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This week's edition brings three
decisions, one win and two losses. The headline news of this edition,
however, lies in the Supreme Court grant of a stay and certiorari in
Williams v. Taylor which will impact on nearly every capital case in the
country as the issues in that certiorari grant include the interpretation
of the AEDPA and the meaning of ineffective assistance of counsel in the
penalty phase of a capital trial.
In
Focus -- Capital Cert Alert
The Supreme Court on Monday granted
certiorari in Williams v. Taylor, ___S.Ct.___, 1999 WL 148296 (April
5, 1999) (decision below: Williams
v. Taylor, 163 F.3d 860 (4th Cir. 1998)) a capital case whose determination
will examine IAC in the penalty phase (Issue 1), and perhaps more importantly,
will set the limits of adjudication under the AEDPA (Issue 2 &3).
Williams may well be the most important capital case decision in over five
years. Full coverage will be given as it develops.
I. Where both the federal district
court judge and state trial court judge who had originally sentenced Petitioner
to death concluded that counsel's deficient performance was prejudicial
under the test this Court articulated in Strickland v. Washington, did
the Fourth Circuit err in denying relief by reformulating the Strickland
test so that:
a. ineffective assistance
of counsel claims may be assessed under the "windfall" analysis articulated
in Lockhart v. Fretwell even where trial counsel's error was no "windfall";
and
b. the petitioner must show
that absent counsel's deficient performance in the penalty phase, all twelve
jurors would have voted for life imprisonment, even where state law would
have mandated a life sentence if only one juror voted for life imprisonment?
II. Did the Fourth Circuit err
in concluding that, under 28 U.S.C. §2254(d)(1), a state habeas court's
decision to deny a federal constitutional claim cannot be "contrary to"
clearly established Federal law as determined by the Court unless it is
in "square conflict" with a decision of this Court that is "controlling
as to law and fact"?
III. Did the Fourth Circuit err
in concluding that, under 28 U.S.C. §2254(d)(1), a state habeas court's
decision to deny a federal constitutional claim cannot involve "an unreasonable
application of" clearly established Federal law as determined by the Court
unless the state court's decision is predicated on an interpretation or
application of relevant precedent that "reasonable jurists would
all agree is unreasonable"?
Capital
Cases
Jones
v. Johnson Fifth Circuit denies habeas relief on claims relating chiefly
to: [1] failure to instruct on lesser included offenses, [2] ineffective
assistance of counsel, [3] Fourth Amendment/Miranda, [4] Penry, and [5]
Batson. On the two issues the court appears to focus on:
The Lesser Included Offense
Claim
A capital defendant is constitutionally
entitled to instructions on a lesser-included offense only if he has demonstrated
that the evidence would permit a jury rationally to find him guilty of
the lesser offense and acquit him of the greater. Jones' contentions that
he killed the victim because of his homosexual advances are contradicted
by the unequivocal language in his own confession that the theft motivated
the murder.Because the jury could not have rationally acquitted Jones of
the underlying felony - the essential difference between capital murder
and murder - the jury's verdict necessarily was returned on the question
of Jones' intent to kill.
Jones further contends that his
mental capabilities lowered his culpable mental state. He points to the
capital murder statute, which provides that a murder committed in the course
of a robbery must be done intentionally, and the murder statute, which
provides that the murder be done intentionally or knowingly. Jones
contends that because he fit the profile of a "mentally deficient disorganized
offender," the jury could have believed that he lacked the mental capacity
to form the conscious objective or desire required of an intentional crime,
and thus he killed knowingly but not intentionally. Because of this, his
contention continues, he was necessarily entitled to an instruction on
the lesser included offense of murder, as a murder committed knowingly
in the course of a robbery lacks the higher level of intent and cannot
be capital murder.
This contention is without merit.
The evidence of record simply does not support a rational finding that
Jones acted knowingly but not intentionally. Jones stated that he consciously
decided to kill the victim so that he would not be recognized as the thief
of the victim's stereo. The brutal, drawn-out nature of the murder is also
evidence of the intentional nature of this crime. Further, the jury
had the opportunity to distinguish between knowing and intentional conduct
during the sentencing. The first punishment phase issue required the jury
to find, beyond a reasonable doubt, that the conduct of the defendant that
caused the death of the deceased was committed deliberately and with reasonable
expectation that death would result. The judge defined "deliberate" as
"something more than intentional" and as a "conscious decision [embracing]
more than a will to engage in conduct." Any suggestion that the jury rationally
could have found Jones guilty of killing knowingly but not intentionally
is foreclosed by the affirmative response to the greater mental element
during the sentencing phase.
