{
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  "name": "STATE OF NORTH CAROLINA v. DANIEL EASLEY DEFOE",
  "name_abbreviation": "State v. Defoe",
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      "Justice BRADY joins in this concurring opinion."
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      "STATE OF NORTH CAROLINA v. DANIEL EASLEY DEFOE"
    ],
    "opinions": [
      {
        "text": "TIMMONS-GOODSON, Justice.\nThe issue presented in these cases is whether the General Assembly\u2019s 2001 amendments to the capital punishment statutes abrogated this Court\u2019s decision in State v. Rorie, 348 N.C. 266, 500 S.E.2d 77 (1998), so that the superior courts now have authority to declare a case noncapital as a sanction for the State\u2019s noncompliance with Rule 24 of the General Rules of Practice for the Superior and District Courts. We hold that the 2001 amendments eliminated the rationale on which Rorie was decided, and thus, legislatively abrogated our holding. However, there is an insufficient showing of prejudice to justify declaring the cases noncapital. Therefore, we affirm the trial court\u2019s ruling permitting the cases to proceed capitally.\nI. Background\nOn or about 25 March 2006, defendant was arrested for the murders of Laxavier Jamiel Henry and Billy Glenn Medford, the first murder allegedly occurring on 10 March 2006 and the second on 23 March 2006. The grand jury returned true bills of indictment charging defendant with first-degree murder in both cases on 8 May 2006.\nOn 21 June 2006, an assistant district attorney filed an \u201cApplication for Rule 24 Pre-Trial Conference [and] Notice of Intent to Seek Death Penalty\u201d that listed the docket numbers of both murder cases against defendant. Rule 24 requires\na pretrial conference in every case in which the defendant stands charged with a crime punishable by death. No later than ten days after the superior court obtains jurisdiction in such a case, the district attorney shall apply to the presiding superior court judge or other superior court judge holding court in the district, who shall enter an order requiring the prosecution and defense counsel to appear before the court within forty-five days thereafter for the pretrial conference.\nGen. R. Pract. Super. & Dist. Cts. 24, 2009 Ann. R. N.C. 21.\nIn accord with Rule 24, the assistant district attorney\u2019s 21 June 2006 application requested the trial court \u201cto schedule a Pretrial Conference in the above captioned matter within the next forty-five (45) days.\u201d The application also gave notice \u201cto the above named Defendant and the Court, of the State\u2019s intent to seek the death penalty.\u201d However, the application was filed more than ten days after the grand jury returned the indictments, and the pretrial conference did not occur within forty-five days thereafter.\nAt some point, the Richmond County District Attorney\u2019s Office determined it had a conflict of interest and could not prosecute defendant for the murders. In a letter dated 28 November 2007, well over a year after the initial request for a Rule 24 conference, the Richmond County District Attorney\u2019s Office requested the Attorney General\u2019s Office to prosecute the murder charges against defendant. The Attorney General\u2019s Office agreed to prosecute both cases and requested the relevant files in a letter dated 3 December 2007. The Richmond County District Attorney\u2019s Office completed transfer of its relevant files by April or May 2008.\nOn 19 June 2008, defendant, through his counsel, filed a \u201cMotion to Compel Compliance\u201d complaining of the State\u2019s failure to provide discovery and to conduct a Rule 24 hearing. Specifically, the Motion to Compel asserted that a written discovery request filed on 12 June 2006 had gone unanswered despite numerous oral follow-up requests. The Motion to Compel also noted that the State had not yet conducted a Rule 24 hearing, notwithstanding its request two years earlier. Defendant requested various forms of relief, including dismissal, sanctions, and an order to compel discovery. Notably, however, the motion also stated that defense counsel \u201cdoes not know but will be able to better determine whether or not the Defendant has been prejudiced by the delay of the State.\u201d No order ruling on the Motion to Compel is contained in the record, but defendant\u2019s later filings indicate that the State provided \u201ca banker\u2019s box full of Discovery\u201d in July 2008.\nOn 7 November 2008, the State filed a \u201cNotice of Intent to Seek the Death Penalty\u201d and an \u201cApplication for Pre-Trial Conference on Charge of First Degree Murder\u201d pursuant to Rule 24. Both were signed by two special deputy attorneys general. On 11 November 2008, defendant responded by filing a \u201cMotion to Strike State\u2019s Notice of Intent to Seek Death Penalty As Well As Preclude State from Seeking the Death Penalty\u201d (\u201cMotion to Strike\u201d). The Motion to Strike alleged that the two and one-half year delay from the date of indictment violated defendant\u2019s constitutional and statutory rights to a \u201ccorrect Rule 24 Hearing,\u201d a speedy trial, and timely discovery. The Motion to Strike stated further that \u201cthe delay has impaired Defendant\u2019s ability to challenge not only his identification but the circumstances surrounding any involvement he may have had with regard to the crimes charged.