Lead Opinion
The Government moves for reconsideration of our reversal of the district court’s pretrial detention order. Because the Government has failed to establish by a preponderance of the evidence that Motamedi poses a flight risk, the motion for reconsideration must be denied.
Motamedi was arrested on charges of conspiracy to export items without a license, in violation of the Arms Export Control Act, 22 U.S.C. § 2778 (1982). The United States Magistrate conditioned his pretrial release upon the posting of a $400,-000 secured appearance bond, with special conditions including intensive Pretrial Services supervision, travel restrictions, and surrender of both passport and greencard. Motamedi complied with these conditions and was released.
A month and a half elapsed, and Motamedi was indicted on one count of conspiracy under 18 U.S.C. § 371, and fourteen counts of unlicensed exportation of items attended by false shipper’s deelarations, under 22 U.S.C. § 2778(c) (1982), 18 U.S.C. § 2(b) (1982). The maximum sentence on the conspiracy count is five years, and the maximum sentence on each of the exportation counts is two years.
Motamedi voluntarily appeared for arraignment at which time the Government requested a detention order on the ground that Motamedi posed a serious risk of flight. Based on the information presented, the magistrate found that Motamedi, an Iranian citizen, was acting as a de facto purchasing agent for the current Iranian government and could return to Iran with impunity; that he maintained large foreign bank accounts with most, if not all, of the deposits being made by the Iranian government; that he persisted in his allegedly illegal exporting activities despite warnings by agents of the United States Customs and Federal Bureau of Investigation that it was illegal to export the items in question; and that the nature and circumstances of the offenses charged are serious. Based on her findings, the magistrate concluded that the Government had demonstrated by a preponderance of the evidence that no condition or combination of conditions would reasonably assure the appearance of Motamedi for further proceedings in the case, and ordered him detained.
Faced with detention, Motamedi moved the district court, pursuant to section 3145(b) of the Bail Reform Act of 1984, 18 U.S.C. § 3145(b) (1984),
We reversed and ordered release on the same financial terms and conditions as had been granted prior to revocation of bail. The Government moved for reconsideration and clarification of our release order. Without passing on the arguments presented in the Government’s motion, we authorized the district court to increase the monetary amount of the bond, with the condition that it be an amount that Motamedi could post. The bond is set at $750,000. Because the parties raise issues of first impression under the Bail Reform Act of 1984, concerning the applicable burden of proof to be met in the district court and the proper standard of review in this court, we heard oral argument and now issue this opinion in support of our order.
In determining the applicable standard of review, we bear in mind that federal law has traditionally provided that a person arrested for a noncapital offense shall be admitted to bail. Stack v. Boyle,
Release pending trial is governed by the Bail Reform Act of 1984 which, like its predecessor, the Bail Reform Act of 1966, 18 U.S.C. §§ 3146-3152 (1982) (repealed October 12, 1984), mandates release of a person facing trial under the least restrictive condition or combination of conditions that will reasonably assure the appearance of the person as required. 18 U.S.C. § 3142(c)(2) (1984); see Honeyman,
We review the district court’s factual findings under a deferential, clearly erroneous standard. United States v. McConney,
This conclusion is supported by the standard of review applied by Supreme Court Justices when reviewing detention orders. See Sup.Ct.R. 35, 50. In light of the important constitutional dimensions involved, the Justices have consistently recognized “a nondelegable responsibility to make an independent determination of the merits of the application.” See Truong Dinh Hung,
We hold that the applicable standard of review for pretrial detention orders is one of deference to the district court’s factual findings, absent a showing that they are clearly erroneous, coupled with our right of independent examination of the facts, the findings, and the record to determine whether an order of pretrial detention may be upheld.
We must further determine the Government’s burden of proof in establishing risk of flight under the 1984 Act. If the Government may establish such risk by a mere preponderance of the evidence, it is entitled to know that we rule against it in what has become a close case. In the trial court and in this court, the Government must establish risk of flight by a clear preponderance of the evidence, not by the higher standard of clear and convincing evidence. We reach this conclusion from the language and structure of the present statute, considered in light of the rules which pertained at the time of the enactment.
The Bail Reform Act of 1966 authorized pretrial detention without bail only in those cases where conditions could not reasonably assure the defendant’s presence at trial. See 18 U.S.C. § 3146(a) (1982) (repealed 1984). In contrast, the 1984 Act permits the pretrial detention of a defendant without bail where it is demonstrated either that there is a risk of flight or no assurance that release is consistent with the safety of another person or the community. Danger to another or to the community is a statutory addition that constitutes a significant departure from the previous law. S.Rep. No. 98-147, 98th Cong., 1st Sess. 1-2 (1983).
