| [1] | SUPREME COURT OF THE UNITED STATES |
| [2] | No. 99-478 |
| [3] | 2000.SCT.0042146 <http://www.versuslaw.com> |
| [4] | June 26, 2000 |
| [5] | CHARLES C. APPRENDI, JR., PETITIONER v. NEW JERSEY |
| [6] | SYLLABUS BY THE COURT |
| [7] | OCTOBER TERM, 1999 |
| [8] | APPRENDI v. NEW JERSEY |
| [9] | NOTE: Where it is feasible, a syllabus (headnote) will be released, as
is being done in connection with this case, at the time the opinion is
issued. The syllabus constitutes no part of the opinion of the Court but
has been prepared by the Reporter of Decisions for the convenience of the
reader. See United States v. Detroit Timber & Lumber Co., 200 U. S.
321, 337. |
| [10] | SUPREME COURT OF THE UNITED STATES |
| [11] | APPRENDI v. NEW JERSEY |
| [12] | Certiorari To The Supreme Court Of New Jersey |
| [13] | No. 99-478. |
| [14] | Argued March 28, 2000 |
| [15] | Decided June 26, 2000 |
| [16] | Petitioner Apprendi fired several shots into the home of an
African-American family and made a statement -- which he later retracted
--that he did not want the family in his neighborhood because of their
race. He was charged under New Jersey law with, inter alia, second-degree
possession of a firearm for an unlawful purpose, which carries a prison
term of 5 to 10 years. The count did not refer to the State's hate crime
statute, which provides for an enhanced sentence if a trial judge finds,
by a preponderance of the evidence, that the defendant committed the crime
with a purpose to intimidate a person or group because of, inter alia,
race. After Apprendi pleaded guilty, the prosecutor filed a motion to
enhance the sentence. The court found by a preponderance of the evidence
that the shooting was racially motivated and sentenced Apprendi to a
12-year term on the firearms count. In upholding the sentence, the appeals
court rejected Apprendi's claim that the Due Process Clause requires that
a bias finding be proved to a jury beyond a reasonable doubt. The State
Supreme Court affirmed. |
| [17] | Held: The Constitution requires that any fact that increases the
penalty for a crime beyond the prescribed statutory maximum, other than
the fact of a prior conviction, must be submitted to a jury and proved
beyond a reasonable doubt. Pp. 7-31. |
| [18] | (a) The answer to the narrow constitutional question presented --
whether Apprendi's sentence was permissible, given that it exceeds the
10-year maximum for the offense charged -- was foreshadowed by the holding
in Jones v. United States, 526 U. S. 227, that, with regard to federal
law, the Fifth Amendment's Due Process Clause and the Sixth Amendment's
notice and jury trial guarantees require that any fact other than prior
conviction that increases the maximum penalty for a crime must be charged
in an indictment, submitted to a jury, and proved beyond a reasonable
doubt. The Fourteenth Amendment commands the same answer when a state
statute is involved. Pp. 7-9. |
| [19] | (b) The Fourteenth Amendment right to due process and the Sixth
Amendment right to trial by jury, taken together, entitle a criminal
defendant to a jury determination that he is guilty of every element of
the crime with which he is charged, beyond a reasonable doubt. E.g., In re
Winship, 397 U. S. 358, 364. The historical foundation for these
principles extends down centuries into the common law. While judges in
this country have long exercised discretion in sentencing, such discretion
is bound by the range of sentencing options prescribed by the legislature.
See, e.g., United States v. Tucker, 404 U. S. 443, 447. The historic
inseparability of verdict and judgment and the consistent limitation on
judges' discretion highlight the novelty of a scheme that removes the jury
from the determination of a fact that exposes the defendant to a penalty
exceeding the maximum he could receive if punished according to the facts
reflected in the jury verdict alone. Pp. 9-18. |
| [20] | (c) McMillan v. Pennsylvania, 477 U. S. 79, was the first case in
which the Court used "sentencing factor" to refer to a fact that was not
found by the jury but could affect the sentence imposed by the judge. In
finding that the scheme at issue there did not run afoul of Winship's
strictures, this Court did not budge from the position that (1)
constitutional limits exist to States' authority to define away facts
necessary to constitute a criminal offense, id., at 85-88, and (2) a state
scheme that keeps from the jury facts exposing defendants to greater or
additional punishment may raise serious constitutional concerns, id., at
88. Almendarez-Torres v. United States, 523 U. S. 224 -- in which the
Court upheld a federal law allowing a judge to impose an enhanced sentence
based on prior convictions not alleged in the indictment -- represents at
best an exceptional departure from the historic practice. Pp.
19-24. |
| [21] | (d) In light of the constitutional rule expressed here, New Jersey's
practice cannot stand. It allows a jury to convict a defendant of a
second-degree offense on its finding beyond a reasonable doubt and then
allows a judge to impose punishment identical to that New Jersey provides
for first-degree crimes on his finding, by a preponderance of the
evidence, that the defendant's purpose was to intimidate his victim based
on the victim's particular characteristic. The State's argument that the
biased purpose finding is not an "element" of a distinct hate crime
offense but a "sentencing factor" of motive is nothing more than a
disagreement with the rule applied in this case. Beyond this, the argument
cannot succeed on its own terms. It does not matter how the required
finding is labeled, but whether it exposes the defendant to a greater
punishment than that authorized by the jury's verdict, as does the
sentencing "enhancement" here. The degree of culpability the legislature
associates with factually distinct conduct has significant implications
both for a defendant's liberty and for the heightened stigma associated
with an offense the legislature has selected as worthy of greater
punishment. That the State placed the enhancer within the criminal code's
sentencing provisions does not mean that it is not an essential element of
the offense. Pp. 25-31. |
| [22] | 159 N. J. 7, 731 A. 2d 485, reversed and remanded. |
| [23] | Stevens, J., delivered the opinion of the Court, in which Scalia,
Souter, Thomas, and Ginsburg, JJ., joined. Scalia, J., filed a concurring
opinion. Thomas, J., filed a concurring opinion, in which Scalia, J.,
joined as to Parts I and II. O'Connor, J., filed a dissenting opinion, in
which Rehnquist, C. J., and Kennedy and Breyer, JJ., joined. Breyer, J.,
filed a dissenting opinion, in which Rehnquist, C. J.,
joined. |
| [24] | Court Below: 159 N. J. 7, 731 A. 2d 485 |
| [25] | The opinion of the court was delivered by: Justice
Stevens |
| [26] | On Writ Of Certiorari To The Supreme Court Of New Jersey |
| [27] | A New Jersey statute classifies the possession of a firearm for an
unlawful purpose as a "second-degree" offense. N. J. Stat. Ann.
§2C:39-4(a) (West 1995). Such an offense is punishable by imprisonment for
"between five years and 10 years." §2C:43-6(a)(2). A separate statute,
described by that State's Supreme Court as a "hate crime" law, provides
for an "extended term" of imprisonment if the trial judge finds, by a
preponderance of the evidence, that "[t]he defendant in committing the
crime acted with a purpose to intimidate an individual or group of
individuals because of race, color, gender, handicap, religion, sexual
orientation or ethnicity." N. J. Stat. Ann. §2C:44-3(e) (West Supp. 2000).
The extended term authorized by the hate crime law for second-degree
offenses is imprisonment for "between 10 and 20 years."
§2C:43-7(a)(3). |
| [28] | The question presented is whether the Due Process Clause of the
Fourteenth Amendment requires that a factual determination authorizing an
increase in the maximum prison sentence for an offense from 10 to 20 years
be made by a jury on the basis of proof beyond a reasonable
doubt. |
| [29] | I. |
| [30] | At 2:04 a.m. on December 22, 1994, petitioner Charles C. Apprendi,
Jr., fired several .22-caliber bullets into the home of an
African-American family that had recently moved into a previously
all-white neighborhood in Vineland, New Jersey. Apprendi was promptly
arrested and, at 3:05 a.m., admitted that he was the shooter. After
further questioning, at 6:04 a.m., he made a statement -- which he later
retracted -- that even though he did not know the occupants of the house
personally, "because they are black in color he does not want them in the
neighborhood." 159 N. J. 7, 10, 731 A. 2d 485, 486 (1999). |
| [31] | A New Jersey grand jury returned a 23-count indictment charging
Apprendi with four first-degree, eight second-degree, six third-degree,
and five fourth-degree offenses. The charges alleged shootings on four
different dates, as well as the unlawful possession of various weapons.
None of the counts referred to the hate crime statute, and none alleged
that Apprendi acted with a racially biased purpose. |
| [32] | The parties entered into a plea agreement, pursuant to which Apprendi
pleaded guilty to two counts (3 and 18) of second-degree possession of a
firearm for an unlawful purpose, N. J. Stat. Ann. §2C:39-4a (West 1995),
and one count (22) of the third-degree offense of unlawful possession of
an antipersonnel bomb, §2C:39-3a; the prosecutor dismissed the other 20
counts. Under state law, a second-degree offense carries a penalty range
of 5 to 10 years, §2C:43-6(a)(2); a third-degree offense carries a penalty
range of between 3 and 5 years, §2C:43-6(a)(3). As part of the plea
agreement, however, the State reserved the right to request the court to
impose a higher "enhanced" sentence on count 18 (which was based on the
December 22 shooting) on the ground that that offense was committed with a
biased purpose, as described in §2C:44-3(e). Apprendi, correspondingly,
reserved the right to challenge the hate crime sentence enhancement on the
ground that it violates the United States Constitution. |
| [33] | At the plea hearing, the trial judge heard sufficient evidence to
establish Apprendi's guilt on counts 3, 18, and 22; the judge then
confirmed that Apprendi understood the maximum sentences that could be
imposed on those counts. Because the plea agreement provided that the
sentence on the sole third-degree offense (count 22) would run
concurrently with the other sentences, the potential sentences on the two
second-degree counts were critical. If the judge found no basis for the
biased purpose enhancement, the maximum consecutive sentences on those
counts would amount to 20 years in aggregate; if, however, the judge
enhanced the sentence on count 18, the maximum on that count alone would
be 20 years and the maximum for the two counts in aggregate would be 30
years, with a 15-year period of parole ineligibility. |
| [34] | After the trial judge accepted the three guilty pleas, the prosecutor
filed a formal motion for an extended term. The trial judge thereafter
held an evidentiary hearing on the issue of Apprendi's "purpose" for the
shooting on December 22. Apprendi adduced evidence from a psychologist and
from seven character witnesses who testified that he did not have a
reputation for racial bias. He also took the stand himself, explaining
that the incident was an unintended consequence of overindulgence in
alcohol, denying that he was in any way biased against African-Americans,
and denying that his statement to the police had been accurately
described. The judge, however, found the police officer's testimony
credible, and concluded that the evidence supported a finding "that the
crime was motivated by racial bias." App. to Pet. for Cert. 143a. Having
found "by a preponderance of the evidence" that Apprendi's actions were
taken "with a purpose to intimidate" as provided by the statute, id., at
138a, 139a, 144a, the trial judge held that the hate crime enhancement
applied. Rejecting Apprendi's constitutional challenge to the statute, the
judge sentenced him to a 12-year term of imprisonment on count 18, and to
shorter concurrent sentences on the other two counts. |
| [35] | Apprendi appealed, arguing, inter alia, that the Due Process Clause of
the United States Constitution requires that the finding of bias upon
which his hate crime sentence was based must be proved to a jury beyond a
reasonable doubt, In re Winship, 397 U. S. 358 (1970). Over dissent, the
Appellate Division of the Superior Court of New Jersey upheld the enhanced
sentence. 304 N. J. Super. 147, 698 A. 2d 1265 (1997). Relying on our
decision in McMillan v. Pennsylvania, 477 U. S. 79 (1986), the appeals
court found that the state legislature decided to make the hate crime
enhancement a "sentencing factor," rather than an element of an underlying
offense -- and that decision was within the State's established power to
define the elements of its crimes. The hate crime statute did not create a
presumption of guilt, the court determined, and did not appear "tailored
to permit the ... finding to be a tail which wags the dog of the
substantive offense." 304 N. J. Super., at 154, 698 A. 2d, at 1269
(quoting McMillan, 477 U. S., at 88). Characterizing the required finding
as one of "motive," the court described it as a traditional "sentencing
factor," one not considered an "essential element" of any crime unless the
legislature so provides. 304 N. J. Super., at 158, 698 A. 2d, at 1270.
While recognizing that the hate crime law did expose defendants to
"greater and additional punishment," id., at 156, 698 A. 2d, at 1269
(quoting McMillan, 477 U. S., at 88), the court held that that "one factor
standing alone" was not sufficient to render the statute unconstitutional,
Ibid. |
| [36] | A divided New Jersey Supreme Court affirmed. 159 N. J. 7, 731 A. 2d
485 (1999). The court began by explaining that while due process only
requires the State to prove the "elements" of an offense beyond a
reasonable doubt, the mere fact that a state legislature has placed a
criminal component "within the sentencing provisions" of the criminal code
"does not mean that the finding of a biased purpose to intimidate is not
an essential element of the offense." Id., at 20, 731 A. 2d, at 492. "Were
that the case," the court continued, "the Legislature could just as easily
allow judges, not juries, to determine if a kidnapping victim has been
released unharmed." Ibid. (citing state precedent requiring such a finding
to be submitted to a jury and proved beyond a reasonable doubt). Neither
could the constitutional question be settled simply by defining the hate
crime statute's "purpose to intimidate" as "motive" and thereby excluding
the provision from any traditional conception of an "element" of a crime.
Even if one could characterize the language this way -- and the court
doubted that such a characterization was accurate -- proof of motive did
not ordinarily "increase the penal consequences to an actor." Ibid. Such
"[l]abels," the court concluded, would not yield an answer to Apprendi's
constitutional question. Ibid. |
| [37] | While noting that we had just last year expressed serious doubt
concerning the constitutionality of allowing penalty-enhancing findings to
be determined by a judge by a preponderance of the evidence, Jones v.
United States, 526 U. S. 227 (1999), the court concluded that those doubts
were not essential to our holding. Turning then, as the appeals court had,
to McMillan, as well as to Almendarez-Torres v. United States, 523 U. S.
224 (1998), the court undertook a multifactor inquiry and then held that
the hate crime provision was valid. In the majority's view, the statute
did not allow impermissible burden shifting, and did not "create a
separate offense calling for a separate penalty." 159 N. J., at 24, 731 A.
2d, at 494. Rather, "the Legislature simply took one factor that has
always been considered by sentencing courts to bear on punishment and
dictated the weight to be given that factor." Ibid., 731 A. 2d, at
494-495. As had the appeals court, the majority recognized that the state
statute was unlike that in McMillan inasmuch as it increased the maximum
penalty to which a defendant could be subject. But it was not clear that
this difference alone would "change the constitutional calculus,"
especially where, as here, "there is rarely any doubt whether the
defendants committed the crimes with the purpose of intimidating the
victim on the basis of race or ethnicity." 159 N. J., at 24-25, 731 A. 2d,
at 495. Moreover, in light of concerns "idiosyncratic" to hate crime
statutes drawn carefully to avoid "punishing thought itself," the
enhancement served as an appropriate balance between those concerns and
the State's compelling interest in vindicating the right "to be free of
invidious discrimination." Id., at 25-26, 731 A. 2d, at 495. |
| [38] | The dissent rejected this conclusion, believing instead that the case
turned on two critical characteristics: (1) "a defendant's mental state in
committing the subject offense ... necessarily involves a finding so
integral to the charged offense that it must be characterized as an
element thereof"; and (2) "the significantly increased sentencing range
triggered by ... the finding of a purpose to intimidate" means that the
purpose "must be treated as a material element [that] must be found by a
jury beyond a reasonable doubt." Id., at 30, 731 A. 2d, at 498. In the
dissent's view, the facts increasing sentences in both Almendarez-Torres
(recidivism) and Jones (serious bodily injury) were quite distinct from
New Jersey's required finding of purpose here; the latter finding turns
directly on the conduct of the defendant during the crime and defines a
level of culpability necessary to form the hate crime offense. While
acknowledging "analytical tensions" in this Court's post-Winship
jurisprudence, the dissenters concluded that "there can be little doubt
that the sentencing factor applied to this defendant -- the purpose to
intimidate a victim because of race -- must fairly be regarded as an
element of the crime requiring inclusion in the indictment and proof
beyond a reasonable doubt." 159 N. J., at 51, 731 A. 2d, at
512. |
| [39] | We granted certiorari, 528 U. S. 1018 (1999), and now
reverse. |
| [40] | II. |
| [41] | It is appropriate to begin by explaining why certain aspects of the
case are not relevant to the narrow issue that we must resolve. First, the
State has argued that even without the trial judge's finding of racial
bias, the judge could have imposed consecutive sentences on counts 3 and
18 that would have produced the 12-year term of imprisonment that Apprendi
received; Apprendi's actual sentence was thus within the range authorized
by statute for the three offenses to which he pleaded guilty. Brief for
Respondent 4. The constitutional question, however, is whether the 12-year
sentence imposed on count 18 was permissible, given that it was above the
10-year maximum for the offense charged in that count. The finding is
legally significant because it increased -- indeed, it doubled -- the
maximum range within which the judge could exercise his discretion,
converting what otherwise was a maximum 10-year sentence on that count
into a minimum sentence. The sentences on counts 3 and 22 have no more
relevance to our disposition than the dismissal of the remaining 18
counts. |
| [42] | Second, although the constitutionality of basing an enhanced sentence
on racial bias was argued in the New Jersey courts, that issue was not
raised here.*fn1 The substantive basis for
New Jersey's enhancement is thus not at issue; the adequacy of New
Jersey's procedure is. The strength of the state interests that are served
by the hate crime legislation has no more bearing on this procedural
question than the strength of the interests served by other provisions of
the criminal code. |
| [43] | Third, we reject the suggestion by the State Supreme Court that "there
is rarely any doubt" concerning the existence of the biased purpose that
will support an enhanced sentence, 159 N. J., at 25, 731 A. 2d, at 495. In
this very case, that issue was the subject of the full evidentiary hearing
we described. We assume that both the purpose of the offender, and even
the known identity of the victim, will sometimes be hotly disputed, and
that the outcome may well depend in some cases on the standard of proof
and the identity of the factfinder. |
| [44] | Fourth, because there is no ambiguity in New Jersey's statutory
scheme, this case does not raise any question concerning the State's power
to manipulate the prosecutor's burden of proof by, for example, relying on
a presumption rather than evidence to establish an element of an offense,
cf. Mullaney v. Wilbur, 421 U. S. 684 (1975); Sandstrom v. Montana, 442 U.
S. 510 (1979), or by placing the affirmative defense label on "at least
some elements" of traditional crimes, Patterson v. New York, 432 U. S.
197, 210 (1977). The prosecutor did not invoke any presumption to buttress
the evidence of racial bias and did not claim that Apprendi had the burden
of disproving an improper motive. The question whether Apprendi had a
constitutional right to have a jury find such bias on the basis of proof
beyond a reasonable doubt is starkly presented. |
| [45] | Our answer to that question was foreshadowed by our opinion in Jones
v. United States, 526 U. S. 227 (1999), construing a federal statute. We
there noted that "under the Due Process Clause of the Fifth Amendment and
the notice and jury trial guarantees of the Sixth Amendment, any fact
(other than prior conviction) that increases the maximum penalty for a
crime must be charged in an indictment, submitted to a jury, and proven
beyond a reasonable doubt." Id., at 243, n. 6. The Fourteenth Amendment
commands the same answer in this case involving a state
statute. |
| [46] | III. |
| [47] | In his 1881 lecture on the criminal law, Oliver Wendell Holmes, Jr.,
observed: "The law threatens certain pains if you do certain things,
intending thereby to give you a new motive for not doing them. If you
persist in doing them, it has to inflict the pains in order that its
threats may continue to be believed."*fn2
New Jersey threatened Apprendi with certain pains if he unlawfully
possessed a weapon and with additional pains if he selected his victims
with a purpose to intimidate them because of their race. As a matter of
simple justice, it seems obvious that the procedural safeguards designed
to protect Apprendi from unwarranted pains should apply equally to the two
acts that New Jersey has singled out for punishment. Merely using the
label "sentence enhancement" to describe the latter surely does not
provide a principled basis for treating them differently. |
| [48] | At stake in this case are constitutional protections of surpassing
importance: the proscription of any deprivation of liberty without "due
process of law," Amdt. 14, and the guarantee that "[i]n all criminal
prosecutions, the accused shall enjoy the right to a speedy and public
trial, by an impartial jury," Amdt. 6.*fn3
Taken together, these rights indisputably entitle a criminal defendant to
"a jury determination that [he] is guilty of every element of the crime
with which he is charged, beyond a reasonable doubt." United States v.
Gaudin, 515 U. S. 506, 510 (1995); see also Sullivan v. Louisiana, 508 U.
S. 275, 278 (1993); Winship, 397 U. S., at 364 ("[T]he Due Process Clause
protects the accused against conviction except upon proof beyond a
reasonable doubt of every fact necessary to constitute the crime with
which he is charged"). |
| [49] | As we have, unanimously, explained, Gaudin, 515 U. S., at 510-511, the
historical foundation for our recognition of these principles extends down
centuries into the common law. "[T]o guard against a spirit of oppression
and tyranny on the part of rulers," and "as the great bulwark of [our]
civil and political liberties," 2 J. Story, Commentaries on the
Constitution of the United States 540-541 (4th ed. 1873), trial by jury
has been understood to require that "the truth of every accusation,
whether preferred in the shape of indictment, information, or appeal,
should afterwards be confirmed by the unanimous suffrage of twelve of [the
defendant's] equals and neighbours ... ." 4 W. Blackstone, Commentaries on
the Laws of England 343 (1769) (hereinafter Blackstone) (emphasis added).
See also Duncan v. Louisiana, 391 U. S. 145, 151-154 (1968). |
| [50] | Equally well founded is the companion right to have the jury verdict
based on proof beyond a reasonable doubt. "The `demand for a higher degree
of persuasion in criminal cases was recurrently expressed from ancient
times, [though] its crystallization into the formula "beyond a reasonable
doubt" seems to have occurred as late as 1798. It is now accepted in
common law jurisdictions as the measure of persuasion by which the
prosecution must convince the trier of all the essential elements of
guilt.' C. McCormick, Evidence § 321, pp. 681-682 (1954); see also 9 J.
