Lead Opinion
On February 21, 1992, a justice of the Superior Court (Dalianis, J.) issuеd a warrant authorizing the police to search the defendant’s apartment and his person. Based on evidence seized pursuant to the search, the defendant was charged with possession of cocaine with intent to distribute in violation of RSA 318-B:2 (Supp. 1993). Following a hearing, the Superior Court (Murphy, J.) granted the defendant’s motion to suppress, finding that the search was based on a warrant issued in violation of part I, article 19 of the New Hampshire Constitution. We affirm.
The State appeals, raising two issues for our consideration: first, whether the superior court erred in finding that the search of the defendant’s residence based upon an anticipatory search warrant violated part I, article 19 of the State Constitution; second, assuming arguendo that the anticipatory search warrant in this case was impermissible, whether the superior court erred in suppressing the evidence seized where the police acted in good faith in obtaining and executing the warrant.
Subsequent to briefing and oral argument before this court, the State was notified that the defendant died on March 2, 1994. The State filеd a motion requesting that we decide the issues raised in this appeal
I. Anticipatory Search Warrant
On February 21, 1992, Detective Bruce Hansen of the Nashua Police Department applied for a warrant to search the defendant’s home at 20 Kessler Farm Drive, Apartment 709, in Nashua, and the person of the defendant, for evidence of drug dealing in violation of RSA 318-B:2. Detective Hansen’s affidavit in support of the warrant application set forth, in part, the following facts:
VI. In October 1991, a second independent, confidential, reliable individual, who has furnished information to the Nashua Police Department which has led to the arrest of narcotics traffickers, informed the Nashua Police Department that an individual within Building 20 Kessler Farm Drive, in the Somerset Apartment Complex, this apartment being located on the second floor, whose name is Rafael, is a cocaine dealer dealing in weights including kilograms.
X. In February 1992, the second confidential individual mentioned in this affidavit who has supplied reliable information to the Nashua Police Department which has led to the arrest of narcotics traffickers, responded to 20 Kessler Farm Drive, Apartment 709, and while within that apartment, made contact with Rafael Canelo-Valdez and while within that apartment purchased a quantity of the narcotic drug, cocaine. The suspect substance was immediately relinquished to the members of the Nashua Police Department who conducted a field test which showed a positive reaction to the presence of the illicit,. narcotic drug, cocaine. Listed informant viewed the photograph which had been supplied by the Lawrence Police Department of Rafael Canеlo-Valdez and positively identified this individual as one in [sic] the same who is*379 residing at 20 Kessler Farm Drive, Apartment 709, as the same individual dispensing quantities of cocaine from that location.
XI. On 21 February 1992, the second confidential individual mentioned in this affidavit who has supplied reliable information to the Nashua Police Department which has led to the arrest of narcotic traffickers responded to 20 Kessler Farm Drive, Apartment 709, and while within that apartment observed a quantity of the narcotic drug, cocaine.
Detective Hansen informed the magistrate, however, that the events in paragraph XI had not yet occurred but were expected to take place later that same evening. The magistrate then amended paragraph XI by striking the word “observed” and adding “did as was expected to [observe].” Detective Hansen was instructed by the magistrate that the warrant could only be executed if the informant observed cocaine as described in paragraph XI. Thereafter, the informant advised the police that he had observed cocaine in the defеndant’s apartment, and the search warrant was executed.
The superior court granted the defendant’s motion to suppress evidence seized during the search, ruling that the issuance of the warrant violated part I, article 19 of the State Constitution. The court concluded that “[u]nder the specific facts of this case, it is found and ruled that the exclusionary rule mandates the suppression of the evidence obtained during the search which was based upon a ‘self-executing search warrant.’ The detached magistrate has inappropriately delegated [her] constitutional function to the prosecuting authority.”
