United States v. Harbin, Driefus , 250 F.3d 532 ( 2001 )


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  • In the
    United States Court of Appeals
    For the Seventh Circuit
    Nos. 99-3255, 99-3295 & 99-3492
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    v.
    DRIEFUS HARBIN, a/k/a OMAR, HERMAN HICKS,
    a/k/a HERM, and RADAR TYLER, a/k/a BIG DAR,
    Defendants-Appellants.
    Appeals from the United States District Court
    for the Northern District of Indiana, Hammond Division.
    No. 98 CR 78--Rudy Lozano, Judge.
    ARGUED NOVEMBER 2, 2000--DECIDED MAY 8, 2001
    Before HARLINGTON WOOD, JR., RIPPLE, and
    ROVNER, Circuit Judges.
    ROVNER, Circuit Judge. This Court has
    addressed many appeals related to the use
    of peremptory challenges, but this one
    appears unprecedented. Here, the
    prosecutor was allowed to use a
    peremptory challenge "saved" from the
    jury selection phase to eliminate a juror
    on the sixth day of an eight-day trial.
    The defendants seek a new trial, arguing
    that the prosecution’s mid-trial use of a
    peremptory challenge violated their Fifth
    Amendment due process right to a fair
    trial as well as their Fifth Amendment
    right to the intelligent exercise of
    their peremptory challenges. We agree.
    I.
    The defendants were charged along with
    a number of others in a multi-count
    indictment with conspiracy to possess
    with intent to distribute and to
    distribute 50 grams or more of crack
    cocaine in violation of 21 U.S.C. sec.
    846, use of a minor in the conspiracy in
    violation of 21 U.S.C. sec. 861(a) & 18
    U.S.C. sec. 924(j), possession with
    intent to distribute in excess of five
    grams of crack, in violation of 21 U.S.C.
    sec. 841 (a)(1), and carrying a firearm
    during a drug trafficking offense, in
    violation of 18 U.S.C. sec. 924(c)(1).
    They proceeded to trial on the charges
    and the jury ultimately convicted all
    three of the conspiracy charge and one
    possession charge, convicted Hicks and
    Tyler of an additional possession charge,
    and acquitted them of the use of a minor
    and firearms charges. They now argue that
    the jury selection process was
    constitutionally deficient.
    The process for exercising peremptory
    challenges began routinely enough, with
    the court declaring that after challenges
    for cause, each side could submit
    peremptory challenges for the potential
    jurors following questioning by the
    court. The court cautioned that "[t]hose
    jurors remaining in the jury box after
    challenges are exercised may not again be
    challenged except for cause." Tr. at Vol.
    1, pp. 88-89. Following the challenges,
    the vacated seats would be filled with
    additional prospective jurors, and the
    process would be repeated. However, that
    process as set forth by the court was not
    followed on two occasions. The first
    occurred during pre-trial jury selection
    and is not before us on appeal. During
    pre-trial jury selection, two potential
    jurors who had survived the peremptory
    and cause challenges subsequently
    informed the court of conflicts regarding
    their ability to serve. One had a
    vacation scheduled to begin in nine days,
    and the other had day care problems. The
    court allowed the government to use
    peremptory challenges to strike both of
    those potential jurors, stating "you can
    use your peremptories because this is new
    information." Tr. at Vol. 1, p. 193.
    Defendant Tyler objected to that use of
    peremptory challenges, arguing that the
    late dismissal of those jurors put him at
    a disadvantage in the use of his own
    peremptory challenges, but he does not
    pursue that on appeal.
    During that voir dire process, the
    district court allowed both parties to
    submit questions that the court
    wouldpresent to potential jurors, and the
    court clarified repeatedly that the
    failure to submit questions would
    constitute a waiver. Although the
    government later commented that it
    thought the court’s typical voir dire
    asks about narcotics use, the government
    never submitted any such question and the
    potential jurors were never queried on
    the subject.
    Ultimately, the defendants exhausted all
    of their peremptory challenges with two
    jury seats remaining to be filled. The
    government had not used all of its
    available peremptory challenges at the
    time that the jury selection process was
    completed. At the close of the jury
    selection process, both sides accepted
    the jury.
    On the sixth day of the eight-day trial,
    the court brought to the attention of the
    attorneys a note it had received from one
    of the jurors which read:
    I, [Juror M]/1, felt it was my duty to
    let the Court know that one of the
    State’s witnesses, I know his mom. I felt
    that I should make the Court aware of
    this. As my civic duty, I plan to carry
    on, with no intentions of being swayed
    because of this plight. Thanks, [Juror
    M].
    With the approval of all attorneys, the
    judge decided to question Juror M in open
    court out of the presence of the other
    jurors. Juror M related that he knew the
    mother of government witness John King.
    He said her name was Plemeer, and that he
    worked with her at Benton Harbor and was
    in a Narcotics Anonymous program with
    her. He learned of her relationship with
    witness King when Plemeer heard that he
    was on jury duty and told him that John
    King was her son. Juror M then told
    Plemeer that he could not say anything
    else and ended the conversation. He told
    the court that she was "completely okay
    with everything" and was not trying to
    sway him. In response to the court’s
    questions, Juror M affirmed that the
    information would not cause him any
    problems or reservations in the case
    either for or against the government or
    defendants, that he could put aside that
    knowledge as a juror, and that he could
    be a good, fair and impartial juror.
