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Standard
3.3: Court Decisions and Actions
Trial
courts give individual attention to cases, deciding them without undue
disparity among like cases, and upon legally relevant factors.
Commentary.
Standard 3.3 requires that litigants receive individual attention without
variation due to judge assignment or legally irrelevant characteristics of
the parties, such as race, religion, ethnicity, gender, sexual orientation,
color, age, handicap, or political affiliation. Persons similarly situated
(e.g., criminal defendants faced with or found guilty of similar offenses
and having similar criminal histories) should receive similar treatment. The
standard further requires that court decisions and actions be in proper
proportion to the nature and magnitude of the case and to the
characteristics of the parties. Variations should not be predictable due to
legally irrelevant factors, nor should the outcome of a case depend on which
judge within a court presides over a hearing or trial. The standard refers
to all decisions, including sentences in criminal cases, the conditions of
bail, the amount of child support ordered, the appointment of legal counsel,
and court-supervised alternatives to formal litigation.
Measurement
Overview. One of the most fundamental problems confronting a
democratic society is discrimination on the basis of race, ethnicity,
gender, religion, or any other factor. The undesirable nature of
discriminatory conduct becomes truly odious when the source of the conduct
is a governmental institution. Hence, not surprisingly, the performance of
courts is scrutinized closely for the presence of discriminatory policies,
procedures, and practices.
Virtually
every State court system has tried to identify whether it is contributing to
discrimination, where discrimination occurs, and what can and should be done
to eliminate it. The formation of racial, ethnic, and gender bias
commissions is a recent and prominent example of these concerns.16
The purpose of many of the commissions is to determine the extent of
perceived bias in the courts among the citizenry, to evaluate the reality of
that bias, and to recommend ways to remedy both the perceptions and any
actual biases discovered during the inquiry. In doing this work, these
commissions have drawn attention to the problem and have heightened the
consciousness of State judicial leaders, prompting them to remove bias where
it exists.
Discrimination
and bias are antithetical to underlying legal and constitutional principles
and thus are crucial to eliminate. Standard 3.3 reiterates these principles
by asserting that the court is to treat every case with individual attention
in a consistent manner on the basis of legally relevant factors.
Because
the topic of bias is extremely sensitive, courts will want to measure their
performance in this area very carefully. Courts will want to know that
measures of fairness, equality, and integrity are valid and that conclusions
concerning their performance are not open to misinterpretation. However,
determining the scope, location, and magnitude of bias requires considerable
court resources. With a desire for more precise conclusions about the
court’s policies and practices pertaining to the race, gender, ethnicity,
or age of courtroom participants, the evaluation process requires more
time-consuming and costly methodological skills. As a result, courts should
begin with the most simple approach to determining court performance with
regard to bias and move on to more complex measures as the court desires or
requires more precise or complex answers.
Courts
with limited experience in the area of fairness, equality, and integrity may
want to begin by compiling information, literature, and readily available
data. A court may choose to limit its compilation to specific topics it
considers most relevant or to materials that discuss issues in similarly
sized and situated jurisdictions.17 Has the
topic ever been investigated in this court? How broad in scope and how
detailed were these studies? Did they cover the treatment of litigants,
witnesses, and jurors in both civil and criminal cases?
For
a court already familiar with the general topics of equality and fairness,
the initial approach might be to focus on the opinions of experts, court
users, and the community. Following the model of many bias commissions, the
court may convene focus groups to reveal attitudes toward the court from
various points of view. This opinion gathering should have an agenda that
structures the discussion. For instance, invited participants might be
limited to representatives of selected groups or the topic might be limited
to a specific aspect of the legal process such as sentencing criminal
defendants. Court organizers should emphasize that the discussion is about
general opinions toward the court and should not focus on any particular
person or case. Following the exercise, the court can then evaluate issues
such as: Is the court commonly viewed positively or negatively? Or, is the
general outlook one in which bias is thought to be an exception and limited
to particular circumstances?
A
knowledge of the literature and data about bias and an awareness of the
opinions toward the court will be useful. If the general picture reveals
areas of potential problems, the court can decide whether to pursue a more
systematic inquiry into the possible sources of bias and discrimination.
Even if the general picture is almost entirely favorable, the court may
decide to confirm this view with more systematic information.
The
gathering of more specific and detailed information demands more resources,
time, and skills to complete. As explained in detail in the following pages,
the implementation of quantitative measures requires more complex
methodologies (e.g., inquiry into individual case files, data manipulation,
or a systematic survey of a random group of individuals) than those required
by the first two approaches.
Measures
3.3.1, Evaluations of Equality and Fairness by the Practicing Bar, and
3.3.2, Evaluations of Equality and Fairness by Court Users, focus on the
views of practicing attorneys and court users toward the decisions and
actions of courts through a survey of a random sample of these individuals.
Measure
3.3.3, Equality and Fairness in Sentencing, focuses on the extent to which
legally relevant factors account for the court’s sentencing decisions in
criminal cases. To document whether any perceived problems exist, a
statistical approach is described. This approach, however, is likely to
require technical assistance from the research community.
Measure
3.3.4, Equality and Fairness in Bail Decisions, focuses on the extent to
which legally relevant factors account for the court’s bail decisions in
criminal cases. Systematic information is gathered to answer this question
through a review of closed case files.
Finally,
Measure 3.3.5, The Integrity of Trial Court Outcomes, examines the integrity
of court decisions and actions as indicated by the outcomes of civil and
criminal appeals.
