At issue is a summary judgment awarded the appellees (City of Dallas and three of its police officers) on the appellants’ claims under the Federal Wiretap Act, 18 U.S.C. §§ 2510-2521: (1) for interception by a third person (appellants claim conspiracy) of the appellants’ telephone conversations, when two of the appellants were police officers involved in an undercover operation; and (2) for the appellees’ disclosure and use of the contents of those intercepted conversations for a police internal affairs investigation, conducted after that information was conveyed to the police as part of the bases for charges against one of the appellants (an officer).
The appellees deny that they were involved in the interception of the communications, but they did disclose and use the information in their investigation. In the final analysis, the summary judgment hinges on whether the disclosure and use were permitted by the Act, it being undisputed that they were “appropriate to the proper performance of the [appellee officers’] official duties”, as provided for in § 2517(1) and (2). The linchpin to that question, assuming that the third person illegally intercepted the information, is whether the appellee officers’ “obtain[ing]” that information from that person was “by any means authorized by” the Act, as found in § 2517(1) and (2). The meaning of this phrase is far from clear; but the legislative history sanctioning such disclosure and use of illegally intercepted information is crystal clear.
The persons whose conversations were intercepted — Jan Forsyth and Richard Kirks (the officers), and Susan and Charles Bruton (the latter being an informant) — appeal from the judgment for the City, Dwight Walker, Willard Rollins, and Mack Vines. The City appeals being required to provide independent counsel for Vines. We AFFIRM.
I.
Dallas police officers Forsyth and Kirks, two of the four appellants, were assigned to the Intelligence Division. In December 1987, under the supervision of appellee Rollins of that division, they began an undercover investigation, with appellant Charles Bru-ton acting as an informant. His wife, appellant Susan Bruton, had been an informant previously for Forsyth. The investigation was conducted, in part, from the Brutons’ home in Dallas, including over their telephone.
While the undercover investigation was ongoing, appellant Forsyth was telephoned in March 1988 by John Barr, a Dallas attorney, 1 *1531 about an unrelated civil case involving appellant Charles Bruton (the informant) and Barr’s client, George Grogan. 2 The appellants alleged in their complaint that Grogan had hired Bruton to illegally dispose of toxic chemicals; that he had reported the illegal disposal, causing state environmental authorities to initiate an investigation of Grogan; that Barr sought Forsyth’s assistance in having Bruton recant his illegal disposal charges; and that Forsyth refused to become involved.
The appellants farther alleged in their complaint that, in June 1988, Barr and Gro-gan contacted the Dulworths, neighbors of both Grogan and the Brutons, 3 and asked for their assistance either in discrediting Charles Bruton, Forsyth, and Kirks, or in finding a way to force Bruton to recant his waste disposal charges; that the Dulworths held a grudge against Bruton because he had testified in a criminal trial against Gary Dul-worth; that the Dulworths arranged to route the Brutons’ telephone line into a previously dormant line at the Dulworths’ home, so that, on an extension in their home, the Dulworths could listen to the Brutons’ telephone conversations; and that Barr, Grogan, and the Dul-worths monitored and recorded the Brutons’ calls, in violation of the Wiretap Act.
On September 22, 1988, Grogan, Barr, and one of Barr’s law partners met with appellee Walker, who was in charge of the police Internal Affairs Division, and charged that Forsyth had engaged in criminal and administrative misconduct during the undercover investigation. 4 Walker was told that, over one of her telephones, Mrs. Dulworth had overheard conversations between Charles Bruton and Forsyth; that Mrs. Dulworth thought that the telephone had been disconnected, but that it had suddenly become operable; and that she had told Grogan that she believed that her telephone line had become crossed with the Brutons’. Barr told Walker that a wiretap was not involved, and Walker believed that the telephone had become a party line accidentally.
At the meeting, Barr made very serious charges against Forsyth and the Brutons. 5 At the conclusion of the meeting, Walker was not certain which charges arose out of the telephone eavesdropping and which came from other sources. At least some of the information was obtained by Barr, his law partner, and Grogan from sources other than the intercepted conversations. Walker assumed that information about a personal trip by Forsyth and Charles Bruton was overheard. See note 5, supra. The information about Charles Bruton participating in a drug deal was overheard also. See note 5.
*1532 Walker decided to conduct a preliminary internal affairs investigation of the charges. Such investigations are conducted to ensure the integrity of the police department. They are not considered formal complaints; and, unless a violation is identified, they are not reflected in the personnel record of the investigated employee.
On either September 22 or 23, Walker informed appellee Rollins (the supervisor of Forsyth and Kirks’ undercover investigation) about the meeting with Barr and the charges against Forsyth. In turn, on either September 22 or 23, Rollins informed Lieutenant Lybrand (one of Forsyth and Kirks’ supervisors) about the charges. Lybrand advised Rollins that the police department should investigate whether a wiretap was in place; Rollins responded that any investigation should be performed by the FBI.
With Lybrand present, Rollins met on September 23 with Kirks and Forsyth, informed Forsyth that a complaint had been filed against her, and instructed them not to discuss police business over the Brutons’ telephone or to tell anyone that he had given them that order. Kirks and Forsyth left the meeting believing that there was a “legal wiretap” on the Brutons’ line, although neither Rollins nor Lybrand told them anything about a wiretap. They interpreted Rollins’ instructions as permitting non-business discussions, and continued to have conversations on the line after September 23. 6 Rollins assumed that business was the extent of the relationship between the Brutons and Kirks and Forsyth, 7 and did not anticipate that the officers would continue to use the Brutons’ telephone.
Shortly after the September 22 meeting with Walker, Grogan contacted City Manager Richard Knight about the matter, because Mrs. Dulworth had advised Grogan that she had overheard another telephone conversation in which Charles Bruton had said that the telephone fine was “hot”. Grogan concluded that Walker had disclosed to Forsyth and Kirks the information received from Barr and him (Grogan). At Knight’s request, appellee Vines, the Chief of Police, met with Grogan. Vinеs was kept apprised of the progress of the internal affairs investigation.