    The court consulted with the attorneys,
    at which time the government requested
    that the court question Juror M further
    about his participation in Narcotics
    Anonymous. The court then asked Juror M
    why he did not reveal his Narcotics
    Anonymous participation when queried
    about any organizations to which he
    belonged. Juror M replied that he
    considered it a program, with meetings
    that are attended anonymously as needed,
    rather than an organization of which one
    was a member. In response to questions by
    the court, he declared that his history
    as a narcotics user would not cause him
    any bias or prejudice in the case. In
    light of those responses, the court
    declined to dismiss him for cause. Over
    the defendants’ objections, the court
    nevertheless allowed the government to
    exercise one of its peremptory challenges
    "left over" from jury selection, based on
    the newly discovered information. Because
    Juror M was one of two African-Americans
    on the jury and the sole African-American
    male, the challenge impacted the racial
    composition of the jury, but the
    defendants did not raise a Batson
    challenge to the government’s use of the
    peremptory.
    This is a direct appeal and thus
    governed by Federal Rule of Criminal
    Procedure 52(a) ("Rule 52(a)"), which
    allows reversal only for errors that
    affect substantial rights. Neder v.
    United States, 
    527 U.S. 1
    , 7 (1999).
    Therefore, we must determine whether
    there was error here and, if so, whether
    that error affected the defendants’
    substantial rights.
    II.
    The government does not even concede
    that it was error for the court to allow
    it unilateral use of peremptory
    challenges mid-trial, much less error
    that affects substantial rights. Not
    surprisingly, the rule which delineates
    the federal right to peremptory
    challenges, Fed. R. Crim. P. 24, does not
    explicitly address the use of peremptory
    challenges mid-trial. But peremptory
    challenges by their very nature are a
    jury selection tool, and have
    historically and uniformly been limited
    to the pre-trial jury selection process.
    Moreover, the district court set forth
    the rules by which peremptory challenges
    could be used in this case, and those
    rules precluded the use of peremptory
    challenges once a potential juror passed
    the first round of challenges. Those
    procedures were not followed, with the
    result that only the prosecution had the
    opportunity to subsequently exercise
    peremptory challenges. Because peremptory
    challenges are a tool used in jury
    selection that had never before been
    extended to the trial itself, the
    defendant had no reason to "save" peremp
    tory challenges for use during trial. In
    fact, the ability to remove jurors with
    peremptory challenges mid-trial is a
    significant weapon. At that time, the
    parties have had the opportunity to
    observe the demeanor of the jurors and to
    employ that knowledge in their decision.
    It would fundamentally alter the
    peremptory challenge to allow its use in
    this manner.
    Moreover, the alternate juror provisions
    indicate that peremptory challenges do
    not survive the jury selection process.
    First, Rule 24(c) allows the court to
    empanel no more than six alternate
    jurors. If the parties were allowed to
    "save" their peremptory challenges for
    use during the trial, however, that
    number of alternates would be woefully
    inadequate to ensure that a jury remained
    once the challenges were used. Rule 24(c)
    also provides that alternate jurors shall
    replace regular jurors who are "unable"
    or "disqualified" to perform their
    duties. In the present case, Juror M was
    neither unable to perform his duties, nor
    was he disqualified from performing them.
    He was instead a qualified,
    presumptively-impartial juror who was
    removed at the discretion of the
    prosecution without cause. Such a
    discretionary removal runs counter to the
    limitations set forth in Rule 24(c) for
    replacement of regular jurors with
    alternates. The court’s decision to allow
    the prosecutor to remove an impartial
    juror mid-trial was therefore error.
    The government’s argument that the
    district court limited the mid-trial use
    of peremptory challenges to
    situationsinvolving new information does
    not alter that conclusion. If that new
    information impacted the juror’s
    impartiality, the juror could be removed
    for cause. Absent that, however, the
    prosecutor does not have the discretion
    to remove a juror mid-trial. We note that
    the prosecution had the opportunity to
    submit questions at voir dire that would
    have revealed the "new" information, and
    chose not to do so. We have no desire to
    unleash fishing expeditions during trial
    designed to elicit "new information"
    concerning seated jurors deemed
    undesirable, nor do we wish to encourage
    parties to refrain from submitting
    questions on voir dire in order to leave
    open avenues for challenges during trial.
    Peremptory challenges are a tool of jury
    selection as is evidenced by the
    consistent practice and the provisions
    for alternate jurors, and they have no
    place during the trial.
    The allowance of peremptory challenges
    during the trial would be statutory error
    in any case, but presents constitutional
    problems as well where, as here, only one
    side is afforded that opportunity because
    the notice given to the defendants
    regarding the procedures for peremptory
    challenges was inadequate and misleading.
    The district court stated that peremptory
    challenges could not be used once a
    potential juror was passed, and that
    subsequent challenges would be limited to
    challenges for cause. The defendants were
    entitled to rely on that procedure in
    determining how to effectively employ
    their peremptory challenges, and did so
    here.
    Although the defendants have no
    constitutional right to peremptory
    challenges, that does not end the
    constitutional inquiry. The Supreme Court
    addressed an analogous situation in
    Wardius v. Oregon, 
    412 U.S. 470
     (1973), a
    case involving pre-trial discovery. The
    Court recognized that the defendant has
    no right to pre-trial discovery (the
    Brady rule being an exception to that),
    but the Court nevertheless found a due
    process violation where the defendant was
    required to provide alibi information
    pre-trial, but no corresponding pre-trial
    discovery obligation was imposed on the
    state. In so holding, the Court noted
    that "[a]lthough the Due Process Clause
    has little to say regarding the amount of
    discovery which the parties must be
    afforded, . . . it does speak to the
    balance of forces between the accused and
    his accusers." Id. at 474. The Court held
    that it was fundamentally unfair to force
    the defendant to disclose information
    pre-trial, and not impose a similar
    requirement on the State. Id. at 476.