The
measures described for Standard 3.3 are challenging. The reason for this
complexity, however, is to ensure that any findings regarding the presence
or absence of bias are valid. These measures may be beyond the scope of some
courts’ available expertise and resources. Other courts may choose to
implement only one or two of the suggested measures based on their own
resources.
______________________________________
16
Approximately 20 States at this writing have undertaken efforts to establish
a racial/ethnic bias commission or task force. Similarly, nearly every state
has established a gender bias commission or task force.
17 Suggested sources for the literature
published in this area can be accessed in the Index to Legal periodicals or
automated databases. The Information Service at the National Center for
State Courts also can provide information on articles or reports published,
particularly in court-related publications. The court also may be able to
access actual data on the topic from such bodies as a State sentencing
commission or race and ethnic bias task force.
Go
to Performance Area 3
Measure
3.3.1: Evaluations of Equality and Fairness by the Practicing Bar
The
purpose of this measure is to ascertain the practicing bar’s perceptions
of the equality and fairness of the court’s decisions and actions. Members
of the bar who appear in court will be asked, through a survey
questionnaire, to assess the fairness and equality of the court’s actions
and decisions. A consensus among them that the court provides attention to
litigants, produces similar outcomes among like cases, and relies upon
legally relevant factors in making decisions will be another indication that
the court complies with Standard 3.3.
Planning/Preparation.
The first step is to construct a set of questions that measure the extent to
which attorneys believe that the court is treating individuals fairly and
equally. Questions can be drawn from both previous pools of judicial
performance18 and basic research studies.19
These two bodies of literature have been consulted to design a form for use
by the court. (See Form 3.3.1,
Illustrative Questionnaire Concerning the Practicing Bar’s Views of the
Court’s Equality and Fairness.)
The
questionnaire that follows is divided into four sections. Section I seeks to
establish the experience of attorneys with the courts. For example,
attorneys who have had many cases heard before the court (question 1) may
have different responses than attorneys who have had only a few cases heard.
Section
II focuses on the views of attorneys regarding whether the court’s
decisions are affected by characteristics of litigants or attorneys.
Following Standard 3.3, the court should not be affected by legally
irrelevant factors such as the gender or race of the attorneys or the
litigants (questions 4, 7). Attorney views on court practices also can be
gauged by asking them if the court shows favoritism (question 5) or
antagonism (question 6) to any of the participants. Because there are many
possible situations in which the court might demonstrate such undesirable
practices, an open-ended question (question 8) is included to describe those
situations.
The
answers to the questions in Section II will most likely determine the
answers to the questions in Section III, which asks attorneys for their
overall judgments concerning fairness and equality (questions 9 and 10).
Finally,
Section IV seeks to establish the profile of the attorneys. This information
is helpful for comparing the responses between different categories of
attorneys (e.g., male versus female).
Data
Collection. This step involves asking members of the bar to complete
the questionnaire. Because there are many attorneys who have no direct
contact with the court, a portion of them will not return the questionnaire.
Hence, a preferred method is to send questionnaires only to those attorneys
who have appeared before the court at least once during the past year. Names
of these persons may be obtained by a canvas of dockets during the period.
This approach has the advantage of identifying in advance attorneys who are
heavy, medium, and light users of court resources. A court may wish to
target one set of users or to sample attorneys in proportion to usage
ratios. For both methods, however, followup mailings of reminder postcards
should be used to ensure a good response rate.
Data
Analysis and Report Preparation.
Most responses on the survey instrument are associated with a specific
number code (e.g., "strongly agree" equals 1). For each survey
form that is returned, attorney responses are recorded by entering these
number codes into a computer file and then tabulated using a computer
software program.
For
the first analyses, each question should be examined to determine whether
the attorneys consider the court to be a source of unfair or unequal
decisions. For example, what percentage of the attorneys believe that the
court sets higher bail for particular racial/ethnic groups (question 7)?
That is, how many respondents circled options 1 and 2?
In
general, the higher the percentage of attorneys that agree that the court
acts without bias, the more the court meets Standard 3.3. That principle
should guide the interpretation of individual questions. For example, if at
least a majority of the respondents circle options 1 and 2 in question 10,
it appears that the court, in general, is performing positively on
this indicator.
Conclusions,
however, should not be drawn without first analyzing the responses of
various subgroups of respondents. These analyses are important for
determining whether the opinions of some groups are underrepresented. For
example, if most respondents are white males, the general analyses will
reflect the opinions of this group. If white males do not see the favoritism
or hostility experienced or perceived by other groups, the general analyses
will not give the whole picture. It is important, then, to determine how the
responses of other groups compare with general responses.
Finally,
the responses to different questions can be examined in relationship to one
another. Specifically, what issues explain the attorneys’ overall
reactions (questions 9 and 10)? As an illustration, it may be the case that
the more a respondent believes that the court does not sentence defendants
of particular racial/ethnic groups more severely question 7d), the more
likely he or she is to agree that the court is fair (question 10). In
considering such relationships, questions 4 through 8 can be regarded as
potential criteria for determining attorneys’ reactions regarding fairness
and equality in the court.20
It
is important to note that this measure examines perceived bias among
practicing attorneys. It does not consider the accuracy of those
perceptions. It is up to the court to determine the level at which the
perception of bias by practicing attorneys is sufficient to warrant further
action.
_________________________________________
18
See, for example, D. Maddi, Judicial Performance Polls (Chicago: American
Bar Foundation, 1977); and C. Philip, How Bar Associations Evaluate Sitting
Judges (New York: Institute for Judicial Administration, 1976).
19 See, for example, T. Tyler, "What is
Procedural Justice? Criteria Used by Citizens to Assess the Fairness of
Legal Procedures," Law and Society Review 22 (1988):103.