Wigmore, Evidence § 2497 (3d ed. 1940)." Winship, 397 U. S., at 361. We
went on to explain that the reliance on the "reasonable doubt" standard
among common-law jurisdictions " `reflect[s] a profound judgment about the
way in which law should be enforced and justice administered.' " Id., at
361-362 (quoting Duncan, 391 U. S., at 155). |
| [51] | Any possible distinction between an "element" of a felony offense and
a "sentencing factor" was unknown to the practice of criminal indictment,
trial by jury, and judgment by court*fn4
as it existed during the years surrounding our Nation's founding. As a
general rule, criminal proceedings were submitted to a jury after being
initiated by an indictment containing "all the facts and circumstances
which constitute the offence, ... stated with such certainty and
precision, that the defendant ... may be enabled to determine the species
of offence they constitute, in order that he may prepare his defence
accordingly ... and that there may be no doubt as to the judgment which
should be given, if the defendant be convicted." J. Archbold, Pleading and
Evidence in Criminal Cases 44 (15th ed. 1862) (emphasis added). The
defendant's ability to predict with certainty the judgment from the face
of the felony indictment flowed from the invariable linkage of punishment
with crime. See 4 Blackstone 369-370 (after verdict, and barring a defect
in the indictment, pardon or benefit of clergy, "the court must pronounce
that judgment, which the law hath annexed to the crime" (emphasis
added)). |
| [52] | Thus, with respect to the criminal law of felonious conduct, "the
English trial judge of the later eighteenth century had very little
explicit discretion in sentencing. The substantive criminal law tended to
be sanction-specific; it prescribed a particular sentence for each
offense. The judge was meant simply to impose that sentence (unless he
thought in the circumstances that the sentence was so inappropriate that
he should invoke the pardon process to commute it)." Langbein, The English
Criminal Trial Jury on the Eve of the French Revolution, in The Trial Jury
in England, France, Germany 1700-1900, pp. 36-37 (A. Schioppa ed. 1987).*fn5 As Blackstone, among many others, has
made clear,*fn6 "[t]he judgment, though
pronounced or awarded by the judges, is not their determination or
sentence, but the determination and sentence of the law." 3 Blackstone 396
(emphasis deleted).*fn7 |
| [53] | This practice at common law held true when indictments were issued
pursuant to statute. Just as the circumstances of the crime and the intent
of the defendant at the time of commission were often essential elements
to be alleged in the indictment, so too were the circumstances mandating a
particular punishment. "Where a statute annexes a higher degree of
punishment to a common-law felony, if committed under particular
circumstances, an indictment for the offence, in order to bring the
defendant within that higher degree of punishment, must expressly charge
it to have been committed under those circumstances, and must state the
circumstances with certainty and precision. [2 M. Hale, Pleas of the Crown
*170]." Archbold, Pleading and Evidence in Criminal Cases, at 51. If,
then, "upon an indictment under the statute, the prosecutor prove the
felony to have been committed, but fail in proving it to have been
committed under the circumstances specified in the statute, the defendant
shall be convicted of the common-law felony only." Id., at 188.*fn8 |
| [54] | We should be clear that nothing in this history suggests that it is
impermissible for judges to exercise discretion -- taking into
consideration various factors relating both to offense and offender -- in
imposing a judgment within the range prescribed by statute. We have often
noted that judges in this country have long exercised discretion of this
nature in imposing sentence within statutory limits in the individual
case. See, e.g., Williams v. New York, 337 U. S. 241, 246 (1949) ("[B]oth
before and since the American colonies became a nation, courts in this
country and in England practiced a policy under which a sentencing judge
could exercise a wide discretion in the sources and types of evidence used
to assist him in determining the kind and extent of punishment to be
imposed within limits fixed by law" (emphasis added)). As in Williams, our
periodic recognition of judges' broad discretion in sentencing -- since
the 19th-century shift in this country from statutes providing fixed-term
sentences to those providing judges discretion within a permissible range,
Note, The Admissibility of Character Evidence in Determining Sentence, 9
U. Chi. L. Rev. 715 (1942) -- has been regularly accompanied by the
qualification that that discretion was bound by the range of sentencing
options prescribed by the legislature. See, e.g., United States v. Tucker,
404 U. S. 443, 447 (1972) (agreeing that "[t]he Government is also on
solid ground in asserting that a sentence imposed by a federal district
judge, if within statutory limits, is generally not subject to review"
(emphasis added)); Williams, 337 U. S., at 246, 247 (explaining that, in
contrast to the guilt stage of trial, the judge's task in sentencing is to
determine, "within fixed statutory or constitutional limits[,] the type
and extent of punishment after the issue of guilt" has been resolved).*fn9 |
| [55] | The historic link between verdict and judgment and the consistent
limitation on judges' discretion to operate within the limits of the legal
penalties provided highlight the novelty of a legislative scheme that
removes the jury from the determination of a fact that, if found, exposes
the criminal defendant to a penalty exceeding the maximum he would receive
if punished according to the facts reflected in the jury verdict alone.*fn10 |
| [56] | We do not suggest that trial practices cannot change in the course of
centuries and still remain true to the principles that emerged from the
Framers' fears "that the jury right could be lost not only by gross
denial, but by erosion." Jones, 526 U. S., at 247-248.*fn11 But practice must at least adhere to the basic
principles undergirding the requirements of trying to a jury all facts
necessary to constitute a statutory offense, and proving those facts
beyond reasonable doubt. As we made clear in Winship, the "reasonable
doubt" requirement "has a vital role in our criminal procedure for cogent
reasons." 397 U. S., at 363. Prosecution subjects the criminal defendant
both to "the possibility that he may lose his liberty upon conviction and
... the certainty that he would be stigmatized by the conviction." Ibid.
We thus require this, among other, procedural protections in order to
"provid[e] concrete substance for the presumption of innocence," and to
reduce the risk of imposing such deprivations erroneously. Ibid. If a
defendant faces punishment beyond that provided by statute when an offense
is committed under certain circumstances but not others, it is obvious
that both the loss of liberty and the stigma attaching to the offense are
heightened; it necessarily follows that the defendant should not -- at the
moment the State is put to proof of those circumstances -- be deprived of
protections that have, until that point, unquestionably
attached. |
| [57] | Since Winship, we have made clear beyond peradventure that Winship's
due process and associated jury protections extend, to some degree, "to
determinations that [go] not to a defendant's guilt or innocence, but
simply to the length of his sentence." Almendarez-Torres, 523 U. S., at
251 (Scalia, J., dissenting). This was a primary lesson of Mullaney v.
Wilbur, 421 U. S. 684 (1975), in which we invalidated a Maine statute that
presumed that a defendant who acted with an intent to kill possessed the
"malice aforethought" necessary to constitute the State's murder offense
(and therefore, was subject to that crime's associated punishment of life
imprisonment). The statute placed the burden on the defendant of proving,
in rebutting the statutory presumption, that he acted with a lesser degree
of culpability, such as in the heat of passion, to win a reduction in the
offense from murder to manslaughter (and thus a reduction of the maximum
punishment of 20 years). |
| [58] | The State had posited in Mullaney that requiring a defendant to prove
heat-of-passion intent to overcome a presumption of murderous intent did
not implicate Winship protections because, upon conviction of either
offense, the defendant would lose his liberty and face societal stigma
just the same. Rejecting this argument, we acknowledged that criminal law
"is concerned not only with guilt or innocence in the abstract, but also
with the degree of criminal culpability" assessed. 421 U. S., at 697-698.
Because the "consequences" of a guilty verdict for murder and for
manslaughter differed substantially, we dismissed the possibility that a
State could circumvent the protections of Winship merely by "redefin[ing]
the elements that constitute different crimes, characterizing them as
factors that bear solely on the extent of punishment." 421 U. S., at
698.*fn12 |
| [59] | IV. |
| [60] | It was in McMillan v. Pennsylvania, 477 U. S. 79 (1986), that this
Court, for the first time, coined the term "sentencing factor" to refer to
a fact that was not found by a jury but that could affect the sentence
imposed by the judge. That case involved a challenge to the State's
Mandatory Minimum Sentencing Act, 42 Pa. Cons. Stat. §9712 (1982).
According to its provisions, anyone convicted of certain felonies would be
subject to a mandatory minimum penalty of five years imprisonment if the
judge found, by a preponderance of the evidence, that the person "visibly
possessed a firearm" in the course of committing one of the specified
felonies. 477 U. S., at 81-82. Articulating for the first time, and then
applying, a multifactor set of criteria for determining whether the
Winship protections applied to bar such a system, we concluded that the
Pennsylvania statute did not run afoul of our previous admonitions against
relieving the State of its burden of proving guilt, or tailoring the mere
form of a criminal statute solely to avoid Winship's strictures. 477 U.
S., at 86-88. |
| [61] | We did not, however, there budge from the position that (1)
constitutional limits exist to States' authority to define away facts
necessary to constitute a criminal offense, id., at 85-88, and (2) that a
state scheme that keeps from the jury facts that "expos[e] [defendants] to
greater or additional punishment," id., at 88, may raise serious
constitutional concern. As we explained: |
| [62] | "Section 9712 neither alters the maximum penalty for the crime
committed nor creates a separate offense calling for a separate penalty;
it operates solely to limit the sentencing court's discretion in selecting
a penalty within the range already available to it without the special
finding of visible possession of a firearm. . . . The statute gives no
impression of having been tailored to permit the visible possession
finding to be a tail which wags the dog of the substantive offense.
Petitioners' claim that visible possession under the Pennsylvania statute
is `really' an element of the offenses for which they are being punished
-- that Pennsylvania has in effect defined a new set of upgraded felonies
-- would have at least more superficial appeal if a finding of visible
possession exposed them to greater or additional punishment, cf. 18 U. S.
C. §2113(d) (providing separate and greater punishment for bank robberies
accomplished through `use of a dangerous weapon or device'), but it does
not." Id., at 87-88.*fn13 |
| [63] | Finally, as we made plain in Jones last Term, Almendarez-Torres v.
United States, 523 U. S. 224 (1998), represents at best an exceptional
departure from the historic practice that we have described. In that case,
we considered a federal grand jury indictment, which charged the
petitioner with "having been `found in the United States ... after being
deported,' " in violation of 8 U. S. C. §1326(a) -- an offense carrying a
maximum sentence of two years. 523 U. S., at 227. Almendarez-Torres
pleaded guilty to the indictment, admitting at the plea hearing that he
had been deported, that he had unlawfully reentered this country, and that
"the earlier deportation had taken place `pursuant to' three earlier
`convictions' for aggravated felonies." Ibid. The Government then filed a
presentence report indicating that Almendarez-Torres' offense fell within
the bounds of §1326(b) because, as specified in that provision, his
original deportation had been subsequent to an aggravated felony
conviction; accordingly, Almendarez-Torres could be subject to a sentence
of up to 20 years. Almendarez-Torres objected, contending that because the
indictment "had not mentioned his earlier aggravated felony convictions,"
he could be sentenced to no more than two years in prison.
Ibid. |
| [64] | Rejecting Almendarez-Torres' objection, we concluded that sentencing
him to a term higher than that attached to the offense alleged in the
indictment did not violate the strictures of Winship in that case. Because
Almendarez-Torres had admitted the three earlier convictions for
aggravated felonies -- all of which had been entered pursuant to
proceedings with substantial procedural safeguards of their own -- no
question concerning the right to a jury trial or the standard of proof
that would apply to a contested issue of fact was before the Court.
Although our conclusion in that case was based in part on our application
of the criteria we had invoked in McMillan, the specific question decided
concerned the sufficiency of the indictment. More important, as Jones made
crystal clear, 526 U. S., at 248-249, our conclusion in Almendarez-Torres
turned heavily upon the fact that the additional sentence to which the
defendant was subject was "the prior commission of a serious crime." 523
U. S., at 230; see also id., at 243 (explaining that "recidivism ... is a
traditional, if not the most traditional, basis for a sentencing court's
increasing an offender's sentence"); id., at 244 (emphasizing "the fact
that recidivism `does not relate to the commission of the offense ...' ");
Jones, 526 U. S, at 249-250, n. 10 ("The majority and the dissenters in
Almendarez-Torres disagreed over the legitimacy of the Court's decision to
restrict its holding to recidivism, but both sides agreed that the Court
had done just that"). Both the certainty that procedural safeguards
attached to any "fact" of prior conviction, and the reality that
Almendarez-Torres did not challenge the accuracy of that "fact" in his
case, mitigated the due process and Sixth Amendment concerns otherwise
implicated in allowing a judge to determine a "fact" increasing punishment
beyond the maximum of the statutory range.*fn14 |
| [65] | Even though it is arguable that Almendarez-Torres was incorrectly
decided,*fn15 and that a logical
application of our reasoning today should apply if the recidivist issue
were contested, Apprendi does not contest the decision's validity and we
need not revisit it for purposes of our decision today to treat the case
as a narrow exception to the general rule we recalled at the outset. Given
its unique facts, it surely does not warrant rejection of the otherwise
uniform course of decision during the entire history of our
jurisprudence. |
| [66] | In sum, our reexamination of our cases in this area, and of the
history upon which they rely, confirms the opinion that we expressed in
Jones. Other than the fact of a prior conviction, any fact that increases
the penalty for a crime beyond the prescribed statutory maximum must be
submitted to a jury, and proved beyond a reasonable doubt. With that
exception, we endorse the statement of the rule set forth in the
concurring opinions in that case: "[I]t is unconstitutional for a
legislature to remove from the jury the assessment of facts that increase
the prescribed range of penalties to which a criminal defendant is
exposed. It is equally clear that such facts must be established by proof
beyond a reasonable doubt." 526 U. S., at 252-253 (opinion of Stevens,
J.); see also id., at 253 (opinion of Scalia, J.).*fn16 |
| [67] | V. |
| [68] | The New Jersey statutory scheme that Apprendi asks us to invalidate
allows a jury to convict a defendant of a second-degree offense based on
its finding beyond a reasonable doubt that he unlawfully possessed a
prohibited weapon; after a subsequent and separate proceeding, it then
allows a judge to impose punishment identical to that New Jersey provides
for crimes of the first degree, N. J. Stat. Ann. §2C:43-6(a)(1) (West
1999), based upon the judge's finding, by a preponderance of the evidence,
that the defendant's "purpose" for unlawfully possessing the weapon was
"to intimidate" his victim on the basis of a particular characteristic the
victim possessed. In light of the constitutional rule explained above, and
all of the cases supporting it, this practice cannot stand. |
| [69] | New Jersey's defense of its hate crime enhancement statute has three
primary components: (1) the required finding of biased purpose is not an
"element" of a distinct hate crime offense, but rather the traditional
"sentencing factor" of motive; (2) McMillan holds that the legislature can
authorize a judge to find a traditional sentencing factor on the basis of
a preponderance of the evidence; and (3) Almendarez-Torres extended
McMillan's holding to encompass factors that authorize a judge to impose a
sentence beyond the maximum provided by the substantive statute under
which a defendant is charged. None of these persuades us that the
constitutional rule that emerges from our history and case law should
incorporate an exception for this New Jersey statute. |
| [70] | New Jersey's first point is nothing more than a disagreement with the
rule we apply today. Beyond this, we do not see how the argument can
succeed on its own terms. The state high court evinced substantial
skepticism at the suggestion that the hate crime statute's "purpose to
intimidate" was simply an inquiry into "motive." We share that skepticism.
The text of the statute requires the factfinder to determine whether the
defendant possessed, at the time he committed the subject act, a "purpose
to intimidate" on account of, inter alia, race. By its very terms, this
statute mandates an examination of the defendant's state of mind -- a
concept known well to the criminal law as the defendant's mens rea.*fn17 It makes no difference in identifying
the nature of this finding that Apprendi was also required, in order to
receive the sentence he did for weapons possession, to have possessed the
weapon with a "purpose to use [the weapon] unlawfully against the person
or property of another," §2C:39-4(a). A second mens rea requirement hardly
defeats the reality that the enhancement statute imposes of its own force
an intent requirement necessary for the imposition of sentence. On the
contrary, the fact that the language and structure of the "purpose to use"
criminal offense is identical in relevant respects to the language and
structure of the "purpose to intimidate" provision demonstrates to us that
it is precisely a particular criminal mens rea that the hate crime
enhancement statute seeks to target. The defendant's intent in committing
a crime is perhaps as close as one might hope to come to a core criminal
offense "element."*fn18 |
| [71] | The foregoing notwithstanding, however, the New Jersey Supreme Court
correctly recognized that it does not matter whether the required finding
is characterized as one of intent or of motive, because "[l]abels do not
afford an acceptable answer." 159 N. J., at 20, 731 A. 2d, at 492. That
point applies as well to the constitutionally novel and elusive
distinction between "elements" and "sentencing factors." McMillan, 477 U.
S., at 86 (noting that the sentencing factor -- visible possession of a
firearm --"might well have been included as an element of the enumerated
offenses"). Despite what appears to us the clear "elemental" nature of the
factor here, the relevant inquiry is one not of form, but of effect --
does the required finding expose the defendant to a greater punishment
than that authorized by the jury's guilty verdict?*fn19 |
| [72] | As the New Jersey Supreme Court itself understood in rejecting the
argument that the required "motive" finding was simply a "traditional"
sentencing factor, proof of motive did not ordinarily "increase the penal
consequences to an actor." 159 N. J., at 20, 731 A. 2d, at 492. Indeed,
the effect of New Jersey's sentencing "enhancement" here is unquestionably
to turn a second-degree offense into a first- degree offense, under the
State's own criminal code. The law thus runs directly into our warning in
Mullaney that Winship is concerned as much with the category of
substantive offense as "with the degree of criminal culpability" assessed.
421 U. S., 698. This concern flows not only from the historical pedigree
of the jury and burden rights, but also from the powerful interests those
rights serve. The degree of criminal culpability the legislature chooses
to associate with particular, factually distinct conduct has significant
implications both for a defendant's very liberty, and for the heightened
stigma associated with an offense the legislature has selected as worthy
of greater punishment. |
| [73] | The preceding discussion should make clear why the State's reliance on
McMillan is likewise misplaced. The differential in sentence between what
Apprendi would have received without the finding of biased purpose and
what he could receive with it is not, it is true, as extreme as the
difference between a small fine and mandatory life imprisonment. Mullaney,
421 U. S., at 700. But it can hardly be said that the potential doubling
of one's sentence -- from 10 years to 20 -- has no more than a nominal
effect. Both in terms of absolute years behind bars, and because of the
more severe stigma attached, the differential here is unquestionably of
constitutional significance. When a judge's finding based on a mere
preponderance of the evidence authorizes an increase in the maximum
punishment, it is appropriately characterized as "a tail which wags the
dog of the substantive offense." McMillan, 477 U. S., at 88. |
| [74] | New Jersey would also point to the fact that the State did not, in
placing the required biased purpose finding in a sentencing enhancement
provision, create a "separate offense calling for a separate penalty."
Ibid. As for this, we agree wholeheartedly with the New Jersey Supreme
Court that merely because the state legislature placed its hate crime
sentence "enhancer" "within the sentencing provisions" of the criminal
code "does not mean that the finding of a biased purpose to intimidate is
not an essential element of the offense." 159 N. J., at 20, 731 A. 2d, at
492. Indeed, the fact that New Jersey, along with numerous other States,
has also made precisely the same conduct the subject of an independent
substantive offense makes it clear that the mere presence of this
"enhancement" in a sentencing statute does not define its character.*fn20 |
| [75] | New Jersey's reliance on Almendarez-Torres is also unavailing. The
reasons supporting an exception from the general rule for the statute
construed in that case do not apply to the New Jersey statute. Whereas
recidivism "does not relate to the commission of the offense" itself, 523
U. S., at 230, 244, New Jersey's biased purpose inquiry goes precisely to
what happened in the "commission of the offense." Moreover, there is a
vast difference between accepting the validity of a prior judgment of
conviction entered in a proceeding in which the defendant had the right to
a jury trial and the right to require the prosecutor to prove guilt beyond
a reasonable doubt, and allowing the judge to find the required fact under
a lesser standard of proof. |
| [76] | Finally, this Court has previously considered and rejected the
argument that the principles guiding our decision today render invalid
state capital sentencing schemes requiring judges, after a jury verdict
holding a defendant guilty of a capital crime, to find specific
aggravating factors before imposing a sentence of death. Walton v.
Arizona, 497 U. S. 639, 647-649 (1990); id., at 709-714 (Stevens, J.,
dissenting). For reasons we have explained, the capital cases are not
controlling: |
| [77] | "Neither the cases cited, nor any other case, permits a judge to
determine the existence of a factor which makes a crime a capital offense.
What the cited cases hold is that, once a jury has found the defendant
guilty of all the elements of an offense which carries as its maximum
penalty the sentence of death, it may be left to the judge to decide
whether that maximum penalty, rather than a lesser one, ought to be
imposed ... . The person who is charged with actions that expose him to
the death penalty has an absolute entitlement to jury trial on all the
elements of the charge." Almendarez-Torres, 523 U. S., at 257, n. 2
(Scalia, J., dissenting) (emphasis deleted). See also Jones, 526 U. S., at
250-251; post, at 25-26 (Thomas, J., concurring).*fn21 |
| [78] | The New Jersey procedure challenged in this case is an unacceptable
departure from the jury tradition that is an indispensable part of our
criminal justice system. Accordingly, the judgment of the Supreme Court of
New Jersey is reversed, and the case is remanded for further proceedings
not inconsistent with this opinion. |
| [79] | It is so ordered. |
| [80] | Justice Scalia, concurring. |
| [81] | I feel the need to say a few words in response to Justice Breyer's
dissent. It sketches an admirably fair and efficient scheme of criminal
justice designed for a society that is prepared to leave criminal justice
to the State. (Judges, it is sometimes necessary to remind ourselves, are
part of the State -- and an increasingly bureaucratic part of it, at
that.) The founders of the American Republic were not prepared to leave it
to the State, which is why the jury-trial guarantee was one of the least
controversial provisions of the Bill of Rights. It has never been
efficient; but it has always been free. |
| [82] | As for fairness, which Justice Breyer believes "[i]n modern times,"
post, at 1, the jury cannot provide: I think it not unfair to tell a
prospective felon that if he commits his contemplated crime he is exposing
himself to a jail sentence of 30 years -- and that if, upon conviction, he
gets anything less than that he may thank the mercy of a tenderhearted
judge (just as he may thank the mercy of a tenderhearted parole commission
if he is let out inordinately early, or the mercy of a tenderhearted
governor if his sentence is commuted). Will there be disparities? Of
course. But the criminal will never get more punishment than he bargained
for when he did the crime, and his guilt of the crime (and hence the
length of the sentence to which he is exposed) will be determined beyond a
reasonable doubt by the unanimous vote of 12 of his fellow
citizens. |
| [83] | In Justice Breyer's bureaucratic realm of perfect equity, by contrast,
the facts that determine the length of sentence to which the defendant is
exposed will be determined to exist (on a more-likely-than-not basis) by a
single employee of the State. It is certainly arguable (Justice Breyer
argues it) that this sacrifice of prior protections is worth it. But it is
not arguable that, just because one thinks it is a better system, it must
be, or is even more likely to be, the system envisioned by a Constitution
that guarantees trial by jury. What ultimately demolishes the case for the
dissenters is that they are unable to say what the right to trial by jury
does guarantee if, as they assert, it does not guarantee -- what it has
been assumed to guarantee throughout our history -- the right to have a
jury determine those facts that determine the maximum sentence the law
allows. They provide no coherent alternative. |
| [84] | Justice Breyer proceeds on the erroneous and all-too-common assumption
that the Constitution means what we think it ought to mean. It does not;
it means what it says. And the guarantee that "[i]n all criminal
prosecutions, the accused shall enjoy the right to . . . trial, by an
impartial jury" has no intelligible content unless it means that all the
facts which must exist in order to subject the defendant to a legally
prescribed punishment must be found by the jury. |
| [85] | Thomas, J., concurring |
| [86] | Justice Thomas, with whom Justice Scalia joins as to Parts I and II,
concurring. |
| [87] | I join the opinion of the Court in full. I write separately to explain
my view that the Constitution requires a broader rule than the Court
adopts. |
| [88] | I. |
| [89] | This case turns on the seemingly simple question of what constitutes a
"crime." Under the Federal Constitution, "the accused" has the right (1)
"to be informed of the nature and cause of the accusation" (that is, the
basis on which he is accused of a crime), (2) to be "held to answer for a
capital, or otherwise infamous crime" only on an indictment or presentment
of a grand jury, and (3) to be tried by "an impartial jury of the State
and district wherein the crime shall have been committed." Amdts. 5 and 6.