Under the 1984 Act, a finding that a person presents a danger to the community must be supported by clear and convincing evidence. 18 U.S.C. § 3142(f) (1984). The statute, however, is silent with regard to the burden of proof governing the finding that a person poses a risk of flight. The language and structure of the 1984 Act lead us to conclude that the flight risk determination is governed by a standard other than that of clear and convincing evidence.
In the related context of a defendant’s right to bail pending appeal, Congress expressly required the defendant to negate both danger to the community and flight risk by clear and convincing evidence. 18 U.S.C. § 3143(a) (1984). Had Congress desired to achieve a similar result regarding the right to bail pending trial, it would have so provided.
We must presume that Congress acts with deliberation, rather than by inadvertence, when it drafts a statute. The statute’s silence regarding the burden of proof for flight risk determinations should be considered in light of its explicit edict that the heavy burden of clear and convincing evidence applies to a finding of danger to an individual or to the community. The most plausible interpretation for this statutory pattern is that Congress intended the two inquiries to be governed by different standards.
This determination does not, however, conclude the analysis, for we must now ascertain the standard of proof properly applicable to findings of flight risk under the 1984 Act. Presumably, the congressional silence on this point evinces a legislative intent to incorporate the standard applicable to this determination under the 1966 Act. Although the old Act did not include an express statement regarding the standard which governed findings of flight risk, its language strongly suggested the applicability of the preponderance standard. In determining the conditions of re
Such differential treatment comports with the congressional recognition of danger to another or to the community as a discrete, independent basis for the denial of pretrial release. Since bail was determined under the former law by the likelihood of defendant’s appearance at trial, and without explicit recognition of the need to protect the community, it is reasonable to subject the Government to a higher standard of proof when the second purpose is added as an explicit statutory category. Further, a finding of danger to the community is likely to involve more specific and quantifiable evidence than is a finding of risk of flight. For instance, prior convictions, police reports, and other investigatory documents are, as a matter of course, used to show past histories of violence. From these objective sources, trial judges may infer a present danger to the community. Such data is not often available regarding the risk of flight. Thus, it is wholly feasible for the Government to satisfy the higher burden in showing danger to the community.
In concluding that the Government’s burden in denying bail on the basis of flight risk is that of the preponderance of the evidence, we are not unmindful of the presumption of innocence and its corollary that the right to bail should be denied only for the strongest of reasons. See Truong Dinh Hung,
Having determined both the applicable standard of review and the proper burden of proof, we must consider whether the Government has demonstrated by a preponderance of the evidence that no condition or combination of conditions will reasonably assure Motamedi’s appearance. Section 3142(g) specifies the various factors to be considered by the court in determining whether conditions of release may be imposed that will reasonably assure the appearance of the person. The court must take into account available information concerning the nature and circumstances of the offense charged, the weight of the evidence against the person, the history and characteristics of the person, including his character, physical and mental condition, family ties, employment, financial resources, length of residence in the community, community ties, past conduct, history relating to drug and alcohol abuse, criminal history, record concerning appearance at court proceedings, and the nature and seriousness of the danger to any person or the community that would be posed by the person’s release. 18 U.S.C. § 3142(g) (1984).
There are many factors listed in section 3142(g) which point toward the conclusion that Motamedi should be released. Motamedi is a 27-year old Iranian citizen who
In denying Motamedi’s motion for revocation of the detention order, the district court relied on the magistrate’s findings that the charges against Motamedi are serious; that he exported military items after being warned that it was illegal to do so, and after telling the United States Attorney that he had ceased doing so; that he is an Iranian citizen who may return to Iran with impunity; and that he maintains large bank accounts in foreign countries. These findings appear to be drawn primarily from allegations contained in the indictment. The district court stated that it found most persuasive the fact that Motamedi is an Iranian citizen allegedly acting as an agent of the Iranian government who could return to Iran with impunity.
With all due respect for the district court’s determinations, our independent review leads us to a contrary conclusion. It is apparent from the record below that the district court accorded great weight to the charges against Motamedi and the Government’s assertions of his guilt. Our court has stated, however, that the weight of the evidence is the least important of the various factors. Honeyman,
Similarly, the factor of alienage, upon which the district court also placed much weight, may be taken into account, but it does not point conclusively to a determination that Motamedi poses a serious risk of flight. See, e.g., Truong Dinh Hung,
The Government argues that Motamedi poses a serious risk of flight because of the additional charges contained in the indictment. Motamedi states that he has known of the investigation into his exporting activities since January 1984. Moreover, he was informed upon his arrest that the Government would seek an indictment on the current charges, but he was nevertheless released on conditions for several weeks before issuance of the indictment. Accordingly, he argues, there is no greater risk that he will flee now than there has been since his arrest and release on conditions. We agree.
Having reviewed the facts, the findings, and the record, we conclude that the grounds upon which the district court based its determination that Motamedi po
Notes
. The Bail Reform Act of 1984 may be found at Act of Oct. 12, 1984, Pub.L. No. 98-473, 1984 U.S.Code Cong. & Ad.News (98 Stat.1976).