\u201d The Motion to Strike complained that witnesses\u2019 recollections may have been compromised. Defendant made essentially the same assertions in two contemporaneous filings \u2014 a \u201cMotion to Preclude State from Applying for a Pre-Trial Conference on Charge of First-Degree Murder\u201d and a \u201cMotion to Dismiss Case for the State\u2019s Flagrant Violation of Defendant\u2019s Rights.\u201d\nThe parties appeared before the trial court on 1 December 2008 for an anticipated hearing on the State\u2019s application for Rule 24 conference and defendant\u2019s motions in opposition. The Rule 24 conference did not occur as expected, and the trial court entered an order resetting the hearing for 8 January 2009. The parties agreed that the period between 1 December 2008 and 8 January 2009 would not be a basis for either side to claim prejudice.\nThe State\u2019s application for Rule 24 conference and defendant\u2019s motions in opposition were heard on 8 January 2009, more than thirty months after the initial filing by the State on 21 June 2006 of the application for Rule 24 conference. Defendant argued that the State was in continuous violation of Rule 24 and that he had suffered serious prej-. udice from the State\u2019s failure to hold a timely pretrial conference. Specifically, defendant asserted that he had been unable to obtain funding for second counsel, private investigators, or mitigation specialists. Defendant argued that the 2001 amendments abrogated the Rorie decision, thus permitting the trial court to declare the cases noncapital as a sanction for the State\u2019s egregious noncompliance with Rule 24.\nThe trial court disagreed with defendant. Acknowledging that the 2001 amendments changed the law, the court nonetheless ruled that, based on Rorie, it lacked authority to declare the cases noncapital. Furthermore, the trial court was \u201cnot convinced that there is any prejudice.\u201d The court noted that defendant could have applied for second counsel, an investigator, and a mitigation specialist at any time, and also observed that the \u201ccase[s are] not scheduled for trial in the near future.\u201d Without authority to declare the cases noncapital for the State\u2019s failure to comply with Rule 24, and a lack of prejudice to justify that sanction in any event, the trial court overruled defendant\u2019s objections to the Rule 24 conference. Thereafter, the trial court heard the prosecutor\u2019s forecast of aggravating circumstances and ruled that the cases could proceed capitally. This Court allowed defendant\u2019s petition for writ of certiorari to review the trial court\u2019s rulings on defendant\u2019s objections to the violation of Rule 24.\nII. Analysis\nDefendant first argues that the 2001 amendments abrogated this Court\u2019s holding in Rorie by granting district attorneys discretion in first-degree murder cases when evidence of one or more aggravating circumstances exists. With that discretion, defendant argues, superior courts have authority to declare the case noncapital when the State fails to comply with the mandates of Rule 24. The State contends that defendant \u201cmisapprehends the effect\u201d of the 2001 amendments. We agree with defendant.\nPrior to 2001, the capital punishment statutes, as interpreted in judicial decisions, mandated district attorneys to seek the death penalty in first-degree murder cases if there was evidence of an aggravating circumstance. See Rorie, 348 N.C. at 270-71, 500 S.E.2d at 80 (citing N.C.G.S. \u00a7 15A-2000 (1997)); State v. Britt, 320 N.C. 705, 709-10, 360 S.E.2d 660, 662-63 (1987); State v. Jones, 299 N.C. 298, 308-09, 261 S.E.2d 860, 867 (1980). District attorneys had no discretion to prosecute a first-degree murder case noncapitally when evidence of an aggravating circumstance existed. E.g., Rorie, 348 N.C. at 271, 500 S.E.2d at 80.\nIn Rorie, the Court was confronted with the question of whether the trial court exceeded its authority to enforce Rule 24 by precluding the State from prosecuting a first-degree murder case capitally. Id. at 267, 500 S.E.2d at 78. The trial court found and concluded as a matter of law\nthat the most important purpose of Rule 24 is to assure that the Defendant has effective assistance of counsel and that on these facts, there has been a substantial violation of the defendant\u2019s rights to effective assistance of counsel by virtue of the state\u2019s failure to timely file its Rule 24 Petition and the Court will preclude the state from seeking the death penalty. \u25a0\nId. at 268, 500 S.E.2d at 78-79. The State conceded, and this Court recognized in Rorie, that trial courts of this State have inherent authority to enforce procedural and administrative rules, including Rule 24. Id. at 269, 500 S.E.2d at 79. The courts\u2019 inherent authority to enforce Rule 24, however, stops short of actions that are \u201cinconsistent with the Constitution or acts of the General Assembly.\u201d Id. at 270, 500 S.E.2d at 79-80. Because the trial court\u2019s order in Rorie precluded the district attorney from seeking the death penalty \u201cnotwithstanding what evidence of an aggravating circumstance or circumstances may exist,\u201d this Court held that the trial court exceeded its inherent authority to enforce Rule 24. Id. at 271, 500 S.E.2d at 80. The trial court\u2019s order was \u201cpotentially in conflict with the mandate of the General Assembly in the capital sentencing statute.\u201d Id. We admonished district attorneys, however, that the requirements of Rule 24 are mandatory and that lesser sanctions such as contempt or disciplinary action could be appropriate enforcement measures. 