20 One method of determining the association
between the survey items is correlational analysis. A statistical
measure called the gamma coefficient can be used to test the extent to which
the response to one question is associated with the response to another
question. Statistical software packages routinely provide the
statistic when cross tabulations of items are requested.
Go
to Form 3.3.1
Go
to top of page
Measure
3.3.2: Evaluations of Equality and Fairness by Court Users
All
individuals (litigants, jurors, witnesses, and victims) who are involved in
a court case form impressions of the way they and others are treated in the
courthouse. Even members of the public who only observe the court
proceedings form impressions. This measure is designed to collect
information about their impressions of the court’s ability to provide fair
and equal treatment.
Planning/Preparation.
The first step is to construct a set of questions that measure the extent to
which court users believe the court is treating individuals fairly. Many of
the questions can be drawn from previous pools of judicial performance21
and basic research studies.22 These bodies of
literature have been consulted to design two forms that can be used to
gather information on the experience and perceptions of two groups of court
users: (1) a courtroom group consisting of civil and criminal jurors,
witnesses, and litigants involved in court proceedings; and (2) an
administrative group consisting of persons coming to court to pay a fine,
meet with a probation officer, or to check a court record. (Please refer to Form
3.3.2, Illustrative Questionnaire Concerning the Users’ View of the
Court’s Equality and Fairness, for an example of the questionnaire.)
The
questionnaires are divided into three sections. Section I asks each
respondent to comment on his or her general views of court policies,
procedures, and practices. Section II asks each respondent to comment on his
or her experiences. Section III asks for information on the respondent and
the nature of their contact with the court. This information will provide a
profile of the respondents that may help to explain their answers.
Data
Collection. Administration of the questionnaire is different for
each group. The distribution strategy for each group is presented next.
-
Courtroom
group: Lists of civil and criminal case jurors, witnesses, and litigants who
have been involved in court proceedings during the past year are compiled. A
questionnaire is mailed to each individual on the list.
-
Administrative
group: Employees of each administrative office or section of the court
distribute a questionnaire to each individual with whom they have contact.
Employees ask each respondent to complete the questionnaire and return it in
the envelope provided. Questionnaires should be distributed for a specific
time period to ensure that a sizable number have been given out.
Data
Analysis and Report Preparation.
Most responses on the survey instrument are associated with a specific
number code (e.g., "strongly agree" equals 1). Responses are
recorded by entering these number codes into a computer file and then
tabulated using a computer software program.
Analysis
is conducted in two steps. First, each question should be examined to
determine whether the respondent considers the court to be a source of
unfair or unequal decisions. In general, the higher the percentage of court
users that agree that the court acts without bias, the more the court meets
Standard 3.3.
Conclusions
should not be drawn, however, without first analyzing the responses of
various subgroups of respondents. These analyses are important for
determining whether the opinions of some groups are underrepresented. For
example, if most of the respondents are white males, the general analyses
will reflect the opinions of this group. If white males do not see the
favoritism or hostility experienced or perceived by other groups, the
general analyses will not give the whole picture. It is important, then, to
determine how the responses of other groups compare with general responses.
The
responses to different questions also can be examined in relationship to one
another. Does the respondent’s personal experience correlate with his or
her views of how social groups are treated? For example, do those
individuals who feel they were treated on the basis of their race (options 1
and 2 in question 2a) tend to see the court favoring or showing hostility
toward a particular racial/ethnic group?23
It
is important to note that this measure examines perceived bias and
not the accuracy of the perceptions. It is up to the court to determine the
level at which perceived bias among court users warrants further attention.
________________________________________________
21
See note 18.
22 See note 19.
23 One technique for determining the association
between the survey items is correlational analysis. A statistical measure
called the gamma coefficient can be used to test the extent to which the
responses to one question are associated with the responses to another
question. The technique is available in most computer software packages.
Go
to Form 3.3.2
Go
to top of page
Measure
3.3.3: Equality and Fairness in Sentencing
One
application of Standard 3.3 is sentencing in criminal cases. Because the
imposition of criminal sanctions deprives individuals of their liberty, the
fairness of the process and corresponding outcomes is an important topic for
the measurement of court performance. In fact, some courts might regard
fairness in sentencing to be among the most critically important goals that
it should strive to meet. However, fairness in sentencing is understandably
very difficult to measure.24 Even the most
refined measurement will produce results more suggestive than definitive,
which is not astonishing given the difficulty of sentencing for trial
judges. Just as the trial judge must weigh, balance, and take into account
many factors, the court researcher must identify, measure, and interpret the
effects of many complex factors, including some that are difficult to
express as a precise scale of measurement.
Hence,
trial courts take on a very daunting task by attempting to measure fairness
in sentencing. Why? Because of the sensitive nature of conclusions about
fairness, a court will want to know that the conclusions are valid to the
greatest extent possible. However, sound conclusions require a rigorous
methodology, which requires a substantial commitment of time, quantitative
skills, and resources. Thus, without intending to deter courts from applying
this measure, honesty requires acknowledging the labor-intensive aspect of
the measurement process necessary to reach the kind of conclusions the court
is likely to want to draw. (Note: The same point applies equally to the
measurement of fairness in bail decisions, Measure 3.3.4.)
What
does fairness in sentencing mean? According to Standard 3.3, "trial
courts give individual attention to cases deciding them without undue
disparity among like cases and only upon legally relevant factors."
