In this case, the defendant applied for a writ of certiorari and
the Attorney General assented to granting it on the ground that the
determination of the case depends upon the principles of law
governing conspiracy and it is of vital importance to the United
States, as well as its citizens, to have those principles settled
by this Court.
While, under the ancient rule of conspiracy, the gist was the
conspiracy itself and the crime was complete without any overt act,
§ 5440, Rev.Stat. prescribes as necessary to constitute an
offense under it not only the unlawful conspiracy, but also an
overt act to effect the object by at least one of the
conspirators.
Quaere as to the extent of agency between persons
conspiring in violation of § 5440, Rev.Stat.
There may be a constructive presence in a state, distinct from
personal presence, by which a crime committed in another state may
be consummated, and render the person consummating it punishable at
that place.
In construing criminal laws, courts must not be in too great
solicitude for the criminal to give him immunity because of the
difficulty in convicting or detecting him.
In determining the place of trial, there is no oppression in
taking the conspirators to the place where the overt act was
performed, rather than compelling the victims and witnesses to go
to the place where the conspiracy was formed.
The size of our country has not become too great for the
effective administration of criminal justice.
Where a continuing offense is committed in more than one
district, the Sixth Amendment does not preclude a trial in any of
those districts.
Armour Packing Co. v. United States,
209 U. S. 56.
Overt acts performed in one district by one of the parties who
had conspired in another district in violation of § 5440,
Rev.Stat., give jurisdiction to the court in the district where the
overt acts are performed as to all the conspirators.
Brown v.
Elliott, p.
225 U. S. 392,
post.
Page 225 U. S. 348
United States v. Kissel, 218 U.
S. 601, followed to the effect that a conspiracy under
§ 5440, Rev.Stat., may be a continuing one, and that the
offense is not barred on the expiration of the period from the date
of the conspiracy itself.
The fact that one of the conspirators was the servant of another
conspirator does not preclude there being a conspiracy between
them, and, until there is an affirmative withdrawal from the
conspiracy by the servant, his acts bind his employer and
co-conspirator so far as preventing the statute of limitations from
running.
Until a conspirator affirmatively withdraws from a continuing
conspiracy, there is conscious offending that prevents the statute
from running.
A disclosure to the government by a conspirator does not amount
to a withdrawal that would start the statute running if he
thereafter commits overt acts, and whether there was acquiescence
in the later acts of another conspirator is for the jury to
determine.
Pleas in abatement on account of irregularities in selecting and
impaneling the grand jury which do not relate to the competency of
individual jurors must be pleaded with strict exactness and at the
first opportunity.
Agnew v. United States, 165 U. S.
36.
While there may not be a conspiracy by one person alone, it is
possible that some of the evidence may be admitted as against
individual defendants and not against all, and it is not error for
the court to charge that the jury might convict any one of the
defendants alone, if accompanied by the statement that his
instructions related to the sufficiency of evidence produced as to
each defendant. In this case, the charge of the court in regard to
the conviction of one or more of the defendants was not to their
prejudice, but in their interest.
Whether the conviction of one of several persons charged with
conspiracy can ever be illegal will not be considered when it
appears that more than one have been convicted.
An objection to the admission of testimony in a trial for
conspiracy offered exclusively as against one of the defendants
becomes immaterial if that defendant is acquitted.
Even if a letter addressed to one of the defendants charged with
conspiracy were improperly taken from the mails, the fact is not
relevant to the question of the guilt of the conspirators.
While any evidence affecting a particular defendant in a trial
of several for conspiracy may be important to him while on trial,
it ceases to be so in the reviewing court if that defendant was
acquitted.
In this case, it does not appear that the jury was coerced by
the court into agreeing on the verdict or that the conviction of
some of the
Page 225 U. S. 349
defendant and acquittal of others was the result of an improper
agreement between the jurors.
Where the jury render a verdict within the issues, testimony of
jurors themselves should not be received to show matters which
essentially inhere in the verdict and necessarily can receive no
corroboration.
35 App.D.C. 451 affirmed.
The facts,which involve the validity of a trial, conviction and
sentence for conspiracy under § 5440 Rev.Stat. are stated in
the opinion.
MR. JUSTICE McKENNA delivered the opinion of the Court.
This writ brings up for review a judgment of the court of
appeals of the District of Columbia, affirming a conviction of
petitioners for the crime of conspiracy.
The main question in the case is the jurisdiction of the Supreme
Court of the District of Columbia, where the trial and conviction
were had, depending upon the place where the conspiracy, if any,
was formed and the overt acts, if any, were done to effect its
purpose. What the indictment charges is a fundamental element in
the question.
Before proceeding to consider the indictment, it may be well to
state the laws and conditions to which the conspiracy charged in
the indictment relates. By acts of Congress dated, respectively,
March 3, 1853, 10 Stat. 246, c. 145, and February 14, 1859, 11
Stat. 383, c. 33, the states of California and Oregon were granted,
for the purpose of public schools, all of sections 16 and 32 in
each township, with certain exceptions unimportant to mention. The
states authorized the sale of the land so granted for $1.25 per
acre, California limiting the right of purchase
Page 225 U. S. 350
by one person (of land not suitable for cultivation) to 640
acres. The limitation in Oregon was 320 acres. The states required
applicants to be citizens of the United States and of the states,
that the purchases be for their own benefit, and a statement from
each applicant that he had made no contract for the sale or
disposition of the lands applied for.
Subsequent to these grants and prior to the year 1897, most of
the lands had been taken up by settlers. Those not taken up were in
the mountainous regions, and were regarded as valueless.
By an act of Congress approved March 3, 1891, 26 Stat. 1103, c.
561, the President was authorized to create forest reservations,
and by a subsequent act, 30 Stat. 36, c. 2, it was provided
"that in cases in which a tract covered by an unperfected
bona fide claim or by a patent is included within the
limits of a public forest reservation, the settler or owner thereof
may, if he desires to do so, relinquish the tract to the
government, and may select in lieu thereof a tract of vacant land
open to settlement, not exceeding in area the tract covered by his
claim or patent."
The charge of the indictment is that the defendants in the case
conspired to use the privilege of this act after fraudulently
acquiring school sections from California and Oregon, and conspired
to corrupt or use the officers of the General Land Office in
Washington to make or facilitate the selection in exchange for such
sections lands of the United States, and thereby defraud the United
States.
Its allegations, omitting repetitions and redundancies, are as
follows:
Frederick A. Hyde and John A. Benson were engaged from the 24th
of October, 1901, until the 1st of February, 1904, in the City of
San Francisco, State of California, in the business of obtaining
from the United States and appropriating, in the manner hereinafter
set forth, the possession and use of and title to public lands of
the United
Page 225 U. S. 351
states outside forest reserves established under the laws of the
United States, in exchange for and in lieu of lands lying within
such reserves and known as school lands, by them obtained from the
States of California and Oregon in the manner hereinafter set
forth. Henry P. Dimond and Joost H. Schneider were, during said
periods, employees of Hyde and Benson in the matter of their
business, Dimond as agent and attorney and Schneider as agent.
Woodford D. Harlan and William E. Valk were, before and during such
period, employees of the United States, holding official positions
in the General Land Office at the City of Washington, in the
District of Columbia, paid salaries as such, and, respectively,
charged with duties pertaining to the disposal of the public lands
lying outside of forest reserves established under the laws of the
United States and open to selection under said laws, in exchange
for and in lieu of lands within such reserves.
Benjamin F. Allen was, before and during such period, an
employee of the United States, that is, a forest superintendent,
and Grant I. Taggart a forest supervisor.
Hyde, Benson, Dimond, and Schneider during such period, to-wit,
on the 30th day of December, 1901 at Washington, District of
Columbia, unlawfully did conspire, combine, and confederate
together, and with other persons unknown, to defraud the United
States out of the possession and use of and title to divers tracts
of the public lands of the United States open and to be opened to
selection in lieu of lands within forest reserves established and
to be established in California and Oregon, by means of false and
fraudulent practices whereby Hyde and Benson were to obtain
fraudulently from those states title to and possession of school
lands within the limits of such reserves which were open to
purchase from those states by residents thereof, being citizens of
the United States or having declared their intention to become
such, under the laws thereof, in quantities for each resident not
exceeding 640
Page 225 U. S. 352
acres in California and 320 acres in Oregon, upon appropriate
application, supported by affidavit showing his qualifications to
make such purchase, and, amongst other things (as before and during
the said period was required by the laws of the said states), his
intention to purchase in good faith and for his own benefit, and
that he had made no contract or agreement to sell the same. These
applications were to be made in the names of fictitious persons and
in the names of persons not really desiring or qualified to
purchase said lands. The use of the last-mentioned names for such
purpose Hyde and Benson were to procure by paying or causing to be
paid to such persons small sums of money, and by falsely
representing or causing to be represented to some of them that they
were merely disposing of their rights to purchase such school
lands.