The Penry Claim
Jones contends that the jury was
precluded from making a reasoned moral response to the mitigating evidence
of mental retardation.To support his Penry claim, Jones relies on the testimony
of Dr. Jerry Landrum, a psychologist, who testified that he found Jones
"within the borderline mentally retarded range of intellectual abilities"
through testing and conversation with him, and that Jones was "significantly
limited" in his understanding of surrounding events. Jones also relies
on testimony by the state psychiatrist that the IQ test scores underestimated
Jones' alertness and understanding of what went on around him. Jones also
contends that the court not only failed to give a Penry instruction, it
expressly instructed the jury away from consideration of mitigating evidence
by not allowing the jury to impose a sentence less than death based on
the mitigating value of the evidence beyond its relevance to the special
issues submitted.
We are not persuaded that a special
instruction regarding Jones' mental retardation was required. We have noted
that to have a valid Penry claim, the evidence must show "(1) a uniquely
severe handicap with which the defendant was burdened through no fault
of his own, . . . and (2) that the criminal act was attributable to this
severe permanent condition." Jones has failed to show that his mental
abilities were so limited as to constitute a uniquely severe handicap.
Only one IQ test was performed by a non-testifying expert, and the results
placed Jones in the dull normal range of intelligence. Although Dr.
Landrum, Jones' defense witness, initially testified that Jones' IQ was
between 73 and 77, and thus within the borderline mentally retarded range,
he did not perform an IQ test. Even Dr. Landrum's low figures, however,
fall within the borderline area between mild retardation (below 70) and
dull normal intelligence. We have found that a showing of borderline or
below average intelligence does not constitute a showing of mental retardation.
Even assuming arguendo that Jones' limited abilities constitute a severe
handicap, Jones has not presented any evidence showing the requisite nexus
between his handicap and the criminal act. Therefore, Jones' Penry
claim must also fail.
Nor do we find merit in Jones' contention
that the instructions given did not properly empower the jury to consider
a sentence less than death based on the mitigating value of evidence beyond
its relevance to the special issues submitted. As discussed above, Jones
presented no evidence of mental retardation and thus his evidence of mental
retardation was not mitigating evidence outside the scope of the special
issues. Further, in addition to the three special issues presented,
the jury was given an additional instruction in which it was told that
it could consider "any evidence, which . . . mitigates against an answer
of "yes" to each issue, including aspects of the Defendant's character
or record, and any of the circumstances of the commission of this offense
which [the jury members] find to be mitigating." The jury was directed
to consider all mitigating evidence, and thus Jones' claim must fail.
Rich
v. Calderon Ninth Circuit upholds the conviction and death sentence
in this California capital case.
The cursory examination of issues
relating to Denial of discovery, evidentiary hearing, pre-indictment publicity,
grand jury selection, jury instructions, defense counsel conflict of interest,
shackling, prosecutorial misconduct, mental competence.
Issues of particular interest include:
Habeas Discovery
Rich contends he was denied the opportunity to dis-cover and present
evidence supporting his claims. In fact, the Magistrate Judge established
an entirely reasonable process to deal with the claims for which Rich sought
discovery and a hearing. The process required Rich to identify which of
his claims remained unexhausted, which actually presented federal questions,
and those as to which habeas relief might be available if favorable evidence
were developed. Despite being given more than five months to investigate
and prepare as well as a full day of argument to identify claims that might
colorably entitle him to relief, Rich was unable to do so.
Habeas is an important safeguard whose goal is to cor-rect real and
obvious wrongs. It was never meant to be a fish ing expedition for habeas
petitioners to "explore their case in search of its existence." Calderon
v. U.S.D.C. (Nicolaus), 98 F.3d 1102, 1106 (9th Cir. 1996) (quoting Aubut
v. Maine, 431 F.2d 688, 689 (1st Cir. 1970)). An evidentiary hearing on
a claim is required where it is clear from the petition that: (1) the allegations,
if established, would entitle the petitioner to relief; and (2) the state
court trier of fact has not reliably found the relevant facts. See, Hendricks
v. Vasquez, 974 F.2d 1099, 1103 (9th Cir. 1992). Nothing in Rich's submissions
below suggests he could meet either requirement.