See also Art. III, §2, cl. 3 ("The Trial of all Crimes ... shall be by
Jury"). With the exception of the Grand Jury Clause, see Hurtado v.
California, 110 U. S. 516, 538 (1884), the Court has held that these
protections apply in state prosecutions, Herring v. New York, 422 U. S.
853, 857, and n. 7 (1975). Further, the Court has held that due process
requires that the jury find beyond a reasonable doubt every fact necessary
to constitute the crime. In re Winship, 397 U. S. 358, 364
(1970). |
| [90] | All of these constitutional protections turn on determining which
facts constitute the "crime" -- that is, which facts are the "elements" or
"ingredients" of a crime. In order for an accusation of a crime (whether
by indictment or some other form) to be proper under the common law, and
thus proper under the codification of the common-law rights in the Fifth
and Sixth Amendments, it must allege all elements of that crime; likewise,
in order for a jury trial of a crime to be proper, all elements of the
crime must be proved to the jury (and, under Winship, proved beyond a
reasonable doubt). See J. Story, Commentaries on the Constitution
§§928-929, pp. 660-662, §934, p. 664 (1833); J. Archbold, Pleading and
Evidence in Criminal Cases *41, *99-*100 (5th Am. ed. 1846) (hereinafter
Archbold).*fn22 |
| [91] | Thus, it is critical to know which facts are elements. This question
became more complicated following the Court's decision in McMillan v.
Pennsylvania, 477 U. S. 79 (1986), which spawned a special sort of fact
known as a sentencing enhancement. See ante, at 11, 19, 28. Such a fact
increases a defendant's punishment but is not subject to the
constitutional protections to which elements are subject. Justice
O'Connor's dissent, in agreement with McMillan and Almendarez-Torres v.
United States, 523 U. S. 224 (1998), takes the view that a legislature is
free (within unspecified outer limits) to decree which facts are elements
and which are sentencing enhancements. Post, at 2. |
| [92] | Sentencing enhancements may be new creatures, but the question that
they create for courts is not. Courts have long had to consider which
facts are elements in order to determine the sufficiency of an accusation
(usually an indictment). The answer that courts have provided regarding
the accusation tells us what an element is, and it is then a simple matter
to apply that answer to whatever constitutional right may be at issue in a
case -- here, Winship and the right to trial by jury. A long line of
essentially uniform authority addressing accusations, and stretching from
the earliest reported cases after the founding until well into the 20th
century, establishes that the original understanding of which facts are
elements was even broader than the rule that the Court adopts
today. |
| [93] | This authority establishes that a "crime" includes every fact that is
by law a basis for imposing or increasing punishment (in contrast with a
fact that mitigates punishment). Thus, if the legislature defines some
core crime and then provides for increasing the punishment of that crime
upon a finding of some aggravating fact -- of whatever sort, including the
fact of a prior conviction -- the core crime and the aggravating fact
together constitute an aggravated crime, just as much as grand larceny is
an aggravated form of petit larceny. The aggravating fact is an element of
the aggravated crime. Similarly, if the legislature, rather than creating
grades of crimes, has provided for setting the punishment of a crime based
on some fact -- such as a fine that is proportional to the value of stolen
goods -- that fact is also an element. No multi-factor parsing of
statutes, of the sort that we have attempted since McMillan, is necessary.
One need only look to the kind, degree, or range of punishment to which
the prosecution is by law entitled for a given set of facts. Each fact
necessary for that entitlement is an element. |
| [94] | II. |
| [95] | A. |
| [96] | Cases from the founding to roughly the end of the Civil War establish
the rule that I have described, applying it to all sorts of facts,
including recidivism. As legislatures varied common-law crimes and created
new crimes, American courts, particularly from the 1840's on, readily
applied to these new laws the common-law understanding that a fact that is
by law the basis for imposing or increasing punishment is an element.*fn23 |
| [97] | Massachusetts, which produced the leading cases in the antebellum
years, applied this rule as early as 1804, in Commonwealth v. Smith, 1
Mass. *245, and foreshadowed the fuller discussion that was to come. Smith
was indicted for and found guilty of larceny, but the indictment failed to
allege the value of all of the stolen goods. Massachusetts had abolished
the common-law distinction between grand and simple larceny, replacing it
with a single offense of larceny whose punishment (triple damages) was
based on the value of the stolen goods. The prosecutor relied on this
abolition of the traditional distinction to justify the indictment's
omissions. The court, however, held that it could not sentence the
defendant for the stolen goods whose value was not set out in the
indictment. Id., at *246-*247. |
| [98] | The understanding implicit in Smith was explained in Hope v.
Commonwealth, 50 Mass. 134 (1845). Hope was indicted for and convicted of
larceny. The larceny statute at issue retained the single-offense
structure of the statute addressed in Smith, and established two levels of
sentencing based on whether the value of the stolen property exceeded
$100. The statute was structured similarly to the statutes that we
addressed in Jones v. United States, 526 U. S. 227, 230 (1999), and, even
more, Castillo v. United States, ante, at __ (slip op., at 2), in that it
first set out the core crime and then, in subsequent clauses, set out the
ranges of punishments.*fn24 Further, the
statute opened by referring simply to "the offence of larceny,"
suggesting, at least from the perspective of our post-McMillan cases, that
larceny was the crime whereas the value of the stolen property was merely
a fact for sentencing. But the matter was quite simple for the
Massachusetts high court. Value was an element because punishment varied
with value: |
| [99] | "Our statutes, it will be remembered, prescribe the punishment for
larceny, with reference to the value of the property stolen; and for this
reason, as well as because it is in conformity with long established
practice, the court are of opinion that the value of the property alleged
to be stolen must be set forth in the indictment." 50 Mass., at
137. |
| [100] | Two years after Hope, the court elaborated on this rule in a case
involving burglary, stating that if "certain acts are, by force of the
statutes, made punishable with greater severity, when accompanied with
aggravating circumstances," then the statute has "creat[ed] two grades of
crime." Larned v. Commonwealth, 53 Mass. 240, 242 (1847). See also id., at
241 ("[T]here is a gradation of offences of the same species" where the
statute sets out "various degrees of punishment"). |
| [101] | Conversely, where a fact was not the basis for punishment, that fact
was, for that reason, not an element. Thus, in Commonwealth v. McDonald,
59 Mass. 365 (1850), which involved an indictment for attempted larceny
from the person, the court saw no error in the failure of the indictment
to allege any value of the goods that the defendant had attempted to
steal. The defendant, in challenging the indictment, apparently relied on
Smith and Hope, and the court rejected his challenge by explaining that
"[a]s the punishment ... does not depend on the amount stolen, there was
no occasion for any allegation as to value in this indictment." 59 Mass.,
at 367. See Commonwealth v. Burke, 94 Mass. 182, 183 (1866) (applying same
reasoning to completed larceny from the person; finding no trial error
where value was not proved to jury). |
| [102] | Similar reasoning was employed by the Wisconsin Supreme Court in Lacy
v. State, 15 Wis. *13 (1862), in interpreting a statute that was also
similar to the statutes at issue in Jones and Castillo. The statute, in a
single paragraph, outlawed arson of a dwelling house at night. Arson that
killed someone was punishable by life in prison; arson that did not kill
anyone was punishable by 7 to 14 years in prison; arson of a house in
which no person was lawfully dwelling was punishable by 3 to 10 years.*fn25 The court had no trouble concluding
that the statute "creates three distinct statutory offenses," 15 Wis., at
*15, and that the lawful presence of a person in the dwelling was an
element of the middle offense. The court reasoned from the gradations of
punishment: "That the legislature considered the circumstance that a
person was lawfully in the dwelling house when fire was set to it most
material and important, and as greatly aggravating the crime, is clear
from the severity of the punishment imposed." Id., at *16. The
"aggravating circumstances" created "the higher statutory offense[s]."
Id., at *17. Because the indictment did not allege that anyone had been
present in the dwelling, the court reversed the defendant's 14-year
sentence, but, relying on Larned, supra, the court remanded to permit
sentencing under the lowest grade of the crime (which was properly alleged
in the indictment). 15 Wis., at *17. |
| [103] | Numerous other state and federal courts in this period took the same
approach to determining which facts are elements of a crime. See Ritchey
v. State, 7 Blackf. 168, 169 (Ind. 1844) (citing Commonwealth v. Smith, 1
Mass. *245 (1804), and holding that indictment for arson must allege value
of property destroyed, because statute set punishment based on value);
Spencer v. State, 13 Ohio 401, 406, 408 (1844) (holding that value of
goods intended to be stolen is not "an ingredient of the crime" of
burglary with intent to steal, because punishment under statute did not
depend on value; contrasting larceny, in which "[v]alue must be laid, and
value proved, that the jury may find it, and the court, by that means,
know whether it is grand or petit, and apply the grade of punishment the
statute awards"); United States v. Fisher, 25 F. Cas. 1086 (CC Ohio 1849)
(McLean, J.) ("A carrier of the mail is subject to a higher penalty where
he steals a letter out of the mail, which contains an article of value.
And when this offense is committed, the indictment must allege the letter
contained an article of value, which aggravates the offense and incurs a
higher penalty"); Brightwell v. State, 41 Ga. 482, 483 (1871) ("When the
law prescribes a different punishment for different phases of the same
crime, there is good reason for requiring the indictment to specify which
of the phases the prisoner is charged with. The record ought to show that
the defendant is convicted of the offense for which he is sentenced"). Cf.
State v. Farr, 12 Rich. 24, 29 (S. C. App. 1859) (where two statutes
barred purchasing corn from a slave, and one referred to purchasing from
slave who lacked a permit, absence of permit was not an element, because
both statutes had the same punishment). |
| [104] | Also demonstrating the common-law approach to determining elements was
the well-established rule that, if a statute increased the punishment of a
common-law crime, whether felony or misdemeanor, based on some fact, then
that fact must be charged in the indictment in order for the court to
impose the increased punishment. Archbold *106; see id., at *50; ante, at
13-14. There was no question of treating the statutory aggravating fact as
merely a sentencing enhancement -- as a nonelement enhancing the sentence
of the common-law crime. The aggravating fact was an element of a new,
aggravated grade of the common-law crime simply because it increased the
punishment of the common-law crime. And the common-law crime was, in
relation to the statutory one, essentially just like any other lesser
included offense. See Archbold *106. |
| [105] | Further evidence of the rule that a crime includes every fact that is
by law a basis for imposing or increasing punishment comes from early
cases addressing recidivism statutes. As Justice Scalia has explained,
there was a tradition of treating recidivism as an element. See
Almendarez-Torres, 523 U. S., at 256-257, 261 (dissenting opinion). That
tradition stretches back to the earliest years of the Republic. See, e.g.,
Commonwealth v. Welsh, 4 Va. 57 (1817); Smith v. Commonwealth, 14 Serg.
& Rawle 69 (Pa. 1826); see also Archbold *695-*696. For my purposes,
however, what is noteworthy is not so much the fact of that tradition as
the reason for it: Courts treated the fact of a prior conviction just as
any other fact that increased the punishment by law. By the same reasoning
that the courts employed in Hope, Lacy, and the other cases discussed
above, the fact of a prior conviction was an element, together with the
facts constituting the core crime of which the defendant was charged, of a
new, aggravated crime. |
| [106] | The two leading antebellum cases on whether recidivism is an element
were Plumbly v. Commonwealth, 43 Mass. 413 (1841), and Tuttle v.
Commonwealth, 68 Mass. 505 (1854). In the latter, the court explained the
reason for treating as an element the fact of the prior
conviction: |
| [107] | "When the statute imposes a higher penalty upon a second and third
conviction, respectively, it makes the prior conviction of a similar
offence a part of the description and character of the offence intended to
be punished; and therefore the fact of such prior conviction must be
charged, as well as proved. It is essential to an indictment, that the
facts constituting the offence intended to be punished should be averred."
Id., at 506. |
| [108] | The court rested this rule on the common law and the Massachusetts
equivalent of the Sixth Amendment's Notice Clause. Ibid. See also
Commonwealth v. Haynes, 107 Mass. 194, 198 (1871) (reversing sentence,
upon confession of error by attorney general, in case similar to
Tuttle). |
| [109] | Numerous other cases treating the fact of a prior conviction as an
element of a crime take the same view. They make clear, by both their
holdings and their language, that when a statute increases punishment for
some core crime based on the fact of a prior conviction, the core crime
and the fact of the prior crime together create a new, aggravated crime.
Kilbourn v. State, 9 Conn. 560, 563 (1833) ("No person ought to be, or can
be, subjected to a cumulative penalty, without being charged with a
cumulative offence"); Plumbly, supra, at 414 (conviction under recidivism
statute is "one conviction, upon one aggregate offence"); Hines v. State,
26 Ga. 614, 616 (1859) (reversing enhanced sentence imposed by trial judge
and explaining, "[T]he question, whether the offence was a second one, or
not, was a question for the jury... . The allegation [of a prior offence]
is certainly one of the first importance to the accused, for if it is
true, he becomes subject to a greatly increased punishment"). See also
Commonwealth v. Phillips, 28 Mass. 28, 33 (1831) ("[U]pon a third
conviction, the court may sentence the convict to hard labor for life. The
punishment is to be awarded upon that conviction, and for the offence of
which he is then and there convicted"). |
| [110] | Even the exception to this practice of including the fact of a prior
conviction in the indictment and trying it to the jury helps to prove the
rule that that fact is an element because it increases the punishment by
law. In State v. Freeman, 27 Vt. 523 (1855), the Vermont Supreme Court
upheld a statute providing that, in an indictment or complaint for
violation of a liquor law, it was not necessary to allege a prior
conviction of that law in order to secure an increased sentence. But the
court did not hold that the prior conviction was not an element; instead,
it held that the liquor law created only minor offenses that did not
qualify as crimes. Thus, the state constitutional protections that would
attach were a "crime" at issue did not apply. Id., at 527; see Goeller v.
State, 119 Md. 61, 66-67, 85 A. 954, 956 (1912) (discussing Freeman). At
the same time, the court freely acknowledged that it had "no doubt" of the
general rule, particularly as articulated in Massachusetts, that "it is
necessary to allege the former conviction, in the indictment, when a
higher sentence is claimed on that account." Freeman, supra, at 526.
Unsurprisingly, then, a leading treatise explained Freeman as only
"apparently" contrary to the general rule and as involving a "special
statute." 3 F. Wharton, Criminal Law §3417, p. 307, n. r (7th rev. ed.
1874) (hereinafter Wharton). In addition, less than a decade after
Freeman, the same Vermont court held that if a defendant charged with a
successive violation of the liquor laws contested identity -- that is,
whether the person in the record of the prior conviction was the same as
the defendant -- he should be permitted to have a jury resolve the
question. State v. Haynes, 35 Vt. 570, 572-573 (1863). (Freeman itself had
anticipated this holding by suggesting the use of a jury to resolve
disputes over identity. See 27 Vt., at 528.) In so holding, Haynes all but
applied the general rule, since a determination of identity was usually
the chief factual issue whenever recidivism was charged. See Archbold
*695-*696; see also, e.g., Graham v. West Virginia, 224 U. S. 616, 620-621
(1912) (defendant had been convicted under three different names).*fn26 |
| [111] | B. |
| [112] | An 1872 treatise by one of the leading authorities of the era in
criminal law and procedure confirms the common-law understanding that the
above cases demonstrate. The treatise condensed the traditional
understanding regarding the indictment, and thus regarding the elements of
a crime, to the following: "The indictment must allege whatever is in law
essential to the punishment sought to be inflicted." 1 J. Bishop, Law of
Criminal Procedure 50 (2d ed. 1872) (hereinafter Bishop, Criminal
Procedure). See id., §81, at 51 ("[T]he indictment must contain an
allegation of every fact which is legally essential to the punishment to
be inflicted"); id., §540, at 330 ("[T]he indictment must ... contain an
averment of every particular thing which enters into the punishment").
Crimes, he explained, consist of those "acts to which the law affixes ...
punishment," id., §80, at 51, or, stated differently, a crime consists of
the whole of "the wrong upon which the punishment is based," id., §84, at
53. In a later edition, Bishop similarly defined the elements of a crime
as "that wrongful aggregation out of which the punishment proceeds." 1 J.
Bishop, New Criminal Procedure §84, p. 49 (4th ed. 1895). |
| [113] | Bishop grounded his definition in both a generalization from
well-established common-law practice, 1 Bishop, Criminal Procedure
§§81-84, at 51-53, and in the provisions of Federal and State
Constitutions guaranteeing notice of an accusation in all criminal cases,
indictment by a grand jury for serious crimes, and trial by jury. With
regard to the common law, he explained that his rule was "not made
apparent to our understandings by a single case only, but by all the
cases," id., §81, at 51, and was followed "in all cases, without one
exception," id., §84, at 53. To illustrate, he observed that there
are |
| [114] | "various statutes whereby, when ... assault is committed with a
particular intent, or with a particular weapon, or the like, it is
subjected to a particular corresponding punishment, heavier than that for
common assault, or differing from it, pointed out by the statute. And the
reader will notice that, in all cases where the peculiar or aggravated
punishment is to be inflicted, the peculiar or aggravating matter is
required to be set out in the indictment." Id., §82, at 52. |
| [115] | He also found burglary statutes illustrative in the same way. Id.,
§83, at 52-53. Bishop made no exception for the fact of a prior conviction
-- he simply treated it just as any other aggravating fact: "[If] it is
sought to make the sentence heavier by reason of its being [a second or
third offence], the fact thus relied on must be averred in the indictment;
because the rules of criminal procedure require the indictment, in all
cases, to contain an averment of every fact essential to the punishment
sought to be inflicted." 1 J. Bishop, Commentaries on Criminal Law §961,
pp. 564-565 (5th ed. 1872). |
| [116] | The constitutional provisions provided further support, in his view,
because of the requirements for a proper accusation at common law and
because of the common-law understanding that a proper jury trial required
a proper accusation: "The idea of a jury trial, as it has always been
known where the common law prevails, includes the allegation, as part of
the machinery of the trial... . [A]n accusation which lacks any particular
fact which the law makes essential to the punishment is ... no accusation
within the requirements of the common law, and it is no accusation in
reason." 1 Bishop, Criminal Procedure §87, at 55. See id., §88, at 56
(notice and indictment requirements ensure that before "persons held for
crimes ... shall be convicted, there shall be an allegation made against
them of every element of crime which the law makes essential to the
punishment to be inflicted"). |
| [117] | Numerous high courts contemporaneously and explicitly agreed that
Bishop had accurately captured the common-law understanding of what facts
are elements of a crime. See, e.g., Hobbs v. State, 44 Tex. 353, 354
(1875) (favorably quoting 1 Bishop, Criminal Procedure §81); Maguire v.
State, 47 Md. 485, 497 (1878) (approvingly citing different Bishop
treatise for the same rule); Larney v. Cleveland, 34 Ohio St. 599, 600
(1878) (rule and reason for rule "are well stated by Mr. Bishop"); State
v. Hayward, 83 Mo. 299, 307 (1884) (extensively quoting §81 of Bishop's
"admirable treatise"); Riggs v. State, 104 Ind. 261, 262, 3 N. E. 886, 887
(1885) ("We agree with Mr. Bishop that the nature and cause of the
accusation are not stated where there is no mention of the full act or
series of acts for which the punishment is to be inflicted" (internal
quotation marks omitted)); State v. Perley, 86 Me. 427, 431, 30 A. 74, 75
(1894) ("The doctrine of the court, says Mr. Bishop, is identical with
that of reason, viz: that the indictment must contain an allegation of
every fact which is legally essential to the punishment to be inflicted"
(internal quotation marks omitted)); see also United States v. Reese, 92
U. S. 214, 232-233 (1876) (Clifford, J., concurring in judgment) (citing
and paraphrasing 1 Bishop, Criminal Procedure §81). |
| [118] | C. |
| [119] | In the half century following publication of Bishop's treatise,
numerous courts applied his statement of the common-law understanding;
most of them explicitly relied on his treatise. Just as in the earlier
period, every fact that was by law a basis for imposing or increasing
punishment (including the fact of a prior conviction) was an element. Each
such fact had to be included in the accusation of the crime and proved to
the jury. |
| [120] | Courts confronted statutes quite similar to the ones with which we
have struggled since McMillan, and, applying the traditional rule, they
found it not at all difficult to determine whether a fact was an element.
In Hobbs, supra, the defendant was indicted for a form of burglary
punishable by 2 to 5 years in prison. A separate statutory section
provided for an increased sentence, up to double the punishment to which
the defendant would otherwise be subject, if the entry into the house was
effected by force exceeding that incidental to burglary. The trial court
instructed the jury to sentence the defendant to 2 to 10 years if it found
the requisite level of force, and the jury sentenced him to 3. The Texas
Supreme Court, relying on Bishop, reversed because the indictment had not
alleged such force; even though the jury had sentenced Hobbs within the
range (2 to 5 years) that was permissible under the lesser crime that the
indictment had charged, the court thought it "impossible to say ... that
the erroneous charge of the court may not have had some weight in leading
the jury" to impose the sentence that it did. 44 Tex., at 355.*fn27 See also Searcy v. State, 1 Tex. App.