Translated into more operational terms, the standard is saying that the
imposition of punishment should not be on the basis of a defendant’s race
or gender. For example, African Americans should not receive longer
sentences than non-African Americans simply because they are African
American. Different sentences should be the product of differences in
criminal backgrounds, offense severity, circumstances surrounding the
offense, and other legally relevant factors.
Finally,
while equality and fairness are positive standards, they are observed in the
negative. Courts are urged to be equal and fair in their treatment, but
their performance is measured in terms of outcomes that are not supposed to
occur—inequality, disparity, and inconsistency.
Planning/Preparation.
Courts should consider four steps in planning to undertake the measure.
First, some familiarity with the literature on sentencing might prove
useful. The most comprehensive volume, Research on Sentencing: The Search
for Reform, is published by the National Academy of Sciences and
available in most public and college libraries. The volume is written from
the researcher’s perspective, however, and contains some articles of a
technical nature. A complementary article, "Racial Discrimination"
by Rose Matsui Ochi, which appeared in 1985 in The Judges’ Journal,
illustrates how research results are interpreted and used by practitioners
who seek to eliminate bias in sentencing. This article is also useful
because it references additional readings on the topic that are readily
available.
A
second step is for the court to examine its capacity for conducting a
rigorous measurement process. If the court lacks a staff person skilled in
quantitative analysis, it might find it helpful to ask for guidance and
assistance from a staff member of a State sentencing commission, State
administrative office of the courts, or local university to assist in
designing a plan of data collection, analysis, and interpretation.
A
third step is to set some boundaries on the scope of the measurement
process. Despite the fact that researchers construct very complex
quantitative models of sentencing, the proposed measure is intended to help
a court assess itself and not necessarily to advance the state of knowledge.
Hence, it permits the court to limit the scope and detail of its inquiry
without sacrificing the validity of the results. As an example, the court
needs to decide what aspect of sentencing is of greatest importance. Is it
more important to determine fairness in the types of sentences that
defendants receive (e.g., incarceration versus probation) or in the length
of sentences imposed (e.g., are men incarcerated for longer periods of time
than women)? Are both aspects equally important?
Finally,
before applying the measure, the court should discuss how it plans to
interpret the results. The results will be in the form of numbers called
coefficients that are based on the application of quantitative techniques to
information gathered from individual case files. There will be a coefficient
for each legally relevant (e.g., prior record and offense committed by the
offender) and each extra-legally relevant factor (e.g., race of offender).
The coefficient measures the impact of a particular factor, controlling for
the effects of all other factors. If the legally irrelevant factors are not
influencing outcomes, the numerical value of their respective coefficients
will not be statistically different from zero. For example, knowing that an
offender is a man will not predict the sentence any better than knowing that
the offender is a woman. Additionally, the coefficients of all legally
relevant factors should be significantly larger than those of irrelevant
factors. If they are, one reasonably can draw the conclusion that there is
limited bias in sentencing and that sentencing is primarily a product of
legally relevant factors. If the court knows what to look for in advance, it
will be more prepared to interpret and use the results both internally for
self-improvement and for presentation to interested groups outside the
court.
Defining
the Data Elements. Although the exact delineation of legally
relevant and legally irrelevant factors may vary somewhat across States
because of differences in substantive and procedural law, some distinctions
likely will be valid in almost all situations. For the purposes of
demonstrating the utility of the measure, therefore, it is assumed that legally
relevant factors include offense seriousness, quality of the evidence,
prior criminal record, and current legal status. Irrelevant factors
include demographic, socioeconomic, and social stability attributes, and
case processing attributes.25 Based on that
assumption, a court meeting Standard 3.3 has sentencing outcomes that can be
explained more on the basis of those legally relevant factors than on
factors deemed irrelevant.
In
addition to identifying a set of determinants of sentencing outcomes, the
initial measurement step involves specifying the outcomes of sentencing. Two
related outcomes are especially important:
-
In/Out
Decision. Is the offender sentenced to a term of institutional
incarceration? Or is the offender given some alternative such as probation,
restitution, community service, or fine?
-
Length
of Sentence. How long is the period of institutionalized incarceration?
The
first outcome distinguishes between convicted offenders who are sentenced to
prison or jail and those who are given a sentence outside these
institutions. The second outcome focuses on the length of the sentence in
years, months, or days imposed on individuals sentenced to jail or prison.
Legally
relevant factors: Concerning the
seriousness of the offense, a basic judgment must be made to focus on either
a broad range of offenses or to isolate particular offense categories (e.g.,
robbery, burglary). The first option is to consider a large set of offenses
and to rank them according to severity (e.g., homicide, robbery, rape,
assault, weapons, drug sale, drug possession, burglary, forgery, and theft).26
Additionally, other indicators may be used to gauge the more specific
degrees of severity, such as the use of a dangerous weapon, the extent of
injury to the victim, the amount of property taken, and whether the offender
was a principal or accessory to the offense.
Although
some version of the first approach is highly recommended, a second option is
to focus on selected offenses separately. If particular offenses are deemed
of such importance to the court and the community that they merit special
attention, this approach may be appropriate. However, this option lacks the
representativeness of the first option, which encompasses the full range of
offenses. Hence, we generally recommend some version of the first option.
The
quality of the evidence is extremely difficult to measure and may be known
fully only by the participants involved in each individual case. As a
result, retrospective reliance on case records for information only
approximates the complete and correct picture of the strength of the
evidence. Possible indicators include the number of prosecution witnesses,
the number of expert witnesses, the number of exhibits, the submission of
laboratory tests, and so forth. A limitation to these indicators, of course,
is that they relate primarily to the few cases that go to trial.