A habeas petitioner does not enjoy the presumptive entitlement to discovery
of a traditional civil litigant. Bracy v. Gramley, 520
U.S. 899, 903-05, 117 S. Ct. 1793, 1796-97 (1997). Rather, discovery
is available only in the discretion of the court and for good cause shown.
See Rules Governing Section 2254 Cases, Rule 6(a) 28 U.S.C. foll. S 2254.
This is consistent with our caselaw that there is no general right to discovery
in habeas proceedings. See Campbell v. Blodgett, 982 F.2d 1356, 1358 (9th
Cir. 1993). Other decisions cited by Rich do not establish a contrary proposition.
Crandell v. Bunnell, 25 F.3d 754 (9th Cir. 1994), Jeffries v. Blodgett,
5 F.3d 1180 (9th Cir. 1993), and McKenzie v. Risley, 915 F.2d 1396 (9th
Cir. 1990) all involve petitioners who presented evidence in support of
claims that colorably entitled them to relief. None of Rich's claims meet
this standard.
Grand Jury Selection.
Rich broadly complains of the process by which the grand jury that
indicted him was selected and composed. The district court properly limited
Rich's equal protection claim under Teague v. Lane to the exclusion of
Native Americans. Rich's claim fails because he did not set forth a prima
facie case of systematic exclusion of members of that group. The 1980 Census
for Shasta County showed that the overall popu- lation consisted of 2.7%
"American Indian, Eskimo, and Aleut." A survey of the cases show that the
exclusion of a group constituting 7.7% or less of the total population
is, standing alone, generally insufficient to establish a prima facie case
of systematic exclusion. See United States v. Cannady, 54 F.3d 544, 548
(9th Cir. 1995); United States v. Suttiswad, 696 F.2d 645, 649 (9th Cir.
1982); United States v. Potter, 552 F.2d 901, 906 (9th Cir. 1977). There
was no constitutional error in the selection and composition of the grand
jury that returned Rich's indictment.
Jury Instructions.
Rich claims that the trial court misled the jury by failing to instruct,
after the jury had reached a temporary impasse, that a failure to reach
agreement on penalty would result in a life sentence. This argument fails
because such an instruction would have been contrary to California Penal
Code section 190.4(b) and inconsistent with established caselaw that a
trial court need not inform a jury of the consequences of deadlock. See
People v. Memro, 905 P.2d 1305, 1359, 11 Cal. 4th 786, 882 (Cal. 1995).
Intermediate California appellate decisions suggesting a contrary rule
fly in the face of our recognition of the California Supreme Court as the
"final expositor of California law." Bonin v. Calderon, 59 F.3d 815, 841
(9th Cir. 1995). There is no error, constitutional or otherwise, in the
failure to give the requested instruction.
Defense Counsel Conflict of Interest.
Rich claims that his trial counsel labored under an "economic conflict"
of interest because of pressures put on him by Shasta County funding authorities.
The result of these pressures, Rich claims, was twofold: (1) his counsel
was "chilled" from obtaining experts "untainted " by a confession that
was ultimately suppressed; and (2) an investigator was not hired to look
into jailhouse conditions and their impact on Rich.
Even under the deferential standard the district court applied to this
claim, it fails because Rich cannot show that: (1) his counsel actively
represented conflicting interests; and (2) an actual conflict of interest
adversely affected counsel's performance. See id. at 825. Rich's failure
to make out such a prima facie case relieved the district court of any
responsibility to hold an evidentiary hearing on the claim. See Williams
v. Calderon, 52 F.3d 1465, 1484 (9th Cir. 1995).
A claim that a conflict produced adverse impact is not made out by simply
claiming such; it must be an impact that significantly worsens the client's
representation. See United States v. Mett, 65 F.3d 1531, 1535-36 (9th Cir.
1995). Rich's trial counsel provided an affidavit discussing the financial
pressures he perceived at the time, which does not even suggest that he
gave in to those pressures in any way that produced demonstrable harm of
any kind to Rich's defense.
The finding below that Rich was not denied the effective assistance
of counsel at trial is supported by substantial evidence.
Shackling.