440, 444 (1876) (similar); Garcia v. State, 19 Tex. App. 389, 393 (1885)
(not citing Hobbs, but relying on Bishop to reverse 10-year sentence for
assault with a bowie-knife or dagger, where statute doubled range for
assault from 2 to 7 to 4 to 14 years if the assault was committed with
either weapon but where indictment had not so alleged). |
| [121] | As in earlier cases, such as McDonald (discussed supra, at 5-6),
courts also used the converse of the Bishop rule to explain when a fact
was not an element of the crime. In Perley, supra, the defendant was
indicted for and convicted of robbery, which was punishable by
imprisonment for life or any term of years. The court, relying on Bishop,
Hope, McDonald, and other authority, rejected his argument that Maine's
Notice Clause (which of course required all elements to be alleged)
required the indictment to allege the value of the goods stolen, because
the punishment did not turn on value: "[T]here is no provision of this
statute which makes the amount of property taken an essential element of
the offense; and there is no statute in this State which creates degrees
in robbery, or in any way makes the punishment of the offense dependent
upon the value of the property taken." 86 Me., at 432, 30 A., at 75. The
court further explained that "where the value is not essential to the
punishment it need not be distinctly alleged or proved." Id., at 433, 30
A., at 76. |
| [122] | Reasoning similar to Perley and the Texas cases is evident in other
cases as well. See Jones v. State, 63 Ga. 141, 143 (1879) (where
punishment for burglary in the day is 3 to 5 years in prison and for
burglary at night is 5 to 20, time of burglary is a "constituent of the
offense"; indictment should "charge all that is requisite to render plain
and certain every constituent of the offense"); United States v. Woodruff,
68 F. 536, 538 (Kan. 1895) (where embezzlement statute "contemplates that
there should be an ascertainment of the exact sum for which a fine may be
imposed" and jury did not determine amount, judge lacked authority to
impose fine; "[o]n such an issue the defendant is entitled to his
constitutional right of trial by jury"). |
| [123] | Courts also, again just as in the pre-Bishop period, applied the same
reasoning to the fact of a prior conviction as they did to any other fact
that aggravated the punishment by law. Many, though far from all, of these
courts relied on Bishop. In 1878, Maryland's high court, in Maguire v.
State, 47 Md. 485, stated the rule and the reason for it in language
indistinguishable from that of Tuttle a quarter century
before: |
| [124] | "The law would seem to be well settled, that if the party be proceeded
against for a second or third offence under the statute, and the sentence
prescribed be different from the first, or severer, by reason of its being
such second or third offence, the fact thus relied on must be averred in
the indictment; for the settled rule is, that the indictment must contain
an averment of every fact essential to justify the punishment inflicted."
Maguire, supra, at 496 (citing English cases, Plumbly v. Commonwealth, 43
Mass. 413 (1841), Wharton, and Bishop). |
| [125] | In Goeller v. State, 119 Md. 61, 85 A. 954 (1912), the same court
reaffirmed Maguire and voided, as contrary to Maryland's Notice Clause, a
statute that permitted the trial judge to determine the fact of a prior
conviction. The court extensively quoted Bishop, who had, in the court's
view, treated the subject "more fully, perhaps, than any other legal
writer," and it cited, among other authorities, "a line of Massachusetts
decisions" and Riggs (quoted supra, at 14). 119 Md., at 66, 85 A., at 955.
In Larney, 34 Ohio St., at 600-601, the Supreme Court of Ohio, in an
opinion citing only Bishop, reversed a conviction under a recidivism
statute where the indictment had not alleged any prior conviction. (The
defendant had also relied on Plumbly, supra, and Kilbourn v. State, 9
Conn. 560 (1833). 34 Ohio St., at 600.) And in State v. Adams, 64 N. H.
440, 13 A. 785 (1888), the court, relying on Bishop, explained that "[t]he
former conviction being a part of the description and character of the
offense intended to be punished, because of the higher penalty imposed, it
must be alleged." Id., at 442, 13 A., at 786. The defendant had been
"charged with an offense aggravated by its repetitious character." Ibid.
See also Evans v. State, 150 Ind. 651, 653, 50 N. E. 820 (1898) (similar);
Shiflett v. Commonwealth, 114 Va. 876, 877, 77 S. E. 606, 607 (1913)
(similar). |
| [126] | Even without any reliance on Bishop, other courts addressing
recidivism statutes employed the same reasoning as did he and the above
cases -- that a crime includes any fact to which punishment attaches. One
of the leading cases was Wood v. People, 53 N. Y. 511 (1873). The statute
in Wood provided for increased punishment if the defendant had previously
been convicted of a felony then discharged from the conviction. The court,
repeatedly referring to "the aggravated offence," id., at 513, 515, held
that the facts of the prior conviction and of the discharge must be proved
to the jury, for "[b]oth enter into and make a part of the offence... .
subjecting the prisoner to the increased punishment." Id., at 513; see
ibid. (fact of prior conviction was an "essential ingredient" of the
offense). See also Johnson v. People, 55 N. Y. 512, 514 (1874) ("A more
severe penalty is denounced by the statute for a second offence; and all
the facts to bring the case within the statute must be [alleged in the
indictment and] established on the trial"); People v. Sickles, 156 N. Y.
541, 544-545, 51 N. E. 288, 289 (1898) (reaffirming Wood and Johnson and
explaining that "the charge is not merely that the prisoner has committed
the offense specifically described, but that, as a former convict, his
second offense has subjected him to an enhanced penalty"). |
| [127] | Contemporaneously with the New York Court of Appeals in Wood and
Johnson, state high courts in California and Pennsylvania offered similar
explanations for why the fact of a prior conviction is an element. In
People v. Delany, 49 Cal. 394 (1874), which involved a statute making
petit larceny (normally a misdemeanor) a felony if committed following a
prior conviction for petit larceny, the court left no doubt that the fact
of the prior conviction was an element of an aggravated crime consisting
of petit larceny committed following a prior conviction for petit
larceny: |
| [128] | "The particular circumstances of the offense are stated [in the
indictment], and consist of the prior convictions and of the facts
constituting the last larceny. |
| [129] | "[T]he former convictions are made to adhere to and constitute a
portion of the aggravated offense." Id., at 395. |
| [130] | "The felony consists both of the former convictions and of the
particular larceny... . [T]he former convictions were a separate fact;
which, taken in connection with the facts constituting the last offense,
make a distinct and greater offense than that charged, exclusive of the
prior convictions." Id., at 396.*fn28
See also People v. Coleman, 145 Cal. 609, 610-611, 79 P. 283, 284-285
(1904). |
| [131] | Similarly, in Rauch v. Commonwealth, 78 Pa. 490 (1876), the court
applied its 1826 decision in Smith v. Commonwealth, 14 Serg. & Rawle
69, and reversed the trial court's imposition of an enhanced sentence
"upon its own knowledge of its records." 78 Pa., at 494. The court
explained that "imprisonment in jail is not a lawful consequence of a mere
conviction for an unlawful sale of liquors. It is the lawful consequence
of a second sale only after a former conviction. On every principle of
personal security and the due administration of justice, the fact which
gives rightfulness to the greater punishment should appear in the record."
Ibid. See also id., at 495 ("But clearly the substantive offence, which
draws to itself the greater punishment, is the unlawful sale after a
former conviction. This, therefore, is the very offence he is called upon
to defend against"). |
| [132] | Meanwhile, Massachusetts reaffirmed its earlier decisions, striking
down, in Commonwealth v. Harrington, 130 Mass. 35 (1880), a liquor law
that provided a small fine for a first or second conviction, provided a
larger fine or imprisonment up to a year for a third conviction, and
specifically provided that a prior conviction need not be alleged in the
complaint. The court found this law plainly inconsistent with Tuttle and
with the State's Notice Clause, explaining that "the offence which is
punishable with the higher penalty is not fully and substantially
described to the defendant, if the complaint fails to set forth the former
convictions which are essential features of it." 130 Mass., at 36.*fn29 |
| [133] | Without belaboring the point any further, I simply note that this
traditional understanding -- that a "crime" includes every fact that is by
law a basis for imposing or increasing punishment -- continued well into
the 20th century, at least until the middle of the century. See Knoll
& Singer, Searching for the "Tail of the Dog": Finding "Elements" of
Crimes in the Wake of McMillan v. Pennsylvania, 22 Seattle U. L. Rev.
1057, 1069-1081 (1999) (surveying 20th century decisions of federal courts
prior to McMillan); see also People v. Ratner, 67 Cal. App. 2d Supp. 902,
153 P. 2d 790, 791-793 (1944). In fact, it is fair to say that McMillan
began a revolution in the law regarding the definition of "crime." Today's
decision, far from being a sharp break with the past, marks nothing more
than a return to the status quo ante -- the status quo that reflected the
original meaning of the Fifth and Sixth Amendments. |
| [134] | III. |
| [135] | The consequence of the above discussion for our decisions in
Almendarez-Torres and McMillan should be plain enough, but a few points
merit special mention. |
| [136] | First, it is irrelevant to the question of which facts are elements
that legislatures have allowed sentencing judges discretion in determining
punishment (often within extremely broad ranges). See ante, at 14-15;
post, at 23-25 (O'Connor, J., dissenting). Bishop, immediately after
setting out the traditional rule on elements, explained why: |
| [137] | "The reader should distinguish between the foregoing doctrine, and the
doctrine ... that, within the limits of any discretion as to the
punishment which the law may have allowed, the judge, when he pronounces
sentence, may suffer his discretion to be influenced by matter shown in
aggravation or mitigation, not covered by the allegations of the
indictment... . The aggravating circumstances spoken of cannot swell the
penalty above what the law has provided for the acts charged against the
prisoner, and they are interposed merely to check the judicial discretion
in the exercise of the permitted mercy [in finding mitigating
circumstances]. This is an entirely different thing from punishing one for
what is not alleged against him." 1 Bishop, Criminal Procedure §85, at
54. |
| [138] | See also 1 J. Bishop, New Commentaries on the Criminal Law §§600-601,
pp. 370-371, §948, p. 572 (8th ed. 1892) (similar). In other words,
establishing what punishment is available by law and setting a specific
punishment within the bounds that the law has prescribed are two different
things.*fn30 Cf. 4 W. Blackstone,
Commentaries on the Law of England 371-372 (1769) (noting judges' broad
discretion in setting amount of fine and length of imprisonment for
misdemeanors, but praising determinate punishment and "discretion ...
regulated by law"); Perley, 86 Me., at 429, 432, 30 A., at 74, 75-76
(favorably discussing Bishop's rule on elements without mentioning, aside
from quotation of statute in statement of facts, that defendant's
conviction for robbery exposed him to imprisonment for life or any term of
years). Thus, it is one thing to consider what the Constitution requires
the prosecution to do in order to entitle itself to a particular kind,
degree, or range of punishment of the accused, see Woodruff, 68 F., at
538, and quite another to consider what constitutional constraints apply
either to the imposition of punishment within the limits of that
entitlement or to a legislature's ability to set broad ranges of
punishment. In answering the former constitutional question, I need not,
and do not, address the latter. |
| [139] | Second, and related, one of the chief errors of Almendarez-Torres --
an error to which I succumbed -- was to attempt to discern whether a
particular fact is traditionally (or typically) a basis for a sentencing
court to increase an offender's sentence. 523 U. S., at 243-244; see id.,
at 230, 241. For the reasons I have given, it should be clear that this
approach just defines away the real issue. What matters is the way by
which a fact enters into the sentence. If a fact is by law the basis for
imposing or increasing punishment -- for establishing or increasing the
prosecution's entitlement -- it is an element. (To put the point
differently, I am aware of no historical basis for treating as a
nonelement a fact that by law sets or increases punishment.) When one
considers the question from this perspective, it is evident why the fact
of a prior conviction is an element under a recidivism statute. Indeed,
cases addressing such statutes provide some of the best discussions of
what constitutes an element of a crime. One reason frequently offered for
treating recidivism differently, a reason on which we relied in
Almendarez-Torres, supra, at 235, is a concern for prejudicing the jury by
informing it of the prior conviction. But this concern, of which earlier
courts were well aware, does not make the traditional understanding of
what an element is any less applicable to the fact of a prior conviction.
See, e.g., Maguire, 47 Md., at 498; Sickles, 156 N. Y., at 547, 51 N. E.,
at 290.*fn31 |
| [140] | Third, I think it clear that the common-law rule would cover the
McMillan situation of a mandatory minimum sentence (in that case, for
visible possession of a firearm during the commission of certain crimes).
No doubt a defendant could, under such a scheme, find himself sentenced to
the same term to which he could have been sentenced absent the mandatory
minimum. The range for his underlying crime could be 0 to 10 years, with
the mandatory minimum of 5 years, and he could be sentenced to 7. (Of
course, a similar scenario is possible with an increased maximum.) But it
is equally true that his expected punishment has increased as a result of
the narrowed range and that the prosecution is empowered, by invoking the
mandatory minimum, to require the judge to impose a higher punishment than
he might wish. The mandatory minimum "entitl[es] the government,"
Woodruff, 68 F., at 538, to more than it would otherwise be entitled (5 to
10 years, rather than 0 to 10 and the risk of a sentence below 5). Thus,
the fact triggering the mandatory minimum is part of "the punishment
sought to be inflicted," Bishop, Criminal Procedure, at 50; it undoubtedly
"enters into the punishment" so as to aggravate it, id., §540, at 330, and
is an "ac[t] to which the law affixes ... punishment," id., §80, at 51.
Further, just as in Hobbs and Searcy, see supra, at 15-16, it is likely
that the change in the range available to the judge affects his choice of
sentence. Finally, in numerous cases, such as Lacy, Garcia, and Jones, see
supra, at 6-7, 16, 17, the aggravating fact raised the whole range -- both
the top and bottom. Those courts, in holding that such a fact was an
element, did not bother with any distinction between changes in the
maximum and the minimum. What mattered was simply the overall increase in
the punishment provided by law. And in several cases, such as Smith and
Woodruff, see supra, at 4, 17, the very concept of maximums and minimums
had no applicability, yet the same rule for elements applied. See also
Harrington (discussed supra, at 20-21). |
| [141] | Finally, I need not in this case address the implications of the rule
that I have stated for the Court's decision in Walton v. Arizona, 497 U.
S. 639, 647-649 (1990). See ante, at 30-31. Walton did approve a scheme by
which a judge, rather than a jury, determines an aggravating fact that
makes a convict eligible for the death penalty, and thus eligible for a
greater punishment. In this sense, that fact is an element. But that
scheme exists in a unique context, for in the area of capital punishment,
unlike any other area, we have imposed special constraints on a
legislature's ability to determine what facts shall lead to what
punishment -- we have restricted the legislature's ability to define
crimes. Under our recent capital-punishment jurisprudence, neither Arizona
nor any other jurisdiction could provide -- as, previously, it freely
could and did --that a person shall be death eligible automatically upon
conviction for certain crimes. We have interposed a barrier between a jury
finding of a capital crime and a court's ability to impose capital
punishment. Whether this distinction between capital crimes and all
others, or some other distinction, is sufficient to put the former outside
the rule that I have stated is a question for another day.*fn32 |
| [142] | For the foregoing reasons, as well as those given in the Court's
opinion, I agree that the New Jersey procedure at issue is
unconstitutional. |
| [143] | O'Connor, J., dissenting |
| [144] | Justice O'Connor, with whom The Chief Justice, Justice Kennedy, and
Justice Breyer join, dissenting. |
| [145] | Last Term, in Jones v. United States, 526 U. S. 227 (1999), this Court
found that our prior cases suggested the following principle: "[U]nder the
Due Process Clause of the Fifth Amendment and the notice and jury trial
guarantees of the Sixth Amendment, any fact (other than prior conviction)
that increases the maximum penalty for a crime must be charged in an
indictment, submitted to a jury, and proven beyond a reasonable doubt."
Id., at 243, n. 6. At the time, Justice Kennedy rightly criticized the
Court for its failure to explain the origins, contours, or consequences of
its purported constitutional principle; for the inconsistency of that
principle with our prior cases; and for the serious doubt that the holding
cast on sentencing systems employed by the Federal Government and States
alike. Id., at 254, 264-272 (dissenting opinion). Today, in what will
surely be remembered as a watershed change in constitutional law, the
Court imposes as a constitutional rule the principle it first identified
in Jones. |
| [146] | I. |
| [147] | Our Court has long recognized that not every fact that bears on a
defendant's punishment need be charged in an indictment, submitted to a
jury, and proved by the government beyond a reasonable doubt. Rather, we
have held that the "legislature's definition of the elements of the
offense is usually dispositive." McMillan v. Pennsylvania, 477 U. S. 79,
85 (1986); see also Almendarez-Torres v. United States, 523 U. S. 224, 228
(1998); Patterson v. New York, 432 U. S. 197, 210, 211, n. 12 (1977).
Although we have recognized that "there are obviously constitutional
limits beyond which the States may not go in this regard," id., at 210,
and that "in certain limited circumstances Winship's reasonable-doubt
requirement applies to facts not formally identified as elements of the
offense charged," McMillan, supra, at 86, we have proceeded with caution
before deciding that a certain fact must be treated as an offense element
despite the legislature's choice not to characterize it as such. We have
therefore declined to establish any bright-line rule for making such
judgments and have instead approached each case individually, sifting
through the considerations most relevant to determining whether the
legislature has acted properly within its broad power to define crimes and
their punishments or instead has sought to evade the constitutional
requirements associated with the characterization of a fact as an offense
element. See, e.g., Monge v. California, 524 U. S. 721, 728-729 (1998);
McMillan, supra, at 86. |
| [148] | In one bold stroke the Court today casts aside our traditional
cautious approach and instead embraces a universal and seemingly
bright-line rule limiting the power of Congress and state legislatures to
define criminal offenses and the sentences that follow from convictions
thereunder. The Court states: "Other than the fact of a prior conviction,
any fact that increases the penalty for a crime beyond the prescribed
statutory maximum must be submitted to a jury, and proved beyond a
reasonable doubt." Ante, at 24. In its opinion, the Court marshals
virtually no authority to support its extraordinary rule. Indeed, it is
remarkable that the Court cannot identify a single instance, in the over
200 years since the ratification of the Bill of Rights, that our Court has
applied, as a constitutional requirement, the rule it announces
today. |
| [149] | According to the Court, its constitutional rule "emerges from our
history and case law." Ante, at 26. None of the history contained in the
Court's opinion requires the rule it ultimately adopts. The history cited
by the Court can be divided into two categories: first, evidence that
judges at common law had virtually no discretion in sentencing, ante, at
11-13, and, second, statements from a 19th-century criminal procedure
treatise that the government must charge in an indictment and prove at
trial the elements of a statutory offense for the defendant to be
sentenced to the punishment attached to that statutory offense, ante, at
13-14. The relevance of the first category of evidence can be easily
dismissed. Indeed, the Court does not even claim that the historical
evidence of non-discretionary sentencing at common law supports its
"increase in the maximum penalty" rule. Rather, almost as quickly as it
recites that historical practice, the Court rejects its relevance to the
constitutional question presented here due to the conflicting American
practice of judges exercising sentencing discretion and our decisions
recognizing the legitimacy of that American practice. See ante, at 14-15
(citing Williams v. New York, 337 U. S. 241, 246 (1949)). Even if the
Court were to claim that the common-law history on this point did bear on
the instant case, one wonders why the historical practice of judges
pronouncing judgments in cases between private parties is relevant at all
to the question of criminal punishment presented here. See ante, at 12-13
(quoting 3 W. Blackstone, Commentaries on the Laws of England 396 (1768),
which pertains to "remed[ies] prescribed by law for the redress of
injuries"). |
| [150] | Apparently, then, the historical practice on which the Court places so
much reliance consists of only two quotations taken from an 1862 criminal
procedure treatise. See ante, at 13-14 (quoting J. Archbold, Pleading and
Evidence in Criminal Cases 51, 188 (15th ed. 1862)). A closer examination
of the two statements reveals that neither supports the Court's "increase
in the maximum penalty" rule. Both of the excerpts pertain to
circumstances in which a common-law felony had also been made a separate
statutory offense carrying a greater penalty. Taken together, the
statements from the Archbold treatise demonstrate nothing more than the
unremarkable proposition that a defendant could receive the greater
statutory punishment only if the indictment expressly charged and the
prosecutor proved the facts that made up the statutory offense, as opposed
to simply those facts that made up the common-law offense. See id., at 51
(indictment); id., at 188 (proof). In other words, for the defendant to
receive the statutory punishment, the prosecutor had to charge in the
indictment and prove at trial the elements of the statutory offense. To
the extent there is any doubt about the precise meaning of the treatise
excerpts, that doubt is dispelled by looking to the treatise sections from
which the excerpts are drawn and the broader principle each section is
meant to illustrate. See id., at 43 ("Every offence consists of certain
acts done or omitted under certain circumstances; and in an indictment for
the offence, it is not sufficient to charge the defendant generally with
having committed it, ... but all the facts and circumstances constituting
the offence must be specially set forth"); id., at 180 ("Every offence
consists of certain acts done or omitted, under certain circumstances, all
of which must be stated in the indictment ... and be proved as laid").
And, to the extent further clarification is needed, the authority cited by
the Archbold treatise to support its stated proposition with respect to
the requirements of an indictment demonstrates that the treatise excerpts
mean only that the prosecutor must charge and then prove at trial the
elements of the statutory offense. See 2 M. Hale, Pleas of the Crown *170
(hereinafter Hale) ("An indictment grounded upon an offense made by act of
parliament must by express words bring the offense within the substantial
description made in the act of parliament"). No Member of this Court
questions the proposition that a State must charge in the indictment and
prove at trial beyond a reasonable doubt the actual elements of the
offense. This case, however, concerns the distinct question of when a fact
that bears on a defendant's punishment, but which the legislature has not
classified as an element of the charged offense, must nevertheless be
treated as an offense element. The excerpts drawn from the Archbold
treatise do not speak to this question at all. The history on which the
Court's opinion relies provides no support for its "increase in the
maximum penalty" rule. |
| [151] | In his concurring opinion, Justice Thomas cites additional historical
evidence that, in his view, dictates an even broader rule than that set
forth in the Court's opinion. The history cited by Justice Thomas does not
require, as a matter of federal constitutional law, the application of the
rule he advocates. To understand why, it is important to focus on the
basis for Justice Thomas' argument. First, he claims that the Fifth and
Sixth Amendments "codified" pre-existing common law. Second, he contends
that the relevant common law treated any fact that served to increase a
defendant's punishment as an element of an offense. See ante, at 2-4. Even
if Justice Thomas' first assertion were correct -- a proposition this
Court has not before embraced -- he fails to gather the evidence necessary
to support his second assertion. Indeed, for an opinion that purports to
be founded upon the original understanding of the Fifth and Sixth
Amendments, Justice Thomas' concurrence is notable for its failure to
discuss any historical practice, or to cite any decisions, predating (or
contemporary with) the ratification of the Bill of Rights. Rather, Justice
Thomas divines the common-law understanding of the Fifth and Sixth
Amendment rights by consulting decisions rendered by American courts well
after the ratification of the Bill of Rights, ranging primarily from the
1840's to the 1890's. Whatever those decisions might reveal about the way
American state courts resolved questions regarding the distinction between
a crime and its punishment under general rules of criminal pleading or
their own state constitutions, the decisions fail to demonstrate any
settled understanding with respect to the definition of a crime under the
relevant, pre-existing common law. Thus, there is a crucial disconnect
between the historical evidence Justice Thomas cites and the proposition
he seeks to establish with that evidence. |
| [152] | An examination of the decisions cited by Justice Thomas makes clear
that they did not involve a simple application of a long-settled
common-law rule that any fact that increases punishment must constitute an
offense element. That would have been unlikely, for there does not appear
to have been any such common-law rule. The most relevant common-law
principles in this area were that an indictment must charge the elements
of the relevant offense and must do so with certainty. See, e.g., 2 Hale
*182 ("Touching the thing wherein or of which the offense is committed,
there is required a certainty in an indictment"); id., at *183 ("The fact
itself must be certainly set down in an indictment"); id., at *184 ("The
offense itself must be alledged, and the manner of it"). Those principles,
of course, say little about when a specific fact constitutes an element of
the offense. |
| [153] | Justice Thomas is correct to note that American courts in the 19th
century came to confront this question in their cases, and often treated
facts that served to increase punishment as elements of the relevant
statutory offenses. To the extent Justice Thomas' broader rule can be
drawn from those decisions, the rule was one of those courts' own
invention, and not a previously existing rule that would have been
"codified" by the ratification of the Fifth and Sixth Amendments. Few of
the decisions cited by Justice Thomas indicate a reliance on pre-existing
common-law principles. In fact, the converse rule that he identifies in
the 19th American cases -- that a fact that does not make a difference in
punishment need not be charged in an indictment, see, e.g., Larned v.
