NOT FOR PUBLICATION WITHOUT THE
APPROVAL OF THE APPELLATE DIVISION
SUPERIOR COURT OF NEW JERSEY
APPELLATE DIVISION
A-1198-00T1F
STATE OF NEW JERSEY,
Plaintiff-Appellant,
v.
JOHN HOGAN and JAMES KENNA,
Defendants-Respondents.
___________________________________
Argued December 13, 2000 - Decided January 5, 2001
Before Judges Baime, Wallace, Jr. and Carchman.
On appeal from Superior Court of New Jersey,
Law Division, Mercer County, SGJ 99-09-00163S.
Richard W. Berg, Assistant Attorney General,
argued the cause for appellant (John J. Farmer,
Jr., attorney; Mr. Berg, on the brief).
Philip De Vencentes argued the cause for respondent
John Hogan (Galantucci & Patuto, attorneys;
Mr. De Vencentes, on the brief).
David W. Fassett argued the cause for respondent
James Kenna (Arseneault & Fassett, attorneys;
Mr. Fassett, on the brief).
The opinion of the court was delivered by
BAIME, P.J.A.D.
This appeal presents novel questions concerning the
existence and scope of a prosecutor's duty to instruct a grand
jury on the law relating to defenses and justifications. Also at
issue is whether the indictment against defendants was tainted by
prosecutorial misconduct. In dismissing the indictment, the
judge determined that the deputy attorney general inadequately
charged the grand jury on self-defense, defense of others and the
use of force in law enforcement. The judge also concluded that
the deputy attorney general impinged upon the independence of the
grand jury and improperly influenced its determination. We find
no basis in the record for the judge's conclusions. We thus
reverse the judgment entered and reinstate the indictment.
I.
Defendants John Hogan and James Kenna are New Jersey State
Troopers. On September 7, 1999, the State Grand Jury returned an
indictment charging both defendants with attempted murder
(
N.J.S.A. 2C:5-1 and
N.J.S.A. 2C:11-3a) and separate counts of
aggravated assault (
N.J.S.A. 2C:12-1b(1)). The attempted murder
charge against Hogan was subsequently dismissed at the State's
behest. Our concern here is with the remaining charges.
The indictment had its genesis in the events of April 23,
1998. At 9:00 p.m., defendants were assigned to patrol a stretch
of the New Jersey Turnpike. Hogan, who had been a trooper since
1993, drove the marked State Police vehicle, and Kenna, who had
been a trooper since 1994, was in the front passenger seat. Both
officers were in uniform. The night was dark and a light rain
was falling.
According to defendants' statements, while traveling south,
the troopers encountered a light-colored minivan driving at a
high rate of speed in the center lane. After briefly following
the van, the officers activated the police car's overhead lights
in order to effectuate a traffic stop. The van suddenly slowed
and then eased its way to the shoulder of the road. Illuminated
by the spotlight on the troopers' car, both defendants observed
the occupants of the van moving about, thus putting defendants in
a heightened state of readiness. Hogan in particular was
concerned because he saw two people reaching toward the lower
portion of the van and behind the seat.
The troopers stopped their vehicle approximately ten feet
behind the van. Kenna leapt from the car, drew his firearm and
ran to the front passenger side of the van. While shining his
flashlight in the passenger side window, Kenna ordered the
occupants of the van to put their hands up. According to Kenna,
the front passenger, Danny Reyes, was bent over and appeared to
be reaching toward the center rear floor area. Kenna also
noticed the driver, Keshon Lamont Moore, peering down the
driver's side of the van, and the middle and rear seat
passengers, Leroy Germaine Grant and Rayshawn Brown respectively,
moving about the van. Kenna claimed that he repeated his order
for everybody to put their hands up, but none of the occupants
complied. Kenna then struck the passenger side window several
times with his flashlight in order to break it and obtain a
better view.
While Kenna was occupied by these events, Hogan exited the
police vehicle with his flashlight in his right hand. As he
positioned himself between the rear of the van and the front of
the police car, Hogan noticed Moore looking at him in the
rearview mirror. Moore had his left hand on the steering wheel
and his right hand on the gear shift. Hogan claimed that he
observed Moore's right arm move, and heard the wheels of the van
spinning wildly. The van rapidly accelerated toward him. Hogan
asserted that he dove headfirst to his left, but was struck by
the van in the lower right leg area. Hogan's torso was in the
right southbound lane of traffic.
From his vantage point on the passenger side of the van,
Kenna could not see Hogan, but he nevertheless assumed that his
partner was in danger. Upon hearing the van's wheels spinning,
Kenna fired his weapon at the driver through the passenger side
window. Although Hogan asserted that he remained silent while
these events were unfolding, Kenna claimed that he heard his
partner screaming from the rear of the van and assumed that he
had been, or was about to be, run over. Kenna stated that his
first shot pierced the passenger side window, leaving a spider-
webbed crack that obstructed his view of the inside of the van.
At this point, the van rammed the front of the police car. Kenna
claimed that he repeatedly fired his weapon in order to save
Hogan's life and to prevent the van from moving into a lane of
traffic. Kenna could not recall how many times he fired his
handgun.
The van then accelerated forward. Kenna was able to clear
the shards of the broken glass from the passenger side window.
The front passenger, Reyes, was reaching down into the rear
center area, and the driver, Moore, had partially removed himself
from the driver's side. When Reyes turned toward Kenna, the
officer fired another shot. According to Kenna, Reyes then moved
to the driver's seat and put the van in reverse. Kenna fired
another shot at Reyes, while Moore jumped into the rear seat.
The van started backing toward Hogan and the front of the police
car.
Hogan was lying in the roadway when the van came to a
complete stop. According to Hogan, while attempting to crawl
backward, he found himself in the right lane of traffic. The van
appeared to accelerate in reverse again, coming directly at him.
As Hogan crawled backwards in an attempt to avoid being hit by
the van, he drew his service weapon and fired at the driver of
the vehicle. Hogan continued to fire his weapon until the van
narrowly missed him. In his statement, Hogan asserted that he
was "scared to death" that he would be killed.
The van again collided with the police car, which had been
left in neutral, and was pushed backward approximately forty
feet. Kenna positioned himself adjacent to the passenger side of
the police car, and reloaded his weapon. Hogan was directly in
front of him in the vicinity of the left front corner of the
police car. After colliding with the police car, the van
continued in reverse, veering perpendicularly into the roadway.
