Lead Opinion
¶1 — Michael J. Reeder appeals a published Court of Appeals decision affirming his conviction on 14 counts of securities fraud and 14 counts of theft in the first degree. We granted review of two issues.
|2 First, Reeder claims that subpoenas duces tecum
¶3 Second, Reeder asserts that his sentence violates principles of double jeopardy because the trial court imposed multiple punishments for the same offense. The Court of
I. FACTS AND PROCEDURAL HISTORY
¶4 Reeder met William McAllister through a company that provided nonbank real estate financing, Private Mortgage Investors Inc. Between March 2006 and June 2007, McAllister made a series of payments to Reeder for two real estate investments. During this time, McAllister paid Reeder approximately $1.7 million through several different checks or transactions.
f 5 The first real estate transaction began when Reeder told McAllister that he had an opportunity to purchase two parcels of land in Snohomish County. In June 2006, Reeder and McAllister formed a limited liability company and opened a bank account to purchase the two properties. As down payments for the two properties, McAllister loaned Reeder $200,000 and $150,000 in two separate transactions. Both McAllister and Reeder signed an agreement docu-meriting McAllister’s loans. According to the agreement, Reeder had already signed the purchase and sale agreements for the two properties. However, the properties were not purchased or developed, and Reeder never returned McAllister’s money.
¶6 The second real estate transaction took place when Reeder told McAllister that there was an opportunity to purchase property in Bellevue. Reeder knew at the time he made this representation that the owners of the Bellevue property did not intend to sell the property. Reeder showed McAllister a property appraisal that valued the property at $2 million. McAllister relied on Reeder’s representations and made a series of payments totaling $1.4 million. Reeder did not use any of the funds to buy the property and did not return McAllister’s money.
¶7 The State obtained Reeder’s bank records under RCW 10.27.170 using subpoenas issued by an SIJ.
¶8 In June 2011, Reeder moved to suppress his private bank records, arguing that they were obtained in violation of his constitutional rights because he believed the State did not have a valid warrant or judicially issued subpoena as required by State v. Miles,
¶9 The trial court denied Reeder’s motion to suppress the records obtained by the SIJ subpoena. The jury found Reeder guilty of 14 counts of securities fraud and 14 counts of first degree theft and entered special verdicts finding that each offense was a major economic or serious offense. The court imposed an exceptional sentence. Reeder appealed the trial court’s decision and sentence.
¶10 Reeder raised four issues on appeal. State v. Reeder,
¶1-1 Reeder petitioned this court for review of three issues. We granted review of two issues: (1) whether the State violated Reeder’s right to privacy by obtaining his bank records through the SIJ proceeding and (2) whether Reeder’s sentence violated the prohibition against double jeopardy.
II. ISSUES
¶12 A. Did the subpoena issued by the SIJ to financial institutions provide sufficient authority of law under article I, section 7 to obtain Reeder’s bank records?
¶13 B. Did the trial court’s sentence violate the constitutional prohibition against double jeopardy when it sentenced. Reeder to several counts of the same crime?
III. ANALYSIS
A. The SIJ subpoena provided sufficient authority of law
¶14 Reeder asserts that the subpoena issued by the SIJ did not provide the authority of law that is required by article I, section 7 because it was not justified by probable cause.
¶15 Article I, section 7 states that “[n]o person shall be disturbed in his private affairs, or his home invaded, without authority of law.” Though similar, the protections afforded by this provision are broader than and qualitatively different from those protections afforded in the Fourth Amendment to the United States Constitution. State v. Gunwall,
¶16 The analysis of article I, section 7 breaks down into two parts—“ ‘private affairs’ ” and “ ‘authority of law.’ ” In re Pers. Restraint of Maxfield,
¶17 Article I, section 7 protects “ ‘those privacy interests which citizens of this state have held, and should be entitled to hold, safe from governmental trespass.’ ” Maxfield,
¶18 In Miles, the court found that private bank records held by a third party could potentially reveal sensitive personal information. Id. at 246. Bank records can reveal where the person has traveled, the person’s reading habits, and the person’s financial condition. Id. at 246-47. After noting that bank records were historically protected, the court held that bank records are considered private affairs protected by the constitution. Id. at 247 (“Little doubt exists that banking records, because of the type of information contained therein, are within a person’s private affairs.”). Reeder’s bank records are private affairs under article I, section 7.