Commonwealth, 53 Mass. 240, 242-244 (1847) -- was assuredly created by
American courts, given that English courts of roughly the same period
followed a contrary rule. See, e.g., Rex v. Marshall, 1 Moody C. C. 158,
168 Eng. Rep. 1224 (1827). Justice Thomas' collection of state-court
opinions is therefore of marginal assistance in determining the original
understanding of the Fifth and Sixth Amendments. While the decisions
Justice Thomas cites provide some authority for the rule he advocates,
they certainly do not control our resolution of the federal constitutional
question presented in the instant case and cannot, standing alone, justify
overruling three decades' worth of decisions by this Court. |
| [154] | In contrast to Justice Thomas, the Court asserts that its rule is
supported by "our cases in this area." Ante, at 23. That the Court begins
its review of our precedent with a quotation from a dissenting opinion
speaks volumes about the support that actually can be drawn from our cases
for the "increase in the maximum penalty" rule announced today. See ante,
at 17-18 (quoting Almendarez-Torres, 523 U. S., at 251 (Scalia, J.,
dissenting)). The Court then cites our decision in Mullaney v. Wilbur, 421
U. S. 684 (1975), to demonstrate the "lesson" that due process and jury
protections extend beyond those factual determinations that affect a
defendant's guilt or innocence. Ante, at 18. The Court explains Mullaney
as having held that the due process proof-beyond-a-reasonable-doubt
requirement applies to those factual determinations that, under a State's
criminal law, make a difference in the degree of punishment the defendant
receives. Ante, at 18. The Court chooses to ignore, however, the decision
we issued two years later, Patterson v. New York, 432 U. S. 197 (1977),
which clearly rejected the Court's broad reading of
Mullaney. |
| [155] | In Patterson, the jury found the defendant guilty of second-degree
murder. Under New York law, the fact that a person intentionally killed
another while under the influence of extreme emotional disturbance
distinguished the reduced offense of first-degree manslaughter from the
more serious offense of second-degree murder. Thus, the presence or
absence of this one fact was the defining factor separating a greater from
a lesser punishment. Under New York law, however, the State did not need
to prove the absence of extreme emotional disturbance beyond a reasonable
doubt. Rather, state law imposed the burden of proving the presence of
extreme emotional disturbance on the defendant, and required that the fact
be proved by a preponderance of the evidence. 432 U. S., at 198-200. We
rejected Patterson's due process challenge to his
conviction: |
| [156] | "We thus decline to adopt as a constitutional imperative, operative
countrywide, that a State must disprove beyond a reasonable doubt every
fact constituting any and all affirmative defenses related to the
culpability of an accused. Traditionally, due process has required that
only the most basic procedural safeguards be observed; more subtle
balancing of society's interests against those of the accused have been
left to the legislative branch." Id., at 210. |
| [157] | Although we characterized the factual determination under New York law
as one going to the mitigation of culpability, id., at 206, as opposed to
the aggravation of the punishment, it is difficult to understand why the
rule adopted by the Court in today's case (or the broader rule advocated
by Justice Thomas) would not require the overruling of Patterson. Unless
the Court is willing to defer to a legislature's formal definition of the
elements of an offense, it is clear that the fact that Patterson did not
act under the influence of extreme emotional disturbance, in substance,
"increase[d] the penalty for [his] crime beyond the prescribed statutory
maximum" for first-degree manslaughter. Ante, at 24. Nonetheless, we held
that New York's requirement that the defendant, rather than the State,
bear the burden of proof on this factual determination comported with the
Fourteenth Amendment's Due Process Clause. Patterson, 432 U. S., at
205-211, 216; see also id., at 204-205 (reaffirming Leland v. Oregon, 343
U. S. 790 (1952), which upheld against due process challenge Oregon's
requirement that the defendant, rather than the State, bear the burden on
factual determination of defendant's insanity). |
| [158] | Patterson is important because it plainly refutes the Court's
expansive reading of Mullaney. Indeed, the defendant in Patterson
characterized Mullaney exactly as the Court has today and we rejected that
interpretation: |
| [159] | "Mullaney's holding, it is argued, is that the State may not permit
the blameworthiness of an act or the severity of punishment authorized for
its commission to depend on the presence or absence of an identified fact
without assuming the burden of proving the presence or absence of that
fact, as the case may be, beyond a reasonable doubt. In our view, the
Mullaney holding should not be so broadly read." Patterson, supra, at
214-215 (emphasis added) (footnote omitted). |
| [160] | We explained Mullaney instead as holding only "that a State must prove
every ingredient of an offense beyond a reasonable doubt, and that it may
not shift the burden of proof to the defendant by presuming that
ingredient upon proof of the other elements of the offense." 432 U. S., at
215. Because nothing had been presumed against Patterson under New York
law, we found no due process violation. Id., at 216. Ever since our
decision in Patterson, we have consistently explained the holding in
Mullaney in these limited terms and have rejected the broad interpretation
the Court gives Mullaney today. See Jones, 526 U. S., at 241 ("We
identified the use of a presumption to establish an essential ingredient
of the offense as the curse of the Maine law [in Mullaney]");
Almendarez-Torres, 523 U. S., at 240 ("[Mullaney] suggests that Congress
cannot permit judges to increase a sentence in light of recidivism, or any
other factor, not set forth in an indictment and proved to a jury beyond a
reasonable doubt. This Court's later case, ... Patterson v. New York,
however, makes absolutely clear that such a reading of Mullaney is
wrong"); McMillan, 477 U. S., at 84 (same). |
| [161] | The case law from which the Court claims that its rule emerges
consists of only one other decision -- McMillan v. Pennsylvania. The
Court's reliance on McMillan is also puzzling, given that our holding in
that case points to the rejection of the Court's rule. There, we
considered a Pennsylvania statute that subjected a defendant to a
mandatory minimum sentence of five years' imprisonment if a judge found,
by a preponderance of the evidence, that the defendant had visibly
possessed a firearm during the commission of the offense for which he had
been convicted. Id., at 81. The petitioners claimed that the Fourteenth
Amendment's Due Process Clause and the Sixth Amendment's jury trial
guarantee (as incorporated by the Fourteenth Amendment) required the State
to prove to the jury beyond a reasonable doubt that they had visibly
possessed firearms. We rejected both constitutional claims. Id., at 84-91,
93. |
| [162] | The essential holding of McMillan conflicts with at least two of the
several formulations the Court gives to the rule it announces today.
First, the Court endorses the following principle: " `[I]t is
unconstitutional for a legislature to remove from the jury the assessment
of facts that increase the prescribed range of penalties to which a
criminal defendant is exposed. It is equally clear that such facts must be
established by proof beyond a reasonable doubt.' " Ante, at 24 (emphasis
added) (quoting Jones, 526 U. S., at 252-253 (Stevens, J., concurring)).
Second, the Court endorses the rule as restated in Justice Scalia's
concurring opinion in Jones. See ante, at 24. There, Justice Scalia wrote:
"[I]t is unconstitutional to remove from the jury the assessment of facts
that alter the congressionally prescribed range of penalties to which a
criminal defendant is exposed." Jones, 526 U. S., at 253 (emphasis added).
Thus, the Court appears to hold that any fact that increases or alters the
range of penalties to which a defendant is exposed -- which, by
definition, must include increases or alterations to either the minimum or
maximum penalties -- must be proved to a jury beyond a reasonable doubt.
In McMillan, however, we rejected such a rule to the extent it concerned
those facts that increase or alter the minimum penalty to which a
defendant is exposed. Accordingly, it is incumbent on the Court not only
to admit that it is overruling McMillan, but also to explain why such a
course of action is appropriate under normal principles of stare
decisis. |
| [163] | The Court's opinion does neither. Instead, it attempts to lay claim to
McMillan as support for its "increase in the maximum penalty" rule.
According to the Court, McMillan acknowledged that permitting a judge to
make findings that expose a defendant to greater or additional punishment
"may raise serious constitutional concern." Ante, at 20. We said nothing
of the sort in McMillan. To the contrary, we began our discussion of the
petitioners' constitutional claims by emphasizing that we had already
"rejected the claim that whenever a State links the `severity of
punishment' to `the presence or absence of an identified fact' the State
must prove that fact beyond a reasonable doubt." 477 U. S., at 84 (quoting
Patterson, 432 U. S., at 214). We then reaffirmed the rule set forth in
Patterson -- "that in determining what facts must be proved beyond a
reasonable doubt the state legislature's definition of the elements of the
offense is usually dispositive." McMillan, 477 U. S., at 85. Although we
acknowledged that there are constitutional limits to the State's power to
define crimes and prescribe penalties, we found no need to establish those
outer boundaries in McMillan because "several factors" persuaded us that
the Pennsylvania statute did not exceed those limits, however those limits
might be defined. Id., at 86. The Court's assertion that McMillan supports
the application of its bright-line rule in this area is, therefore,
unfounded. |
| [164] | The Court nevertheless claims to find support for its rule in our
discussion of one factor in McMillan -- namely, our statement that the
petitioners' claim would have had "at least more superficial appeal" if
the firearm possession finding had exposed them to greater or additional
punishment. Id., at 88. To say that a claim may have had "more superficial
appeal" is, of course, a far cry from saying that a claim would have been
upheld. Moreover, we made that statement in the context of examining one
of several factors that, in combination, ultimately gave "no doubt that
Pennsylvania's [statute fell] on the permissible side of the
constitutional line." Id., at 91. The confidence of that conclusion belies
any argument that our ruling would have been different had the
Pennsylvania statute instead increased the maximum penalty to which the
petitioners were exposed. In short, it is clear that we did not articulate
any bright-line rule that States must prove to a jury beyond a reasonable
doubt any fact that exposes a defendant to a greater punishment. Such a
rule would have been in substantial tension with both our earlier
acknowledgment that Patterson rejected such a rule, see 477 U. S., at 84,
and our recognition that a state legislature's definition of the elements
is normally dispositive, see id., at 85. If any single rule can be derived
from McMillan, it is not the Court's "increase in the maximum penalty"
principle, but rather the following: When a State takes a fact that has
always been considered by sentencing courts to bear on punishment, and
dictates the precise weight that a court should give that fact in setting
a defendant's sentence, the relevant fact need not be proved to a jury
beyond a reasonable doubt as would an element of the offense. See id., at
89-90. |
| [165] | Apart from Mullaney and McMillan, the Court does not claim to find
support for its rule in any other pre-Jones decision. Thus, the Court is
in error when it says that its rule emerges from our case law.
Nevertheless, even if one were willing to assume that Mullaney and
McMillan lend some support for the Court's position, that feeble
foundation is shattered by several of our precedents directly addressing
the issue. The only one of those decisions that the Court addresses at any
length is Almendarez-Torres. There, we squarely rejected the "increase in
the maximum penalty" rule: "Petitioner also argues, in essence, that this
Court should simply adopt a rule that any significant increase in a
statutory maximum sentence would trigger a constitutional `elements'
requirement. We have explained why we believe the Constitution, as
interpreted in McMillan and earlier cases, does not impose that
requirement." 523 U. S., at 247. Whether Almendarez-Torres directly
refuted the "increase in the maximum penalty" rule was extensively debated
in Jones, and that debate need not be repeated here. See 526 U. S., at
248-249; id., at 268-270 (Kennedy, J., dissenting). I continue to agree
with Justice Kennedy that Almendarez-Torres constituted a clear
repudiation of the rule the Court adopts today. See Jones, supra, at 268
(dissenting opinion). My understanding is bolstered by Monge v.
California, a decision relegated to a footnote by the Court today. In
Monge, in reasoning essential to our holding, we reiterated that "the
Court has rejected an absolute rule that an enhancement constitutes an
element of the offense any time that it increases the maximum sentence to
which a defendant is exposed." 524 U. S., at 729 (citing
Almendarez-Torres). At the very least, Monge demonstrates that
Almendarez-Torres was not an "exceptional departure" from "historic
practice." Ante, at 21. |
| [166] | Of all the decisions that refute the Court's "increase in the maximum
penalty" rule, perhaps none is as important as Walton v. Arizona, 497 U.
S. 639 (1990). There, a jury found Walton, the petitioner, guilty of
first-degree murder. Under Arizona law, a trial court conducts a separate
sentencing hearing to determine whether a defendant convicted of
first-degree murder should receive the death penalty or life imprisonment.
See id., at 643 (citing Ariz. Rev. Stat. Ann. §13-703(B) (1989)). At that
sentencing hearing, the judge, rather than the jury, must determine the
existence or nonexistence of the statutory aggravating and mitigating
factors. See Walton, 497 U. S., at 643 (quoting §13-703(B)). The Arizona
statute directs the judge to " `impose a sentence of death if the court
finds one or more of the aggravating circumstances enumerated in [the
statute] and that there are no mitigating circumstances sufficiently
substantial to call for leniency.' " Id., at 644 (quoting §13-703(E)).
Thus, under Arizona law, a defendant convicted of first-degree murder can
be sentenced to death only if the judge finds the existence of a statutory
aggravating factor. |
| [167] | Walton challenged the Arizona capital sentencing scheme, arguing that
the Constitution requires that the jury, and not the judge, make the
factual determination of the existence or nonexistence of the statutory
aggravating factors. We rejected that contention: " `Any argument that the
Constitution requires that a jury impose the sentence of death or make the
findings prerequisite to imposition of such a sentence has been soundly
rejected by prior decisions of this Court.' " Id., at 647 (quoting Clemons
v. Mississippi, 494 U. S. 738, 745 (1990)). Relying in part on our
decisions rejecting challenges to Florida's capital sentencing scheme,
which also provided for sentencing by the trial judge, we added that " `the Sixth Amendment does not require that the
specific findings authorizing the imposition of the sentence of death be
made by the jury.' " Walton, supra, at 648 (quoting Hildwin
v. Florida, 490 U. S. 638, 640-641 (1989) (per curiam)). |
| [168] | While the Court can cite no decision that would require its "increase
in the maximum penalty" rule, Walton plainly rejects it. Under Arizona
law, the fact that a statutory aggravating circumstance exists in the
defendant's case " `increases the maximum penalty for [the] crime' " of
first-degree murder to death. Ante, at 9 (quoting Jones, supra, at 243, n.
6). If the judge does not find the existence of a statutory aggravating
circumstance, the maximum punishment authorized by the jury's guilty
verdict is life imprisonment. Thus, using the terminology that the Court
itself employs to describe the constitutional fault in the New Jersey
sentencing scheme presented here, under Arizona law, the judge's finding
that a statutory aggravating circumstance exists "exposes the criminal
defendant to a penalty exceeding the maximum he would receive if punished
according to the facts reflected in the jury verdict alone." Ante, at 16
(emphasis in original). Even Justice Thomas, whose vote is necessary to
the Court's opinion today, agrees on this point. See ante, at 26. If a
State can remove from the jury a factual determination that makes the
difference between life and death, as Walton holds that it can, it is
inconceivable why a State cannot do the same with respect to a factual
determination that results in only a 10-year increase in the maximum
sentence to which a defendant is exposed. |
| [169] | The distinction of Walton offered by the Court today is baffling, to
say the least. The key to that distinction is the Court's claim that, in
Arizona, the jury makes all of the findings necessary to expose the
defendant to a death sentence. See ante, at 31 (quoting Almendarez-Torres,
523 U. S., at 257, n. 2 (Scalia, J., dissenting)). As explained above,
that claim is demonstrably untrue. A defendant convicted of first-degree
murder in Arizona cannot receive a death sentence unless a judge makes the
factual determination that a statutory aggravating factor exists. Without
that critical finding, the maximum sentence to which the defendant is
exposed is life imprisonment, and not the death penalty. Indeed, at the
time Walton was decided, the author of the Court's opinion today
understood well the issue at stake. See Walton, 497 U. S., at 709
(Stevens, J., dissenting) ("[U]nder Arizona law, as construed by Arizona's
highest court, a first-degree murder is not punishable by a death sentence
until at least one statutory aggravating circumstance has been proved").
In any event, the extent of our holding in Walton should have been
perfectly obvious from the face of our decision. We upheld the Arizona
scheme specifically on the ground that the Constitution does not require
the jury to make the factual findings that serve as the " `prerequisite to
imposition of [a death] sentence,' " id., at 647 (quoting Clemons, supra,
at 745), or " `the specific findings authorizing the imposition of the
sentence of death,' " Walton, supra, at 648 (quoting
Hildwin, supra, at 640-641). If the Court does not intend to
overrule Walton, one would be hard pressed to tell from the opinion it
issues today. |
| [170] | The distinction of Walton offered by Justice Thomas is equally
difficult to comprehend. According to Justice Thomas, because the
Constitution requires state legislatures to narrow sentencing discretion
in the capital-punishment context, facts that expose a convicted defendant
to a capital sentence may be different from all other facts that expose a
defendant to a more severe sentence. See ante, at 26-27. Justice Thomas
gives no specific reason for excepting capital defendants from the
constitutional protections he would extend to defendants generally, and
none is readily apparent. If Justice Thomas means to say that the Eighth
Amendment's restriction on a state legislature's ability to define capital
crimes should be compensated for by permitting States more leeway under
the Fifth and Sixth Amendments in proving an aggravating fact necessary to
a capital sentence, his reasoning is without precedent in our
constitutional jurisprudence. |
| [171] | In sum, the Court's statement that its "increase in the maximum
penalty" rule emerges from the history and case law that it cites is
simply incorrect. To make such a claim, the Court finds it necessary to
rely on irrelevant historical evidence, to ignore our controlling
precedent (e.g., Patterson), and to offer unprincipled and inexplicable
distinctions between its decision and previous cases addressing the same
subject in the capital sentencing context (e.g., Walton). The Court has
failed to offer any meaningful justification for deviating from years of
cases both suggesting and holding that application of the "increase in the
maximum penalty" rule is not required by the Constitution. |
| [172] | II. |
| [173] | That the Court's rule is unsupported by the history and case law it
cites is reason enough to reject such a substantial departure from our
settled jurisprudence. Significantly, the Court also fails to explain
adequately why the Due Process Clauses of the Fifth and Fourteenth
Amendments and the jury trial guarantee of the Sixth Amendment require
application of its rule. Upon closer examination, it is possible that the
Court's "increase in the maximum penalty" rule rests on a meaningless
formalism that accords, at best, marginal protection for the
constitutional rights that it seeks to effectuate. |
| [174] | Any discussion of either the constitutional necessity or the likely
effect of the Court's rule must begin, of course, with an understanding of
what exactly that rule is. As was the case in Jones, however, that
discussion is complicated here by the Court's failure to clarify the
contours of the constitutional principle underlying its decision. See
Jones, 526 U. S., at 267 (Kennedy, J., dissenting). In fact, there appear
to be several plausible interpretations of the constitutional principle on
which the Court's decision rests. |
| [175] | For example, under one reading, the Court appears to hold that the
Constitution requires that a fact be submitted to a jury and proved beyond
a reasonable doubt only if that fact, as a formal matter, extends the
range of punishment beyond the prescribed statutory maximum. See, e.g.,
ante, at 24. A State could, however, remove from the jury (and subject to
a standard of proof below "beyond a reasonable doubt") the assessment of
those facts that define narrower ranges of punishment, within the overall
statutory range, to which the defendant may be sentenced. See, e.g., ante,
at 28, n. 19. Thus, apparently New Jersey could cure its sentencing
scheme, and achieve virtually the same results, by drafting its weapons
possession statute in the following manner: First, New Jersey could
prescribe, in the weapons possession statute itself, a range of 5 to 20
years' imprisonment for one who commits that criminal offense. Second, New
Jersey could provide that only those defendants convicted under the
statute who are found by a judge, by a preponderance of the evidence, to
have acted with a purpose to intimidate an individual on the basis of race
may receive a sentence greater than 10 years' imprisonment. |
| [176] | The Court's proffered distinction of Walton v. Arizona suggests that
it means to announce a rule of only this limited effect. The Court claims
the Arizona capital sentencing scheme is consistent with the
constitutional principle underlying today's decision because Arizona's
first-degree murder statute itself authorizes both life imprisonment and
the death penalty. See Ariz. Rev. Stat. Ann. §13-1105(C) (1989). " `[O]nce
a jury has found the defendant guilty of all the elements of an offense
which carries as its maximum penalty the sentence of death, it may be left
to the judge to decide whether that maximum penalty, rather than a lesser
one, ought to be imposed.' " Ante, at 31 (emphasis in original) (quoting
Almendarez-Torres, 523 U. S., at 257, n. 2 (Scalia, J., dissenting)). Of
course, as explained above, an Arizona sentencing judge can impose the
maximum penalty of death only if the judge first makes a statutorily
required finding that at least one aggravating factor exists in the
defendant's case. Thus, the Arizona first-degree murder statute authorizes
a maximum penalty of death only in a formal sense. In real terms, however,
the Arizona sentencing scheme removes from the jury the assessment of a
fact that determines whether the defendant can receive that maximum
punishment. The only difference, then, between the Arizona scheme and the
New Jersey scheme we consider here --apart from the magnitude of
punishment at stake -- is that New Jersey has not prescribed the 20-year
maximum penalty in the same statute that it defines the crime to be
punished. It is difficult to understand, and the Court does not explain,
why the Constitution would require a state legislature to follow such a
meaningless and formalistic difference in drafting its criminal
statutes. |
| [177] | Under another reading of the Court's decision, it may mean only that
the Constitution requires that a fact be submitted to a jury and proved
beyond a reasonable doubt if it, as a formal matter, increases the range
of punishment beyond that which could legally be imposed absent that fact.