On September 26, Walker gave his notes from the September 22 meeting to Detective Jennings of the Internal Affairs Division, and described that meeting and the charges against Forsyth. In conducting the preliminary investigation, the appellees used the information received on September 22 from Grogan, Barr, and his partner, including the information obtained from intercepted conversations and that obtained from other sources.
Jennings interviewed Barr on October 3, regarding the condition of the Dulworths’ telephone and the charges. 8 That same day, after interviewing Barr, Jennings contacted Southwestern Bell Telephone Company and requested a check on the Dulworths’ telephone line. In response, a Southwestern Bell employee went to the Dulworths’ home the next day, October 4. With Charles Bru-ton present, the employee located and disconnected a spliced wire connecting the Dul-worths’ and Brutons’ lines. Bruton told the employee that he knew that the Dulworths had been “wiretapping” or “listening in” on his telephone. 9 The employee removed the connectors and gave them to Charles Bruton, *1533 who turned them over to Kirks. Later, Jennings gave them to the FBI.
Upon completing the internal affairs report, Jennings forwarded it to the chain of command on November 2,1988. The investigation resulted in charges against Forsyth being classified as “unfounded”.
Forsyth and Kirks filed suit against Barr, Grogan, the Dulworths, the City, Vines, Rollins, and Walker in February 1989. They alleged that the Dulworths “entered into an illegal agreement with BARR and GROGAN to illegally intercept and/or record and/or illegally use information from telephone conversations” between Charles Bruton and Forsyth and Kirks; and that Vines, Rollins, and Walker, on behalf of the City, “knowingly accepted and used information illegally intercepted from [such] telephone conversations”. In August 1989, the action was consolidated with a similar case filed by Charles and Susan Bruton. 10
In April 1991, the appellees (City, Walker, Vines, and Rollins) moved for summary judgment; and the district court granted summary judgment that November, later denying a motion for reconsideration. The appellants settled their claims against Barr, Gro-gan, and the Dulworths; those claims were dismissed in November 1992.
II.
The standards for a summary judgment and our plenary review of it are well established and should be well known.
E.g., Le-Jeune v. Shell Oil Co.,
We employ the same criteria as the district court, viewing all facts, and the inferences to be drawn from them, in the light most favorable to the non-movants.
Id.
at 268. Summary judgment is proper “if the pleаdings, depositions, answers to interrógatories, and admissions on file, together with the affidavits, if any, show that there is no genuine issue as to any material fact and that the moving party is entitled to a judgment as a matter of law.” Fed.R.Civ.P. 56(c). “[T]he substantive law will identify which facts are material”.
Anderson v. Liberty Lobby, Inc.,
The movant has the initial burden of demonstrating the absence of a material fact issue.
St. Paul Ins. Co. v. AFIA Worldwide Ins. Co.,
Needless to say, unsubstantiated assertions are not competent summary judgment evidence.
Id.
at 324,
As the basis for civil recovery, the appellants claimed violations of Title III of the Omnibus Crime Control and Safe Streets Act of 1968, as amended by the Electronic Communications Privacy Act of 1986, 18 U.S.C. §§ 2510-2521 (the Act), alleging the intentional interceptiоn, disclosure, and use *1534 of wire communications. 11 (The Act frequently makes reference to “this chapter”; for purposes of this opinion, it is found in Chapter 119 of 18 U.S.C.) The district court granted summary judgment on the grounds that (1) there was no evidence that the appel-lees had intercepted the conversations; and (2) the appellees did not violate the Act either by disclosing to other officials, for purposes of the internal affairs investigation, information obtained from an illegal wiretap, § 2517(1), or by using that information in the investigation, § 2517(2). 12
“[The Act] has as its dual purpose (1) protecting the privacy of wire and oral communications, and (2) delineating on a uniform basis the circumstances and conditions under which the interception of wire and oral communications may be authorized.”
Gelbard v. United States,
[The Act] authorizes the interception of private wire and oral communications, but only when law enforcement officials, are investigating specified serious crimes and receive prior judicial approval, an approval that may not be given except upon compliance with stringent conditions- Unauthorized interceptions and the disclosure or use of information obtained through unauthorized interceptions are crimes, ... and the victim of such interception, disclosure, or use is entitled to recover civil damages.... [The Act] also bars the use as evidence before official bodies of the contents and fruits of illegal interceptions, ... and provides procedures for moving to suppress such evidence in various proceedings ....
Id.
at 46,
A.
Except as authorized, the Act prohibits the intentional interception of wire communications.
13
“A telephone conversation is a wire communication.”
Briggs v. American Air Filter Co., Inc.,
Appellants conсeded at oral argument that the appellees did not install any device or listen to any conversations; nor is there any evidence either that the appellees actually participated in causing the lines to be wired so that the Dulworths could intercept the conversations, or that, prior to the September 22 meeting between Barr, Grogan, and appellee Walker, the appellees had any knowledge that the Dulworths were able to do so. Nevertheless, the appellants assert that the appellees are liable for intercepting those conversations. As factual support for this claim, they rely in large part on the fact that the appellees, after learning about the Dulworths’ ability to intercept, allowed the situation to continue for almost two weeks before having a possible wiretap investigated. They also claim a conspiracy, maintaining that the appellees are therefore liable for the alleged illegal interception, even if they did not participate in it.
In support of their summary judgment motion, the appellees submitted considerable evidence that, after the September 22 meeting, no City employee, including appellees Walker, Rollins, or Vines, procured anyone to monitor the calls. This evidence included Joyce Dulworth’s deposition testimony that shе did not have an agreement with the City or any police officers to furnish them information that she intercepted; that Jennings did not ask her to notify him if she intercepted anything else; and that no one told her to listen to future calls. Likewise, in their affidavits, Walker and Rollins stated that they did not have an agreement with anyone that the contents of intercepted conversations would be reported to them or anyone else.