Asked at argument to identify the most serious error affecting Rich's
trial, his habeas counsel chose this one. The underlying facts are straightforward
and not in essential dis- pute. Rich was in fact shackled with ankle chains
during the course of his trial. The shackles were behind a curtain or "skirt"
placed around the defense table to insure that they were not visible to
the jury. He was not handcuffed and was able to take notes and communicate
freely with his defense counsel. The record is devoid of any suggestion
that the skirt was not effective in screening Rich's shackles from the
jury's view. Neither the trial judge, who insisted on the shackling, nor
Rich's defense counsel, who objected to it, made any comment about the
jury being able to see the shackles in the courtroom during the trial.
Our caselaw is clear: where care is taken to ensure that a defendant's
shackling is not visible to the jury in the courtroom, no error results.
See United States v. Collins, 109 F.3d 1413, 1418 (9th Cir. 1997); Castillo
v. Stainer, 983 F.2d 145, 148 (9th Cir. 1992), as amended 997 F.2d 669
(9th Cir. 1993) (no constitutional error from brief jury viewing of shackled
defendant outside the courtroom). No constitutional error resulted from
the shackling methods employed here.
Collier
v. Turpin Eleventh Circuit on petitioner for rehearing, while
still vacating Petitioner's sentence of death, revisits its prior reasoning.
Supreme
Court Cases
Mitchell
v. United States The Supreme Court holds that the right to remain silent
is not vitiated with a guilty plea and that during sentencing no adverse
inference can be drawn from that silence.
1. In
the federal criminal system, a guilty plea does not waive the self-incrimination
privilege at sentencing. Pp. 6—12.
(a) The well-established rule that a witness, in a single proceeding,
may not testify voluntarily about a subject and then invoke the privilege
against self-incrimination when questioned about the details is justified
by the fact that a witness may not pick and choose what aspects of a particular
subject to discuss without casting doubt on the statements’ trustworthiness
and diminishing the factual inquiry’s integrity. The privilege is waived
for matters to which the witness testifies, and the waiver’s scope is determined
by the scope of relevant cross-examination. Brown v. United States,356
U.S. 148, 154. The concerns justifying cross-examination at trial are
absent at a plea colloquy, which protects the defendant from an unintelligent
or involuntary plea. There is no convincing reason why the narrow inquiry
at this stage should entail an extensive waiver of the privilege. A defendant
who takes the stand cannot reasonably claim immunity on the matter he has
himself put in dispute, but the defendant who pleads guilty takes matters
out of dispute, leaving little danger that the court will be misled by
selective disclosure. Here, petitioner’s “some of” statement did not pose
a threat to the factfinding proceeding’s integrity, for the purpose of
the District Court’s inquiry was simply to ensure that she understood the
charges and there was a factual basis for the Government’s case. Nor does
Rule 11 contemplate a broad waiver. Its purpose is to inform the defendant
of what she loses by forgoing a trial, not to elicit a waiver of privileges
that exist beyond the trial’s confines. Treating a guilty plea as a waiver
of the privilege would be a grave encroachment on defendants’ rights. It
would allow prosecutors to indict without specifying a drug quantity, obtain
a guilty plea, and then put the defendant on the stand at sentencing to
fill in the quantity. To enlist a defendant as an instrument of his or
her own condemnation would undermine the long tradition and vital principle
that criminal proceedings rely on accusations proved by the Government,
not on inquisitions conducted to enhance its own prosecutorial power. Rogers
v. Richmond, 365
U.S. 534, 541. Pp. 6—10.
(b) Where a sentence has yet to be imposed, this Court has already
rejected the proposition that incrimination is complete once guilt has
been adjudicated. See Estelle v. Smith, 451
U.S. 454, 462. That proposition applies only to cases in which the
sentence has been fixed and the judgment of conviction has become final.
See, e.g., Reina v. United States, 364
U.S. 507, 513. Before sentencing a defendant may have a legitimate
fear of adverse consequences from further testimony, and any effort to
compel that testimony at sentencing “clearly would contravene the Fifth
Amendment,” Estelle, supra, at 463. Estelle was
a capital case, but there is no reason not to apply its principle to noncapital
sentencing hearings. The Fifth
Amendment prevents a person from being compelled in any criminal case
to be a witness against himself. To maintain that sentencing proceedings
are not part of “any criminal case” is contrary to the Federal Rules of
Criminal Procedure and to common sense. Pp. 10—12.