See, e.g., ante, at 16, 24. A State could, however, remove from the jury
(and subject to a standard of proof below "beyond a reasonable doubt") the
assessment of those facts that, as a formal matter, decrease the range of
punishment below that which could legally be imposed absent that fact.
Thus, consistent with our decision in Patterson, New Jersey could cure its
sentencing scheme, and achieve virtually the same results, by drafting its
weapons possession statute in the following manner: First, New Jersey
could prescribe, in the weapons possession statute itself, a range of 5 to
20 years' imprisonment for one who commits that criminal offense. Second,
New Jersey could provide that a defendant convicted under the statute whom
a judge finds, by a preponderance of the evidence, not to have acted with
a purpose to intimidate an individual on the basis of race may receive a
sentence no greater than 10 years' imprisonment. |
| [178] | The rule that Justice Thomas advocates in his concurring opinion
embraces this precise distinction between a fact that increases punishment
and a fact that decreases punishment. See ante, at 3 ("[A] `crime'
includes every fact that is by law a basis for imposing or increasing
punishment (in contrast with a fact that mitigates punishment)"). The
historical evidence on which Justice Thomas relies, however, demonstrates
both the difficulty and the pure formalism of making a constitutional
"elements" rule turn on such a difference. For example, the Wisconsin
statute considered in Lacy v. State, 15 Wis. *13 (1862), could plausibly
qualify as either increasing or mitigating punishment on the basis of the
same specified fact. There, Wisconsin provided that the willful and
malicious burning of a dwelling house in which "the life of no person
shall have been destroyed" was punishable by 7 to 14 years in prison, but
that the same burning at a time in which "there was no person lawfully in
the dwelling house" was punishable by only 3 to 10 years in prison. Wis.
Rev. Stat., ch. 165, §1 (1858). Although the statute appeared to make the
absence of persons from the affected dwelling house a fact that mitigated
punishment, the Wisconsin Supreme Court found that the presence of a
person in the affected house constituted an aggravating circumstance.
Lacy, supra, at *15-*16. As both this example and the above hypothetical
redrafted New Jersey statute demonstrate, see supra, at 20, whether a fact
is responsible for an increase or a decrease in punishment rests in the
eye of the beholder. Again, it is difficult to understand, and neither the
Court nor Justice Thomas explains, why the Constitution would require a
state legislature to follow such a meaningless and formalistic difference
in drafting its criminal statutes. |
| [179] | If either of the above readings is all that the Court's decision
means, "the Court's principle amounts to nothing more than chastising [the
New Jersey Legislature] for failing to use the approved phrasing in
expressing its intent as to how [unlawful weapons possession] should be
punished." Jones, 526 U. S., at 267 (Kennedy, J., dissenting). If New
Jersey can, consistent with the Constitution, make precisely the same
differences in punishment turn on precisely the same facts, and can remove
the assessment of those facts from the jury and subject them to a standard
of proof below "beyond a reasonable doubt," it is impossible to say that
the Fifth, Sixth, and Fourteenth Amendments require the Court's rule. For
the same reason, the "structural democratic constraints" that might
discourage a legislature from enacting either of the above hypothetical
statutes would be no more significant than those that would discourage the
enactment of New Jersey's present sentence-enhancement statute. See ante,
at 24, n. 16 (majority opinion). In all three cases, the legislature is
able to calibrate punishment perfectly, and subject to a maximum penalty
only those defendants whose cases satisfy the sentence-enhancement
criterion. As Justice Kennedy explained in Jones, "[n]o constitutional
values are served by so formalistic an approach, while its constitutional
costs in statutes struck down ... are real." 526 U. S., at
267. |
| [180] | Given the pure formalism of the above readings of the Court's opinion,
one suspects that the constitutional principle underlying its decision is
more far reaching. The actual principle underlying the Court's decision
may be that any fact (other than prior conviction) that has the effect, in
real terms, of increasing the maximum punishment beyond an otherwise
applicable range must be submitted to a jury and proved beyond a
reasonable doubt. See, e.g., ante, at 28 ("[T]he relevant inquiry is one
not of form, but of effect -- does the required finding expose the
defendant to a greater punishment than that authorized by the jury's
guilty verdict?"). The principle thus would apply not only to schemes like
New Jersey's, under which a factual determination exposes the defendant to
a sentence beyond the prescribed statutory maximum, but also to all
determinate-sentencing schemes in which the length of a defendant's
sentence within the statutory range turns on specific factual
determinations (e.g., the federal Sentencing Guidelines). Justice Thomas
essentially concedes that the rule outlined in his concurring opinion
would require the invalidation of the Sentencing Guidelines. See ante, at
27, n. 11. |
| [181] | I would reject any such principle. As explained above, it is
inconsistent with our precedent and would require the Court to overrule,
at a minimum, decisions like Patterson and Walton. More importantly, given
our approval of -- and the significant history in this country of --
discretionary sentencing by judges, it is difficult to understand how the
Fifth, Sixth, and Fourteenth Amendments could possibly require the Court's
or Justice Thomas' rule. Finally, in light of the adoption of
determinate-sentencing schemes by many States and the Federal Government,
the consequences of the Court's and Justice Thomas' rules in terms of
sentencing schemes invalidated by today's decision will likely be
severe. |
| [182] | As the Court acknowledges, we have never doubted that the Constitution
permits Congress and the state legislatures to define criminal offenses,
to prescribe broad ranges of punishment for those offenses, and to give
judges discretion to decide where within those ranges a particular
defendant's punishment should be set. See ante, at 14-15. That view
accords with historical practice under the Constitution. "From the
beginning of the Republic, federal judges were entrusted with wide
sentencing discretion. The great majority of federal criminal statutes
have stated only a maximum term of years and a maximum monetary fine,
permitting the sentencing judge to impose any term of imprisonment and any
fine up to the statutory maximum." K. Stith & J. Cabranes, Fear of
Judging: Sentencing Guidelines in the Federal Courts 9 (1998) (footnote
omitted). Under discretionary-sentencing schemes, a judge bases the
defendant's sentence on any number of facts neither presented at trial nor
found by a jury beyond a reasonable doubt. As one commentator has
explained: |
| [183] | "During the age of broad judicial sentencing discretion, judges
frequently made sentencing decisions on the basis of facts that they
determined for themselves, on less than proof beyond a reasonable doubt,
without eliciting very much concern from civil libertarians. ... The
sentence in any number of traditional discretionary situations depended
quite directly on judicial findings of specific contested facts. ...
Whether because such facts were directly relevant to the judge's
retributionist assessment of how serious the particular offense was
(within the spectrum of conduct covered by the statute of conviction), or
because they bore on a determination of how much rehabilitation the
offender's character was likely to need, the sentence would be higher or
lower, in some specific degree determined by the judge, based on the
judge's factual conclusions." Lynch, Towards A Model Penal Code, Second
(Federal?), 2 Buffalo Crim. L. Rev. 297, 320 (1998) (footnote
omitted). |
| [184] | Accordingly, under the discretionary-sentencing schemes, a factual
determination made by a judge on a standard of proof below "beyond a
reasonable doubt" often made the difference between a lesser and a greater
punishment. |
| [185] | For example, in Williams v. New York, a jury found the defendant
guilty of first-degree murder and recommended life imprisonment. The
judge, however, rejected the jury's recommendation and sentenced Williams
to death on the basis of additional facts that he learned through a
pre-sentence investigation report and that had neither been charged in an
indictment nor presented to the jury. 337 U. S., at 242-245. In rejecting
Williams' due process challenge to his death sentence, we explained that
there was a long history of sentencing judges exercising "wide discretion
in the sources and types of evidence used to assist [them] in determining
the kind and extent of punishment to be imposed within limits fixed by
law." Id., at 246. Specifically, we held that the Constitution does not
restrict a judge's sentencing decision to information that is charged in
an indictment and subject to cross-examination in open court. "The due
process clause should not be treated as a device for freezing the
evidential procedure of sentencing in the mold of trial procedure." Id.,
at 251. |
| [186] | Under our precedent, then, a State may leave the determination of a
defendant's sentence to a judge's discretionary decision within a
prescribed range of penalties. When a judge, pursuant to that sentencing
scheme, decides to increase a defendant's sentence on the basis of certain
contested facts, those facts need not be proved to a jury beyond a
reasonable doubt. The judge's findings, whether by proof beyond a
reasonable doubt or less, suffice for purposes of the Constitution. Under
the Court's decision today, however, it appears that once a legislature
constrains judges' sentencing discretion by prescribing certain sentences
that may only be imposed (or must be imposed) in connection with the same
determinations of the same contested facts, the Constitution requires that
the facts instead be proved to a jury beyond a reasonable doubt. I see no
reason to treat the two schemes differently. See, e.g., McMillan, 477 U.
S., at 92 ("We have some difficulty fathoming why the due process calculus
would change simply because the legislature has seen fit to provide
sentencing courts with additional guidance"). In this respect, I agree
with the Solicitor General that "[a] sentence that is constitutionally
permissible when selected by a court on the basis of whatever factors it
deems appropriate does not become impermissible simply because the court
is permitted to select that sentence only after making a finding
prescribed by the legislature." Brief for United States as Amicus Curiae
7. Although the Court acknowledges the legitimacy of discretionary
sentencing by judges, see ante, at 14-15, it never provides a sound reason
for treating judicial factfinding under determinate-sentencing schemes
differently under the Constitution. |
| [187] | Justice Thomas' attempt to explain this distinction is similarly
unsatisfying. His explanation consists primarily of a quotation, in turn,
of a 19th-century treatise writer, who contended that the aggravation of
punishment within a statutory range on the basis of facts found by a judge
" `is an entirely different thing from punishing one for what is not
alleged against him.' " Ante, at 22 (quoting 1 J. Bishop, Commentaries on
Law of Criminal Procedure §85, p. 54 (rev. 2d ed. 1872)). As our decision
in Williams v. New York demonstrates, however, that statement does not
accurately describe the reality of discretionary sentencing conducted by
judges. A defendant's actual punishment can be affected in a very real way
by facts never alleged in an indictment, never presented to a jury, and
never proved beyond a reasonable doubt. In Williams' case, facts presented
for the first time to the judge, for purposes of sentencing alone, made
the difference between life imprisonment and a death
sentence. |
| [188] | Consideration of the purposes underlying the Sixth Amendment's jury
trial guarantee further demonstrates why our acceptance of judge-made
findings in the context of discretionary sentencing suggests the approval
of the same judge-made findings in the context of determinate sentencing
as well. One important purpose of the Sixth Amendment's jury trial
guarantee is to protect the criminal defendant against potentially
arbitrary judges. It effectuates this promise by preserving, as a
constitutional matter, certain fundamental decisions for a jury of one's
peers, as opposed to a judge. For example, the Court has recognized that
the Sixth Amendment's guarantee was motivated by the English experience of
"competition ... between judge and jury over the real significance of
their respective roles," Jones, 526 U. S., at 245, and "measures [that
were taken] to diminish the juries' power," ibid. We have also explained
that the jury trial guarantee was understood to provide "an inestimable
safeguard against the corrupt or overzealous prosecutor and against the
compliant, biased, or eccentric judge. If the defendant preferred the
common-sense judgment of a jury to the more tutored but perhaps less
sympathetic reaction of the single judge, he was to have it." Duncan v.
Louisiana, 391 U. S. 145, 156 (1968). Blackstone explained that the right
to trial by jury was critically important in criminal cases because of
"the violence and partiality of judges appointed by the crown, ... who
might then, as in France or Turkey, imprison, dispatch, or exile any man
that was obnoxious to the government, by an instant declaration, that such
is their will and pleasure." 4 Blackstone, Commentaries, at 343. Clearly,
the concerns animating the Sixth Amendment's jury trial guarantee, if they
were to extend to the sentencing context at all, would apply with greater
strength to a discretionary-sentencing scheme than to determinate
sentencing. In the former scheme, the potential for mischief by an
arbitrary judge is much greater, given that the judge's decision of where
to set the defendant's sentence within the prescribed statutory range is
left almost entirely to discretion. In contrast, under a
determinate-sentencing system, the discretion the judge wields within the
statutory range is tightly constrained. Accordingly, our approval of
discretionary-sentencing schemes, in which a defendant is not entitled to
have a jury make factual findings relevant to sentencing despite the
effect those findings have on the severity of the defendant's sentence,
demonstrates that the defendant should have no right to demand that a jury
make the equivalent factual determinations under a determinate-sentencing
scheme. |
| [189] | The Court appears to hold today, however, that a defendant is entitled
to have a jury decide, by proof beyond a reasonable doubt, every fact
relevant to the determination of sentence under a determinate-sentencing
scheme. If this is an accurate description of the constitutional principle
underlying the Court's opinion, its decision will have the effect of
invalidating significant sentencing reform accomplished at the federal and
state levels over the past three decades. Justice Thomas' rule, as he
essentially concedes, see ante, at 27, n. 11, would have the same
effect. |
| [190] | Prior to the most recent wave of sentencing reform, the Federal
Government and the States employed indeterminate-sentencing schemes in
which judges and executive branch officials (e.g., parole board officials)
had substantial discretion to determine the actual length of a defendant's
sentence. See, e.g., U. S. Dept. of Justice, S. Shane-DuBow, A. Brown,
& E. Olsen, Sentencing Reform in the United States: History, Content,
and Effect 6-7 (Aug. 1985) (hereinafter Shane-DuBow); Report of Twentieth
Century Fund Task Force on Criminal Sentencing, Fair and Certain
Punishment 11-13 (1976) (hereinafter Task Force Report); A. Dershowitz,
Criminal Sentencing in the United States: An Historical and Conceptual
Overview, 423 Annals Am. Acad. Pol. & Soc. Sci. 117, 128-129 (1976).
Studies of indeterminate-sentencing schemes found that similarly situated
defendants often received widely disparate sentences. See, e.g.,
Shane-Dubow 7; Task Force Report 14. Although indeterminate sentencing was
intended to soften the harsh and uniform sentences formerly imposed under
mandatory-sentencing systems, some studies revealed that indeterminate
sentencing actually had the opposite effect. See, e.g., A. Campbell, Law
of Sentencing 13 (1978) ("Paradoxically the humanitarian impulse sparking
the adoption of indeterminate sentencing systems in this country has
resulted in an actual increase of the average criminal's incarceration
term"); Task Force Report 13 ("[T]he data seem to indicate that in those
jurisdictions where the sentencing structure is more indeterminate,
judicially imposed sentences tend to be longer"). |
| [191] | In response, Congress and the state legislatures shifted to
determinate-sentencing schemes that aimed to limit judges' sentencing
discretion and, thereby, afford similarly situated offenders equivalent
treatment. See, e.g., Cal. Penal Code Ann. §1170 (West Supp. 2000). The
most well known of these reforms was the federal Sentencing Reform Act of
1984, 18 U. S. C. §3551 et seq. In the Act, Congress created the United
States Sentencing Commission, which in turn promulgated the Sentencing
Guidelines that now govern sentencing by federal judges. See, e.g., United
States Sentencing Commission, Guidelines Manual (Nov. 1998). Whether one
believes the determinate-sentencing reforms have proved successful or not
-- and the subject is one of extensive debate among commentators -- the
apparent effect of the Court's opinion today is to halt the current debate
on sentencing reform in its tracks and to invalidate with the stroke of a
pen three decades' worth of nationwide reform, all in the name of a
principle with a questionable constitutional pedigree. Indeed, it is
ironic that the Court, in the name of constitutional rights meant to
protect criminal defendants from the potentially arbitrary exercise of
power by prosecutors and judges, appears to rest its decision on a
principle that would render unconstitutional efforts by Congress and the
state legislatures to place constraints on that very power in the
sentencing context. |
| [192] | Finally, perhaps the most significant impact of the Court's decision
will be a practical one -- its unsettling effect on sentencing conducted
under current federal and state determinate-sentencing schemes. As I have
explained, the Court does not say whether these schemes are
constitutional, but its reasoning strongly suggests that they are not.
Thus, with respect to past sentences handed down by judges under
determinate-sentencing schemes, the Court's decision threatens to unleash
a flood of petitions by convicted defendants seeking to invalidate their
sentences in whole or in part on the authority of the Court's decision
today. Statistics compiled by the United States Sentencing Commission
reveal that almost a half-million cases have been sentenced under the
Sentencing Guidelines since 1989. See Memorandum from U. S. Sentencing
Commission to Supreme Court Library, dated June 8, 2000 (total number of
cases sentenced under federal Sentencing Guidelines since 1989) (available
in Clerk of Court's case file). Federal cases constitute only the tip of
the iceberg. In 1998, for example, federal criminal prosecutions
represented only about 0.4% of the total number of criminal prosecutions
in federal and state courts. See National Center for State Courts, A
National Perspective: Court Statistics Project (federal and state court
filings, 1998), http://www.ncsc.dni.us/divisions/
research/csp/csp98-fscf.html (showing that, in 1998, 57,691 criminal cases
were filed in federal court compared to 14,623,330 in state courts).
Because many States, like New Jersey, have determinate-sentencing schemes,
the number of individual sentences drawn into question by the Court's
decision could be colossal. |
| [193] | The decision will likely have an even more damaging effect on
sentencing conducted in the immediate future under current
determinate-sentencing schemes. Because the Court fails to clarify the
precise contours of the constitutional principle underlying its decision,
federal and state judges are left in a state of limbo. Should they
continue to assume the constitutionality of the determinate-sentencing
schemes under which they have operated for so long, and proceed to
sentence convicted defendants in accord with those governing statutes and
guidelines? The Court provides no answer, yet its reasoning suggests that
each new sentence will rest on shaky ground. The most unfortunate aspect
of today's decision is that our precedents did not foreordain this
disruption in the world of sentencing. Rather, our cases traditionally
took a cautious approach to questions like the one presented in this case.
The Court throws that caution to the wind and, in the process, threatens
to cast sentencing in the United States into what will likely prove to be
a lengthy period of considerable confusion. |
| [194] | III. |
| [195] | Because I do not believe that the Court's "increase in the maximum
penalty" rule is required by the Constitution, I would evaluate New
Jersey's sentence-enhancement statute, N. J. Stat. Ann. §2C:44-3 (West
Supp. 2000), by analyzing the factors we have examined in past cases. See,
e.g., Almendarez-Torres, 523 U. S., at 242-243; McMillan, 477 U. S., at
86-90. First, the New Jersey statute does not shift the burden of proof on
an essential ingredient of the offense by presuming that ingredient upon
proof of other elements of the offense. See, e.g., id., at 86-87;
Patterson, 432 U. S., at 215. Second, the magnitude of the New Jersey
sentence enhancement, as applied in petitioner's case, is constitutionally
permissible. Under New Jersey law, the weapons possession offense to which
petitioner pleaded guilty carries a sentence range of 5 to 10 years'
imprisonment. N. J. Stat. Ann. §§2C:39-4(a), 2C:43-6(a)(2) (West 1995).
The fact that petitioner, in committing that offense, acted with a purpose
to intimidate because of race exposed him to a higher sentence range of 10
to 20 years' imprisonment. §2C:43-7(a)(3). The 10-year increase in the
maximum penalty to which petitioner was exposed falls well within the
range we have found permissible. See Almendarez-Torres, supra, at 226,
242-243 (approving 18-year enhancement). Third, the New Jersey statute
gives no impression of having been enacted to evade the constitutional
requirements that attach when a State makes a fact an element of the
charged offense. For example, New Jersey did not take what had previously
been an element of the weapons possession offense and transform it into a
sentencing factor. See McMillan, 477 U. S., at 89. |
| [196] | In sum, New Jersey "simply took one factor that has always been
considered by sentencing courts to bear on punishment" -- a defendant's
motive for committing the criminal offense -- "and dictated the precise
weight to be given that factor" when the motive is to intimidate a person
because of race. Id., at 89-90. The Court claims that a purpose to
intimidate on account of race is a traditional mens rea element, and not a
motive. See ante, at 26-27. To make this claim, the Court finds it
necessary once again to ignore our settled precedent. In Wisconsin v.