The appellees also submitted evidence pointing out the weaknesses in the evidence supporting the appellants’ interception claims, including Forsyth’s, Kirks’, and Susan Bruton’s deposition testimony, which reflects only conclusory, unsubstantiated claims that the appellees arranged to receive additional information after the September 22 meeting, 17 and Kirks’ and Forsyth’s interrog *1536 atory answers. When asked what actions by Vines, Rollins, and Walker violated the Act, they responded that each “illegally used information obtained from an illegal telephone interception”; illegal interception by the ap-pellees was not claimed. (Emphasis added.) Another interrogatory asked the appellants to state the factual basis for their assertion that Walker, Rollins, and Vines prearranged to receive illegally intercepted information. In essence, they responded that the appel-lees, after being made aware on September 22 of the interception, continued tо receive information from intercepted conversations, and failed to take steps to have the tap removed until October 4. 18
1.
With their response to the summary judgment motion, the appellants filed two volumes of evidentiary material, tabbed “A” through “W”, but referred specifically to only four items: Tab “A”, the 177-page internal affairs investigation report and attachments (without pointing to any specific portions of this document); and Tabs “B”, “C”, and “E” — the individual appellees’ interrogatory answers regarding the basis for their good faith defenses. These specific references were cited in opposition to the individual appellees’ qualified immunity claim.
When the movant has made a properly supported motion for summary judgment
*1537
by demonstrating an absence of evidence to support the non-movants’ case, as the appel-lees did, the non-movants must “go beyond the pleadings and by ... affidavits, or by the ‘depositions, answers to interrogatories, and admissions on file,’ designate
‘specific facts showing that there is a genuine issue for trial’." Celotex Corp. v. Catrett, 477
U.S. at 324,
Accordingly, the appellants had the burden of presenting evidence sufficient to demonstrate the existence of a material fact issue on whether the appellees intentionally intercepted their conversations.
See, e.g., Anderson v. Liberty Lobby, Inc., 477
U.S. at 257,
They did not do so. Instead, they offered only vague, conelusory assertions that their “evidentiary materials ... demonstrate circumstantial evidence of a conspiracy and/or joint action on the part of Vines, Walker, Rollins, and the City”; that “there is clear evidence that the aim of the conspiracy was to use information from illegally intercepted telephone conversations presented to these Defendants by Barr, Grogan and the Dulworths”; and that “there is abundant evidence, both circumstantial and direct, that would allow a jury to find that the City and its employee Defendants worked together to accomplish and cause an[ ] illegal wiretap to remain in place and thereafter use information obtained from an illegal wiretap in violation of ... [the Act]”. But, although they submitted two volumes of evidentiary material, they did not identify the specific portions of such evidence (if any) that supported their illegal interception claim. The appellants’ response and supporting evidence are insufficient to preclude summary judgment. “Rule 56 does not impose upon the district court a duty to sift through the record in search of evidence to support a party’s opposition to summary judgment”.
Skotak,
Nor is it our duty to do so on appeal. The appellants’ opening brief contains similar conelusory assertions that they presented direct and circumstantial evidence that the appellees conspired with Barr, Grogan, and the Dulworths. But, contrary to Fed.R.App.P. 28(a)(5), they furnished no record cites to such evidence. In their reply brief, for the first time, they attempt to designate specific portions of the record to support their opposition to summary judgment. This attempt comes far too late— obviously, it should have been done in the district court.
See, e.g., Topalian,
2.
But, even if we were to consider the evidentiary material designated for the first time in the reply brief, we would still affirm summary judgment on the interception claim. That evidence, viewed in the light most favorable to the appellants, establishes only that the appellees (1) knew that some of the information related to Walker at the September 22 meeting was obtained from telephone conversations overheard by Mrs. Dulworth, and (2) failed to investigate promptly a possible wiretap.
This notwithstanding, relying on
Adickes v. S.H. Kress & Co.,
In light of the appellants’ scant proof, a reasonable jury could not return a verdict for them (non-movants) on the claim that the appellees intentionally intercepted, endeavored to intercept, or procured anyone to intercept, the conversations; therefore, there was not a material fact issue on this claim. 19 Accordingly, summary judgment on the interception claim is proper.
B.
With certain exceptions, § 2511(l)(c) and (d) of the Act prohibit the intentional disclosure or use of information obtained through a wire intercept if the person doing so “knew or had reason to know that the interception itself was in violation of [the Act]”.
United States v. Wuliger,
Although there is a factual dispute as to when or whether the appellees knew, or should have known, that the communications might have been intercepted illegally, it is undisputed that, in connection with conducting the preliminary internal affairs investigation, and without investigating the legality of the interception, the appellees (1) disclosed the contents of intercepted communications to other law enforcement officers; and (2) used those contents — to the extent that the charges against Forsyth were based on the *1539 communications. 22 We assume an illegal interception. 23 Civil liability for such disclosure and use, in such an investigation, of information derived from an illegal interception, when the information was obtained from a third party interceptor without wrongdoing by the officers, appears to be an issue of first impression.
The appellees maintain that the summary judgment on the disclosure and use claim can be affirmed on two separate bases: (1) the interception was impliedly consented to by the appellants, each of whom used the Bru-tons’ telephone with awareness that it was not secure; and (2) the disclosure and use were authorized by the Act, § 2517(1) and (2). In addition, the individual appellees (Vines, Walker, and Rollins) claim qualified immunity, asserting that there was no clearly established law that an internal investigation of a police officer, based upon information presented to her superiоrs that was overheard by a third party, violates the Act. And, the City maintains that the Act does not permit municipal liability. ’ See 18 U.S.C. § 2520(a) (Supp.1993). Because we hold that the disclosure and use were permitted by § 2517(1) and (2), we need not reach the other issues. 24
1.
At the outset, we reject the appellants’ contention that illegally intercepted information cannot be used for any purpose whatsoever. In support, they rely on § 2515, which provides:
Whenever any wire or oral communication has been intercepted, no part of the contents of such communication and no evidence derived therefrom may be received in evidence in any trial, hearing, or other proceeding in or before any court, grand jury, department, officer, agency, regulatory body, legislative committee, or other authority of the United States, a State, or a political subdivision thereof if the disclosure of that information would be in violation of this chapter.
18 U.S.C. § 2515. 25
Section 2515 is “the statutory exclusionary rule”.
