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      "THE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v. RAYMOND BANKS, Appellant.-THE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v. BOOKER T. BLAKES, Appellant.-THE PEOPLE OF THE STATE OF ILLINOIS, Appellant, v. RICHARD DuQUAINE, Appellee."
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        "text": "JUSTICE MORAN\ndelivered the opinion of the court:\nIn People v. Banks, No. 62815, the defendant was convicted in the circuit court of Cook County of murder and multiple counts of attempted murder, attempted armed robbery and aggravated battery. On appeal, defendant was represented by the Cook County public defender\u2019s office. The appellate court reversed defendant\u2019s attempted murder convictions but affirmed his conviction on all other charges. (63 Ill. App. 3d 891.) Defendant later filed a pro se petition for post-conviction review under the Post-Conviction Hearing Act (the Act) (Ill. Rev. Stat. 1981, ch. 38, par. 122 \u2014 1 et seq.), alleging ineffective assistance of appellate counsel and requesting appointment of counsel other than the public defender. That request was denied and the trial court appointed an assistant Cook County public defender to represent the defendant. Thereafter, the court denied defendant\u2019s request for an evidentiary hearing and granted the State\u2019s motion to dismiss. Defendant appealed arguing that the trial court erred in appointing an assistant public defender to represent him in post-conviction proceedings where his petition alleged that an assistant public defender from the same office rendered ineffective assistance on direct appeal. The appellate court affirmed the trial court in an unpublished order. 137 Ill. App. 3d 1152.\nIn People v. Blakes, No. 63179, the defendant was convicted in the circuit court of Peoria County of unlawful use of weapons. Prior to closing arguments, the defendant informed the trial court that he did not believe that the assistant public defender assigned to his case was affording him adequate representation. At defendant\u2019s request, the trial court discharged defense counsel and appointed another assistant Peoria County public defender to represent defendant in post-trial proceedings. Defendant then filed a motion for a new trial, alleging that trial counsel rendered ineffective assistance. On appeal, defendant argued that post-trial counsel had a conflict of interest because he asserted the incompetency of another assistant public defender from the same office. The appellate court held that no conflict of interest existed since the Peoria County public defender\u2019s office is decentralized and the assistant public defenders work part-time under contract. 131 Ill. App. 3d 1004.\nIn People v. DuQuaine, No. 63352, the defendant was convicted of murder in the circuit court of Cook County. The Cook County public defender represented the defendant on appeal, and the appellate court affirmed in an unpublished order. Defendant subsequently filed a pro se petition for post-conviction relief, alleging ineffective assistance of appellate counsel. The Cook County public defender was appointed to represent defendant in post-conviction proceedings, and the trial court granted the State\u2019s motion to dismiss without an evidentiary hearing. In an unpublished order, the appellate court reversed the dismissal, finding that the trial court should have appointed counsel from outside the Cook County public defender\u2019s office. (143 Ill. App. 3d 1158.) In each cause, appeal is taken pursuant to Rule 315.107 Ill. 2d R. 315.\nA single issue is common to these consolidated cases: whether a defendant is entitled to appointment of counsel other than the public defender where the defendant challenges the effectiveness of assistance rendered by an attorney from the same public defender\u2019s office.\nDefendants argue that a per se conflict of interest exists where an assistant public defender asserts that the defendant was previously rendered ineffective assistance by another assistant public defender from the same office. Under these circumstances, defendants reason, the public defender labors, under conflicting loyalties: loyalty towards his client versus loyalty towards his office. Citing People v. Smith (1967), 37 Ill. 2d 622, defendants maintain that this court has long held that such a situation creates a per se conflict of interest. The State initially responds that Smith did not create a per se conflict of interest rule as it was limited to the facts in that case. Moreover, the State contends, even if Smith is read as establishing a per se conflict of interest rule it has been overruled by our later holdings. The State, citing People v. Robinson (1979), 79 Ill. 2d 147, argues that a case-by-case examination is mandated in order to determine whether an actual conflict of interest exists.