TO: HON. TAGGART ADAMS, JUDGE GROGINS, HON. SHERIDAN MOORE, HON.
DENNIS G. EVELEIGH, HON. PATRICK J. CLIFFORD, HON. BARBARA M. QUINN,
HON. JUDGE JENNINGS and Robert Kaelin, attorney of record, and to all concerned:
PLEASE TAKE NOTICE that upon the annexed affirmation of Delmo L. Zanette
affirmed on, February 28, 2010, and upon the exhibits attached thereto, the Affidavit in Support,
Complaint for Disqualifications and declaration of ‘Fraud Upon the Court,’ Trial Brief with
Memorandum of points of authorities, documents, records, and files corresponding to this action,
February, 25, 2010; whereby plaintiff moves this Court, before, The Hon. Taggart D. Adams,
for an order pursuant to this Court’s supervisory power over the administration of justice, the
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Fifth, and Fourteenth Amendments to the Constitution of the United States, Article I, §§ 1, 7,10,
14 and 20 of the Constitution of the State of Connecticut, and Code of Judicial Conduct,
Appendix C, Canons 1,2, and 3, Conn. Practice Book § § 66-2, 85-2,17-54,17-55, and 41-8,
Delmo Zanette, the true legal owner of the subject property, moves for sanctions against the
plaintiffs including (1) summary dismissal of the case of RKD Ventures LLC v. Delmo Zanete,
Docket No. SNSP-037013; and or (2) declaration of a mistrial ; and or (3) recusal of Judge
Grogins ; and or disqualification of Robert Kaelin, and an order holding him in contempt of the
Norwalk Court, which was by a false declaration to Judge Moore on December 15th, that his
clients own 100% of the 1357 King St to unlawfully obtain her ruling granting ‘Use &
Occupancy’ that would not have been possible if Robert Kaelin had stated the truth; specifically
that the current deed states 50-50 ownership between parties. Albeit the petitioner’s claim of tile
is based on the instruments filed with the Town Clerk of Greenwich. Yet, this was without
defendant’s authorization or knowledge, and that the tile instruments are a product of statutory
I. Pursuant to Conn. Practice Book, Sec. 5-1. Trial Briefs, [Plaintiff is submitting] “ as of
right, . . . a written trial brief discussing the issues in the case and the factual or legal basis upon
which they ought to be resolved.(P.B. 1978-1997, Sec. 285A.); and pursuant to Conn. Practice
Book Sec. 5-2. Raising Questions of Law Which May Be the Subject of an Appeal: “Any party
intending to raise any question of law which may be the subject of an appeal must either state the
question distinctly to the judicial authority in a written trial brief under Section 5-1, or state the
question distinctly to the judicial authority on the record before such party’s closing argument.”
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II. Plaintiff seeks DECLARATORY JUDGMENT, pursuant to Conn. Practice Book, in sec.
17-55, and 17-56 . .that permits bringing of complaint for a declaration of the present and future
rights on the controversy between parities of which party has legal ownership of the disputed
properties. Thereby, through a declaratory judgment would resolve the controversy by declaring
the rights and obligations of parties regarding the properties. Specifically, this is with the
disputed legal right of ownership and right to possession now being litigated. Thus, declaratory
relief would “clear the air" on a number of disputed issues on the following sought declarations:
1. Determine if Robert Kaelin made a false declaration on Dec. 15, 2010 when he told
Judge Moore his client owns 100% of 1357 King Street (white House or subject
property).
3. determine the validity and construction of deeds to the properties, and the respective
rights of the affected parties, including determination as to the validity of deeds under
the “Uniform Fraudulent Transference Act.’
4. determine the validity and construction of mortgages and deeds of trust and the rights
and liabilities connected therewith between parities under the ‘Uniform Fraudulent
Transference Act.’
5. determine on what basis if any how the May 27, 2004 agreement can legally be
considered to be a lease between parties or that it should not be considered as proof of a
landlord/tenant relationship according to State Law.
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6. determine the rights and liabilities between parties regarding tenants on the property and
their rental revenue.
7. determine the status of RKD Venture I & 2 and the rights of its members
8. determine if fraud on the court occurred with lawyers from both sides in the Norwalk
9. determine the LLCs are not to be embraced by defendants to deflect being held
personally liable for the conduct they perpetrated under the authority of the LLCs;
10. determine in accordance to the May 27, 2004 agreement, the mortgage with the open-
end loan disbursements, the collection of rental revenues, as to what are the fiduciary
and specifically how much money they appropriated for their own use and benefit.
12. determine through the subpoena process how many hundreds of thousands of dollars of
rental revenue plaintiffs collected and co-mingled in their own accounts, such as to
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13. Determine what valuable personal property and personal documents may have been
stolen when plaintiffs broke in to defendants home to change the locks and remove
1) Plaintiff to hand over the key that they have refused to do since
eviction.
and
5) order that the illegal lockout be cured and that defendant be given
to this case.
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7) Order Abrim Heisler to release to defendant’s agent his complete
file, which he has past refused to release to defendant, even
though he was paid in full.
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I, DELMAR ZAETTE, the defendant, moves the Court for the mistrial, or in lieu, a
disqualification of Judge Grogins and Hickley, along with plaintiff’s attorney of record, Robert
Kaelin, from any continued handling of the case identified above and hereon; and being duly
be called, or if this is not granted, as an alternative the recusal of Judge Grogins. Then, this case
needs to be referred to Judge Moor, instead of Judge Hickley, due to his past demonstrations of
being bias against me. Whereas, currently Judge Grogins is assigned to my housing case, and has
scheduled its trial for February 25th, 2010. The ‘cause’ for recusal is applicable, since Judge
Grogins and Hickley, consistently extended profound favoritism towards my opposition, while
acted with ill-will towards me. This was by his accepting whatever plaintiff claimed with words
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as if being verified material facts, not worthy of any further enquiry, while simultaneously
2. Whereby, Judge Grogins and Hickley granting standing of RKD as landlord to pursue the
summary process proceeding was a nugatory determination, clearly made in error. Since the
relationship between parties and the subject properties known to Judge Grogins is that of being
50-50 owners. Consequently, such equally shared rights of interest to the properties can’t in any
manner or form be interpreted as one party possesses ‘paramount title.’ Insomuch as, the
housing court ignored the partnership principals of equally shared interest of ownership
implying the same rights and privileges. Rather, it is demonstrating favoritism to one party and
3. Hence, the pending summary process action is far from being a simple matter of an
occupancy dispute, involving parties being a landlord/owner against his renter/tenant. Yet, with
the most recent action before Judge Groins, he now repeats the unfair treatment of me as was
done in the other proceedings. Since Judge Groins is continuing to perform his official duty in a
4. Subsequently, I have been treated unfairly as the record bears this as a material fact,
which establishes I am entitled for a new judge to be assigned to my case. This request is
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guaranteed by the statutes governing disqualification of a judge for cause. In fact, any one of
numerous examples of Judge Grogins judicial misconduct would mandate his recusal.
