SCOTT ET AL. v. UNITED STATES
No. 76-6767
Supreme Court of the United States
May 15, 1978
436 U.S. 128
John A. Shorter argued the cause for petitioners. With him on the briefs were Samuel Dash and Michael E. Geltner.
Richard A. Allen argued the cause for the United States. With him on the brief were Solicitor General McCree, Assistant Attorney General Civiletti, and Deputy Solicitor General Frey.*
MR. JUSTICE REHNQUIST delivered the opinion of the Court.
In 1968, Congress enacted Title III of the Omnibus Crime Control and Safe Streets Act of 1968, which deals with wiretapping and other forms of electronic surveillance.
Pursuant to judicial authorization which required such minimization, Government agents intercepted all the phone conversations over a particular phone for a period of one
I
In January 1970, Government officials applied, pursuant to Title III, for authorization to wiretap a telephone registered to Geneva Jenkins.2 The supporting affidavits alleged that there was probable cause to believe nine individuals, all named, were participating in a conspiracy to import and distribute narcotics in the Washington, D. C., area and that Geneva Jenkins’ telephone had been used in furtherance of the conspiracy, particularly by petitioner Thurmon, who was then living with Jenkins. The District Court granted the application on January 24, 1970, authorizing agents to “[i]ntercept the wire communications of Alphonso H. Lee, Bernis Lee Thurmon, and other persons as may make use of the facilities hereinbefore described.” App. 80. The order also required the agents to conduct the wiretap in “such a way as to mini-
Before trial the defendants, including petitioners Scott and Thurmon, moved to suppress all the intercepted conversations on a variety of grounds. After comprehensive discovery and an extensive series of hearings, the District Court held that the agents had failed to comply with the minimization requirement contained in the wiretap order and ordered suppression of the intercepted conversations and all derivative evidence. The court relied in large part on the fact that virtually all the conversations were intercepted while only 40% of them were shown to be narcotics related. This, the court reasoned, “strongly indicate[d] the indiscriminate use of wire surveillance that was proscribed by Katz4 and Berger.”5 331 F. Supp. 233, 247 (DC 1971).
The Court of Appeals for the District of Columbia Circuit reversed and remanded, stating that the District Court should not have based its determination upon a general comparison of the number of narcotics-related calls with the total number of calls intercepted, but rather should have engaged in a particularized assessment of the reasonableness of the agents’ attempts to minimize in light of the purpose of the wiretap and the information available to the agents at the time of
Upon remand, the District Court again ordered suppression, this time relying largely on the fact that the agents were aware of the minimization requirement, “but made no attempt to comply therewith.” App. 37, 38.7 “The admitted knowing
The Court of Appeals again reversed, holding that the District Court had yet to apply the correct standard. 170 U. S. App. D. C. 158, 516 F. 2d 751 (1975). The court recognized that the “presence or absence of a good faith attempt to minimize on the part of the agents is undoubtedly one factor to be considered in assessing whether the minimization requirement has been satisfied,” but went on to hold that “the decision on the suppression motion must ultimately be based on the reasonableness of the actual interceptions and not on whether the agents subjectively intended to minimize their interceptions.” Id., at 163, 516 F. 2d, at 756. Then, because of the extended period of time which had elapsed since the commission of the offense in question, that court itself examined the intercepted conversations and held that suppression was not appropriate in this case because the court could not conclude that “some conversation was intercepted which clearly would not have been intercepted had reasonable attempts at minimization been made.” Id., at 164, 516 F. 2d, at 757.8
On the remand from the Court of Appeals, following a nonjury trial on stipulated evidence which consisted primarily of petitioners’ intercepted conversations, Scott was found guilty of selling and purchasing narcotics not in the original stamped package, see
II
Petitioners’ principal contention is that the failure to make good-faith efforts to comply with the minimization requirement is itself a violation of
The Government responds that petitioners’ argument fails to properly distinguish between what is necessary to establish a statutory or constitutional violation and what is necessary to support a suppression remedy once a violation has been established.10 In view of the deterrent purposes of the exclu-
Given our disposition of this case we find it unnecessary to reach the Government‘s contention regarding the scope of the suppression remedy in the event of a violation of the minimization requirement. We also decline to address the Government‘s argument with respect to standing. The Government concedes that petitioner Thurmon was a party to some nonnarcotics-related calls and thus has standing to make the arguments advanced herein. Thus, even if we were to decide that Scott has no standing we would be compelled to undertake the decision of these issues. If, on the other hand, we were to decide that Scott does have standing, we would simply repeat exactly the same analysis made with respect to Thurmon‘s claim and find against Scott as well. In this circumstance we need not decide the questions of Scott‘s standing. See California Bankers Assn. v. Shultz, 416 U. S. 21, 44-45 (1974); Doe v. Bolton, 410 U. S. 179, 189 (1973).