\nIn People v. Smith (1967), 37 Ill. 2d 622, the defendant was represented at trial by an assistant public defender and later the defendant filed a pro se petition under the Act, charging trial counsel with ineffective assistance. Upon the filing of defendant\u2019s petition, the trial court appointed another assistant public defender from the same office to represent defendant in post-conviction proceedings. The defendant then moved for appointment of counsel other than the public defender, but the trial court denied the motion. This court reversed and remanded for a new hearing with appointed counsel other than the public defender finding that a conflict of interest exists where an assistant public defender asserts the incompetence of another assistant public defender from the same office. In People v. Terry (1970), 46 Ill. 2d 75, the court followed the holding in Smith. Terry involved a defendant who alleged in a post-conviction petition that he was ineffectively represented by an assistant public defender at the time of his pleading guilty. The court, quoting Smith, held that counsel other than the public defender should have been appointed to represent the defendant in post-conviction proceedings.\nOur subsequent cases, however, evidence our understanding of the special nature of public defender\u2019s offices where conflicts of interest are concerned. Public defender\u2019s offices, we have recognized, are unlike private law firms for purposes of conflicts of interest. While a conflict of interest among any member of a private law firm will disqualify the entire firm (People v. Stoval (1968), 40 Ill. 2d 109), the disqualification of an assistant public defender will not necessarily disqualify all members of that office (People v. Robinson (1979), 79 Ill. 2d 147). In Robinson it was urged that where an assistant public defender is disqualified by reason of a conflict of interest then all other assistants in that office should be per se disqualified since these other assistants\u2019 loyalty to their office would conflict with their loyalty to their clients. The court rejected this contention, reasoning that any such loyalty to one\u2019s office was too remote to justify a per se conflict of interest rule. Referring to Robinson, the court in People v. Lewis (1981), 88 Ill. 2d 429, 438, stated that \u201cwe did not deem a personal allegiance or loyalty to the public defender\u2019s office sufficient to justify a rule that if one attorney employed by such an office were disqualified by reason of a conflict of interest, no other attorney employed by that office could undertake the representation.\u201d After rejecting a per se rule, the Robinson court prescribed a case-by-case inquiry designed to determine whether the facts of a particular case indicate an actual conflict and therefore preclude representation. This rule announced in Robinson has been reaffirmed in the subsequent holdings of the court. People v. Miller (1980), 79 Ill. 2d 454, 461 (\u201cthe disqualification of one assistant public defender due to a conflict of interest will not necessarily disqualify all members of the public defender\u2019s office\u201d); People v. Walton (1979), 78 Ill. 2d 197 (no per se conflict where a public defender alleges that his predecessor in office rendered ineffective assistance); People v. Coates (1985), 109 Ill. 2d 431, 438-39 (no per se conflict where the public defender\u2019s office represented the defendant and the State\u2019s principal witness in an unrelated matter, rather, \u201ca case-by-case examination is necessary to determine whether any facts peculiar to the case preclude the representation of the individuals whose interests were allegedly in conflict\u201d).\nWe agree with the defendants that Robinson did not directly overrule Smith. Robinson only decided that where an assistant public defender faces a conflict of interest, the conflict will not per se disqualify other members of the office, whereas Smith decided that a per se conflict exists where an assistant asserts the incompetency of another member of the office since he must confront competing loyalties towards his client and towards his office. However, Robinson rejected the essential premise in Smith that an assistant public defender feels a strong loyalty to protect the reputation of his office. That is, Smith adopts a per se conflicts rule premised on the view that an assistant public defender\u2019s loyalty towards his office is so great that where he asserts the incompetency of another assistant, a conflict must necessarily be imputed to him; whereas Robinson rejected a per se conflicts rule precisely because it finds that an assistant public defender\u2019s loyalty towards his office is not great enough to impute to him the conflicts of other assistants. As such, Robinson reflects our appreciation that a public defender does not necessarily owe an allegiance to the reputation of his office such as to interfere with his undivided loyalty towards his client. Robinson evidences our concern that any such per se rule would needlessly disqualify competent and able members of the public defender\u2019s office.