5. Especially with considering that plaintiff submitted the May 2004 contract (contract)
(exh. A) to validate their claim I was tenant because it stated I would pay $1,000 towards taxes.
This signed document was submitted in substitution of any documentation indicating a sale had
actually occurred. Yet, the court accepted the ‘contract’ without any further questions asked, not
exercising due diligence to explore the issue of proof to the parities standing of ownership and
rights to possession. In effect, the Court accepted the ‘agreement’ in a matter before its
consideration, as if it was plaintiff’s right to title, or a non-disputed deed of title and ownership.
6. However, according to Conn. property law (The Uniform Fraudulent Conveyance Act),
any fair-minded judge was just to read the contract it would raise red flags and would compel
him out of his requirement to perform his official duty to ask questions. Such as why was
defendant’s council proceeding with trial without defendant being present to hear what the
opposition was testifying? Thereby, in order to support his line of questioning and to give a
rebuttal. This is when the reason given was that plaintiff had chosen to sell his produce instead of
participating. While the real reason was plaintiff was undermined by his own lawyer and wanted
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6. The court did not ask if the conditions of the contract had been fulfilled that would allow
it to have jurisdiction over enforcing the contract as if it was a tile of ownership. Thereby, the
or dissolution. Since as a legal instrument the ‘contract’ identifies the rights of parties, as in
accordance to what was contractually agreed. Essentially, the ‘contract’ indicates that an agreed
price to buy the entire land in two years has expired. This is with a breached promise of giving
me 1.9 million (net) in return; or if the land was sold to an outsider it must be for $4 million and
I would get 2.4 million (net) and plaintiff would get $500,000.00. In addition in anticipation of
the sale of the properties that the LLCs were set up designating each party has a 50 % share.
Thus since the purchase never occurred it was an act of misfeasance on the part of the judges not
oppositions’ claims of being a co-venture to develop the property. Along with a variety of other
fabricated stories to create the appearance of legal standing; such as with plaintiff’s testimony
that the nature of their ownership was a quid-quo pro agreement for putting up money to prevent
my losing the property, yet this claim is clearly refuted by the terms contained in the contract.
8. Moreover, why did the court not ask plaintiff what steps he undertook to fulfill our
bargain involving the “development” of the land to increase its value? Not to mention, the court
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asking the most relevant question to establish my oppositions’ rights of ownership, how much
money did you invest to establish your disputed claim of 50% ownership?
9. On the other hand, the court forced my eviction from my property, so as to protect
plaintiff from my breech of promise of selling the property. Instead of the court wanting to see
the bill of sale for the 50% ownership, canceled checks, current deed, mortgage, etc., it elected to
hear stories; such as plaintiff, Ronald Pecunies, complaining: “we are paying everything.”
Moreover, the Court concentrated it focus on the pivotal question if I was interfering with the
Whereas, the Court heard perjured testimonial evidence from plaintiff’s real estate agent who
falsely claimed when someone came into her office to sign the papers to buy the property I
chased them away. Thereby, this verified as proof to the court that I was violating my legal
obligations that bound me in the contractual agreement. Specifically, this was for plaintiffs to
independently control its sale and the equity it produces. Thereafter the property was sold the
plaintiff told the Court it was their intention to give me half of the equity created from the sale as
my share.
10. Currently, my oppositions’ intent is for my properties to be sold to third parties, and the
realtor who gave false testimonial evidence will be paid a generous commission at my expense.
Even though nothing in the contract states the property would be sold through a realtor and I was
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not asked to agree to it, only my lawyer Brown agreed that his father’s real estate firm should be
assigned the listing. Yet my being shut out does not occur to Judge Grogins as being improper.
11. Consequently, as furthered by the rulings of Judge Grogins and Hickley, instead of my
getting the contractually implied 2.4 million (net) as required in the bargain, plaintiffs intend to
give me just a couple of hundred thousand in its place. Not to mention the properties’ rental
revenue they stole is in the hundreds of thousands. Yet, if I do not agree to this by signing my
authorization of agreement for them to execute the sale that they are controlling I am promised I
will not get anything; as this was communicated to me through my lawyer Mark Katz in a letter.
Specifically, I will lose possession through the pending foreclosure if I don’t agree for plaintiff to
sell my property. As I am sure the plaintiff has documents of sale that have long awaited my
signature, as being a willful conveyance. Thereby, for me to be given an amount that they will
fill in the amount, or perhaps surprise me thereafter. (Sounds like constructive extortion to me).
12. Moreover, if the ‘contract’ stated plaintiffs are managers of my property, did they have
the legal authority to perform as managers under the contract when law requires being licensed?
While the real estate guidelines states that a manager performs according to the directions of the
owner. Further, even if the alleged ownership was indeed a 50-50 partnership, it is still against
business corporate law for plaintiff to deprive me of enjoying my rights, privileges and benefits
afforded by my ownership. Albeit, as was done in this instance, upon the determination of the
other owner [my opposition] with alleging only equal share of ownership. This is where the law
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goes further to state that shareholder with just a 10% share, still has the authority for a view of
13. Essentially, it is beyond imagination as to figure on what basis the court felt compelled to
believe that the contract as my promise to sell my property by 2006 was to be enforced by
depriving me of occupancy in 2007 & 2008. Albeit under the premise I was breeching my
promise to sell my property by interfering with its ability to be sold by my occupancy in the
interim. Even though when I had buyers wanting to buy in 2006 for 4 million the plaintiff
refused to allow the sale to go through because they felt $600,000.00 was not enough money for
them. Yet this was more than the bargain of the contract that stated if I was to sell to an outsider
14. The first appearances on the original eviction action went before Judge William F.
Hickey, Jr. This was when the lawyer Steven Philips for plaintiff pleaded that plaintiff was 100%
owners of the commercial property that I was occupying. However my lawyer, Demetrois
Adamis, corrected the plaintiffs’ false statement that I was 50% owner of RKD ventures. To wit,
Judge Hickey’s response was to say since they only own 50%, then he must set the case for trial.