The State argues on appeal that anticipatory search warrants should be upheld as valid generally and that the warrant in the instant case passes constitutional muster. The State contends that because a neutral and detached magistrate made the determination that probable cause to search the defendant’s residence would exist after the occurrence of the contingent event and because thеre is no question that the affidavit established probable cause once the contingent event occurred, there was no violation of the defendant’s rights under part I, article 19. The defendant takes the position that under the facts of this case the search warrant failed to comply with the State Constitution because there was no probable cause at the time the warrant issued to believe that the future event would occur. While we agree with the State that anticipatory search warrants do not categorically violate part
Part I, article 19 provides:
Every subject hath a right to be secure from all unreasonable searches and seizures of his person, his houses, his papers, and all his possessions. Therefore, all warrants to search suspected places . . . are contrary to this right, if the cause or foundation of them be not previously supported by oath or affirmation; and if the order ... to make search in suspected places ... or to seize their property, be not aсcompanied with a special designation of the persons or objects of search ... or seizure; and no warrant ought to be issued; but in cases, and with the formalities, prescribed by law.
We have interpreted part I, article 19 as “requiring an objective determination of probable cause by a neutral and detached magistrate.” State v. Kellenbeck,
An anticipatory search warrant is “a warrant that has been issued before the necessary events have occurred which will allow a constitutional search of the premises; if those events do not transpire, the warrant is void.” United States v. Garcia,
There is no express language in part I, article 19 that would prohibit the issuance of a warrant to search at a future time. In this respect we disagree with the reasoning of the superior court that the
Severаl federal courts have upheld the use of anticipatory search warrants under the fourth amendment to the United States Constitution, primarily in cases involving the controlled delivery of contraband. See, e.g., United States v. Tagbering,
[W]hen law enforcement personnel offer a magistrate reliable, independent evidence indicating that a delivery of contraband will very likely occur at a particular place, and when the magistrate conditions the warrant’s execution for the search of that place on that delivery, the warrant, if not overbroad or otherwise defective, passes constitutional muster.
United States v. Ricciardelli,
The court reasoned that in cases involving the controlled delivery of contraband,
the facts put forward in support of an anticipatory search warrant predicated on the planned delivery of contraband to a particular location establish a greater likelihood that the contraband will be found there at the time of the search (which will be contemporaneous with the arrival of the contraband, or nearly so) than do facts put forward in support of a more conventional search warrant predicated on the known recent location of contraband at the proposed search site.
Id. In addition, the court reasoned that “inserting a neutral, detached judicial officer as a buffer between a citizen’s privacy rights and potential government overreaching . . . works equally as well in connection with anticipatory warrants” because the magistrate must still determine “whether there is probable cause to think that the contraband will be at the place to he searched at the time of the contemplated intrusion.” Id.
We find the logic of the First Circuit persuasive. Nevertheless, even if the conditions set forth in Ricciardelli were extended to the case before us, which does not involve a controlled delivery of contraband, it is readily apparent why the State’s position fails. The warrant was made contingent on the confidential informant observing cocaine in the defendant’s apartment. The affidavit in support of the warrant application, however, offers no facts to support a determination that that event was both “ascertainable and preordained” and on a “sure and irreversible course” to transpiring. There was, for example, no evidence to support a determination that on February 21, 1992, the informant was certain to “respond” to the listed address, that the informant would gain access to the apartment, or that there would be cocaine in the apartment for the informant to observe. If the magistrate was provided additional information by way of oral statements under oath by the applicant, those statements were not made part of the record and Detective Hansen failed to appear for the scheduled suppression hearing.
The existence of probable cause to search satisfies only part of the mandate of part I, article 19. That determination must be made by a neutral and detached magistrate. State v. Kellenbeck,
The dissent argues that we must undertake an independent inquiry into the existence of probable cause and concludes that even if the anticipatory portion of the affidavit is redacted, the remaining information as a matter of law supports a finding of probable cause. In this appeal, however, the State does not argue that the superior court erred by failing to review the sufficiency of the affidavit absent the contingent event, nor does it argue that we should undertake such a review. Rather, the State addresses its specific arguments to the validity of this anticipatory search warrant under the State Constitution, contending that because “[t]he determination that probable cause to search the defendant’s residence would exist after the occurrence of the contingent event was made by a neutral and detached magistrate,” and because “[t]here is no question that this affidavit established probable cause once the contingent event occurred,” there was no violation of the defendant’s rights under part I, article 19. Accordingly, we limit our decision to “the theory of the case as it has been presented to us.” State v. Valenzuela,
II. Good Faith Exception to the Exclusionary Rule
The State next argues that even if we agree with the superior court that the search warrant violated part I, article 19, we ought to adopt a good faith exception to the exclusionary rule under the New Hampshire Constitution and reverse the court’s suppression order. We hold that a good faith exception is incompatible with the guarantees contained in part I, article 19. The dissent’s suggestion that our discussion on this issue merely constitutes dicta is without foundation.