Prior
criminal history is usually information presented to the court from State
law enforcement records. Although some law enforcement information systems
are more detailed than others, criminal history generally is measured in
terms of the number of prior adult felony convictions, the elapsed time
since the last conviction, whether the last conviction was for the same
offense as the current charge, and the current legal status of the
individual at the time of arrest (e.g., on parole or probation).
Legally
irrelevant factors: Demographic,
socioeconomic, and social stability factors are a combination of
quantitative indicators such as age (years), income (earned income per
month), education (number of years) and categories such as gender (male
versus female), race (white versus nonwhite), employment status (employed
versus unemployed), and marital status (married versus nonmarried).
The
case processing characteristics are all categories. Pretrial release status
may be divided between those offenders on bail, those detained at least part
of the time between arrest and final disposition, and those detained all of
the time. Disposition similarly can be separated among those offenders who
pled guilty, those convicted by a bench trial, and those convicted by a jury
trial.
A
final factor is the judge presiding over a sentencing decision. Each judge
need only be identified by an alphabetic character (e.g., Judge A, Judge B,
Judge C, and so forth). The measure is intended to determine if any judge
has an influence on sentencing that is greater than generally accepted legal
factors. Sentencing outcomes involve the distinction between institutional
incarceration and some alternative to incarceration. This distinction
captures the in/out decision. For the length of the sentence, a standardized
measure is the percentage of the statutory maximum imposed in the actual
sentence. Because some sentences may involve a range, the minimum of the
sentence imposed should be used in calculating the percentage. This
standardization permits different offenses to be compared despite their
differences in severity.
Data
Collection.
In most jurisdictions, virtually all of the factors and sentencing outcomes
can be measured against information contained in presentence investigation
reports and closed court case records. A court can use these sources by
drawing a random sample of approximately 1,000 closed cases and selecting
from that pool those cases in which a conviction was obtained by guilty plea
or trial. (The remaining cases should not be discarded because they can be
used as part of the data set for Measure 3.3.4, Equality and Fairness in
Bail Decisions.) Of this pool, 70 percent are likely to involve some sort of
conviction, which means that these 700 cases can be used to examine the
factors associated with the in/out sentencing decision. Of these cases,
approximately half will involve a sentence of institutional incarceration,
providing the basis for assessing the factors associated with the length of
the sentence.
The
measurement of sentencing and sentencing outcomes described above needs to
be translated into a more specific and detailed form prior to the review of
court case records and presentence investigation reports. A data collection
form should be constructed for the purpose of applying the sorts of indices
suggested for the different factors. (Please see Form
3.3.3, Illustrative Sentencing Data Collection Form.)
Data
Analysis and Report Preparation.
The question of whether legally relevant factors are more powerful
predictors of sentencing outcomes than are irrelevant factors is addressed
by the use of statistical models. These models are available in many
software computer programs that are likely to be familiar to sentencing
commission staff, court researchers in a State administrative office, or
university professors. One or more of these individuals will likely know how
to use an appropriate software program to analyze the data collected on the
data collection form. Specifically, the expert will know what particular
quantitative techniques should be applied to determine the independent
impact of each legally relevant and irrelevant factor on the two types of
sentencing decisions.
In
the case of the in/out decision, an appropriate technique is logit analysis.
Logit analysis is designed to indicate the independent effects of various
factors on different categories (e.g., a sentence of institutional
incarceration versus one of nonincarceration). The numbers generated by
logit analysis include coefficients for each factor. The sign (±) of the
coefficient indicates whether there is a positive (e.g., the more serious
the offense, the more likely the sentence will involve incarceration) or
inverse (e.g., the longer the length of time since the last conviction, the
less likely the sentence will involve incarceration) relationship between
each factor and the outcome. A comparison of the magnitude of the
coefficients will indicate the relative importance of each factor in
determining whether an offender is sentenced to prison as opposed to some
alternative sentence.
The
issue of the length of sentences for incarceration is examined appropriately
through the use of regression analysis. Regression analysis is designed to
indicate the independent effects of factors on an interval factor such as
the number of months to be served. Similar to the logit analysis,
coefficients are generated by regression analysis. They indicate if there is
a positive (e.g., the older the offender, the longer the sentence) or
inverse (e.g., the higher the offender’s level of education, the shorter
the sentence) relationship between each factor and the length of the
sentence.27
The
coefficients bear upon the central purpose of the measure in two ways.
First, if the legally irrelevant factors are not influencing outcomes, the
coefficients associated with them should not be statistically different from
zero.28 Second, the coefficients of all legally
relevant factors should be significantly larger than those of irrelevant
factors.
Looking
at the coefficients associated with the different factors, the court can
begin to assess their implications for fairness in sentencing. Do the
results signal that legally irrelevant factors are having undue influence on
the likelihood of incarceration or the length of sentences? Or do the
results signal that irrelevant factors fail to account for the court’s
decisions to sentence offenders to prison or the length of prison sentences?
In sum, do the results indicate that sentencing decisions are the product
primarily of legally relevant factors and that irrelevant factors are of
limited significance?
Depending
on what the results indicate, the court can use the information as a guide
to reviewing its sentencing policies, practices, and procedures. The results
might suggest the need for special training programs for newly appointed
judges, especially those who come from private civil practice backgrounds.
Or, the results might suggest the need for a courtwide training program on
current developments in substantive and procedural criminal law.
________________________________________
24
The measure proposed outlines a statistical approach to assessing whether
there is undue disparity and bias in a court's proceedings. However, it is
not a complete treatment of every aspect of particular techniques and their
interpretation. For this reason, the court may wish to consult outside
experts when applying the measure.