Fleming v. United States,
Section 2515 is not applicable. The intercepted information was used only in the sense that it was investigated because it was the basis for some of the charges against a police officer. The information was not offered or introduced into evidence at any trial, hearing, or proceeding, but was instead the subject of an investigation. The Dallas Police Department General Orders Code of Conduct (1988), submitted by the appellees in support of their summary judgment motion, provides for complaint investigations to be classified as either “formal, preliminary, or summary (informal)”. As noted, preliminary investigations, such as the one at issue, do “not reflect on the personnel record of any member involved unless a violation is identified, in which case a formal complaint will be authorized by the Internal Affairs Division Commander”. The investigation was conducted through telephone and personal interviews and written reports; there was no hearing or other proceeding in which evidence was introduced.
We agree with the Court of Appeals for the District of Columbia that “[t]he statutory context ... in which ‘proceeding’ appears in company with ‘trial’ and ‘hearing,’ suggests something similarly adversarial — not an
ex parte
administrative determination of the sort here at issue [a non-responsibility determination made by an Air Force contracting officer]”.
Cubic Corp. v. Cheney,
The Cubic court pointed out that the legality of the use of intercepted information could be challenged “when a court reviews an administrative decision on a record that allegedly contains unlawfully intercepted wiretap information”, by moving to suppress under § 2518. Id. at 1506. 27 Similarly, if the internal affairs investigation had identified a *1541 violation and a formal complaint had been filed, resulting in an adverse determination, Forsyth and Kirks would have been free to challenge in court the Internal Affairs Division’s reliance on information derived from the wiretap.
Moreover, even in the context of an adversarial proceeding to which § 2515 applies, that section does not preclude
all
use of illegally intercepted information. For example, in
United States v. Caron,
Finally, § 2515 is not self-executing, but is instead dependent upon a motion to suppress, pursuant to § 2518(10)(a) (any aggrieved person may move to suppress the contents of any unlawfully intercepted communication). That section “provides the remedy for the right created by [§] 2515.” S.Rep. No. 1097, 90th Cong., 2d Sess.,
reprinted in
1968 U.S.C.C.A.N. 2112, 2195;
see United States v. Cianfrani,
Based on the foregoing, § 2515 cannot bear the weight appellants assign it. A police department internal affairs division’s disclosure or use of information, furnished by a third party, to conduct a preliminary investigation in a non-adversarial context is not a violation of § 2515; it cannot support a civil action under the Act. Such an action must be grounded, instead, on violations of §§ 2511(l)(c) (disclosure) and- (d) (use).
29
As noted, in such an action, the plaintiff “must demonstrate 1) the information used or disclosed came from an intercepted communication, and 2) sufficient facts concerning the circumstances of the interception such that the defendant cоuld, with presumed knowledge of the law, determine that the interception was prohibited in light of [the Act]’”.
Williams v. Poulos,
2.
Subsections 2511(l)(c) and (d) are qualified by the introductory phrase, “Except as otherwise specifically provided in this chapter [the Act]”. 18 U.S.C. § 2511(1). In other words, although the disclosure or use of illegally intercepted communications by a person who knows or should know of the illegality of the interception is usually proscribed, it may be authorized under other provisions of the Act. And, as stated, the district court held that, in conducting the investigation, the appellees’ disclosure- (to other law enforcement officers) and use of the intercepted information were authorized by § 2517(1) and (2). Those subsections pro *1542 vide that a “law enforcement officer who, by any means authorized by this chapter [the Act], has obtained knowledge of the contents of’ intercepted communications, may disclose or use those contents as “appropriate to the proper performance of [his] official duties”. 30
These subsections provide “for limited non-public disclosure. Disclosure by one law enforcement officer to another, and use of a communication by a law enforcement officer in the performance of his duty, are authorized if such disclosure or use is appropriate to the ‘proper performance of the official duties of the officer’ ”.
United States v. Cianfrani,
Vines, Walker, and Rollins are “law enforcement officers” within the meaning of §§ 2517(1) and (2) and 2510(7). 31 And, their disclosure and use of information related to them by Barr and Grogan was “appropriate to the proper performance of [their] official duties”, as required by § 2517(1) and (2); appellants do not claim otherwise. 32 Rather, the dispute centers solely on whether the officers obtained the information by a “means authorized by” the Act, as also required by § 2517(1) and (2). The appellants contend that the district court created an “internal affairs” exception not sanctioned by the Act, asserting that the phrase “by any means authorized by this chapter” in § 2517(1) and (2) limits disclosure and use to only information obtained through a judicially authorized wiretap. 33
The Act (“this chapter”) includes only 12 sections. The phrase “by any means authorized by this chaptеr” in § 2517 is not covered in the definitions section, § 2510. Section 2511 does provide for lawful intercepts without a judicial order, such as when, under certain circumstances, the interceptor is also a party to the communication, or a party to the communication has given prior consent. See 18 U.S.C. § 2511(2)(c) and (d). But, the Act does not address expressly someone unlawfully intercepting a communication, and then providing that information to law enforcement officers.
Because the plain wording of the Act does not address the situation at hand, we must engage in statutory construction. In so doing, we are aware from our court’s past experiences, as reflected in part in note 25,
supra,
that construction of the Wiretap Act
*1543
is fraught with trip wires.
See, e.g., Briggs v. American Air Filter Co., Inc.,
As described, § 2517(1) and (2) concern “investigative or law enforcement officer[s] who, by any means authorized by this chapter, [have] obtained knowledge” of communications, and provide that they may disclose or use such contents as “appropriate to the proper performance of the official duties of the officer [either] making or receiving the disclosure”, or using the information. Section 2517, rеad as a whole, runs counter to appellants’ contention that the phrase “by any means authorized by this chapter [the Act]” limits disclosure and use under § 2517(1) and (2) to that information obtained either through a judicially-authorized wiretap or otherwise in accordance, with the Act.