The proposed use of fictitious affidavits is set out at
considerable length, with the names that were used, the purpose
being charged to obtain the lands according to the conspiracy
detailed, obtain title from the United States with the intention of
disposing of the same to the general public, and to defraud the
United States "to the profit, gain, and use of themselves."
Hyde and Benson were, during said period, to induce and procure,
and take advantage of the fact that they had induced and procured,
the said Woodford D. Harlan and William E. Valk by paying them
respectively divers sums of money for that purpose, corruptly to
furnish information concerning the status in the General Land
Office of all matters pertaining to their said business, and
especially to their false and fraudulent selections, and to
expedite, contrary to their duty, the matters which should be
pending in the Land Office pertaining to their business and the
examination of such selections made and to be made by Hyde and
Benson, and by securing the approval thereof in advance and
otherwise favoring and assisting Hyde and Benson in their
fraudulent practices. This
Page 225 U. S. 353
charge is dwelt upon at some length, and it is charged, besides,
that Allen, the forest superintendent, and Taggart, the forest
supervisor, had been and were to be corrupted, whereby they were to
give such advice and information as to including or not including
lands within a forest reserve as should be to the interest of Hyde
and Benson.
Hyde, Benson, Dimond, and Schneider, as a part of their
conspiracy, were to secure by the means detailed and other means
too numerous and diverse to be described, the establishment of
forest reserves in California and Oregon in such localities in
those states as would best effect the object of the conspiracy, by
reason of the fact that large quantities of school lands in such
localities were still undisposed of and open to purchase from said
states, respectively.
Dimond, for money and other valuable considerations paid by Hyde
and Benson, was, as attorney, to aid and assist Hyde and Benson in
their business by appearing in their behalf before the appropriate
officers of the Department of the Interior and of the General Land
Office, from time to time, to urge speedy action by those officers
upon the matters there pending pertaining to their said business,
and to further said business in the manner hereinafter shown, he,
Dimond, knowing full well the fraudulent character of the
business.
Schneider, in the capacity of employee of Hyde and Benson, was
to aid and assist them by obtaining in the states of California and
Oregon the fictitious affidavits and the affidavits of those
persons who would permit the use of their names as stated, he
knowing, while so assisting, the fraudulent character of the
applications and the purpose for which they and the affidavits were
to be used.
The indictment contains the description of the lands which it
was the object of the conspiracy to secure, amounting to 6,800
acres, of which 3,400 acres were selected in
Page 225 U. S. 354
the name of C. W. Clarke, all of the lands being in forest
reserves then lately before established under the laws of the
United States.
On December 30, 1901, Dimond entered his appearance in the
General Land Office as attorney for Clarke.
The other counts in the indictment, numbering 41, are
substantially alike in their general allegations, differing as to
their incidents. They charge, as in the first count, a conspiracy
formed in Washington by the same parties and for the same purpose,
and to be executed in the same way in regard to lands in the
various districts of the respective states, and that, in pursuance
of the conspiracy, certain overt acts were done. Most of the overt
acts charged consisted in the filing in the General Land Office by
Dimond, as attorney for Hyde, his appearance in different selection
cases, in some of which he urges and sets forth the reasons for
favoring a speedy action.
In counts 35 to 40, both inclusive, the overt act charged is the
payment of money by Benson to either Valk or Harlan, alleged in the
indictment to be salaried officials of the General Land Office and
charged with duties pertaining to the exchange of lands of private
claim or ownership included in a forest reserve or other public
land.
Two overt acts are charged against Hyde, one of which was
committed on July 29, 1903, by causing to be transmitted by mail
from the United States land office at Vancouver to the Commissioner
of the General Land Office at Washington a written notification to
the Commissioner, signed by Hyde for C. W. Clarke, that the latter
appealed to the Secretary of the Interior from a certain decision
of the Commissioner, with an assignment of errors, and the second
of which was that Hyde, on March 31, 1902, caused to be presented
by the hand of Dimond a paper signed by him, Hyde, notifying the
Commissioner that one S.E. Kieffer was authorized and appointed as
Hyde's
Page 225 U. S. 355
agent to post notices on the ground described in a certain
application, and to make affidavit of posting.
Shortly after the indictment was found, removal proceedings were
instituted against Hyde and Dimond before a United States
commissioner in California, who, after taking testimony, ordered
their removal. The United States circuit court denied writs of
habeas corpus and certiorari, and its action was affirmed by this
Court.
Hyde v. Shine, 199 U. S. 62.
There was a demurrer to the indictment, which was overruled, the
ruling upon which was affirmed by the Court of Appeals of the
District. 27 App.D.C. 362.
Motions to require the government to elect on which counts it
would proceed were filed, and also motions for a bill of
particulars. The latter was granted and the bill of particulars
filed; the former was overruled.
Pleas in abatement were filed, to which demurrers were
sustained, and finally the defendants were arraigned and pleas of
not guilty made and the case proceeded to trial. Benson and Dimond
were acquitted. Hyde and Schneider were convicted on all counts
except 29 and 33, which were abandoned by the government. Hyde was
sentenced to two years' imprisonment and to pay a fine of $10,000,
and Schneider was sentenced to imprisonment for one year and two
months and to pay a fine of $2,000.
Their conviction and sentence were affirmed by the Court of
Appeals. 35 App.D.C. 451.
The case is here on certiorari.
The Attorney General assented to the granting of the writ, he
saying that "the determination of this case depends upon the
principles of law governing conspiracy," and that, in view of the
decisions of the lower courts and of the numerous prosecutions
under the conspiracy statute, "it was of vital importance to the
United States, as
Page 225 U. S. 356
well as to its citizens, that these principles be definitely
settled by this Court."
The petitioners asked the court to review the case for the
purpose of having it decide certain questions of law which they
characterized as "important and fundamental," one of which, counsel
says, granting the writ took out of the case. Of those remaining,
one is "as to the effect of an overt act in giving jurisdiction in
an indictment for conspiracy under § 5440," and the other is
"as to the effect of overt acts by some of the accused in depriving
the petitioners of the benefit of the statute of limitations."
There are other questions arising from the conduct of the trial
and upon which separate briefs are filed. We postpone their
consideration until after the more important questions, which
induced the certiorari, are discussed.
First, as to the overt acts in giving jurisdiction:
It will be observed that the indictment charges that the
conspiracy was formed in the District of Columbia, and that certain
of the overt acts were performed there and others in California. A
question arose at the termination of the trial and before the case
was submitted to the jury as to whether the charge of the
indictment was sustained. Defendants moved to take the case from
the jury because there was no evidence to support the allegation
that the defendants conspired within the District of Columbia. The
court denied the motion, but said, in passing on it, that it
was
"not claimed on the part of the government that the defendants
had conspired within this District in any other sense than that
overt acts were committed by them here."
The contention was, the court said further, "that, if any overt
act was committed here, the defendants thereby conspired here." So
understanding the contentions and the proof, the court expressed
its views as follows:
"If these defendants got together in California and planned to
defraud the United States out of its lands by the means charged in
the indictment, and
Page 225 U. S. 357
in pursuance of that plan sent Dimond here to get the titles
from the government, they were acting within the District of
Columbia as much as if they had come and done the thing
themselves."
And subsequently the United States attorney assented to the
proposition that the government could not prevail except on the
theory that it was sufficient to show an overt act in the District
of Columbia, and the court said "that, if that theory was wrong, of
course, they failed."
The question therefore is presented as to the venue in
conspiracy cases, whether it must be at the place where the
conspiracy is entered into, or whether it may be at the place where
the overt act is performed, the Sixth Amendment of the Constitution
of the United States requiring all criminal prosecutions to be in
the "district wherein the crime shall have been committed."
The crime of conspiracy is defined by § 5440 of the Revised
Statutes as follows:
"If two or more persons conspire either to commit any offense
against the United States or to defraud the United States in any
manner or for any purpose, and one or more of such parties do any
act to effect the object of the conspiracy, all the parties to such
conspiracy shall be liable to a penalty of not more than ten
thousand dollars, or to imprisonment for not more than two years,
or to both fine and imprisonment, in the discretion of the
court."
It is contended by the defendants that the conspiracy -- the
union in an unlawful purpose -- constitutes the crime, and that the
requirement of an overt act does not give the offense criminal
quality or intent, but that the provision of the statute in regard
to such act merely affords an opportunity to withdraw from the
design without incurring its criminality (called in the cases a
locus penitentiae). The following, among other cases, are
cited in support of this view:
United States v. Britton,
108 U. S. 199,
108 U. S. 204;
Pettibone v. United States, 148 U.
S. 197,
148 U. S.
202;
Page 225 U. S. 358
Dealy v. United States, 152 U.
S. 539,
152 U. S. 546;
Bannon v. United States, 156 U. S. 464-469,
and the opinion of this Court when this case was here before,
199 U. S. 199 U.S.
62-76.