348 N.C. at 271-72, 500 S.E.2d at 80-81.\nIn 2001, the General Assembly added the following provisions to the capital sentencing statutes:\n(a) The State, in its discretion, may elect to try a defendant capitally or noncapitally for first degree murder, even if evidence of an aggravating circumstance exists. The State may agree to accept a sentence of life imprisonment for a defendant at any point in the prosecution of a capital felony, even if evidence of an aggravating circumstance exists.\n(b) A sentence of death may not be imposed upon a defendant convicted of a capital felony unless the State has given notice of its intent to seek the death penalty. Notice of intent to seek the death penalty shall be given to the defendant and filed with the court on or before the date of the pretrial conference in capital cases required by Rule 24 of the General Rules of Practice for the Superior and District Courts, or the arraignment, whichever is later.\nN.C.G.S. \u00a7 15A-2004(a), (b) (2009). The General Assembly also amended section 15A-2000 to provide:\nExcept as provided in G.S. 15A-2004, upon conviction or adjudication of guilt of a defendant of a capital felony in which the State has given notice of its intent to seek the death penalty, the court shall conduct a separate sentencing proceeding to determine whether the defendant should be sentenced to death or life imprisonment.\nId. \u00a7 15A-2000(a)(l) (2009) (emphasis added). The 2001 amendments revoked the statutory mandate that required prosecutors to seek the death penalty in first-degree murder cases with evidence of one or more aggravating circumstances. Thus, the 2001 amendments significantly undercut the rationale on which Rorie was decided.\nAlthough the 2001 amendments gave prosecutors discretion in first-degree murder cases, the changes did not alter the mandates or the gatekeeper function of Rule 24 in capital cases. While defendants \u201cdo not stand to lose or gain any rights\u201d at the Rule 24 conference, it remains an important \u201cadministrative device intended to clarify the charges against the defendant and assist the prosecutor in determining whether any aggravating circumstances exist which justify seeking the death penalty.\u201d State v. Chapman, 342 N.C. 330, 339, 464 S.E.2d 661, 666 (1995), cert. denied, 518 U.S. 1023, 135 L. Ed. 2d 1077 (1996). Furthermore, the Rule 24 conference is the pivotal point in the pretrial proceedings when the court may declare the case capital, triggering appointment of second counsel and making public resources available to aid an indigent accused in preparing his defense. N.C.G.S. \u00a7\u00a7 7A-450, -454 (2009); Indigent Def. Servs. R. 2A.2(d), 2D.1, 2009 Ann. R. N.C. 906, 915. With the Rule 24 hearing comes oversight of the capital litigation and acute supervision of further proceedings by the trial court. For these reasons, among others, \u201cRule 24\u2019s ten-day time limitation clearly contemplates that cases which may be tried capitally are to be identified as early as possible in the process.\u201d Rorie, 348 N.C. at 269, 500 S.E.2d at 79.\nIn addition to its gatekeeper function, the prompt Rule 24 conference preserves valuable public resources by avoiding allocation of funds for second counsel and mitigation experts to defendants accused of capital offenses but who are tried noncapitally. In light of its important role in capital cases, the State must heed the \u201c \u2018simple, bright-line rule, requiring prosecutors to petition for a [Rule 24] conference in all capital cases.\u2019 \u201d State v. Seward, 362 N.C. 210, 213, 657 S.E.2d 356, 358 (2008) (quoting State v. Matthews, 358 N.C. 102, 110, 591 S.E.2d 535, 541 (2004)). As this Court has repeatedly stated, Rule 24 places the duty upon the State to apply to the court for the pretrial conference. See id.; Matthews, 358 N.C. at 109-10, 591 S.E.2d at 541; Rorie, 348 N.C. at 271-72, 500 S.E.2d at 80-81.\nWhen the State fails to comply, this Court has repeatedly acknowledged the trial courts\u2019 inherent authority to enforce the mandates in Rule 24 through the contempt power or disciplinary action. See Matthews, 358 N.C. at 110, 591 S.E.2d at 541 (\u201cIf the prosecutor fails to petition the superior court for a pretrial conference, he risks disciplinary action.\u201d); Rorie, 348 N.C. at 271-72, 500 S.E.2d at 80-81 (\u201cRepeated violations of the rule manifesting willful disregard for the fair and expeditious prosecution of capital cases may result in citation for contempt pursuant to N.C.G.S. \u00a7 5A-11(7) or other appropriate disciplinary action against the district attorney.\u201d). Before the 2001 amendments, a court\u2019s authority to enforce Rule 24 could not extend to declaring a case noncapital, because such an order was in potential conflict with a statutory mandate. As noted above, the 2001 amendments revoked that statutory mandate, and we have recently held that \u201cthe trial court may properly declare [a] case non-capital\u201d if the State\u2019s \u201cforecast of evidence at the Rule 24 conference does not show the existence of at least one aggravating circumstance.\u201d Seward, 362 N.C. at 215, 657 S.E.2d at 359 (citing N.C.G.S. \u00a7 15A-2000(c) (2007)). Because the 2001 amendments removed the statutory mandate on which Rorie was based, we now hold that the trial courts have inherent authority to declare a case noncapital as a sanction for the State\u2019s violation of Rule 24.