Mitchell, 508 U. S. 476 (1993), we considered a statute similar to the one
at issue here. The Wisconsin statute provided for an increase in a
convicted defendant's punishment if the defendant intentionally selected
the victim of the crime because of that victim's race. Id., at 480. In a
unanimous decision upholding the statute, we specifically characterized it
as providing a sentence enhancement based on the "motive" of the
defendant. See id., at 485 (distinguishing between punishment of
defendant's "criminal conduct" and penalty enhancement "for conduct
motivated by a discriminatory point of view" (emphasis added)); id., at
484-485 ("[U]nder the Wisconsin statute the same criminal conduct may be
more heavily punished if the victim is selected because of his race ...
than if no such motive obtained" (emphasis added)). That same
characterization applies in the case of the New Jersey statute. As we also
explained in Mitchell, the motive for committing an offense has
traditionally been an important factor in determining a defendant's
sentence. Id., at 485. New Jersey, therefore, has done no more than what
we held permissible in McMillan; it has taken a traditional sentencing
factor and dictated the precise weight judges should attach to that factor
when the specific motive is to intimidate on the basis of
race. |
| [197] | The New Jersey statute resembles the Pennsylvania statute we upheld in
McMillan in every respect but one. That difference -- that the New Jersey
statute increases the maximum punishment to which petitioner was exposed
--does not persuade me that New Jersey "sought to evade the constitutional
requirements associated with the characterization of a fact as an offense
element." Supra, at 2. There is no question that New Jersey could
prescribe a range of 5 to 20 years' imprisonment as punishment for its
weapons possession offense. Thus, as explained above, the specific means
by which the State chooses to control judges' discretion within that
permissible range is of no moment. Cf. Patterson, supra, at 207-208 ("The
Due Process Clause, as we see it, does not put New York to the choice of
abandoning [the affirmative defense] or undertaking to disprove [its]
existence in order to convict of a crime which otherwise is within its
constitutional powers to sanction by substantial punishment"). The New
Jersey statute also resembles in virtually every respect the federal
statute we considered in Almendarez-Torres. That the New Jersey statute
provides an enhancement based on the defendant's motive while the statute
in Almendarez-Torres provided an enhancement based on the defendant's
commission of a prior felony is a difference without constitutional
importance. Both factors are traditional bases for increasing an
offender's sentence and, therefore, may serve as the grounds for a
sentence enhancement. |
| [198] | On the basis of our prior precedent, then, I would hold that the New
Jersey sentence-enhancement statute is constitutional, and affirm the
judgment of the Supreme Court of New Jersey. |
| [199] | Breyer, J., dissenting |
| [200] | Justice Breyer, with whom Chief Justice Rehnquist joins,
dissenting. |
| [201] | The majority holds that the Constitution contains the following
requirement: "any fact [other than recidivism] that increases the penalty
for a crime beyond the prescribed statutory maximum must be submitted to a
jury, and proved beyond a reasonable doubt." Ante, at 24. This rule would
seem to promote a procedural ideal -- that of juries, not judges,
determining the existence of those facts upon which increased punishment
turns. But the real world of criminal justice cannot hope to meet any such
ideal. It can function only with the help of procedural compromises,
particularly in respect to sentencing. And those compromises, which are
themselves necessary for the fair functioning of the criminal justice
system, preclude implementation of the procedural model that today's
decision reflects. At the very least, the impractical nature of the
requirement that the majority now recognizes supports the proposition that
the Constitution was not intended to embody it. |
| [202] | I. |
| [203] | In modern times the law has left it to the sentencing judge to find
those facts which (within broad sentencing limits set by the legislature)
determine the sentence of a convicted offender. The judge's factfinding
role is not inevitable. One could imagine, for example, a pure "charge
offense" sentencing system in which the degree of punishment depended only
upon the crime charged (e.g., eight mandatory years for robbery, six for
arson, three for assault). But such a system would ignore many harms and
risks of harm that the offender caused or created, and it would ignore
many relevant offender characteristics. See United States Sentencing
Commission, Sentencing Guidelines and Policy Statements, Part A, at 1.5
(1987) (hereinafter Sentencing Guidelines or Guidelines) (pointing out
that a "charge offense" system by definition would ignore any fact "that
did not constitute [a] statutory elemen[t] of the offens[e] of which the
defendant was convicted"). Hence, that imaginary "charge offense" system
would not be a fair system, for it would lack proportionality, i.e., it
would treat different offenders similarly despite major differences in the
manner in which each committed the same crime. |
| [204] | There are many such manner-related differences in respect to criminal
behavior. Empirical data collected by the Sentencing Commission makes
clear that, before the Guidelines, judges who exercised discretion within
broad legislatively determined sentencing limits (say, a range of 0 to 20
years) would impose very different sentences upon offenders engaged in the
same basic criminal conduct, depending, for example, upon the amount of
drugs distributed (in respect to drug crimes), the amount of money taken
(in respect to robbery, theft, or fraud), the presence or use of a weapon,
injury to a victim, the vulnerability of a victim, the offender's role in
the offense, recidivism, and many other offense-related or
offender-related factors. See United States Sentencing Commission,
Supplementary Report on the Initial Sentencing Guidelines and Policy
Statements 35-39 (1987) (table listing data representing more than 20 such
factors) (hereinafter Supplementary Report); see generally Department of
Justice, W. Rhodes & C. Conly, Analysis of Federal Sentencing (May
1981). The majority does not deny that judges have exercised, and,
constitutionally speaking, may exercise sentencing discretion in this
way. |
| [205] | Nonetheless, it is important for present purposes to understand why
judges, rather than juries, traditionally have determined the presence or
absence of such sentence-affecting facts in any given case. And it is
important to realize that the reason is not a theoretical one, but a
practical one. It does not reflect (Justice Scalia's opinion to the
contrary notwithstanding) an ideal of procedural "fairness," ante, at 1
(concurring opinion), but rather an administrative need for procedural
compromise. There are, to put it simply, far too many potentially relevant
sentencing factors to permit submission of all (or even many) of them to a
jury. As the Sentencing Guidelines state the matter, |
| [206] | "[a] bank robber with (or without) a gun, which the robber kept hidden
(or brandished), might have frightened (or merely warned), injured
seriously (or less seriously), tied up (or simply pushed) a guard, a
teller or a customer, at night (or at noon), for a bad (or arguably less
bad) motive, in an effort to obtain money for other crimes (or for other
purposes), in the company of a few (or many) other robbers, for the first
(or fourth) time that day, while sober (or under the influence of drugs or
alcohol), and so forth." Sentencing Guidelines, Part A, at
1.2. |
| [207] | The Guidelines note that "a sentencing system tailored to fit every
conceivable wrinkle of each case can become unworkable and seriously
compromise the certainty of punishment and its deterrent effect." Ibid. To
ask a jury to consider all, or many, such matters would do the
same. |
| [208] | At the same time, to require jury consideration of all such factors --
say, during trial where the issue is guilt or innocence -- could easily
place the defendant in the awkward (and conceivably unfair) position of
having to deny he committed the crime yet offer proof about how he
committed it, e.g., "I did not sell drugs, but I sold no more than 500
grams." And while special post-verdict sentencing juries could cure this
problem, they have seemed (but for capital cases) not worth their
administrative costs. Hence, before the Guidelines, federal sentencing
judges typically would obtain relevant factual sentencing information from
probation officers' presentence reports, while permitting a convicted
offender to challenge the information's accuracy at a hearing before the
judge without benefit of trial-type evidentiary rules. See Williams v. New
York, 337 U. S. 241, 249-251 (1949) (describing the modern "practice of
individualizing punishments" under which judges often consider otherwise
inadmissible information gleaned from probation reports); see also Kadish,
Legal Norm And Discretion In The Police And Sentencing Processes, 75 Harv.
L. Rev. 904, 915-917 (1962). |
| [209] | It is also important to understand how a judge traditionally
determined which factors should be taken into account for sentencing
purposes. In principle, the number of potentially relevant behavioral
characteristics is endless. A judge might ask, for example, whether an
unlawfully possessed knife was "a switchblade, drawn or concealed, opened
or closed, large or small, used in connection with a car theft (where
victim confrontation is rare), a burglary (where confrontation is
unintended) or a robbery (where confrontation is intentional)." United
States Sentencing Commission, Preliminary Observations of the Commission
on Commissioner Robinson's Dissent 3, n. 3 (May 1, 1987). Again, the
method reflects practical, rather than theoretical, considerations. Prior
to the Sentencing Guidelines, federal law left the individual sentencing
judge free to determine which factors were relevant. That freedom meant
that each judge, in an effort to tailor punishment to the individual
offense and offender, was guided primarily by experience, relevance, and a
sense of proportional fairness. Cf. Supplementary Report, at 16-17 (noting
that the goal of the Sentencing Guidelines was to create greater
sentencing uniformity among judges, but in doing so the Guidelines
themselves had to rely primarily upon empirical studies that showed which
factors had proved important to federal judges in the past). |
| [210] | Finally, it is important to understand how a legislature decides which
factual circumstances among all those potentially related to generally
harmful behavior it should transform into elements of a statutorily
defined crime (where they would become relevant to the guilt or innocence
of an accused), and which factual circumstances it should leave to the
sentencing process (where, as sentencing factors, they would help to
determine the sentence imposed upon one who has been found guilty). Again,
theory does not provide an answer. Legislatures, in defining crimes in
terms of elements, have looked for guidance to common-law tradition, to
history, and to current social need. And, traditionally, the Court has
left legislatures considerable freedom to make the element determination.
See Almendarez-Torres v. United States, 523 U. S. 224, 228 (1998);
McMillan v. Pennsylvania, 477 U. S. 79, 85 (1986). |
| [211] | By placing today's constitutional question in a broader context, this
brief survey may help to clarify the nature of today's decision. It also
may explain why, in respect to sentencing systems, proportionality,
uniformity, and administrability are all aspects of that basic "fairness"
that the Constitution demands. And it suggests my basic problem with the
Court's rule: A sentencing system in which judges have discretion to find
sentencing-related factors is a workable system and one that has long been
thought consistent with the Constitution; why, then, would the
Constitution treat sentencing statutes any differently? |
| [212] | II. |
| [213] | As Justice Thomas suggests, until fairly recent times many
legislatures rarely focused upon sentencing factors. Rather, it appears
they simply identified typical forms of antisocial conduct, defined basic
"crimes," and attached a broad sentencing range to each definition --
leaving judges free to decide how to sentence within those ranges in light
of such factors as they found relevant. Ante, at 12-15, 21 (concurring
opinion). But the Constitution does not freeze 19th-century sentencing
practices into permanent law. And dissatisfaction with the traditional
sentencing system (reflecting its tendency to treat similar cases
differently) has led modern legislatures to write new laws that refer
specifically to sentencing factors. See Supplementary Report, at 1
(explaining that "a growing recognition of the need to bring greater
rationality and consistency to penal statutes and to sentences imposed
under those statutes" led to reform efforts such as the Federal Sentencing
Guidelines). |
| [214] | Legislatures have tended to address the problem of too much judicial
sentencing discretion in two ways. First, legislatures sometimes have
created sentencing commissions armed with delegated authority to make more
uniform judicial exercise of that discretion. Congress, for example, has
created a federal Sentencing Commission, giving it the power to create
Guidelines that (within the sentencing range set by individual statutes)
reflect the host of factors that might be used to determine the actual
sentence imposed for each individual crime. See 28 U. S. C. §994(a); see
also United States Sentencing Commission, Guidelines Manual (Nov. 1999).
Federal judges must apply those Guidelines in typical cases (those that
lie in the "heartland" of the crime as the statute defines it) while
retaining freedom to depart in atypical cases. Id., ch. 1, pt. A,
4(b). |
| [215] | Second, legislatures sometimes have directly limited the use (by
judges or by a commission) of particular factors in sentencing, either by
specifying statutorily how a particular factor will affect the sentence
imposed or by specifying how a commission should use a particular factor
when writing a guideline. Such a statute might state explicitly, for
example, that a particular factor, say, use of a weapon, recidivism,
injury to a victim, or bad motive, "shall" increase, or "may" increase, a
particular sentence in a particular way. See, e.g., McMillan, supra, at 83
(Pennsylvania statute expressly treated "visible possession of a firearm"
as a sentencing consideration that subjected a defendant to a mandatory
5-year term of imprisonment). |
| [216] | The issue the Court decides today involves this second kind of
legislation. The Court holds that a legislature cannot enact such
legislation (where an increase in the maximum is involved) unless the
factor at issue has been charged, tried to a jury, and found to exist
beyond a reasonable doubt. My question in respect to this holding is,
simply, "why would the Constitution contain such a
requirement"? |
| [217] | III. |
| [218] | In light of the sentencing background described in Parts I and II, I
do not see how the majority can find in the Constitution a requirement
that "any fact" (other than recidivism) that increases the maximum penalty
for a crime "must be submitted to a jury." Ante, at 24. As Justice
O'Connor demonstrates, this Court has previously failed to view the
Constitution as embodying any such principle, while sometimes finding to
the contrary. See Almendarez-Torres, supra, at 239-247; McMillan, supra,
at 84-91. The majority raises no objection to traditional pre-Guidelines
sentencing procedures under which judges, not juries, made the factual
findings that would lead to an increase in an individual offender's
sentence. How does a legislative determination differ in any significant
way? For example, if a judge may on his or her own decide that victim
injury or bad motive should increase a bank robber's sentence from 5 years
to 10, why does it matter that a legislature instead enacts a statute that
increases a bank robber's sentence from 5 years to 10 based on this same
judicial finding? |
| [219] | With the possible exception of the last line of Justice Scalia's
concurring opinion, the majority also makes no constitutional objection to
a legislative delegation to a commission of the authority to create
guidelines that determine how a judge is to exercise sentencing
discretion. See also ante, at 27, n. 11 (Thomas, J., concurring)
(reserving the question). But if the Constitution permits Guidelines, why
does it not permit Congress similarly to guide the exercise of a judge's
sentencing discretion? That is, if the Constitution permits a delegatee
(the commission) to exercise sentencing-related rulemaking power, how can
it deny the delegator (the legislature) what is, in effect, the same
rulemaking power? |
| [220] | The majority appears to offer two responses. First, it argues for a
limiting principle that would prevent a legislature with broad authority
from transforming (jury-determined) facts that constitute elements of a
crime into (judge-determined) sentencing factors, thereby removing
procedural protections that the Constitution would otherwise require. See
ante, at 19 ("constitutional limits" prevent states from "defin[ing] away
facts necessary to constitute a criminal offense"). The majority's cure,
however, is not aimed at the disease. |
| [221] | The same "transformational" problem exists under traditional
sentencing law, where legislation, silent as to sentencing factors, grants
the judge virtually unchecked discretion to sentence within a broad range.
Under such a system, judges or prosecutors can similarly "transform"
crimes, punishing an offender convicted of one crime as if he had
committed another. A prosecutor, for example, might charge an offender
with five counts of embezzlement (each subject to a 10-year maximum
penalty), while asking the judge to impose maximum and consecutive
sentences because the embezzler murdered his employer. And, as part of the
traditional sentencing discretion that the majority concedes judges
retain, the judge, not a jury, would determine the last-mentioned relevant
fact, i.e., that the murder actually occurred. |
| [222] | This egregious example shows the problem's complexity. The source of
the problem lies not in a legislature's power to enact sentencing factors,
but in the traditional legislative power to select elements defining a
crime, the traditional legislative power to set broad sentencing ranges,
and the traditional judicial power to choose a sentence within that range
on the basis of relevant offender conduct. Conversely, the solution to the
problem lies, not in prohibiting legislatures from enacting sentencing
factors, but in sentencing rules that determine punishments on the basis
of properly defined relevant conduct, with sensitivity to the need for
procedural protections where sentencing factors are determined by a judge
(for example, use of a "reasonable doubt" standard), and invocation of the
Due Process Clause where the history of the crime at issue, together with
the nature of the facts to be proved, reveals unusual and serious
procedural unfairness. Cf. McMillan, 477 U. S., at 88 (upholding statute
in part because it "gives no impression of having been tailored to permit
the [sentencing factor] to be a tail which wags the dog of the substantive
offense"). |
| [223] | Second, the majority, in support of its constitutional rule,
emphasizes the concept of a statutory "maximum." The Court points out that
a sentencing judge (or a commission) traditionally has determined, and now
still determines, sentences within a legislated range capped by a maximum
(a range that the legislature itself sets). See ante, at 14-15. I concede
the truth of the majority's statement, but I do not understand its
relevance. |
| [224] | From a defendant's perspective, the legislature's decision to cap the
possible range of punishment at a statutorily prescribed "maximum" would
affect the actual sentence imposed no differently than a sentencing
commission's (or a sentencing judge's) similar determination. Indeed, as a
practical matter, a legislated mandatory "minimum" is far more important
to an actual defendant. A judge and a commission, after all, are legally
free to select any sentence below a statute's maximum, but they are not
free to subvert a statutory minimum. And, as Justice Thomas indicates, all
the considerations of fairness that might support submission to a jury of
a factual matter that increases a statutory maximum, apply a fortiori to
any matter that would increase a statutory minimum. See ante, at 25-26
(concurring opinion). To repeat, I do not understand why, when a
legislature authorizes a judge to impose a higher penalty for bank robbery
(based, say, on the court's finding that a victim was injured or the
defendant's motive was bad), a new crime is born; but where a legislature
requires a judge to impose a higher penalty than he otherwise would
(within a pre-existing statutory range) based on similar criteria, it is
not. Cf. Almendarez-Torres, 523 U. S., at 246. |
| [225] | IV. |
| [226] | I certainly do not believe that the present sentencing system is one
of "perfect equity," ante, at 2 (Scalia, J., concurring), and I am
willing, consequently, to assume that the majority's rule would provide a
degree of increased procedural protection in respect to those particular
sentencing factors currently embodied in statutes. I nonetheless believe
that any such increased protection provides little practical help and
comes at too high a price. For one thing, by leaving mandatory minimum
sentences untouched, the majority's rule simply encourages any legislature
interested in asserting control over the sentencing process to do so by
creating those minimums. That result would mean significantly less
procedural fairness, not more. |
| [227] | For another thing, this Court's case law, prior to Jones v. United
States, 526 U. S. 227, 243, n. 6 (1999), led legislatures to believe that
they were permitted to increase a statutory maximum sentence on the basis
of a sentencing factor. See ante, at 7-17 (O'Connor, J., dissenting); see
also, e.g., McMillan, supra, at 84-91 (indicating that a legislature could
impose mandatory sentences on the basis of sentencing factors, thereby
suggesting it could impose more flexible statutory maximums on same
basis). And legislatures may well have relied upon that belief. See, e.g.,
21 U. S. C. §841(b) (1994 ed. and Supp. III) (providing penalties for,
among other things, possessing a "controlled substance" with intent to
distribute it, which sentences vary dramatically depending upon the amount
of the drug possessed, without requiring jury determination of the
amount); N. J. Stat. Ann. §§2C:43-6, 2C:43-7, 2C:44-1a-f, 2C:44-3 (West
1995 and Supp. 1999-2000) (setting sentencing ranges for crimes, while
providing for lesser or greater punishments depending upon judicial
findings regarding certain "aggravating" or "mitigating" factors); Cal.
Penal Code Ann. §1170 (West Supp. 2000) (similar); see also Cal. Court
Rule 420(b) (1996) (providing that "[c]ircumstances in aggravation and
mitigation" are to be established by the sentencing judge based on "the
case record, the probation officer's report, [and] other reports and
statements properly received"). |
| [228] | As Justice O'Connor points out, the majority's rule creates serious
uncertainty about the constitutionality of such statutes and about the
constitutionality of the confinement of those punished under them. See
ante, at 27- 30 (dissenting opinion). The few amicus briefs that the Court
received in this case do not discuss the impact of the Court's new rule
on, for example, drug crime statutes or state criminal justice systems.
This fact, I concede, may suggest that my concerns about disruption are
overstated; yet it may also suggest that (despite Jones and given
Almendarez-Torres) so absolute a constitutional prohibition is unexpected.
Moreover, the rationale that underlies the Court's rule suggests a
principle -- jury determination of all sentencing-related facts -- that,
unless restricted, threatens the workability of every criminal justice
system (if applied to judges) or threatens efforts to make those systems
more uniform, hence more fair (if applied to commissions). |
| [229] | Finally, the Court's new rule will likely impede legislative attempts
to provide authoritative guidance as to how courts should respond to the
presence of traditional sentencing factors. The factor at issue here
--motive -- is such a factor. Whether a robber takes money to finance
other crimes or to feed a starving family can matter, and long has
mattered, when the length of a sentence is at issue. The State of New
Jersey has determined that one motive -- racial hatred -- is particularly
bad and ought to make a difference in respect to punishment for a crime.
That determination is reasonable. The procedures mandated are consistent
with traditional sentencing practice. Though additional procedural
protections might well be desirable, for the reasons Justice O'Connor
discusses and those I have discussed, I do not believe the Constitution
requires them where ordinary sentencing factors are at issue.
Consequently, in my view, New Jersey's statute is
constitutional. |
| [230] | I respectfully dissent. |
|
| |
| Opinion Footnotes | |
|
| |
| [231] | *fn1 We have previously rejected a
First Amendment challenge to an enhanced sentence based on a jury finding
that the defendant had intentionally selected his victim because of the
victim's race. Wisconsin v. Mitchell, 508 U. S. 476, 480
(1993). |
| [232] | *fn2 O. Holmes, The Common Law 40 (M.
Howe ed. 1963). |
| [233] | *fn3 Apprendi has not here asserted a
constitutional claim based on the omission of any reference to sentence
enhancement or racial bias in the indictment. He relies entirely on the
fact that the "due process of law" that the Fourteenth Amendment requires
the States to provide to persons accused of crime encompasses the right to
a trial by jury, Duncan v. Louisiana, 391 U. S. 145 (1968), and the right
to have every element of the offense proved beyond a reasonable doubt, In
re Winship, 397 U. S. 358 (1970). That Amendment has not, however, been
construed to include the Fifth Amendment right to "presentment or
indictment of a Grand Jury" that was implicated in our recent decision in
Almendarez-Torres v. United States, 523 U. S. 224 (1998). We thus do not
address the indictment question separately today. |
| [234] | *fn4 "[A]fter trial and conviction are
past," the defendant is submitted to "judgment" by the court, 4 Blackstone
368 -- the stage approximating in modern terms the imposition of
sentence. |
| [235] | *fn5 As we suggested in Jones v.
United States, 526 U. S. 227 (1999), juries devised extralegal ways of
avoiding a guilty verdict, at least of the more severe form of the offense
alleged, if the punishment associated with the offense seemed to them
disproportionate to the seriousness of the conduct of the particular
defendant. Id., at 245 ("This power to thwart Parliament and Crown took
the form not only of flat-out acquittals in the face of guilt but of what
today we would call verdicts of guilty to lesser included offenses,
manifestations of what Blackstone described as `pious perjury' on the
jurors' part. 4 Blackstone 238-239"). |
| [236] | *fn6 As the principal dissent would
chide us for this single citation to Blackstone's third volume, rather
than his fourth, post, at 3 (dissenting opinion), we suggest that
Blackstone himself directs us to it for these purposes. See 4 Blackstone
343 ("The antiquity and excellence of this [jury] trial, for the settling
of civil property, has before been explained at large." See id., at 379
("Upon these accounts the trial by jury ever has been, and I trust ever
will be, looked upon as the glory of the English law. And, if it has so
great an advantage over others in regulating civil property, how much must
that advantage be heightened, when it is applied to criminal cases!") 4
id., at 343 ("And it will hold much stronger in criminal cases; since, in
times of difficulty and danger, more is to be apprehended from the
violence and partiality of judges appointed by the crown, in suits between
the king and the subject, than in disputes between one individual and
another, to settle the metes and boundaries of private property"); 4 id.,
at 344 ("What was said of juries in general, and the trial thereby, in
civil cases, will greatly shorten our present remarks, with regard to the
trial of criminal suits; indictments, informations, and
appeals"). |
| [237] | *fn7 The common law of punishment for
misdemeanors -- those "smaller faults, and omissions of less consequence,"
4 Blackstone 5 -- was, as we noted in Jones, 526 U. S., at 244,
substantially more dependent upon judicial discretion. Subject to the
limitations that the punishment not "touch life or limb," that it be
proportionate to the offense, and, by the 17th century, that it not be
"cruel or unusual," judges most commonly imposed discretionary "sentences"
of fines or whippings upon misdemeanant offenders. J. Baker, Introduction
to English Legal History 584 (3d ed. 1990). Actual sentences of
imprisonment for such offenses, however, were rare at common law until the
late 18th century, ibid., for "the idea of prison as a punishment would
have seemed an absurd expense," Baker, Criminal Courts and Procedure at
Common Law 1550-1800, in Crime in England 1550-1800, p. 43 (J. Cockburn
ed. 1977). |
| [238] | *fn8 To the extent the principal
dissent appears to take issue with our reliance on Archbold (among others)
as an authoritative source on the common law of the relevant period, post,
at 3-4, we simply note that Archbold has been cited by numerous opinions
of this Court for that very purpose, his Criminal Pleading treatise being
generally viewed as "an essential reference book for every criminal lawyer
working in the Crown Court." Biographical Dictionary of the Common Law 13
(A. Simpson ed. 1984); see also Holdsworth, The Literature of the Common
Law, in 13 A History of English Law 464-465 (A. Goodhart & H. Hanbury
eds. 1952). |
| [239] | *fn9 See also 1 J. Bishop, Criminal
Law §§933-934(1) (9th ed. 1923) ("With us legislation ordinarily fixes the
penalties for the common law offences equally with the statutory ones... .