The plain wording of § 2517(3) aids in convincing us that disclosure and use under § 2517(1) and (2) of unlawfully intercepted information that is otherwise conveyed lawfully to law enforcement officers is permitted; in sum, that information disclosed or used under those subsections need not be only that which is intercepted “in accordance with” the Act:
Any person who has received, by any means authorized by this chapter, any information concerning a wire, oral, or electronic communication, or evidence derived therefrom intercepted in accordance with the provisions of this chapter may disclose the contents of that communication or such derivative evidence while giving testimony under oath or affirmation in any proceeding held under the authority of the United States or of any State or political subdivision thereof.
18 U.S.C. § 2517(3) (emphasis added). This subsection, while using the phrase “by any means authorized by this chapter” also found in § 2517(1) and (2), uses a phrase not found there: “intercepted in accordance with the provisions of this chapter”. In other words, anyone who lawfully receives information that was also intercepted in compliance with the Act is allowed greater disclosure of that information than is permitted by the more nаrrow boundaries of § 2517(1) and (2); that person may disclose that information through testimony in designated proceedings. And, obviously, had Congress wanted to likewise limit § 2517(1) and (2) disclosure and use to only that information “intercepted in accordance with” the Act, it knew how to say so.
Furthermore, to read § 2517(3)' so that “by any means authorized by this chapter” equates with “in accordance with the provisions of this chapter”, as appellants would have to do, would render the latter phrase superfluous. Needless to say, a maxim of statutory construction precludes one part being read so as to render another superfluous.
E.g., United States v. Chen,
The use permitted under § 2517(1) and (2) for unlawfully intercepted information that was received lawfully by an officer also seems supported by § 2517(5), which states:
When an investigative or law enforcement officer, while engaged in intercepting wire, oral, or electronic communications in the manner authorized herein, intercepts wire, oral, or electronic communications relating to offenses other than those specified in the order of authorization or approval, the contents thereof, and evidence derived therefrom, may be disclosed or used as prоvided in subsections (1) and (2) of this section. Such contents and any evidence derived therefrom may be used under subsection (3) of this section when authorized or approved by a judge of com7 petent jurisdiction where such judge finds *1544 on subsequent application that the contents were otherwise intercepted in accordance with the provisions of this chapter. Such application shall be made as soon as practicable.
18 U.S.C. § 2517(5) (emphasis added). Pursuant to this section, information obtained by an officer conducting an authorized wiretap, even though it is outside the boundaries specified in the authorization order, may be used for the purposes of § 2517(1) and (2), such as for an internal investigation, but may not be used for a more extensive or public purpose (testimony in the type proceeding specified in § 2517(3)), unless first authorized by a judge. This, again, demonstrates the distinction between public disclosure through testimony and disclosure or use for “the proper performance of the official duties” of a law enforcement officer, as in the investigation in this case. Much greater latitude is allowed for the source of information for the latter.
It can be argued that the exception permitted under § 2517(5) (for § 2517(1) and (2) disclosure and use of information outside that permitted by a wiretap order) is the only exception to the Act’s proscribing the disclosure or use of information not obtained in accordance with the Act — that it is the exception envisioned by the phrase “аny means authorized by this chapter” found in § 2517(1) and (2). But, such a narrow reading of the phrase, as urged by the appellants, would permit using only the contents of interceptions made in accordance with the Act, such as through a judicially-approved wiretap or by consent under certain circumstances. This would mean that officers receiving information about police misconduct, obtained through an illegal interception by a third party, could not use that information to investigate, and possibly prevent, the misconduct, no matter how serious, imminent, or life threatening. This flies in the face of common sense, and would require us to read § 2517(1) and (2) in a manner, that compels an absurd result.
The well established maxim against a construction that would clothe Congress with intending such a result does not permit such a reading in this instance.
See, e.g., Public Citizen v. United States Dep’t of Justice,
Because of the lack of clarity in § 2517, we look to the Act’s legislative history.
E.g., Toibb v. Radloff,
Neither paragraphs (1) nor (2) [of § 2517] are limited to evidence intercepted in accordance with the provisions of the proposed chapter, since in certain limited situations disclosure and use of illegally intercepted Communications would be appropriate to the proper performance of the officers’ duties. For example, such use and disclosure would be necessary in the investigation and prosecution of an illegal wiretapper himself.
S.Rep. No. 1097, 90th Cong., 2d Sess.,
reprinted in
1968 U.S.C.C.A.N. 2112, 2188 (emphasis added);
see also United States v. Liddy,
We hold that, under the unique facts and circumstances of this case — including that the appellees did not participate in or procure the interception, and obtained knowledge of the intercepted communications from third parties who made serious charges that an officer was engaged in administrative and criminal misconduct — the appellees’ disclosure and use of the information from the intercepted communications, in conducting a preliminary internal affairs investigation, was authorized by § 2517(1) and (2). 37 We caution that this holding is narrow, limited to the facts of this case. It should not be read as undermining the salutary purpose of the Act, or as providing a means of sidestepping it.
*1546 C.
The City’s appeal had its genesis when, approximately two years after this action was filed, Vines, who had been terminated as Chief of Police, moved to disqualify the City Attorney as his counsel, and requested the appointment of independent counsel, to be paid by the City. He claimed a conflict of interest because the City Attorney was involved in presenting charges which led to Vines’ prosecution for misdemeanor perjury in an unrelated matter.
At a hearing on the motion, Vines stated that he had presented a claim for damages to the City, related to his discharge, and intended to file a civil action if the matter was not resolved. The district court granted the motion, finding that the past relationship of Vines and the City Attorney’s office, as it related to both the perjury charge and Vines’ damages claim, constituted a sufficient basis for finding a conflict.
The City moved for reconsideration, pointing out that, subsequent to filing his disqualification motion, Vines was acquitted of perjury, and asserting that the order to pay attorney’s fees exceeded the scope of the court’s authority. The court denied the reconsideration motion, stating:
The conflict arises from the City Attorney’s attempt to represent Vines in this action while simultaneously taking an adverse position to that of Vines in a criminal proceeding, and in Vines’ claim for damages against the City. In such a situation, an attorney’s loyalty to the client is called into question.
We review the rulings only for abuse of discretion.