It must be conceded at the outset that there is language in
those cases that, considered by itself, justifies the contention
based upon them. In
United States v. Britton, for instance
-- and the language of the case is resorted to for the genesis of
the doctrine and makes strongest for the contention -- Mr. Justice
Woods, speaking for the Court said:
"The offense charged in the counts of this indictment is a
conspiracy. This offense does not consist of both the conspiracy
and the acts done to effect the object of the conspiracy, but of
the conspiracy alone. The provision of the statute, that there must
be an act done to effect the object of the conspiracy, merely
affords a
locus penitentiae, so that, before the act [is]
done, either one or all of the parties may abandon their design,
and thus avoid the penalty prescribed by the statute. It follows,
as a rule of criminal pleading, that in an indictment for
conspiracy under § 5440, the conspiracy must be sufficiently
charged, and that it cannot be aided by the averments of acts done
by one or more of the conspirators in furtherance of the object of
the conspiracy.
Reg. v. King, 7 Q.B. 782;
Commonwealth
v. Shedd, 7 Cush. 514."
The case was followed in
Pettibone v. United States, to
the effect
"that the conspiracy must be sufficiently charged, and cannot be
aided by averments of acts done by any one or more of the
conspirators in furthering the object of the conspiracy."
In
Dealy v. United States, it is said that
"the gist of the offense is the conspiracy. . . . Hence, if the
conspiracy was entered into within the limits of the United States
and the jurisdiction of the court, the crime was then complete, and
the subsequent overt acts in pursuance thereof may have been done
anywhere. "
Page 225 U. S. 359
Indeed, it must be said that the cases abound with statements
that the conspiracy is the "gist" of the offense or the "gravamen"
of it, and we realize the strength of the argument based upon them.
But we think the argument insists too exactly on the ancient law of
conspiracy, and does not give effect to the change made in it by
§ 5440,
supra. It is true that the conspiracy -- the
unlawful combination -- has been said to be the crime, and that at
common law it was not necessary to aver or prove an overt act; but
§ 5440 has gone beyond such rigid abstraction and prescribes,
as necessary to the offense, not only the unlawful conspiracy, but
that one or more of the parties must do an "act to effect" its
object, and provides that, when such act is done "all the parties
to such conspiracy" become liable. Interpreting the provision, it
was decided in
Hyde v. Shine, 199 U. S.
62,
199 U. S. 76,
that an overt act is necessary to complete the offense. And so it
was said in
United States v. Hirsch, 100 U.
S. 34, recognizing that, while the combination of minds
in an unlawful purpose was the foundation of the offense, an overt
act was necessary to complete it. It seems like a contradiction to
say that a thing is necessary to complete another thing, and yet
that other thing is complete without it. It seems like a paradox to
say that anything, to quote the Solicitor General, "can be a crime
of which no court can take cognizance." The conspiracy therefore
cannot alone constitute the offense. It needs the addition of the
overt act. Such act is something more, therefore, than evidence of
a conspiracy. It constitutes the execution or part execution of the
conspiracy, and all incur guilt by it, or rather complete their
guilt by it, consummating a crime by it cognizable then by the
judicial tribunals, such tribunals only then acquiring
jurisdiction.
A question may be raised as to the extent of the agency between
conspirators, but we need not enter into that broad inquiry. As for
as the case at bar is concerned, it
Page 225 U. S. 360
may be admitted that the act must have the conspiracy in view
and have some power to effect it. In the present case, the field of
operation and its consummation were to be and were in the States of
California and Oregon and in the District of Columbia, where the
General Land Office is situated. The action of the latter was to be
induced or influenced, and this might be through deception, it
might be through fraud, or it might be through innocent agents and
acts of themselves having no illegality, but effectually causing
and moving official action to the consummation of the end designed
and contemplated. Overt acts of all these kinds are charged. The
bribery and deception of the officers, the intervention of
attorneys, and the seemingly harmless mailing of information and
directions all are charged, and all had some relation to the scheme
devised and were steps to its accomplishment. The powers of the
Land Office were necessarily to be invoked and proceedings therein
instituted and prosecuted by acts innocent, indeed, of themselves,
taking only criminal taint from the purpose for which they were
done. Indeed, is not this so of acts done in the execution of any
crime? Discharging a loaded pistol at a target is an innocent
pastime; discharging a loaded pistol at a human being, with
felonious intent, takes a quality from such intent, and may
constitute murder.
If the unlawful combination and the overt act constitute the
offense, as stated in
Hyde v. Shine, marking its beginning
and its execution or a step to its execution, § 731 of the
Revised Statutes must be applied. That section provides that
"when any offense against the United States is begun in one
judicial circuit and completed in another, it shall be deemed to
have been committed in either, and may be dealt with, inquired of,
tried, determined, and punished in either district, in the same
manner as if it had been actually and wholly committed
therein."
This provision takes an emphasis of signification from the
fact
Page 225 U. S. 361
that it was originally a part of the same section of the statute
which defined conspiracy -- that is, § 30 of the Act of March
2, 1867, 14 Stat. 484, c. 169. Nor has the provision lost the
strength of meaning derived from such association by its subsequent
separation, for it is provided in § 5600 of the Revised
Statutes that
"the arrangement and classification of the several sections of
the revision have been made for the purpose of a more convenient
and orderly arrangement of the same, and therefore no inference or
presumption of a legislative construction is to be drawn by reason
of the title under which any particular section is placed."
Section 731 was applied in
In re Palliser, 136 U.
S. 257, to the offense of unlawfully using the mails. It
was decided that an offense committed by mailing a letter was
continued in the place where the letter was received, and triable
in the district court of the United States having jurisdiction in
such place. The case was cited in
Benson v. Henkel,
198 U. S. 1,
198 U. S. 15,
which was concerned with extradition proceedings against one
charged with the crime of bribery, alleged to have been committed
by mailing a letter in the State of California, directed to certain
officers of the General Land Office in the District of Columbia. It
was objected to the removal of the defendant to the District of
Columbia for trial that the crime was committed, if at all, in
California. The contention was held untenable under the ruling in
In re Palliser. The strong expression of counsel for the
defendants may therefore be turned from derision of to the support
of the view that crime, even conspiracy, may be carried from one
place to another in the "mail pouches." And we may ask, in passing,
may not a conspiracy be formed through the mails, constituted by
letters sent by persons living in different states? And, if so
formed, we may further ask, to which state would the conspiracy be
assigned? In such cases, must the law come forward with some
presumption or fiction, if you
Page 225 U. S. 362
please, to give locality to a union of minds between men who
were never at the same place at the same time? The statute cuts
through such puzzles and makes the act of a conspirator, which
necessarily has a definite place without the aid of presumption or
fiction, the legal inception of guilt, inculpating all and
subjecting all to punishment.
In re Palliser was also applied in
Burton v. United
States, 202 U. S. 344, in
which it was held that there was jurisdiction in Missouri of a
criminal charge against Burton for agreeing in that state to
receive prohibited compensation for certain services to be rendered
by him while he was a United States Senator, the offer being
carried to Missouri by an agent and accepted there, Burton not
being personally present in the state. The Court said, through Mr.
Justice Harlan (page
202 U. S.
387):
"The constitutional requirement is that the crime shall be tried
in the state and district where committed, not necessarily in the
state or district where the party committing it happened to be at
the time. This distinction was brought out and recognized in
In
re Palliser, 136 U. S. 257,
136 U. S.
265."
And after stating that the agreement between the parties was
completed at the time of the acceptance of Burton's offer at St.
Louis, he added:
"Then the offense was committed, and it was committed at St.
Louis, notwithstanding the defendant was not personally present in
Missouri when his offer was accepted and the agreement was
completed."
And the contention was rejected
"that an individual could not, either in law or within the
meaning of the Constitution, commit a crime within a state in which
he is not physically present at the time the crime is
committed."
This Court has recognized, therefore, that there may be a
constructive presence in a state, distinct from a personal
presence, by which a crime may be consummated. And if it may be
consummated, it may be punished by an exercise of jurisdiction --
that is, a person committing it may
Page 225 U. S. 363
be brought to trial and condemnation. And this must be so if we
would fit the laws and their administration to the acts of men, and
not be led away by mere "bookish theorick." We have held that a
conspiracy is not necessarily the conception and purpose of the
moment, but may be continuing. If so in time, it may be in place --
carrying to the whole area of its operations the guilt of its
conception and that which follows guilt -- trial and punishment. As
we have pointed out, the statute states what in addition to the
agreement is necessary to complete the measure of the offense. The
guilty purpose must be put into a guilty act.
We realize the strength of the apprehension that to extend the
jurisdiction of conspiracy by overt acts may give to the government
a power which may be abused, and we do not wish to put out of view
such possibility. But there are counter-considerations. It is not
an oppression in the law to accept the place where an unlawful
purpose is attempted to be executed as the place of its punishment,
and rather conspirators be taken from their homes than the victims
and witnesses of the conspiracy be taken from theirs. We must not,
in too great a solicitude for the criminal, give him a kind of
immunity from punishment because of the difficulty in convicting
him -- indeed, of even detecting him. And this may result if the
rule contended for be adopted. Let him meet with his fellows in
secret, and he will try to do so; let the place be concealed, as it
can be, and he and they may execute their crime in every state in
the Union and defeat punishment in all. And the suppositions are
not fanciful, as illustrated by a case submitted coincidentally
with this.