Ultimately, the van was struck by a passing car, causing it to
roll down an embankment and crash into several trees. Before the
van came to rest, as it was passing the troopers, Kenna heard one
of the occupants scream, "please don't shoot me, I don't want to
die." Although Kenna did not recall firing any shots as the van
rolled by on its way to the embankment, Eric Jusino, the driver
of the car that had collided with the van, remembered hearing a
gunshot. We digress to note that Jusino was clearly mistaken in
his recollection. Following the return of the indictment, newly
discovered evidence disclosed that neither officer had been in a
position to fire a shot at the van as it rolled toward the
embankment. In any event, Jusino testified before the grand jury
that he heard one of the officers exclaim that the van had tried
to run him over. Heather Hendrickson, the passenger in Jusino's
car, heard the officers say that they "had" to shoot.
After the van had come to a stop, Kenna ordered all of the
occupants to put their hands up. Hogan overheard one of the
occupants apologizing for almost running over the troopers.
Kenna handcuffed the occupants and called for assistance. No
weapons or drugs were found in the van.
The testimony of the occupants of the van partially
converged with the troopers' written statements, but markedly
differed with respect to several key points. Moreover, the
occupants' separate versions of this incident were not wholly
congruent.
As we noted, Keshon Lamont Moore was the driver of the van.
He and his passengers were on their way to North Carolina Central
University in an attempt to obtain basketball scholarships. The
mother of Moore's girlfriend had rented the van to enable Moore
and his friends to reach their destination in Durham, North
Carolina. Moore's driver's license had been revoked for failure
to pay several parking tickets.
The van entered the New Jersey Turnpike at 9:45 p.m. Moore
claimed that he was driving at fifty-five to sixty miles per
hour, and the van was on cruise control. Moore first noticed
defendants' police car approximately fifteen minutes later. It
was positioned in the middle lane slightly in front of the van.
Moore switched into the left lane and passed the police car. As
he eased the van into the center lane, the police car pulled to
the left and passed it. The police car then slowed until it was
directly alongside of the van. The police car then allowed the
van to pass it, and then followed the vehicle for a short
distance before activating its overhead lights. Because there
was traffic in the right lane, Moore was unable immediately to
pull the van onto the shoulder. Once the traffic cleared, Moore
gradually veered to the right and stopped the vehicle along the
side of the roadway. Moore was unable to detect what was
happening toward the rear of the van because the vicinity was
heavily illuminated by the troopers' spotlight. Moore
acknowledged that he was nervous because he was driving with a
suspended license.
Moore testified that he tried to put the gearshift in park,
but it apparently slipped into reverse. When Moore took his foot
off the brake, the van rolled backward and hit the troopers' car.
Moore then saw Kenna by the passenger side window. In an
agitated state, Kenna was "shouting" and "banging" on the window.
Because the windows were closed and music was playing from the
radio, Moore could not hear what Kenna was saying.
Upon seeing the officer draw his firearm, Moore attempted to
extricate himself from the driver's seat. Moore managed to
position his torso behind the passenger seat in a diagonal
direction, but the lower part of his body remained partially in
the front seat. Moore noticed that Kenna's gun was trained on
him. Moore then assumed a fetal position, curling his body
behind the front bucket seats. Just as Moore lowered his head,
he saw the front passenger side window break apart. Moore could
not recall hearing the initial shot, but he remembered covering
his head as he felt the van rolling backward.
Moore remembered hearing approximately five shots. He
testified that he never tried to run over Hogan. Moore surmised
that his foot had depressed the accelerator pedal, when he jumped
into the back of the van. Moore recalled that the van collided
with the police car and ultimately rolled down the embankment
before it crashed into the trees and came to rest. He did not
recall that the van was struck by Jusino's vehicle. Moore was
not injured during the incident, but he heard his three friends
crying in pain from the gunshot wounds they suffered. Moore felt
that he was to blame, because he did not maneuver the gearshift
into the park position and because he jumped out of the driver's
seat to avoid being shot.
Danny Reyes was in the passenger seat. He first noticed the
police car when it was directly in front of the van. As he
watched, the police car moved to the left lane and then slowed
until it was parallel to the van. Reyes looked at the van's
speedometer which registered fifty-five miles per hour. He then
noticed the police vehicle several car-lengths behind the van.
Although the police car's overhead lights had been activated,
Reyes did not believe that the signal to stop was directed at the
van. However, after allowing traffic in the right lane to clear,
Moore maneuvered the van onto the shoulder and stopped the
vehicle.
According to Reyes, the four occupants remained in their
seats awaiting the police officer. He then felt a "hard bump,"
and turned to the rear to determine what had happened. Reyes
claimed that he heard a gunshot and the sound of the passenger
side window breaking apart. As particles of glass rained in on
him, Reyes was able to see a trooper standing approximately three
feet away from the front passenger side of the van. Reyes
claimed that he put his hands "straight up," saw the trooper
looking directly at him, and assumed that he was no longer in
danger. Reyes asserted that the trooper, Kenna, continued to
fire his weapon, one shot piercing his arm. At that point, Reyes
realized that the van was moving backward onto the roadway.
Because he had been shot, Reyes was unsuccessful in attempting to
push the gearshift into neutral. But Reyes was able to clutch
the steering wheel and pull part of his body onto the driver's
seat. The van then reversed direction and headed forward. Reyes
saw a trooper, presumably Kenna, point a gun in his direction as
the van proceeded down the embankment. Reyes claimed that he was
shot again, this time in the back, just before the van landed in
a ditch.
Reyes sustained five gunshot wounds. Two bullets entered
Reyes' right forearm, fracturing two bones and tearing a blood
vessel. Another bullet had pierced Reyes' upper thigh, leaving
both entrance and exit wounds. There was also a bullet hole
through Reyes' left arm, which lined up with the piercing wound
through the left forearm. Another bullet had grazed Reyes' right
upper chest or front shoulder. A fifth bullet had pierced the
back seat of the van and had penetrated Reyes' back.
Rayshawn Brown was in the middle seat of the van. He was
asleep on the far left side of the two-person bench seat, with
his head propped against the window. Brown recounted that he was
awakened by a gunshot, the bullet shattering the front passenger
side window. Brown heard someone shout, "put your hands up,"
followed by a rapid series of gunshots. According to Brown,
Moore asked Reyes to drive, and then jumped from the driver's
seat to the floor. Pandemonium reigned. Brown felt the van
moving slowly in reverse, ultimately striking some object. The
van then reversed direction, slowly rolling down a hill, where it
finally came to a stop. Brown testified that he opened the door
to the van and was shot in the back, apparently as he was
attempting to exit from the vehicle. The bullet tunneled through
Brown's chest and entered his elbow.
