.
Viewing the question presented solely in terms of Fourteenth
Amendment due process -- whether the course that New Jersey had
pursued had "led to fundamental unfairness," 356 U.S. at
356 U. S. 467
-- this Court declined to reverse the judgment of conviction,
because,
"in the circumstances shown by this record, we cannot say
that
Page 397 U. S. 442
petitioner's later prosecution and conviction violated due
process. [
Footnote 6]"
356 U.S. at
356 U. S. 466.
The Court found it unnecessary to decide whether "collateral
estoppel" -- the principle that bars relitigation between the same
parties of issues actually determined at a previous trial -- is a
due process requirement in a state criminal trial, since it
accepted New Jersey's determination that the petitioner's previous
acquittal did not, in any event, give rise to such an estoppel. 356
U.S. at
356 U. S. 471.
And in the view the Court took of the issues presented, it did not,
of course, even approach consideration of whether collateral
estoppel is an ingredient of the Fifth Amendment guarantee against
double jeopardy.
The doctrine of
Benton v. Maryland, 395 U.
S. 784, puts the issues in the present case in a
perspective quite different from that, in which the issues were
perceived in
Hoffa v. New Jersey, supra. The question is
no longer whether collateral estoppel is a requirement of due
process, but whether it is a part of the Fifth Amendment's
guarantee against double jeopardy. And if collateral estoppel is
embodied in that guarantee, then its applicability in a particular
case is no longer a matter to be left for state court determination
within the broad
Page 397 U. S. 443
bounds of "fundamental fairness," but a matter of constitutional
fact we must decide through an examination of the entire record.
Cf. New York Times Co. v. Sullivan, 376 U.
S. 254,
376 U. S. 285;
Niemotko v. Maryland, 340 U. S. 268,
271;
Watts v. Indiana, 338 U. S. 49,
338 U. S. 51;
Chambers v. Florida, 309 U. S. 227,
309 U. S. 229;
Norris v. Alabama, 294 U. S. 587,
294 U. S.
590.
"Collateral estoppel" is an awkward phrase, but it stands for an
extremely important principle in our adversary system of justice.
It means simply that, when an issue of ultimate fact has once been
determined by a valid and final judgment, that issue cannot again
be litigated between the same parties in any future lawsuit.
Although first developed in civil litigation, collateral estoppel
has been an established rule of federal criminal law at least since
this Court's decision more than 50 years ago in
United States
v. Oppenheimer, 242 U. S. 85. As
Mr. Justice Holmes put the matter in that case,
"It cannot be that the safeguards of the person, so often and so
rightly mentioned with solemn reverence, are less than those that
protect from a liability in debt."
242 U.S. at
242 U. S. 87.
[
Footnote 7] As a rule of
federal law, therefore,
"[i]t is much too late to suggest that this principle is not
fully applicable to a former judgment in a criminal case, either
because of lack of 'mutuality' or because the judgment may reflect
only a belief that the Government had not met the higher burden of
proof exacted in such cases for the Government's evidence as a
whole, although not necessarily as to every link in the chain."
United States v. Kramer, 289 F.2d 909, 913.
Page 397 U. S. 444
The federal decisions have made clear that the rule of
collateral estoppel in criminal cases is not to be applied with the
hypertechnical and archaic approach of a 19th century pleading
book, but with realism and rationality. Where a previous judgment
of acquittal was based upon a general verdict, as is usually the
case, this approach requires a court to
"examine the record of a prior proceeding, taking into account
the pleadings, evidence, charge, and other relevant matter, and
conclude whether a rational jury could have grounded its verdict
upon an issue other than that which the defendant seeks to
foreclose from consideration. [
Footnote 8]"
The inquiry "must be set in a practical frame, and viewed with
an eye to all the circumstances of the proceedings."
Sealfon v.
United States, 332 U. S. 575,
332 U. S. 570.
Any test more technically restrictive would, of course, simply
amount to a rejection of the rule of collateral estoppel in
criminal proceedings, at least in every case where the first
judgment was based upon a general verdict of acquittal. [
Footnote 9]
Page 397 U. S. 445
Straightforward application of the federal rule to the present
case can lead to but one conclusion. For the record is utterly
devoid of any indication that the first jury could rationally have
found that an armed robbery had not occurred, or that Knight had
not been a victim of that robbery. The single rationally
conceivable issue in dispute before the jury was whether the
petitioner had been one of the robbers. And the jury, by its
verdict, found that he had not. The federal rule of law, therefore,
would make a second prosecution for the robbery of Roberts wholly
impermissible.
The ultimate question to be determined, then, in the light of
Benton v. Maryland, supra, is whether this established
rule of federal law is embodied in the Fifth Amendment guarantee
against double jeopardy. We do not hesitate to hold that it is.
[
Footnote 10] For whatever
else that
Page 397 U. S. 446
constitutional guarantee may embrace,
North Carolina v.
Pearce, 395 U. S. 711,
395 U. S. 717,
it surely protects a man who has been acquitted from having to "run
the gauntlet" a second time.
Green v. United States,
355 U. S. 184,
355 U. S.
190.
The question is not whether Missouri could validly charge the
petitioner with six separate offenses for the robbery of the six
poker players. It is not whether he could have received a total of
six punishments if he had been convicted in a single trial of
robbing the six victims. It is simply whether, after a jury
determined by its verdict that the petitioner was not one of the
robbers, the State could constitutionally hale him before a new
jury to litigate that issue again.
After the first jury had acquitted the petitioner of robbing
Knight, Missouri could certainly not have brought him to trial
again upon that charge. Once a jury had determined upon conflicting
testimony that there was at least a reasonable doubt that the
petitioner was one of the robbers, the State could not present the
same or different identification evidence in a second prosecution
for the robbery of Knight in the hope that a different jury might
find that evidence more convincing. The situation is
constitutionally no different here, even though the second trial
related to another victim of the same robbery. For the name of the
victim, in the circumstances of this case, had no bearing whatever
upon the issue of whether the petitioner was one of the
robbers.
Page 397 U. S. 447
In this case, the State, in its brief, has frankly conceded
that, following the petitioner's acquittal, it treated the first
trial as no more than a dry run for the second prosecution:
"No doubt the prosecutor felt the state had a provable case on
the first charge and, when he lost, he did what every good attorney
would do -- he refined his presentation in light of the turn of
events at the first trial."
But this is precisely what the constitutional guarantee
forbids.
The judgment is reversed, and the case is remanded to the Court
of Appeals for the Eighth Circuit for further proceedings
consistent with this opinion.
It is so ordered.
[
Footnote 1]
There can be no doubt of the "retroactivity" of the Court's
decision in
Benton v. Maryland. In
North. Carolina v.