The federal exclusionary rule was adopted by the United States Supreme Court in Weeks v. United States,
This court, however, declined to adopt a State exclusionary rule in the years following Weeks. New Hampshire, like a majority of jurisdictions, then subscribed to the strict common law rule that a court must admit all competent and probative evidence regardless of its source. In State v. Mara,
In 1961, the United States Supreme Court required state courts to apply the federal exclusionary rule in state prosecutions, recognizing “[t]he obvious futility of relegating the Fourth Amendment to the protection of other remedies.” Mapp v. Ohio,
Beginning with United States v. Calandra,
In United States v. Leon,
Because Mapp required New Hampshire’s courts to apply the federal exclusionary remedy whenever a fourth amendment violation was found, there was little reason to employ a State exclusionary rule. Although this court never directly returned to the issue after 1956, see State v. Tracey,
In State v. McGann,
Again, in State v. Chaisson,
The warrant requirement embodied in part I, article 19 was intended to abolish general warrants and writs of assistance which had been used by the British to conduct sweeping searches based upon generalized suspicions and without specifying the places to be searched or things to be seized. See State v. Tucker,
This court has recognized that part I, article 19 safeguards privacy and protection from government intrusion. See State v. Chaisson,
[W]hen. the entry is made into an individual’s private dwelling, where there exists a strong expectation of privacy and protection frоm government intrusion, the requirement of a warrant is particularly stringent. To have it otherwise would [be to] obliterate one of the most fundamental distinctions between our form of government, where officers are under the law, and the police-state where they are the law.
State v. Santana,
We view the exclusionary rule as a logical and necessary corollary to achieve the purposes for which prohibitions against unreasonable searches and seizures were constitutionalized. Cf State v. Flynn,
The exclusionary rule serves to redress the injury to the privacy of the search victim and guard compliance with the probable cause requirement of part I, article 19. See State v. Novembrino,
We hold that the good faith exception is incompatible with and detrimental to our citizens’ strong right of privacy inherent in part I, article 19 and the prohibition against the issuance of warrants without probable cause. We draw support not only from the history of part I, article 19 and the development of our jurisprudence under that provision, but also from other States that have held that the good faith exception is inconsistent with state constitutional requirements of probable cause. See State v. Marsala,
[0]ur Constitutiоn has historically been interpreted to incorporate a strong right of privacy, and an equally strong adherence to the requirement of probable cause .... Citizens in this Commonwealth possess such rights, even where a police officer in “good faith” carrying out his or her duties inadvertently invades the privacy or circumvents the strictures of probable cause. To adopt a “good faith” exception to the exclusionary rule . . . would virtually emasculate those clear safeguards which have been carefully developed . . . over the past 200 years.
Commonwealth v. Edmunds,
“The framers did not intend the safeguards of the warrant requirement to be circumvented merely by allowing law enforcement officials to act reasonably under the circumstances.” State v. Ball,
Affirmed.
Dissenting Opinion
dissenting: I agree with the majority that the Trial Court {Murphy, J.) erred in holding that anticipatory warrants violated our State Constitution, but I disagree with the majority’s failure to make an independent inquiry into the existence of probable cause, and I believe that the majority is incorrect in holding that the anticipatory clause of the warrant in question was improper. Additionally, I do not believe that we should, on these facts, either address or decide whether part I, article 19 of the State Constitution prohibits a good faith exception to the exclusionary rule. Accordingly, I respectfully dissent.
The affidavit in support of the search warrant issued in this case included the following anticipatory language:
On 21 February 1992, the second confidential individual mentioned in this affidavit who has supplied reliable*389 information to the Nashua Police Department which has led to the arrest of narcotic traffickers responded to 20 Kessler Farm Drive, Apartment 709, and while within that apartment did as was expected to [observe] a quantity of the narcotic drug, cocaine.