\nHowever, our holding does not end the inquiry. Thus, we next address whether the facts presented justify declaring these cases noncapital. Because \u201c[c]apital defendants do not stand to lose or gain any rights at the conference,\u201d Chapman, 342 N.C. at 339, 464 S.E.2d at 666, the defendant must demonstrate that the State\u2019s noncompliance caused sufficient prejudice to warrant declaring the case non-capital. If the defendant cannot make a sufficient showing of prejudice to warrant declaring the case noncapital, trial courts may still consider whether lesser sanctions are appropriate. See Rorie, 348 N.C. at 271-72, 500 S.E.2d at 80-81. Such lesser sanctions may be fashioned \u201cboth [to] get the district attorney\u2019s attention and eliminate any possible prejudice to defendant resulting from the district attorney\u2019s failure to petition for the required hearing within the time prescribed.\u201d Id. at 271, 500 S.E.2d at 80-81.\nHere, defendant contends that the State\u2019s two and one-half year delay is so egregious and prejudicial that declaring the cases non-capital is appropriate. Defendant specifically claims that the delay prejudiced his ability to obtain effective assistance of second counsel and to acquire resources to prepare his capital defense. We conclude that defendant has not demonstrated that the State\u2019s noncompliance, while egregious, caused sufficient prejudice to warrant declaring the cases noncapital.\nDefendant acknowledges that the Office of Indigent Defense Services (\u201cIDS\u201d) rules allow second counsel to be appointed before the Rule 24 conference occurs in capital cases. See Indigent Def. Servs. R. 2A.2(d). Moreover, Rule 24 expressly states that it \u201cdoes not affect the rights of the defense or the prosecution to request, or the court\u2019s authority to grant, any relief authorized by law, including but not limited to appointment of assistant counsel, in advance of the pretrial conference.\u201d Gen. R. Pract. Super. & Dist. Cts. 24. Nonetheless, defendant relies on IDS statistics to argue that appointment of second counsel before the Rule 24 conference is wasteful in the majority of cases that are charged capitally, but ultimately tried non-capitally. We agree that it was reasonable for defendant to wait until the cases were declared capital at the Rule 24 conference to request funding for second counsel, experts, and mitigation specialists to preserve resources. The lack of these resources, however, did not cause sufficient prejudice to declare the cases noncapital.\nAt the Rule 24 conference, the trial court expressly rejected defendant\u2019s prejudice arguments. Regarding the second counsel prong of his argument, the trial court stated: \u201cGranted, it would have been helpful to have a second [counsel] at an earlier stage. But, as pointed out by State\u2019s counsel, the case[s are] not scheduled for trial in the near future. So I don\u2019t see any prejudice by not having a second chair appointed.\u201d Likewise, the trial court concluded that the lack of a mitigation specialist and investigator was not prejudicial because defendant also could have requested those resources before the Rule 24 conference. We agree with the trial court that there is insufficient prejudice to declare the cases noncapital because the date of trial is not imminent. Additionally, we note that trial courts may grant continuances when appropriate to give counsel time to become familiar with the case or to enable a defendant to acquire necessary witnesses. See, e.g., State v. T.D.R., 347 N.C. 489, 503, 495 S.E.2d 700, 708 (1998); State v. Roper, 328 N.C. 337, 349-51, 402 S.E.2d 600, 607-08, cert. denied, 502 U.S. 902, 116 L. Ed. 2d 232 (1991). Accordingly, defendant\u2019s lack of second counsel, investigators, and mitigation specialists at an earlier juncture did not cause sufficient prejudice to warrant declaring the cases noncapital.\nIII. Conclusion\nThe 2001 amendments to the capital sentencing statutes revoked the statutory mandate that provided the rationale for the Rorie decision. As a result, it is within the inherent authority of the trial court to enforce Rule 24 by declaring a case noncapital in appropriate circumstances. However, precluding a capital prosecution is an appropriate sanction only when the defendant makes a sufficient showing of prejudice resulting from the State\u2019s delay in holding the Rule 24 conference. Because defendant has not shown sufficient prejudice to warrant declaring the cases noncapital, we affirm the trial court\u2019s ruling on that basis.\nMODIFIED AND AFFIRMED.\n. See Act of May 8, 2001, ch. 81, secs. 1, 3, 2001 N.C. Sess. Laws 163, 163-65 (amending N.C.G.S. \u00a7 15A-2000(a) & enacting N.C.G.S. \u00a7 15A-2004 (2009)) (collectively \u201c2001 amendments\u201d).\n. The cases against defendant are 06CRS51011 and 06CRS51014. The grand jury also indicted codefendant Jason Matthew Patton for the same murders. The codefendant is not a party to this appeal.\n. Only a \u201cNotice of Intent to Seek the Death Penalty,\u201d referencing docket number 06CRS051011, and showing no \u201cFiled\u201d stamp, is appended to defendant\u2019s brief to this Court. Appended to the State\u2019s brief are an \u201cApplication for Pre-Trial Conference on Charge of First Degree Murder\u201d and \u201cNotice of Intent to Seek the Death Penalty,\u201d both referencing docket number 06CRS051014 and showing \u201cFiled\u201d stamps of 7 November 2008.",
        "type": "majority",
        "author": "TIMMONS-GOODSON, Justice."