Pearce, 395 U. S. 711,
decided the same day as
Benton, the Court unanimously
accorded fully "retroactive" effect to the
Benton
doctrine.
[
Footnote 2]
"The Court instructs the jury that, if you believe and find from
the evidence in this case, beyond a reasonable doubt, that, at the
County of Jackson and State of Missouri, on the 10th day of
January, 1960, the defendant herein, BOB FRED ASHE, alias BOBBY
FRED ASHE, either alone or knowingly acting in concert with others,
did then and there with force and arms in and upon one Don Knight,
unlawfully and feloniously make an assault and took and carried
away any money from his person or in his presence and against his
will, by force and violence to his person, or by putting him in
fear of some immediate injury to his person, with felonious intent
to convert the same to his own use, without any honest claim to
said money on the part of the defendant and with intent to
permanently deprive the said Don Knight of his ownership and
without the consent of the said Don Knight, if such be your
finding, then you will find the defendant guilty of Robbery, First
Degree, and so find in your verdict."
[
Footnote 3]
"The Court instructs the jury that all persons are equally
guilty who act together with a common intent in the commission of a
crime, and a crime so committed by two or more persons jointly is
the act of all and of each one so acting."
"The Court instructs the jury that, when two or more persons
knowingly act together in the commission of an unlawful act or
purpose, then whatever either does in furtherance of such unlawful
act or purpose is in law the act and deed of each of such
persons."
[
Footnote 4]
"However persuasive the dissenting opinions in the
Hoag
case may be, it is the duty of this Court to follow the law as
stated by the Supreme Court of the United States until it expresses
a contrary view. Certainly the factual circumstances of this case
provide an excellent opportunity for reexamination of the questions
presented. An examination of the transcript of both trials shows
that, in both, the single issue in real contest, as distinguished
from the issues that may be said to have been in technical dispute,
was the question of whether petitioner was or was not present at
the time the money was taken from the poker table and the other
property taken from persons of the respective poker players."
Ashe v. Swenson, 289 F.
Supp. 871,
873.
[
Footnote 5]
"It usually is difficult for a lower federal court to forecast
with assurance a Supreme Court decision as to the continuing
validity of a holding of a decade ago by a Court then divided as
closely as possible. This is particularly so when the decision is
in the rapidly developing and sensitive area of the criminal law
and the Fourteenth Amendment Bill of Rights relationship. We feel,
however, that our task is not to forecast, but to follow, those
dictates, despite their closeness of decision, which at this moment
in time are on the books and for us to read. . . ."
Ashe v. Swenson, 399 F.2d 40, 46.
[
Footnote 6]
The particular "circumstance" most relied upon by the Court
was
"the unexpected failure of four of the State's witnesses at the
earlier trial to identify petitioner, after two of these witnesses
had previously identified him in the course of the police
investigation. Indeed, after the second of the two witnesses failed
to identify petitioner, the State pleaded surprise and attempted to
impeach his testimony. We cannot say that, after such an unexpected
turn of events, the State's decision to try petitioner for the
Yager robbery was so arbitrary or lacking in justification that it
amounted to a denial of those concepts constituting 'the very
essence of a scheme of ordered justice, which is due process.'"
356 U.S. at
356 U. S.
469-470.
In the case now before us, by contrast, there is no claim of any
"unexpected turn of events" at the first trial, unless the jury
verdict of acquittal be so characterized.
[
Footnote 7]
See also Coffey v. United States, 116 U.
S. 436,
116 U. S.
442-443;
Frank v. Mangum, 237 U.
S. 309,
237 U. S.
333-334;
Sealfon v. United States, 332 U.
S. 575;
United States v. De Angelo, 138 F.2d
466; United States v Curzio, 170 F.2d 354; Yawn v. United States,
244 F.2d 235;
United States v. Cowart, 118 F.
Supp. 903.
[
Footnote 8]
Mayers & Yarbrough,
Bis Vexari: New Trials and
Successive Prosecutions, 74 Harv.L.Rev. 1, 38-39.
See Yawn v.
United States, supra; United States v. De Angelo, supra.
[
Footnote 9]
"If a later court is permitted to state that the jury may have
disbelieved substantial and uncontradicted evidence of the
prosecution on a point the defendant did not contest, the possible
multiplicity of prosecutions is staggering. . . . In fact, such a
restrictive definition of 'determined' amounts simply to a
rejection of collateral estoppel, since it is impossible to imagine
a statutory offense in which the government has to prove only one
element or issue to sustain a conviction."
Mayers & Yarbrough,
supra, at, 38.
See
generally Lugar, Criminal Law, Double Jeopardy and Res
Judicata: 139 Iowa L.Rev. 317.
See also Comment, Twice in
Jeopardy, 75 Yale L.J. 262; Hunvald, Criminal Law in Missouri, 25
Mo.L.Rev. 369, 369-375; Comment, Double Jeopardy and Collateral
Estoppel in Crimes Arising From the Same Transaction, 24 Mo.L.Rev.
513; McLaren, The Doctrine of Res Judicata as Applied to the Trial
of Criminal Cases, 10 Wash.L.Rev. 198.
[
Footnote 10]
It is true, as this Court said in
Hoag v. New Jersey,
supra, that we have never squarely held collateral estoppel to
be a constitutional requirement. Until perhaps a century ago, few
situations arose calling for its application. For at common law,
and under early federal criminal statutes, offense categories were
relatively few and distinct. A single course of criminal conduct
was likely to yield but a single offense.
See Comment,
Statutory Implementation of Double Jeopardy Clauses: New Life for a
Moribund Constitutional Guarantee, 65 Yale L.J. 339, 342. In more
recent times, with the advent of specificity in draftsmanship and
the extraordinary proliferation of overlapping and related
statutory offenses, it became possible for prosecutors to spin out
a startlingly numerous series of offenses from a single alleged
criminal transaction.
See Note, Double Jeopardy and the
Multiple-Count Indictment, 57 Yale L..J. 132, 133. As the number of
statutory offenses multiplied, the potential for unfair and abusive
reprosecutions became far more pronounced. Comment, Twice in
Jeopardy, 75 Yale L.J. 262, 279-280; Note, Double Jeopardy and the
Concept of Identity of Offenses, 7 Brooklyn L.Rev. 79, 82. The
federal courts soon recognized the need to prevent such abuses
through the doctrine of collateral estoppel, and it became a
safeguard firmly embedded in federal law.
See n 7,
supra. Whether its basis
was a constitutional one was a question of no more than academic
concern until this Court's decision in
Benton v. Maryland,
supra.
MR. JUSTICE BLACK, concurring.