    Therefore, although the state need not
    adopt any pre-trial discovery provisions,
    if it did so, due process required that
    it be a "two-way street." Id. at 475.
    Wardius makes clear, therefore, that it
    does not end the inquiry to state that
    peremptory challenges are a creature of
    statute, and not constitutionally-
    required. When they are granted by
    statute, the question becomes whether it
    violates due process to allow only one
    party to exercise such a challenge mid-
    trial. Due process does not require
    absolute symmetry between rights granted
    to the prosecution and those afforded the
    defense. Our system is not one of
    symmetry at every stage, but of an
    overall balance designed to achieve the
    goal of a fair trial. See Tyson v. Trigg,
    
    50 F.3d 436
    , 440 (7th Cir. 1995); United
    States v. Turkish, 
    623 F.2d 769
    , 774-75
    (2d Cir. 1980); Katherine Goldwater,
    Limiting a Criminal Defendant’s Use of
    Peremptory Challenges: On Symmetry and
    the Jury in a Criminal Trial, 102 Harv. L.
    Rev. 808, 820-26 (1989). Toward that end,
    different rights are granted to each
    side. Id. We have recognized, however,
    that "a shift at just one stage might so
    alter the total balance of advantages in
    favor of the prosecution as to deprive
    the defendant of the right to a fair
    trial." Tyson, 50 F.3d at 441. Therefore,
    although peremptory challenges are not
    constitutionally required, due process
    may be violated by a system of challenges
    that is skewed towards the prosecution if
    it destroys the balance needed for a fair
    trial.
    The importance of the peremptory
    challenge device to the accused, and the
    history of peremptory challenges in this
    country, indicates that a system of
    peremptory challenges skewed toward the
    prosecution would impair the right to an
    impartial jury and a fair trial. The
    Supreme Court has long recognized that
    peremptory challenges are one of the most
    important of the rights secured to the
    accused, and that the system of
    peremptory challenge has traditionally
    provided the assurance of impartiality.
    Holland v. Illinois, 
    493 U.S. 474
    , 483
    (1990). Peremptory challenges assure the
    selection of a qualified and unbiased
    jury by enabling each side to exclude
    those potential jurors believed to be
    most partial towards the other side, thus
    eliminating extremes of partiality on
    both sides. Id. at 484, citing Batson v.
    Kentucky, 
    476 U.S. 79
    , 91 (1986). As
    such, the device "occupies ’an important
    position in our trial procedures,’ . . .
    and has indeed been considered ’a
    necessary part of trial by jury.’" Id.,
    quoting Batson, 476 U.S. at 98, and Swain
    v. Alabama, 
    380 U.S. 202
    , 219 (1965)
    overruled by Batson. The Court further
    recognized that the goal of an impartial
    jury is obstructed by procedures that
    cripple the device of peremptory
    challenge. Id. at 483-84. Thus, the Court
    has repeatedly recognized the
    significance of the peremptory challenge
    to the defendant, and to the goal of an
    impartial jury.
    Moreover, in this country, defendants
    have historically been allowed a greater
    or equal number of peremptory challenges
    than the prosecution, thus reflecting a
    "balance" that favors the defendant
    rather than the prosecution. See
    generally, J.E.B. v. Alabama, 
    511 U.S. 127
    , 146-51 (1994) (O’Connor, J.
    concurring); Swain, 380 U.S. at 214-16.
    The Court in analyzing the impartial jury
    requirement and peremptory challenges
    particularly, has long indicated that the
    relative rights of the prosecution and
    the accused must be at least equal. See
    Georgia v. McCollum, 
    505 U.S. 42
    , 47 n.4
    (1992), Batson, 476 U.S. at 107 & 126
    (Marshall, J. concurring and Burger, J.
    dissenting), and Swain, 380 U.S. at 220,
    (all noting, in the context of peremptory
    challenges, that between the defendant
    and the state, "the scales are to be
    evenly held"); see also Holland, 493 U.S.
    at 481 (in analyzing the fair-cross-
    section requirement, stating that the
    Sixth Amendment guarantee of an impartial
    jury requires that the prosecution and
    defense compete on equal basis); but cf.
    Tyson, 50 F.3d at 440-41 (musing that
    allowing only the prosecution to exercise
    peremptory challenges might be defended
    as appropriate to offset the advantage to
    defendant of the high burden of proof).
    Peremptory challenges are a significant
    means of achieving an impartial jury, and
    as between the defendant and the
    prosecution, the "balance" struck to
    achieve an impartial jury and a fair
    trial is one of at least equivalent
    rights, and arguably weighs in favor of
    the defendant. In addition, that balance
    serves an important function in
    maintaining the appearance, as well as
    the reality, of justice. Swain, 380 U.S.
    at 219; Georgia, 505 U.S. at 57.
    Therefore, a shift in the balance of
    peremptory challenges favoring the
    prosecution over the defendant can raise
    due process concerns.
    Here, we are presented with such a
    shift. The prosecution was unilaterally
    granted control over the composition of
    the jury during the trial stage.
