State of Michigan v Marion B. Ingram

Citation: 
State of Michigan v Marion B. Ingram
Case Summary: 

State of Michigan v MARION B. INGRAM

Docket No. 90698

Supreme Court of Michigan

439 Mich 288; 484 NW2d 241

November 5, 1991, Argued May 1, 1992, Decided May 1, 1992, Filed

Subsequent case developments: Rehearing denied post, 1242.

Prior case history: 186 Mich App 615; 465 NW2d 39 (1990).

Before: Riley, J. Brickley, Boyle, Griffin, and Mallett, JJ., concurred with Riley, J. Levin, J. (concurring). Cavanagh, C.J. (dissenting).

Opinion by: RILEY

OPINION

      In this case we are asked to determine whether failure by a plea-taking court to adhere to applicable plea-taking requirements during the plea proceeding provides a defendant the opportunity to challenge the validity of a conviction so obtained in a collateral attack. 1 Collateral attacks, as opposed to direct appeals, require consideration of the interests of finality and of administrative consequences.

      Therefore, for the reasons set forth in People v Crawford, 417 Mich 607, 614-616; 339 NW2d 630 (1983) (Brickley, J., concurring), we conclude that the Court of Appeals erred in reversing defendant's conviction. Accordingly, we reverse.

I. FACTS AND PROCEEDINGS

     On May 8, 1987, defendant Marion B. Ingram was arrested for operating a motor vehicle under the influence of intoxicating liquor or while having a blood alcohol content of 0.10 percent (OUIL). MCL 257.625; MSA 9.2325. Defendant was charged in the Kent Circuit Court with OUIL, third offense. The complaint made reference to four underlying OUIL convictions. Two of these convictions were obtained in the 5th District Court, one in 1977 and the other in 1983. The third conviction was obtained in the 61st District Court in 1982, the fourth in the Ottawa Circuit Court in 1983. On March 18, 1988, defendant moved for reduction of the charged offense to OUIL, second offense, claiming that three of the four prior plea-based convictions were invalid for the purpose of establishing the factual predicate for OUIL, third offense. Defendant conceded the validity of the Ottawa Circuit Court plea-based conviction.

     On April 22, 1988, Kent Circuit Judge George S. Buth ruled that the two 5th District Court prior convictions were infirm (having been obtained without counsel). However, Judge Buth ruled that the 1982 61st District Court conviction was not infirm (because defendant had been represented by counsel) and could be used to establish the factual predicate for OUIL, third offense. Because two valid underlying OUIL convictions remained, defendant's motion to reduce the charged offense was denied. On December 6, 1988, the Court of Appeals denied defendant's application for interlocutory review of this issue.

     On March 1, 1989, defendant entered a conditional plea of guilty of OUIL, third offense, preserving the right to appeal the validity of his prior 61st District Court conviction. Circuit Judge Dennis C. Kolenda, to whom the case had been reassigned, accepted defendant's plea.

      On June 6, 1989, Judge Kolenda denied defendant's motion for reconsideration of the issue concerning the validity of the 61st District Court prior conviction, concluding that a claim that a court failed to adhere to the applicable plea-taking requirements during the plea proceeding does not provide defendant the opportunity to challenge by later attack. On July 5, 1989, rather than appealing, defendant filed a motion in the 61st District Court to withdraw his 1982 guilty plea which was used to establish the factual predicate for OUIL, third offense in the present case. On August 8, 1989, 61st District Judge James B. Howard vacated the guilty plea, set the conviction aside, and reinstated the 1982 case for trial.

     On September 20, 1989, Judge Kolenda denied defendant's motion to withdraw his 1989 plea of guilty to OUIL, third offense. Defendant then filed an application for leave to appeal in the Court of Appeals. However, while the application was pending, the circuit court found that defendant had violated the terms of his delayed sentence status. Therefore, on November 27, 1989, the court revoked that status and sentenced him to eighteen months to five years in prison. On February 5, 1990, defendant's pending application for leave to appeal was dismissed without prejudice. Defendant then appealed as of right.