Leroy Germaine Grant sat in the rear seat. He, too, had
fallen asleep. Grant was awakened by flashing lights emanating
from the troopers' vehicle. Grant remained in a semi-prone
position. He suddenly felt a "nudge" from behind him. Then,
gunshots rang out. Shards of glass showered the occupants of the
van. Upon attempting to stand, Grant noticed that he could not
bend his leg, which had been penetrated by a bullet. Grant tried
to crouch on the floor, but the middle seat's reclining position
prevented him from taking this evasive action. He was then
struck by two more bullets. Grant observed Reyes with his hands
raised, shouting, "don't shoot." Grant then felt a hard impact
from the rear of the van, propelling it forward into a tree.
William Kenny, Jr. witnessed these events from a nearby
overpass. He testified that he observed a van backing up and
then heard gunfire. Kenny asserted that he saw someone on the
driver's side of the van "dive for cover." According to Kenny,
the van was traveling in a backward direction at a speed similar
to that of a vehicle attempting to back out of a parking space.
The van was rolling slowly enough to permit a pedestrian to
escape from its path. Kenny asserted that he heard two sets of
multiple gunshots. He claimed that he heard a solitary gunshot
after the van proceeded off the side of the Turnpike toward the
woods.
A mechanical examination of the van and troop car was
performed by Lt. Frank Nucera, a police officer and forensic
mechanic. Nucera concluded that the troop car had been left in
neutral by Hogan when he stopped the vehicle behind the van. The
troop car had a very slight compression of the shock pistons
attached to the front bumper. The air bags were in working
condition and had not been deployed. The front bumper and cover
cowling were essentially undamaged. Based upon these
circumstances, Nucera concluded that the van had impacted with
the front of the troop car at a slow speed. This impact was
consistent with the van being placed in reverse and moving at
idle speed to the point of impact. Nucera testified that, given
the design of the van, it would have been extremely difficult, if
not impossible, for it to have accelerated to the point of
spinning its wheels, as claimed by Hogan and Kenna in their sworn
statements.
Inspection of the van's front tires did not reveal any
evidence that they had skidded on the pavement. Nor did the
tires disclose any indication of "heavy braking." The only
indication of any wear was on the right rear tire, which revealed
scuffing and grain marks from loose gravel.
Nucera characterized the van's gearshift pattern as unique.
Nucera testified that the van had a "detent" mechanism that did
not permit movement from one gear to the other without
disengaging the gearshift. The witness testified that at times
it was difficult to place the gearshift in park. The shift
linkage was otherwise very sensitive and easy to move. Nucera
recounted his experience as a police officer that drivers stopped
for a traffic infraction often had difficulty placing their cars
in park. This same sentiment was expressed by Kieran May, a
State Trooper, who asserted that many drivers mistakenly put
their cars into forward or reverse gear upon being stopped.
Nucera and May attributed this problem to nervousness and
inattentiveness.
Dr. Steven Batterman, a forensic engineer, testified with
respect to the impact between the van and troop car. Like
Nucera, Batterman found that the troop car had suffered only
minimal damage. He estimated that the van's speed upon impact
was four miles per hour. Batterman noted that the van would
approach that speed "at idle" without any acceleration,
particularly in light of the downward slope of the Turnpike at
the site of the shooting incident. Batterman agreed with Nucera
that the design of the van precluded it from spinning its wheels
as described by defendants. This point was corroborated by
Detective-Sergeant John Repsha of the State Police, who performed
experiments reenacting the movement of the van. The officers
assisting Repsha were unable to make the van's tires "break free"
or "squeal" on either a dry or wet surface.
Dr. Henry Lee, a forensic scientist, conducted experiments
in the exact location of the shooting incident, using alternately
the actual van, a duplicate van, the actual troop car, and a
mannequin placed in the positions suggested by the evidence. Lee
found that the van at idle speed pushed the troop car, which was
left in neutral position, backward, and that it took twenty-five
seconds from when the van first began to roll to when the troop
car stopped at its final resting place.
Lee's experiments corroborated certain portions of the
troopers' statements, but tended to disprove other portions. The
same is true with respect to the varying accounts given by the
occupants of the van. The experiments confirmed portions of
their versions, but did not support other portions. For example,
the location of particles of glass and blood stains corroborated
Reyes' testimony that he managed to position his torso in the
driver's seat, while his legs remained in the passenger
compartment. Lee performed "trajectory" experiments which
corroborated Kenna's and Hogan's statements indicating that the
shot which had entered Reyes' back was fired while the van was on
the roadway and not when the van came to rest in the ditch. Lee
concluded that all shots were fired from a standing or semi-
crouched position, not from the ground as implied by Hogan in his
statement. All of Kenna's six shots were fired from a position
near the front passenger window. The evidence suggested that the
van was moving backwards at the time.
Lee testified that eleven shots were fired. The
chronological order of the shots could not be determined. Only
six casings were recovered from the scene. Six shots were fired
from Kenna's gun and entered through the front passenger window.
One shot went downward through the passenger window and wound up
in the dashboard, and then at the driver's side door panel. Two
separate shots went from the right to the left and entered
Reyes's right arm. Another shot went from the front to the back,
and from the right to the left, and hit Reyes' upper right thigh.
A fifth shot went from the right to the left and into Reyes'
right chest. A sixth shot went from the right to the left, and
downwards into either Brown's right chest or arm.
The remaining five shots were fired from Hogan's gun. One
went from the back to the front through the rear window of the
van and hit Grant's back. Another went from back to front,
through the rear window, and exited through the front windshield.
Another went from back to front, and from left to right, slightly
downward, and went through the left rear side window. It hit the
middle seat, seat belt struts, and driver seat, and wound up in
Reyes's back. Another shot went from left to right, back to
front, and hit the door post. Another went from back to front,
left to right, downward, through the left side rear window, and
wound up in Grant's left knee.
The van was also in motion while Hogan fired his shots.
Hogan had to change positions because two of his shots were from
the rear and two were from the driver's (left) side. The fifth
was from the left rear side. All five of Hogan's shots had an
upward trajectory and were fired from a minimum height of three
feet, five inches, which was consistent with the shooter standing
or partially standing, and as we have noted, inconsistent with
him lying or sitting on the ground.