It was as if Phillips’ prior false declaration of misrepresenting the fact of the central issue with
the ownership by parties was irrelevant. Instead, of Judge Hickey sighting Phillips for contempt,
and dismissing the action based upon a defective pleading, he thought it more appropriate the
matter goes forward to trial in an eviction proceeding. This is comparable to granting someone
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standing as a landlord to evict his co-occupant based on his collection of money for property
taxes, even though the deed states they share 50-50 ownership.
Essentially, what Philips argued was that because the petitioning party pays the taxes after
collecting the co-owner’s share, gives him the legal right to use the courts to deprive his co-
owner from continuing with enjoying their rights of possession. Thus, after the co-owner is
evicted he can rent out her share for his benefit, or force her to sign on to a sale price that he
controls from a position of unfair advantage. Since by the court depriving her of her right to
appreciate any benefit from being a co-owner, her only opportunity to salvage any benefit is
agree to the stated price and authorize the sale to go. Even through the sale is exclusively
15. In effect, plaintiff pleadings for justifying my eviction were based upon my contractual
breach by their implying my conduct according to the ‘contract’ was with bad faith. Such as with
fraudulently claiming I never paid the $1,000.00 tax contribution and took all the rents
Eventually, I signed a stipulation upon Aldamis instance and false promise that if I signed
Thus, the Court’s determination was essentially it was curing my contractual breach by evicting
me from my property so it could be sold. Since my continued occupancy interfered with it being
sold by plaintiff. Thereby, the conditions set forth in the ‘contract’ can be met as the Court
interfering with the consummation of the terms in the contract by my living on my property.
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Even though I was willing to give plaintive $24,000 towards paying my $1,000 contribution
twice, and money in advance towards future rents, yet they still wanted me evicted.
16. Consequently Judge Grogins rulings can be identified as being in ultra vires. Insomuch as
it can’t be defined by the legal relationship between parities. Since in no manner or form could
our business relationship ever to be justified to be legally viewed as a landlord and tenant
relationship. Neither can a contractual promise based on a breached option to buy the property
with a provision of my contributing towards the taxes make it so. Rather, at best the Court
considered an unsubstantiated claim of plaintive being 50-50 owners with me; that plaintiff is
named as the manager of the property; and is the executive manager of the LLCs with 50-50
ownership between parties. This still is with 50-50 ownership of title that means neither party
can overrule the other party to enforce their will. Such an act is unlawful, since it changes the
status-quo from when the alleged 50-50 partnership was established, and disrupts the equal rights
17. However, Judge Grogins does not follow Connecticut State law that dictates plaintiff
have no standing as landlord to evict me as his tenant in housing court in the first place. Yet,
Judge Grogins heard the case and ordered my eviction. Even though none of the criteria set forth
in the law were met to provide Judge Grogins with lawful jurisdiction, still he bootstrapped
himself to the case and gave plaintive whatever legal relief that they wanted from the court.
willfully agreement that plaintiff has a right to sell my property for his financial enrichment. In
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effect, the power of the court has been mutated into a devise in furtherance of the activities of
“The law says under Conn. Gen Statues § 47a-1 (I), a “tenant” is defined as: “the lessee,
sub lessee, or person entitled under a rental agreement to occupy a dwelling unit or
premises to the exclusion of others or as defined by law. Under C. G.S. § 47a-1 (d), a
“landlord” is defined as: “the owner, lessor or sub-lessor of a dwelling unit, the building
of which is a part of the premises.” It is a well settled in Conn. that a landlord/ tenant
relationship arises from an agreement, either oral or written, whereby one person, the
tenant, enters into possession of land possessed by another, the landlord (Rivera v.
Santiaga, 4 Conn. App. 608, 495 A.2d 1122 (1985)).”
18. Essentailly, the contract was a purchase agreement where the thousand dollar payment
was identified as going to taxes, not as a rent. Moreover plaintiff did not take possession of the
property under the contact and it said nothing about plaintiff’s occupancy would be for a
plaintiff’s rights to continue with quiet enjoyment of the property he occupied would only be
subject to a change of status quo if the opposition purchased the property, which they did not.
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Judge Grogins treated me unfairly when he would not allow my movant to be granted to vacate a
stipulation. Even though my lawyer communicate to him that I was tricked to sign the stipulation
Moreover, I was brought back to court earlier because the opposition claimed I was late on
paying my rent, even though this was based on them not depositing my check for rent. Yet when
my double dealing lawyer Heisler asked for the stipulation to be vacated the court would not
allow me to testify and refused its dissolution to enforce the order of eviction. Even though
Abrim Heisler brought before Judge Grogins attention that the real estate agent Elsie Peorin had
lied on the stand, plaintiff did not cash my check, and I did not understand the stipulation when I
signed it.
19. However, Judge Grogins allowed my opposition, Pecunies to testify to their fraudulent
claims. Such as with the business arrangement and fiduciary obligations, but blocked me from
presenting my position. Even though my testimony was essential for the Court to establish my
cause of action to justify vacating the stipulation, as to establish my state of mind when I signed
the stipulation, . . . as this was the issue to be decided upon to determine if my sought relief was
justified. Since the matter before the court was whether my signing of the stipulation was
18. Specifically, I had no interest to sign the stipulation, but my lawyer Donald Brown
pressured me to sign out of fear, by telling me that if you don’t sign it they’re going to suck out
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all the equity in your property and you will end up with nothing. Moreover, Brown said it
doesn’t matter if you sign it because I am going to bring an action in the higher court to dissolve
the LLCs. Then he told me that after you sign it, whatever the judge asks you just say yes, which
I did that the court said when the case was brought back this proved I understood the stipulation.