2. Authority of law
¶19 Since the State invaded Reeder’s private affairs by obtaining his bank records from financial institutions, this case turns on whether a subpoena issued by an SIJ pursuant to RCW 10.27.170 is sufficient authority of law to support such an invasion.
a) SIJ proceedings
¶20 The legislature created the SIJ proceeding to provide an additional investigatory tool for the prosecuting attorney. Wash. State Judicial Council, Twenty-Second Biennial Report 18 (1969-1970) (hereinafter Judicial Reports). An SIJ “is a superior court judge designated by a majority of the superior court judges of a county to hear and receive evidence of crime and corruption.” RCW 10.27.020(7). We have held that an SIJ is a neutral magistrate. State v. Neslund,
¶21 The SIJ proceeding was created by the Criminal Investigatory Act of 1971, chapter 10.27 RCW. Laws of 1971, 1st Ex. Sess., ch. 67. The enactment of chapter 10.27 RCW was intended to reorient the grand jury system as it relates to modern society. Judicial Reports, supra, at 17. Chapter 10.27 RCW was “enacted on behalf of the people of the state of Washington to serve law enforcement in combating crime and corruption.” RCW 10.27.010. Under chapter 10.27 RCW,
¶22 In contrast to a grand jury, an SIJ cannot issue subpoenas once a defendant is charged with a crime. State v. Manning,
b) Judicially reviewed subpoenas provide sufficient authority of law to obtain banking records from financial institutions
¶23 Reeder argues that because bank records are private affairs under article I, section 7, the only authority of law that can justify the invasion is a warrant based on probable cause.
¶24 Our cases have found that the authority of law to collect private records encompasses more than a warrant based on probable cause. See Gunwall,
¶25 This court has also found that if a subpoena, rather than a warrant, is the authority of law, such subpoena must be justified by some reason besides the statutory authority granting the power to issue the subpoena. Miles,
¶26 Here, the Court of Appeals held that the subpoena issued by the SIJ provided sufficient authority of law to obtain Reeder’s bank records. Reeder,
¶27 The Court of Appeals correctly held that the subpoena provided sufficient authority of law to obtain bank records held by financial institutions. The subpoena was issued pursuant to the SIJ’s power under RCW 10.27.170, a presumably constitutional statute.
¶28 Amicus curiae Washington State Attorney General’s Office notes that the court in Miles identified a warrant or a subpoena as two separate procedures to satisfy the authority of law requirement, demonstrating that either are sufficient. However, if a subpoena is the authority, it must be justified by some reason and it must be subject to judicial review. The court in Miles did not specify that probable cause is required, only that the subpoena must be based on some reason. A subpoena issued by an SIJ to obtain bank records held by financial institutions is proper authority of law to invade one’s private affairs under article I, section 7 because it is based on some reason and is subject to judicial review.
c) Reason to suspect crime or corruption is sufficient to justify issuance of a subpoena by an SIJ
¶29 Since a judicially reviewed subpoena issued pursuant to a constitutional statute can be authority of law under article I, section 7, we must determine whether “reason to suspect crime or corruption” is a sufficient justification for a subpoena issued by an SIJ for private bank records. RCW 10.27.170. Because Washington, case law has not specifically addressed this issue, the Court of Appeals analogized SIJ subpoenas to subpoenas issued by federal grand juries. Reeder,
¶30 Like the Washington grand jury system set forth in chapter 10.27 RCW, the federal “grand jury occupies a unique role in our criminal justice system.” United States v. R. Enters., Inc.,
¶31 The Court in R. Enterprises reasoned that “the Government cannot be required to justify the issuance of a grand jury subpoena by presenting evidence sufficient to establish probable cause because the very purpose of requesting the information is to ascertain whether probable cause exists.” Id. A showing of less than probable cause is adequate because the Supreme Court has noted that a subpoena issued by a federal grand jury intrudes less on one’s privacy rights than a search or seizure and, as such, does not receive the same Fourth Amendment protections as a search or seizure. United States v. Dionisio,
¶32 A federal grand jury’s investigatory powers are not unlimited. See id. at 299. Grand juries are not entitled “to engage in arbitrary fishing expeditions.” Id. A federal court on motion “ ‘may quash or modify a subpoena if compliance would be unreasonable or oppressive.’ ” Id. (quoting Fed. R. Crim. R 17(c)). What is reasonable depends on context. Id. Since, grand juries do not announce the subject of their investigations, a party that would like to challenge the subpoena may have little knowledge as to the government’s purpose in seeking production of the requested information. Id. at 299-300. Despite some of the barriers to contesting a subpoena, the Court in R. Enterprises held that a subpoena could be justified by less than probable cause to achieve the purpose of grand jury investigations. Id. at 297, 299.