Paul Manzo, a firearms instructor for the State Police,
explained that all troopers must requalify twice a year for
firearms training. This training includes teaching the officers
when and when not to shoot. The training is derived both from
the Code of Criminal Justice and from standard operating
procedures of the State Police, memorialized in written form.
Officers were taught that deadly force should be used only after
all nonlethal means have been exhausted. Depending on the
situation, and if the trooper exhausted all other means available
to stop an individual, and if he felt his life, or that of
another, was threatened or endangered, he would be justified in
using deadly force. There had to be a reasonable belief that it
was necessary to protect himself or another against death or
serious bodily harm.
Officers were also taught the rule of accountability. This
meant that troopers were accountable for every round they fired
from their weapons. A trooper had to be aware of his target
area, meaning what was in front of, behind, and next to, the
target. Training was designed to ensure that innocent bystanders
were not shot. Where there were multiple assailants, officers
were taught how to engage them effectively. They were also
taught to shoot at the center mass of their targets. Their
intent was to stop the individual by incapacitating him or her.
To do this, officers were trained to "double tap," meaning that
they fired two rounds consecutively and then reassessed the
situation.
Manzo also explained "sympathetic or panic fire." This
occurs when an officer engages his weapon because he is not sure
whether shots are being fired by the assailant or by his partner.
It is a reaction to contextual events. Efforts are made to
ensure that this does not happen.
Manzo also explained how a trooper should place his car when
effectuating a motor vehicle stop. The troop car should be
positioned about ten to twelve feet behind the suspect's vehicle,
and canted out toward the left about three feet, in order to
create an "alleyway" to ensure that no one is hit by oncoming
traffic. The troop vehicle should overlap the suspect's vehicle
by about three feet. For tactical purposes, the front wheels of
the troop car should be turned to the left to afford further
protection in case the suspects start to shoot. The troop car
should be in park. In addition, the officers should radio in
their stop so that the dispatcher will know where they are and
what they are doing. A simple motor vehicle stop was considered
low risk; however, any low risk stop could escalate into a high
risk stop at any time. In a high risk stop, where the vehicle is
known to be occupied by an armed suspect, the officer should
position his vehicle a little farther away, should stay inside
the door posts, and should use his public address system to
direct the suspect or suspects to exit.
II.
The State Grand Jury convened on December 8, 1998. In the
protracted proceedings that followed, the prospective grand
jurors were thoroughly questioned to determine their ability to
remain impartial. We need not describe these proceedings at
length. Suffice it to say that the grand jurors ultimately
selected to serve in this case were chosen carefully after
prolonged and extensive questioning.
The deputy attorney general gave the grand jurors a brief
introduction to the case on January 5, 1999. Among other things,
the deputy attorney general described the grand jury proceedings
as a "journey to the truth." The grand jury was cautioned that
while the deputy attorney general was to serve as a "guide" in
presenting the case and explaining the proofs, his comments did
not constitute evidence. The deputy attorney general explained
that the evidence consisted of the statements and live testimony
of witnesses. The deputy attorney general noted that some of the
evidence would be conflicting and contradictory, and that the
"responsibility . . . to determine where the truth lies rest[ed]"
ultimately on the grand jurors. The grand jurors were told that
they could propound written questions and seek supplementation of
the deputy attorney general's presentation. The deputy attorney
general repeatedly admonished the grand jurors to avoid any
publicity in the case and to maintain the confidentiality of the
proceedings.
The deputy attorney general provided the grand jury with an
overview of the law pertaining to the factual issues. He
stressed, however, that this discussion constituted a mere
"smattering," and that he would provide the grand jury with "a
full and complete" set of instructions at the conclusion of the
case, before the grand jury commenced its deliberations. The
deputy attorney general described the statutes dealing with
attempted murder and aggravated assault and provided the grand
jury with the requisite definitions. He also read various
statutes dealing with self-defense and defense of others. In the
context of these instructions, the deputy attorney general made
brief references to the duty to retreat and mistake of law, a
point that looms large in defendants' attack upon the integrity
of the grand jury proceedings. We will come to these arguments
later in this opinion. It suffices to note here that the deputy
attorney general at the conclusion of his introductory remarks
repeated his earlier admonition that his description of the law
was designed merely to provide the grand jury with a passing
"familiarity" with legal principles, and that he would provide a
"detail[ed]" description of the applicable principles following
his presentation of the evidence.
Testimony was presented on January 5, 1999 and February 2,
1999. The matter remained dormant until June 8, 1999. In the
interim, a separate State Grand Jury returned an indictment
charging both defendants with official misconduct and multiple
counts of falsifying records. We have no occasion to describe
that indictment in detail, except to note that the gist of the
charges pertained to racial profiling. The intervening
indictment was the subject of intense publicity. When the State
Grand Jury reconvened on June 8, 1999, the grand jurors were
carefully questioned by the deputy attorney general concerning
whether they were aware of the intervening indictment and, if so,
whether such knowledge would affect their capacity to be fair in
considering the shooting incident. The transcript of these
proceedings was given to Judge Feinberg, the Assignment Judge in
charge of supervising the grand jury. She excused two of the
grand jurors but found that the remaining members were untainted.
We add that following their indictment, defendants moved to
dismiss on the ground that the grand jurors had been contaminated
by the intervening indictments. In a thorough and well reasoned
opinion, Judge Feinberg found no merit in that argument.
Testimony continued before the grand jury for five
additional days. At the conclusion of his presentation of the
evidence, the deputy attorney general summarized the facts and
provided a more complete set of instructions. We will describe
these instructions later in this opinion. The deputy attorney
general charged the grand jury generally on the justification of
self-defense and defense of others. He did not repeat his
earlier references to the duty to retreat and mistake of law.
The deputy attorney general did not refer to the use of force in
furtherance of law enforcement in his instructions on
justification.
III.
Defendants moved to dismiss the indictment. The motion was
granted by Judge Smithson in a written opinion. The opinion is
ambiguous, and the parties differ in their interpretations of the
judge's conclusions. Kenna asserts that the judge dismissed the
indictment on three separate grounds: (1) the failure of the
deputy attorney general to provide the grand jury with adequate
instructions on the law, (2) the misconduct of the Attorney
General's office in obtaining and releasing the intervening
indictment, and (3) the improper conversion of the grand jury
from an "accusative" to an "adjudicative" body. Hogan cites the
same three grounds as forming the basis for the judge's decision.