The irony is that both lawyers, pulled an identical scheme to achieve the same desired result.
me to sign the stipulation; while simultaneously neutralizing my concern I would be bound to the
terms. Since I was told that the simultaneous activity in the superior court meant I was out of the
court’s jurisdiction. Essential both Aldamis and Brown performed in the same manner of ill-
intent and lusting wants. Chaffing at the bit, to extract my wealth extremely abusive
18. Consequently, what occurred is that signed it even though I did not want to, and did not
sign under my own volition. Rather, I only agreed to sign the stipulation from being tricked,
manipulated and pressured as a result of Brown’s coercion and fraudulent statements. Clearly,
such interference is in accordance to Court Practice and Procedure, title 52, ch. 900, §52-212
II. Grounds For Relief, in 52-212 §58 Fraud and 52-212 §59 Duress, where statues say:
“In making its factual determination whether stipulated judgment should be opened,
pursuant to C.G.S.A. § 52-212a, trial court must inquire into whether decree itself
was obtained by fraud, duress, accident or mistake. (Jenks v. Jenks (1995) 657 A.2d
1107, 232 Conn. 750, on remand 663 A.2d 1123, 39 Conn. App. 139).
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“To conclude that stipulated judgment resulted from duress, finder of fact must determine
that misconduct of one party induced party seeking to avoid stipulated judgment to
manifest assent thereto, not as exercise of that party's free will, but because that party had
no reasonable alternative in light of circumstances as that party perceived them to be.
(Jenks v. Jenks (1995) 657 A.2d 1107, 232 Conn. 750, on remand 663 A.2d 1123, 39
Conn.App. 139).
19. Consequently, from my being denied the right to testify it ensured the status quo, of
rebuttal to contest the veracity of their fabrications to deceive the tier of facts. Thus, the judge’s
interference continued to ensure my position was not heard. This was after all the past lost
opportunities caused by my lawyers’ intentional neglect to expose the criminal conduct of the
adverse party. As where Brown told plaintiff he could not raise any issue besides the lease and
my rental payments in the eviction action, such as with fraud and other misconduct.
20. As a result up until now, I have never been able to contradict plaintiffs’ outrageous
falsehoods, which are the very antithesis of the truth; such as where they testify to being the
aggrieved party . . . that should have been identified as outrageous lies that could have readily
been refuted by evidence. Whereas, instead of my lawyers impeaching the lies of the opposition,
they would explain to me that it wasn’t the time nor place; and other ridiculous reasons to justify
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21. In effect, I was finally ready to have my day in court, after all my lawyers’ interfered
with my request that they bring forth for the court’s consideration my rebuttals. Unfortunately,
for a reason, yet to be explained, the court did more of the same. Insomuch as, I was about to
give testimonial evidence to clarify what were the true facts contradicting the oppositions’
perpetration of a hoax upon the court. This is where I could refer to unimpeachable evidence in
support that would contradict their brazen lies. (See attachment exh. which contains a detailed
compilation of the extensive false declarations of defendants on record and the material facts in
contradiction).
22. However, for a reason that is yet to be explained, Judge Grogins refused to allow me to
testify (exh. ). Rather, instead the judge ruled against me in an arbitrary and capricious manner,
as if I had no right for my argument to be heard as to why my relief of vacating the final
judgment stipulation was justified. Insomuch as if it appears the court felt it was a foregone
conclusion I was to be evicted from my own property. Thus, it didn’t matter if I was afforded an
opportunity to plead my position because it would only create dissidence with the justification of
of the court’s ill will against me and extending favoritism towards the plaintiffs. Consequently, I
am complaining that my guaranteed rights to justice through a fair trial have been usurped by the
Judge Grogins refusal to allow me to plead my cause and defense. Insomuch as I was blocked
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not only from presenting what my case was about, but I was denied the opportunity to bring to
bear the evidence that would substantiate the veracity to my claims of legal entitlement.
24. Rather, Judge Grogins’ misuse of his discretionary authority had effectively
constitution. Thus, the judge denying me of my right to be heard is blatant act of judicial
misconduct and is a violation of his official duty and the public’s trust. Essentially, by Judge
Grogins’ refusal to allow me to plead my position was a decision of ultra vires and a violation of
“A judge shall perform the duties of judicial office impartially and diligently, (B)
Adjudicative Responsibilities.(6) A judge shall accord to every person who has a legal
law.” (§ 100.3)
The landmark US Supreme Court decision in Fuentes v. Shevin 407 U.S. 67 (1972) on a State
depriving a citizen of his right to due process in violation of the 14th Amendment; stated:
“For more than a century, the central meaning of procedural due process has been clear:
"Parties whose rights are to be affected are entitled to be heard." Baldwin v. Hall, 1 Wall.
223, 233. See Windsor v. McVeigh, 93 U.S. 274; Hovey v. Elliott, 167 U.S. 409; Grannis
v. Ordean, 234 U.S. 385. It is equally fundamental that the right to . . . an opportunity to
be heard "must be granted at a meaningful time and in a meaningful manner." Armstrong
v. Manzo, 380 U.S. 545, 552.
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“Fairness can rarely be obtained by secret, one-sided determination of facts decisive of
rights. . . . [And] no better instrument has been devised for arriving at truth than to give a
person in jeopardy of serious loss notice of the case against him and opportunity to meet
it.” (Joint Ant-Fascist Refugee Committee v. McGrath, 341 U.S. 123, 170-172 . . .”This
Court has not . . . embraced the general proposition that a wrong may be done if it can be
undone." Stanley v. Illinois, 405 U.S. 645, 647.
25. In fact it can be said that throughout my extensive time before Judge Grogins as a litigant
the instances of his improper treatment towards me compounds its weight upon the other. This is
applicable for the “totality of circumstances” rule for weighing the weight of evidence that
26. Consequently, the review of the records will establish the “cause” for disqualification of
Judge Grogins. Since the records would indicate to a detached observer, clear demonstration of
being outrageously bias and unfair during the course of my housing proceeding. This is by his
consistently treating me with personal prejudice and malicious intent, while extending favoritism
towards my opposition; as the record clearly confirms this to be as a material fact. That is
indicated by Judge Grogins palpable gross dereliction of his judicial duty and mindboggling
mishandling of my case; CLEARLY NOT in accordance to the law of the land and standards of
judicial conduct.
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27. Essentially, the “cause,” for justification of Judge Grogins’ dismissal from any further
handling of my case is justified by his judicial acts indicating profound partiality to plaintiff.