The Magistrate (Dalianis, J.) substituted the emphasized language for the word “observed” because the event had not yet occurred. The inserted language more accurately described the anticipatory nature of the warrant.
The trial court held that our State Constitution does not permit anticipatory warrants. The trial court, however, never considered whether, after striking the anticipatory paragraph of the affidavit, sufficient facts were alleged to find probable cause. Nor did the trial court address the factual issue of whether the police acted with good faith or the legal issue of whether the good faith exception is consistent with our State Constitutional law. The trial court suppressed the evidence gathered pursuant to the warrant, and the State appealed.
While the appeal was pending, the defendant died. The State has asked us to waive the mootness doctrine. The majority grants that motion, which I wоuld deny, but waiver of the mootness doctrine does not waive all of our procedural practices. This court has “a strong policy against reaching a constitutional issue in a case that can be decided on a nonconstitutional ground.” State v. Hodgkiss,
Even assuming that the anticipatory provision should be deleted, the court should conduct an independent and objective review of the remainder of the affidavit to determine if probable cause exists. See State v. Decoteau,
The majority implies that the remainder of the affidavit cannot be independently evaluated because the magistrate implicitly conditioned her finding of probable cause on the anticipatory portion of the warrant. In my view, the record does not support a finding that the magistrate so conditioned her finding of probable cause. The language that the majority attributes to the superior court is simply the court’s summation of the defendant’s argument. Neither the magistrate nor the superior court addressed the question of whether probable cause existed without the anticipatory paragraph. Furthermore, the majority fails to explain why such reliance would bar the courts from evaluating the remainder of the affidavit and cites no authority for its holding. I believe our case law compels a different result.
The standard for reviewing the validity of search warrants is well settled. See Decoteau,
The standard for determining whether the redacted affidavit establishes probable cause is: “Given all the circumstances set forth in the affidavit before the magistrate, including the veracity and basis of knowledge of persons supрlying hearsay information, was there a fair probability that contraband or evidence of a crime would be found in the particular place described in the warrant?” State v. Silvestri,
The redacted affidavit states that the police had received information from four different informants regarding illegal drug activity by the defendant or at his residence. The informants were described as having provided reliable information to the police in the past, and some facts were provided regarding how the informants had come by their knоwledge. While the statements regarding reliability and basis of knowledge may not have been sufficient standing alone, the surrounding events and investigation by the police detailed in the affidavit were sufficient for a finding of probable cause. See id. at 188,
The police knew that the defendant had been previously arrested in September 1990 for drug trafficking. Additionally, cocaine had been obtained from the defendant’s residence on three separate occasions, the first in September 1991, the second in November 1991 through a controlled buy made by one of the informants, and the third in February 1992, also by using an informant to purchase the drugs. The police received additional information from a concerned citizen regarding the high level of foot traffic through the defendant’s apartment, and the affiant determined, based on his experience as a police officer, that such traffic was consistent with illegal narcotics trafficking. The police also received information from two other confidential informants that the defendant was engaged in illegal drug trafficking at his residence. The drug purchases corroborate the information received from the confidential informants. Additionally,
I next address my disagreement with the majority concerning its analysis of anticipatory warrants. I agree with the majority statement that part I, article 19 of the State Constitution does not prohibit the issuance of an anticipatory warrant, but I disagree with the majority’s analysis of the recent federal case law in this area. The majority relies heavily on the analysis of the United States Court of Appeals for the First Circuit in United States v. Ricciardelli,
In Gendron, the court noted that “anticipatory warrants may . . . offer greater, not lesser, protection against unreasonable invasion of a citizen’s privacy.” Id. at 965. The court construed Ricciardelli as not imposing heightened standards of specificity on anticipatory provisions contained in search warrants and their supporting documents. Id. at 966. These provisions, like all warrant provisions, must be reasonably specific. Anticipatory events, by their very nature, are not certain; they are predictions of future events. The specificity requirement must be read in light of that fact. The federal court also stressed that descriptions in warrants and the supporting documents should be read in a commonsense, as opposed to hypertechnical, manner, which is consistent with our law. See, e.g., State v. Decoteau,
A close examination of the two federal cases reveals that the majority misapplies the legal test enunciated by the First Circuit. These federal cases hold that an affidavit containing anticipatory language must provide sufficient information to allow the magistrate to determine that: (1) the triggering event is reasonably ascertainable so that the officer has very little discretion, Ricciardelli,
In this case, the preconditions to an anticipatory warrant, as set out in Ricciardelli and explained in Gendron, were clearly met. The first prong concerns the officer’s ability to know that the triggering event has occurred. The major concern addressed by the First Circuit in these
The second prong of the test concerns the predictability of the triggering event. The magistrate must be able to make a determination that the event is reasonably likely to occur. In this case, the affidavit contained a great deal of information regarding the alleged illegal activities at the defendant’s address. There was information from four different informants, along with descriptions of drug purchases made at that address on three different occasions. Additionally, there was information regarding the prior involvement between the police and the confidential informant who was expected to observe narcotics at the defendant’s residence. In fact, this informant had previously purchased narcotics for the police at this location. The magistrate, based on these factual allegations, could reasonably conclude that the confidential informant would go to the defendant’s apartment on the day in question, that he again would gain entrance to the apartment and that he again would observe illegal narcotics at that location.