“And in justifying the particular intrusion the police officer must be able to point to specific and articulable facts which, taken together with rational inferences from those facts, reasonably warrant that intrusion. The scheme of the Fourth Amendment becomes meaningful only when it is assured that at some point the conduct of those charged with enforcing the laws can be subjected to the more detached, neutral scrutiny of a judge who must evaluate the reasonableness of a particular search or seizure in light of the particular circumstances. And in making that assessment it is imperative that the facts be judged against an objective standard; would the facts available to the officer at the moment of the seizure or the search ‘warrant a man of reasonable caution in the belief’ that the action taken was appropriate?” (Footnotes omitted.)
See also Beck v. Ohio, 379 U. S. 89, 96-97 (1964); Henry v. United States, 361 U. S. 98, 102-103 (1959).
Petitioners do not appear, however, to rest their argument entirely on Fourth Amendment principles. Rather, they argue in effect that regardless of the search-and-seizure analysis conducted under the Fourth Amendment, the statute regulating wiretaps requires the agents to make good-faith efforts at
This argument fails for more than one reason. In the first place, in the very section in which it directs minimization Congress, by its use of the word “conducted,” made it clear that the focus was to be on the agents’ actions not their motives. Any lingering doubt is dispelled by the legislative history which, as we have recognized before in another context, declares that
III
We turn now to the Court of Appeals’ analysis of the reasonableness of the agents’ conduct in intercepting all of the calls in this particular wiretap. Because of the necessarily ad hoc nature of any determination of reasonableness, there can be no inflexible rule of law which will decide every case.
We agree with the Court of Appeals that blind reliance on the percentage of nonpertinent calls intercepted is not a sure guide to the correct answer. Such percentages may provide assistance, but there are surely cases, such as the one at bar, where the percentage of nonpertinent calls is relatively high and yet their interception was still reasonable. The reasons for this may be many. Many of the nonpertinent calls may have been very short. Others may have been one-time only calls. Still other calls may have been ambiguous in nature or apparently involved guarded or coded language. In all these circumstances agents can hardly be expected to know that the calls are not pertinent prior to their termination.
In determining whether the agents properly minimized, it is also important to consider the circumstances of the wiretap. For example, when the investigation is focusing on what is thought to be a widespread conspiracy more extensive surveillance may be justified in an attempt to determine the precise scope of the enterprise. And it is possible that many more of the conversations will be permissibly interceptable because they will involve one or more of the co-conspirators. The type of use to which the telephone is normally put may also have some bearing on the extent of minimization required. For example, if the agents are permitted to tap a public telephone because one individual is thought to be placing bets over the phone, substantial doubts as to minimization may arise if the agents listen to every call which goes out over that phone regardless of who places the call. On the other hand, if the phone is located in the residence of a person who is thought to be the head of a major drug ring, a contrary conclusion may be indicated.
After consideration of the minimization claim in this case in the light of these observations, we find nothing to persuade us that the Court of Appeals was wrong in its rejection of that claim.14 Forty percent of the calls were clearly narcotics related and the propriety of their interception is, of course, not in dispute. Many of the remaining calls were very short, such as wrong-number calls, calls to persons who were not available to come to the phone, and calls to the telephone company to
We are thus left with the seven calls between Jenkins and her mother. The first four calls were intercepted over a threeday period at the very beginning of the surveillance. They were of relatively short length and at least two of them indicated that the mother may have known of the conspiracy. The next two calls, which occurred about a week later, both contained statements from the mother to the effect that she had something to tell Jenkins regarding the “business” but did not want to do so over the phone. The final call was substantially longer and likewise contained a statement which could have been interpreted as having some bearing on the conspiracy, i. e., that one “Reds,” a suspect in the conspiracy,
Affirmed.