I join in the opinion of the Court, although I must reject any
implication in that opinion that the so-called due process test of
"fundamental fairness" might have been appropriate as a
constitutional standard at some point in the past, or might have a
continuing relevancy today in some areas of constitutional law. In
my view, it is a wholly fallacious idea that a judge's sense of
what is fundamentally "fair" or "unfair" should ever serve as a
substitute for the explicit, written provisions of our Bill of
Rights. One of these provisions is the Fifth Amendment's
prohibition against putting a man twice in jeopardy. On several
occasions, I have stated my view that the Double Jeopardy Clause
bars a State or the Federal Government or the two together from
subjecting a defendant to the hazards of trial and possible
conviction more than once for the same alleged offense.
Bartkus
v. Illinois, 359 U. S. 121,
359 U. S. 150
(1959) (dissenting opinion);
Abbate v. United States,
359 U. S. 187,
359 U. S. 201
(1959) (dissenting opinion);
Ciucci v.
Illinois, 356 U.S.
Page 397 U. S. 448
571,
356 U. S. 575
(1958) (dissenting statement);
Green v. United States,
355 U. S. 184
(1957). The opinion of the Court in the case today amply
demonstrates that the doctrine of collateral estoppel is a basic
and essential part of the Constitution's prohibition against double
jeopardy. Accordingly, for the reasons stated in the Court's
opinion, I fully agree that petitioner's conviction must be
reversed.
MR. JUSTICE HARLAN, concurring.
If I were to judge this case under the traditional standards of
Fourteenth Amendment due process, I would adhere to the decision in
Hoag v. New Jersey, 356 U. S. 464
(1958), believing that, regardless of the reach of the federal rule
of collateral estoppel, it would have been open to a state court to
treat the issue differently. However, having acceded in
North
Carolina v. Pearce, 395 U. S. 711,
395 U. S. 744
(1969), to the decision in
Benton v. Maryland,
395 U. S. 784
(1969), which, over my dissent, held that the Fourteenth Amendment
imposes on the States the standards of the Double Jeopardy Clause
of the Fifth Amendment, I am satisfied that, on this present
record, Ashe's acquittal in the first trial brought double jeopardy
standards into play. Hence, I join the Court's opinion. In doing
so, I wish to make explicit my understanding that the Court's
opinion in no way intimates that the Double Jeopardy Clause
embraces to any degree the "same transaction" concept reflected in
the concurring opinion of my Brother BRENNAN.
MR. JUSTICE BRENNAN, whom MR. JUSTICE DOUGLAS and MR. JUSTICE
MARSHALL join, concurring.
I agree that the Double Jeopardy Clause incorporates collateral
estoppel as a constitutional requirement, and therefore join the
Court's opinion. However, even if
Page 397 U. S. 449
the rule of collateral estoppel had been inapplicable to the
facts of this case, it is my view that the Double Jeopardy Clause
nevertheless bars the prosecution of petitioner a second time for
armed robbery. The two prosecutions, the first for the robbery of
Knight and the second for the robbery of Roberts, grew out of one
criminal episode, and therefore I think it clear on the facts of
this case that the Double Jeopardy Clause prohibited Missouri from
prosecuting petitioner for each robbery at a different trial.
Abbate v. United States, 359 U. S. 187,
359 U. S.
196-201 (1959) (separate opinion).
My conclusion is not precluded by the Court's decision in
Hoag v. New Jersey, 356 U. S. 464
(1958), although the basic fact situation there was identical to
that in this case. Three armed men entered a tavern and robbed five
customers. Hoag was tried and acquitted under indictments for
robbing three of the customers. He was then brought to trial under
a fourth indictment, the same as the first three in all respects
except that it named a fourth customer as the victim. This time,
Hoag was convicted. The New Jersey courts, in rejecting Hoag's
double jeopardy claim, construed the applicable New Jersey statute
as making each of the four robberies, although taking place on the
same occasion, a separate offense. This construction was consistent
with the state courts' view that a claim of double jeopardy cannot
be upheld unless the same evidence necessary to sustain a second
indictment would have been sufficient to secure a conviction on the
first. The issues differed only in the identifications of the
victims and the property taken from each; otherwise, the State's
evidence covered the same ground at both trials. This Court stated
that it was unable to hold that the Due Process
Page 397 U. S. 450
Clause of the Fourteenth Amendment
"always prevents a State from allowing different offenses
arising out of the same act or transaction to be prosecuted
separately, as New Jersey has done. For it has long been recognized
as the very essence of our federalism that the States should have
the widest latitude in the administration of their own systems of
criminal justice."
356 U.S. at
356 U. S. 468.
But, in the present case, Missouri did not have "the widest
latitude," because
Benton v. Maryland, 395 U.
S. 784 (1969), decided after
Hoag, held that
the Fifth Amendment guarantee that no person shall "be subject for
the same offence to be twice put in jeopardy of life or limb" is
enforceable against the States, and
North Carolina v.
Pearce, 395 U. S. 711
(1969), accorded fully retroactive effect to that holding. This
means, under our decisions, that federal standards as to what
constitutes the "same offence" apply alike to federal and state
proceedings; it would be incongruous to have different standards
determine the validity of a claim of double jeopardy depending on
whether the claim was asserted in a state or federal court.
Cf.
Malloy v. Hogan, 378 U. S. 1,
378 U. S. 11
(1964).
The Double Jeopardy Clause is a guarantee "that the State with
all its resources and power [shall] not be allowed to make repeated
attempts to convict an individual for an alleged offense, thereby
subjecting him to embarrassment, expense and ordeal and compelling
him to live in a continuing state of anxiety and insecurity. . .
.
Green v. United States, 355 U.
S. 184,
355 U. S. 187
(1957). This guarantee is expressed as a prohibition against
multiple prosecutions for the "same offence." Although the phrase
"same offence" appeared in most of the early common law
articulations of the double jeopardy
Page 397 U. S. 451
principle, [
Footnote 2/1]
questions of its precise meaning rarely arose prior to the 18th
century, and, by the time the Bill of Rights was adopted, it had
not been authoritatively defined. [
Footnote 2/2]
When the common law did finally attempt a definition, in
The
King v. Vandercomb, 2 Leach 708, 720, 168 Eng.Rep. 455, 461
(Crown 1796), it adopted the "same evidence" test, which provided
little protection from multiple prosecution:
"[U]nless the first indictment were such as the prisoner right
have been convicted upon by proof of the facts contained in the
second indictment, an acquittal on the first indictment can be no
bar to the second."
The "same evidence" test of "same offence" was soon followed by
a majority of American jurisdictions, but its deficiencies are
obvious. It does not enforce, but virtually annuls, the
constitutional guarantee. For example, where a single criminal
episode involves several victims, under the "same evidence" test, a
separate prosecution may be brought as to each.