Hogan claims, however, that each basis for the judge's decision
coalesces under the general rubric of prosecutorial misconduct.
In Hogan's view, we must affirm even if we find that each
separate basis for the dismissal of the indictment is
insufficient when considered in isolation. We deem this
distinction unimportant in light of our disposition of the
issues. We note it here merely to preserve the parties' rights
in the event of further appeal.
IV.
We begin our analysis by describing the grand jury's exalted
status in the administration of the criminal law. Since early
times, the right to indictment by grand jury has been enshrined
in our Constitution and has played a central role in the
enforcement of the criminal law.
State v. Hogan,
144 N.J. 216,
227 (1996);
See N.J. Const. of 1884, art. I, ¶9. The dual
purpose of the grand jury is to bring the guilty to trial and
protect the innocent from unfounded prosecution.
State v. Hogan,
144
N.J. at 228;
State v. Murphy,
110 N.J. 20, 29 (1988);
State
v. Del Fino,
100 N.J. 154, 165 (1985);
State v. New Jersey Trade
Waste Ass'n,
96 N.J. 8, 27 (1984);
Trap Rock Indus., Inc. v.
Kohl,
59 N.J. 471, 487-88 (1971),
cert. denied,
405 U.S. 1065,
92 S. Ct. 1500,
31 L.Ed.2d 796 (1972). Our Supreme Court has
recognized that the grand jury is the "'primary security to the
innocent against hasty, malicious and oppressive persecution.'"
State v. Del Fino, 100
N.J. at 164 (quoting
Wood v. Georgia,
370 U.S. 375, 390,
82 S. Ct. 1364, 1373,
8 L.Ed.2d 569, 580 (1962)).
Thus, the grand jury's mission is to "clear the innocent no less
than to bring to trial those who may be guilty."
United States
v. Dionisio,
410 U.S. 1, 16-17,
93 S. Ct. 764, 773,
35 L.Ed.2d 67, 81 (1973).
A grand jury is not an "officious meddler."
In re
Addonizio,
53 N.J. 107, 124 (1968). It is instead a "grand
inquest,"
Blair v. United States,
250 U.S. 273, 282,
39 S. Ct. 468, 471,
63 L.Ed. 979, 983 (1919), whose power of inquiry is not
bound by the rules of evidence. Because of the significant role
of the grand jury in the administration of criminal justice, the
courts have expressed a marked reluctance to intervene in the
indictment process.
See State v. Hogan, 144
N.J. at 228;
State
v. Perry,
124 N.J. 128, 168-69 (1991);
State v. Long,
119 N.J. 439, 478 (1990);
State v. Wein,
80 N.J. 491, 501 (1979);
State v.
LaFera,
35 N.J. 75, 81 (1961). Once the grand jury has acted, an
"indictment should be disturbed only on the 'clearest and
plainest ground,'"
State v. Perry, 124
N.J. at 168 (quoting
State
v. New Jersey Trade Waste Ass'n, 96
N.J. at 18-19), and "only
when the indictment is manifestly deficient or palpably
defective."
State v. Hogan, 144
N.J. at 229.
Despite the clarity of these principles, the triadic
relationship between the grand jury, the prosecutor and the
courts has been the source of much litigation and concern.
See,
e.g.,
State v. Hogan, 144
N.J. at 233-35;
State v. Perry, 124
N.J. at 168;
State v. Murphy, 110
N.J. at 30;
State v. Doliner,
96 N.J. 236, 249-52 (1984);
State v. Vinegra,
73 N.J. 484, 497-
505 (1977) (Hughes, C.J., dissenting);
State v. Engel,
249 N.J.
Super. 336, 359 (App. Div.),
certif. denied,
130 N.J. 393 (1991);
State v. Childs,
242 N.J. Super. 121, 129 (App. Div.),
certif.
denied,
127 N.J. 321 (1990);
State v. Vasky,
218 N.J. Super. 487,
490-91 (App. Div. 1987);
State v. Hilltop Private Nursing Home,
Inc.,
177 N.J. Super. 377, 388-89 (App. Div. 1981);
State v.
Schamberg,
146 N.J. Super. 559, 563 (App. Div.),
certif. denied,
75 N.J. 10 (1977);
State v. Hart,
139 N.J. Super. 565, 567-68
(App. Div. 1976).
Most of the decisions we have cited pertain to claims of
prosecutorial misconduct. In evaluating these claims, it has
been said that unless the prosecutor's misconduct "is extreme and
clearly infringes upon the [grand] jury decision-making
function," an otherwise valid indictment should not be dismissed.
State v. Schamberg, 146
N.J. Super. at 564. Stated somewhat
differently by the United States Supreme Court, dismissal of an
indictment is appropriate only "'if it is established that the
violation substantially influenced the grand jury's decision to
indict,'" or if there is "'grave doubt'" that the determination
ultimately reached was arrived at fairly and impartially.
Bank
of Nova Scotia v. United States,
487 U.S. 250, 256,
108 S. Ct. 2369, 2374,
101 L.Ed.2d 228, 238 (1988) (quoting
United States v.
Mechanik,
475 U.S. 66, 78,
106 S. Ct. 938, 945,
89 L.Ed.2d 50, 61
(1986)).
The test for determining whether an indictment should be
dismissed for prosecutorial misconduct may be variously phrased
depending upon the specific error claimed. However phrased, we
review the issues presented here with the aim of determining
whether the grand jury's function was subverted, causing it to
arrive at a result which it otherwise would not have reached.
V.
We first consider whether the deputy attorney general's
instruction on the governing principles of law were fundamentally
unfair. As a threshold matter, we must decide whether a
prosecutor has a duty to instruct a grand jury with respect to
defenses or justifications, and, if so, when such a duty arises.
We have found no reported New Jersey opinion dealing with
the precise question of whether exculpatory defenses must be
charged to a grand jury. In a somewhat related context, we have
said that "a prosecutor's advice . . . on the applicable law
helps make the grand jury more effective."
State v. Laws,
262 N.J. Super. 551, 562 (App. Div.),
certif. denied,
134 N.J. 475
(1993). However, we have also observed that nothing in the New
Jersey Constitution demands "a verbatim reading of applicable
statutes or a recitation of all legal elements of each charge . .
. .