2. A sentencing
court may not draw an adverse inference from a defendant’s silence in determining
facts relating to the circumstances and details of the crime. The normal
rule in a criminal case permits no negative inference from a defendant’s
failure to testify. See Griffin v. California, 380
U.S. 609, 614. A sentencing hearing is part of the criminal case, and
the concerns mandating the rule against negative inferences at trial apply
with equal force at sentencing. This holding is a product not only of Griffin
but also of Estelle’s conclusion that there is no basis for distinguishing
between a criminal case’s guilt and sentencing phases so far as the protection
of the Fifth
Amendment privilege is concerned. There is little doubt that the rule
against adverse inferences has become an essential feature of the Nation’s
legal tradition, teaching that the Government must prove its allegations
while respecting the defendant’s individual rights. The Court expresses
no opinion on the questions whether silence bears upon the determination
of lack of remorse, or upon acceptance of responsibility for the offense
for purposes of a downward adjustment under the United States Sentencing
Guidelines. Pp. 12—16.
Conn
v. Gabbert Supreme Court holds that a defendant's counsel does not
have a cognizable civil claim under the due process clause concerning
interference with representation during grand jury proceedings. From the
syllabus:
Fourteenth Amendment right
to practice his profession by executing a searchwarrant while the attorney’s
client is testifying before a grand jury. To prevail in a §1983 action
for civil damages from a government official performing discretionary functions,
the qualified immunity defense requires that the official be shown to have
violated clearly established statutory or constitutional rights of which
a reasonable person would have known. Harlow v. Fitzgerald, 457 U.S. 800,
818. There is no support in this Court’s cases for the Ninth Circuit’s
conclusion that the prosecutors’ actions in this case deprived Gabbert
of a liberty interest in practicing law. See Board of Regents of State
Colleges v. Roth, 408 U.S. 564, 578; Meyer v. Nebraska, 262 U.S. 390, 399.
The cases relied upon by the Ninth Circuit or suggested by Gabbert all
deal with a complete prohibition of the right to engage in a calling, and
not the sort of brief interruption as a result of legal process which occurred
here. See, e.g., Dent v. West Virginia, 129 U.S. 114. Gabbert’s argument
that the search’s improper timing interfered with his client’s right to
have him outside the grand jury room and available to consult with her
is unavailing, since a grand jury witness has no constitutional right to
have counsel present during the proceeding, and none of this Court’s decisions
has held that such a witness has a right to have her attorney present outside
the jury room. This Court need not decide whether such a right exists,
because Gabbert had no standing to raise the alleged infringement of his
client’s rights. Although he does have standing to complain of the allegedly
unreasonable timing of the search warrant’s execution to prevent him from
advising his client, challenges to the reasonableness of the execution
of a search warrant must be assessed under the Fourth Amendment, not the
Fourteenth, see Graham v. Connor, 490 U.S. 386, 395. Pp. 4—7.
Wyoming
v. Houghton Supreme Court holds that once the police have probble cause
to search a car they may inspect the purse of anyone in the car. From the
syllabus:
Police officers with probable
cause to search a car, as in this case, may inspect passengers’ belongings
found in the car that are capable of concealing the object of the search.
In determining whether a particular governmental action violates the Fourth
Amendment, this Court inquires first whether the action was regarded
as an unlawful search or seizure under common law when the Amendment was
framed, see, e.g., Wilson v. Arkansas, 514
U.S. 927, 931. Where that inquiry yields no answer, the Court must
evaluate the search or seizure under traditional reasonableness standards
by balancing an individual’s privacy interests against legitimate governmental
interests, see, e.g., Vernonia School Dist. 47J v. Acton,515
U.S. 646, 652—653. This Court has concluded that the Framers would
have regarded as reasonable the warrantless search of a car that police
had probable cause to believe contained contraband, Carroll v. United
States, 267
U.S. 132, as well as the warrantless search of containers within
the
automobile, United States v. Ross, 456
U.S. 798. Neither Ross nor the historical evidence it relied
upon admits of a distinction based on ownership. The analytical principle
underlying Ross’s rule is also fully consistent with the balance
of this Court’s Fourth
Amendment jurisprudence. Even if the historical evidence were equivocal,
the balancing of the relative interests weighs decidedly in favor of searching
a passenger’s belongings. Passengers, no less than drivers, possess a reduced
expectation of privacy with regard to the property they transport in cars.