\nDefendants nevertheless maintain that here a public defender\u2019s loyalty towards the reputation of his office is of such magnitude that a per se conflict of interest rule should apply whenever an assistant public defender asserts the incompetency of another assistant. We disagree. To begin, it is not clear to us that where an assistant public defender asserts the incompetency of another assistant, the reputation of the whole office is negatively impacted. To the contrary, it can be equally argued that a positive image is fostered where an office aggressively pursues allegations made against some of its members. More importantly, however, a per se rule would require us to presume that public defenders would allow any office allegiances to interfere with their foremost obligation to their clients. In our view, it is erroneous to assume that public defenders have such an allegiance and are unable to subordinate it to the interests of their clients. Though referring to a different type of conflict, the commentary to the American Bar Association Standards Relating to the Defense Function (ABA Standards, Conflict of Interest \u00a73.5 (1970)) is instructive:\n\u201cThe basic rule which must guide every lawyer is that his total loyalty is due each client in each case; and he may never permit the pressing of one point or one case to be guided or influenced by the demands of another case. The risk of jeopardizing other cases, if it in fact exists, presents a conflict he must resolve in such a way that his immediate responsibility is faithfully discharged. This problem is one of the arguments frequently made against the desirability of a full-time defender agency. Those who have studied voluntary and public defender offices have concluded that the inbred adversary tendencies of the lawyer are sufficient protection.\u201d ABA Standards, The Defense Function, Commentary, at 212-13 (1970).\nWe therefore hold that where an assistant public defender asserts that another assistant from the same office has rendered ineffective assistance, a case-by-case inquiry should be conducted to determine whether any circumstances peculiar to the case indicate the presence of an actual conflict of interest; accordingly, we overrule this court\u2019s prior holdings in Smith and Terry. Here, defendants have not indicated, and our examination of the record does not reveal, circumstances which suggest that actual conflicts of interest were present.\nLastly, defendant Banks contends that he was nonetheless ineffectively represented because post-conviction counsel failed to investigate the existence of alleged alibi witnesses. However, this point will not be considered as it was not raised in the appellate court and is therefore waived. People v. Caldwell (1968), 39 Ill. 2d 346, 354.\nFor the foregoing reasons, the judgments of the appellate court in Nos. 62815 and 63179 are affirmed; in No. 63352 we reverse the appellate court and affirm the order of the trial court.\n62815 \u2014 Judgment affirmed.\n63179 \u2014 Judgment affirmed.\n63352 \u2014 Appellate court reversed; circuit court affirmed.\nJUSTICE CUNNINGHAM took no part in the consideration or decision of this case.",
        "type": "majority",
        "author": "JUSTICE MORAN"
      },
      {
        "text": "CHIEF JUSTICE CLARK,\nspecially concurring:\nI concur in the decision and judgment of the majority, and write separately only to address Justice Simon\u2019s dissenting opinion.\nThe dissent argues that People v. Robinson (1979), 79 Ill. 2d 147, neither conflicts with People v. Smith (1967), 37 Ill. 2d 622, nor does it \u201cprovide[ ] a reliable guideline for the cases now before us, for it involved a different kind of conflict.\u201d (121 Ill. 2d at 50 (Simon, J., dissenting).) In so arguing the dissent maintains that the conflicts presented in Robinson were \u201cper se\u201d or \u201cimputed,\u201d whereas the conflicts considered by the court in Smith and Terry were actual. I disagree with the dissent\u2019s assertion that the conflicts in Smith and Terry were actual rather than \u201cper se,\u201d and find the dissent\u2019s interpretation of the interrelationship between Smith and Robinson simply erroneous. I suggest that, in order for the dissent to have reached its conclusion, the dissent has distorted the definitions of \u201cper se\u201d and actual conflicts of interest in an effort to find Robinson inapplicable to the instant case.