E.g., State v.
Hoag, 21 N.J. 496,
122 A.2d
628 (1956),
aff'd, 356 U. S. 464
(1958). The "same evidence" test permits multiple prosecutions
where a single transaction is divisible into chronologically
discrete crimes.
E.g., Johnson v. Commonwealth, 201 Ky.
314, 256 S.W. 388 (1923) (each of 75 poker hands a separate
"offense"). Even a single criminal act may lead to multiple
prosecutions if it is viewed from the perspectives of different
statutes.
E.g.,
Page 397 U. S. 452
State v. Elder, 65 Ind. 282 (1879). Given the tendency
of modern criminal legislation to divide the phases of a criminal
transaction into numerous separate crimes, the opportunities for
multiple prosecutions for an essentially unitary criminal episode
are frightening. And given our tradition of virtually unreviewable
prosecutorial discretion concerning the initiation and scope of a
criminal prosecution, [
Footnote
2/3] the potentialities for abuse inherent in the "same
evidence" test are simply intolerable. [
Footnote 2/4]
The "same evidence" test is not constitutionally required. It
was first expounded after the adoption of the Fifth Amendment, and,
as shown in
Abbate v. United States, supra, at
359 U. S.
197-198 and n. 2, has never been squarely held by this
Court to be the required construction
Page 397 U. S. 453
of the constitutional phrase "same offence" in a case involving
multiple trials; indeed, in that context, it has been rejected.
See In re Nielsen, 131 U. S. 176
(1889), discussed in
Abbate v. United States, supra, at
359 U. S. 201.
The "same evidence" test may once have been defensible at English
common law, which, for reasons peculiar to English criminal
procedure, severely restricted the power of prosecutors to combine
several charges in a single trial. [
Footnote 2/5] In vivid contrast, American criminal
procedure generally allows a prosecutor freedom, subject to
judicial control, to prosecute a person at one trial for all the
crimes arising out of a single criminal transaction. [
Footnote 2/6]
In my view, the Double Jeopardy Clause requires the prosecution,
except in most limited circumstances, [
Footnote 2/7] to join at one trial all the charges
against a defendant that grow out of a single criminal act,
occurrence,
Page 397 U. S. 454
episode, or transaction. This "same transaction" test of "same
offence" not only enforces the ancient prohibition against
vexatious multiple prosecutions embodied in the Double Jeopardy
Clause, but responds as well to the increasingly widespread
recognition that the consolidation in one lawsuit of all issues
arising out of a single transaction or occurrence best promotes
justice, economy, and convenience. [
Footnote 2/8] Modern rules of criminal and civil
procedure reflect this recognition.
See United Mine Workers v.
Gibbs, 383 U. S. 715,
383 U. S.
725-726 (1966). Although, in 1931, the American Law
Institute adopted the "same evidence" test, it has since replaced
it with the "same transaction" test. [
Footnote 2/9] England, too, has abandoned its surviving
rules against joinder of charges and has adopted the "same
transaction" test. [
Footnote
2/10] The Federal
Page 397 U. S. 455
Rules of Criminal Procedure liberally encourage the joining of
parties and charges in a single trial. Rule 8(a) provides for
joinder of charges that are similar in character, or arise from the
same transaction or from connected transactions or form part of a
common scheme or plan. Rule 8(b) provides for joinder of
defendants. Rule 13 provides for joinder of separate indictments or
informations in a single trial where the offenses alleged could
have been included in one indictment or information. [
Footnote 2/11] These rules represent
considered modern thought concerning the proper structuring of
criminal litigation.
The same thought is reflected in the Federal Rules of Civil
Procedure. A pervasive purpose of those Rules is to require or
encourage the consolidation of related claims in a single lawsuit.
Rule 13 makes compulsory (upon pain of a bar) all counterclaims
arising out of the same transaction or occurrence from which the
plaintiff's claim arose. Rule 14 extends this compulsion to
third-party defendants. Rule 18 permits very broad joinder of
claims, counterclaims, cross-claims, and third-party claims. Rules
19, 20, and 24 provide for joinder of parties and intervention by
parties having claims
Page 397 U. S. 456
related to the subject matter of the action. Rule 23 permits the
consolidation of separate claims in a class action;
see
particularly Rule 23(b)(3).
In addition, principles of
res judicata and collateral
estoppel caution the civil plaintiff against splitting his case.
The doctrine of pendent jurisdiction has furthered single trials of
related cases.
See United Mine Workers v. Gibbs, supra.
Moreover, we have recognized the jurisdiction of three-judge courts
to hear statutory claims pendent to the constitutional claim that
required their convening.
See, e.g., United States v. Georgia
Pub. Serv. Comm'n, 371 U. S. 285,
371 U. S.
287-288 (1963);
King v. Smith, 392 U.
S. 309 (1968).
It is true that these developments have not been of a
constitutional dimension, and that many of them are permissive and
discretionary, rather than mandatory. Flexibility in the rules
governing the structure of civil litigation is appropriate in order
to give the parties the opportunity to shape their own private
lawsuits, provided that injustice, harassment, or an undue burden
on the courts does not result. Some flexibility in the structuring
of criminal litigation is also desirable, and consistent with our
traditions. But the Double Jeopardy Clause stands as a
constitutional barrier against possible tyranny by the overzealous
prosecutor. The considerations of justice, economy, and convenience
that have propelled the movement for consolidation of civil cases
apply with even greater force in the criminal context because of
the constitutional principle that no man shall be vexed more than
once by trial for the same offense. [
Footnote 2/12] Yet, if the Double Jeopardy Clause were
interpreted
Page 397 U. S. 457
by this Court to incorporate the "same evidence" test, criminal
defendants would have less protection from multiple trials than
civil defendants. This anomaly would be intolerable. It was
condemned by a New Jersey court nearly a century and a half ago in
words even more applicable today:
"If, in civil cases, the law abhors a multiplicity of suits, it
is yet more watchful in criminal cases that the crown shall not
oppress the subject, or the government the citizen, by unnecessary
prosecutions. . . . [This] is a case where the state has thought
proper to prosecute the offence in its mildest form, and it is
better that the residue of the offence go unpunished than, by
sustaining a second indictment, to sanction a practice which might
be rendered an instrument of oppression to the citizen."
State v. Cooper, 13 N.J.L. 361, 375-376 (1833).