The final prong of the test concerns the link between the triggering event and the location to be searched. In this case, the triggering event was the observation of drugs at the location to be searched. A closer link is hard to imagine. Given the majority’s rejection of such an “explicit, clear and narrowly drawn” provision, Ricciardelli,
Although the majority opinion recites the language of the Ricciardelli case, it errs by including language that was tailored to address concerns that arise only in the context of delivery of contraband. The “sure and irreversible course” language relied upon by the majority was designed to insure that there was a relationship between the triggering event and the location to be searched. Id. at 13. Ricciardelli dealt with the delivery of contraband, and a problem arose when the defendant picked the package up at the post office as opposed to having it delivered to his home, which was the place to be searched. Because thе package did not arrive at Ricciardelli’s home, probable cause did not exist to search that location at the time when the anticipatory event occurred and the warrant was supposedly effective.
The majority also errs by restricting its review of the affidavit solely to the anticipatory provision. There is nothing in the federal cases that would require such a result. In fact, in Gendron, the First Circuit stressed the importance of looking to the entire affidavit when evaluating an anticipatory provision. Gendron,
On the issue of the exclusionary rule and our State Constitution, I am compelled to point out that the majority is addressing a constitutional issue that was not addressed by the trial court and without a factual finding by the trial court concerning the requisite factual predicate. That is, we are deciding whether the good faith exception to the exclusionary rule is compatible with our. State Constitution, an issue not addressed by the trial court, in the absence of a finding that the police, in this case, acted in good faith. Without such a finding, the majority’s discussion of this issue can be viewed as dicta.
Even assuming, however, that the warrant had not been supported by probable cause and that good faith had been found, I cannot agree with the majority’s holding that the evidence obtained thereby must be suppressed because I do not agree that the good faith exception would violate our State Constitution or be inconsistent with our prior decisions.
This court steadfastly refused to adopt an exclusionary rule and only applied it when forced to do so by the federal judiciary. State v. Mara,
While the majority acknowledges that the United States Supreme Court has repudiated the original constitutional basis for the exclusionary rule and has reformulated the rule to recognize a good faith exception in keeping with the purpose of the rule, the majority has chosen to interpret our State Constitution as requiring the now discredited federal rule. It does this despite over 100 years of New Hampshire case law that specifically held that evidence, no matter how illegally obtained, was admissible “if it was otherwise competent and pertinent to the issue,” State v. Flynn,
Only four years ago, this court recognized that “while [the fourth amendment and part I, articlе 19] are not necessarily identical in scope, it is logical, given their common ancestry, that the fourth amendment and part I, article 19 would be subject to parallel interpretations.” State v. Pellicci,
Since the Mapp decision forced New Hampshire courts to recognize the exclusionary rule, this court has repeatedly stated that “the primary purpose behind the exclusionary rule is the deterrence of unlawful police conduct.” State v. Spero,
The majority opinion also argues that a good faith exception to the exclusionary rule would undermine the probable cause requirement for searches and seizures. Its argument seems to be founded in the belief that any evidence found through a search based on less than probable cause is constitutionally inadmissible. That argument directly contradicts this court’s holdings in recent cases. This court has recognized that under certain circumstances, a search based on less than probable cause will not be deemed unreasonable under part I, article 19. See, e.g., State v. Levesque,
This court has also allowed the use of evidence seized on less than probable cause in other contexts. Most importantly, it has endorsed the notion of a good faith exception to the exclusionary rule in cases where a police officer acts under a statute that is later determined to be unconstitutional. As early as 1989, only five years after the United States Supreme Court first recognized the good faith exception, this court stated that even if a statute were declared unconstitutional, “evidence derived from a search made by an officer relying on a statute in good faith need not be suppressed.” State v. Turmelle,