Under the common-law procedure, the court determines in each case what
within the limits of the law shall be the punishment, -- the question
being one of discre-tion") (emphasis added); id., §948 ("[I]f the law has
given the court a discretion as to the punishment, it will look in
pronouncing sentence into any evidence proper to influence a judicious
magistrate to make it heavier or lighter, yet not to exceed the limits
fixed for what of crime is within the allegation and the verdict. Or this
sort of evidence may be placed before the jury at the trial, if it has the
power to assess the punishment. But in such a case the aggravating matter
must not be of a crime separate from the one charged in the indictment, --
a rule not applicable where a delinquent offence under an habitual
criminal act is involved") (footnotes omitted). The principal dissent's
discussion of Williams, post, at 24-26, fails to acknowledge the
significance of the Court's caveat that judges' discretion is constrained
by the "limits fixed by law." Nothing in Williams implies that a judge may
impose a more severe sentence than the maximum authorized by the facts
found by the jury. Indeed, the commentators cited in the dissent recognize
precisely this same limitation. See post, at 23 (quoting K. Stith & J.
Cabranes, Fear of Judging: Sentencing Guidelines in the Federal Courts 9
(1998) ("From the beginning of the Republic, federal judges were entrusted
with wide sentencing discretion... , permitting the sentencing judge to
impose any term of imprisonment and any fine up to the statutory maximum"
(emphasis added)); Lynch, Towards A Model Penal Code, Second (Federal?), 2
Buff. Crim. L. Rev. 297, 320 (1998) (noting that judges in discretionary
sentencing took account of facts relevant to a particular offense "within
the spectrum of conduct covered by the statute of
conviction")). |
| [240] | *fn10 In support of its novel view
that this Court has "long recognized" that not all facts affecting
punishment need go to the jury, post, at 1-2, the principal dissent cites
three cases decided within the past quarter century; and each of these is
plainly distinguishable. Rather than offer any historical account of its
own that would support the notion of a "sentencing factor" legally
increasing punishment beyond the statutory maximum -- and Justice Thomas'
concurring opinion in this case makes clear that such an exercise would be
futile -- the dissent proceeds by mischaracterizing our account. The
evidence we describe that punishment was, by law, tied to the offense
(enabling the defendant to discern, barring pardon or clergy, his
punishment from the face of the indictment), and the evidence that
American judges have exercised sentencing discretion within a legally
prescribed range (enabling the defendant to discern from the statute of
indictment what maximum punishment conviction under that statute could
bring), point to a single, consistent conclusion: The judge's role in
sentencing is constrained at its outer limits by the facts alleged in the
indictment and found by the jury. Put simply, facts that expose a
defendant to a punishment greater than that otherwise legally prescribed
were by definition "elements" of a separate legal offense. |
| [241] | *fn11 As we stated in Jones, "One
contributor to the ratification debates, for example, commenting on the
jury trial guarantee in Art. III, §2, echoed Blackstone in warning of the
need `to guard with the most jealous circumspection against the
introduction of new, and arbitrary methods of trial, which, under a
variety of plausible pretenses, may in time, imperceptibly undermine this
best preservative of LIBERTY.' A [New Hampshire] Farmer, No. 3, June 6,
1788, quoted in The Complete Bill of Rights 477 (N. Cogan ed. 1997)." 526
U. S., at 248. |
| [242] | *fn12 Contrary to the principal
dissent's suggestion, post, at 8-10, Patterson v. New York, 432 U. S. 197,
198 (1977), posed no direct challenge to this aspect of Mullaney. In
upholding a New York law allowing defendants to raise and prove extreme
emotional distress as an affirmative defense to murder, Patterson made
clear that the state law still required the State to prove every element
of that State's offense of murder and its accompanying punishment. "No
further facts are either presumed or inferred in order to constitute the
crime." 432 U. S., at 205-206. New York, unlike Maine, had not made malice
aforethought, or any described mens rea, part of its statutory definition
of second-degree murder; one could tell from the face of the statute that
if one intended to cause the death of another person and did cause that
death, one could be subject to sentence for a second-degree offense. Id.,
at 198. Responding to the argument that our view could be seen "to permit
state legislatures to reallocate burdens of proof by labeling as
affirmative defenses at least some elements of the crimes now defined in
their statutes," the Court made clear in the very next breath that there
were "obviously constitutional limits beyond which the States may not go
in this regard." Id., at 210. |
| [243] | *fn13 The principal dissent accuses
us of today "overruling McMillan." Post, at 11. We do not overrule
McMillan. We limit its holding to cases that do not involve the imposition
of a sentence more severe than the statutory maximum for the offense
established by the jury's verdict -- a limitation identified in the
McMillan opinion itself. Conscious of the likelihood that legislative
decisions may have been made in reliance on McMillan, we reserve for
another day the question whether stare decisis considerations preclude
reconsideration of its narrower holding. |
| [244] | *fn14 The principal dissent's
contention that our decision in Monge v. California, 524 U. S. 721 (1998),
"demonstrates that Almendarez-Torres was" something other than a limited
exception to the jury trial rule is both inaccurate and misleading. Post,
at 14. Monge was another recidivism case in which the question presented
and the bulk of the Court's analysis related to the scope of double
jeopardy protections in sentencing. The dissent extracts from that
decision the majority's statement that "the Court has rejected an absolute
rule that an enhancement constitutes an element of the offense any time
that it increases the maximum sentence." 524 U. S., at 729. Far from being
part of "reasoning essential" to the Court's holding, post, at 13, that
statement was in response to a dissent by Justice Scalia on an issue that
the Court itself had, a few sentences earlier, insisted "was neither
considered by the state courts nor discussed in petitioner's brief before
this Court." 524 U. S., at 728. Moreover, the sole citation supporting the
Monge Court's proposition that "the Court has rejected" such a rule was
none other than Almendarez-Torres; as we have explained, that case simply
cannot bear that broad reading. Most telling of Monge's distance from the
issue at stake in this case is that the double jeopardy question in Monge
arose because the State had failed to satisfy its own statutory burden of
proving beyond a reasonable doubt that the defendant had committed a prior
offense (and was therefore subject to an enhanced, recidivism-based
sentence). 524 U. S., at 725 ("According to California law, a number of
procedural safeguards surround the assessment of prior conviction
allegations: Defendants may invoke the right to a jury trial ... ; the
prosecution must prove the allegation beyond a reasonable doubt; and the
rules of evidence apply"). The Court thus itself warned against a contrary
double jeopardy rule that could "create disincentives that would diminish
these important procedural protections." Id., at 734. |
| [245] | *fn15 In addition to the reasons set
forth in Justice Scalia's dissent, 523 U. S., at 248-260, it is noteworthy
that the Court's extensive discussion of the term "sentencing factor"
virtually ignored the pedigree of the pleading requirement at issue. The
rule was succinctly stated by Justice Clifford in his separate opinion in
United States v. Reese, 92 U. S. 214, 232-233 (1876): "[T]he indictment
must contain an allegation of every fact which is legally essential to the
punishment to be inflicted." As he explained in "[s]peaking of that
principle, Mr. Bishop says it pervades the entire system of the adjudged
law of criminal procedure, as appears by all the cases; that, wherever we
move in that department of our jurisprudence, we come in contact with it;
and that we can no more escape from it than from the atmosphere which
surrounds us. 1 Bishop, Cr. Pro., 2d ed., sect. 81; Archbold's Crim.
Plead., 15th ed., 54; 1 Stark Crim. Plead., 236; 1 Am. Cr. Law, 6th rev.
ed., sect. 364; Steel v. Smith, 1 Barn. & Ald. 99." |
| [246] | *fn16 The principal dissent would
reject the Court's rule as a "meaningless formalism," because it can
conceive of hypothetical statutes that would comply with the rule and
achieve the same result as the New Jersey statute. Post, at 17-20. While a
State could, hypothetically, undertake to revise its entire criminal code
in the manner the dissent suggests, post, at 18 --extending all statutory
maximum sentences to, for example, 50 years and giving judges guided
discretion as to a few specially selected factors within that range --
this possibility seems remote. Among other reasons, structural democratic
constraints exist to discourage legislatures from enacting penal statutes
that expose every defendant convicted of, for example, weapons possession,
to a maximum sentence exceeding that which is, in the legislature's
judgment, generally proportional to the crime. This is as it should be.
Our rule ensures that a State is obliged "to make its choices concerning
the substantive content of its criminal laws with full awareness of the
consequence, unable to mask substantive policy choices" of exposing all
who are convicted to the maximum sentence it provides. Patterson v. New
York, 432 U. S., at 228-229, n. 13 (Powell, J., dissenting). So exposed,
"[t]he political check on potentially harsh legislative action is then
more likely to operate." Ibid. In all events, if such an extensive
revision of the State's entire criminal code were enacted for the purpose
the dissent suggests, or if New Jersey simply reversed the burden of the
hate crime finding (effectively assuming a crime was performed with a
purpose to intimidate and then requiring a defendant to prove that it was
not, post, at 20), we would be required to question whether the revision
was constitutional under this Court's prior decisions. See Patterson, 432
U. S., at 210; Mullaney v. Wilbur, 421 U. S. 684, 698-702. Finally, the
principal dissent ignores the distinction the Court has often recognized,
see, e.g., Martin v. Ohio, 480 U. S. 228 (1987), between facts in
aggravation of punishment and facts in mitigation. See post, at 19-20. If
facts found by a jury support a guilty verdict of murder, the judge is
authorized by that jury verdict to sentence the defendant to the maximum
sentence provided by the murder statute. If the defendant can escape the
statutory maximum by showing, for example, that he is a war veteran, then
a judge that finds the fact of veteran status is neither exposing the
defendant to a deprivation of liberty greater than that authorized by the
verdict according to statute, nor is the Judge imposing upon the defendant
a greater stigma than that accompanying the jury verdict alone. See supra,
at 16-17. Core concerns animating the jury and burden-of-proof
requirements are thus absent from such a scheme. |
| [247] | *fn17 Among the most common
definitions of mens rea is "criminal intent." Black's Law Dictionary 1137
(rev. 4th ed. 1968). That dictionary unsurprisingly defines "purpose" as
synonymous with intent, id., at 1400, and "intent" as, among other things,
"a state of mind," id., at 947. But we need not venture beyond New
Jersey's own criminal code for a definition of purpose that makes it
central to the description of a criminal offense. As the dissenting judge
on the state appeals court pointed out, according to the New Jersey
Criminal Code, "[a] person acts purposely with respect to the nature of
his conduct or a result thereof if it is his conscious object to engage in
conduct of that nature or to cause such a result." N. J. Stat. Ann.
§2C:2-2(b)(1) (West 1999). The hate crime statute's application to those
who act "with a purpose to intimidate because of" certain status-based
characteristics places it squarely within the inquiry whether it was a
defendant's "conscious object" to intimidate for that
reason. |
| [248] | *fn18 Whatever the effect of the
State Supreme Court's comment that the law here targets "motive," 159 N.
J. 7, 20, 731 A. 2d 485, 492 (1999) -- and it is highly doubtful that one
could characterize that comment as a "binding" interpretation of the state
statute, see Wisconsin v. Mitchell, 508 U. S., at 483-484 (declining to be
bound by state court's characterization of state law's "operative
effect"), even if the court had not immediately thereafter called into
direct question its "ability to view this finding as merely a search for
motive," 159 N. J., at 21, 731 A. 2d, at 492 -- a State cannot through
mere characterization change the nature of the conduct actually targeted.
It is as clear as day that this hate crime law defines a particular kind
of prohibited intent, and a particular intent is more often than not the
sine qua non of a violation of a criminal law. When the principal dissent
at long last confronts the actual statute at issue in this case in the
final few pages of its opinion, it offers in response to this
interpretation only that our reading is contrary to "settled precedent" in
Mitchell. Post, at 31. Setting aside the fact that Wisconsin's hate crime
statute was, in text and substance, different from New Jersey's, Mitchell
did not even begin to consider whether the Wisconsin hate crime
requirement was an offense "element" or not; it did not have to -- the
required finding under the Wisconsin statute was made by the
jury. |
| [249] | *fn19 This is not to suggest that
the term "sentencing factor" is devoid of meaning. The term appropriately
describes a circumstance, which may be either aggravating or mitigating in
character, that supports a specific sentence within the range authorized
by the jury's finding that the defendant is guilty of a particular
offense. On the other hand, when the term "sentence enhancement" is used
to describe an increase beyond the maximum authorized statutory sentence,
it is the functional equivalent of an element of a greater offense than
the one covered by the jury's guilty verdict. Indeed, it fits squarely
within the usual definition of an "element" of the offense. See post, at 5
(Thomas, J., concurring) (reviewing the relevant
authorities). |
| [250] | *fn20 Including New Jersey, N. J.
Stat. Ann. §2C:33-4 (West Supp. 2000) ("A person commits a crime of the
fourth degree if in committing an offense [of harassment] under this
section, he acted with a purpose to intimidate an individual or group of
individuals because of race, color, religion, gender, handicap, sexual
orientation or ethnicity"), 26 States currently have laws making certain
acts of racial or other bias freestanding violations of the criminal law,
see generally F. Lawrence, Punishing Hate: Bias Crimes Under American Law
178-189 (1999) (listing current state hate crime laws). |
| [251] | *fn21 The principal dissent, in
addition, treats us to a lengthy disquisition on the benefits of
determinate sentencing schemes, and the effect of today's decision on the
federal Sentencing Guidelines. Post, at 23-30. The Guidelines are, of
course, not before the Court. We therefore express no view on the subject
beyond what this Court has already held. See, e.g., Edwards v. United
States, 523 U. S. 511, 515 (1998) (opinion of Breyer, J., for a unanimous
court) (noting that "[o]f course, petitioners' statutory and
constitutional claims would make a difference if it were possible to
argue, say, that the sentences imposed exceeded the maximum that the
statutes permit for a cocaine-only conspiracy. That is because a maximum
sentence set by statute trumps a higher sentence set forth in the
Guidelines. [United States Sentencing Guidelines Manual]
§5G1.1."). |
| [252] | *fn22 Justice O'Connor
mischaracterizes my argument. See post, at 5-6 (dissenting opinion). Of
course the Fifth and Sixth Amendments did not codify common law procedure
wholesale. Rather, and as Story notes, they codified a few particular
common-law procedural rights. As I have explained, the scope of those
rights turns on what constitutes a "crime." In answering that question, it
is entirely proper to look to the common law. |
| [253] | *fn23 It is strange that Justice
O'Connor faults me for beginning my analysis with cases primarily from the
1840's, rather from the time of the founding. See post, at 5-6 (dissenting
opinion). As the Court explains, ante, at 11-13, and as she concedes,
post, at 3 (O'Connor, J., dissenting), the very idea of a sentencing
enhancement was foreign to the common law of the time of the founding.
Justice O'Connor therefore, and understandably, does not contend that any
history from the founding supports her position. As far as I have been
able to tell, the argument that a fact that was by law the basis for
imposing or increasing punishment might not be an element did not
seriously arise (at least not in reported cases) until the 1840's. As I
explain below, from that time on -- for at least a century -- essentially
all authority rejected that argument, and much of it did so in reliance
upon the common law. I find this evidence more than
sufficient. |
| [254] | *fn24 The Massachusetts statute
provided: "Every person who shall commit the offence of larceny, by
stealing of the property of another any money, goods or chattels [or other
sort of property], if the property stolen shall exceed the value of one
hundred dollars, shall be punished by imprisonment in the state prison,
not more than five years, or by fine not exceeding six hundred dollars,
and imprisonment in the county jail, not more than two years; and if the
property stolen shall not exceed the value of one hundred dollars, he
shall be punished by imprisonment in the state prison or the county jail,
not more than one year, or by fine not exceeding three hundred dollars."
Mass. Rev. Stat., ch. 126, §17 (1836). |
| [255] | *fn25 The Wisconsin statute
provided: "Every person who shall willfully and maliciously burn, in the
night time, the dwelling house of another, whereby the life of any person
shall be destroyed, or shall in the night time willfully and maliciously
set fire to any other building, owned by himself or another, by the
burning whereof such dwelling house shall be burnt in the night time,
whereby the life of any person shall be destroyed, shall suffer the same
punishment as provided for the crime of murder in the second degree; but
if the life of no person shall have been destroyed, he shall be punished
by imprisonment in the state prison, not more than fourteen years nor less
than seven years; and if at the time of committing the offense there was
no person lawfully in the dwelling house so burnt, he shall be punished by
imprisonment in the state prison, not more than ten years nor less than
three years." Wis. Rev. Stat., ch. 165, §1 (1858). The punishment for
second-degree murder was life in prison. Ch. 164, §2. |
| [256] | *fn26 Some courts read State v.
Smith, 8 Rich. 460 (S. C. App. 1832), a South Carolina case, to hold that
the indictment need not allege a prior conviction in order for the
defendant to suffer an enhanced punishment. See, e.g., State v. Burgett,
22 Ark. 323, 324 (1860) (so reading Smith and questioning its
correctness). The Smith court's holding was somewhat unclear because the
court did not state whether the case involved a first or second offense --
if a first, the court was undoubtedly correct in rejecting the defendant's
challenge to the indictment, because there is no need in an indictment to
negate the existence of any prior offense. See Burgett, supra, at 324
(reading indictment that was silent about prior offenses as only charging
first offense and as sufficient for that purpose). In addition, the Smith
court did not acknowledge the possibility of disputes over identity.
Finally, the extent to which the court's apparent holding was followed in
practice in South Carolina is unclear, and subsequent South Carolina
decisions acknowledged that Smith was out of step with the general rule.
See State v. Parris, 89 S. C. 140, 141, 71 S. E. 808, 809 (1911); State v.
Mitchell, 220 S. C. 433, 434-436, 68 S. E. 2d 350, 351-352
(1951). |
| [257] | *fn27 The gulf between the
traditional approach to determining elements and that of our recent cases
is manifest when one considers how one might, from the perspective of
those cases, analyze the issue in Hobbs. The chapter of the Texas code
addressing burglary was entitled simply "Of Burglary" and began with a
section explicitly defining "the offense of burglary." After a series of
sections defining terms, it then set out six separate sections specifying
the punishment for various kinds of burglary. The section regarding force
was one of these. See 1 G. Paschal, Digest of Laws of Texas, Part II, Tit.
20, ch. 6, pp. 462-463 (4th ed. 1875). Following an approach similar to
that in Almendarez-Torres v. United States, 523 U. S. 224, 231-234,
242-246 (1998), and Castillo v. United States, ante, at __ (slip op., at
4-5), one would likely find a clear legislative intent to make force a
sentencing enhancement rather than an element. |
| [258] | *fn28 The court held that a general
plea of "guilty" to an indictment that includes an allegation of a prior
conviction applies to the fact of the prior conviction. |
| [259] | *fn29 See also State v. Austin, 113
Mo. 538, 542, 21 S. W. 31, 32 (1893) (prior conviction is a "material
fac[t]" of the "aggravated offense"); Bandy v. Hehn, 10 Wyo. 167, 172-174,
67 P. 979, 980 (1902) ("[I]n reason, and by the great weight of authority,
as the fact of a former conviction enters into the offense to the extent
of aggravating it and increasing the punishment, it must be alleged in the
information and proved like any other material fact, if it is sought to
impose the greater penalty. The statute makes the prior conviction a part
of the description and character of the offense intended to be punished"
(citing Tuttle v. Commonwealth, 68 Mass. 505 (1854))); State v. Smith, 129
Iowa 709, 711-712, 106 N. W. 187, 188-189 (1906) (similar); State v.
Scheminisky, 31 Idaho 504, 506-507, 174 P. 611, 611-612 (1918)
(similar). |
| [260] | *fn30 This is not to deny that there
may be laws on the borderline of this distinction. In Brightwell v. State,
41 Ga. 482 (1871), the court stated a rule for elements equivalent to
Bishop's, then held that whether a defendant had committed arson in the
day or at night need not be in the indictment. The court explained that
there was "no provision that arson in the night shall be punished for any
different period" than arson in the day (both being punishable by 2 to 7
years in prison). Id., at 483. Although there was a statute providing that
"arson in the day time shall be punished for a less period than arson in
the night time," the court concluded that it merely set "a rule for the
exercise of [the sentencing judge's] discretion" by specifying a
particular fact for the judge to consider along with the many others that
would enter into his sentencing decision. Ibid. Cf. Jones v. State, 63 Ga.
141, 143 (1879) (whether burglary occurred in day or at night is a
"constituent of the offense" because law fixes different ranges of
punishment based on this fact). And the statute attached no definite
consequence to that particular fact: A sentencing judge presumably could
have imposed a sentence of seven years less one second for daytime arson.
Finally, it is likely that the statute in Brightwell, given its language
("a less period") and its placement in a separate section, was read as
setting out an affirmative defense or mitigating circumstance. See Wright
v. State, 113 Ga. App. 436, 437-438, 148 S. E 2d 333, 335-336 (1966)
(suggesting that it would be error to refuse to charge later version of
this statute to jury upon request of defendant). See generally Archbold
*52, *105-*106 (discussing rules for determining whether fact is an
element or a defense). |
| [261] | *fn31 In addition, it has been
common practice to address this concern by permitting the defendant to
stipulate to the prior conviction, in which case the charge of the prior
conviction is not read to the jury, or, if the defendant decides not to
stipulate, to bifurcate the trial, with the jury only considering the
prior conviction after it has reached a guilty verdict on the core crime.
See, e.g., 1 J. Bishop, Criminal Law §964, at 566-567 (5th ed. 1872)
(favorably discussing English practice of bifurcation); People v.
Saunders, 5 Cal. 4th 580, 587-588, 853 P. 2d 1093, 1095-1096 (1993)
(detailing California approach, since 1874, of permitting stipulation and,
more recently, of also permitting bifurcation). |
| [262] | *fn32 It is likewise unnecessary to
consider whether (and, if so, how) the rule regarding elements applies to
the Sentencing Guidelines, given the unique status that they have under
Mistretta v. United States, 488 U. S. 361 (1989). But it may be that this
special status is irrelevant, because the Guidelines "have the force and
effect of laws." Id., at 413 (Scalia, J.,
dissenting). |