Ibid.;
see also State v. Ball,
268 N.J. Super. 72, 120 (App.
Div. 1993),
aff'd,
141 N.J. 142 (1995),
cert. denied sub nom.
Mocco v. New Jersey,
516 U.S. 1075,
116 S. Ct. 779,
133 L.Ed.2d 731 (1996);
State v. Schmidt,
213 N.J. Super. 576, 584 (App. Div.
1986),
rev'd on other grounds,
110 N.J. 258 (1988).
We nevertheless are not without guidance. In
State v.
Hogan,
144 N.J. 216, our Supreme Court considered the related
question of whether it is incumbent upon a prosecutor to present
exculpatory evidence to a grand jury. Departing from federal
precedent,
see United States v. Williams,
504 U.S. 36,
112 S. Ct. 1735,
118 L.Ed.2d 352 (1992), the Court invoked its supervisory
power and held that a grand jury "cannot be denied access to
evidence that is credible, material, and so clearly exculpatory
as to induce a rational grand juror to conclude that the State
has not made out a
prima facie case against the accused."
Id. at
236. To qualify, the exculpatory evidence must squarely refute
an element of the crime.
Id. at 237. Moreover, the exculpatory
value of the evidence must be analyzed "in the context of the
nature and source of the evidence, and the strength of the
State's case."
Ibid. The Court emphasized that the prosecutor
need not "construct a case for the accused or search for evidence
that would exculpate the accused."
Id. at 238.
The Court did not explicitly adopt a standard of review in
determining whether a prosecutor's failure to present exculpatory
evidence requires vitiation of an indictment. While noting that
such a failure "may raise questions about the prosecuting
attorney's good faith and could deprive the grand jury of the
opportunity to screen out unwarranted prosecutions," the Court
observed that ascertaining the exculpatory value of evidence at
early stages in the proceedings can be a difficult task, and a
reviewing judge "should act with substantial caution before
concluding that a prosecutor's decision in that regard was
erroneous."
Id. at 238-39.
In our view, a prosecutor's obligation to instruct the grand
jury on possible defenses is a corollary to his responsibility to
present exculpatory evidence. The extent of the prosecutor's
duty must be defined with reference to the role of the grand jury
_ to protect the innocent, and bring to trial those who may be
guilty. Viewed from this perspective, the question of whether a
particular defense need be charged depends upon its potential for
eliminating a needless or unfounded prosecution. The appropriate
distinction for this purpose is between exculpatory and
mitigating defenses. An exculpatory defense is one that would,
if believed, result in a finding of no criminal liability,
i.e.,
a complete exoneration.
This is the rule followed in New York.
See People v.
Valles,
62 N.Y.2d 36,
464 N.E.2d 418 (1984). We are convinced
that it has substantial utility. The rule accords with common
sense and promotes the ability of a grand jury to filter out
cases that should never be tried. We adopt that rule to the
extent that it defines the existence of the prosecutor's duty.
We now focus upon the scope of the prosecutor's duty. The
first question is when such a duty arises. The rule prevailing
in New York is that where the evidence supports a defense of
justification, it must be charged.
People v. Cox,
92 N.Y.2d 1002, 1004,
707 N.E.2d 428, 429 (1998);
see also People v.
Padgett,
60 N.Y.2d 142, 145,
456 N.E.2d 795, 797 (1983). "In
determining whether justification should be charged, the record
must be viewed in the light most favorable to the defendant."
People v. Torres,
252 A.D.2d 60, 65,
686 N.Y.S.2d 375, 378 (App.
Div.),
appeal denied,
93 N.Y.2d 1028,
719 N.E.2d 948 (1999).
Phrased somewhat differently, under New York law, "where the
evidence suggests that a complete defense such as justification
may be present, the prosecutor must charge the grand jurors on
that defense . . . ."
People v. Goetz,
68 N.Y.2d 96, 115,
497 N.E.2d 41, 53 (1986).
With all due regard to our sister state, we are convinced
that the New York rule poses too great a burden on the
prosecutor. Whether the evidence reasonably supports a
justification defense is often a difficult question depending on
nuances and inferences that may not be apparent at the grand jury
stage of the proceedings.
See State v. Fair,
45 N.J. 77, 93
(1965) (failure to charge the jury with justification of defense
of another plain error where facts adduced at trial suggested
defendant could have believed another person was in danger);
State v. Blanks,
313 N.J. Super. 55, 69 (App. Div. 1998)
(improper denial of self-defense charge where trial testimony
showed defendant brandished weapon but denied causing injury);
State v. Mount,
73 N.J.L. 582 (E. & A. 1906) (trial court erred
in not charging the jury with self-defense where defendant had
reasonable apprehension of bodily injury);
State v. Doss,
310 N.J. Super. 450, 459 (App. Div.),
certif. denied,
155 N.J. 589
(1998) (failure to charge on self-defense and defense of another
not plain error where no evidence produced to support defendants'
claims that force was necessary under the circumstances);
State
v. Jones,
214 N.J. Super. 68, 75 (App. Div. 1986),
certif.
denied,
107 N.J. 102 (1987) (failure at trial to give instruction
on self-defense not error given facts adduced at trial);
State v.
Rivers,
252 N.J. Super. 142, 149 (App. Div. 1991) (charge on
self-defense properly denied because facts at trial did not
warrant such a charge);
State v. Perry, 124
N.J. at 162 (lack of
sua sponte charge on self-defense not plain error when facts
could have supported such a charge, but charge was unrequested
and would be incompatible with the defense strategy).
By its very nature, the grand jury does not consider a full
and complete adversarial presentation, "and the instructions are
not made after consideration [and with the benefit] of the views
of the defense."
State v. Schmidt, 213
N.J. Super. at 584. We
do not believe that the prosecutor has the obligation on his own
meticulously to sift through the entire record of investigative
files to see if some combination of facts and inferences might
rationally sustain a defense or justification.
Cf. State v.
Choice,
98 N.J. 295, 299 (1985). The rule should be that it is
only when the facts known to the prosecutor clearly indicate or
clearly establish the appropriateness of an instruction that the
duty of the prosecution arises.
Ibid.;
see also State v. Bell,
60 Haw. 241,
589 P.2d 517, 518 (1978),
rev'd on other grounds,
State v. Chong,
86 Haw. 282,
949 P.2d 122 (1997) (prosecution is
not required to instruct the grand jury as to the nature and
significance of evidence relating to self-defense unless the
evidence clearly establishes that the accused acted in self-
defense).