    Moreover, the lack of notice effectively
    precluded the defendants from
    intelligently exercising their peremptory
    challenge rights. That skewed the jury
    selection process in favor of the
    prosecution, and adversely impacted the
    ability of the peremptory challenge
    process to fulfill its function as a
    means of ensuring an impartial jury and a
    fair trial. Accordingly, the defendants’
    due process rights were violated by a
    jury selection process that failed to
    minimally inform them of the procedures
    that ultimately were followed, and by the
    decision to allow the government to
    unilaterally alter the composition of the
    jury mid-trial. See generally Ross v.
    Oklahoma, 
    487 U.S. 81
     (1988) and United
    States v. Martinez-Salazar, 
    528 U.S. 304
    (2000) (discussing due process
    implications of errors regarding
    peremptory challenges).
    III.
    We turn, then, to the question of
    whether the error in this case affected
    the defendants’ substantial rights. The
    caselaw is still evolving both in
    defining what types of errors impact
    "substantial rights" generally, and in
    determining the extent to which errors
    regarding peremptory challenges fit that
    definition.
    A.
    Rule 52(a) applies to errors at trial
    which were brought to the attention of
    the trial court, and provides that "[a]ny
    error, defect, irregularity or variance
    which does not affect substantial rights
    shall be disregarded." Because peremptory
    challenges have been described as "one of
    the most important of the rights secured
    to the accused," it would seem a natural
    conclusion that the due process violation
    in this case regarding peremptory
    challenges would "affect substantial
    rights," requiring reversal. As is often
    true, however, the words "affect
    substantial rights" have taken on a life
    of their own, and require a more
    elaborate analysis.
    The requirement that an error "affect
    substantial rights" generally means that
    the error must have been prejudicial in
    that it must have affected the outcome of
    the district court proceedings. United
    States v. Olano, 
    507 U.S. 725
    , 734
    (1993). For errors falling within Rule
    52(a), the government bears the burden of
    persuasion with respect to prejudice. Id.
    at 734-35. Courts normally engage in the
    harmless-error inquiry to determine
    whether an error was prejudicial and thus
    affected substantial rights. Id.
    The Supreme Court has long recognized,
    however, that some basic trial rights can
    never be treated as harmless error. See
    Brecht v. Abrahamson, 
    507 U.S. 619
    , 629
    (1993); Arizona v. Fulminante, 
    499 U.S. 279
    , 309 (1991); Gomez v. United States,
    
    490 U.S. 858
    , 876 (1989). Errors that
    require automatic reversal include
    structural defects affecting the
    framework in which the trial proceeds, as
    opposed to errors in the trial process
    itself. Neder, 527 U.S. at 8-9; Arizona,
    499 U.S. at 309. Those structural errors
    implicate basic protections, and render a
    criminal trial fundamentally unfair or an
    unreliable vehicle for determining guilt
    or innocence. Id. It is a categorical
    determination rather than a case-specific
    one. Neder, 527 U.S. at 14. In Olano, the
    Court left open the question of whether
    structural errors not subject to the
    harmless error analysis fall within the
    Rule 52(a) requirement of "affecting
    substantial rights." Olano, 507 U.S. at
    735 (raising but not deciding whether
    requirement that an error affect
    substantial rights was synonymous with
    prejudicial, or whether some errors
    falling under Rule 52(a) should be
    presumed prejudicial or could be
    corrected regardless of their impact on
    the outcome); see also United States v.
    Underwood, 
    130 F.3d 1225
    , 1228 (7th Cir.
    1997) (dissenting from denial of reh. en
    banc) (distinction between trial and
    structural errors relevant only under
    state cases, and inappropriate under Rule
    52(a)).
    That question was resolved in Neder,
    which applied the structural error
    analysis to the Rule 52(a) context. The
    Neder Court recognized
    a limited class of fundamental
    constitutional errors that "defy analysis
    by ’harmless error’ standards."
    [citations omitted] Errors of this type
    are so intrinsically harmful as to
    require automatic reversal (i.e., ’affect
    substantial rights’) without regard to
    their effect on the outcome. For all
    other constitutional errors, reviewing
    courts must apply Rule 52(a)’s harmless-
    error analysis and must "disregar[d]"
    errors that are harmless "beyond a
    reasonable doubt."
    527 U.S. at 7. Thus, the Neder Court
    clarified that Rule 52(a) requires
    reversal of errors that are not harmless
    beyond a reasonable doubt or that fall
    within that class of fundamental
    constitutional rights that require
    automatic reversal without regard to
    harmlessness.
    The subset of errors that mandate
    automatic reversal is a small one. It
    includes errors such as the complete
    denial of counsel, a biased judge, racial
    discrimination in the selection of the
    grand jury, the denial of self-
    representation, the denial of a public
    trial, and a defective reasonable doubt
    instruction. See, respectively, Gideon v.
    Wainwright, 
    372 U.S. 335
     (1963); Tumey v.
    Ohio, 
    273 U.S. 510
     (1927); Vasquez v.
    Hillery, 
    474 U.S. 254
     (1986); McKaskle v.
    Wiggins, 
    465 U.S. 168
     (1984); Waller v.
    Georgia, 
    467 U.S. 39
     (1984); and Sullivan
    v. Louisiana, 
    508 U.S. 275
     (1993). In
    contrast, errors such as the omission of
    an element of an offense do not
    necessarily defy harmless error review or
    affect the framework within which the
    trial proceeds, and are not grounds for
    automatic reversal. See Neder, 527 U.S.
    at 7-14.