Concurrence Opinion
concurring and dissenting in part:
While I concur in the result reached by the majority, I write separately to express my disagreement with the majority’s analysis of the burden of proof issue. For the reasons explained below, I would hold that the government must show that defendant poses a risk of flight by clear and convincing evidence.
I. Statutory Analysis
A. The Majority’s Analysis
The majority’s interpretation of the statute runs afoul of well established principles of statutory construction. In the absence of clearly expressed legislative intent to the contrary, a statute should be construed to avoid serious constitutional issues: “it is a cardinal principle that this Court will first ascertain whether a construction of the statute is fairly possible by which the question may be avoided.” Crowell v. Benson,
A close question of statutory construction would be presented if constitutional considerations were ignored. The balance, however, even in that narrow context, favors use of a clear and convincing evidence standard. The majority’s analysis starts from the premise that because the statute specifies the clear and convincing standard for facts underlying dangerousness determinations, but is silent as to flight risk determinations, the standards for the two must be different. Congressional silence on the flight risk standard, according to the majority, indicates “legislative intent to incorporate the standard applicable to this determination under the 1966 Act.” The majority then concludes, without citing a single case as authority, that the preponderance standard applied under the 1966 Act.
The majority finds support for its construction of the 1966 Act in the fact that the Act provided judges with “a list of factors to consider in reaching their conclusions.” 18 U.S.C. § 3146(b) (1982) (repealed in 1984). It is contended that “a balancing approach normally implies utilization of the preponderance standard.” This “list of factors” has been carried over in section 3142(g) of the 1984 Act. To conclude that this balancing approach indicates a preponderance standard for proof of the facts underlying the flight risk decision, however, contradicts the language and structure of the statute. Under the statute, the determination that a defendant is too dangerous to release involves the
The majority also dismisses repeated emphasis by Supreme Court Justices sitting as Circuit Justices that bail should be denied “only for the strongest of reasons.” Sellers v. United States,
B. Existing Case Law
The reported opinions have split on the issue whether the government must prove factors underlying a conclusion of flight risk by clear and convincing evidence. While I do not lightly discount those opinions agreeing with the majority, I find them unpersuasive. None of them attempts to analyze the structure of the statute, to examine its legislative history, or to consider the constitutional problems raised by the statute. Their statements regarding the burden of proof either are dicta, are unsupported by any citation, or rely solely on the proposition that the preponderance of the evidence standard applies to other pretrial decisions and should therefore apply to this pretrial determination. This last rationale is inapplicable because the decisions cited as supporting it, United States v. Matlock,
I note that a number of the decisions agreeing with my position that the clear and convincing evidence standard applies to proof of facts underlying the flight risk determination are also dicta, or are based on a very cursory analysis of the statute. I therefore conclude that thus far the reported cases present no convincing weight of authority on either side of this issue. Compare United States v. Williams,
C. The Statutory Framework and the Legislative History
I agree with the majority that one possible inference to be drawn from the 1984 Act’s explicit provision of the burden of proof for dangerousness and silence on the burden for flight risk is that the two burdens are different. Another possible inference, however, is that the two standards are the same but that Congress believed it necessary to state explicitly the standard for the new dangerousness provision, because the clear and convincing evidence standard for the flight risk determination would carry over from prior law. The proper method of determining whether Congress intended two different standards, and what standard Congress believed applied to flight risk under former law, is to look at the legislative history. The majority barely acknowledges the legislative history and makes no attempt to analyze it.
The legislative history of the 1984 Act’s pretrial detention provisions pertains almost exclusively to the dangerousness provisions. See generally S.Rep. No. 225, 98th Cong., 2d Sess. 325, reprinted in 1984 U.S.Code Cong. & Ad.News 3182, 3184-3208 [hereinafter cited as 1984 Report]; S.Rep. No. 98-147, 98th Cong., 1st Sess. 18-52 (1983) (report on S. 215, an earlier and substantially similar version of 1984 Act) [hereinafter cited as 1983 Report]. This is unsurprising since the dangerousness provisions were a radical and controversial change in the law. See Chimurenga,
Moreover, to conclude as the majority does that facts underlying a conclusion on flight risk need only be established by a preponderance of the evidence while facts supporting a dangerousness conclusion must be shown by the tougher clear and convincing evidence standard is to suggest that Congress considered flight risk of more importance than dangerousness, a conclusion unsupported by the Act and contradicted by the legislative history’s emphasis on the gravity of the dangerousness problem. While I do not minimize the importance of having defendants answer for
I therefore conclude from the structure of the statute and its legislative history that the government must show facts supporting a conclusion of flight by the same burden of proof applicable to facts supporting a conclusion of dangerousness: clear and convincing evidence.