     On December 17, 1990, the Court of Appeals reversed the defendant's conviction and remanded the case for entry of a conviction of OUIL, second offense, and resentencing thereon.

     On March 22, 1991, this Court granted leave to appeal. 2

II. ANALYSIS

     Federal and state courts have consistently found that considerations of finality and administrative consequences must become part of the process with which we assure the achievement of proceedings that are consistent with the rudimentary demands of fair procedure. 3 Such considerations have been found to be of particular significance in cases where courts have been confronted with the concerns surrounding the procedural issue of collateral attack of plea-based convictions. 4 We agree and therefore hold that failure of a plea-taking court to adhere to applicable plea-taking requirements during the plea proceeding does not provide a defendant the opportunity to challenge by collateral attack. 5 The validity of such a plea, where the defendant was represented by an attorney when entering the plea or when the defendant intelligently waived the right to counsel, including the right to court-appointed counsel if indigent, is unassailable. 6

      The issue of collateral attack was not directly presented to, nor addressed by, the Courts in Boykin v Alabama, 395 US 238; 89 S Ct 1709; 23 L Ed 2d 274 (1969), People v Jaworski, 387 Mich 21; 194 NW2d 868 (1972), or People v Yost, 433 Mich 133; 445 NW2d 95 (1989). The only time that this Court has addressed the issue of a collateral attack of a prior plea-based conviction was in People v Crawford.

     In Crawford, the majority stated:

     A conviction defective under Jaworski can be challenged by a timely motion by the defendant to quash the supplemental information or to strike from the supplemental information the defective conviction. To be timely, such a motion must be made before a defendant's plea of guilty or nolo contendere is accepted. [Id. at 613-614.]

However, because the defendant did not make a timely motion, the Crawford Court affirmed his conviction. Thus, by refusing to allow a collateral attack, the Court was not called upon to actually implement the holding it seemed to announce in the above-quoted paragraph. Rather, the Court conceded in its holding that it did not have the factual underpinnings from which to make a ruling regarding the propriety of a collateral attack of a prior plea-based conviction.

     However, today, with the issue directly before us, we adopt Justice Brickley's analysis in his concurring opinion in Crawford, reasoning that only those prior plea convictions taken in violation of Gideon v Wainwright, 372 US 335; 83 S Ct 792; 9 L Ed 2d 799 (1963), should be subject to collateral attack.

     Denial of the right to counsel mandated by Gideon is a deprivation of rights altogether different from the issues before us here. The denial of the right to counsel impugns the integrity of the conviction, raising doubts about the guilt of the accused. It is for that reason, and that reason only, that the use of a counselless conviction is forbidden in collateral proceedings notwithstanding that the defendant did not raise the issue on direct review. The requirement of a record waiver of the right to remain silent, to cross-examine witnesses against him, and to be tried by a jury which is required by Boykin-Jaworski, while undoubtedly important, pales beside the right to counsel.

     The United States Supreme Court has never forbidden the use of Boykin-violative convictions in state recidivist proceedings. A majority of this Court does so today because Boykin rights are of constitutional stature. Such reasoning begs the question. The right to be free from unreasonable searches, the right to effective assistance of counsel, the right to a properly instructed jury, and countless other rights are also of a constitutional nature. Are we now to assume that all violations of constitutional rights not raised during direct review of a conviction may now be reviewed during habitual offender proceedings? I agree with Justice Stevens, writing for a unanimous Supreme Court in United States v Timmreck, 441 US 780, 784; 99 S Ct 2085; 60 L Ed 2d 634 (1979) (failure to advise defendant of a special parole term as required by F R Crim P 11 cannot be raised collaterally) when he states:

     "For the concern with finality served by the limitation on collateral attack has special force with respect to convictions based on guilty pleas.

     "'Every inroad on the concept of finality undermines confidence in the integrity of our procedures; and, by increasing the volume of judicial work, inevitably delays and impairs the orderly administration of justice.'" [People v Crawford, supra at 615-616.]