Brown v. Elliott, post, p.
225 U. S. 392. The
possibility of such a result repels the contention and demonstrates
that to yield to it would carry technical rules and rigidity of
reasoning too far for the practical administration of criminal
justice. We see no reason why a constructive presence should not be
assigned
Page 225 U. S. 364
to conspirators as well as to other criminals, and we certainly
cannot assent to the proposition that it is not competent for
Congress to define what shall constitute the offense of conspiracy
or when it shall be considered complete, and do with it as with
other crimes which are commenced in one place and continued in
another. Nor do we think that the size of our country has become
too great for the effective administration of criminal justice. We
held in
Armour Packing Co. v. United States, 209 U. S.
56, that the transportation of merchandise for less than
the published rate is, under the Elkins Act, a continuing offense,
and that the Sixth Amendment of the Constitution of the United
States, providing that an accused shall be tried in the state and
district where the crime is committed, did not preclude a trial of
the offense in any of the districts through which the
transportation was conducted.
See also Haas v. Henkel,
216 U. S. 462,
216 U. S.
473.
Cases are cited which oppose the views we have expressed, and
others to support them. In
Robinson v. United States, in
the Circuit Court of Appeals of the Eighth Circuit, the question
was directly presented. 172 F. 105. The conspiracy passed on was
alleged in the indictment to have been entered into in Cincinnati
and Chicago, the overt acts set out were proved to have been
committed in Minneapolis, and the evidence showed that it was the
intention of the conspirators to carry out their conspiracy at
Minneapolis. The trial court was moved to direct a verdict for the
defendants if the jury found that the agreement was entered into in
Cincinnati and Chicago, and was complete when the parties went into
the District of Minnesota. The instruction was refused, and, the
defendants having been convicted, the refusal was assigned as error
in the circuit court of appeals based on the provisions of the
Constitution of the United States giving those accused of crime the
right to trial by jury of the state and district wherein the crime
shall have been committed.
Page 225 U. S. 365
The court, passing on the ruling of the trial court, said by
District Judge Carland, and we quote its language to avail
ourselves not only of the citation of cases, but of the comments
upon them:
"At common law, the venue in conspiracy could be laid in any
county in which it could be proven that an overt act was done by
any one of the conspirators in furtherance of their common design.
1 Archbold's Criminal Practice and Pleading (8th ed.), p. 226.
Where a conspiracy was formed at sea, and an overt act done in
Middlesex County, it was held that the venue was properly laid in
that county.
The King v. Bresac and Scott, 4 East 164. In
the case of
King v. Bowes and Others, referred to in the
above case, the conspirators were tried in Middlesex, though there
was no proof of an actual conspiracy in that county, and the acts
and doings of some of them were wholly in other counties. In
People v. Mather, 4 Wend. 261, Marcy, J., in delivering
the opinion of the court, said:"
" I admit that is the illegal agreement that constitutes the
crime. When that is concluded, the crime is perfect, and the
conspirators may be convicted if the crime can be proved. No overt
act need be shown or ever performed to authorize a conviction. If
conspirators enter into the illegal agreement in one county, the
crime is perpetrated there, and they may be immediately prosecuted,
but the proceedings against them must be in that county. If they go
into another county to execute their plans of mischief, and there
commit an overt act, they may be punished in the latter county
without any evidence of an express renewal of their agreement. The
law considers that, wherever they act, there they renew, or
perhaps, to speak more properly, they continue, their agreement,
and this agreement is renewed or continued as to all whenever any
one of them does an act in furtherance of their common design. In
this respect, conspiracy resembles
Page 225 U. S. 366
treason in England when directed against the life of the King.
The crime consists in imagining the death of the King. In
contemplation of law, the crime is committed wherever the traitor
is and furnishes proof of his wicked intention by the exhibition of
any overt act."
"To the same effect are
Commonwealth v. Gillespie, 7
Serg. & R. 469, 10 Am.Dec. 475;
Noyes v. State, 41
N.J.L. 418;
Commonwealth v. Corlies, 3 Brewst. 575."
"If this was the law of venue in conspiracies at common law,
where proof of an overt act was not necessary to show a completed
offense, the same rule can be urged with much greater force under
§ 5440, Rev.Stat., as the offense described therein for all
practical purposes is not complete until an overt act is committed.
. . . It seems clear, then, that whether we place reliance on the
common law or on § 731, Rev.Stat., the venue of the offense
was correctly laid in the District of Minnesota, and the evidence
sustained the allegation of the indictment."
To the cases cited by the learned court these may be added:
State v. Nugent, 77 N.J.L. 84, 86;
Bloomer v.
State, 48 Md. 521;
People v. Arnold, 46 Mich. 275;
Fire Ins. Cos. v. State, 75 Miss. 24;
State v.
Hamilton, 13 Nev. 386;
International Harvester Co. v.
Commonwealth, 137 Ky. 668, 674;
Pearce v. Territory,
11 Okl. 438;
Ex Parte Rogers, 10 Tex.App. 655, and
Raleigh v. Cook, 60 Tex. 438.
There are cases in the lower federal courts which may be cited
for and against the demarcation of the conspiracy and the overt
act. To compare and comment on them would extend this opinion to
too great length. We may say the same of the special citation of
cases by defendants.
But it is said that the crime charged is not the crime proved,
even if it be assumed that the overt act is part of the crime of
conspiracy under § 5440. In support of
Page 225 U. S. 367
the contention, it is said that the averment of the indictment
is that the conspiracy itself was entered into in the District of
Columbia and that the overt acts were committed there. It is
conceded by the government that the conspiracy was originally
formed not in the District of Columbia, but in the State of
California, and we have seen that it was the view of the trial
court that the defendants had not conspired within the District of
Columbia "in any other sense than that overt acts were committed by
them" there.
The contention is answered by the views which we have already
expressed. As the overt acts give jurisdiction for trial, it is not
essential where the conspiracy is formed, so far as the
jurisdiction of the court in which the indictment is found and
tried is concerned. This is established by the cases which have
been cited, and the question will be considered further in
Brown v. Elliott and
Moore v. Elliott cases
submitted coincidentally with this,
post, p.
225 U. S. 392.
The fifth, sixth, seventh, and eighth assignments of error
invoke the statute of limitations in behalf of Hyde and
Schneider.
The plea of the statute as affected by overt acts was considered
in
United States v. Kissel, 218 U.
S. 601, where it was declared that a conspiracy may be a
continuing one, and the doctrine is applicable to the case at bar
unless there is something special in the facts regarding Hyde and
Schneider which constitutes a defense as to them. This is asserted.
It is contended that the relation of Schneider to the conspiracy
was only that of one rendering service as a servant of his master
(Hyde), in consideration of the salary paid to him by his master,
and that he had not, within three years before the finding of the
indictment, participated in any way in the carrying out of the
master's scheme, the subject of the conspiracy. And from this it is
contended the question arises whether Hyde is not also entitled to
the protection of the statute of limitation
Page 225 U. S. 368
insofar as he is charged with conspiring with his employee,
Schneider.
But the fact that a salary was paid by one to another would not
preclude a conspiracy between them. It might, indeed, mark a more
humble criminal desire, and one which preferred a certain reward,
rather than take chances in the success of a criminal enterprise,
and it was certainly not inconsistent with a full and active
participation in the scheme. Indeed, Schneider, in a confession
which we shall presently refer to, stated that a salary and the
certainty of employment was his inducement.
The government contends that there was such participation
originally and to a time within the statute, and that there is
nothing to show a repudiation of or withdrawal from the conspiracy
by him before 1902, when he made a partial disclosure of the
conspiracy to the government. But upon this the government frankly
says it cannot rely for an affirmance of the judgment, in view of
the charge of the court to the jury.
The court charged the jury in substance that, if Schneider had
engaged in the conspiracy "back of the three-year period," and the
conspiracy contemplated that acts should be done from time to time
through a series of years until the purpose of the conspiracy
should be accomplished, although he, Schneider, did not do anything
within the three-year period, but "remained acquiescent, expecting
and understanding" that further acts should be performed, they, if
performed, would be his acts,
"and would have the same effect against him as if he had done
them himself. He would still be acting through his colleagues. He
might be playing his part by keeping still as much as he did
formerly by acting."
The contention of the defendants is that the statute begins to
run from the last overt act within three years from the formation
of the conspiracy within which there was
conscious
participation. (Italics ours.) The government
Page 225 U. S. 369
makes the counter-contention that, however true this may be as
to accomplished conspiracies, it is not true of one having
continuity of purpose and which contemplated the performance of
acts through a series of years. And that such a distinction can
exist, we have seen, is decided and illustrated in
United
States v. Kissel. And necessarily so. Men may have lawful and
unlawful purposes, temporary or enduring. The distinction is vital,
and has different consequences and incidents. The conspiracy
accomplished or having a distinct period of accomplishment is
different from one that is to be continuous. If it may continue, it
would seem necessarily to follow the relation of the conspirators
to it must continue, being to it during its life as it was to it
the moment it was brought into life. If each conspirator was the
agent of the others at the latter time, he remains an agent during
all of the former time. This view does not, as it is contended,
take the defense of the statute of limitations from conspiracies.