¶33 Here, the Court of Appeals held that similar to a federal grand jury, the purpose of the SIJ proceeding is to gather evidence about suspected crimes to assist the prosecuting attorney or a grand jury in determining if probable cause exists to issue an indictment. Reeder,
¶34 Reeder contends that the Court of Appeals erred by examining federal cases discussing federal grand juries because the protections of the Fourth Amendment differ from the protections of article I, section 7. In addition, Reeder asserts that SIJ subpoenas are not analogous to grand jury subpoenas because an SIJ is not empowered to issue or reject indictments. Subpoenas are simply an investigatory tool. See Manning,
¶35 Reeder contends that grand juries are a unique historical device that were meant to screen unwarranted or malicious prosecutions. Unlike the historical grand juries, Reeder contends that SIJ proceedings give prosecuting attorneys free rein to invade a person’s private affairs with little justification. However, Reeder’s assertions disregard that grand juries have historically existed for dual purposes—protecting the individual from the government and examining the situations that are still in inquiry stage to discover evidence for the prosecuting attorney. 3 Wayne R. LaFave et al., Criminal Procedure § 8.1(a) (3d ed. 2007).
¶36 Cases examining federal grand juries serve as a helpful comparison to determine if the justification for an SIJ subpoena is sufficient. Like federal grand juries, grand juries in Washington were created to investigate crime and determine whether a crime occurred. RCW 10.27.150 (“After hearing, examining, and investigating the evidence before it, a grand jury may, in its discretion, issue an indictment.”). The legislature intended the SIJ proceedings to supplement the grand jury system. Such intent is shown by the legislative history of chapter 10.27 RCW and the legislature’s including the statutory provisions governing SIJ proceedings in the same section as those statutory provisions governing grand juries. See Judicial Reports, supra, at 17-18. SIJ proceedings are similar to federal grand jury proceedings in their purpose and structure. The purpose of an SIJ subpoena is to assist the prosecuting attorney to obtain evidence that can then be turned over to a grand jury. Id. Both grand juries and SIJs have the authority to issue subpoenas and to call witnesses. RCW 10.27.140(3). Both also produce
¶37 Like a federal grand jury, an SIJ’s powers are not unlimited. An SIJ proceeding can be initiated only if there is reason to suspect that crime or corruption has occurred. RCW 10.27.170. The power of the prosecuting attorney to obtain evidence through a subpoena is subject to judicial review. The SIJ reviews the request of the prosecuting attorney for a subpoena to ensure the request is sufficiently justified. Subpoenas can be quashed on a motion. CrR 4.8(b)(4). Considering the similarities of SIJ proceedings and federal grand juries, the Court of Appeals did not err by examining federal cases discussing federal grand juries.
¶38 Where SIJ- proceedings differ from state or federal grand juries, SIJ proceedings provide greater protections. An SIJ proceeding cannot be used where charges have already been filed against a defendant, and an SIJ cannot independently investigate the alleged crime or issue an indictment. Because an SIJ cannot issue an indictment, it does not serve an investigative role. See Manning,
d) Our decision in Garcia-Salgado does not require a subpoena issued by an SIJ to be justified by probable cause
¶39 Reeder contends that Garcia-Salgado requires probable cause to justify an invasion into his private affairs. In Garcia-Salgado, the defendant was ordered to submit to a cheek swab for deoxyribonucleic acid (DNA) pursuant to CrR 4.7(b)(2)(vi).
¶40 Reeder asserts that a subpoena issued by an SIJ should be treated as the equivalent of the court order examined in Garcia-Salgado. In contrast, the Court of Appeals found that the holding in Garcia-Salgado did not provide any guidance regarding the justification needed for a subpoena. Reeder,
¶41 The Court of Appeals was correct. The two cases differ in procedural posture and in the privacy interests at stake. The defendant in Garcia-Salgado was already charged with a crime, and the court order was used to investigate.