This conclusion is supported by the constitutional analysis set forth below, because in construing federal statutes we should assume that Congress intended to enact a constitutional law and, if more than one construction is possible, construe the statute to avoid constitutional problems. See United States v. Clark,
II. Constitutional Questions
The majority makes no attempt to analyze the constitutional ramifications of its decision. Such an analysis is essential for two reasons. First, the nature of the pretrial detention determination requires that it must comport with the somewhat mysterious terms of the eighth amendment, and with the fifth amendment’s familiar command that no person shall be deprived of liberty without due process of law. Second, the legislative history of the 1984 Act indicates that in drafting the Act, Congress considered the constitutional questions at length and viewed them as limiting Congress’ power to restrict or deny pretrial release. See 1983 Report, supra, at 2-11. Thus, in addition to the usual considerations for weighing constitutional mandates in construing legislation, in this ease the court must analyze the statute in light of the specific congressional intent that the legislation be construed as limited by the constitutional provisions.
A. The History of the Bail Provisions
The eighth amendment provision that “[ejxcessive bail shall not be required” seems the logical starting point for analysis of a pretrial detention statute. It has often been suggested that this phrase by necessary implication grants a right to pretrial bail. See, e.g., Tribe, supra, at 399; Historical Perspectives, supra, at 335-36; Standards, supra, 10-5.9 commentary at 10.107; United States v. Edwards,
The more generally accepted and narrower view, upon which Congress based the 1984 Act, is that Congress has a significant degree of discretion over pretrial detention
B. Due Process Analysis
1. The function of a burden of proof standard
The concept of a burden of proof is embodied in the due process clause, and its function is “to instruct the factfinder concerning the degree of confidence, our society thinks [it] should have in the correctness of factual conclusions for a particular type of adjudication.” In re Winship,
2. The defendant’s interests in the release determination
The defendant has a basic and significant liberty interest in not being confined pending trial. This interest encompasses more than the fundamental loss of freedom for the pretrial period. See Historical Perspectives, supra, at 329 n. 11. “Pretrial confinement may imperil the suspect’s job, interrupt his source of income, and impair his family relationships.” Gerstein v. Pugh,
The magnitude of these concerns is increased by the fact that the injuries consequent upon pretrial confinement may not be reparable upon a subsequent acquittal. Society has no mechanism to recompense an individual for income lost or damages to a career due to pretrial confinement. Nor do we compensate the individual and his family for their mental suffering and loss of reputation due to pretrial incarceration. As the California court noted in Van Atta, “[pjretrial imprisonment is likely to be mistaken for a finding of the detainee’s guilt rather than being recognized [by the community] as his inability to make bail or persuade the judge that he would appear at future proceedings.” Id. at 440,
A subtler consequence of pretrial detention is that it may set up a conflict between the defendant’s desire and right to provide himself with the best defense possible and his desire to escape the unpleasantness of pretrial confinement as soon as possible. For an example of some constitutional yet undeniably disagreeable conditions of pretrial confinement, see Bell v. Wolfish,
Theoretically, pretrial deprivation of liberty is limited in duration by both the sixth amendment right to a speedy trial and by the Speedy Trial Act, 18 U.S.C. §§ 3161-3174 (1982). The Act in particular seems to limit pretrial detention to a seventy-day
I conclude therefore that the defendant’s interest in not being erroneously confined pending trial is of substantial importance. While it is not as great as his interest in not being erroneously convicted, it is certainly far more important than “mere loss of money,” see Addington,
3. Society’s interests in the release determination
I do not question that society’s interest in assuring the presence of the defendant at trial is significant, nor that the detention of a defendant who poses a genuine risk of flight is valid. See Stack,
4. Balancing the interests
As demonstrated above, the consequences to the defendant from an erroneous pretrial detention are certain and grave. The potential harm to society, although also significant, is speculative, because pretrial detention is based on the possibility, rather than the certainty, that a particular defendant will fail to appear. Moreover, society’s interest in increasing the probability of detention is undercut by the fact that it has no interest in erroneously detaining a defendant who can give reasonable assurances that he will appear. I conclude therefore that the injury to the individual from an erroneous decision is greater than the potential harm to society, and that under Addington due process requires that society bear a greater portion of the risk of error; the government must prove the facts supporting a finding of flight risk by clear and convincing evidence.
CONCLUSION
Because of its use of the preponderance standard, the majority is forced into a most delicate analysis of the evidence. By skillfully marshalling arguments it is able to
. The "presumption of innocence” has often been suggested as another constitutional principle granting a right to pretrial release. This theory is based on dictum in Stack,
Because I conclude below that due process considerations require application of the clear and convincing standard in this case, I find it unnecessary to decide whether the presumption of innocence may be an alternative valid basis for my conclusions.