38
See In re Dresser Industries, Inc.,
The City claims first that Vines failed to establish a conflict of interest. At the conclusion of the hearing, the court stated that the relationships between Vines and the City “certainly offer the greatest potential for conflict of interest that can be imagined”, and held that disqualification was necessary “in order to ensure that Vines receives effective and impartial representation”. The court was well within its discretion.
The City asserts next that the district court should not have reached the issue of attorney’s fees. We disagree. As the district court noted in its order denying the reconsideration motion, it did not order the City “to pay a certain fee to any particular attorney, but has only ordered that the City will be responsible for the necessary and reasonable fee”. This was not an abuse of discretion.
Finally, the City contends, in the alternative, that the disqualification should apply only to the extent that Vines is sued in his individual capacity, asserting that a suit against Vines in his official capacity is a suit against the City, and that to prohibit the City Attorney from representing Vines in that capacity effectively denies the City its right to represent itself. Responding to a similar contention in its order denying reconsideration, the district court stated that “[t]he obligation to pay the fees applies to the representation of Vines in both his individual and official capacities”. For obvious reasons, because the court found a conflict of interest, we do not consider this ancillary ruling an abuse of discretion. 39
*1547 III.
For the foregoing reasons, the judgment and the ruling on counsel for Vines are
Affirmed.
Notes
. Barr, who described himself as a "cop groupie", occasionally accompanied Dallas police of-fleers in the execution of warrants.
. Grogan, a businessman and former member of the Dallas Planning and Zoning Commission, owned property next to the Brutons’ home.
. Homer and Joyce Dulworth, and their son, Gary, resided across the street from the Brutons.
. The appellants alleged that Barr used the illegally intercepted conversations to punish Forsyth and Kirks for not cooperating with him regarding Charles Bruton and Grogan's toxic waste disposal.
. On September 22, Barr submitted an affidavit summarizing his charges against Forsyth. Also at the meeting that same day, Barr told Walker that he and Grogan believed that Forsyth was making arrangements for the dismissal of environmental fines of approximately $30,000 against Charles Bruton; that Bruton and Forsyth were involved in a personal relationship and possibly had taken a trip to Tennessee together; that Forsyth possibly had covered up, or arranged for charges to be dropped regarding, a murder-for-hire scheme in which Charles and Susan Bruton tried to kill her ex-husband; that Forsyth had misrepresented to a state judge the nature of Charles Bruton's work as an informant for her; that Charles Bruton was to receive "half the dope” in a narcotics deal; and that Forsyth knew that Charles Bruton had convinced a Darrell Smallwood to burglarize Grogan's house, but had failed to see that charges were filed against either of them. As to the burglary, Barr told Walker that he learned about it from visiting Smallwood in jail.
Walker was also informed that Grogan had understood from prior conversations with Mrs. Dulworth that the City had made a deal with Charles Bruton to allow him to illegally mine Grogan’s property; and that Mrs. Dulworth had told Grogan that she overheard on her telephone: that some environmental matters needed handling, that Charles Bruton was calling for "Jan” (Forsyth) and that Jan was the only one who could control Bruton, that there were dead bodies and dead dogs on the property (unclear whether Grogan’s or Brutons’), and that Charles Bruton was being protected by Dallas police officers.
. Kirks' deposition testimony is inconsistent on whether he and Forsyth followed Rollins' instructions not to discuss police business on the line. Although Kirks initially testified that they had complied with the order, he later testified that not all of the calls made after Rollins gave the order were personal.
. In support of their motion for summary judgment, the appellees submitted a copy of the procedures for dealing with informants, including the following: "The relationship between an officer and an informant should always be strictly professional”.
. Jennings did not interview Barr earlier because of the illness and death of Barr's father.
. Charles Bruton stated by affidavit that a Bobby Woods told him "in late September" that his (Bruton's) telephone was tapped by the Dul-worths or that they were listening to conversations. Forsyth stated by affidavit that, on September 25, 1988, Woods told Bruton about the eavesdropping.
. Southwestern Bell was named as a defendant in the Brutons’ original complaint, and in For-syth and Kirks’ first amended complaint. On the appellants’ motion, Southwestern Bell was dismissed.
. Section 2520, which authorizes civil recovery for violations of the Act, states in pertinent part:
[A]ny person whose wire, oral, or electronic communication is intercepted, disclosed, or intentionally used in violation of this chapter may in a civil action recover from the person or entity which engaged in that violation such relief as may be appropriate.
18 U.S.C. § 2520(a).
. The district court did not base its ruling on the individual appellees' qualified immunity claim. Of course; even if we were to conclude that the reasons given by the district court do not support summary judgment, we may affirm it on any other grounds supported by the record.
E.g., Chevron U.S.A., Inc. v. Traillour Oil Co.,
. The Act provides, in relevant part:
(1) Except as otherwise specifically provided in this chapterf] any person who—
(a) intentionally intercepts, endeavors to intercept, or procures any other person to intercept or endeavor to intercept, any wire, oral, or electronic communication ... shall be subject to suit....
18 U.S.C. § 2511(l)(a). As noted, "this chapter”, as used in the foregoing section, refers to the Act.
. "Wire communications, unlike oral communications, are protected against interception by electronic, mechanical, and other devices regardless of the speaker's expectation of privacy”.
Briggs,
.
In United States v. Savage,
We find no evidence that Congress in passing [the Act] ... intended such conduct to be unlawful.... This is not the case of an illegal wiretap by the Government or the case of a malicious violation of one person's privacy by another through intentional eavesdropping. It is the simple case of a motel switchboard operator who inadvertently heard a suspicious conversation in the course of her employment and in good faith told a policeman what she had heard. The telephone conversation was therefore admissible as evidence [in the criminal prosecution].
Id. at 732.
Similarly, in
United States v. Campagnuolo,
. On summary judgment, the non-movant “can raise a question of fact regarding ... actual interception of his conversations without proving the contents of specific conversations allegedly intercepted”.
Walker v. Darby,
. Forsyth testified:
Q: Do you have any knowledge, either firsthand or hearsay knowledge, that the police department made some kind of arrangement with anyone to continue to receive information from Mrs. Dul[]worth or any of the Dul[]worths after September 22nd, 1988?