¶42 We hold that the subpoena issued by the SIJ for Reeder’s bank records satisfies the authority of law requirement under article I, section 7. Our cases do not require that the authority of law under article I, section 7 must satisfy the probable cause requirement of a warrant. Rather, we have recognized that a judicially issued subpoena can be sufficient authority of law to invade a citizen’s private affairs. Justifying a subpoena for bank records held by financial institutions on less than probable cause aligns with the purpose of the grand jury and SIJ proceedings.
B. Reeder’s sentence did not violate double jeopardy
¶43 Reeder was charged with 14 counts of securities fraud and 14 counts of theft in the first degree. Reeder argues that his multiple convictions violate double jeopardy principles. “Claims of double jeopardy are questions of law, which we review de novo.” State v. Hughes,
¶44 The double jeopardy clause of the Fifth Amendment and the state constitutional protection against double jeopardy, article I, section 9, offer the same scope of protection. State v. Adel,
¶45 When a defendant is convicted for violating one statute multiple times, the proper inquiry is “what ‘unit of prosecution’ has the Legislature intended as the punishable act under the specific criminal statute.” Adel,
¶46 In Adel, the court found that a defendant’s sentence violated principles of double jeopardy where he was charged with two counts of simple possession of marijuana. Id. at 631. Adel was found with marijuana in two places: the ashtray of his car and the cash register counter of his store. Id. The court began its analysis by examining the statute and determined that the unit of prosecution was possession of 40 grams of marijuana regardless of where the drug was located. Id. at 637. The court held that even though Adel had marijuana in two places, his conduct constituted only one violation of the possession statute, and the court reversed his conviction. Id.
¶47 To determine if the State violated double jeopardy principles here, we must examine the statutes in question.
1. Securities fraud
¶48 Washington’s security fraud statute, RCW 21.20-.010, states:
It is unlawful for any person, in connection with the offer, sale or purchase of any security, directly or indirectly:
(1) To employ any device, scheme, or artifice to defraud;
(2) To make any untrue statement of a material fact or to omit to state a material fact necessary in order to make the statements made, in the light of the circumstances under which they are made, not misleading; or
(3) To engage in any act, practice, or course of business which operates or would operate as a fraud or deceit upon any person.
¶49 The term “sale” “includes every contract of sale of, contract to sell, or disposition of, a security or interest in a security for value.” Former RCW 21.20.005(10) (2002) (now codified at RCW 21.20.005(14)). The term “ ‘[s]ecurity’ means any note; stock; treasury stock; bond; debenture; evidence of indebtedness; certificate of interest or participation in any profit-sharing agreement; ... or, in general, any interest or instrument commonly known as a ‘security.’ ” Former RCW 21.20.005(12)(a) (now codified at RCW 21.20.005(17)(a)).
¶50 The statute prohibits any misleading acts in connection with the sale of a security. Because the definition of “sale” includes every sale of a security, it indicates the legislature’s intent for each transaction or sale to constitute the unit of prosecution. Therefore, the State was correct to assert, and the Court of Appeals was correct to find, that the unit of prosecution in the securities fraud statute is every separate sale of a security. Reeder,
¶51 In contrast, Reeder argues that the unit of prosecution in RCW 21.20.010 is the security. Even though there were many separate payments and misrepresentations, according to Reeder because there was only one security at issue, there can be only one count of securities fraud. Reeder also points to the prosecuting attorney telling the jury to find that the securities fraud offenses were all part of a continuing impulse or scheme.
¶52 Reeder cites State v. Mahmood,
f53 Since the State presented evidence that 14 different misleading sales took place between Reeder and McAllister on several different dates, Reeder’s sentence does not violate the principles of double jeopardy.
2. Theft in the first degree
¶54 “A person is guilty of theft in the first degree if he or she commits theft of: (a) [p]roperty or services which exceed(s) one thousand five hundred dollars in value.” Former RCW 9A.56.030(l)(a) (2005). “Theft” as charged here means obtaining control “[b]y color or aid of deception to obtain control over the property or services of another or the value thereof, with intent to deprive him or her of such property or services.” RCW 9A.56.020(l)(b). One “ ‘exerts unauthorized control’ ” over property when one
[has] any property or services in one’s possession, custody or control as . . . agent... or competent authority to take or hold such possession, custody, or control, to secrete, withhold, or appropriate the same to his or her own use or to the use of any person other than the true owner or person entitled thereto.