It allows it to all, but makes its application different. Nor does
it take from a conspirator the power to withdraw from the execution
of the offense or to avert a continuing criminality. It requires
affirmative action, but certainly that is no hardship. Having
joined in an unlawful scheme, having constituted agents for its
performance, scheme and agency to be continuous until full fruition
be secured, until he does some act to disavow or defeat the
purpose, he is in no situation to claim the delay of the law. As
the offense has not been terminated or accomplished, he is still
offending. And we think, consciously offending -- offending as
certainly, as we have said, as at the first moment of his
confederation, and continuously through every moment of its
existence. The successive overt acts are but steps toward its
accomplishment, not necessarily its accomplishment. This is the
reasoning of the
Kissel case, stated in another way. As he
has started evil forces, he must withdraw his support
Page 225 U. S. 370
from them or incur the guilt of their continuance. Until he does
withdraw, there is conscious offending, and the principle of the
cases cited by defendants is satisfied.
*
But it is contended that, under the instructions of the court,
Schneider was involved in criminality by overt acts done not only
after he had ceased to be in Hyde's employment in any capacity, but
after he had disclosed that there was a conspiracy against the
government. It was testified by Woodford D. Harlan that disclosure
of frauds had come through one J. A. Zabriskie, he, however,
knowing nothing about the matters except as informed by Schneider.
The matter was referred to an agent, who reported conversations
with Schneider, giving detailed information of the frauds and the
manner by which they were accomplished. This report was received at
the General Land Office in November, 1902. It does not appear what
became of the report. The recollection of the witness was that he
saw the report first, and he testified that he took it to the clerk
who was distributing the mail, but for what purpose it does not
appear. He never saw it again until one day during the trial. He,
however, wrote to Benson about it, and after having seen weekly
statements of certain special agents who were investigating the
Schneider charges, he notified Benson. This seems to have been in
March, 1903. Later, in October and November, 1903, he also wrote
Benson at the suggestion of detective Burns.
There are overt acts charged subsequent to the disclosure made
by Schneider, and it is contended that, by the instruction embodied
in the seventh assignment of error, Schneider was continued in the
conspiracy by overt acts committed after his disclosure to the
agent of the Land
Page 225 U. S. 371
Department had been communicated to the Commissioner of the
General Land Office.
The instruction to which this effect is attributed is as
follows:
"Now if he [Schneider] had stood by that and had gone on and
disclosed all he knew about the matter, and said: 'I will have
nothing more to do with this matter,' nothing that could have been
done by the others after that could affect him at all. He would
have been out of it; he would have repudiated it. As bearing on the
effect of what he did there, if you find he did it, you are to
consider what he did afterwards. If, after having made this
disclosure as far as he did, he shut his mouth and said: 'I will
not say anything more about this matter; the government shall not
get anything more not of me,' that is not an act by him in
furtherance of the conspiracy, but it is a piece of evidence to be
considered by you as bearing on the question whether he was
acquiescent -- what his attitude of mind toward the conspiracy
was."
"If he had stood on his disclosure, you might have said: 'Well,
he is out of it from now on' -- but, in connection with that, you
are to consider what he said afterwards. If you find that he closed
his mouth and refused to say anything more about the matter and
kept still in the interest of the others, you would have a right to
say that that showed that he was still acquiescent in the matter.
It would neutralize, if you choose to treat it so, the effect of
his former declaration that he did know, and was willing to
disclose."
The instruction does not sustain the contention based upon it.
The court submitted to the jury the effect of repudiation, and
whether it was adhered to, as evidence of Schneider's further
participation in the conspiracy by the overt acts done subsequent
to the date of his disclosure. Acts prior to that time are within
the principles we have announced, and the only question under
the
Page 225 U. S. 372
instruction is whether there was an acquiescence which embraced
the later acts, and this, we think, under the circumstances, was
for the jury to determine.
The other questions in the case we shall now proceed to
consider.
It is contended (ninth assignment of error) that the court erred
in sustaining the demurrers to the pleas in abatement of Hyde and
Schneider.
The defendants demurred to the indictment, which was overruled,
and a special appeal was allowed to the Court of Appeals of the
District and the ruling on the demurrer affirmed.
The case was remanded for further proceedings, and the mandate
was filed in the Supreme Court of the District April 26, 1906.
Nearly two years afterwards (April 1, 1908), the defendants filed
pleas in abatement, alleging irregularity in the making up of the
list of jurors from which the grand jury which found the indictment
was selected. The charge was that the commission to make a list of
jurors appointed under § 198 of the District Code placed on
the "list the names of persons many of which were selected not by
themselves or by any of them, but by some other person or persons
whose names are" to the defendant unknown, and that, on the 16th of
November, 1903, the commissioners met in the District of Columbia
and then and there made an order by which they undertook to appoint
one James A. Harstock secretary of said commission, and undertook
by a further order to give him the right of access to the jury box
provided in accordance with § 200 of the Code, and that he
took the box, unaccompanied by any other person, into a room in the
City Hall and there opened it and took out of it all of the pieces
of paper therein containing the names of the jurors, and from day
to day during several successive days replaced in the box such
names as he deemed fit, and thereupon returned it to the custody of
the clerk. The
Page 225 U. S. 373
names of twenty-three persons were drawn from the box and
constituted the grand jury which found the indictment. In
consequence of this, it was averred that the grand jury was not a
legal body.
Demurrers were filed and sustained to the pleas, and, to support
the ruling of the court, the government cites
Agnew v. United
States, 165 U. S. 36. The
defendants contest the application of the case on two grounds: (1)
that, under the District Code, a plea in abatement comes properly
after a demurrer to the indictment and before pleas to the matter
of the indictment, such as not guilty or special pleas, and (2)
that whether a plea is seasonably filed cannot be resisted by
demurrer, but only by a motion to strike out.
Both propositions may be formally correct, but do not preclude
the court from itself noticing an unreasonable delay or treating
the demurrer as raising that objection. And, by concession of
counsel, that is what the court, in effect, did. Indeed, in the
"points and authorities" filed with the demurrer, it is urged that
"the said pleas are not filed within a reasonable time." There was
certainly unreasonable delay. It is said in the
Agnew case
that pleas in abatement on account of irregularities in selecting
and impaneling a grand jury, which did not relate to the competency
of individual jurors, must be pleaded with strict exactness, and
that a defendant must take the first opportunity in his power to
make the objection. The indictment in that case was returned
December 12, 1895; the plea in abatement was filed on the 17th of
that month. It was held to have been filed too late.
In the case at bar, four years elapsed between the finding of
the indictment and the filing of the plea, two years after the
mandate of the Court of Appeals sustaining the action of the trial
court upon the demurrer and after a bill of particulars had been
demanded and furnished. The delay is not attempted to be
explained.
Page 225 U. S. 374
It is extremely doubtful whether the pleas were not defective
under the
Agnew case. In that case, it was alleged that
the irregularities complained of tended to the injury and prejudice
of the defendant, no grounds, however, being assigned for the
conclusion, and the record did not exhibit any. In the case at bar,
the plea is not even that specific. It is not shown that any juror
was disqualified, nor is it shown that the grand jury was composed
of jurors not selected by the commission. It is alleged, it is
true, the names which had been put in the box by the commissioners
had been taken out by Harstock, and that he put back those only
that he deemed fit and proper. It follows, of course, from this
that, had all of the original names been in the box, the grand jury
might have been differently composed; but from this it cannot be
inferred that injury or prejudice resulted to the defendants.
The tenth assignment of error is directed against the
instruction of the court that the jury might convict any one of the
defendants alone, including Hyde. In explanation of the
instruction, the court said to the jury that as to each defendant
evidence was admitted which was not admitted against the others,
and instanced as an example an alleged confession of Schneider
which, the court said, was admitted against him only. "The same
would be true," the court said, "as to Dimond, as to whom a great
deal of evidence was admitted that was not received against the
other defendants." And further:
"So that it is true, as I stated in a proposition for the
benefit of counsel, that there may be a verdict against any one of
the defendants, whether one or more, as to whom the evidence
submitted and received against him or them proves that he or they
conspired as charged, provided any overt act is also proved."
If there is confusion in the instruction, it is easily resolved.
It is clear, when read in connection with other
Page 225 U. S. 375
instructions, that the court distinguished the purpose and
effect of particular testimony, and did not mean to say that there
could be a conspiracy by one defendant alone. So regarding it, we
pass to the consideration of the objection urged against it.