It would be logically inconsistent for this court to recognize the good faith exception in cases where the police act under an unconstitutional statute, but refuse to recognize an exception when the police act in good faith reliance on a warrant issued by a neutral and detached magistrate. The majority claims that the exclusionary rule serves to “guard compliance with the probable cause requirement of part I, article 19,” and implies that a good faith exception in the case of mistakenly issued warrants would impugn the “integrity of the judiciary.” It fails to explain, however, why allowing the police to benefit from an unconstitutional statute does not pose similar problems. The privacy interests of far more citizens arе implicated by the enactment of an unconstitutional statute than by an improperly issued warrant. The majority opinion argues that our constitution prevents a good faith exception to the exclusionary rule in the context of warrants, even though we have recognized it in the context of statutes, but fails to recognize that the enactment of statutes allowing random, unconstitutional searches was as great a fear of the original drafters of both the State and Federal Constitutions. Illinois v. Krull,
The majority bases its adoption of the rejected federal exclusionary rule, instead of the more appropriate and recent good faith exception rule, on cases in the last ten years that it asserts “implicitly recognized the existence of a State exclusionary rule.” While it is true that these cases could be read to find such recognition, the majority errs in relying on such cases as its precedent for interpreting the New Hampshire Constitution. The cases relied on by the majority contain no analysis of the State Constitution, nor do they explain why departure from the present federal rule and adoption of the repudiated federal rule is appropriate in these circumstances.
The foundation of the majority’s opinion is the decision of State v. Ball,
State supreme courts have been criticized for their failure to properly analyze the historical bases of their constitutions when purporting to rest their decisions on state constitutional grounds. See Gardner, The Failed Discourse of State Constitutionalism,, 90 Mich. L. Rev. 761, 793-94 (1992); see also Comment, State Courts Reject Leon on State Constitutional Grounds: A Defense of Reactive Rulings, 47 Vand. L. Rev. 917, 932-33 nn.105-14 (1994). In fact, our decisions in particular have been criticized as being “devoid of any kind of language that could furnish the basis of a discourse of distinctiveness.” Gardner, supra at 803-04. This criticism is particularly acute when States interpret their own constitutions at variance with the federal constitutional law. See State v. Denney,
The majority, when asked to choose between accepting the current federal exclusionary rule, which incorporates the good faith exception and is the result of scholarly consideration and subsequent refinement, and the old rule, that has been rejected by the federal judiciary that created it, has inexplicably chosen to accept the latter. I believe this choice to be in error. A good faith exception to the exclusionary rule would not undermine our constitutional protections and would be consistent with our case law in this area. In light of the above, I respectfully dissent.
Concurrence Opinion
concurring specially:
I concur with the opinion of Chief Justice Brock. I write separately, however, because I am saddened by the language of Justice Thayer in his dissent which states that the majority is “inventing] new constitutional protections that some may argue are based on the whim of the majority.” (Since “some” are not identified, the only plausible persons in that group are the author, and perhaps others. It should be noted that the law review article, as cited, does not use the word “whim.”)
Such heightened rhetoric adds nothing to the jurisprudence of our State. I know of no one on this court — and, I stress, no one — who decides the cases that come before us on a whim. Justice Scalia has been described as a judicial “gladiator.” I find the tenor of many of his decisions to be simply lacking in civility. See Lacovara, Un-Courtly Manners, ABA Journal, Dec. 1994, at 50. It would be regrettable that the writing of this court would now or in the future emulate this unfortunate practice. I would hope that this court, which heretofore has avoided such rhetoric, would not begin down the road to ever more offensive language.