    All of these cases, however, are part of
    a cohesive whole-- a "spectrum"of
    constitutional errors. Brecht, 507 U.S.
    at 629. The ultimate determination is
    always whether a substantial right was
    implicated. The procedures and
    constitutional protections afforded
    defendants operate to provide a fair
    process for adjudicating the defendants’
    guilt or innocence, but also to ensure
    that society perceives the process to be
    fair, thus promoting respect for the rule
    of law. The errors impacting "structural"
    rights require automatic reversal because
    they impact the very foundation of a fair
    trial. The rule of automatic reversal is
    thus essentially a categorical
    application of the harmless error
    standard. Errors such as complete denial
    of counsel, a biased judge, the denial of
    self-representation, etc., "deprive
    defendants of ’basic protections’ without
    which ’a criminal trial cannot reliably
    serve its function as a vehicle for the
    determination of guilt or innocence . . .
    and no criminal punishment may be
    regarded as fundamentally fair,’" Neder,
    527 U.S. at 8-9 [citation omitted], thus
    necessarily adversely impacting the dual
    interests identified above. See United
    States v. Santos, 
    201 F.3d 953
    , 959-60
    (7th Cir. 2000) (structural errors are
    reversible per se "because the error
    either is serious yet its effect on the
    outcome of a particular case difficult to
    establish (an example is the denial of
    the right to a jury trial) or infringes a
    right unrelated or only distantly related
    to the interest in making sure (so far as
    possible) that innocent people aren’t
    convicted; allowing racially motivated
    peremptory challenges of prospective
    jurors is an example.") (citations
    omitted). Therefore, those errors are
    conclusively presumed to be prejudicial.
    At the other end of the spectrum are
    typical "trial" errors, which do not call
    into question the framework in which the
    defendant is judged, and thus do not by
    their very nature prejudice the rights of
    the defendant and society as a whole to a
    fair system of adjudication. "If the
    defendant had counsel and was tried by an
    impartial adjudicator, there is a strong
    presumption that any other
    constitutiona[l] errors that may have
    occurred are subject to harmless-error
    analysis." Neder, 527 U.S. at 8, quoting
    Rose v. Clark, 
    478 U.S. 570
    , 579 (1986).
    Trial errors generally occur during the
    presentation of the case to the jury, and
    are amenable to harmless error analysis
    because they may be quantitatively
    assessed in the context of the evidence
    as a whole, to determine the effect on
    the trial. Brecht, 507 U.S. at 629. No
    presumption of prejudice attaches for
    such errors, and they do not require
    reversal if they are harmless beyond a
    reasonable doubt. Neder, 527 U.S. at 8.
    Not every error, however, is easily
    shoe-horned into one of those neat
    categories. The "nature, context, and
    significance of the violation," for
    instance, may determine whether automatic
    reversal or the harmless error analysis
    is appropriate. United States v. Pearson,
    
    203 F.3d 1243
    , 1261 (10th Cir. 2000);
    Yarborough v. Keane, 
    101 F.3d 894
    , 897
    (2d Cir. 1996). This is apparent in the
    right to counsel cases, in which the
    total deprivation of the right to counsel
    is considered structural error whereas
    the denial of the right to counsel at a
    preliminary hearing is subject to
    harmless error review. Id. Similarly, the
    exclusion of a defendant from the trial
    constitutes structural error, but the
    defendant’s absence from a discrete part
    of the trial process may not. Id.
    And some errors may fall in the middle
    ground between those two categories of
    structural and trial errors. Thus,
    arguably next on the spectrum, after
    structural errors conclusively presumed
    prejudicial, are errors such as jury
    tampering which are deemed presumptively
    prejudicial by their very nature. See
    Remmer v. United States, 
    347 U.S. 227
    ,
    229 (1954) (jury tampering presumptively
    prejudi- cial); Olano, 507 U.S. at 735 &
    739 (recognizing that there may be errors
    that should be presumed prejudicial).
    Where improper contact is made with a
    juror during a trial, the potential for
    prejudice to the defendant is signif-
    icant but would be very difficult for the
    defendant to prove. Accordingly,
    regardless of whether the government was
    aware of the juror contact, the contact
    is deemed presumptively, although not
    conclusively, prejudicial, and the
    government bears the heavy burden of
    establishing after a hearing that the
    contact with the juror was harmless.
    Remmer, 347 U.S. at 229. The presumption
    of prejudice renders that type of error
    different in nature from other trial
    errors, to which no such presumption
    attaches.
    The Supreme Court, which used the
    "spectrum" language, has recognized the
    possibility of other errors that do not
    fall neatly into the structural or trial
    categories. In footnote nine of Brecht,
    the Court declared that "[o]ur holding
    does not foreclose the possibility that
    in an unusual case, a deliberate and
    especially egregious error of the trial
    type, or one that is combined with a
    pattern of prosecutorial misconduct,
    might so infect the integrity of the
    proceedings as to warrant the grant of
    habeas relief, even if it did not
    substantially influence the jury’s
    verdict."/2 507 U.S. at 638, n.9. Even
    some "trial" errors, then, may require
    automatic reversal. See Hassine v.
    Zimmerman, 
    160 F.3d 941
    , 959-61 (3rd Cir.
    1998), Hardnett v. Marshall, 
    25 F.3d 875
    ,
    879-80 (9th Cir. 1994), and Cupit v.
    Whitley, 
    28 F.3d 532
    , 538 (5th Cir.