      },
      {
        "text": "Justice NEWBY\nconcurring in the result only.\nI agree with the Court\u2019s holding that it would have been inappropriate in this case for the trial court to preclude the State from proceeding capitally as a sanction for noncompliance with Rule 24. However, I differ from the majority and would hold that declaring a case noncapital simply is not an appropriate means of enforcing Rule 24. By statute, the General Assembly has assigned to the Executive Branch the decision whether to seek the death penalty in first-degree murder cases with evidence of an aggravating circumstance. In my view, a judicial decree that capital punishment is unavailable in such a case would deny the State its sole statutory discretion and thus violate the constitutional principle of separation of powers. I also believe that preventing the prosecution of accused murderers to the full extent of the law would wrongly sanction the people of this state for the faults of a few officers of the Executive Branch.\nThe separation of governmental powers has been embedded in the foundational law of this state since our founders promulgated North Carolina\u2019s first constitution in 1776. N.C. Const, of 1776, Declaration of Rights IV (\u201cThat the legislative, executive, and supreme judicial powers of government, ought to be forever separate and distinct from each other.\u201d). The Court of Conference, this Court\u2019s predecessor, likewise recognized this essential precept from its earliest days. Bayard v. Singleton, 1 N.C. 15, 16, 1 N.C. 5, 6, 1 Mart. 48 (1787) (observing that our nation\u2019s founders formed a system of government \u201cdividing the powers of government into separate and distinct branches, to wit: The legislative, the judicial, and executive, and assigning to each several and distinct powers, and prescribing their several limits and boundaries\u201d). The explicit separation of powers has been preserved in this state despite numerous constitutional revisions, and Article I, Section 6 of the current North Carolina Constitution provides: \u201cThe legislative, executive, and supreme judicial powers of the State government shall be forever separate and distinct from each other.\u201d Under this provision officers of one branch of government may not exercise the duties assigned to a coordinate branch or otherwise encroach upon those duties. E.g., State ex rel. Wallace v. Bone, 304 N.C. 591, 591-92, 595, 286 S.E.2d 79, 79-80, 81 (1982) (holding that members of the General Assembly could not concurrently serve on an Executive Branch commission without violating Article I, Section 6).\nOur state constitution sets forth in general terms the responsibilities of district attorneys:\nThe District Attorney shall advise the officers of justice in his district, be responsible for the prosecution on behalf of the State of all criminal actions in the Superior Courts of his district, perform such duties related to appeals therefrom as the Attorney General may require, and perform such other duties as the General Assembly may prescribe.\nN.C. Const, art. IV, \u00a7 18(1) (emphases added). One natural incident of a district attorney\u2019s constitutional duty to prosecute criminal actions is choosing what punishment to seek. Moreover, one of the \u201cother duties\u201d specifically assigned to prosecutors by the General Assembly is to decide whether to pursue the death penalty when trying a defendant charged with first-degree murder. Section 15A-2004 of our General Statutes, entitled \u201cProsecutorial discretion,\u201d provides:\n(a) The State, in its discretion, may elect to try a defendant capitally or noncapitally for first degree murder, even if evidence of an aggravating circumstance exists. The State may agree to accept a sentence of life imprisonment for a defendant at any point in the prosecution of a capital felony, even if evidence of an aggravating circumstance exists.\nN.C.G.S. \u00a7 15A-2004(a) (2009) (emphasis added). Particularly in capital cases, the legislature has firmly delegated to prosecutors the decision of what punishment to seek. Without a specific grant of authority from the General Assembly, the courts do not have any inherent power to participate in or interfere with that decision. E.g., In re Greene, 297 N.C. 305, 308-10, 255 S.E.2d 142, 144-45 (1979) (explaining that \u201c[t]he power to define a crime and prescribe its punishment originates with the Legislative Branch\u201d and that any judicial power to alter criminal punishments is not inherent in the judiciary, but must derive from a legislative grant of authority); see also State v. Perry, 316 N.C. 87, 101, 340 S.E.2d 450, 459 (1986) (\u201cIt is well settled that the General Assembly and not the judiciary determines the minimum and maximum punishment which may be imposed on those convicted of crimes. The legislature alone can prescribe the punishment for those crimes.\u201d (citations omitted)).\nPursuant to its authority under Article IV, Section 13(2) of the North Carolina Constitution, the General Assembly has granted this Court the prerogative to make procedural rules to govern the trial courts. However, those rules must not conflict with our General Statutes: \u201cThe Supreme Court is hereby authorized to prescribe rules of practice and procedure for the superior and district courts supplementary to, and not inconsistent with, acts of the General Assembly.\u201d N.C.G.S. \u00a7 7A-34 (2009) (emphasis added). Just as our procedural rules must be in accordance with the General Statutes, so too must the methods by which we enforce those rules comport with the acts of the legislature. State v. Rorie, 348 N.C. 266, 270, 500 S.E.2d 77, 79-80 (1998) (\u201c [Enforcement of the Rules of Practice promulgated by this Court cannot be effected in a manner inconsistent with the Constitution or acts of the General Assembly.\u201d).\nThis Court has held in the past that when our constitution and statutes delegate discretion to prosecutorial officers, the courts cannot prevent the exercise of that discretion without exceeding their authority. In State v. Camacho, we considered a trial court order that sought \u201c \u2018to avoid even the possibility or impression of any conflict of interest\u2019 \u201d by directing a district attorney\u2019s office to immediately withdraw from a criminal action and request the Attorney General\u2019s Office to represent the State in the case. 329 N.C. 589, 593, 406 S.E.2d 868, 870 (1991) (emphasis omitted). The order also directed the Attorney General\u2019s Office to \u201c \u2018immediately assume the prosecution of the case.