The present case highlights the hazards of abuse of the criminal
process inherent in the "same evidence" test, and demonstrates the
necessity for the "same transaction" test. The robbery of the poker
game involved six players -- Gladson, Knight, Freeman, Goodwin,
McClendon, and Roberts. The robbers also stole a car. Seven
separate informations were filed against the petitioner, one
covering each of the robbery victims, and the seventh covering the
theft of the car. Petitioner's first trial was under the
information charging the robbery of Knight. Since Missouri has
offered no justification for not trying the other informations at
that trial, it is reasonable to infer that the other informations
were held in reserve, to be tried if the State failed to obtain a
conviction on the charge of robbing Knight. Indeed, the State
virtually concedes as much, since it argues that the "same
evidence" test
Page 397 U. S. 458
is consistent with such an exercise of prosecutorial
discretion.
Four of the robbery victims testified at the trial. Their
testimony conflicted as to whether there were three or four
robbers. Gladson testified that he saw four robbers, but could
identify only one, a man named Brown. McClendon testified that he
saw only three men at any one time during the course of the
robbery, and he positively identified Brown, Larson, and Johnson;
he also thought he heard petitioner's voice during the robbery, but
said he was not sure. Knight thought only three men participated in
the robbery, and he could not identify anyone. Roberts said he saw
four different men, and he identified them as Brown, Larson,
Johnson, and petitioner. Under cross-examination, he conceded that
he did not recognize petitioner's voice, and that he did not see
his face or his hands. He maintained that he could identify him by
his "size and height," even though all the robbers had worn
outsized clothing, and even though he could not connect petitioner
with the actions of any of the robbers. On this evidence, the jury
acquitted petitioner.
At the second trial, for the robbery of Roberts, McClendon was
not called as a witness. Gladson, who previously had been able to
identify only one man -- Brown -- now was able to identify three
Brown, Larson, and petitioner. On a number of details, his memory
was much more vivid than it had been at the first trial. Knight's
testimony was substantially the same as at the first trial -- he
still was unable to identify any of the robbers. Roberts, who
previously had identified petitioner only by his size and height,
now identified him by his size, actions, voice, and a peculiar
movement of his mouth. As might be expected, this far stronger
Page 397 U. S. 459
identification evidence brought a virtually inevitable
conviction.
The prosecution plainly organized its case for the second trial
to provide the links missing in the chain of identification
evidence that was offered at the first trial. McClendon, who was an
unhelpful witness at the first trial, was not called at the second
trial. The hesitant and uncertain evidence of Gladson and Roberts
at the first trial became detailed, positive, and expansive at the
second trial. One must experience a sense of uneasiness with any
double jeopardy standard that would allow the State this second
chance to plug up the holes in its case. The constitutional
protection against double jeopardy is empty of meaning if the State
may make "repeated attempts" to touch up its case by forcing the
accused to "run the gauntlet" as many times as there are victims of
a single episode.
Fortunately for petitioner, the conviction at the second trial
can be reversed under the doctrine of collateral estoppel, since
the jury at the first trial clearly resolved in his favor the only
contested issue at that trial, which was the identification of him
as one of the robbers. There is at least doubt whether collateral
estoppel would have aided him had the jury been required to resolve
additional contested issues on conflicting evidence. [
Footnote 2/13] But correction of the
abuse of criminal process should not, in any event, be made to
depend on the availability of collateral estoppel. Abuse of the
criminal process is foremost among the feared evils that led to the
inclusion of the Double Jeopardy Clause in the Bill of Rights. That
evil will be most effectively avoided, and the Clause can thus best
serve its worthy ends, if "same
Page 397 U. S. 460
offence" is construed to embody the "same transaction" standard.
Then both federal and state prosecutors will be prohibited from
mounting successive prosecutions for offenses growing out of the
same criminal episode, at least in the absence of a showing of
unavoidable necessity for successive prosecution in the particular
case. [
Footnote 2/14]
[
Footnote 2/1]
See, e.g., Vaux's Case, 4 Co.Rep. 44a, 45a, 76 Eng.Rep.
992, 993 (K.B. 1591); 2 M. Hale, Pleas of the Crown **240-255
("same felony"); 2 W. Hawkin, Pleas of the Crown 515 (8th ed.
1824); 4 W. Blackstone, Commentaries *335.
[
Footnote 2/2]
See generally J. Sigler, Double Jeopardy 1-37
(1969).
[
Footnote 2/3]
See Baker, The Prosecutor -- Initiation of Prosecution,
23 J.Crim.L. & C. 770 (1933); Baker & De Long, The
Prosecuting Attorney -- Powers and Duties in Criminal Prosecution,
24 J.Crim.L. & C. 1025 (1934); Kaplan, The Prosecutorial
Discretion -- A Comment, 60 Nw.U.L.Rev. 174 (1965); Note,
Prosecutor's Discretion, 103 U.Pa.L.Rev. 1057 (1955); Note,
Discretion Exercised by Montana County Attorneys in Criminal
Prosecutions, 28 Mont.L.Rev. 41 (1966); Note, Prosecutorial
Discretion in the Initiation of Criminal Complaints, 42
So.Cal.L.Rev. 519 (1969).
[
Footnote 2/4]
Several subsidiary rules have been developed in attempts to
eliminate anomalies resulting from the "same evidence" test. Thus,
where one offense is included in another, prosecution for one bars
reprosecution for the other even though the evidence necessary to
prove the two offenses is different. Similarly, doctrines of
res judicata and collateral estoppel have provided some,
though not very much, relief from the extreme permissiveness of the
test.
See generally Kirchheimer, The Act, The Offense and
Double Jeopardy, 58 Yale L.J. 513 (1949). Numerous practical
exceptions to the test are discussed in Horack, The Multiple
Consequences of a Single Criminal Act, 21 Minn.L.Rev. 805 (1937).
So many exceptions to the "same evidence" rule have been found
necessary that it is hardly a rule at all; yet the numerous
exceptions have not succeeded in wholly preventing prosecutorial
abuse.
[
Footnote 2/5]
As Mr. Justice Frankfurter has said,
"Since the prohibition in the Constitution against double
jeopardy is derived from history, its significance and scope must
be determined, 'not simply by taking the words and a dictionary,
but by considering [its] . . . origin and the line of [its] . . .
growth.'"
Green v. United States, supra, at
355 U. S. 199
(dissenting opinion). The relation between the history of English
criminal procedure and the history of the common law of double
jeopardy is comprehensively examined in M. Friedland, Double
Jeopardy (1989).
See in particular pp. 161-194.
[
Footnote 2/6]
See, e.g., Fed.Rules Crim.Proc. 8, 13, 14;
Ill.Rev.Stat., c. 38, § 3-3 (1967); Ann., 59 A.L.R.2d 841
(1958).