Former RCW 9A.56.010(19)(b) (2006) (now codified at RCW 9A.56.010(22)(b)). Prosecuting attorneys generally have discretion in deciding whether to aggregate the crimes or to charge them separately.
f 55 Reeder argues that Washington’s theft statute does not define the unit of prosecution for theft in the first degree and, therefore, the statute is ambiguous as to whether multiple acts of theft that were part of an ongoing plan could be punished separately. It follows then, Reeder asserts, that the rule of lenity dictates that the statute be construed in his favor. He also argued that if a criminal impulse is continuing, it is one crime.
¶56 To challenge his theft convictions, Reeder cites State v. Turner,
¶57 The court’s holding and reasoning in Turner does not conflict with the Court of Appeals decision here. The prosecuting attorney charged Reeder with 14 individual counts of obtaining unauthorized control over the property or services of another. Unlike the counts in Turner that were based on different schemes, each count here was based on a separate transaction that occurred at a separate time. Id.
¶58 Reeder cites State v. Dash,
¶59 The rule articulated in Dash does not affect the issue here, which is whether individual transactions may be charged separately without violating double jeopardy principles. There is evidence that Reeder fraudulently obtained control over McAllister’s property through 14 different transactions, and, therefore, it was within the prosecuting attorney’s discretion to charge
¶60 We hold that Reeder’s sentence did not violate double jeopardy principles because he was not charged multiple times for the same offense. Each count was based on evidence of 14 distinct times that Reeder’s conduct violated each statute.
IV. CONCLUSION
¶61 We affirm the Court of Appeals. First, the Court of Appeals was correct to hold that the subpoena issued by the SIJ for bank records held by financial institutions was sufficient authority of law under article I, section 7. Authority of law under article I, section 7 can be a judicially issued subpoena so long as it is based on some reason. The subpoena here was issued by a neutral magistrate and based on reason to suspect crime or corruption. Second, the Court of Appeals was correct to hold that Reeder’s sentence did not violate principles of double jeopardy. Reeder’s sentence was supported by 14 individual acts that were within each statute’s unit of prosecution.
Notes
At times, this opinion will refer to the subpoenas duces tecum collectively as “subpoena.” A “subpoena duces tecum” is a form of subpoena that commands the witness to testify and to bring documents. See Black’s Law Dictionary 1654 (10th ed. 2014).
The State requested that the SIJ issue subpoenas to Bank of America NA, Whidbey Island Bank, Citibank, Capital One Bank, Experian, TransUnion, Equifax Credit Information Services, Northwest Plus Credit Union, HSBC Bank USA National Association, Wells Fargo Bank NA, JPMorgan Chase, U.S. Bank National Association, and Boeing Employees’ Credit Union.
The State filed an amended information on June 15, 2012.
Reeder’s attorney did not state that he obtained the subpoenas in question. However, the prosecuting attorney delivered several boxes of records to Reeder’s attorney, and the trial court judge stated, “I am going to take [the prosecuting attorne/s] representation at this time that [the subpoenas] will be made available to you.” Verbatim Report of Proceedings (July 2, 2012) at 46. Since there is not a specific discovery rule regarding the records produced at an SIJ proceeding, the prosecuting attorney here noted that he compares SIJ proceedings to materials obtained through a grand jury and provides records of SIJ proceedings to defendants with permission from the court. Id. at 45; see CrR 4.7; RCW 10.27.090(5).
We did not accept review of the conflict of interest issue.
“Probable cause exists if the affidavit in support of the warrant sets forth facts and circumstances sufficient to establish a reasonable inference that the defendant is probably involved in criminal activity and that evidence of the crime can be found at the place to be searched.” State v. Thein,
The State does not contest that bank records are protected by article I, section 7.
This opinion cites to the current version of chapter 10.27 RCW. RCW 10.27.070 through .100 and .120 through .150 were amended in 2010 to remove gender based terms. Laws of 2010, ch. 8, §§ 1019-1026.
According to the Washington Association of Prosecuting Attorneys’ (WAPA) model policy for using SIJ proceedings, it is recommended that the prosecuting attorney obtain an order from the SIJ authorizing disclosure as required by the prosecuting attorney’s discovery obligations in the event the investigation results in criminal charges. WAPA Model Policy for Using Special Inquiry Judge Proceedings, http:// www.waprosecutors.org/docs/2012%20SIJ%20Model%20Policy_l.pdf. The prosecuting attorney’s discovery obligations are set forth in CrR 4.7 and require the prosecuting attorneys to disclose, among other things, transcripts from grand juries when authorized by the court and any documents that the prosecuting attorney intends to use at trial that were obtained from or belonged to the defendant. CrR 4.7(a)(l)(iii), (v).