     We are also in agreement with Justice Brickley's conclusion:

     The adoption by the majority of this rule does nothing to further the interests of finality. Instead of providing incentive for raising claims on direct review where proper relief can be afforded and the error corrected, the majority allows a claim dormant for ten years to be resurrected when the defendant's tactical considerations so require. [Id. at 616.]

      Moreover, we find the reasoning presented by Justice Brickley in Crawford consistent with the reasoning of the Courts in Boykin and Jaworski. Neither Boykin nor Jaworski dealt with collateral attacks. These cases were decided in the context of direct appeals. Boykin and Jaworski provide procedural safeguards for plea proceedings. However, the technical requirements of these procedural safeguards must at some point be balanced with considerations of finality and administrative consequences in order to best achieve proceedings that are consistent with the rudimentary demands of fair procedure. We believe when confronted with collateral attack, such a point is reached. See Coleman v Thompson, 501 US   ; 111 S Ct 2546, 2564; 115 L Ed 2d 640 (1991); Engle v Isaac, 456 US 107, 126-127 and ns 31-32; 102 S Ct 1558; 71 L Ed 2d 783 (1982).

     The procedural safeguards provided for in Boykin and Jaworski, and other requirements of plea-taking proceedings, were not intended to broaden the avenues of collateral attacks on prior plea-based convictions. In fact, one of the purposes underlying the decisions in these cases was to provide a procedure that would "forestall[] the spin-off of collateral proceedings that seek to probe murky memories." Boykin, supra at 244. In Jaworski, the Court, after reaching its holding, went on to note its concern regarding the waste of judicial time spent on direct review of these cases. Although such direct review was held to be warranted by the holding in Jaworski, it is clear that the Court was concerned with the effect considerations of finality and administrative consequences would have on such a holding. The Court, evidencing its concern, said:

     In this case, if we were to follow the philosophy that assuring counsel insures understanding pleas, we should dismiss the petition for review -- somewhat leaving counsel hoisted on his own petard as far as serving his client. On the other hand, if we should grant relief, we would in effect be passing judgment sub silentio that we could not as a judicial procedure rely on counsel to fully advise a defendant of his rights.

     This leaves unspoken a theoretical further alternative, namely a criminal trial as an adversary procedure not only between defendant and prosecutor, but between defendant and the court as well. The implications of this certainly do not comport with this Court's philosophy of the proper administration of justice. As a consequence, we shall look to counsel in all criminal cases to advise their clients to the best of their ability, and as well or better than the high standard that the State Bar will seek to impose. But further than that this Court, regarding attorneys as officers of the court, will look to them to cooperate with the courts and not only see that their clients are personally well advised by them, but that the court will be assisted to see that all of a client's rights are protected on the record. An attorney will do this not only in fulfillment of his oath and duty as an attorney, but also because any petition for review that is based on the defendant seeking a plea review on the grounds he did not enter his plea understandingly is a reflection on both the court and the defendant's counsel, and incidentally insofar as proper procedure could have avoided the necessity of review, a burden on the administration of justice, and a disservice, if not an injustice, to others who have occasion to employ or operate the machinery of justice. [Id. at 32-33.]

     We find that Justice Brickley's declaration in Crawford represents the legitimate extension of the concerns expressed in Boykin and Jaworski to the situation where a claim of a defective plea proceeding is raised in a collateral attack. This Court has rejected in the past the claim that Boykin and Jaworski provide a remedy for every defendant who makes any attack on the validity of their plea proceeding.

     In People v Kuchulan, 390 Mich 701, 704; 213 NW2d 95 (1973), this Court stated that Boykin

      should not be read as imposing on the state or Federal courts as an absolute imperative in every case a requirement that a defendant be informed before he pleads guilty of the three constitutional rights mentioned in Justice Douglas' opinion. . . .