25 The definition of the data elements and the
proposed methods of data analysis reflect the input and advice of academic
sentencing experts and former staff of the U.S. Sentencing Commission. Their
opinions were solicited to achieve maximum statistical validity, although
future research is likely to use even more refined methods in this growing
area of research.
26 An offense severity scale can be developed by
assigning numerical weights to different offenses. The U.S. Sentencing
Commission has constructed such a scale.
27 For discussion of parallel applications of
this technique to case processing data, see R. Flemming, P. Nardulli, and J.
Eisenstein, "The Timing of Justice in Felony Trial Courts," Law
& Policy 9 (1987); and M. Luskin and R. Luskin, "Why So Fast, Why
So Slow: Explaining Case Processing Time," Journal of Criminal Law
& Criminology 77 (1989).
28 A coefficient may be greater but not
statistically greater than zero because the factor under consideration
(e.g., race) does not have consistent, uniform effects on what is being
measured (e.g., sentence length). However, a statistical test performed by
the software will indicate whether each coefficient is significantly greater
than zero.
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Measure
3.3.4: Equality and Fairness in Bail Decisions
The
purpose of this measure is to provide information to the court concerning
the nature of the factors associated with bail, bond, and release on
recognizance decisions.29 In making these
decisions, a court should focus on factors permitted by law. One way to
measure the court’s reliance on appropriate factors is to determine
whether differences in bail decisions are linked more to factors recognized
in law or to extra-legal factors such as the defendant’s race or gender,
the judge assigned to the case, or the geographic location of the court.
According to Standard 3.3, the greater the degree to which the differences
in the bail status of defendants are consistent with factors permitted by
law, the better the court is performing on this measure. The remainder of
this discussion outlines a step-by-step procedure that courts can use to
measure and assess factors associated with bail decisions.30
Planning/Preparation.
The initial step is to identify the factors permitted by law to shape the
court’s bail decisions. Because States have different bail guidelines, the
list of factors will differ somewhat across jurisdictions. However, most
courts use a core set of factors in deciding whether to release the
defendant on recognizance and in setting the dollar amount of the required
surety bond if the defendant is not released.
Legally
relevant factors are as follows:
(1)
Prior record—Does the defendant have prior felony convictions? If so, how
many and for what offenses? The notion is that it is rational for the court
to set stiffer bond requirements for a more extensive prior record,
especially if the defendant has recent convictions for the same offense.
Some States may incorporate this rationale explicitly into bail guidelines
by limiting the release of "dangerous offenders." Finally, did the
defendant intimidate witnesses while on release for prior offenses? Such
behavior also is grounds for imposing a more restrictive bond.
(2)
Prior court appearances—Has the defendant missed prior court appearances?
How many times? Did the defendant leave the area on those occasions? Because
a rationale of bail is to ensure court appearance, previous
failures-to-appear also are reasonable grounds for imposing a more
restrictive bond.
(3)
Current legal status—Is the defendant on parole or probation? Are there
outstanding warrants? Parole or probation violations are considered sound
reasons for imposing stricter bond conditions. Similarly, an outstanding
warrant justifies stricter bond conditions.
Is
the defendant charged with a violent offense? Was there alleged bodily harm
caused to a victim? What is the length of the sentence on conviction of the
charged offense? It is often deemed appropriate to place more constraints on
individuals who are believed either to pose serious threats to the community
or face the possibility of severe sanctions.
Is
the defendant a resident of the jurisdiction? For how long? With whom does
the defendant live? Do family members live in the area? Is the defendant
employed? What is the defendant’s monthly income? Individuals with close
ties to the community are considered likely to appear in court when required
and are, therefore, regarded as appropriate candidates for release on
recognizance or low surety bonds.
Is
the defendant currently using drugs? Could the defendant’s mental or
physical condition be impaired by detention? Defendants free of drugs or
likely to suffer under detention should receive less restrictive bonds.
To
determine whether legally irrelevant factors affect bail decisions, data
also must be collected on these factors. Legally irrelevant factors include:
These
characteristics include race and gender.
Was
counsel available to the defendant? If so, when? What type of attorney
represented the defendant?
Each
judge need only be identified by an alphabetical character (e.g., Judge A,
Judge B, and Judge C, and so forth). The measure is included to see if the
composite effect of judge identity is greater than the effect of legally
relevant factors.
In
addition to identifying possible determinants of bail decisions, the
decisions themselves need to be outlined. Three of the most fundamental
issues are as follows:
-
Is
the defendant released on recognizance? Because of limited incomes, many
defendants cannot post even modest surety bonds. For these defendants,
release on recognizance may be the only avenue to pretrial release. It is
important therefore to see the relative frequency with which the court
decides to use this option.31
-
If
the decision is made not to release the defendant on recognizance, what is
the amount of the surety bond?
-
If
a different bail decision is made after the first appearance, should the
initial or subsequent decisions be counted? That is, if a surety bond is set
but the defendant is later released on recognizance, should the defendant be
considered to be released on recognizance? If the amount of the surety bond
is lowered or raised at a later proceeding, which figure should be recorded?
One approach to this question is to record bail status at the initial
appearance separately from the decision in place at 15 or 30 days after the
first appearance. This strategy captures more of the legal process without
elevating one decision over another.
Data
Collection.
The information necessary for this measure is available in closed court case
records and the records of local bail agencies, pretrial release
organizations, or probation departments. The process of selecting cases for
analysis involves drawing a sample of 1,000 closed court cases and tracing
those cases back to the other organization’s files. (The sample of cases
can be drawn from the pool of cases used for Measure 3.3.3, Equality and
Fairness in Sentencing).