Reeder notes that Michigan has a similar SIJ statute. The Michigan statute requires the judge to ‘Rave probable cause to suspect that any crime” has been committed before such judge may make an order directing an inquiry into the complaint. Mich. Comp. Laws § 767.3. Washington’s SIJ proceedings, chapter 10.27 RCW, are based on Michigan’s statute. Manning,
Ch. 21.20 RCW.
Cases reviewing RCW 10.27.170 have not questioned whether this provision is constitutional. Statutes are presumed constitutional. Sch. Dists.’All. for Adequate Funding of Special Educ. v. State,
The dissent argues that the court relies solely on the federal Fourth Amendment precedent while ignoring article I, section 7. Dissent at 834. We direct the dissent to pages 815-23 of this opinion for an in-depth analysis of how the subpoena of banking records from a financial institution during an SIJ proceeding is consistent with this court’s interpretation of article I, section 7, despite the privacy interests individuals have in their banking records.
Reeder also cites State v. Mermis,
Dissenting Opinion
¶62 (dissenting) — Petitioner Michael Reeder argues that the State may not search an individual’s personal banking records without probable cause. In support of this argument, he relies primarily on this court’s decision in State v. Garcia-Salgado,
¶63 Perhaps because it proceeds from these flawed premises, the majority opinion results in a holding that is both sweeping and confusing: personal banking records are “private affairs” protected by article I, section 7,
¶64 Because SIJ subpoenas function similarly to federal grand jury subpoenas, and because this case presents a question of first impression in Washington,
¶65 Instead, we should rely on federal case law addressing circumstances analogous to those presented here: subpoenas for electronic communications and other digital data, issued to third party service providers. When I consult those cases, I conclude that an SIJ subpoena is insufficient “authority of law” under article I, section 7 of Washington’s constitution to support the search of an individual’s personal banking records. I therefore respectfully dissent.
I. The Majority’s Analysis Conflicts with Federal Precedent Holding That the Fourth Amendment Limits Grand Jury Subpoenas and State Precedent Holding That Personal Banking Records Are Fully Protected Private Affairs
¶66 As noted above, the majority’s analysis proceeds from two erroneous conclusions. First, the majority concludes that federal grand jury subpoenas may issue on less than probable cause “because the Supreme Court has noted that a subpoena issued by a federal grand jury intrudes less on one’s privacy rights than a search or seizure and, as such, does not receive the same Fourth Amendment protections.” Majority at 820 (citing United States v. Dionisio,
¶67 Contrary to the majority’s first conclusion, Dionisio does not hold that grand jury subpoenas are “[do] not receive the same Fourth Amendment protections.” Majority at 820. Instead, that case holds only that subpoenas to appear before a grand jury are not “seizures” for purposes of Fourth Amendment protections. Dionisio,
¶68 Contrary to the majority’s second conclusion, article I, section 7 is equally protective of an individual’s privacy interest in personal banking records and his or her privacy interest in DNA. The majority relies solely on federal Fourth Amendment precedent to conclude otherwise,
Private bank records may disclose what the citizen buys, how often, and from whom. They can disclose what political, recreational, and religious groups a citizen supports. They potentially disclose where the citizen travels, their affiliations, reading materials, television viewing habits, financial condition, and more. Little doubt exists that banking records, because of the type of information contained, are within a person’s private affairs.
Id. at 246-47. Nothing in this analysis suggests that article I, section 7 protects personal banking records to a lesser extent than it protects DNA or garbage—indeed, it suggests that our state constitution affords the highest level of protection for personal banking records.
II. The Majority Relies on Inapposite Federal Precedent To Conclude That the SIJ Subpoena at Issue in This Case Was Valid Without Probable Cause
¶69 The majority relies on one United States Supreme Court decision—R. Enterprises,
¶70 First, R. Enterprises did not address privacy interests like those at issue in this case—indeed, it did not really address privacy interests at all. The corporate defendants in R. Enterprises—all under investigation for allegedly transporting obscene materials across state lines—challenged a grand jury subpoena for corporate records and sexually explicit videotapes.