See, e.g., Cardwell v. Lewis, 417
U.S. 583, 590. The degree of intrusiveness of a package search upon
personal privacy and personal dignity is substantially less than the degree
of intrusiveness of the body searches at issue in United States
v. Di Re, 332
U.S. 581, and Ybarra v. Illinois, 444
U.S. 85. In contrast to the passenger’s reduced privacy expectations,
the governmental interest in effective law enforcement would be appreciably
impaired without the ability to search the passenger’s belongings, since
an automobile’s ready mobility creates the risk that evidence or contraband
will be permanently lost while a warrant is obtained, California
v. Carney, 471
U.S. 386; since a passenger may have an interest in concealing evidence
of wrongdoing in a common enterprise with the driver, cf. Maryland
v. Wilson, 519
U.S. 408, 413—414; and since a criminal might be able to hide contraband
in a passenger’s belongings as readily as in other containers in the car,
see, e.g., Rawlings v. Kentucky, 448
U.S. 98, 102. The Wyoming Supreme Court’s “passenger property” rule
would be unworkable in practice. Finally, an exception from the historical
practice described in Ross protecting only a passenger’s property,
rather than property belonging to anyone other than the driver,
would be less sensible than the rule that a package may be searched, whether
or not its owner is present as a passenger or otherwise, because it might
contain the object of the search. Pp. 3—11.
Cases
of Note
USA
v Camorlinga Ninth Circuit holds, on direct appeal on undisputed facts,
that violation of a foreign nationals right to consul, upon a showing of
prejudice, must result in the suppression of evidence.
We
see no reason why the same standard should not apply in this case. Upon
a showing that the Vienna Convention was violated by a failure to inform
the alien of his right to contact his consulate, the defendant in a criminal
proceeding has the initial burden of producing evidence showing prej-udice
from the violation of the Convention. If the defendant meets that burden,
it is up to the government to rebut the showing of prejudice.
In this
case, Lombera-Camorlinga filed a motion to suppress his post-arrest statements
because he was not first advised of his rights under the Vienna Convention.
The district court denied his motion to suppress without making a determination
of prejudice. We therefore reverse and remand to the district court for
a determination whether in making his post-arrest statements, Lombera-Camorlinga
was prejudiced by the violation of the Vienna Convention.
Habeas
Cases
Furman
v. Wood Ninth Circuit, in this case where the death penalty was vacated
by the state Washington Supreme Court on the grounds that Furman was a
minor at the time of the crime, denies this petition on grounds that the
burden has not been met on allegations of prosecutorial misconduct, ineffective
assistance of counsel based on examination of a witness, and that petitioner's
jury was unduly conviction prone due to death qualifying during voir dire.
Morse
v. Hanks Seventh Circuit holds no Batson violation where state court
accepted prosecutor's assertion that strikes were not based on racial bias.
McCandles
v. Vaughn Third Circuit, while finding several issues procedurally
defaulted, holds that the right to confront witnesses was violated when
the state failed to produce a key witness at trial but had admitted into
the record in its place her preliminary hearing testimony.
Prisoner's
Rights/Governmental Misconduct Cases
Williams
v. Johnson Fifth Circuit upholds parole revocation despite state's
failure to produce a key witness in that hearing.
Perrin
v. Bean Eleventh Circuit upholds denial of relief for prisoners
protesting certain conditions of their "close management" incarceration
Montero
v. Travis Second Circuit upholds dismissal sua sponte of a complaint
brought under 42 U.S.C. § 1983, which alleged that defendant parole
board commissioners unconstitutionally revoked plaintiff's parole as
parole board officials have absolute immunity when deciding whether to
grant, deny or revoke parole..
Wong
v. Warden, FCI Raybrook Second Cricuit denies relief on claims
that the petitioner was denied a transfer to a Canadian prison due to his
race and national origin or in retaliation for his exercise of constitutional
rights.
Hadix
v. Johnson Sixth Circuit, in another episode of a Michigan prisoner's
right suit, remands for a determination of "actual injury" as required
by Lewis v. Casey, but we affirms the district court's grant of a preliminary
injunction to the plaintiffs in order to maintain the status quo until
a hearing on the merits can be concluded and a new determination made.
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ISSN: 1523-6684 Volume
II, issue 11
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