Measurement
of bail decision determinants consists of a combination of quantitative
scales and classification schemes. An illustrative data collection form is
offered as a way of measuring the factors that determine bail decisions and
the decisions themselves. (See Form
3.3.4, Illustrative Bail Decision Data Collection Form.)
Generally,
the factors included on the data collection form are the same as those used
by researchers in the field.32 However, in some
jurisdictions, the court may never receive information on specific aspects
of the defendant’s community ties, character, or socioeconomic status.
Instead, these factors may be taken into account by a bail agency that
recommends bail decisions to the court. If this is the situation, the bail
agency’s recommendation should be considered a surrogate for those
factors.33
Data
Analysis and Report Preparation.
Quantitative techniques can be applied to the data and each data element
assessed for its effect on bail decisions after taking into account the
influence of all other factors. The results of the analyses will tell the
court whether and to what extent each legally irrelevant factor influences
bail decisions. Results also will tell the court whether and to what extent
legally relevant factors are more influential in decisionmaking than legally
irrelevant ones.
The
two types of bail decisions require different types of analyses: logit
analysis and regression analysis. They are discussed below.
In
the case of the decision to release or not to release on recognizance, an
appropriate technique is logit analysis. The basic results of logit analysis
are numbers, called coefficients. A coefficient is associated with each
factor. The sign (+) of the coefficient indicates whether there is a
positive relationship (e.g., the longer the defendant has lived in the
community, the more likely his or her release on recognizance) or inverse
relationship (e.g., the greater the number of past failures to appear, the
less likely his or her release on recognizance) between each factor and the
bail decision. A comparison of the magnitude of the coefficients will
indicate the relative importance of each factor in predicting the likelihood
of a defendant being released on recognizance.
The
issue of what factors predict the amount of surety bonds is examined by
another technique called regression analysis. Regression analysis is
designed to indicate the independent effects of variables on an interval
measure such as the dollar amount of bonds. Similar to logit analysis, in
regression analysis coefficients are generated by the technique. The sign (+)
of a coefficient indicates if there is a positive (e.g., the greater the
number of prior felony convictions, the larger the amount of the bond) or
inverse (e.g., if the offender has family members in the community, the
lower the bail amount) relationship between each factor and the bail amount.
The
coefficients bear upon the central purpose of the measure in two ways.
First, if legally irrelevant factors are not influencing decisions, the
coefficients associated with them should not be significantly greater than
zero.34 Secondly, the coefficients of all
legally relevant factors should be significantly larger than those of
irrelevant factors. An inspection of the coefficients should address these
issues.
After
the data have been gathered and analyzed, a key task is to present the
results to the court. Do the results make sense? For example, should the
court be concerned if the results indicate that having family members in the
community decreases a defendant’s chances of personal recognizance? What
does it mean if the presence of family members decreases the average surety
bond by a certain amount?
In
addition to reviewing the intuitive soundness of the results, the court
should assess their implications for court performance. Do the results
signal that irrelevant factors are not having undue influence? Or, do the
results confirm that irrelevant factors have emerged as unacceptably
powerful predictors of the court’s release decisions?
Finally,
the court must decide what to do with the results. Regardless of the level
of performance, what should be done? What sort of action is appropriate to
improve performance? For example, is a courtwide review of bail policies,
procedures and practices needed? Would special training programs for newly
appointed judges and programs on current developments in substantive and
procedural criminal law help? Although the court must make its own judgments
as to what is necessary and desirable, the empirical evidence should inform
the making of that judgment.
____________________________________
29
In most jurisdictions the majority of bonds are released on recognizance and
surety bonds. However, in some courts, case bonds also are prominent. In
this event, the court should consider what factors account for the amounts
of different cash bonds.
30 The measure proposed outlines a statistical
approach to assessing whether there is undue disparity and bias. However, it
is not a complete treatment of every aspect of particular techniques and
their improvement. For this reason, the court may wish to consult outside
experts when applying the measure.
31 The majority of defendants released on
recognizance typically have nonfinancial conditions placed on them, such as
third-party custody, prohibitions against returning to the scene of the
crime, and restrictions on residence, travel, associations, drug and alcohol
use, and weapons possession. These conditions are not crucial to determining
whether legally relevant or irrelevant factors explain who is released and
who is not. Hence, the court should collect data on these matters only if it
seeks to pursue other research questions concerning bail decisions.
32 See, for example, J. Goldkamp and M.
Gottfredson, Guidelines for the Pretrial Release Decision: Superior Court of
Arizona, Maricopa County; Circuit and County Courts, Dad County; Boston
Municipal Court; and Suffolk County Superior Court, Bail Guidelines Project
(Philadelphia: Temple University, 1985).
33 See, for example, I. Nagel, "The
Legal/Extra-Legal Controversy: Judicial Decisions in Pretrial Release,"
Law and Society Review 17 (1983):481.
34 A coefficient may be greater but not
statistically greater than zero because the factor under consideration
(e.g., race) does not have consistent, uniform effects on what is being
measured (e.g., to release or not to release on recognizance). However, a
statistical test performed by the software will indicate whether each
coefficient is significantly greater than zero.
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Measure
3.3.5: The Integrity of Trial Court Outcomes
Measures
3.3.3 and 3.3.4 address adherence to laws or procedures, which can be
ascertained explicitly and objectively. A complementary approach, which
looks at adherence more broadly, involves the examination of appeals taken
from trial court judgments. The analysis of the outcomes of appeals in terms
of affirmance and reversal patterns will uncover where problems may exist
and point to areas where trial court performance can and should be improved.