It is insisted that it is not competent, in any case where two
or more persons are charged with conspiracy and all are on trial,
to find a verdict against one of them only in any aspect of the
evidence, and, further, that as to the defendant Hyde, there is no
evidence in the case which justified a verdict against him alone,
even if the principle announced by the court is, in the abstract,
correct.
The immediate answer is that there was not a verdict against one
defendant, and besides, the argument of counsel is somewhat minute,
and its criticism is based on a partial view of the instructions
and of the evidence, which, we think, preclude the inferences which
are deduced from the instructions.
The court's charge was necessarily very long and comprehensive,
and a reproduction of it is not convenient, but certain of its
general propositions may be stated. "Each count of the indictment,"
it was said,
"charges the same conspiracy, and, in addition thereto, one or
more overt acts alleged to have been done in pursuance of it. So
that, stated in one way, these counts subsequent to the first count
contain nothing new except the overt acts, and when you take those
up one by one, the question is, if you have found the conspiracy in
the first place, whether the overt acts charged were committed. If
you do not find the conspiracy, of course, the overt acts cannot be
found."
The court emphasized the necessity of the proof of the
conspiracy, and stated that by it the overt acts were to be judged,
saying: "An overt act must be one in pursuance of the conspiracy
and one in furtherance of it," and whether a certain act was in
pursuance of it might depend entirely upon what the conspiracy
was.
Page 225 U. S. 376
"The first question is," the court charged,
"Did the defendants conspire at all? The second question is
whether they conspired to accomplish the end alleged. The third
question is whether they conspired to accomplish that end by the
fraudulent means alleged, so far as the indictment in that respect
is necessary to be proved, referring to what has been already
stated in that regard. The fourth question is, under each count,
whether the overt act therein mentioned has been proved."
"Two other important questions must be determined in connection
with the foregoing, one relating to the place, the other to the
time. The conspiracy must have existed in the District of Columbia,
and it must have existed and some overt act in pursuance of it must
have been committed within three years next before the filling of
the indictment."
And, assuming that the conspiracy was established and overt acts
in furtherance of it shown in the District of Columbia, the court
explained,
"the conspiracy is here [the District of Columbia] just as truly
as if the defendants were all here in person, doing those things
with the common mind and purpose which contemplated them. In such
circumstances, the defendants would be conspiring together in the
doing of each act because each act would have reference to the
conspiracy. It would not be necessary that they should put their
heads together and go over the terms of the conspiracy every time
an act was done in furtherance of it. It would be enough if the act
was an expression of their common understanding."
The court instructed the jury further as follows:
"Now it has been suggested that, if these men were guilty, there
were others just as guilty. That does not make any difference. The
indictment itself, in one clause of it which I did not read to you,
charges that these defendants conspired with each other and with
other persons to the grand jury unknown. But that does not make
any
Page 225 U. S. 377
difference. If there are other persons who might have been
prosecuted, and would have been liable, and they are not
prosecuted, that is no concern of yours. You are only to consider
the question of whether these defendants conspired in the way
alleged, and whether the overt act was committed."
And the court charged the jury that some of the defendants could
be convicted on one count and some on another count; that there
was
"practically one charge, although in so many counts. It is one
conspiracy with allegations of different acts done in pursuance of
it. . . . But you cannot split the matter up."
We think, therefore, that the instruction excepted to was in the
interest of the defendants, not to their prejudice. It excluded
from consideration as to each of them testimony which might
possibly have no relation to him. It is true that the jury
convicted Hyde and Schneider and acquitted Benson and Dimond. But,
as said by the government,
"This does not signify that the evidence against Hyde and
Schneider was of a different offense than that charged, but only
that the proof against them was more conclusive than that against
Benson and Dimond."
It is not necessary to review the cases cited by the defendants
holding that conspiracy is the crime of at least two persons, and
that, where all but one are acquitted, there can be no legal
conviction as to him, the acquittal of the others being tantamount
to the finding of no conspiracy. All but one were not
acquitted.
The next assignment of defendants is that the court erred in
allowing the district attorney, on the direct examination of
witnesses for the government, to examine them as to previous
statements made by them to certain representatives of the
government, and in permitting comment upon such statements as
tended to show their truth.
Page 225 U. S. 378
This assignment is directed particularly against the examination
of three witnesses -- William E. Valk, S. J. Holsinger, and Tillie
A. Fleischauer. These witnesses, not remembering certain matters,
were asked about conversations with him or of written statement
made by the witnesses examined, for the purpose of refreshing their
memory. This was the purpose declared at the time, and was the
ground of the ruling of the court. Objection was made, however, and
it was urged, and is now urged here, that this could not be done
unless upon the ground of surprise and for the purpose of
discrediting the witnesses. In support of the objection, §
1073a of the District Code is cited in regard to the manner and
extent of contradicting witnesses by proof of former statements.
The court, however, permitted the examination solely as a means of
refreshing the memory of the witness, and they, besides, admitted
the truth of what was stated. We see no error in the ruling.
Indeed, it may be said that, as to two of the witnesses, their
statements related to Benson alone, and by his acquittal, if the
ruling was error, it became unimportant.
The next contention, constituting the twelfth assignment of
error, is as to the refusal of the court to permit the defendants
to prove that certain letters addressed to John P. Jones never
reached the Dead Letter Office. This testimony, it is insisted,
became significant and important to the defendants from the fact
that the district attorney had asked Schneider if he (Schneider)
had not gone under the name of John P. Jones at the post office
while in Mexico at a place called Allamos. On redirect examination,
he explained the reason to have been that he had suspected the
postmaster at Tucson, that letters which had been written to him
had not reached him, and that, at the time mentioned, his wife, who
was at Tucson, addressed him as John P. Jones, but that nobody else
had. He further testified that the letters he referred to were
Page 225 U. S. 379
"right on the desk" (the desk in the court room), "in the
possession of the government." Upon the demand of counsel, the
District attorney produced the letters. Thereupon counsel
questioned Schneider as to the letters which were addressed to John
P. Jones at Fuerte, Mexico, postmarked Tucson, Arizona. The
District attorney then asked counsel for defendants if he desired
"to offer the envelops in evidence," to which the answer was made:
"No; I don't care to offer anything further in connection with that
transaction at present." The District attorney then offered them.
Objection was made, but was subsequently withdrawn, the court
saying, upon the witness stating that the address upon them was in
his wife's handwriting,
"They [the letters] are addressed to him in the name of John P.
Jones. The envelops may be received, if it is so agreed, for the
purpose of showing the postmarks, etc. This I suppose to be in
corroboration of the statements of the witness as to why he changed
his name."
The District attorney was then called as a witness by counsel
for the defendants and testified that he had not seen the letters
"until one day in court here," and that, when reference was made to
them "they were produced" to him "by Mr. Pugh." The latter, being
called, said that they came into his "possession in an envelop
taken from Secretary Hitchcock's safe some time after Mr. Burns
withdrew from the case, or some time after he severed his
government connection with it." Burns, he testified, was in San
Francisco.
Dalzell was subsequently called as a witness to testify, as has
been stated, and it was said by counsel for defendants, addressing
the court, that the government had brought out that Schneider had
gone under an assumed name, and that the evidence tended to show
that the
"reason for that, or one reason for it, was that his mail was
being tampered with; . . . but it leaves room for the
Page 225 U. S. 380
government to contend that those letters have been to the Dead
Letter Office, and have been opened there, and might have gotten in
the possession of the Secretary of the Interior or Mr. Burns
honestly. We offer to call this witness [Dalzell] for the purpose
of closing that gap, and showing that necessarily somebody must
have been committing a greater crime than is charged against any of
these defendants, in robbing the mail."
The District attorney in effect disclaimed the purpose which was
attributed to him, and necessarily there was no gap to be closed,
nor is it shown that any purpose was subsequently attempted which
the testimony would have precluded.
The possibility suggested by the testimony is not attempted to
be justified by the government, and gives a painful surprise, but
we cannot see how proof of "a greater crime . . . in robbing the
mails" was relevant to a decision of the charge then under
consideration.
The thirteenth assignment of error is directed against an
instruction of the court which opposed the contention of defendants
that
"the titles obtained from the states were perfectly and
absolutely valid as to all persons and at all times, except as to
the particular state which had given the title and which alone
could assail it."
The question involved in the contention is settled by the
decision of the case when it was here on the proceedings in habeas
corpus, 199 U.S.
199 U. S. 62,
199 U. S.
82-83.
The fourteenth assignment of error is that the court erred in
refusing to instruct the jury that want of personal knowledge of
the character of the land applied for, or that it was not adversely
occupied, did not make the application void. It is contended that,
if the applicant believed the statements were true, the application
was neither false nor fraudulent.
We answer the contention as the Court of Appeals did -- "the
question is immaterial, because the applications were fraudulent by
reason of the agreement for transfer" --
Page 225 U. S. 381
that is, the applicants were not buying for themselves, but for
Hyde. We need not inquire whether the statutes required the
affidavits to be made on personal knowledge.