\u2019 \u201d Id. This Court held that the trial court\u2019s directions to both the district attorney and the Attorney General were in excess of judicial authority. 329 N.C. at 594, 595, 406 S.E.2d at 871. In so holding, we noted that our constitution and statutes give the State\u2019s district attorneys \u201cexclusive discretion\u201d in deciding whether to request that the Special Prosecution Division take over the prosecution of a case. Id. at 594, 406 S.E.2d at 871. We likewise observed that \u201ceven upon a proper request and authorization by a District Attorney, the Special Prosecution Division is to participate in criminal prosecutions only if the Attorney General, in his sole discretion as an independent constitutional officer, approves.\u201d Id. at 595, 406 S.E.2d at 871. As was the case in Camacho, the discretion at issue here is vested solely in the State\u2019s prosecutors. N.C.G.S. \u00a7 15A-2004(a); see also N.C. Const, art. IV, \u00a7 18(1). Thus, in keeping with our analysis in Camacho, judicial interference with the decision whether to seek the death penalty in a first-degree murd\u00e9r case with evidence of an aggravating factor must be held to exceed the power of the courts.\nAs noted by the majority, North Carolina\u2019s capital punishment scheme once required prosecutors to seek the death penalty in all first-degree murder cases in which there was evidence of an aggravating circumstance. E.g., Rorie, 348 N.C. at 270-71, 500 S.E.2d at 80. In 2001 the General Assembly amended our capital punishment statutes to give prosecutors the discretion not to pursue the death penalty in such cases. Act of May 8, 2001, ch. 81, 2001 N.C. Sess. Laws 163 (codified at N.C.G.S. \u00a7\u00a7 15A-2000(a), -2001, -2004 (2009)). The majority asserts these amendments abrogated State v. Rorie, in which this Court held that a trial court\u2019s order precluding the State from trying the defendant capitally for first-degree murder exceeded the trial court\u2019s authority to enforce Rule 24. 348 N.C. at 271, 500 S.E.2d at 80. Although Rorie was decided before the 2001 amendments, I do not believe this Court\u2019s reasoning in Rorie was wholly dependent on the pre-2001 requirement that prosecutors seek the death penalty.\nIn announcing its holding in Rorie, this Court stated:\n[T]he trial court\u2019s order is potentially in conflict with the mandate of the General Assembly in the capital sentencing statute and impermissibly impinges on the district attorney\u2019s obligation under the North Carolina Constitution to prosecute all criminal actions in the superior courts of his district. The order also impermissibly limits the right of the people to have defendant, if permitted by the evidence, prosecuted and punished to the full extent of the law for this most serious crime. For these reasons the sanction imposed for the district attorney\u2019s violation of a rule for the superior court promulgated by this Court pursuant to N.C.G.S. \u00a7 7A-34 exceeds the court\u2019s inherent authority to enforce the Rules of Practice, and the order cannot stand.\nId. (emphasis added). We thus gave three reasons for our holding. Because each of those reasons holds true in this case, I believe Rorie dictates the conclusion that declaring a case noncapital is not an appropriate means for a court to enforce Rule 24.\nThe first reason for our holding in Rorie was that \u201cthe trial court\u2019s order [was] potentially in conflict with the mandate of the General Assembly in the capital sentencing statute.\u201d Id. Although the General Assembly\u2019s mandate has changed since Rorie was decided, this concern is equally applicable in the instant case. The capital sentencing scheme now provides: \u201cThe State, in its discretion, may elect to try a defendant capitally or noncapitally for first degree murder, even if evidence of an aggravating circumstance exists.\u201d N.C.G.S. \u00a7 15A-2004(a). In other words, when there is evidence of an aggravating circumstance, the General Assembly has mandated that the prosecutor make a choice whether or not to pursue the death penalty. Under the majority opinion, even when there is evidence of an aggravating circumstance, the trial court has the power to preclude the prosecutor from making that choice. The majority\u2019s analysis is therefore \u201cpotentially in conflict with the mandate of the General Assembly in the capital sentencing statute.\u201d Rorie, 348 N.C. at 271, 500 S.E.2d at 80.\nThe second justification we gave for our holding in Rorie was that the trial court\u2019s order \u201cimpermissibly impinge [d] on the district attorney\u2019s obligation under the North Carolina Constitution to prosecute all criminal actions in the superior courts of his district.\u201d Id. As previously observed, the choice to pursue one of multiple potential punishments is concomitant with a district attorney\u2019s duty to prosecute criminal actions under Article IV, Section 18(1) of our state constitution. Like the trial court\u2019s order in Rorie, a court order that effectively makes the choice of punishment for the prosecutor would \u201cimpermissibly impinge\u201d on the district attorney\u2019s constitutional duty.\nThe third and final stated reason for our decision in Rorie was that the trial court\u2019s order \u201cimpermissibly limit[ed] the right of the people to have [the] defendant, if permitted by the evidence, prosecuted and punished to the full extent of the law for this most serious crime [of first-degree murder].\u201d Id. The laws of our state include the death penalty as the most severe punishment for criminal offenses. In a first-degree murder case, when there is evidence of an aggravating circumstance (i.e., \u201cif permitted by the evidence\u201d), N.C.G.S. \u00a7 15A-2004(a) requires the State to choose between proceeding capitally and proceeding noncapitally. Thus, in a first-degree murder case with evidence of an aggravating circumstance, there is at least a possibility that the State will seek imposition of capital punishment (i.e., to prosecute and punish the defendant \u201cto the full extent of the law\u201d). However, a court order that deprives the State of the option of seeking the death penalty eliminates that possibility and thus limits the people\u2019s right to have the defendant prosecuted and punished as the law provides.