\nA review of this court\u2019s decisions involving attorney conflicts of interest reveals a clear distinction between \u201cper se\u201d and actual conflicts. Where a rule of \u201cper se\u201d conflict has been adopted, allegations of prejudice and proof of prejudice are unnecessary. (See People v. Fife (1979), 76 Ill. 2d 418; People v. Coslet (1977), 67 Ill. 2d 127; People v. Stoval (1968), 40 Ill. 2d 109.) In each of these instances, the conflict itself vitiated any requirement that evidence be presented to demonstrate that prejudice did occur. On the other hand, \u201c[wjhere a \u2018per se\u2019 conflict of interest is not established, it is the defendant\u2019s burden to show an actual conflict of interest and to demonstrate prejudice.\u201d (People v. Free (1986), 112 Ill. 2d 154, 169; see also People v. Miller (1980), 79 Ill. 2d 454.) To demonstrate prejudice does not mean that a defendant has to prove the allegations of ineffectiveness of counsel; rather, the defendant must demonstrate that he would be prejudiced by the denial of his request for the appointment of private counsel.\nAs the majority correctly notes, the court in People v. Smith (1967), 37 Ill. 2d 622, adopted a rule of \u201cper se\u201d violation in cases where an assistant public defender asserts the incompetency of another assistant public defender from the same office. In so holding, the Smith court accordingly refused to consider the merits of defendant\u2019s petition because, on its face, the defendant\u2019s mere conclusory allegation of ineffective assistance of counsel automatically entitled defendant to counsel other than the public defender. The defendant there was not required to prove an actual conflict of interest, i.e., that the new public defender could not adequately represent him. Clearly, the dissent\u2019s assertion here that Smith involved an actual conflict rather than a \u201cper se\u201d conflict is simply wrong. The dissent has obviously misinterpreted the holding in Smith.\nThroughout the years, this court has steadily retreated from the harsh consequences resulting from the Smith decision. Beginning with Robinson, the court has repeatedly held that disqualification of one assistant public defender due to a conflict of interest will not necessarily disqualify all members of the public defender\u2019s office. (See, e.g., People v. Miller (1980), 79 Ill. 2d 454; People v. Walton (1979), 78 Ill. 2d 197.) Today\u2019s decision is a natural and logical extension of Robinson, which requires that the decision in Smith no longer be followed.\nThe court\u2019s decision today does nothing to emasculate the fundamental principle that \u201c[t]he right to the effective assistance of counsel is a fundamental right and entitles the person represented to the undivided loyalty of counsel.\u201d (People v. Stoval (1968), 40 Ill. 2d 109, 111.) Our decision merely lays to rest any notion that a defendant has an automatic right to nonpublic defender counsel simply by making a bare allegation of ineffectiveness of counsel in a post-conviction petition. The mere likelihood of a conflict is no longer determinative; the defendant must set forth in his petition sufficient facts to demonstrate the existence of an actual conflict to be entitled to alternative counsel. In the absence of an evidentiary record of conflict, one should not be created based on mere speculation. See People v. Berland (1978), 74 Ill. 2d 286, 301.\nFurthermore, the appointment of outside counsel every time there is a bare allegation of ineffectiveness on the part of the public defender\u2019s office could invite claims of incompetency of counsel by petitioners who, for reasons only self-serving, want counsel other than from the public defender\u2019s office. Such a per se rule would provide defendants with a vehicle for obtaining a \u201csecond bite of the apple,\u201d believing that if they have non-public defender counsel, their convictions could possibly be reversed. As Justice Webber wisely observed in his dissent in People v. Walton (1978), 66 Ill. App. 3d 913, 916:\n\u201cThat rule [\u201cper se\u201d conflict of interest rule enunciated in Smith], unless carefully controlled, will become nothing less than a Declaration of Indulgences to every criminal defendant who is dissatisfied with the result of his trial and appeal and seeks to fasten the blame upon his lawyer.\u201d\nThe dissent further argues that the majority\u2019s decision in this case will create problems for the lower courts because we fail to offer further guidance regarding the rule that a \u201ccase by case inquiry should be conducted to determine whether any circumstances peculiar to the case indicate the presence of an actual conflict of interest.