     Whether to require that this information be imparted as a precondition to the acceptance of a plea of guilty is a question of policy for this Court to decide, and not one of Federal constitutional law. We agree that a judge should be obliged to so inform a defendant pleading guilty as attested by our votes to adopt amended rule [GCR 1963] 785.3-785.11. We also accept the authority of Jaworski under the doctrine of stare decisis; the individual Justices of this Court, just as the other members of the profession, are bound by its decisions until a majority of the Court adopts a different view.

     The rule of a case is, however, frequently less expansive than the reasoning and generalizations in the opinion of the Court. Jaworski, like most cases, was decided in the context of the facts of that case.

Jaworski was not decided in the context of a collateral attack. The concerns involved in collateral attacks are quite different than those on direct appeal and implicate considerations of finality and administrative consequences. 7 We are persuaded that in order to best achieve the legitimate goals of finality and the efficient and effective administration of justice, while also achieving the goals of Boykin and Jaworski, as well as the goals of all applicable plea-taking requirements and procedural safeguards in these cases, we must follow a policy which provides incentive for raising claims on direct review where proper relief can be afforded and error corrected. See McCleskey v Zant, 499 US   ,    ; 111 S Ct 1454, 1469; 113 L Ed 2d 517 (1991); Engle, supra at 127-129. 8 Such a policy, we find, would do the most to insure the achievement of proceedings that are consistent with the rudimentary demands of fair procedure. 9 While this Court has not previously articulated this distinction between collateral attacks and direct appeals in the application and adoption of the requirements regarding plea-taking proceedings, such a distinction is now properly drawn, when for the first time the specific issue is directly before us. Kuchulan, supra at 704-705. 10

      For the foregoing reasons, we reverse the decision of the Court of Appeals and affirm defendant's conviction of OUIL, third offense.

CONCUR BY: LEVIN

CONCUR

     Levin, J. (concurring).

     Marion B. Ingram's plea of guilty of OUIL was offered and accepted in 1982 before the court rules were amended to require that, before accepting a plea of guilty, the court shall advise the accused as now set forth in MCR 6.610(E)(3).

     In Guilty Plea Cases, 395 Mich 96, 113; 235 NW2d 132 (1975), this Court ruled that whether a particular departure from compliance with a court rule specifying the procedure for taking a guilty plea requires reversal will depend on the nature of the noncompliance.

     When Ingram's plea of guilty was offered and accepted, the rule required that the defendant be advised that if his plea were accepted, he would not have a trial. 1

     I am not persuaded that Ingram's 1982 pleabased conviction should be set aside simply because the court did not advise him when he pleaded guilty that he would not have a trial.

     A different question might be presented if a court were to fail to advise an accused person in substantial compliance with MCR 6.610(E)(3), effective February, 1988. 2

      The 1988 amendment provides a procedure for challenging a plea. 3 A person charged with a misdemeanor, who pleads guilty and is placed on probation, has little incentive to challenge his conviction, and therefore is not likely to challenge the plea or to appeal.

      If a "failure of a plea-taking court to adhere to applicable plea-taking requirements during the plea proceeding" 4 cannot be challenged unless a timely appeal has been filed, and is so far "unassailable," 5 that the writ will never run, we may see increasing noncompliance with the 1988 procedures in cases where the district court anticipates placing the accused on probation.

     This Court, as well as a guilty pleading defendant, has an interest in assuring that the procedures required to be followed before a plea of guilty is accepted, are observed.

     This Court does not have a method of monitoring noncompliance with plea-taking procedures, except providing persons convicted following a plea of guilty with an opportunity to seek to set aside their plea-based convictions at such times as they have an incentive to challenge the convictions.

     This Court's interest in assuring substantial compliance with plea-taking procedures may outweigh the interest in finality in particular cases.

     I agree in general with the observations of the Chief Justice, and would join him in an order remanding to the Court of Appeals to consider the issue not resolved.

DISSENT BY: CAVANAGH

DISSENT

     Cavanagh, C.J. (dissenting).