[
Footnote 2/7]
For example, where a crime is not completed or not discovered,
despite diligence on the part of the police, until after the
commencement of a prosecution for other crimes arising from the
same transaction, an exception to the "same transaction" rule
should be made to permit a separate prosecution.
See, e.g.,
Diaz v. United States, 223 U. S. 442,
223 U. S.
448-449 (1912).
Cf. ALI, Model Penal Code,
Proposed Official Draft §§ 1.07(2), 1.09(1)(b) (1962);
Connelly
v. D.P.P., [1964] A.C. 1254, 1360. Another exception would be
necessary if no single court had jurisdiction of all the alleged
crimes. An additional exception is discussed in
397
U.S. 436fn2/11|>n. 11,
infra.
[
Footnote 2/8]
Admittedly, the phrase "same transaction" is not self-defining.
Guidance for its application can be obtained from cases
interpreting the phrase as it is used in the Federal Rules of
Criminal Procedure.
See in particular cases under Rule
8(a). Although analogies to the use of the phrase in civil
litigation are not perfect, since policy considerations differ,
some further guidance for its application in the present context
can be obtained from the course of its application in civil
litigation, where the courts have not encountered great difficulty
in reaching sound results in particular cases.
See 3 J.
Moore, Federal Practice � 13.13 (1968); 1A W. Barron & A.
Holtzoff, Federal Practice and Procedure § 394 (Wright, ed.1960).
Additional guidance may be found in cases developing the standard
of "common nucleus of operative fact,"
United Mine Workers v.
Gibbs, 383 U. S. 715,
383 U. S. 725
(1966), for purposes of pendent jurisdiction.
See
generally Note,
UMW v. Gibbs and Pendent
Jurisdiction, 81 Harv.L.Rev. 657, 660-662 (1968).
[
Footnote 2/9]
Compare ALI, Administration of the Criminal Law,
Official Draft: Double Jeopardy § 5 (1935)
with ALI, Model
Penal Code, Proposed Official Draft §§ 1.07(2), 1.09(1)(b) (1962).
See also Ill.Rev.Stat., c. 38, §§ 3-3, 3(b)(1) (1967).
[
Footnote 2/10]
See Connelly v. D.P.P., [1964] A.C. 1254.
[
Footnote 2/11]
Rule 14 provides for separate trials under court order where
joinder would be prejudicial to either the prosecution or the
defense.
Cf. Fed.Rule Civ.Proc. 42. Even where separate
trials are permitted to avoid prejudicial joinder, the "same
transaction" rule can serve a useful purpose since the defendant is
at least informed at one time of all the charges on which he will
actually be tried, and can prepare his defense accordingly.
Moreover the decision on whether charges are to be tried jointly or
separately will rest with the judge, rather than the prosecutor.
And separate trials may not be ordered, of course, where the proofs
will be repetitious or the multiplicity of trials vexatious, or
where the multiplicity will enable the prosecution to use the
experience of the first trial to strengthen its case in a
subsequent trial.
[
Footnote 2/12]
Joinder of defendants, as distinguished from joinder of
offenses, requires separate analysis. For example, joinder of
defendants can lead to Sixth Amendment problems.
See, e.g.,
Bruton v. United States, 391 U. S. 123
(1968).
[
Footnote 2/13]
And, of course, collateral estoppel would not prevent multiple
prosecutions when the first trial ends in a verdict of guilty.
[
Footnote 2/14]
The question of separate trials for different crimes committed
during a single criminal transaction is entirely distinct from and
independent of the question of prosecutorial discretion to select
the charges on which a defendant shall be prosecuted; and, as
explained in my separate opinion in
Abbate, supra, at
359 U. S.
198-199, it is also distinct from and independent of the
question of the imposition of separate punishments for different
crimes committed during a single transaction. The Double Jeopardy
Clause does not limit the power of Congress and the States to split
a single transaction into separate crimes so as to give the
prosecution a choice of charges.
Cf. Gore v. United
States, 357 U. S. 386,
357 U. S. 395
(1958) (DOUGLAS, J., dissenting). Moreover, the clause does not, as
a general matter, prohibit the imposition at one trial of
cumulative penalties for different crimes committed during one
transaction.
See my separate opinion in
Abbate,
supra. Thus, no crime need go unpunished. However, the clause
does provide an outer limit on the power of federal and state
courts to impose cumulative punishments for a single criminal
transaction.
See Gore v. United States, supra, at
357 U. S.
397-398 (BRENNAN, J., dissenting).
MR. CHIEF JUSTICE BURGER, dissenting.
The Fifth Amendment to the Constitution of the United States
provides in part: "nor shall any person be subject for the same
offence to be twice put in jeopardy of life or limb. . . ." Nothing
in the language or gloss previously placed on this provision of the
Fifth Amendment remotely justifies the treatment that the Court
today accords to the collateral estoppel doctrine. Nothing in the
purpose of the authors of the Constitution commands or even
justifies what the Court decides today; this is truly a case of
expanding a sound basic
Page 397 U. S. 461
principle beyond the bounds or needs of its rational and
legitimate objectives to preclude harassment of an accused.
I
Certain facts are not in dispute. The home of John Gladson was
the scene of "a friendly game of poker" in the early hours of the
morning of January 10, 1960. Six men -- Gladson, Knight, Freeman,
Goodwin, McLendon, and Roberts -- were playing cards in the
basement. While the game was in progress, three men, armed with a
sawed-off shotgun and pistols, broke into the house and forced
their way into the basement. They ordered the players to remove
their trousers and tied them up, except for Gladson, who had a
heart condition of which the robbers seemed to be aware.
Substantial amounts of currency and checks were taken from the
poker table, and items of personal property were taken from the
persons of the players. During the same period in which the men
were being robbed in the basement, one man entered Mrs. Gladson's
bedroom three floors above, ripped out the telephone there, tied
her with the telephone cord, and removed the wedding ring from her
finger. The robbers then fled in a car belonging to Roberts.
Four men -- Ashe, Johnson, Larson, and Brown -- were arrested
later in the morning of the robbery. Each was subsequently charged
in a separate information with the robbery of each of the six
victims. Ashe, Johnson, and Larson were also charged with the theft
of the car belonging to Roberts.
Ashe went to trial on May 2, 1960, on the charge of robbing
Knight. No charge as to other victims was presented. Four of the
six men -- Knight, Gladson, McClendon, and Roberts -- testified
about the robbery and described their individual losses. Mrs.
Gladson did not
Page 397 U. S. 462
testify, because she was ill on the day of trial. As MR. JUSTICE
BRENNAN has stated, the victims' testimony conflicted as to whether
there were three or four robbers:
"Gladson testified that he saw four robbers, but could identify
only one, a man named Brown. McClendon testified that he saw only
three men at any one time during the course of the robbery, and he
positively identified Brown, Larson, and Johnson; he also thought
he heard petitioner's voice during the robbery, but said he was not
sure. Knight thought only three men participated in the robbery,
and he could not identify anyone. Roberts said he saw four
different men, and he identified them as Brown, Larson, Johnson,
and petitioner."