\u201d (People v. Robinson (1979), 79 Ill. 2d 147.) The dissent\u2019s argument is erroneous. The very nature of a \u201ccase by case\u201d inquiry dictates against the imposition of fixed standards in determining the presence of an actual conflict. Further, the dissent fails to recognize that the court in Robinson specifically held that \u201cthe decisions of the Supreme Court and this court (see Glasser v. United States (1942), 315 U.S. 60, 86 L. Ed. 680, 62 S. Ct. 457; Holloway v. Arkansas (1978), 435 U.S. 475, 55 L. Ed. 2d 426, 98 S. Ct. 1173; People v. Stoval (1968), 40 Ill. 2d 109; People v. Kester (1977), 66 Ill. 2d 162; People v. Berland (1978), 74 Ill. 2d 286; People v. Vriner (1978), 74 Ill. 2d 329) furnish guidance adequate to avoid conflicts of interest which will impede the furnishing of effective assistance of counsel.\u201d Robinson, 79 Ill. 2d at 159-60.\nIn the instant case, defendants\u2019 pro se petitions assert nothing more than \u201cineffective assistance of counsel,\u201d without providing any factual basis to support such an allegation. The dissent is critical of the majority\u2019s failure to make any determination as to the existence of any actual conflict in this case. Again, the dissent\u2019s argument is erroneous. Obviously, without the existence of a factual basis to support defendants\u2019 assertion of incompetency, we cannot determine whether there is even a likelihood of any conflict under these circumstances.\nThe underlying innuendo in the dissent\u2019s argument is that loyalty to one\u2019s office is more important than loyalty to one\u2019s client. I respectfully suggest that my colleague\u2019s thinking is out of step not only with the established view of this court (see People v. Robinson (1979), 79 Ill. 2d 147), but with what appears to be the established view of the United States Supreme Court as well. For example, in Branti v. Finkel (1980), 445 U.S. 507, 519, 63 L. Ed. 2d 574, 584, 100 S. Ct. 1287, 1295, the Supreme Court stated that \u201c[t]he primary, if not the only, responsibility of an assistant public defender is to represent individual citizens in controversy with the State.\u201d (Emphasis added.) The majority in Branti cited with approval its earlier statement in Ferri v. Ackerman (1979), 444 U.S. 193, 204, 62 L. Ed. 2d 355, 363, 100 S. Ct. 402, 409, wherein the Court, in commenting on the duties of counsel appointed to represent indigent defendants in Federal criminal proceedings, stated:\n\u201cHis principal responsibility is to serve the undivided interests of his client. Indeed, an indispensable element of the effective performance of his responsibilities is the ability to act independently of the Government and to oppose it in adversary litigation.\u201d (Emphasis added.)\nThe dissent in effect suggests that an assistant public defender is primarily interested in keeping his job by staying in the good graces of his superiors, and thus is only incidentally concerned with providing his client with the most effective representation possible. This flawed logic serves to undercut the integrity and dedicated efforts of the many f\u00edne members of the public defender offices throughout this State. I suggest that the dissent has underestimated the extent of the professional and personal commitment made by these outstanding public servants in their quest to provide indigent defendants with the most effective representation possible.\nFor these reasons I concur in the judgment of the court.\nWARD, RYAN and MILLER, JJ., join in this special concurrence.",
        "type": "concurrence",
        "author": "CHIEF JUSTICE CLARK,"
      },
      {
        "text": "JUSTICE SIMON,\ndissenting:\nI dissent because People v. Smith (1967), 37 Ill. 2d 622, and People v. Terry (1970), 46 Ill. 2d 75, were correctly decided and should not be overruled. Unlike the majority\u2019s opinion, those decisions reinforced the Illinois courts\u2019 long adhered-to mandate that \u201c[t]he right to the effective assistance of counsel is a fundamental right and entitles the person represented to the undivided loyalty of counsel.\u201d People v. Stoval (1968), 40 Ill. 2d 109, 111.\nIn People v. Smith (1967), 37 Ill. 2d 622, the defendant filed a pro se petition for a hearing under the Post-Conviction Hearing Act (Ill. Rev. Stat. 1981, ch. 38, par. 122 \u2014 1 et seq.) alleging that he was represented by incompetent counsel from the public defender\u2019s office, and the trial court then appointed the public defender\u2019s office to represent the defendant upon his petition. Smith held that counsel other than the public defender should have been appointed; its reasoning remains persuasive:\n\u201cThis circumstance clearly confronts the public defender\u2019s office with a conflict of interest since, on one hand, its natural inclination would be to protect its reputation by defending against the charges of incompetency while, on the other hand, its duty as an advocate is to aid petitioner in establishing the veracity of these charges.