¶71 Second, the analysis in R. Enterprises is premised on a fact not present here: the issuance of the subpoena directly to the subject of the investigation. The R. Enterprises Court held that a person seeking to avoid compliance with a grand jury subpoena bears the burden of showing that compliance would be unreasonable. Id. at 301. In reaching that conclusion, the Court acknowledged that “reasonableness” limits on grand jury subpoenas are meaningless if the target of an investigation does not know the general subject matter of the grand jury’s investigation. Id. at 301-02 (“[a]fter all, a subpoena recipient ‘cannot put his whole life before the court in order to show that there is no crime to be investigated’ ” (quoting Marston’s, Inc. v. Strand,
¶72 In short, the facts in R. Enterprises differ so extremely from those present here that that case is simply not helpful to our analysis. (To the extent that its discussion of reasonableness limits is relevant at all, it supports Reeder’s position.)
¶73 Federal precedent distinguishing grand jury subpoenas from search warrants—and permitting the former to issue on less than probable cause—is predicated in part on the assumption that the subject of an investigation will have the opportunity to contest the validity of a subpoena:
Subpoenas are not search warrants. They involve different levels of intrusion on a person’s privacy. A search warrant allows the officer to enter the person’s premises, and to examine for himself the person’s belongings. The officer, pursuant to the warrant, determines what is seized. Moreover, if evidence or contraband of any sort is in plain sight, the officer may seize it, even if it is not listed in the warrant. The person to be searched has no lawful way to prevent execution of the warrant.
In re Grand Jury Subpoenas Dated Dec. 10, 1987,
¶74 For this reason, “[s]ervice of a forthwith subpoena [cannot] authorize an entry into a private residence.” Id. The State acknowledged as much at oral argument in this case,
¶75 That result, which the majority adopts, is illogical. Not only does it conflict with our precedent rejecting the relaxation of privacy protections in the third party search context and affirming the significant privacy interests that attach to personal banking records under article I, section 7, it also inverts the logic of cases upholding federal grand jury subpoenas. Those cases say that subpoenas are less intrusive than search warrants in part because the subpoena recipient can object and obtain judicial review. In re Subpoena Duces Tecum,
¶77 Unquestionably, the State’s conduct at issue in this case also constitutes a full search. Under article I, section 7, personal banking records are entitled to no less protection than e-mails or text messages (or garbage, for that matter). Like e-mail and text messages, those records can reveal a person’s habits, associations, religious beliefs, political views, travel history and plans, and financial condition, among other things. Miles,
CONCLUSION
¶78 Consistent with our case law rejecting the third party search doctrine and federal case law distinguishing (highly intrusive) search warrants from (less intrusive) subpoenas, I would hold that the SIJ subpoena in this case violated article I, section 7 protections. I would hold that issuance of a subpoena to a third party to obtain the records of the target of an investigation violates article I, section 7 protections where, as here, the article I, section 7 interest at stake is in personal, private bank records. Under controlling Washington precedent, such personal, private records are entitled to the full measure of privacy that we accord to garbage and infrared emissions.
Majority at 815.
Id. at 819 (quoting ROW 10.27.170).
Id. at 824.
Id.
The majority cites three cases for the principle that “the authority of law to collect private records encompasses more than a warrant based on probable cause.” Id. at 817 (quoting State v. Gunwall,
There are very few United States Supreme Court cases that directly address Fourth Amendment limits on federal grand jury subpoenas. The few cases that do directly address these limits hold that the Fourth Amendment prohibits any grand jury subpoena “too sweeping ... ‘to be regarded as reasonable.’ ” United States v. Dionisio,
Reeder is correct that this court has sometimes distinguished article I, section 7 protections on the basis that “fu]nlike in the Fourth Amendment, the word ‘reasonable’ does not appear in any form in the text of article I, section 7 of the Washington Constitution.” State v. Morse,
Majority at 824 (citing Miller,
Miller,
E.g., State v. Hinton,
U.S. Const, amends. I, IV.
In re Subpoena Duces Tecum,
Wash. Supreme Court oral argument, State v. Reeder, No. 90577-1 (Feb. 24, 2015), at 15 min., 15 sec., audio recording by TVW, Washington State’s Public Affairs Network, http://www.tvw.org (conceding that the government may not search “your home, your car, your person, your body” absent probable cause). This appears to conflict with another theory that the State articulated in its briefing and the majority endorses in its analysis: that “the Fourth Amendment has [no] application in the grand jury context,” State’s Suppl. Br. at 5 (footnote omitted).
Wash. Supreme Court oral argument, supra, at 15 min., 15 sec., 20 min., 45 sec.
See State v. Young,