Such as where he had routinely misapplied the law and where his fact finding determinations are
based on claims of fiduciary facts that he does not believe need to be substantiated by
documentation.
when they were not legally entitled to as a matter of law, facts, and circumstances. In effect, the
judicial conduct I am identifying herein as being improper was in a pervasive pattern. This is
with Judge Grogins denying me of my rights and serious offenses of violating the judicial rules.
In effect, Judge Grogins desecrated his mandatory compliance obligation to sections of Code of
29. Wherefore the validating the issues of my grievance would correspond to providing the
relief set forth by Canon 3E of the 1990 Code and Rule 2.11(A) of the 2007 Code; which states
that, “as a general matter, a judge must be disqualified from any proceeding in which the
judge's impartiality might reasonably be questioned." Canon 3(E)(1)(a) of the 1990 Code
then identifies four specific situations in which a judge's impartiality might reasonably be
requested and where disqualification is therefore required, but adds that the list is not meant to be
exclusive. Specific to this matter is the first listed situation that indicates disqualification is
justified when:
“the rules of the Chief Administrator governing judicial conduct require a judge to
disqualify himself or herself in a proceeding in which the judge has a personal bias or
prejudice concerning a party.” (McKinney's Stds & Adm Policies § 100.3(E)(l)(a)(i) [22
NYCRR § 100.3(E)(l)(a)(i)])….“it is clear that a judge should not be, or appear to be,
aligned with a party appearing before him or her; (Amtorg Trading Corp. v Camden
Fiber Mills (1950) 197 Misc 398, 94 NYS2d 651)”…”therefore, a judge may, and
frequently will, refrain from trying a case even though the claims advanced by the
objecting parties do not show that he or she is legally disqualified. (28 NY Jurs. 2d,
§ 403).”...”But a perception of such bias must be grounded in good faith and based on
identifiable factors (Chodos v Barresi (1991, 1st Dept) 174 AD2d 359, 570 NYS2d 566).
30. Accordingly, Judge Grogins exercised the degree of "Prejudice" against me that
unequivocally indicates he must be disqualified from any further handling of my case. Since the
amount of prejudice that he extended against me profoundly violated my guaranteed right to fair
treatment in a court of equity. This occurred during the entire course of his official function that
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amounts to a gross dereliction of his professional duty of responsibility. In addition to applying
31. Essentially, Judge Grogins performed his official duty of overseeing the disposition of
his performance as a State Judge by its very nature is diametrically opposed to the guidelines and
standards of Judicial Conduct. As of what is stated in the Code and Rules contained in the
32. It can be said the rulings of Judge Grogins is with overlooking discovering when a
party’s right to title is essential to determining his jurisdiction to decide on the relief sought.
Clearly, this is judicial conduct adverse to what the United States Supreme Court says:
“The aim of these liberal discovery rules is to "make a trial less a game of blind man's
bluff and more a fair contest with the basic issues and facts disclosed to the fullest
practicable extent". United States v. Proctor & Gamble Co., 356 U.S. 677, 683, 78 S.Ct.
983, 986, 2 L.Ed.2d 1077 (1958). . . ."Civil trials…no longer need be carried on in the
dark. (Hickman v. Taylor, 329 U.S. 495, 507, 67 S.Ct. 385, 392, 91 L.Ed. 451 (1947).”
33. In fact, it can be said that Judge Grogins’ performance of his judicial duty was where he
judicial conduct with omission of requiring of my opposition to prove their legal right beyond
going by their unsubstantiated claims to base his rulings upon. Consequentially, the court went
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by the weight of what my opposition said as opposed to them being required to prove what they
34. Whereby, the court not wanting to view the instruments of title and mortgages, even
though I brought to the court’s attention foul play was amidst. In addition, I brought to court a
large stack of copies of checks to show I was paying everything to maintain the property and to
refute their claim that I never paid my $1,000 monthly contribution. Yet, the court constructively
to be given relief were addressed by Judge Grogins and ruled in support thereof.
35. In effect through the proceedings Judge Groins demonstrated a degree of prejudice of ill-
will towards me was extreme and chronic. Since, he performed his official duty in an arbitrary
and capricious manner directed to my detriment. While simultaneously, Judge Grogins extended
extreme preferential treatment of support of my opposition for them to realize their legal goals to
consummate their unlawful activities. In addition, plaintiff was routinely given relief without
having any legitimate justification, which validates my grievance of outrageous favoritism. Such
that is diametrically opposed to Judge Grogins being the fair and impartial magistrate towards his
“It is a fundamental principle of our legal system that judges should perform their duties
impartially, free of personal interest or bias. "[L]itigants and the public have the right to a
court free from the shadow of unfitness. 'It is the right of every citizen to be tried by
judges as impartial as the lot of humanity will admit. (Mussman, 113 N.H. 54, 302 A.2d
822, 824 (1973) (citing N.H. Const, pt. 1, art. 35)”…("It is not enough that a judge be
26
honest and impartial; it is essential that he have the reputation in his community for being
a man of absolute integrity, whose judgment is not and cannot be influenced by anything
other than the proofs introduced before him in court.(Yengo, 72 N.J. 425, 371 A.2d41, 46
(1977).”
official duty was the furtherance of my opposition’s ability to obtain their illegitimate goals. In
effect, the court supported the opposition’s ability to consummate criminal objectives. Albeit
carried out through extrinsic fraud and other unlawful acts of conspiracy and outrageous
misconduct. Yet, by the court neglecting to explore due diligence to determine rights of parties, it
turned a blind eye, and afforded passive support thereof to fraudulent misrepresentations of
material facts.
37. As is stated in: Am Jur 2d, Judges § 84; Public Officers and Employees § 193:
“Removal or discipline of state judge for neglect of, or failure to perform, judicial
“Thus, the question is whether the conduct at issue establishes that the officer lacks the
requisite ability, knowledge, judgment, or diligence to consistently and capably discharge
the duties of the office he or she holds. In re Baber, 847 S.W.2d 800, 803 (Mo. 1993).
Judicial incompetence has been found by courts in other states based on consistent
failures to perform administrative duties, In re Hunter, 823 So.2d 325 (La. 2002), an
intentional disregard of the law, In re Lowery, 999 S.W.2d 639(Tex.Rev.Trib. 1998) or
rulings that "are so far contrary to established law as to demonstrate a lack of
understanding of the law, or an unwillingness to apply it," In re Baber, 847 S.W.2d 800,
803 (Mo. 1993).