    1994), applying "footnote nine
    exception."
    Thus, there are many different paths in
    determining whether an error prejudiced a
    defendant so as to affect substantial
    rights. Not surprisingly, deciding which
    standard applies to a particular error is
    a daunting task. Here, we must determine
    where on that spectrum the constitutional
    error in this case falls.
    B.
    The error presented here is precisely
    the type of error that "defies harmless
    error analysis." No one argues that the
    alternate who replaced Juror M was
    somehow biased, and it is impossible to
    determine what impact, if any, the
    substitution had on the jury’s ultimate
    decision. This would be true of many
    errors relating to peremptory challenges,
    because the existence of challenges for
    cause presumably removes anyone with
    obvious bias or potential for bias, and
    we cannot assess how the makeup of the
    jury may have impacted the decision-
    making process. If the inability to ade
    quately assess harmlessness were the only
    consideration, then we could immediately
    conclude that automatic reversal is
    appropriate for all errors involving
    peremptory challenges. The Supreme Court
    at one time appeared to endorse that
    view, stating in Swain that peremptory
    challenges are one of the most important
    of the rights secured to the accused, and
    that the "denial or impairment of the
    right is reversible error without a
    showing of prejudice." 380 U.S. at 219.
    The Court reiterated that sentiment in
    Ross v. Oklahoma, 
    487 U.S. 81
    , 89 (1988),
    quoting that same language from Swain,
    and we employed that reasoning in United
    States v. Underwood, 
    122 F.3d 389
     (7th
    Cir. 1997). In Underwood, the defendant
    complained of a jury process that was so
    confusing as to impair his right to the
    intelligent use of his peremptory
    challenges. Id. at 391-92. The jury
    selection process effectively misled
    Underwood regarding how potential jurors
    would be seated on the final jury, with
    the result that he opted not to challenge
    two potential jurors based on his
    mistaken belief that they were too far
    down on the list to make it onto the
    petit jury. Id. at 395. Those two jurors,
    however, were among the first twelve on
    the judge’s list, and sat as jurors at
    the trial. Id. Relying in part on Swain,
    we held that the process impaired the
    intelligent exercise of his peremptory
    challenges in violation of the Fifth
    Amendment, and thus required automatic
    reversal. Id. at 392.
    More recently, however, the Supreme
    Court in Martinez-Salazar, 528 U.S. at
    317 n.4, appeared to back away from that
    view, noting that "the oft-quoted
    language in Swain was not only
    unnecessary to the decision in that case
    . . . but was founded on a series of our
    earlier cases decided long before the
    adoption of harmless-error review." Id.
    at 782 n.4. The Martinez-Salazar Court,
    however, did not decide the appropriate
    remedy for such a violation, because it
    found no impairment of the right to the
    peremptory challenge in the defendant’s
    use of a peremptory challenge to correct
    the trial court’s erroneous denial of a
    challenge for cause.
    We then picked up the mantle in United
    States v. Patterson, 
    215 F.3d 776
     (7th
    Cir. 2000), vacated in part by Patterson
    v. United States, 
    121 S. Ct. 621
     (2000).
    Freed from the Swain language by the
    Court’s footnote in Martinez-Salazar, we
    held that the loss of a peremptory
    challenge does not require automatic
    reversal. In Patterson, the defendant had
    asserted a number of errors related to
    peremptory challenges. Among them was an
    error relating to alternate jurors, which
    had the effect of diminishing the number
    of challenges provided by statute. Rule
    24(c)(2) grants 3 extra peremptory
    challenges for 6 alternates, and the
    district court had granted only 2
    challenges for 8 alternates. Id. at 780.
    Although that was a technical violation
    of the rule, we noted that this jury
    selection process had not followed the
    typical process. Id. Rule 24(c)(2)
    assumes jurors will be selected either by
    the jury-box system or the struck-jury
    method, in which the defendants know the
    sequence in which members of the pool
    will be seated and use their peremptory
    challenges with this knowledge.
    Accordingly, it provides extra peremptory
    challenges for the selection of
    alternates because otherwise defendants
    might have no challenges when those
    jurors are examined. Id. In Patterson,
    however, the defendants were unaware of
    which jurors would be seated first, and
    used their peremptory challenges on the
    group as a whole. Id. We stated that
    "[b]ecause the peremptory challenges
    exercised against the pool of 63 were as
    likely to excuse would-be alternates as
    to excuse would-be regular jurors, there
    was no need for a second allotment of
    challenges." Id. Nevertheless, Rule 24
    (c)(2) provided for such challenges, and
    thus the rule was violated by the failure
    to provide all the required challenges.
    We held that such a violation of the rule
    did not require automatic reversal. Id.
    at 781-82.
    We first rejected the notion that such
    a loss of a peremptory challenge is per
    se a violation of a substantial right.
    Id. at 781. Where the seated jury was
    impartial, we refused to group such an
    error with those such as a biased
    tribunal or total deprivation of counsel
    which require automatic reversal. Id. at
    781-82. In so holding, we relied on
    McDonough Power Equipment, Inc. v.