Ante at
397 U. S.
458.
Ashe put in no evidence whatever, as was his right, and even
waived closing arguments to the jury; nonetheless, the jury did not
reach a verdict of guilty, but returned a somewhat unorthodox
verdict of "not guilty due to insufficient evidence."
Then, on June 20, 1960, Ashe was tried for the robbery of
Roberts. Mrs. Gladson testified at this trial, relating that she
was asleep in her bedroom when one of the robbers entered, awoke
her, tied her up with a telephone cord, and took cash and her
wedding ring. The robber stayed in her room for about 15 or 20
minutes, during which time she could hear scuffling and talking in
the basement. She said that she was able to identify the robber by
his voice, and that he was Johnson, not Ashe.
The Court's opinion omits some relevant facts. The other
victims' testimony at the second trial corroborated that of Mrs.
Gladson that four robbers were present during the time in which the
robbery took place.
Page 397 U. S. 463
Gladson identified three robbers -- Brown, Larson, and Ashe --
as having been in the basement for the first minutes of the
robbery; also he stated that one or more of the robbers had left
the basement after 20 or 25 minutes. Roberts identified Brown,
Larson, and Ashe as the men who formed the original group who
entered the basement, and testified that, after the robbery, two of
the three men, including Ashe, left the room. Two men returned in a
short time with car keys, but Johnson had replaced Ashe as one of
the two. There can be no doubt that the record shows four persons
in the robbery band. The jury found Ashe guilty of robbing Roberts
-- the only charge before it.
Thereafter, as described in the opinion of the majority, Ashe's
conviction was reviewed and upheld by the Supreme Court of
Missouri, the United States District Court for the Western District
of Missouri, and the Court of Appeals for the Eighth Circuit; in
turn, each rejected Ashe's double jeopardy claim.
II
The concept of double jeopardy and our firm constitutional
commitment is against repeated trials "for the
same
offence." This Court, like most American jurisdictions, has
expanded that part of the Constitution into a "same evidence" test.
[
Footnote 3/1] For example, in
Blockburger v. United States, 284 U.
S. 299,
284 U. S. 34
(1932), it was stated, so far as here relevant, that
"the test to be applied to determine whether there are two
offenses or only one, is whether each provision [
i.e.,
each charge] requires
proof of a fact which the other does
not."
(Emphasis added.)
Page 397 U. S. 464
Clearly and beyond dispute, the charge against Ashe in the
second trial required proof of a fact -- robbery of Roberts --
which the charge involving Knight did not. The Court, therefore,
has had to reach out far beyond the accepted offense-defining rule
to reach its decision in this case. What it has done is to
superimpose on the same evidence test a new and novel collateral
estoppel gloss.
The majority rests its holding in part on a series of cases
beginning with
United States v. Oppenheimer, 242 U. S.
85 (1916), which did not involve constitutional double
jeopardy, but applied collateral estoppel as developed in civil
litigation to federal criminal prosecutions as a matter of this
Court's supervisory power over the federal court system. The Court
now finds the federal collateral estoppel rule to be an
"ingredient" of the Fifth Amendment guarantee against double
jeopardy, and applies it to the States through the Fourteenth
Amendment; this is an ingredient that eluded judges and justices
for nearly two centuries.
The collateral estoppel concept -- originally a product only of
civil litigation -- is a strange mutant as it is transformed to
control this criminal case. In civil cases, the doctrine was
justified as conserving judicial resources as well as those of the
parties to the actions, and additionally as providing the finality
needed to plan for the future. It ordinarily applies to parties on
each side of the litigation who have the same interest as or who
are identical with the parties in the initial litigation. Here, the
complainant in the second trial is not the same as in the first,
even though the State is a party in both cases. Very properly, in
criminal cases, finality and conservation of private, public, and
judicial resources are lesser values than in civil litigation.
Also, courts that have applied the collateral estoppel concept to
criminal actions would
Page 397 U. S. 465
certainly not apply it to
both parties, as is true in
civil cases,
i.e., here, if Ashe had been convicted at the
first trial, presumably no court would then hold that he was
thereby foreclosed from litigating the identification issue at the
second trial. [
Footnote 3/2]
Perhaps, then, it comes as no surprise to find that the only
expressed rationale for the majority's decision is that Ashe has
"run the gauntlet" once before. This is not a doctrine of the law
or legal reasoning, but a colorful and graphic phrase which, as
used originally in an opinion of the Court written by MR. JUSTICE
BLACK, was intended to mean something entirely different. The full
phrase is "run the gauntlet once
on that charge . . ."
(emphasis added); it is to be found in
Green v. United
States, 355 U. S. 184,
355 U. S. 190
(1957), where no question of multiple crimes against multiple
victims was involved. Green, having been found guilty of
second-degree murder on a charge of first degree, secured a new
trial. This Court held nothing more than that Green, once put in
jeopardy -- once having "run the gauntlet . . . on
that
charge" -- of first degree murder, could not be compelled to
defend against that charge again on retrial.
Today's step in this area of constitutional law ought not be
taken on no more basis than casual reliance on the "gantlet" phrase
lifted out of the context in which it was originally used. This is
decision by slogan.
Some commentators have concluded that the harassment inherent in
standing trial a second time is a sufficient reason for use of
collateral estoppel in criminal
Page 397 U. S. 466
trials. [
Footnote 3/3] If the
Court is today relying on a harassment concept to superimpose a new
brand of collateral estoppel gloss on the "same evidence" test,
there is a short answer; this case does not remotely suggest
harassment of an accused who robbed six victims, and the harassment
aspect does not rise to constitutional levels. [
Footnote 3/4]
Finally, the majority's opinion tells us
"that the rule of collateral estoppel in criminal cases is not
to be applied with the hypertechnical and archaic approach of a
19th century pleading book, but with realism and rationality."
Ante at
397 U. S. 444.
With deference, I am bound to pose the question: what is reasonable
and rational about holding that an acquittal of Ashe for robbing
Knight bars a trial for robbing Roberts? To borrow a phrase from
the Court's opinion, what could conceivably be more "hypertechnical
and archaic," and more like the stilted formalisms of 17th and 18th
century common law England, than to stretch jeopardy for robbing
Knight into jeopardy for robbing Roberts?