27
38. “Willful neglect of duty is a crime at common law. State v. Barnett, 69 P.2d 77, 86 (Okla.
Crim. App. 1936). It ordinarily refers to nonfeasance, rather than misfeasance or
malfeasance, in office. Annot, Removal or Discipline of State Judge for Neglect Of, or
Failure to Perform, Judicial Duties, 87A.L.R.4th 727.. It also is found in a variety of
situations where judges fail to schedule hearings promptly, Re Seitz, 495 NW2d 559
(Mich. 1993)- ReMacDowell, 393 NYS2d748 (App.Div. 1977), unduly delay decisions in
cases” ReLong, 772 P2d
39. Thereby, to support my right to be granted the disqualification sought the law says:
28
confidence in the integrity and impartiality of the judiciary," K.E.M., 89 S.W.3d 814, 820
[Tex. App. 2002]).
41 Whereas, 22 NYCRR, part 100. states: “A judge shall uphold the integrity and
independence of the judiciary”… “Although judges should be independent, they must comply
with the law, including the provisions of this Code.”…” Each judge is personally obligated to
act in accordance with law and standards of judicial conduct.,” Sardino v. State Com'n
Judicial Conduct, 1983, 58 N.Y.2d 286, 461 N.Y.S.2d 229, 448 N.E.2d 83).
43 “As long as the demand clause covers all of the possible relief items that the proof may
justify, the ultimate choice of available relief lies with the sound judgment and discretion of
the trial court”; Ungewitter v. Toch, 31 A.D.2d 583, 294 N.Y.S.2d 1013 (3d Dep't 1968).
Clearly the aforementioned behavior of Judges Grogins violated Canon 2, which says:
29
2) “A judge shall respect and comply with the law and shall act at all times in a
manner that promotes public confidence in the integrity and impartiality of the judiciary.
3) ”The test for appearance of impropriety is whether the conduct would create in
reasonable minds a perception that the judge's ability to carry out judicial responsibilities
with integrity, impartiality and competence is impaired.”
4). “Integrity of decision-making body must be above reproach and even the appear-
ance of impropriety should be avoided. (DeCamp v. Good Samaritan Hospital (2 Dept.
1978) 66 A.D.2d 766, 410 N.Y.S.2d 671).”
“ Judge's conduct violated defendants' due process rights, was damaging to the institution
in general, and qualified as truly egregious, causing irretrievable loss of confidence in
judge's ability to carry out his responsibilities.”(In re Restaino, 10 N.Y.3d 577, 860
N.Y.S.2d 462, 890 N.E.2d 224 (2008).
41. Whereby, the facts on record give testament to the fact that these Judges adjudication of my
case was with profound prejudice shown against me. This prejudice was to such an extent so as
to indicate their judicial determinations were done with fixed prejudgments; as with considering
42. In fact, it can be said that Judge Grogins, deprived me of my right to receive the required
hearings and further egregiously deprived me of basic due process rights. This is where in an
outrageous manner I was treated unfairly; such as by Judge Grogins’ unjustified decisions that
30
indicated he precluded the fair weighing of the evidence. "what cannot be tolerated is an
unfavorable decision that is seen as not simply wrong, but unfair”; (Wise. Steel Corp., 48 B.R.
43 “Cause for judicial discipline is to be found not only in the guidelines contained in
the Canons of Judicial Ethics and the Rules Governing Judicial Conduct of the
Administrative Board of the Judicial Conference, but also in the general moral and ethical
standards expected of judicial officers by the community.”; Matter of Byrne, 1979, 420
N.Y.S.2d 70; See, also, (Matter of Owen, 1978, 413 N.Y.S.2d815).
44. In addition to conduct that violated Canon no. 3-A Judge Shall
2). “A judge shall perform judicial duties without bias or prejudice against
or in favor of any person. A judge in the performance of judicial duties shall
not, by words or conduct, manifest bias or prejudice…
3). A judge shall accord to every person who has a legal interest in a
proceeding, or that person's lawyer, the right to be heard according to law.
7) A judge shall dispose of all judicial matters promptly, efficiently and fairly.
"Since an appearance of bias may be just as damaging to public confidence...as the actual
presence of bias, acts or conduct giving the appearance of bias should generally be avoided
31
in the same way as acts or conduct that inexorably bespeak partiality"; (People v.
Bradshaw, 171 111. App. 3d 971, 525 N.E.2d 1098, 1101 (1988)”…(”The integrity of the
judicial system should be protected against any taint of suspicion (McFall, 383 Pa. Super.
356, 556 A.2d 1370, 1376 (1989); State v. Neeley, 748 P-2d 1091 [Utah 1988]).
44. Wherefore as in accordance to the history of the past judicial performance of Judge
Grogins, I have “just cause to believe" that I would again be denied my right to fair treatment.
Specifically, to bar Judge Grogins from any further handling of the action pending for my
eviction and any others thereafter. Since, his past prejudice extended towards me has been so
extreme there is reason to conclude that he will repeat what he did before. Specifically, this is
where he arbitrarily decided the issues of dispute against me and without any legitimate of legal
justification to favor plaintiff. This is with handling my case that was constantly and
performing his official duty in a capricious manner to my detriment and unjustly favored the
32
45. It is established that: “Courts have the discretion to disqualify lawyers for violating
ethical rules . (Wolt v. Sherwood, Inc., 828 F. Supp. 1562, 1569 (D. Utah 1993). Palumbo v.
Tele-Comms., 157 F.R.D. 129,131 (D.D.C. 1994). However, the rules violated by defendants
lawyers from the firm Martha Cullina,, Stevan Phillips and their current lawyer Kaelin goes
beyond deviating from adhering to the standards of ethical restraint. Insomuch as the rules of
professional misconduct that they violated corresponds to numerous penal law infractions. Not to
mention some are serious felonies such as bank fraud. Whereby, their criminal activity that
stands out on the surface is their making various false declarations to the court, corresponding to
“Courts have said that disqualification should be ordered only when the nature and
extent of the ethical violation1 are such that the court finds that such a remedy is
absolutely necessary.”2
46. Whereas, the record proves that disqualification is necessary because Kaeilin’s and
Phillips’s perjuries were intended not only to deprive plaintiff from receiving a fair decision, but
were dedicated to cheat him and further a criminal enterprise of defendant’s. Albeit this is an
enterprise based on fraud and extortion that they were not only complicit with put played active
roles to further achieving a common goals. These following declarations of material fact by
Kaelin can be refuted by verifiable material facts to validate the perjury.