\u201d (37 Ill. 2d at 624.)\nThe majority concedes that Terry reaffirmed Smith (121 Ill. 2d at 40), yet fails to explain why it is no longer true that \u201ccircumstances such as these create a conflict of interest\u201d (People v. Terry (1970), 46 Ill. 2d 75, 78).\nInstead, the majority strains to find a conflict between the court\u2019s decisions in People v. Robinson (1979), 79 Ill. 2d 147, and Smith and Terry. But Robinson neither conflicts with Smith nor provides a reliable guideline for the cases now before us, for it involved a different kind of conflict. The distinction between conflicts that are attributed to attorneys because of the conflicts of fellow public defenders and what are referred to here as actual conflicts, those which directly affect individual attorneys, is crucial and must be drawn. The concern in Robinson was over imputed conflicts, not the actual conflicts which existed in Smith and Terry. More specifically, Robinson dealt with the question whether the principle now set forth in Supreme Court Rule 5 \u2014 105(d) (107 Ill. 2d R. 5\u2014 105(d)) applied to public defender\u2019s offices. (People v. Robinson (1979), 79 Ill. 2d 147, 154.) The Robinson court simply decided that the principles motivating imputed disqualification rules did not require per se disqualification of attorneys in a public defender\u2019s office. Due to the special nature of public defender\u2019s offices, Robinson held that per se conflicts would not prevent assistant public defenders in the same office from representing clients with antagonistic interests. People v. Miller (1980), 79 Ill. 2d 454, 461 (\u201cdisqualification of one assistant public defender due to a conflict of interest will not necessarily disqualify all members of the public defender\u2019s office\u201d).\nThe majority acknowledges the narrow holdings of Robinson and Smith in these words:\n\u201cRobinson only decided that where an assistant public defender faces a conflict of interest, the conflict will not per se disqualify other members of the office, whereas Smith decided that a per se conflict exists where an assistant asserts the ineompetency of another member of the office since he must confront competing loyalties towards his client and towards his office.\u201d (121 Ill. 2d at 42.)\nNotwithstanding its recognition that Robinson and Smith are not inconsistent, the majority, without citation, simply sweeps away Smith with the assertion that \u201cRobinson rejected the essential premise in Smith that an assistant public defender feels a strong loyalty to protect the reputation of his office.\u201d (121 Ill. 2d at 42.) In fact, Robinson upheld the essential premise of Smith:\n\u201cThe People\u2019s conclusion that attorneys in the public defender\u2019s office have no allegiance to their office has been implicitly rejected in People v. Smith (1967), 37 Ill. 2d 622. In Smith the defendant had been represented at trial by an attorney from the public defender\u2019s office. After his conviction, the defendant filed a pro se petition alleging that his trial counsel was incompetent; another attorney from the same office was appointed to represent defendant in the post-conviction proceedings. Although the court restricted its holding to the circumstances present in that case, in finding a conflict of interest it was nonetheless acknowledged that an attorney from the public defender\u2019s office might feel some loyalty to the office since the attorney\u2019s \u2018natural inclination would be to protect its reputation by defending against the charges of incompetency ***.\u2019 37 Ill. 2d 622, 624.\u201d (People v. Robinson (1979), 79 Ill. 2d 147, 158.)\nIgnoring the true holding of Robinson, the majority proceeds to overrule Smith and Terry by rewriting Robinson, rather than by demonstrating why stare decisis and the reasoning of Smith do not control these cases.\nAttempting to justify its new rule, the majority speculates that \u201ca positive image is fostered where an office aggressively pursues allegations made against some of its members.\u201d (121 Ill. 2d at 43.) Whether or not this argument has any basis in fact, it is a speculation about a lawyer\u2019s motivation that relates only to conflicting loyalties to one\u2019s client and to the reputation of the public defender\u2019s office as a whole. Conspicuously absent is any discussion of the more powerful individual loyalties to one\u2019s colleagues; challenging the competence of one\u2019s office mate is hardly an easy assignment. Nor does the majority address the bureaucratic consequences that a public defender may fear if he zealously argues that another public defender \u2014 possibly his superior \u2014 is incompetent.