Objection is made in other assignments of error to the comments
of the court "that written evidence, letters, for instance, written
by parties at the time, are entitled to peculiar consideration as
evidence." And to the further comment as to certain anonymous
letters attributed to Dimond, the court saying to the jury that
they would have to consider whether he wrote them, and added the
following:
"That has been treated in the argument as a very important
question, and justly so. You cannot fail to see the importance of
that question. There are some of the letters that were typewritten,
and there is one printed with a pen."
Any evidence affecting a particular defendant is important to
him when on trial. It ceases to be so in a tribunal of review if he
was acquitted, as Dimond was, and may be dismissed from further
consideration. And we see no error in the comments of the court on
the consideration to be given to written evidence. It was but the
declaration of an abstract proposition. It was not an attempt to
enforce some particular part of the testimony and to take from the
jury their province of considering it all or weighing the
respective parts. This is shown by the charge of the court,
considered in its entirety.
In the seventeenth assignment of error, defendants complain that
they were not allowed to show by an examination of the jurors that
the "verdict was the result of a bargain, and was brought about by
what, under the circumstances, amounted to coercion by the
court."
The record shows the following:
"Monday, June 22, 1908 at 11:30 A.M., the jury returned to the
courtroom and the foreman announced that they were unable to agree.
The court thereupon instructed the jury to retire for further
deliberation and
Page 225 U. S. 382
make another effort to agree upon a verdict, charging them,
however, that should they render a verdict, it must be one to which
they all freely agreed; that the law would not recognize a coerced
verdict or one which was not the free expression of the views and
opinions of the jurymen, and that if, after another conscientious
effort, the jury still fail to agree, they should return to the
court and so state. That it was not the purpose of the court to
unduly prolong their deliberations, and that, if they could not
conscientiously and freely agree upon a verdict, they would be
discharged."
At ten minutes before 3 o'clock, they were brought into court,
and again declared that they were unable to agree, and the court
instructed them further, after consultation with counsel for the
government and defendants, and to which no exception was made,
suggesting a consideration of the possibility of the guilt of some
of the defendants and not of others. The jury, shortly after they
went out, announced their agreement, finding a verdict against Hyde
and Schneider of being guilty "in manner and form as charged," and
Benson and Dimond not guilty.
On motion of counsel, the jury was polled as to Hyde and
Schneider, respectively, and they answered guilty on certain counts
and not guilty on the 29th and 33rd counts.
The supposed misconduct of the jury was made a ground of new
trial. Certain supporting affidavits were made by counsel upon
information. Counsel respectively averred that they believed the
information given them to be true, and that it was received partly
from one of the jurors and partly from a person who had conferences
with another, and that two of the jurors were requested to make
affidavit, but, under the advice of their counsel, they declined
unless required by the court.
The motion for a new trial set forth that the verdict was the
result of an agreement between certain of the
Page 225 U. S. 383
jurors who believed all of the defendants should be convicted
and certain jurors who believed that all of the defendants should
be acquitted, by which agreement the acquittal of Benson was
exchanged for the conviction of Hyde, and the conviction of
Schneider for the acquittal of Dimond. And this was brought about,
it is contended and argued, as the result of what, "under the
circumstances, amounted to coercion by the court."
There is nothing in the record to justify the contention. It is
true the trial was a long one, and that the jury were not allowed
to separate. Neither fact is unusual in criminal trials; the first
is often necessary, the second often expedient, and contributes to
an impartial judgment for and against defendants. It is true that
the jury was in consultation for three days and nights without
agreement, but the case was unusual in its issues and evidence and
the detailed attention that was required.
It well might be that jurors should not see the exact bearing of
the evidence as it affected particular defendants until the final
instructions of the court, which we have set out and about which
counsel were consulted. The court took care to say to the jury that
the law would not recognize a coerced verdict, and that it was not
the court's intention to unduly prolong their deliberations, and
if, after another effort, "they could not conscientiously and
freely agree upon a verdict, they would be discharged." It is hard
to believe that, with that admonition yet in their ears, they
bartered their convictions, with that promise expressly made to
them, they were coerced by a threat of confinement to acquit those
who they were convinced were guilty, or convict those who they were
convinced were innocent.
But, even conceiving such possibility, we think the court
rightly ruled. It was within the issues of the case to convict some
of the defendants and acquit others, and we think the rule
expressed in
Wright v. Illinois & Miss.
Page 225 U. S. 384
Tel. Co., 20 Ia. 195, and
Gottleib Bros. v. Jasper
& Co., 27 Kan. 770, should apply, that the testimony of
jurors should not be received to show matters which essentially
inhere in the verdict itself and necessarily depend upon the
testimony of the jurors, and can receive no corroboration.
Judgment affirmed.
*
Ex Parte Black, 147 F. 832, 840, and same case in 160
F. 431;
Ware v. United States, 154 F. 577;
United
States v. Eccles, 181 F. 906;
United States v.
Greene, 115 F. 343, 350;
Ochs v. People, 25 Ill.App.
379,
same case, 124 Ill. 399.
MR. JUSTICE HOLMES, dissenting:
This is an indictment under Rev.Stat. § 5440, amended, act
of May 17, 1879, c. 8, 21 Stat. 4, for a conspiracy to defraud the
United States. The petitioners were tried and convicted in the
District of Columbia, the conviction was affirmed by the Court of
Appeals, 35 App.D.C. 451, and thereupon a writ of certiorari was
granted by this Court. The scheme was to obtain by fraudulent
devices from the States of California and Oregon school lands lying
within forest reserves, to exchange them for public lands of the
United States open to selection, and then to sell the lands so
obtained. Hyde and Schneider were in California, and never were
actually in the District in aid of the conspiracy, but overt acts
are alleged to have been done there to effect the objects in view.
Most of these acts are innocent, taken by themselves, consisting
mainly of the entry of appearance by Hyde's lawyer in the matter of
different selections, the filing of papers concerning them, and
letters urging speed. Hyde is alleged to have caused some documents
affecting the same to be transmitted from California to the
Commissioner at Washington, and in the last six counts payments to
employees in the Land Office are alleged to have been made with
corrupt purpose and in aid of the plan by a person who was included
in the indictment as a conspirator, but whom the jury did not
convict.
Page 225 U. S. 385
The court instructed the jury that, if the defendants agreed to
accomplish their purpose by having any of the alleged overt acts
done in the District of Columbia, and any of those acts were done
there, the conspiracy was in the District, whether the defendants
were there or not. The defendants excepted to this instruction, as
well as to many others.
I have said enough to show that there was more than one question
in the case, but, as the first and also the most important one is
whether the court had jurisdiction of the alleged offense, I shall
confine myself to that.
The conspiracy was continuous in its nature, and is averred to
have been so.
United States v. Kissel, 218 U.
S. 601. Therefore, wherever it was formed, it might have
been continued in the District of Columbia, as, for instance, if
the conspirators had met there for the purposes of their scheme.
Moreover, in order to narrow the question, I will assume that, so
far as the statute of limitations is concerned, an overt act done
anywhere with the express or implied consent of conspirators would
show the conspiracy to be continuing between the parties so
consenting, and leave them open to prosecution for three years from
that date. But it does not follow that an overt act draws the
conspiracy to wherever such overt act may be done, and whether it
does so or not is the question before us now.
In order to answer this question, it is not enough to say that,
as the overt act was one that was contemplated by the conspirators,
it is treated as the Act of them all, and that this is equivalent
to saying that they were constructively present. That would be
passing
a dicto secundum quid ad dictum simpliciter. They
are chargeable there for the act, but it does not follow that they
were there to other intents. They are shown not to have been by the
fact that they could not be treated as fugitives from justice even
in respect of that very act, when and although that act was itself
a crime.
Hyatt v. New York, 188 U.
S. 691,
188 U. S.
712.
Page 225 U. S. 386
To speak of constructive presence is to use the language of
fiction, and so to hinder precise analysis. When a man is said to
be constructively present where the consequences of an act done
elsewhere are felt, it is meant that, for some special purpose, he
will be treated as he would have been treated if he had been
present, although he was not. For instance, if a man, acting in one
state, sets forces in motion that kill a man in another, or
produces or induces some consequence in that other that it regards
as very hurtful and wishes to prevent, the latter state is very
likely to say that, if it can catch him, it will punish him,
although he was not subject to its laws when he did the act.
Strassheim v. Daily, 221 U. S. 280,
221 U. S. 285.
But, as states usually confine their threats to those within the
jurisdiction at the time of the act,
American Banana Co. v.
United Fruit Co., 213 U. S. 347,
213 U. S. 356,
the symmetry of general theory is preserved by saying that the
offender was constructively present in the case supposed.
Burton v. United States, 202 U. S. 344,
202 U. S. 389.
We must not forget facts, however. He was not present in fact, and
in theory of law, he was present only so far as to be charged with
the act.