Footnotes
1. See FDIC v. United States Fire Ins. Co., 50 F.3d 1304, 1313 (5th Cir. 1995); Palmer v.
Pioneer Hotel & Casino, 19 F. Supp. 2d 1157, 1162 (D. Nev. 1998); Venable v. Keever, 960 F.
Supp. 110, 113 (N.D. Tex. 1997); Smith v. Bd. Of Educ, 650 F. Supp. 44,46-47 (D. Utah 1986)
33
(noting that an alleged violation of the law governing the conduct of lawyers requires a careful
analysis of the nature of the violation and its impact upon the trial proceedings); Hoffmann, 533
N.W.2d at 836 ("It is not a time to 'paint with broad strokes,' but to carefully examine the
specific conduct of each particular case").
2. See, e.g., Owen v. Wangerin, 985 F.2d 312, 317 (7th Cir. 1993); City of Youngstown v.
Joenub, Inc., 2001 Ohio App. LEXIS 4438, at *21 ("the party asserting the conflict must prove
[that disqualification] is necessary"); Interactive Coupon Mktg. Group v. H.O.T.! Coupons, 1999
U.S. Dist. Lexis 9004 n.4 (N.D. 111. 1999); Nuri, 5 F. Supp. 2d at 1304. Cf. Norman Reitman
Co. v. IRB-Brasil Resseguros, 2001 U.S. Dist. LEXIS 16073, at *10 (S.D.N.Y. 2001) ("some
courts are hesitant to disqualify counsel until absolutely necessary"); State v. Vumback, 247
Conn. 929, 933, 719 A.2d 1172 (1998) (Berdon J., dissenting); In re Firestorm 1991, 129 Wash.
2d 130, 140, 916 P.2d 411 (1996); Jones v. Am. Empl'rs Ins. Co., 106 Ohio App. 3d.
636,641,666 N.E.2d 1152 (1995)
WHEREFORE, defendant prays for relief of the disqualification and recusal of Judge Grogins
and any other relief that the Court may deem is just and proper.
In State Ex Rel. Wesolich v Goeke (Hon.) 794 S.W. 2d 692, the judges established a criteria to
test if a cited judge is being bias in his (or her) handling a case of equity to a divorce proceeding
from the state court, where it says:
2) "No system of justice can function at its best or maintain broad public confidence if a
litigant can be compelled to submit his case in a court where the litigant sincerely
believes the judge is incompetent or prejudiced… [T]hat is the price to be paid for a
judicial system that seeks to free a litigant from a feeling of oppression. (State ex rel.
McNary v. Jones, 472 S.W.2d 637, 639-640 (Mo.App. 1971). Indeed, the right to
disqualify a judge is "one of the keystones of our legal administrative edifice. (State ex
rel. Campbell v. Kohn, 606 S.W. 2d 399 [Mo.App.1980]). It is vital to confidence in the
legal system that the courts are not only are fair, but also appear fair. Thus, whether the
disqualification of a judge hinges on a statute or on a rule, we adhere to the liberal
construction of that statute or rule in favor of the right to disqualify. A liberal
construction is necessary if we wish to promote public confidence in the judicial system.
(Kohn, 606 S.W.2d at 401; Ford Motor Co. v. Hess, 73! 148 [Mo.App.1987]).
35
3) “This case reflects the practice of the informal pretrial conference whereby, prior to
trial, the lawyers confer with the judge and set forth the evidence that might be adduced if
the case were tried as a contested matter. The attorneys then attempt to elicit the judge's
opinion regarding a possible settlement of the case. After the conference, it is customary
for the attorneys to discuss the judge's suggestions with their clients. It is imperative that
the judge not be unduly guarded in these exchanges with the lawyers. Otherwise, the
purposes of the pretrial conference are eviscerated. It is equally important, however, that
the judge avoid a firm expression of prejudgment on the case prior to hearing all of the
evidence. See State v. Lovelady, 691 S.W.2d 364, 367 (Mo.App.1985).
“Although we do not speak to the merits of the underlying action in the case before us, it
is likely that in any dissolution proceeding one or both of the litigants emerge feeling that
the final decree entered by the trial judge is erroneous. Frequently, each party leaves the
courtroom feeling that he or she lost. Even in the best of circumstances, a litigant's
confidence in the integrity of the judicial system is shaken. When a litigant's general
disillusionment with the judicial process combines with a litigant's specific perception
that the trial judge was biased or prejudiced in his or her case, the goal of maintaining
broad confidence in our court system is ill-served.
[4] “Subject to certain minimal procedural requirements, any party is entitled to one
change of judge as a matter of right. See Rule 51.06. Rule 51.05 governs peremptory
disqualification of a judge in a civil matter. Under that rule, the only prerequisite for
obtaining a change of judge is a timely application and service of a copy of the
application and notice of hearing on the other party. Hess, 738 S.W.2d at 148. No reason
need be alleged for the disqualification under Rule 51.05. Upon presentation of a timely
application for change of judge, the judge shall sustain the application. Rule 51.05(e).
36
[5] “Any party, his agent or attorney, may present to the court, or judge thereof in
vacation, a petition setting forth the cause of his application for disqualification of the
judge or for a change of venue, and when he obtained his information and knowledge of
the existence thereof; and he shall annex thereto an affidavit, made by himself, his agent
or attorney, to the truth of the petition, and that affiant has just cause to believe that he
cannot have a fair trial on account of the cause alleged.
[6] “In addition,..by alleging that judge's comments not merely gave rise to "just cause
to believe" that the trial would not be fair, but actually "demonstrated" bias and prej-
udice…Nothing is more fundamental than that the law regards substance rather than
form, so that where the applicant for a change of venue alleges and swears to those facts.”