A: By leaving the telephone tap in place, which allowed the Dul[ jworths to continue to monitor conversations and to continue to get back to Grogan and continue to get back to John Bair, who returned to the police department with more information off the telephone, yes.
Q: I'm asking you if you have any evidence or any information about an affirmative agreement between the Dallas Police Department and anyone else that they would give further information to the Dallas Police Department?
*1536 A: Other than the fact that John Barr told the Internal Affairs Division that he didn't want the DulQworths bothered in so many words; that he had more information that he had, based on hearsay; and he was planning to come back with more information. The telephone remained unsecure. They did not call Southwestern Bell. They allowed the telephone to remain in place. All those indicate to me that they had an agreement.
Kirks testified:
A. I think it is a matter of record of what Jaggtli [an assistant City Attorney] told them. He sаys it is a wiretap. Get away from it.
And if he is telling them it is a wiretap and to get away from it and they don't get away from it, they do continue to monitor, then in all likelihood they are going to come back and try to cover their butts and lie, and they did lie, and they are still lying today. That’s speculation, but I am sure going to court with it.
Q. So it is your contention that Louis Jagg[]i told them not to monitor the phones and they did it anyway?
A. Absolutely.
They are monitoring it. They Eire also intercepting it, even though they are procuring another person to do it.
Q. Whom did they procure to do it for them?
A. I don't know. John Barr and George Grogan are the one[s] that brought it up to the I.A.D. [Internal Affairs Division] complaint.
Q. So you think they had an arrangement with John Barr and George Grogan that they were supposed to keep them posted or go out there and gather more information?
A. Certainly. Why else would they leave it in place? ....
(Claiming the attorney-client privilege, the City consistently objected to the appellants’ attempts to testify about advice allegedly given to Walker and Rollins by attorneys with the City Attorney's Office.)
Susan Bruton testified:
Q. Specifically, what is it in this case that the City of Dallas did which acted in furtherance of the unlawful telephone activities?
A. They permitted the wiretap to continue.
. Forsyth and Kirks responded to the interrogatory as follows:
On September 22, 1988[,] the police officials were made aware of the telephone conversations that were illegally intercepted, used and disclosed. Because the illegally intercepted telephone cоnversations involved two of their employees, they attempted to continue to monitor these conversations by seeking advice from [the] City Attorney's Office. When they realized the illegality of the situation they not only failed to check for a device which enabled these conversations to be illegally intercepted by a known target who was in the Targeted Offender Program in the Intelligence Division, but they also continued to receive information provided by the Targeted Offender’s family as they continued to listen in to more illegally intercepted telephone conversations. When Detective Jennings sent Southwestern Bell to the location to check for a device enabling these illegally intercepted telephone conversations on October 4, 1988[,] a device was in fact removed. When the police officials learned that Southwestern Bell had in fact removed a device they became very upset that this was done without their approval. The aforementioned circumstances could hardly be characterized as "inadvertent".
Susan and Charles Bruton responded to this same interrogatory as follows:
Do not understand question. The information is in Dallas Police Department I.A.D. file and depositions of Lt. Jennings and John JEimes indicated that these defendants had knowledge Emd did nothing to correct the situation.
. We note that some of thаt evidence is challenged by the appellees as inadmissible hearsay or, again, as being based on matters within the scope of the attorney-client privilege. We need not reach those contentions; even considering the challenged evidence, a material fact issue is lacking.
. The Act provides in pertinent part:
(1) Except as otherwise specifically provided in this chapter any person who—
(c) intentionally discloses, or endeavors to disclose, to any other person the contents of any wire, oral, or electronic communication, knowing or having reason to know that the information was obtained through the interception of a wire, oral, or electronic communication in violation of this subsection; or
(d) intentionally uses, or endeavors to use, the contents of any wire, oral, or electronic communication, knowing or having reason to know that the information was obtained through the interception of a wire, oral, or electronic communication in violation of this subsection;
shall be punished ... or shall be subject to suit....
18 U.S.C. § 2511 (l)(c) and (d).
. Liability for intercepting or procuring another to intercept communications under subsections (a) and (b) of § 2511(1) requires that a plaintiff prove intentional conduct. However, liability under subsections (c) and (d) of § 2511(1) for
use and disclosure of information obtained from the contents of intercepted communications requires more. The use or disclosure must still be intentional, but in addition, a plaintiff must show that a defendant "know[s] or ha[s] reason to know that the information was obtained through the interception of a wire, oral, or electronic communication in violation of this subsection.” This language, found in each of subsections (c) and (d), compels the conclusion that, to establish liability under one of those sections, a plaintiff must demonstrate a greater degree of knowledge on the part of a defendant. The defendant must know 1) the information used or disclosed came from an intercepted communication, and 2) sufficient facts concerning the circumstances of the interception such that the defendant could, with presumed knowledge of the law, determine that the interception was prohibited in light of [the Act].
Although a defendant may be presumed to know the law, ... to establish use and disclosure liability under [the Act], a defendant must be shown to have been aware of the factual circumstances that would violate the statute. For example, it is not enough to show that a defendant merely knew he was using or disclosing information from an intercepted communication. It must also be shown that the defendant knew, inter alia, that neither party to the intercepted conversation had consented to the interception.
Thompson v. Dulaney,
. It is not clear from the record whether some, or all, of the contents were disclosed and used. Because we view the evidence in the light most favorable to the non-movants, we assume the latter.
. Because of possible defenses, such as consent, see § 2511(2)(c), (d), we do not reach whether the interception by either the Dulworths, or Barr, or Grogan was illegal. As noted, the appellants settled with each.
. As discussed
infra,
whether the Act proscribes the disclosure and use is a difficult issue. This militates in favor of reaching the qualified immunity claim instead. But, even if the individual defendants/appellees were sheltered by such immunity, the liability
vel non
of the City would remain; and that issue calls into play a statutory construction question that is perhaps as difficult, if not more so, than that for disclosure and use.