    Greenwood, 
    464 U.S. 548
     (1984), in which
    the Court applied the harmless error test
    where a juror failed to respond to a
    question on voir dire, thereby depriving
    the defendant of information useful in
    exercising the peremptory challenge. The
    Court in that case declared that reversal
    was justified only if a correct response
    by the juror would have provided the
    basis for a challenge for cause. Id. at
    556. Although information is important in
    an intelligent exercise of peremptory
    challenges, the Court held that the
    "harmless error rules adopted by the
    Court and Congress embody the principle
    that courts should exercise judgment in
    preference to the automatic reversal for
    ’error’ and ignore errors that do not
    affect the essential fairness of the
    trial." Id. at 553, quoted in Patterson,
    215 F.3d at 782.
    Following the reasoning in McDonough,
    this court in Patterson held that
    automatic reversal was improper for the
    Rule 24(c)(2) violation presented in that
    case. The court recognized, however, that
    the possibility remained that in another
    case, an error in peremptory challenges
    might affect a right that is substantial,
    in the sense that it has a substantial
    and injurious effect or influence in
    determining the jury’s verdict. 215 F.3d
    at 782, citing Kotteakas v. United
    States, 
    328 U.S. 750
     (1946). The court
    further opined that "[a]n exceptionally
    confused jury-selection process may have
    such an effect," and thus that the result
    in Underwood was not necessarily wrong.
    215 F.3d at 782.
    Today, we are presented with a case
    presenting just that scenario. We have
    here a jury-selection process that was
    not only exceptionally confused, and thus
    analogous to Underwood, but which was
    completely subverted with the extension
    of peremptory challenges to the trial
    itself. In this case, the court set forth
    the rules of jury selection, and then
    without notice disregarded them, thus
    preventing the defendants from
    intelligently exercising their peremptory
    challenges and yielding exclusive control
    over the jury to the prosecution at the
    trial stage. That procedure crippled the
    device of peremptory challenges, thus
    obstructing the goal of an impartial
    jury. See Holland, 493 U.S. at 483-84.
    This is different from the cases
    discussed above, in which the rules used
    by the court prevented the defendants
    from maximizing the strategic use of
    their peremptory challenges. Here, the
    error was serious enough to effect a
    shift in the total balance of advantages
    in favor of the prosecution, which we
    recognized in Tyson could deprive
    defendants of a fair trial. 50 F.3d at
    441. The prosecution was unilaterally
    permitted to use a pre-trial jury
    selection tool to alter the composition
    of the jury mid-trial by removing an
    unbiased juror (we must presume that he
    is unbiased, because the district court
    denied the challenge for cause and no one
    contests that decision, which is clearly
    supported on the record.) The government
    used that peremptory challenge,
    presumably for the purpose of obtaining a
    jury more favorable to the prosecution,
    on the sixth day of an eight-day trial,
    at which point it would have had signifi
    cant opportunity to observe the demeanor
    of the juror, and to assess whether the
    alternate juror would be more favorable
    to its case. This is the type of error
    that affects the essential fairness of
    the trial and calls into question the
    impartiality of the jury, in contrast to
    the errors addressed in cases such as
    Patterson and McDonough.
    At a minimum, defendants are entitled to
    a jury process that does not provide the
    prosecutor with a tool for eliminating
    jurors that is denied to the defendants.
    And although the defendants did not seek
    to exercise any peremptory challenges
    mid-trial because they did not possess
    any, they were denied that right just as
    surely because they were never even
    informed that peremptory challenges could
    survive the pre-trial stage and be
    utilized at trial. Such an error affects
    the fundamental fairness of the trial,
    both because it failed to provide notice
    to the defendants of the jury selection
    process that would actually be used (and
    in fact had the effect of affirmatively
    misleading them), and because it gave the
    prosecutor unilateral, discretionary con
    trol over the composition of the jury
    mid-trial.
    That error is the type of fundamental
    error requiring automatic reversal. The
    critical problem here is that one party
    was allowed exclusive, discretionary
    control over the composition of the jury
    mid-trial, and whether the mechanism for
    achieving that control was a peremptory
    challenge or another device is
    unimportant. The error is a "structural
    defect affecting the framework within
    which the trial proceeds." For instance,
    in Brecht v. Abrahamson, 
    507 U.S. 619
    (1993), the Court clarified that trial
    error occurs "’during the presentation of
    the case to the jury,’ and is amenable to
    harmless-error analysis because it ’may .
    . . be quantitatively assessed in the
    context of the other evidence presented
    in order to determine [the effect it had
    on the trial].’" 507 U.S. at 629, quoting
    Arizona, 499 U.S. at 307-08. In contrast,
    structural defects in the constitution of
    the trial mechanism defy such analysis,
    and require automatic reversal because
    they infect the entire trial process.
    Brecht, 507 U.S. at 629. Here, the
    framework in which the trial proceeded
    was fundamentally altered, with the jury
    selection mechanism transported to the
    trial stage for one party. Moreover,
    whether using the Kotteakas standard set
    forth in Patterson for non-constitutional
    peremptory challenge error (substantial
    and injurious effect), or the Chapman
    harmless error standard for
    constitutional errors, it is simply
    impossible as a practical matter to
    assess the impact on the jury of such an
    error. In the end, we would instead be
    presuming prejudice or lack thereof based
    on the seriousness of the error and the
    extent to which it compromised the jury
    process. Where the error is severe enough
    to call into question the proper
    functioning of the jury selection
    process, the impartiality of the jury
    could no longer be presumed. That would
    require reversal regardless of whether
    the means of achieving it was a
    peremptory challenge or another device.