\nThis right of the people is also relevant in another sense, one which this Court likewise recognized in Rorie. We observed in that case that \u201cthe people of the State, not the district attorney, are the party in a criminal prosecution.\u201d 348 N.C. at 270, 500 S.E.2d at 80 (citing N.C. Const, art. IV, \u00a7 13(1) (\u201cEvery action prosecuted by the people of the State as a party against a person charged with a public offense, for the punishment thereof, shall be termed a criminal action.\u201d) and Simeon v. Hardin, 339 N.C. 358, 368, 451 S.E.2d 858, 865 (1994)). Thus, the sanction of declaring a case noncapital is a sanction against the people of the state, not against the members of the district attorney\u2019s office who actually violated Rule 24. It is counterintuitive to punish the citizens of the State of North Carolina for the errors of a few individuals, both because this would be unfair to the people of the state and because it is unclear that a sanction against the people would effectively deter future misconduct by the district attorney\u2019s office. Presumably for these reasons, this Court stated in Rorie: \u201cRepeated violations of [Rule 24] manifesting willful disregard for the fair and expeditious prosecution of capital cases may result in citation for contempt pursuant to N.C.G.S. \u00a7 5A-11(7) or other appropriate disciplinary action against the district attorney.\u201d 348 N.C. at 271-72, 500 S.E.2d at 81 (emphasis added); see also State v. Matthews, 358 N.C. 102, 110, 591 S.E.2d 535, 541 (2004) (stating in a first-degree murder case that \u201c[i]f the prosecutor fails to petition the superior court for a [Rule 24] pretrial conference, he risks disci-' plinary action\u201d (emphasis added)). The people of the state are no less the complaining party in a criminal action today than they were when Rorie was decided. Therefore, it remains appropriate to sanction the person or persons who have violated Rule 24 rather than all the citizens of the state.\nOf course, I recognize that there are other instances of courts imposing sanctions on the state as a whole in response to wrongdoing by a few executive officers. For example, the Exclusionary Rule in criminal cases requires that when officers of the State have obtained evidence in violation of constitutional search and seizure protections, the State may not present that evidence at the defendant\u2019s trial. E.g., Mapp v. Ohio, 367 U.S. 643, 655, 81 S. Ct. 1684, 1691, 6 L. Ed. 2d 1081, 1090 (1961). However, the sanction of excluding evidence under such circumstances is utilized in part to protect specific rights of the defendant. E.g., State v. Carter, 322 N.C. 709, 716, 370 S.E.2d 553, 557 (1988) (observing that the Exclusionary Rule is a \u201c \u2018remedy to protect society from the excesses which led to the constitutional right\u2019 \u201d to be free of unreasonable search and seizure (quoting Eleuteri v. Richman, 26 N.J. 506, 512, 141 A.2d 46, 49, cert. denied, 358 U.S. 843, 79 S. Ct. 52, 3 L. Ed. 2d 77 (1958))); see also State v. Buchanan, 353 N.C. 332, 336-37, 543 S.E.2d 823, 826 (2001) (explaining that the Miranda warnings and accompanying rule of exclusion were \u201cconceived to protect an individual\u2019s Fifth Amendment right against self-incrimination in the inherently compelling context of custodial interrogations by police officers\u201d (citation omitted)). With respect to the Rule 24 pretrial conference, this Court has stated that \u201c[c]apital defendants do not stand to lose or gain any rights at the conference.\u201d State v. Chapman, 342 N.C. 330, 339, 464 S.E.2d 661, 666 (1995), cert. denied, 518 U.S. 1023, 116 S. Ct. 2560, 135 L. Ed. 2d 1077 (1996). Because a delay in holding the Rule 24 conference does not deprive the defendant of any personal rights, it is out of keeping with standard judicial practice to punish such a delay in a manner that is detrimental to all the people of the state and directly beneficial to the defendant.\nThe sanction of declaring a case noncapital for Rule 24 violations also differs from judicial devices that protect defendants\u2019 rights in that the sanction at issue here bears little nexus with the conduct sought to be deterred. The Exclusionary Rule, for instance, excludes the very evidence that the State procured in an unlawful manner and thus prevents the State from reaping any direct reward from its officers\u2019 misconduct. See, e.g., Garter, 322 N.C. at 716, 370 S.E.2d at 557 (observing that one of the reasons for the Exclusionary Rule \u201c \u2018is that government should not stoop to the \u201cdirty business\u201d of a criminal in order to catch him\u2019 \u201d (quoting Eleuteri, 26 N.J. at 512, 141 A.2d at 49)). In the Rule 24 context, however, the State\u2019s ability to seek the death penalty is not enhanced by a delay in holding the pretrial conference. Under N.C.G.S. \u00a7 15A-2004(a), the prosecutor has discretion to proceed capitally or noncapitally in a first-degree murder case as long as there is evidence of an aggravating factor. The timing of the Rule 24 conference has no effect on the existence of such evidence and, therefore, no effect on the prosecutor\u2019s discretion. Given the lack of a connection between the timing of the pretrial conference and the prosecutor\u2019s discretion in seeking the death penalty, it makes little sense to deprive the prosecutor of that discretion in response to a delay in complying with Rule 24.\nThe majority offers no explanation as to why the particular sanction of precluding the State from seeking the death penalty is an appropriate punishment for Rule 24 violations. Aside from observing the 2001 amendments to our capital sentencing scheme, the majority simply cites State v. Seward, in which we held that \u201cif the prosecution\u2019s forecast of evidence at the Rule 24 conference does not show the existence of at least one aggravating circumstance, . . . the trial court may properly declare the case noncapital.\u201d 362 N.C. 210, 215, 657 S.E.2d 356, 359 (2008). However, a court\u2019s declaration that a first-degree murder case shall proceed noncapitally under Seward is not a sanction and has nothing to do with prosecutorial violations of Rule 24. A noncapital declaration under Seward is based on statutory provisions establishing that \u201ca defendant may not receive a sentence of death in the absence of an aggravating circumstance.