MR. JUSTICE BRENNAN, with whom MR. JUSTICE MARSHALL joins, dissenting.
In 1968, Congress departed from the longstanding national policy forbidding surreptitious interception of wire communications,1 by enactment of Title III of the Omnibus Crime Control and Safe Streets Act of 1968,
The “minimization provision” of
“[T]he monitoring agents made no attempt to comply with the minimization order of the Court but listened to and recorded all calls over the [subject] telephone. They showed no regard for the right of privacy and did nothing to avoid unnecessary intrusion.” App. 36.
The District Court further found that the special agent who conducted the wiretap testified under oath that “he and the agents working under him knew of the minimization requirement but made no attempt to comply therewith.” Id., at 37. The District Court found a “knowing and purposeful failure” to comply with the minimization requirements. Id., at 39. These findings, made on remand after re-examination, reiterated the District Court‘s initial finding that “[the agents] did not even attempt ‘lip service compliance’ with the provision of the order and statutory mandate but rather completely disregarded it.” 331 F. Supp. 233, 247 (DC 1971). In the face of this clear finding that the agents monitored every call and, moreover, knowingly failed to conduct the wiretap “in such a way as to minimize the interception of communications” not subject to interception, and despite the fact that 60% of all calls intercepted were not subject to intercep-
First, and perhaps most significant, it totally disregards the explicit congressional command that the wiretap be conducted so as to minimize interception of communications not subject to interception. Second, it blinks reality by accepting, as a substitute for the good-faith exercise of judgment as to which calls should not be intercepted by the agent most familiar with the investigation, the post hoc conjectures of the Government as to how the agent would have acted had he exercised his judgment. Because it is difficult to know with any degree of certainty whether a given communication is subject to interception prior to its interception, there necessarily must be a margin of error permitted. But we do not enforce the basic premise of the Act that intrusions of privacy must be kept to the minimum by excusing the failure of the agent to make the good-faith effort to minimize which Congress mandated. In the nature of things it is impossible to know how many fewer interceptions would have occurred had a good-faith judgment been exercised, and it is therefore totally unacceptable to permit the failure to exercise the congressionally imposed duty to be excused by the difficulty in predicting what might have occurred had the duty been exercised. Finally, the Court‘s holding permits Government agents deliberately to flout the duty imposed upon them by Congress. In a linguistic tour
The Court‘s attempted obfuscation in Part II, ante, at 135-139, of its total disregard of the statutory mandate4 is a transparent failure. None of the cases discussed there deciding the reasonableness under the Fourth Amendment of searches and seizures deals with the discrete problems of wire interceptions or addresses the construction of the minimization requirement of
Moreover, today‘s decision does not take even a sidelong glance at United States v. Kahn, 415 U. S. 143 (1974), whose reasoning it undercuts, and which may now require overruling. Answering the question in Kahn of who must be named in an application and order authorizing electronic surveillance, the Court held:
“Title III requires the naming of a person in the application or interception order only when the law enforcement authorities have probable cause to believe that that individual is ‘committing the offense’ for which the wiretap is sought.” Id., at 155.
To support that holding against the argument that it would, in effect, approve a general warrant proscribed by Title III and the Fourth Amendment, see id., at 158-163 (Douglas, J., dissenting), the Court relied on the minimization requirement as an adequate safeguard to prevent such unlimited invasions of personal privacy:
“[I]n accord with the statute the order required the agents to execute the warrant in such a manner as to minimize the interception of any innocent conversations . . . . Thus, the failure of the order to specify that Mrs. Kahn‘s conversations might be the subject of interception hardly left the executing agents free to seize at will every communication that came over the wire—and there is no indication that such abuses took place in this case.” Id., at 154-155. (Footnotes omitted.)
Beyond the inconsistency of today‘s decision with the reasoning of Kahn, the Court manifests a disconcerting willingness to unravel individual threads of statutory protection without
*Peter S. Smith filed a brief for Chloe V. Daviage as amicus curiae urging reversal.