     The majority severely restricts collateral attacks on prior convictions. I dissent for two reasons. First, the majority once again rejects established precedent, thereby rendering useless the concept of stare decisis. Second, it allows a sentence for OUIL, third offense, to stand where there is only one valid prior conviction of record.

     Certainty and predictability are among the key determinants of fairness in the law. See Parker v Port Huron Hosp, 361 Mich 1; 105 NW2d 1 (1960). To ensure this predictability, the courts have traditionally been guided by the doctrine of stare decisis. People v Jamieson, 436 Mich 61; 461 NW2d 884 (1990). In 1983, this Court carefully and fully considered the question of allowing collateral attack on a conviction used to enhance the severity of a subsequent offense. People v Crawford, 417 Mich 607; 339 NW2d 630 (1983). At that time the Court expressly held:

     A conviction defective under [People v Jaworski, 387 Mich 21; 194 NW2d 868 (1972)] can be challenged by a timely motion by the defendant to quash the supplemental information or to strike from the supplemental information the defective conviction. [Crawford at 613.]

Under Jaworski, the defendant must be advised of the right to trial by jury, the right to confront one's accuser, and the privilege against self-incrimination. As Justice Levin explained in Crawford, these rights "are of such importance that the failure to advise of such rights requires that a guilty plea be set aside." 417 Mich 614, n 14 (citing Jaworski and Guilty Plea Cases, 395 Mich 96; 235 NW2d 132 [1975]).

     Rather than construing the precedent established in Crawford, 1 the Court today adopts the concurring opinion in that case which advocated allowing collateral attack only where the plea was taken in the absence of counsel. This Court, in Jaworski and Guilty Plea Cases, recognized the importance of the right to counsel, but also assigned preeminent importance to the rights of confrontation and trial by jury and the privilege against self-incrimination. Recognizing that the right to counsel may be paramount does not lead ineluctably to the conclusion that we must overlook the breach of all other rights or ignore a trial court's failure to follow applicable court rules. I agree that this is not a question of constitutional dimension; rather, it is a question of policy. 2 But this Court resolved the policy question when it adopted the court rules requiring that these rights be explained to the defendant on the record. 3 In addition, I am not convinced that the mere fact that an attorney made an appearance, or was appointed, will necessarily insure that the defendant will receive adequate advice. For example, the defendant in this case was represented by counsel, and yet the record reflects no indication that he was informed of even the basic right to trial, which was expressly required by the court rule in effect at that time. 4 I fail to see any justification for elevating the rather mundane concepts of finality and administrative consequence over that of fair procedure. While finality is of course desirable, it is not imbued with any particular reverence, and, where a defendant had no incentive to appeal because he had been placed on probation, the record of his conviction should not be considered sacrosanct. 5 I would affirm the judgment of the Court of Appeals on this issue.

      The majority also completely evades a unique issue in this case. The circuit court denied the defendant's motion to withdraw his plea of guilty of OUIL, third offense, even though one of the convictions used to enhance was later set aside by the court that originally took the plea. At the time the plea was accepted, there were two valid prior convictions of record, but on August 8, several weeks before sentencing on November 27, the district court set one of these convictions aside. The defendant was convicted and sentenced under MCL 257.625(6); MSA 9.2325(6), which is implicated only when a defendant is convicted of driving a motor vehicle while under the influence of intoxicants within ten years of two or more prior convictions. The term "conviction" has been defined as:

     "[A] final judgment on a verdict or finding of guilty, a plea of guilty, or a plea of nolo contendere, and do[es] not include a final judgment which has been expunged by pardon, reversed, set aside, or otherwise rendered nugatory." [Black's Law Dictionary (5th ed), p 301, citing 18 USC 4251.]

After the 1982 conviction was set aside by the district court, an interesting question arose regarding whether the factual underpinning for a conviction and sentence for OUIL, third offense, still existed. 6 The statute specifically requires two prior "convictions" as the linchpin of this offense.

      The Court of Appeals did not reach this issue because it was remanding for entry of a conviction for the reduced charge of OUIL, second offense. Because this issue has not been addressed, I believe remand is appropriate.