Obviously the use of this fiction or form of words must not be
pushed to such a point in the administration of the national law as
to transgress the requirement of the Constitution that the trial of
crimes shall be held in the state and district where the crimes
shall have been committed. Art. III, § 2, cl. 3. Amendments,
Art. VI. With the country extending from ocean to ocean, this
requirement is even more important now than it was a hundred years
ago, and must be enforced in letter and spirit if we are to make
impossible hardships amounting to grievous wrongs. In the case of
conspiracy, the danger is conspicuously brought out. Every overt
act done in aid of it, of course, is attributed to the
conspirators, and if that means that the conspiracy is present as
such wherever any
Page 225 U. S. 387
overt act is done, it might be at the choice of the government
to prosecute in any one of twenty states in none of which the
conspirators had been. And as wherever two or more have united for
the commission of a crime there is a conspiracy, the opening to
oppression thus made is very wide indeed. It is even wider if
success should be held not to merge the conspiracy in the crime
intended and achieved. I think it unnecessary to dwell on
oppressions that I believe have been practiced, or on the
constitutional history impressively adduced by Mr. Worthington to
show that this is one of the wrongs that our forefathers meant to
prevent.
No distinction can be taken based on the gravity of the overt
act, or the fact that it was contemplated, or that it is important
for the accomplishment of the substantive evil that the conspiracy
aims to bring about and the law seeks to prevent. That would be
carrying over the law of attempts to where it does not belong.
Although both are adjective crimes, a conspiracy is not an attempt,
even under Rev.Stat. § 5440, which requires an overt act. When
I first read that section, I thought that it was an indefinite
enlargement of the law of attempts. But reflection and the
decisions both convinced me that I was wrong. The statute simply
did away with a doubt as to the requirements of the common law.
Rex v. Spragg, 2 Burr. 993, 999; Roscoe, Crim.Ev., 6th
ed., 381, 382. An attempt, in the strictest sense, is an act
expected to bring about a substantive wrong by the forces of
nature. With it is classed the kindred offense where the act and
the natural conditions present or supposed to be present are not
enough to do the harm without a further act, but where it is so
near to the result that, if coupled with an intent to produce that
result, the danger is very great.
Swift & Co. v. United
States, 196 U. S. 375,
196 U. S. 396.
But combination, intention, and overt act may all be present
without amounting to a criminal attempt -- as if all that
Page 225 U. S. 388
were done should be an agreement to murder a man fifty miles
away, and the purchase of a pistol for the purpose. There must be
dangerous proximity to success. But when that exists, the overt act
is the essence of the offense. On the other hand, the essence of
the conspiracy is being combined for an unlawful purpose, and if an
overt act is required, it does not matter how remote the act may be
from accomplishing the purpose, if done to effect it -- that is, I
suppose, in furtherance of it in any degree. In this case, the
statute treats the conspiracy as the crime and the indictment
follows the statute.
The cases in this Court have agreed that the statute has not
made the overt act a part of the crime, which still remains the
conspiracy alone. By the same reasoning, the overt act gives no
ground for the application of Rev.Stat. § 731, creating a
double jurisdiction when an offense against the United States is
begun in one district and completed in another. The act is no part
of the conspiracy, even if it is an element in some other crime, as
is stated in so many words in
Hyde v. Shine, 199 U. S.
62,
199 U. S. 76,
quoting the well known statement in
United States v.
Britton, 108 U. S. 199,
108 U. S. 204,
that the statutory requirement merely affords a
locus
penitentiae. Delay v. United States, 152 U.
S. 539,
152 U. S. 547.
See also United States v. Hirsch, 100 U. S.
33;
Pettibone v. United States, 148 U.
S. 197,
148 U. S. 202;
Bannon v. United States, 156 U. S. 464,
156 U. S. 469.
The overt act is simply evidence that the conspiracy has passed
beyond words and is on foot when the act is done. As a test of
actuality, it is made a condition to punishment, but it is no more
a part of the crime than it was at common law, where it was
customary to allege such an act, or than is the fact that the
statute of limitations has not run.
I can think of no other case in which it would be argued that an
act constituting no part of the crime charged draws jurisdiction to
the place where it is done. Even when the act is the substance of a
felony, the history of the
Page 225 U. S. 389
law shows that the courts only slowly and with hesitation came
to the admission that a man, although within the jurisdiction,
could be a principal when he was not present at the accomplishment
of the crime. Y.B. 7 Hen. VII., 18 pl. 10. The distinction between
principal and accessory before the fact is a late surviving
expression of the doubt. 4 Bl.Com. 36, 37. When the accessory is in
a different jurisdiction, it has been held that he could not be
convicted as such in the place of the crime, even in modern cases.
State v. Moore, 26 N.H. 448; Bishop, Crim.Law, 8th ed.
§ 111. It would be an amazing extension of even the broadest
form of fiction if it should be held that an otherwise innocent
overt act done in one state drew to itself a conspiracy in another
state to defraud people in the latter, even though the first state
would punish a conspiracy to commit a fraud beyond its own
boundaries. Of course, in the present case, the conspiracy as well
as the overt act was within the United States, but the case that I
have supposed of different jurisdictions is a perfect test of where
the crime was committed. If a conspiracy exists wherever an overt
act is done in aid of it, the act ought to give jurisdiction over
conspirators in a foreign state if later they should be caught in
the place where the act was done.
The defendants were in California and never left the state, so
far as this case is concerned. The fraud, assuming as I do, for the
purposes of decision, that there was one, was to get land from the
United States there and elsewhere on the Pacific coast. If
successful, it would be punished there. The crime with which the
defendants are charged is having been engaged in or members of a
conspiracy, nothing else; no act, other than what is implied as
necessary to signify their understanding to each other. It is
punished only to create a further obstacle to the ultimate crime in
California. The defendants never were members of a conspiracy
within a thousand miles of the District
Page 225 U. S. 390
in fact. Yet if a lawyer entered his appearance there in a case
before the Land Department, and the defendants directed it and
expected to profit by it in carrying out their plans, it is said
that we should feign that they were here in order to warrant their
being taken across the continent and tried in this place. The
Constitution is not to be satisfied with a fiction. When a man
causes an unlawful act, as in the case of a prohibited use of the
mails, it needs no fiction to say that the crime is committed at
the place of the act, wherever the man may be.
In re
Palliser, 136 U. S. 257. But
when the offense consists solely in a relation to other men with a
certain intent, it is pure fiction to say that the relation is
maintained and present in the case supposed. If the government,
instead of prosecuting for the substantive offense, charges only
conspiracy to commit it, trial ought to be where the conspiracy
exists in fact.
The effect of an overt act upon the statute of limitations is
consistent with what I have said. If an overt act is done with the
consent of the conspirators, and to effect their end, the reason
why the statute begins to run afresh is not that a new conspiracy
is made or the old one renewed by the act, but that the facts
supposed show conclusively that the conspiracy is continuing in
life. So long as it does so it cannot be barred, although the
earlier years of it may be.
To avoid misapprehension the distinction should be noted between
acts done in aid of a conspiracy and acts that constitute and call
it into being. If a conspiracy should be formed by letters between
men living in California, Louisiana, and Massachusetts, who never
left their several states, nothing that I have said would disparage
the right of the government to indict them where, in contemplation
of law, the agreement was made.
It is said that the conspiracy may be a secret one; but that
cannot affect the tests of jurisdiction. The overt act may amount
to evidence not only of its existence, but of its place. But to
treat overt acts as evidence is one
Page 225 U. S. 391
thing; it is quite another to treat any overt act as sufficient,
in itself, to give jurisdiction, although the conspiracy exists
only in another place.
The intimations that are to be found opposed to the view that I
take appear to have been induced by the confusion that I have tried
to dispel, and to assume that an overt act creates jurisdiction
over a conspiracy on the same ground that causing a death may give
jurisdiction in murder; or, perhaps, in
The King v.
Brisac, 4 East, 164, 171, to proceed on the dangerous analogy
of treasonable conspiracies to levy war or compass the death of the
sovereign. The dictum in that case gains no new force from the
repetition by text writers. It is one of the misfortunes of the law
that ideas become encysted in phrases and thereafter for a long
time cease to provoke further analysis. On the other hand, if overt
acts had been regarded as founding jurisdiction, the petitioners
could not have been discharged in
Tinsley v. Treat,
205 U. S. 20, where
overt acts of other conspirators within the jurisdiction were
alleged and not denied. Although the point was not mentioned in the
opinion, it was argued and was not overlooked. At least in the
absence of clear statutory words, I am of opinion that logic and
the policy and general intent of the Constitution agree in refusing
to extend the fiction of constructive presence to a case like this.
I think that the true view still is that of
Reg. v. Best,
1 Salk. 174: "The venue must be where the conspiracy was, not where
the result of the conspiracy is put in execution," quoted as
correct in principle in Markby's edition of Roscoe's Criminal
Evidence, 6th ed., 391, and that to decide otherwise is to overrule
not only the often-expressed and settled understanding, but the
express decisions, of this Court.
MR. JUSTICE LURTON, MR. JUSTICE HUGHES, and MR. JUSTICE LAMAR
concur in this dissent.