\nThe opinion also points out that affirming the per se rule \u201cwould require us to presume that public defenders would allow any office allegiances to interfere with their foremost obligation to their clients.\u201d (121 Ill. 2d at 43.) Curiously, the majority does not appear to realize that this criticism pertains to all conflict of interest decisions. Conflict of interest rules require presumptions that certain situations inherently entail conflicting loyalties that interfere (or appear to interfere) with an attorney\u2019s client obligations. One advantage of a per se rule is that it eliminates the need to make case-by-case assessments of conflicting loyalties that may well be extremely subtle or subconscious. Previously, this court has noted that it is extremely difficult to measure such \u201csubtle influences\u201d and the \u201csubliminal reluctance to attack pleadings *** by the prosecution which [an attorney] may have been personally involved with.\u201d (People v. Kester (1977), 66 Ill. 2d 162, 167-68.) Here, however, the majority ignores the difficulties of gauging the effects of subtle or subliminal pressures that arise from friendship or loyalty to a lawyer\u2019s colleagues and conflict with his duty to his client.\nCompounding the problems this decision will create for the lower courts, the majority fails to provide any guidance when it applies its rule that \u201ca case-by-case inquiry should be conducted to determine whether any circumstances peculiar to the case indicate the presence of an actual conflict of interest.\u201d (121 Ill. 2d at 44.) Whether or not one labels them per se, the conflicts present in these cases are very real. (See People v. Walton (1979), 78 Ill. 2d 197, 200-01 (recognizing distinction between actual and per se conflicts of interest).) Nevertheless, the court\u2019s \u201ccase-by-case inquiry\u201d here is satisfied in only one sentence: \u201cHere, defendants have not indicated, and our examination of the record does not reveal, circumstances which suggest that actual conflicts of interest were present.\u201d (121 Ill. 2d at 44.) The court\u2019s \u201ccase-by-case inquiry,\u201d it appears, is but window dressing for a new per se rule that loyalty to the public defender\u2019s office or a lawyer\u2019s associates in it cannot form the basis of a conflict of interest.\nIn my view, if the majority genuinely intended to conduct any case-by-case analysis, it should have addressed the actual conflicts that the court recognized in Smith and Terry. The attorneys in each of the cases now before us faced very significant conflicts \u2014 their loyalty to their clients requiring them to impugn the competency of their own offices and, indirectly, themselves. By suggesting that other assistant public defenders were incompetent, the assistants in each of these cases might have faced hostility from their peers and supervisors, and by denigrating the abilities of assistant public defenders, they prejudiced their own prospects for employment after leaving the public defender\u2019s office. With so many clashing loyalties, the actual conflicts in these cases are too real and powerful to be ignored.\nFaced with similar situations, courts in other jurisdictions have found that the conflicts require disqualification of fellow public defenders. See Hill v. State (1978), 263 Ark. 478, 480, 566 S.W.2d 127, 127 (where one assistant public defender represents indigent alleging ineffective assistance by another assistant public defender, \u201ca conflict of interest would inevitably arise\u201d); Adams v. State (Fla. 1980), 380 So. 2d 421, 422 (the later public defender \u201chas a hopeless conflict of interest\u201d). Accord Angarano v. United States (D.C. 1974), 329 A.2d 453, 457; Commonwealth v. Willis (1981), 492 Pa. 310, 312, 424 A.2d 876, 877.\nThe conflicts present in these consolidated cases are not attenuated by the unique characteristics of either the Cook or Peoria County public defender\u2019s office. Though there are hundreds of assistants in the Cook County office, the sheer number does nothing to attenuate the actual conflict since Banks and DuQuaine were still asking their attorneys at the post-conviction proceedings to argue that their peers, and ultimately their supervisors and themselves, were second-rate lawyers in a second-rate office. The appellate court in Blakes\u2019 case found significance in the structure of the Peoria County office. There, the public defender contracts with private attorneys to act as his assistants and handle the public defender\u2019s assignments part-time. Questioning the competence of another assistant public defender in those circumstances would not only tarnish the abilities of all assistant public defenders working part-time in that county (including the assistant making the assertion), but might antagonize the public defender, who employs the private attorneys, and adversely affect the assignment of future work to Blakes\u2019 attorney. Thus, the conflict facing the attorney in Blakes\u2019 case is no less real merely because the Peoria County public defender\u2019s office is decentralized and is staffed by practicing attorneys.