After examining the facts of this case, the Court concludes that
the first jury must have concluded that Ashe was not one of the
robbers -- that he was not present at
Page 397 U. S. 467
the time. [
Footnote 3/5] Also,
since the second jury necessarily reached its decision by finding
he was present, the collateral estoppel doctrine applies. But the
majority's analysis of the facts completely disregards the
confusion injected into the case by the robbery of Mrs. Gladson. To
me, if we are to psychoanalyze the jury, the evidence adduced at
the first trial could more reasonably be construed as indicating
that Ashe had been at the Gladson home with the other three men,
but was not one of those involved in the basement robbery.
Certainly, the evidence at the first trial was equivocal as to
whether there were three or four robbers, whether the man who
robbed Mrs. Gladson was one of the three who robbed the six male
victims, and whether a man other than the three had robbed Mrs.
Gladson. Then, since the jury could have thought that the "acting
together" instruction given by the trial court in both trials
[
Footnote 3/6] only applied to the
actual taking from the six card players, and not to Mrs. Gladson,
the jury could well have acquitted Ashe but yet believed that he
was present in the Gladson home. On the other hand, the evidence
adduced at the second trial resolved issues other than identity
that may have troubled the first jury. If believed, that evidence
indicated that a fourth robber, Johnson, not Ashe, was with Mrs.
Gladson when Ashe, Larson, and Brown were robbing the male victims.
Johnson did go to the basement where the male victims were located,
but only after the other three had already taken the stolen items
and when the robbers were preparing for their departure in a car to
be stolen from Roberts.
Page 397 U. S. 468
Accordingly, even the facts in this case, which the Court's
opinion considers to "lead to but one conclusion," are susceptible
of an interpretation that the first jury did not base its acquittal
on the identity ground which the Court finds so compelling. The
Court bases its holding on sheer "guesswork," [
Footnote 3/7] which should have no place,
particularly in our review of state convictions by way of habeas
corpus. As Mr. Justice Holmes said in
Guy v. Donald,
203 U. S. 399,
203 U. S. 406
(1906):
"As long as the matter to be considered is debated in artificial
terms, there is danger of being led by a technical definition to
apply a certain name, and then to deduce consequences which have no
relation to the grounds on which the name was applied. . . ."
III
The essence of MR. JUSTICE BRENNAN's concurrence is that this
was all one transaction, one episode, or, if I may so characterize
it, one frolic, and, hence, only one crime. His approach, like that
taken by the Court, totally overlooks the significance of there
being
six entirely separate charges of robbery against six
individuals.
This "single transaction" concept is not a novel notion; it has
been urged in various courts, including this Court. [
Footnote 3/8] One of the theses underlying
the "single transaction" notion is that the criminal episode is
"indivisible." The short answer to that is that, to the victims,
the criminal conduct is readily divisible and intensely personal;
each offense is an offense against
a person. For me, it
demeans
Page 397 U. S. 469
the dignity of the human personality and individuality to talk
of "a single transaction" in the context of six separate assaults
on six individuals.
No court that elevates the individual rights and human dignity
of the accused to a high place -- as we should -- ought to be so
casual as to treat the victims as a single homogenized lump of
human clay. I would grant the dignity of individual status to the
victims as much as to those accused, not more, but surely no
less.
If it be suggested that multiple crimes can be separately
punished, but must be collectively tried, one can point to the firm
trend in the law to allow severance of defendants and offenses into
separate trials so as to avoid possible prejudice of one criminal
act or of the conduct of one defendant to "spill over" on
another.
What the Court holds today must be related to its impact on
crimes more serious than ordinary housebreaking, followed by
physical assault on six men and robbery of all of them. To
understand its full impact. we must view the holding in the context
of four men who break and enter, rob, and then kill six victims.
The concurrence tells us that, unless all the crimes are joined in
one trial, the alleged killers cannot be tried for more than one of
the killings even if the evidence is that they personally killed
two, three, or more of the victims. Or alter the crime to four men
breaking into a college dormitory and assaulting six girls. What
the Court is holding is, in effect, that the second and third and
fourth criminal acts are "free" unless the accused is tried for the
multiple crimes in a single trial -- something defendants
frantically use every legal device to avoid, and often succeed in
avoiding. This is the reality of what the Court holds today; it
does not make good sense, and it cannot make good law.
Page 397 U. S. 470
I therefore join with the four courts that have found no double
jeopardy in this case.
To borrow some wise words from MR. JUSTICE BLACK in his separate
opinion in
Jackson v. Denno, 378 U.
S. 368,
378 U. S. 401,
407-408 (1964), the conviction struck down in this case
"is in full accord with all the guarantees of the Federal
Constitution, and . . . should not be held invalid by this Court
because of a belief that the Court can improve on the
Constitution."
[
Footnote 3/1]
The test was first enunciated in
The King v.
Vandercomb, 2 Leach 708, 720, 168 Eng.Rep. 455, 461 (Crown
1796).
[
Footnote 3/2]
If Knight and Roberts had been passengers in a car that collided
with one driven by Ashe, no one would seriously suggest that a jury
verdict for Ashe in an action by Knight against Ashe would bar an
action by Roberts against Ashe. To present this situation shows how
far the Court here has distorted collateral estoppel beyond its
traditional boundaries.
[
Footnote 3/3]
See, e.g., Mayers & Yarbrough,
Bis Vexari:
New Trials and Successive Prosecutions, 74 Harv.L.Rev. 1, 29-41
(1960); Comment, 24 Mo.L.Rev. 513 (1959);
cf. Note, 75
Yale L.J. 262, 283-292 (1965).
[
Footnote 3/4]
The weight of the harassment factor does not warrant elevating
collateral estoppel principles in criminal trials to the level of
an "ingredient" of the Fifth and Fourteenth Amendments. True
harassment deserves serious consideration because of the strain of
the new trial. But society has an urgent interest in protecting the
public from criminal acts, and we ought not endorse any concepts
that put a premium on aggravated criminal conduct in multiple
crimes committed at the same time.
[
Footnote 3/5]
Arguably if Ashe had made a defense solely by alibi, that he was
in Vietnam at the time and offered evidence of Army records, etc.,
one might reasonably say the jury decided what the Court today says
it probably decided. On this record however, such an analysis is
baseless.
[
Footnote 3/6]
See ante at
397
U.S. 436fn3/3|>439 n. 3.
[
Footnote 3/7]
For a criticism of the collateral estoppel doctrine because of
the "guesswork" necessary to apply it to general criminal verdict,
see Note, 75 Yale L.J. 262, 285 (1965).
[
Footnote 3/8]
Hoffa v. New Jersey, 356 U. S. 464,
356 U. S. 473
(Warren, C.J., dissenting),
356 U. S. 477
(DOUGLAS, J., dissenting) (1958).