[8] “If the facts in the application are to be controverted rather than accepted as true for
purposes of the motion, a hearing on the record must be held. The majority opinion in
Berry v. Berry, 654 S.W.2d 155, 158 (Mo.App.1983) suggested that the challenged judge
is the proper arbiter to hold an evidentiary hearing as to his own fitness to hear the case. 3
The concurring opinion stated, however, that the challenged judge "should call upon
another circuit judge to hear and rule the matter." Id. at 162. Obviously, if the challenged
judge is to testify, a different judge must hear the matter. No matter who decides the dis-
qualification issue, appellate review is limited to deciding whether the trial court's ruling
on the claim of prejudice amounted to an abuse of discretion. Id. at 159.
[9-13] “Prejudice is the attitude of personal enmity towards the party or in favor of the
adverse party to the other's detriment. It is not the mere possession of views regarding the
law or the conduct of a party or of his counsel. Prejudice is in the personal sense rather
than in the judicial sense. Prejudice refers to a mental attitude or a disposition of the
judge towards a party: either a hostile feeling or spirit of ill-will against one of the
litigants, or a favoritism towards one of them. Bias and prejudice to be disqualifying must
stem from an extrajudicial source and result in an opinion on the merits on some basis
other than what the judge learned from his participation in the case. United States v.
37
Grinnell Corp., 384 U.S. 563, 86 S.Ct. 1698, 1710, 16 L.Ed.2d 778 (1966). An im-
personal prejudice resulting from background experience is insufficient.4 United States v.
Hollis, 718 F.2d 277, 280 (8th Cir.1983), cert, den., 465 U.S. 1036, 104
In S.Ct. 1309, 79 L.Ed.2d 707 (1984), “A judge should withdraw from a case only when
the facts show prejudice to such an extent so as to evince a fixed prejudgment
and to preclude a fair weighing of the evidence. See Lovelady, 691 S.W.2d at 367-368
(judge's recusal compelled because of language and conduct which indicated a fixed
prejudgment of criminal defendant's tendered defense of mental disease or defect).”
[14] “In addition, Rule 2, Canon 3 C(l) of the Code of Judicial Conduct provides that
"[a] judge should disqualify himself in a proceeding in which his impartiality might
reasonably be questioned, including but not limited to instances" specified in the rule.
Thus, the canon is broader than the statute. First, the four subparagraphs of Rule 2, Canon
3 C(l), which set forth the circumstances for disqualification, are a clear directive to
disqualify. Berry, 654 S.W.2d at 163 (Dixon, J., concurring). When one of these causes to
recuse appears, a judge must do so. Id. Moreover, the phrase, "including but not limited,"
signifies that a judge's duty to disqualify is not confined to the factors listed in the
subparagraphs, but…
[15]. “As a result of the disqualification of a judge, it is inevitable that some delay occurs
in the adjudication of the case assigned to that judge. Under Rule 51.05, because of the
time constraints, the delay is minimal. Challenges for cause, under either the statutes or
canon, are rare is much broader. Second, Rule 2, Canon 3 C(l) commands the
disqualification of a judge if "his impartiality might reasonably be questioned." See
Grant v. State, 700 S.W.2d 170, 171 (Mo.App.1985). Thus, under the canon, the test is
not whether actual bias and prejudice exist, but whether a reasonable person would have
factual grounds to doubt the impartiality of the court. Berry, 654 S.W.2d at 164 (Dixon,
J., concurring). If, on the record, a reasonable person would find an appearance of
impropriety, the canon compels recusal.” Id.
38
“It would appear that the alleged facts set forth in wife's motion satisfied the test of
disqualification under the canon even more clearly than under the statutes.”
“Based upon judge's comments and rulings a reasonable person could have suspected
judge's partiality. A reasonable person could have perceived judge's statements not only
as tantamount to comments on disputed matters in the present action but also as
indicative of an alignment with one of the parties to the action. Clearly, a reasonable
person could have questioned whether the court's judgment would have been tainted by
the emotions and preconceptions that judge harbored as a result of his own dissolution
proceeding. Again, at the very least, wife was entitled to a hearing on the record on the
disqualification issue. We suggest that the procedures for recusal under the canon closely
follow those proposed by the statutes.5
[15-18] “In summary, when a litigant seeks to disqualify a judge for cause, the judge
should adhere to the following procedures. First, the challenged judge should determine if
the motion is procedurally adequate: Does it meet the statutorily prescribed requirements
of time, of notice, and of form? Next, the judge should determine whether the petition is
substantively adequate: Does the petition allege facts which warrant disqualification for
cause, because of the stringent procedural and substantive requirements for such an
application and because of the professional reticence of attorneys to file spurious
motions. Spurious notions can be dealt with under Rule 55.03 relating to sanctions.
“If, the motion is procedurally and substantively sufficient, the judge is faced with two
options: either to grant the motion; or, if the facts in the motion are to be controverted, to
hold a hearing on the record, whether requested or not, to determine the disqualification
issue. If the challenged judge is to testify, the hearing must be held before another judge.
These minimal procedures are necessary because, in the face of a proper application for a
change of judge, the judge lacks jurisdiction to proceed in the action in which his
impartiality is questioned.”
39
3). 28 U.S.C. Section 455(a) provides: "Any justice, judge, or magistrate of the United
States shall disqualify himself in any proceeding in which his impartiality might
reasonably be questioned."
4.). On the face of a petition, the following allegations were held to be insufficient to
show the prejudice necessary to compel recusal: court's rulings in the case. Hanger v.
U.S., 398 F.2d 91, 100 (8th Cir.1968), cert, den., 393 U.S. 1119, 89 S.Ct. 995, 22
L.Ed.2d 124 (1969).
5). The judges offensive conduct rises to a level that is legally sufficient to disqualify a
judge from the duty of hearing a case. In re J.P. Linahan, Inc., 138 F.2d 650, 651-652
(2nd Cir.1943). “A judge's idiosyncratic or uniquely personal prejudice deserves no
tolerance.
Joint trials are favored in cases that are asserted under Racketeer Influenced and Corrupt
Organizations Act (RICO), 18 USCS § 1961 et seq., because RICO counts are often
intended to allow joinder of separate incidents and defendants into single trial; even if all
defendants are not charged with all predicate acts, joinder is proper to prove existence of
enterprise and by establishing requisite relationship. United States v Megale (2005, DC
Conn) 363 F Supp 2d 359.
40