See, e.g.,
18 U.S.C. §§ 2510(6), 2511(1), 2520(a) (amended in 1986 to include any "entity" as a party from which civil recovery is permitted);
Bodunde v. Parizek,
.Our court has described § 2515 as "poorly drafted":
Read literally, the provision is circular; it proscribes the reception into evidence (and thus the disclosure) of information the disclosure of which “would be in violation of this chapter.” “Disclosure” apparently refers to disclosure at trial rathei than disclosure among various departments of the government at some earlier point; otherwise, the statute would presumably refer to information the disclosure of which "has been” in violation of the chapter. At any rate, the provision should not be read in an overly literal fashion. The section’s pri-maty purposе is apparently to exclude evidence derived from illegal, rather than legal, wiretaps. The section’s main thrust is therefore to exclude evidence the seizure of which was in violation of the chapter, not evidence the disclosure of which was or would be in violation of the chapter.
Fleming v. United States,
. The Cubic court stated:
As a practical matter, ... an at parte administrative determination is not a realistic forum in which to raise a Title III claim. The party to which the wiretap information applies would have to be given an opportunity to make something like a 'motion to suppress’ the information before the agency could consider it, a hearing would have to be convened, and a ... judge brought in to preside. Meanwhile, the agency could not make a decision, or at least not a decision adverse to the subject of the wiretap information. All this seems like a most improbable way of doing business, and until the agency actually makes an adverse decision based upon the wiretap information, an unnecessary complication, too. Without clearer congressional direction to that effect, we are reluctant to conclude that [the Act] was meant to be so disruptive a force in the administrative process.
. The Cubic court noted:
Our decision does not preclude the Air Force from considering untested wiretap information in making a non-responsibility determination, without thereby creating a right in anyone to challenge the provenance of that information. If the agency’s decision is challenged in a subsequent judicial proceeding, hоwever, an aggrieved person has the same right to move to suppress the information as that person would have if the agency were formally moving the admission of the information in evidence before the court. In other words, if an agency relies upon wiretap evidence in rendering a reviewable decision, it must be prepared to defend in court the legality, under [the Act], of the wiretap that produced it.
Id. at 1506.
. The impeachment exception has not been extended to civil cases.
Williams v. Poulos,
. Of course, liability may lie under § 2511(l)(a) against a person who intercepted, or procured another to intercept, the communications. As noted, the appellants settled with the claimed interceptors — -the Dulworths, Barr and Grogan.
. The Act states in relevant part:
(1) Any investigative or law enforcement officer who, by any means authorized by this chapter, has obtained knowledge of the contents of any wire, oral, or electronic communication, or evidence derived therefrom, may disclose such contents to another investigative or law enforcement officer to the extent that suсh disclosure is appropriate to the proper performance of the official duties of the officer making or receiving the disclosure.
(2) Any investigative or law enforcement officer who, by any means authorized by this chapter, has obtained knowledge of the contents of any wire, oral, or electronic communication or evidence derived therefrom may use such contents to the extent such use is appropriate to the proper performance of his official duties.
18 U.S.C. § 2517(1) and (2).
. The Act defines "investigative or law enforcement officer” as:
any officer of the United States or of a State or political subdivision thereof, who is empowered by law to conduct investigations of or to make arrests for offenses enumerated in this chapter, and any attorney authorized by law to prosecute or participate in the prosecution of such offenses.
18 U.S.C. § 2510(7). It is undisputed that Vines, Walker, and Rollins fall within this definition.
. The Dallas Police Department General Orders for 1988 require the Internal Affairs Division to "[e]nsure the complete and impartial investigation of all complaints against any employee of the Department”. Those Orders provide further that "[a]n investigation will be conducted into all allegations of criminal misconduct regardless of the source ". (Emphasis added.)
. Of course, the Act provides that information intercepted in specified other ways does nоt run afoul of its general proscription against interceptions. See, e.g., § 2511(2)(c) and (d).
. In dictum, the Second Circuit has described § 2517(1) and (2) in a manner consistent with our reading and the legislative history, focusing on whether the officers gained knowledge of the contents of the intercepted communications lawfully, rather than on whether the interception was lawful:
Subsection 1 [of § 2517] permits "any investigative or law enforcement officer” who has lawfully obtained knowledge of the contents of any intercepted communication to "disclose such contents to another investigative or law enforcement officer to the extent that such disclosure is appropriate” in the performance of their official duties. Subsection 2 authorizes investigative or law enforcement personnel who have lawfully obtained knowledge of any intercepted communications “to use such contents to the extent such use is appropriate to the proper performance of [their] official duties.”
Application of Newsday, Inc.,
[A]n invasion of privacy is not over when an interception occurs, but is compounded by disclosure in court or elsewhere. The impact of this second invasion is not lessened by the circumstance that the disclosing party (here, the government) is merely the innocent recipient of a communication illegally intercepted by the guilty interceptor.
Id.
at 481.
Vest
is inapposite; it did not consider or address disclosure or use authorized by § 2517(1) or (2). Instead, as noted, it concerned § 2515 (the statutory exclusionary rule), and involved a criminal prosecution for perjuiy, in which the government sought to introduce in evidence a conversation recorded by a third party without the defendant's knowledge. The court "decline[d] to read into section 2515 an exception permitting the introduction in evidence of an illegally-intercepted communication by an innocent recipient thereof”.
. But see James G. Carr, The Law of Electronic Surveillance, § 7.4(b), at 7-47 (1993) ("use of illegally obtained information should be limited to [investigation and prosecution of persons who violate the Act] and not expanded into other investigatory activities or purposes, despite the suggestion in Senate Report 1097 to the contrary”).
.
Cf. Rodgers v. Wood,
. Our holding precludes reaching the appellants’ state law claims, which are premised on the same facts and circumstances as their federal claims. They requested reinstatement of the state claims only if the summary judgment on the federal claims was reversed. '
. In July 1991, our court denied the City's petition for a writ of mandamus concerning the disqualification order. Although the parties have not addressed whether that order is final, we note that a judgment determining liability for attorney’s fees, but not awarding a specified amount of fees, is interlocutory in nature.
See Echols
v.
Parker,
. We note that, on appeal, and contrary to the concerns expressed by the City, Vines adopted the City's brief on the merits. He briefed only the separate counsel issue.