\u201d Id. (citing N.C.G.S. \u00a7 15A-2000(c) (2007)). In other words, we held in Seward that a prosecutor cannot choose between proceeding capitally and noncapitally as directed by N.C.G.S. \u00a7 15A-2004(a) unless the statutory condition precedent (namely, evidence of an aggravating circumstance) is satisfied. Nothing in Seward suggests that the noncapital declaration can be used as a sanction against the State.\nI also note that the majority holds a noncapital declaration to be a proper sanction for violation of Rule 24 without clarifying the extent of the prosecutors\u2019 violation in this case. It is undisputed that the assistant district attorney\u2019s application for a Rule 24 pretrial conference was filed more than a month late. However, the quantum of the prosecution\u2019s further violation of Rule 24, if any, is unclear, not least because the rule itself seems to shift the burden of holding the pretrial conference to the superior court upon the district attorney\u2019s filing of an application. Gen. R. Pract. Super. & Dist. Cts. 24, 2009 Ann. R. N.C. 21 (\u201c[T]he district attorney shall apply to the presiding superior court judge or other superior court judge holding court in the district, who shall enter an order requiring the prosecution and defense counsel to appear before the court within forty-five days thereafter for the pretrial conference.\u201d). In Rorie we stated: \u201cRepeated violations of [Rule 24] manifesting willful disregard for the fair and expeditious prosecution of capital cases may result in citation for contempt pursuant to N.C.G.S. \u00a7 5A-11(7) or other appropriate disciplinary action against the district attorney.\u201d 348 N.C. at 271-72, 500 S.E.2d at 81 (emphases added). The majority has not clearly established that the prosecutors crossed the threshold we set forth in Rorie for imposing sanctions against the district attorney, let alone the presumably higher threshold that would be needed to justify sanctioning the people of the state.\nThe General Assembly has delegated to the Executive Branch exclusive authority to decide whether to seek the death penalty in first-degree murder cases with evidence of an aggravating circumstance. I do not believe our judiciary can strip prosecutors of that discretion without violating the separation of governmental powers that has been a fixture of North Carolina constitutional law for well over two hundred years. Moreover, preventing the prosecution of criminal defendants to the full extent of the law wrongly punishes the people of this state for the errors of a few government officials. I would hold that the courts may not enforce Rule 24 by precluding the State from seeking the death penalty. I therefore concur only in the result of the majority\u2019s opinion.\nJustice BRADY joins in this concurring opinion.\n. For practical reasons, district attorneys are placed within the \u201cJudicial\u201d article of the North Carolina Constitution. N.C. Const, art. IV, \u00a7 18(1). District attorneys\u2019 duties are set forth in conjunction with our constitution\u2019s provisions regarding prosecutorial districts, id., which are pertinent to the Judicial Branch because they serve as the basis for our trial court districts. Notwithstanding this placement, district attorneys serve an executive function: they aid the Governor in \u201ctak[ing] care that the laws be faithfully executed.\u201d N.C. Const, art. Ill, \u00a7 5(4).\n. The Exclusionary Rule was actually adopted in North Carolina before the Supreme Court of the United States held the rule applicable to state courts in Mapp. State v. Carter, 322 N.C. 709, 713-14, 370 S.E.2d 553, 556 (1988). It is particularly noteworthy that the North Carolina rule was not originally adopted by judicial decision, but by legislative act. Id.",
        "type": "concurrence",
        "author": "Justice NEWBY"
      }
    ],
    "attorneys": [
      "Roy Cooper, Attorney General, by G. Patrick Murphy, Special Deputy Attorney General, for the State.",
      "Staples S. Hughes, Appellate Defender, by Daniel Shatz, Assistant Appellate Defender, for defendant-appellant."
    ],
    "corrections": "",
    "head_matter": "STATE OF NORTH CAROLINA v. DANIEL EASLEY DEFOE\nNo. 161PA09\n(Filed 15 April 2010)\nHomicide\u2014 capital first-degree murder \u2014 two and one-half year delay holding Rule 24 pretrial conference \u2014 failure to show prejudicial error\nThe trial court did not err in a double first-degree murder case by permitting the case to proceed capitally despite the State\u2019s two and one-half year delay in holding a pretrial conference pursuant to Rule 24 of the General Rules of Practice for the Superior and District Courts because: (1) although after the 2001 amendments to N.C.G.S. \u00a7\u00a7 15A-2001(a)(l) and 15A-2004(a), and (b) it is within the inherent authority of the trial court to enforce Rule 24 by declaring a case noncapital in appropriate circumstances, precluding a capital prosecution is an appropriate sanction only when the defendant makes a sufficient showing of prejudice resulting from the State\u2019s delay in holding the Rule 24 conference; and (2) defendant has not demonstrated that the State\u2019s noncompliance, while egregious, caused sufficient prejudice to warrant declaring the cases noncapital since defendant\u2019s lack of second counsel, investigators, and mitigation specialists at an earlier juncture did not cause sufficient prejudice to warrant declaring the cases noncapital. The requirements of Rule 24 are mandatory and lesser sanctions such as contempt or disciplinary action could be appropriate enforcement measures.\nJustice NEWBY concurring in result only.\nJustice BRADY joins in the concurring opinion.\nOn writ of certiorari pursuant to N.C.G.S. \u00a7 7A-32(b) to review orders dated 8 January 2009 entered by Judge Christopher Collier in Superior Court, Richmond County, denying defendant\u2019s motions that his case be dismissed or declared noncapital. Heard in the Supreme Court 6 January 2010.\nRoy Cooper, Attorney General, by G. Patrick Murphy, Special Deputy Attorney General, for the State.\nStaples S. Hughes, Appellate Defender, by Daniel Shatz, Assistant Appellate Defender, for defendant-appellant."
  },
  "file_name": "0029-01",
  "first_page_order": 123,
  "last_page_order": 140
}