Such an examination will shed light on where problems (i.e., reversible
errors) occur. Do problems more frequently arise in particular areas of
civil law such as property and commercial litigation and not in other areas
such as torts? Are problems more common in appeals taken from certain trial
court proceedings such as pretrial motions and not from nonjury trials? Or,
are problems associated with particular issues? For example, in criminal
appeals, how often are suppression issues successful on appeal?
Information
on the nature and rate of reversals will enable individual trial courts to
identify where problem areas exist.35 It will
also be useful in identifying problem areas for all trial courts within a
State and in examining performance over time.36
A step-by-step procedure for examining the decisions of first-level appeals
courts is described next.37
Planning/Preparation.
An examination of appeal outcomes should include all subject areas (e.g.,
civil and criminal). However, because of the constitutional nature of the
issues involved, if a jurisdiction does not have the resources to conduct an
examination of all outcomes, first attention should focus on criminal cases.
The number of cases to be examined will depend on the scope of the inquiry.
In an examination of only civil or criminal appeals, for example, 250 to 300
appeals resolved on the merits will be sufficient in each category to see
broad patterns.
The
information to be collected from each appeal will depend on the subject
matter of the case, which may include:
-
An
area of law or criminal offense (e.g., for civil appeals: tort,
commercial/contract, domestic, property; for criminal appeals: homicide,
other crimes of violence, property crimes).
-
A
trial court proceeding (e.g., jury trial, nonjury trial, pretrial motion,
agency review).
-
The
nature of each issue raised on appeal and its outcome.
-
The
outcome of the appeal.
Additional
information may be included as measures of case complexity (e.g., severity
of the sentence, number of parties, or type of counsel). An example for
collecting the data is presented on Form
3.3.5, Illustrative Outcomes Data Collection Form for Criminal Appeals.
Data
Collection.
The information needed to conduct this measure is available in the case
records of the appeals court, although different sources may have to be
checked. The docket should be the first source consulted to identify the
appeals (e.g., trial court, subject matter, and resolved on merits). The
docket also may be a source of other information (e.g., type of counsel).
The court’s decision document/opinion is a key source of information on
the issues raised and their treatment. The notice of appeal or docketing
statement is a useful source for background information (e.g., sentence in a
criminal appeal) that may not be provided in the decision document. Finally,
it may be necessary to check the briefs if the court does not file a written
decision or if the decision does not identify the issues the court
considered.
Data
Analysis and Report Preparation.
A variety of basic analyses can shed light on the pattern of appeal outcomes
and the frequency and distribution of error. For example:
-
The
relative frequency of appeals by subject matter, by underlying trial court
proceeding, and by other measures of case complexity.
-
The
relative frequency of outcomes by subject matter, by underlying trial court
proceeding, and by other measures of case complexity.
-
The
relative frequency of issues raised by issue disposition.
These
tabulations help jurisdictions determine whether and the extent to which
cases involving certain areas of law, raising particular issues, and being
resolved in particular trial court proceedings are more likely to pose
problems for trial judges than are other appeals.
The
analysis can be expanded to include other questions of interest. In addition
to the quantitative analyses, a qualitative examination of the circumstances
surrounding the errors can be undertaken. From a qualitative perspective, it
is important to know whether an error occurred because of one of three basic
circumstances: (1) the error arose in a new area of law or litigation, (2)
the error resulted from the misinterpretation or misapplication of
applicable law, or (3) the error was caused by a failure to follow
established or appropriate procedures.
The
results should be reviewed to identify areas of difficulty for trial courts
that need to be improved. For example, if the relative frequency of error is
strongly related to the area of law/offense, the trial court proceeding, or
other measures, the court should focus its corrective measures (e.g.,
educational programs) on such areas. A disproportionate "error
rate" for particular issues would also indicate the need for
educational attention.
This
analysis can be used over time both to identify areas in need of corrective
measures and to indirectly measure the effectiveness of such programs. In
addition, the use of a common data collection system and a common set of
data elements across jurisdictions can highlight the existence of
alternatives. For example, a jurisdiction that has a high incidence of error
on jury instructions can and should learn how and why other jurisdictions
have fewer instruction errors.
Finally,
the collection and analysis of information on the outcomes of appeals should
provide trial courts with a concrete starting point for establishing the
acceptable and unacceptable frequency of reversible error. Because most
estimates of reversal patterns are based on impressions and personal
observations, the data can help courts construct meaningful standards that
combine both the frequency of errors and the circumstances under which the
errors occur.
_________________________________________
35 Another
important question is: Are there differences in the rates of reversals
across individual trial courts within the same State? To address this issue,
there must be a sufficient number of appeals from each court. Because few
courts generate more than 50 appeals each year, the data requirements are
difficult to satisfy. Hence, as a first effort, this measure is most
profitably aimed at statewide patters or patterns with a regional appellate
district.
36 For an investigation of reversible error in
criminal appeals, see J. Chapper and R. Hanson, Three Papers on
Understanding Reversible Error in Criminal Appeals (Williamsburg VA:
National Center for State Courts, 1979). The authors present evidence from a
study of five appellate courts and discuss the implications of the results
for judicial education.
37 Defining trial court error by the decisions
of first-level appeals is not conclusive, of course. Trial court decisions
overturned on first-level review may be reinstated by a higher court. Such
subsequent review is uncommon, however. In 1987, for example, State courts
of last resort granted review in only 14.1 percent of the discretionary
petitions filed. As a result, first-level appeals courts are, in fact if not
in law, the final arbiter for most appeals.
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