The second question concerning the scope of the prosecutor's
duty pertains to the adequacy of the instruction given. It has
been said that incomplete or imprecise instructions by a
prosecutor will not ordinarily warrant dismissal of the
indictment.
State v. Ball, 268
N.J. Super. at 120;
State v.
Schmidt, 213
N.J. Super. at 584. It is unrealistic to call upon
a prosecutor to provide the grand jury with a sophisticated
analysis of the law where he does not have the benefit of the
views of the defense to warn him of potential problems and
pitfalls. There is a difference between instructions that are
merely imprecise or incomplete and those that are blatantly
wrong. As long as the instruction conveys to the grand jury the
gist of the exonerating defense or justification, the
prosecutor's duty is met.
The final issue to be considered is the standard of judicial
review. We should not review the prosecutor's decisions from the
vantage point of twenty-twenty hindsight. We must instead
recognize that prosecutors must often make these decisions
without the benefit of quiet contemplation. Because an
indictment should be dismissed only on the clearest and plainest
grounds, the test should be a rigorous one. Only in the
exceptional case will a prosecutor's decision pertaining to an
instruction on justification constitute grounds for challenging
an indictment. The standard can be articulated in a variety of
ways, but we suggest that an indictment should not be dismissed
unless the prosecutor's error was clearly capable of producing an
unjust result. This standard can be satisfied by showing that
the grand jury would have reached a different result but for the
prosecutor's error. Against this backdrop, we find no error
warranting dismissal of the indictment.
A.
As we noted earlier, the deputy attorney general instructed
the grand jury on the justifications of self-defense and defense
of others. Judge Smithson found that these instructions were
defective because the prosecutor did not charge the grand jury on
the law enforcement exception to the duty to retreat set forth in
N.J.S.A. 2C:3-4(b)(2)(b)(ii). The operative language of that
subsection reads in pertinent part as follows:
(2) The use of deadly force is not
justifiable under this section unless the
actor reasonably believes that such force is
necessary to protect himself against death or
serious bodily harm; nor is it justifiable
if:
. . . .
(b) The actor knows that he can avoid
the necessity of using such force with
complete safety by retreating or by
surrendering possession of a thing to a
person asserting a claim of right thereto or
by complying with a demand that he abstain
from any action which he has no duty to take,
except that:
. . . .
(ii) A public officer justified in using
force in the performance of his duties or a
person justified in using force in his
assistance or a person justified in using
force in making an arrest or preventing an
escape is not obliged to desist from efforts
to perform such duty, effect such arrest or
prevent such escape because of resistance or
threatened resistance by or on behalf of the
person against whom such action is directed.
[
N.J.S.A. 2C:3-4b(2)(b)(ii).]
The statute is not a model of clarity. We nevertheless see
no need to analyze or construe the statutory language. The
simple and overriding fact is that the duty to retreat was not an
issue in this case. Although the deputy attorney general alluded
to the subject in his preliminary instructions to the grand jury
on January 5, 1999, he did not repeat this reference in his final
charge on September 7, 1999. In his preliminary instructions,
the deputy attorney general emphasized that his description of
the law was cursory and intended only to provide the grand jury
with an overview before receiving the evidence. The deputy
attorney general also stressed that he would provide the grand
jury with a more complete charge at the conclusion of the case
prior to its deliberations. We are satisfied that the deputy
attorney general's initial, erroneous reference to the duty to
retreat was harmless in light of his later charge to the grand
jury which was entirely silent on the subject. Since the deputy
attorney general did not ultimately charge the grand jury on the
subject of retreat, no error was committed in his failure to
instruct on the exception to that doctrine.
We add for the sake of completeness that we have examined
the deputy attorney general's instructions on the justifications
of self-defense and defense of others, and we are satisfied that
the applicable legal principles were adequately conveyed to the
grand jury. Defendants argue that the deputy attorney general
erroneously charged the grand jury on a mistake of law under
N.J.S.A. 2C:3-9. They also claim that the deputy attorney
general erred in charging the grand jury that self-defense and
defense of others were not applicable to crimes involving
"reckless" conduct. Judge Smithson did not rule on these issues.
While we are inclined to agree that mistake of law under
N.J.S.A. 2C:3-9 was not an issue in the case, and that the deputy
attorney general erred by alluding to it in his preliminary
instructions on January 5, 1999, this error was not repeated in
his final charge to the grand jury on September 7, 1999. The
initial erroneous instruction could not reasonably have misled
the grand jury. Nor did it have the capacity to produce an
unjust result.
We find no error in the deputy attorney general's statement
that the Code's justification defenses are not available in a
prosecution where recklessness or negligence suffices to
establish the requisite culpability state. The deputy attorney
general was obviously referring to the Supreme Court's decision
in State v. Moore,
158 N.J. 292 (1999). There, the Court held
that "[t]he drafters of the Code did not intend that a defendant
who recklessly causes serious bodily injury under circumstances
manifesting extreme indifference to the value of human life"
should be able to find shelter in the justification defenses.
Id. at 303. The Court said that "[w]here recklessness or
negligence is the requisite mental state to establish an offense,
. . . self-defense is not a justification." Id. at 301.
The deputy attorney general's instruction was a correct
statement of the law when viewed in the context of the entire
charge. Stripped to its essentials, the charge conveyed the
principle that if defendants were reasonable in perceiving they
were under attack and used reasonable force to repel that attack,
they could not be charged with aggravated assault, an offense
that required "reckless" conduct as an alternative predicate to a
conviction. We perceive no error, much less an error sufficient
to require dismissal of the indictment.
B.
Judge Smithson found that the deputy attorney general erred
in failing to charge the grand jury with respect to the use of
force in law enforcement under
N.J.S.A. 2C:3-7. That statute
provides that the use of force is justifiable when the actor
"reasonably believes that such force is immediately necessary to
effect a lawful arrest."
N.J.S.A. 2C:3-7a. However, the use of
deadly force is not justifiable under
N.J.S.A. 2C:3-7b(2) unless:
(a) The actor effecting the arrest is
authorized to act as a peace officer or has
been summoned by and is assisting a person
whom he reasonably believes to be authorized
to act as a peace officer; and
(b) The actor reasonably believes that
the force employed creates no substantial
risk of injury to innocent persons; and
(c) The actor reasonably believes that
the crime for which the arrest is made was
homicide, kidnapping, an offense under
2C:14-2 or 2C:14-3, arson, robbery, burglary
of a dwelling, or an attempt to commit one of
these crimes; and
(d) The actor reasonably believes:
(i) There is an imminent threat of
deadly force to himself or a third party; or
(ii) The use of deadly force is
necessary to thwart the commission of a crime
as set forth in subparagraph (c) of this
paragraph; or
(iii) The use of deadly force is
necessary to prevent an escape.