\nThis dissent does not question the integrity and dedication of this State\u2019s public defenders. To the contrary, this dissent is based in large part on my desire to uphold the good reputation of public defenders by precluding even the appearance of conflicting loyalties. I remind my colleagues that appellate public defenders from several different offices in this State vigorously asserted in this court that the appellate court was wrong in Nos. 62815 and 63179, and right in No. 63352. Their strong arguments against the reasoning on which the disposition of this case is based lead me to observe that the public defenders in this State are acutely aware of the difficult position in which that disposition leaves them.\nBecause I believe that the conflicts in these cases are just as real today as those this court recognized in Smith two decades ago, I see no reason to discard that precedent. I would reverse and remand both No. 62815 and No. 63179, and I would affirm the judgment of the appellate court in No. 63352.",
        "type": "dissent",
        "author": "JUSTICE SIMON,"
      }
    ],
    "attorneys": [
      "Raymond Banks, appellant pro se, and Theodore A. Gottfried, State Appellate Defender, and Patrick J. Hughes, Jr., both of the Office of the State Appellate Defender, of Springfield, for appellant.",
      "Neil F. Hartigan, Attorney General, of Springfield, and Richard M. Daley, State\u2019s Attorney, of Chicago (Mark L. Rotert, Assistant Attorney General, of Chicago, and Thomas V. Gainer, Jr., and Bonnie Meyer Sloan, Assistant State\u2019s Attorneys, of counsel), for the People.",
      "Robert Agostinelli, Deputy Defender, and Frank W. Ralph, Assistant Defender, of the Office of the State Appellate Defender, of Ottawa, for appellant.",
      "Neil F. Hartigan, Attorney General, of Springfield (Roma J. Stewart, Solicitor General, and Mark L. Rotert and Arleen C. Anderson, Assistant Attorneys General, of Chicago, of counsel), for the People.",
      "Neil F. Hartigan, Attorney General, of Springfield, and Richard M. Daley, State\u2019s Attorney, of Chicago (Mark L. Rotert, Assistant Attorney General, of Chicago, and Joan S. Cherry, Paula Carstensen, Bonnie Meyer Sloan, and Thomas V. Gainer, Jr., Assistant State\u2019s Attorneys, of counsel), for the People.",
      "Steven Clark, Deputy Defender, and Deborah Liebow, Assistant Appellate Defender, of the Office of the State Appellate Defender, of Chicago, for appellee."
    ],
    "corrections": "",
    "head_matter": "(No. 62815.\n(No. 63179.\n(No. 63352.\nTHE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v. RAYMOND BANKS, Appellant.-THE PEOPLE OF THE STATE OF ILLINOIS, Appellee, v. BOOKER T. BLAKES, Appellant.-THE PEOPLE OF THE STATE OF ILLINOIS, Appellant, v. RICHARD DuQUAINE, Appellee.\nOpinion filed November 23, 1987.\n\u2014 Rehearing denied April 5, 1988.\nCUNNINGHAM, J., took no part.\nCLARK, C.J., and WARD, RYAN and MILLER, JJ\u201e specially concurring.\nSIMON, J., dissenting.\nRaymond Banks, appellant pro se, and Theodore A. Gottfried, State Appellate Defender, and Patrick J. Hughes, Jr., both of the Office of the State Appellate Defender, of Springfield, for appellant.\nNeil F. Hartigan, Attorney General, of Springfield, and Richard M. Daley, State\u2019s Attorney, of Chicago (Mark L. Rotert, Assistant Attorney General, of Chicago, and Thomas V. Gainer, Jr., and Bonnie Meyer Sloan, Assistant State\u2019s Attorneys, of counsel), for the People.\nRobert Agostinelli, Deputy Defender, and Frank W. Ralph, Assistant Defender, of the Office of the State Appellate Defender, of Ottawa, for appellant.\nNeil F. Hartigan, Attorney General, of Springfield (Roma J. Stewart, Solicitor General, and Mark L. Rotert and Arleen C. Anderson, Assistant Attorneys General, of Chicago, of counsel), for the People.\nNeil F. Hartigan, Attorney General, of Springfield, and Richard M. Daley, State\u2019s Attorney, of Chicago (Mark L. Rotert, Assistant Attorney General, of Chicago, and Joan S. Cherry, Paula Carstensen, Bonnie Meyer Sloan, and Thomas V. Gainer, Jr., Assistant State\u2019s Attorneys, of counsel), for the People.\nSteven Clark, Deputy Defender, and Deborah Liebow, Assistant Appellate Defender, of the Office of the State Appellate Defender, of Chicago, for appellee."
  },
  "file_name": "0036-01",
  "first_page_order": 48,
  "last_page_order": 67
}