    But even viewing the error strictly in
    light of precedent addressing peremptory
    challenges, automatic reversal is
    required. The Supreme Court has stated
    that "[i]f the defendant had counsel and
    was tried by an impartial adjudicator,
    there is a strong presumption that any
    other constitutiona[l] errors that my
    have occurred are subject to harmless-
    error analysis." Neder, 527 U.S. at 8,
    quoting Rose, 478 U.S. at 579. Here,
    however, the error calls into question
    the impartiality of the jury because it
    cripples the device designed to ensure an
    impartial jury by giving each party an
    opportunity to weed out the extremes of
    partiality. Therefore, the presumption is
    inapplicable. The right to an impartial
    jury is the sort of right that requires
    automatic reversal when denied. As with
    other such errors, however, the "nature,
    context, and significance" of a violation
    may determine whether automatic reversal
    or harmless error analysis is
    appropriate. Minor or technical errors
    that do not significantly undermine the
    constitutional right do not require
    automatic reversal. See Pearson, 203 F.3d
    at 1261 & Yarborough, 101 F.3d at 897 and
    cases discussed therein. Where the error
    is substantial enough to undermine the
    constitutional right, however, automatic
    reversal is required. We have such an
    error here. Unlike Patterson, this is
    neither an insignificant nor a technical
    error. See United States v. Polichemi,
    
    219 F.3d 698
    , 705 (7th Cir. 2000)
    (distinguishing Patterson, in which the
    error did not call into question the
    impartiality of the jury ultimately
    selected, from Underwood, where the
    entire process of jury selection was
    infected with ambiguity). The error here
    adversely impacted the ability of the
    peremptory challenge device to fulfill
    its purpose of ensuring an impartial
    jury, and therefore reversal is necessary
    without engaging in a harmless error
    inquiry.
    Any other holding would effectively
    eliminate the ability of defendants to
    appeal any restrictions on peremptory
    challenges, thus frustrating the
    peremptory challenge device as a means of
    ensuring an impartial jury. Some examples
    may illustrate the problem. Consider the
    scenario in which the district court
    rules that the defendants must use their
    peremptory challenges pre-trial, but that
    the government could use them at any
    point in time before the jury retired to
    deliberate. Or, the situation in which
    the court determines that only the
    government, and not the defendant, will
    be allowed the use of peremptory
    challenges. But cf. Tyson, 50 F.3d at
    440-41. Both examples may seem far-
    fetched, but so did the use of a
    peremptory challenge mid-trial before
    this case. In each instance, the
    framework in which the trial proceeds is
    fundamentally altered, with an effect
    that is difficult to establish. Are we to
    say that reversal is inappropriate in
    those instances because the jury that
    actually sat was impartial, based on the
    fiction that the challenges for cause
    eliminated all biased jurors and that
    peremptory challenges are a statutory
    creation not constitutionally-required?
    Although they are not constitutionally-
    required, the Supreme Court has long
    recognized that the right of peremptory
    challenges is one of the most important
    of the rights secured to the accused.
    They are a tool for achieving the
    constitutional mandate of an impartial
    jury, by allowing each party to eliminate
    those jurors with real or suspected
    biases. See Ross, 487 U.S. at 88.
    Although challenges for cause eliminate
    presumptively biased jurors, peremptory
    challenges weed out the extremes of
    partiality on both sides. Holland, 493
    U.S. at 484. Thus, a system that grants
    the right to only one party threatens
    that goal of an impartial jury by skewing
    the jury towards the favored party. This
    is different from an error that impedes
    the ability of a defendant to maximize
    the strategic use of his peremptory
    challenges, or that affects the number of
    peremptory challenges available in a
    technical sense. Here, both parties were
    given discretionary control over the jury
    composition at the pre-trial stage, and
    then one party exclusively was given that
    control during the subsequent stage of
    the trial itself. That is conceptually
    indistinguishable from the example above
    in which only the government is allowed
    to use peremptory challenges. We cannot
    tolerate a system in which control over
    the jury rests in the exclusive domain of
    one party during a particular stage of
    the proceedings. That is a structural
    error that requires automatic reversal.
    IV.
    Because we are reversing on the
    peremptory challenge issue, we need not
    address the challenge to the court’s
    admission of evidence regarding a murder.
    On remand, the court will again weigh the
    prejudice and probative value of such
    evidence. If the court again finds that
    the balance weighs in favor of admission,
    we trust that the court will limit the
    details of the murder to those relevant
    to the probative value, so as to minimize
    the prejudice.
    For the above reasons, we vacate the
    convictions of each defendant-appellant
    and remand for a new trial.
    FOOTNOTES
    /1 To protect the juror’s privacy, we will refer to
    him only as Juror M.
    /2 The Court then cited to Justice Stevens’ concur-
    rence in Greer v. Miller, 
    483 U.S. 756
    , 769
    (1987). Justice Stevens in that concurrence
    recognized four types of constitutional errors:
    "The one most frequently encountered is a claim
    that attaches a constitutional label to a set of
    facts that does not disclose a violation of any
    constitutional right. . . . The second class
    includes constitutional violations that are not
    of sufficient import in a particular case to
    justify reversal even on direct appeal, when the
    evidence is still fresh and a fair retrial could
    be promptly conducted. . . . A third category
    includes errors that are important enough to
    require reversal on direct appeal but do not
    reveal the kind of fundamental unfairness to the
    accused that will support a collateral attack on
    a final judgment. . . . The fourth category
    includes those errors that are so fundamental
    that they infect the validity of the underlying
    judgment itself, or the integrity of the process
    by which that judgment was obtained." [citations
    omitted] Id.