[
N.J.S.A. 2C:3-7b(2).]
Further, N.J.S.A. 2C:3-7e permits the use of force to prevent the
commission of certain criminal acts. That section reads in
pertinent part as follows:
The use of force upon or toward the person of
another is justifiable when the actor
reasonably believes that such force is
immediately necessary to prevent such other
person from committing suicide, inflicting
serious bodily harm upon himself, committing
or consummating the commission of a crime
involving or threatening bodily harm, damage
to or loss of property or a breach of the
peace, except that:
(1) Any limitations imposed by the other
provisions of this chapter on the justifiable
use of force in self-protection, for the
protection of others, the protection of
property, the effectuation of an arrest or
the prevention of an escape from custody
shall apply notwithstanding the criminality
of the conduct against which such force is
used; and
(2) The use of deadly force is not in
any event justifiable under this subsection
unless the actor reasonably believes that it
is likely that the person whom he seeks to
prevent from committing a crime will endanger
human life or inflict serious bodily harm
upon another unless the commission or the
consummation of the crime is prevented and
that the use of such force presents no
substantial risk of injury to innocent
persons.
[N.J.S.A. 2C:3-7(e).]
We agree with the State's argument that the deputy attorney
general did not violate his duty by failing to apprise the grand
jury of these statutes. Defendants contended below, and continue
to assert here, that they were entitled to employ deadly force in
order to effectuate an arrest for attempted murder and to prevent
the occupants of the van from escaping. However, defendants did
not claim in their statements that they fired their weapons for
this purpose. While perhaps one might reasonably conclude that
Moore and Reyes were attempting to commit murder by backing the
van in the direction of Hogan, neither defendant articulated this
thesis. Rather, they contended that they felt themselves
imperiled, and that they employed deadly force for self-
protection. Beyond this, N.J.S.A. 2C:3-7b(2)(b) makes this
defense unavailable unless "[t]he actor reasonably believes that
the force employed creates no substantial risk of injury to
innocent persons." It is certainly arguable that the rear seat
passengers, who had no control over the van, were entirely
innocent of any plot to commit attempted murder, and that
defendants' use of deadly force needlessly endangered them and
put them at risk. We do not suggest that upon submission of an
appropriate request to charge, it would be improper for a trial
judge to instruct a petit jury on this defense. However, it
cannot fairly be said that this justification was clearly
indicated or clearly established by the evidence.
We also agree with the State's argument that it was not
incumbent on the deputy attorney general to instruct the grand
jury with respect to N.J.S.A. 2C:3-7e. "Subsection e appears to
be a separate justification for force used to prevent crime, but
that appearance is largely illusory." Cannel, Criminal Code
Annotated, Comment N.J.S.A. 2C:3-7 at 192 (2000-2001). "The
subsection merely incorporates other relevant sections, . . . and
its deadly force provision is a restatement of [N.J.S.A.] 2C:3-4
and [N.J.S.A.] 2C:3-5 with the additional limitation that there
be no substantial risk to innocent persons." Ibid. Defendants
can find no comfort in N.J.S.A. 2C:3-7e, at least at this stage
of the proceedings.
VI.
Judge Smithson found that the return of the intervening
indictment violated defendants' rights. The judge observed that
Hogan and Kenna "were cast as the poster boys for racial
profiling following the release of the indictment." The judge
construed the chronology of events, and depicted the attorney
general's attempt to justify it, as "mean[ing] there existed
powerful and intimidating forces driving the decision-making of
the Office of the Attorney General." The judge suggested that
the "motivation to allow the return of the [intervening]
indictment[] was considerably more a matter of political
expediency than of concern for the substantive right of [the]
defendants."
The judge's comments were unfounded and unfair. We, of
course, recognize that the separation of powers doctrine does not
compel the three branches of government to operate as
hermetically sealed, watertight compartments. We acknowledge
that the conduct of one branch will sometimes affect another. We
are nevertheless aware of no constitutional or jurisprudential
doctrine that grants the judiciary a roving commission to oversee
the conduct of the Attorney General's investigations of possible
criminal acts. Although not an elected official, the Attorney
General, as chief law enforcement officer of the State and as a
member of the Executive Branch, is ultimately answerable to the
people. That is not to suggest that the Attorney General may
denigrate or act in derogation of individual rights to satisfy
public opinion or for political considerations. But the Attorney
General owes the duty to respond to the legitimate concerns of
the citizenry. The judiciary has no power to ordain that the
Attorney General be insensitive to such public concerns.
The sad but true fact is that a substantial segment of the
public doubts the ability and willingness of the law enforcement
community to enforce the criminal laws in a fair and evenhanded
manner. We broached the subject a decade ago in
State v.
Kennedy,
247 N.J. Super. 21 (App. Div. 1991). This is neither
the time nor place to discuss the merits of the issue. Instead,
the point to be stressed is that we cannot fault the Attorney
General's Office for mounting a timely investigation and
obtaining an indictment when faced with evidence that defendants
might have violated the law. There is no evidence in the record
to support the judge's charge that release of the intervening
indictment was calculated to deny, or had the effect of denying,
the defendants' rights.
The Attorney General did not act in a vacuum. In 1986, we
rendered our opinion in
State v. Murphy,
213 N.J. Super. 404
(App. Div. 1986). We held that where a prosecutor obtains
information which supports a legitimate and colorable basis for
believing that a grand juror lacks impartiality, he must inform
the assignment judge so that the issue can be fully explored and
fairly resolved.
Id. at 409. Two years later, the Supreme Court
affirmed that holding.
110 N.J. 20 (1988). Thus, for over
twelve years procedures have been in place to resolve the
question whether a sitting grand juror's ability to be fair has
been infected by some extraneous information or event. Those
procedures were meticulously followed in this case. Elaborate
steps were taken by the Attorney General's Office and the
Assignment Judge to question the grand jurors and determine if
their ability to be fair was compromised by the intervening
indictment. As we noted earlier, two grand jurors were excused,
but the Assignment Judge found that the panel was ot